SAP ABAP Table JBIUXSFGDT (RM: Receiver Structure for EDT for XSDTFT)
Hierarchy
EA-FINSERV (Software Component) SAP Enterprise Extension Financial Services
   IS-B-RA (Application Component) Risk Analysis
     JBR (Package) Application development IS-B Risk Mangement
Basic Data
Table Category INTTAB    Structure 
Structure JBIUXSFGDT   Table Relationship Diagram
Short Description RM: Receiver Structure for EDT for XSDTFT    
Delivery and Maintenance
Pool/cluster      
Delivery Class      
Data Browser/Table View Maintenance     Display/Maintenance Allowed with Restrictions 
Components
     
Field Key Data Element Domain Data
Type
Length Decimal
Places
Short Description Check
table
1 RIDEXT JBRIDEXT JBRIDEXT CHAR 20   0   External Number of the Generic Transaction  
2 NGIDNR JBNGIDNR JBNGIDNR NUMC 6   0   Sequence Number for a Transaction ID in Primary Transaction  
3 NCFNR JBNCFNR JBNCFNR NUMC 6   0   Consecutive Number for a Flow of an FGET  
4 NBRANCH JBNBRANCH JBNBRANCH NUMC 4   0   Degree of Branching for Each Category of Primary Transaction  
5 SSTAT JBSSTAT JBSSTAT CHAR 1   0   Category of Generic Transaction  
6 XTEXT JBRXTEXT JBRXTEXT CHAR 30   0   Text Field for a More Precise Description  
7 BUKRS BUKRS BUKRS CHAR 4   0   Company Code T001
8 MODUS RTMODUS RTMODUS CHAR 2   0   RM: Mode Field for EDT of Extended Risk Objects  
9 SVERS JBSVERS JBSVERS CHAR 1   0   RM: Indicator for Retrieval of a Version  
10 DGUELTAB JBDGUELTAB DATS DATS 8   0   Version Date of Generic Transaction  
11 .INCLUDE       0   0   RM: Include ABEST Fields for xSDTFT  
12 .INCLUDE       0   0   RM: Include Reporting-Specific ABEST Fields  
13 RLDEPO RLDEPO RLDEPO CHAR 10   0   Securities Account *
14 .INCLUDE       0   0   RM: Key Structure for Identification of POBJNR/PWKN in xCPT  
15 P_BUKRS BUKRS BUKRS CHAR 4   0   Company Code *
16 P_RANLALT1 RANLALT1 CHAR13 CHAR 13   0   Alternative Identification  
17 P_RANL RANL RANL CHAR 13   0   Contract Number  
18 P_NORDEXT NORDEXT CHAR20 CHAR 20   0   External order number  
19 P_NORDER NORDER NUM8 NUMC 8   0   Order Number  
20 P_RBKONT JBRBKONT JBRBKONT CHAR 16   0   Account Number *
21 P_REXTNR JBREXTNR JBREXTNR CHAR 18   0   External Account Number  
22 P_RFHA TB_RFHA T_RFHA CHAR 13   0   Financial Transaction *
23 P_RUBEST JBRUBEST JBRUBEST CHAR 10   0   Position Name *
24 P_RANLW VVRANLW WP_RANL CHAR 13   0   Security ID Number *
25 P_RLDEPO RLDEPO RLDEPO CHAR 10   0   Securities Account *
26 P_SSHLNG JBSSHLNG JBSSHLNG CHAR 1   0   Short/Long Indicator  
27 P_WKN VVRANLW WP_RANL CHAR 13   0   Security ID Number *
28 .INCLUDE       0   0   RM: INCLUDE for Header xSDTFT as Complex Class  
29 RWKN JBRWKN JBRWKN CHAR 13   0   RM: Security ID Number for Complex Class xSDTFT  
30 .INCLUDE       0   0   RM: INCLUDE for Header Information xSDTFT/SDTFT  
31 RPORTB RPORTB RPORTB CHAR 10   0   Portfolio TWPOB
32 RDEALER RDEALER RDEALER CHAR 12   0   Trader TZDEA
33 PARTNR BU_PARTNER BU_PARTNER CHAR 10   0   Business Partner Number *
34 WAEHRUNG JBWCF WAERS CUKY 5   0   Currency of Cash Flow TCURC
35 ARR KL_DEFRIRE KL_DEFRIRE CHAR 10   0   Default Risk Rule KLARRC
36 SLPG KL_LPG T_SLPG CHAR 3   0   Limit Product Group ATLPG
37 GRUPP KL_SKPSK SKPSK CHAR 10   0   Credit Limit Part: General Ledger Account *
38 EBENE KL_FDLEV FDLEV CHAR 2   0   Credit Limit: Level for Cash Management and Forecasting *
39 DISPW KL_DISPW WAERS CUKY 5   0   Planned Currency for Cash Management and Forecast *
40 .INCLUDE       0   0   RM: Fields in Hierarchy Depiction of Cat. of Primary Trans.  
