SAP ABAP Table SECURITY_DB (Update securities)
Hierarchy
BBPCRM (Software Component) BBPCRM
   CRM (Application Component) Customer Relationship Management
     CRM_APPLICATION (Package) All CRM Components Without Special Structure Packages
       FVVW (Package) Treasury Management: Securities
Basic Data
Table Category INTTAB    Structure 
Structure SECURITY_DB   Table Relationship Diagram
Short Description Update securities    
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 ANLA VWPANLA   STRU 0   0    
2 MANDT MANDT MANDT CLNT 3   0   Client  
3 RANL VVRANLW WP_RANL CHAR 13   0   Security ID Number  
4 SANLF SANLF VVSANLF NUMC 3   0   Product Category  
5 SSTATI SEC_STATUS SEC_STATUS NUMC 2   0   Status of a security  
6 RANLALT1 RANLALT1S CHAR13S CHAR 13   0   RANLALT1  
7 RANLALT2 RANLALT2S CHAR13S CHAR 13   0   Alternative identification 2  
8 GSART VVSART VVSART CHAR 3   0   Product Type  
9 SBRSCH BRSCH BRSCH CHAR 4   0   Industry key  
10 SWERTTYP SWERTTYP SAKTTYP NUMC 1   0   Security Type ID  
11 SBOERNOT SBOERNOT JANEI CHAR 1   0   Indicator: Listed on an Exchange  
12 WLOMB WLOMB JANEI CHAR 1   0   Indicator eligible as collateral  
13 JDECK JDECK JANEI CHAR 1   0   Regulatory reporting BPV (hedge fund Y/N)  
14 WPFAN WPFAN JANEI CHAR 1   0   Indicator pledgeable  
15 SSTBE SSTBE JANEI CHAR 1   0   Tax treatment indicator  
16 LOEVM LOEVM XFELD CHAR 1   0   Deletion Indicator  
17 JABMI JABMI JANEI CHAR 1   0   Joint partner vote indicator  
18 XALKZ XALKZ XKBEZ CHAR 15   0   Short name  
19 XALLB XALLB XLBEZ CHAR 60   0   Long name  
20 REPKE REPKE_NEW BU_PARTNER CHAR 10   0   Issuer Identity Key  
21 BEMPREIS BEMPREIS VVBNENNW CURR 10   2   Issue Price  
22 REWHR REWHR WAERS CUKY 5   0   Issue currency  
23 PEMKURS PEMKURS DEC3_7 DEC 10   7   Issue rate in percent  
24 SNOTI SNOTI SNOTI NUMC 1   0   Quotation Indicator  
25 PKUAB PKUAB DEC3_7 DEC 10   7   Price deviation in percent  
26 BKUAB BKUAB WHRBTRG CURR 10   2   Absolute price deviation  
27 DANDPFL DANDPFL DATUM DATS 8   0   Obligation to offer for sale until  
28 DANDRE DANDRE DATUM DATS 8   0   Right to offer until  
29 SOBJEKT VVKEYOBJ VVKEY CHAR 10   0   Internal key for object  
30 RERF RERF SYCHAR12 CHAR 12   0   Entered by  
31 DERF DERF DATUM DATS 8   0   First Entered on  
32 TERF TERF TIMES TIMS 6   0   Time of Initial Entry  
33 REHER REHER CHAR10 CHAR 10   0   Source of initial entry  
34 RBEAR RBEAR SYCHAR12 CHAR 12   0   Employee ID  
35 DBEAR DBEAR DATUM DATS 8   0   Last Edited on  
36 TBEAR TBEAR TIMES TIMS 6   0   Last Edited at  
37 RBHER RBHER CHAR10 CHAR 10   0   Editing Source  
38 SROLEXT ALWPKL ALWPKL CHAR 3   0   General Security Classification  
39 VVSLOEKZ VVSLOEKZ VVSLOEKZ NUMC 1   0   Deletion indicator  
40 JMUENDEL VVJMUEND JANEI CHAR 1   0   Eligibility indicator  
41 SMOVERW SMOVERW SMOVERW CHAR 2   0   Possible custody type  
42 SIHERK CHAR2 CHAR2 CHAR 2   0   Version Number Component  
43 KBEMPREIS VVKBEMPR VVKWKURS DEC 15   6   Issue price independent of currency  
44 SDEPOSTAT VVDEPOSTAT VVDEPOSTA NUMC 2   0   Securities account statistics key  
45 SFUNDI VVSFUNDI JANEI CHAR 1   0   Indicator: Funded  
46 SWPHGMPF VVSWPHGMPF JANEI CHAR 1   0   Securities trading law reporting obligation indicator  
47 RISIN VVRISIN RISIN CHAR 13   0   International securities ID number (no longer used)  
48 INSTITUTE BP_SOL_INS BP_SOL_INS CHAR 4   0   Institute Providing Credit Standing Information  
49 RATING BP_RATING BP_RATING CHAR 3