41 AGGREGRULE JBRAGGREG JBRAGGREG CHAR 4   0   Aggregation Rule in Hierarchy of Data Type of Fin. Trans.  
42 .INCLUDE       0   0   RM: INCLUDE Header Information of Ext.Cat. of Prim. Trans.  
43 .INCLUDE       0   0   RM: INCLUDE Header Information xFGET/FGET  
44 RMBEWREG JBRBEWREG_ JBRBEWREG CHAR 8   0   Valuation Rule JBRBEWREG
45 GFORM TV_GFORM T_GFORM NUMC 3   0   Transaction Form VTVFGKOGF
46 GDETAIL TV_GDETAIL T_GDETAIL NUMC 3   0   Transaction Form - Detail Information VTVFGKOGF
47 KATEKZ TV_KATEKZ T_KATEKZ CHAR 1   0   Indicator for spot and forward transactions  
48 AGGRKZ TV_AGGRKZ T_AGGRKZ CHAR 1   0   Indicator for aggregated transactions  
49 DBLFZ DBLFZ DATUM DATS 8   0   Start of Term  
50 DELFZ JBRDELFZ DATUM DATS 8   0   End of Term/End of Period of Notice  
51 SFGTYP TV_SFGTYP TV_SFGTYP NUMC 3   0   Buy/Sell *
52 SNOTTYPE TB_NOTTYPE T_NOTTYPE CHAR 1   0   Quotation type for option, future, security etc.  
53 SNOMWHR TV_NOMWAE WAERS CUKY 5   0   Currency of Nominal Amount TCURC
54 BNOMINAL TV_NOMINAL T_BETRAG CURR 17   2   Nominal amount  
55 ASTUECK ASTUECK ASTUECK DEC 15   5   Number of units for unit-quoted securities  
56 WGSCHFT1 TB_WGSCHF1 WAERS CUKY 5   0   Currency of Outgoing Side TCURC
57 WGSCHFT2 TB_WGSCHF2 WAERS CUKY 5   0   Currency of Incoming Side TCURC
58 BNOMI1 TV_NOMI1 T_BETRAG CURR 17   2   Nominal amount of outgoing side  
59 BNOMI2 TV_NOMI2 T_BETRAG CURR 17   2   Nominal amount of incoming side  
60 BSALDO TV_BSALDO T_BETRAG CURR 17   2   Residual balance of a contract (account)  
61 DEFSZ VVDEFSZ DATUM DATS 8   0   Date of fixed period end  
62 RANL JBRRANL WP_RANL CHAR 13   0   Security *
63 RHANDPL VVRHANDPL VVRHANDPL CHAR 10   0   Exchange TWH01
64 IDX IDX CHAR10 CHAR 10   0   Securities Index INDEXD
65 IDXVAL TV_IDXVAL VVPKTKUR DEC 15   6   Index Value  
66 BPIDX TV_BPIDX T_BETRAG CURR 17   2   Value of an index point  
67 SPIDX TV_SPIDX WAERS CUKY 5   0   Currency of Value of an Index Point TCURC
68 KKURSWP TV_KURSFUT VVPKTKUR DEC 15   6   Current price of futures contract/option on futures contract  
69 DDEKSE DDEKSE DATUM DATS 8   0   RM: Date on which the average purchase price was determined  
70 SSHLNG JBSSHLNG JBSSHLNG CHAR 1   0   Short/Long Indicator  
71 SEZWHR KL_EXTZKWHR WAERS CUKY 5   0   Currency of external commitment capital TCURC
72 BEZWHR KL_EXTZK KL_AMOUNT CURR 17   2   Amount of external commit. capital in currency  
73 RIDEXTRTEXT JBRIDEXTRTEXT JBRIDEXTRTEXT CHAR 20   0   External Number of the External Generic Transaction  
74 CSPREAD FTR_CSPREAD DECV3_7 DEC 10   7   Credit Spread  
75 CSPREAD_FWD FTR_CSPREAD DECV3_7 DEC 10   7   Credit Spread  
76 .INCLUDE       0   0   Header of Elementary Transaction: Append Container  
77 .INCLU--AP       0   0   Credit Limit: Selected Elementary Transaction  
78 LEAD_FGET LEAD_FGET LEAD_FGET CHAR 1   0   Selected Transaction  
79 .INCLUDE       0   0   Technical Transaction Category - Option Names for xCPT  
80 .INCLUDE       0   0   Technical Transaction Category - Option Descriptors xSFGDT  
81 U_DDISPO RM_UDDISPO DATUM DATS 8   0   Delivery of Underlying  
82 U_SNOTTYP RM_UNOTTYP T_NOTTYPE CHAR 1   0   Quotation of underlying  
83 SABRMET RM_SABRMET T_SABRMET CHAR 1   0   Settlement method option/future  
84 SETTLFL RM_SETTLFL T_SETTLFL CHAR 1   0   Settlement indicator  
85 SOPTAUS RM_SOPTAUS SOPTAUS NUMC 1   0   Exercise type (American or European)  
86 OFWAERS RM_OFWAERS WAERS CUKY 5   0   Strike Currency of Option/Future TCURC
87 OSTRIKE RM_OSTRIKE T_BETRAG CURR 17   2   Strike Amount of Option  
88 OSKURS RM_OSKURS DEC6_7 DEC 13   7   Strike as Rate (Forex)  
89 OSBPRICE RM_OSBPRIC T_BETRAG CURR 17   2   Strike price per unit  
90 OSINDEX RM_OSINDEX T_PKTKUR DEC 11   6   Strike in points (for quotation in points)  
91 OBNOTPT RM_BNOTPT T_BETRAG CURR 17   2   Value of quotation point  
92 OSPROZE RM_OSPROZE PWKURS DEC 10   7   Strike in percent (for percentage quotation)  
93 OBPROZE RM_BPROZE T_BETRAG CURR 17   2   Reference value of strike percentage quotation  
94 OPTTYP RM_OPTTYP T_OPTTYP NUMC 3   0   Original Option category (On Conclusion of Deal) ATO1
95 OPTTYP_AKT RM_AOPTTYP T_OPTTYP NUMC 3   0   Current option category ATO1
96 OBEZVH RM_OBEZVH ASTUECK DEC 15   5   Subscription ratio of option  
97 REWAERS RM_REWAERS WAERS CUKY 5   0   Option Rebate Currency TCURC
98 REBETR RM_REBETR T_BETRAG CURR 17   2   Option rebate amount  
99 RESSIGN RM_RESSIGN T_SSIGN CHAR 1   0   Direction of rebate amount  
100 REDATE RM_REDATE DATUM DATS 8   0   Rebate Due Date  
101 B1OSTRIKE RM_B1OSTRI T_BETRAG CURR 17   2   Upper Barrier Amount  
102 B1OSBPRICE RM_B1OSBPR T_BETRAG CURR 17   2   Upper Barrier Price per Unit  
103 B1OSINDEX RM_B1OSIND T_PKTKUR DEC 11   6   Upper Barrier Points (For Quotation in Points)  
104 B1OSPROZE RM_B1OSPRO PWKURS DEC 10   7   Upper Barrier Percentage (For Percentage Quotations)  
105 B1OSKURS RM_B1OSKUR TB_KKURS DEC 13   9   Rate for Upper Barrier (Forex)  
106 BA1RBETR RM_BA1RBET T_BETRAG CURR 17   2   Rebate Amount of Upper Barrier  
107 BA1RWAER RM_BA1RWAE WAERS CUKY 5   0   Currency of the Rebate Amount of Upper Barrier TCURC
108 BA1RDAT RM_BA1RDAT DATUM DATS 8   0   Maturity Date of Rebate for Upper Barrier  
109 BA1RSSIGN RM_BA1RSSI T_SSIGN CHAR 1   0   Direction of Rebate for Uppter Barrier  
110 B2OSTRIKE RM_B2OSTRI T_BETRAG CURR 17   2   Lower Barrier Amount  
111 B2OSBPRICE RM_B2OSBPR T_BETRAG CURR 17   2   Lower Barrier Price per Unit  
112 B2OSINDEX RM_B2OSIND T_PKTKUR DEC 11   6   Lower Barrier Points (For Quotation in Points)  
113 B2OSPROZE RM_B2OSPRO PWKURS DEC 10   7   Percentage for Lower Barrier (For Percentage Quotation)  
114 B2OSKURS RM_B2OSKUR TB_KKURS DEC 13   9   Lower Barrier Rate (Forex)  
115 BA2RBETR RM_BA2RBET T_BETRAG CURR 17   2   Rebate Amount of Lower Barrier  
116 BA2RWAER RM_BA2RWAE WAERS CUKY 5   0   Currency of Rebate Amount of Lower Barrier TCURC
117 BA2RDAT RM_BA2RDAT DATUM DATS 8   0   Maturity Date of Rebate of Lower Barrier  
118 BA2RSSIGN RM_BA2RSSI T_SSIGN CHAR 1   0   Direction of Rebate of Lower Barrier  
119 SPUTCALL RM_PUTCALL TV_PUTCAL NUMC 1   0   Put/Call Indicator for Options  
120 .INCLUDE       0   0   Elementary Transaction Options: Append Container  
121 .INCLU--AP       0   0   Append Structure for Market Risk: Option Part  
122 VORZEIT VORZEIT VORZEIT INT2 5   0   Lead Time of Option  
123 .INCLU--AP       0   0   Append Structure for Market Risk: Option Part BO, ASO, ASBO  
124 TOTALSAMPLECOUNT TOTALSAMPLECOUNT TOTALSAMPLECOUNT INT2 5   0   Number of Sample Dates per Base Value  
125 FIXEDSAMPLECOUNT FIXEDSAMPLECOUNT FIXEDSAMPLECOUNT INT2 5   0   Number of Fixed Points per Base Value  
126 FIXEDSPOTAVERAGE FIXEDSPOTAVERAGE WERTV7 CURR 13   2   Mean Value of Fixed Base Prices  
127 NEXTSAMPLEDATE NEXTSAMPLEDATE NEXTSAMPLEDATE DATS 8   0   Next Sample Date  
128 .INCLU--AP       0   0   Append Structure for Market Risk: Option Part FVA  
129 FIXEDVOLATILITY FIXEDVOLATILITY T_VOLA DEC 11   7   Forward Volatility, Fixed for Each Contract  
130 .INCLUDE       0   0   Technical Transaction Category - Cash Flows xSDTFT  
131 CFART JBRCFART_D JBRCFART CHAR 3   0   Cash Flow Type JBRCFART
132 .INCLUDE       0   0   Technical Transaction Category - Cash Flow xSFGDT/SFGDT  
133 RKONDGR TB_RKONDGR T_RKONDGR NUMC 1   0   Direction of Transaction  
134 SSIGN TB_SSIGN T_SSIGN CHAR 1   0   Direction of flow  
135 SCWHR TV_CFWHR WAERS CUKY 5   0   Currency of cash flow TCURC
136 BCWHR TV_CASHF T_BETRAG CURR 17   2   Cash Flow Amount in Currency  
137 DFAELL DFAELL DATUM DATS 8   0   Due date  
138 DDISPO DDISPO DATUM DATS 8   0   Payment Date  
139 DBERVON JBRBERVON DATUM DATS 8   0   'Calculate From' Date (Inclusive of that date)  
140 DBERBIS JBRBERBIS DATUM DATS 8   0   'Calculate Through To' Date  
141 SZBMETH SZBMETH SZBMETH CHAR 1   0   Interest Calculation Method  
142 ABASTAGE ABASTAGE INT6 NUMC 6   0   Number of base days in a calculation period  
143 ATAGE VTVATAGE NUMC06 NUMC 6   0   Number of Days  
144 CF_ASTCK ASTUECK ASTUECK DEC 15   5   Number of units for unit-quoted securities  
145 SNWHR TV_SNWHR WAERS CUKY 5   0   Currency of nominal amount base TCURC
146 BNWHR TV_BNWHR T_BETRAG CURR 17   2   Nominal amount base for cash flow determination  
147 PKOND TB_PKOND DECV3_7 DEC 10   7   Interest rate as a percentage  
148 SZSREF SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate T056R
149 SZSREFVZ SZSREFVZ SZSREFVZ CHAR 1   0   +/- sign / reference interest rate operator  
150 SOFFSET TV_SOFFSET DECV3_7 DEC 10   7   Fixer offset for variable interest rate reference  
151 SFORMREF TB_XFORMBE T_FORMBE CHAR 4   0   Formula Reference AT30
152 DZFEST TB_DZFEST DATUM DATS 8   0   Interest rate fixing date  
153 JSOFVERR JSOFVERR TFMSOFVERR CHAR 1   0   Immediate settlement  
154 OPPZINS JBIOPPZ JBIZINS DEC 10   7   Opportunity Interest  
155 FIKTKZ TV_FIKTKZ TV_FIKTKZ CHAR 1   0   Include Fictitious Cash Flows  
156 SBWHR KL_SBWHR WAERS CUKY 5   0   Position Currency/Transaction Currency TCURC
157 BBWHR KL_BBWHR KL_AMOUNT CURR 17   2   Amount in transaction currency  
158 XKURSKNZ KL_XKURS XFELD CHAR 1   0   X - Fixed exchange rate agreed  
159 KKURS KL_KKURS DEC6_7 DEC 13   7   Exchange Rate  
160 SZINSART JBSZINSART JBSZINSART CHAR 1   0   RM: Indicator for the Type of Interest Rate  
161 .INCLUDE       0   0   RM: Structure for Formula Refs. in CFs (current max.= 6)  
162 SVARNAME_1 TB_VARNAME T_XFELD04 CHAR 4   0   Variable Name  
163 PKOND_1 PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
164 SZSREF_1 SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate T056R
165 SVARNAME_2 TB_VARNAME T_XFELD04 CHAR 4   0   Variable Name  
166 PKOND_2 PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
167 SZSREF_2 SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate T056R
168 SVARNAME_3 TB_VARNAME T_XFELD04 CHAR 4   0   Variable Name  
169 PKOND_3 PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
170 SZSREF_3 SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate T056R
171 SVARNAME_4 TB_VARNAME T_XFELD04 CHAR 4   0   Variable Name  
172 PKOND_4 PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
173 SZSREF_4 SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate T056R
174 SVARNAME_5 TB_VARNAME T_XFELD04 CHAR 4   0   Variable Name  
175 PKOND_5 PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
176 SZSREF_5 SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate T056R
177 SVARNAME_6 TB_VARNAME T_XFELD04 CHAR 4   0   Variable Name  
178 PKOND_6 PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
179 SZSREF_6 SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate T056R
Foreign Keys
Source Table Source Column Foreign Table Foreign Column Dependency Factor Cardinality left Cardinality right
1 JBIUXSFGDT ARR KLARRC ARR REF 1 CN
2 JBIUXSFGDT BA1RWAER TCURC WAERS 1 CN
3 JBIUXSFGDT BA2RWAER TCURC WAERS 1 CN
4 JBIUXSFGDT BUKRS T001 BUKRS 1 CN
5 JBIUXSFGDT CFART JBRCFART CFART REF 1 CN
6 JBIUXSFGDT GDETAIL VTVFGKOGF GDETAIL 1 CN
7 JBIUXSFGDT GFORM VTVFGKOGF GFORM 1 CN
8 JBIUXSFGDT IDX INDEXD IDX REF 1 CN
9 JBIUXSFGDT OFWAERS TCURC WAERS 1 CN
10 JBIUXSFGDT OPTTYP ATO1 OPTTYP 1 CN
11 JBIUXSFGDT OPTTYP_AKT ATO1 OPTTYP 1 CN
12 JBIUXSFGDT RDEALER TZDEA RDEALER REF 1 CN
13 JBIUXSFGDT REWAERS TCURC WAERS 1 CN
14 JBIUXSFGDT RHANDPL TWH01 RHANDPL 1 CN
15 JBIUXSFGDT RMBEWREG JBRBEWREG RMBEWREG 1 CN
16 JBIUXSFGDT RPORTB TWPOB RPORTB REF 1 CN
17 JBIUXSFGDT SBWHR TCURC WAERS 1 CN
18 JBIUXSFGDT SCWHR TCURC WAERS KEY 1 CN
19 JBIUXSFGDT SEZWHR TCURC WAERS 1 CN
20 JBIUXSFGDT SFORMREF AT30 RFORMBEZ 1 CN
21 JBIUXSFGDT SLPG ATLPG SLPG 1 CN
22 JBIUXSFGDT SNOMWHR TCURC WAERS 1 CN
23 JBIUXSFGDT SNWHR TCURC WAERS 1 CN
24 JBIUXSFGDT SPIDX TCURC WAERS 1 CN
25 JBIUXSFGDT SZSREF T056R REFERENZ 1 CN
26 JBIUXSFGDT SZSREF_1 T056R REFERENZ 1 CN
27 JBIUXSFGDT SZSREF_2 T056R REFERENZ 1 CN
28 JBIUXSFGDT SZSREF_3 T056R REFERENZ 1 CN
29 JBIUXSFGDT SZSREF_4 T056R REFERENZ 1 CN
30 JBIUXSFGDT SZSREF_5 T056R REFERENZ 1 CN
31 JBIUXSFGDT SZSREF_6 T056R REFERENZ 1 CN
32 JBIUXSFGDT WAEHRUNG TCURC WAERS REF 1 CN
33 JBIUXSFGDT WGSCHFT1 TCURC WAERS 1 CN
34 JBIUXSFGDT WGSCHFT2 TCURC WAERS 1 CN
History
Last changed by/on SAP  20130529 
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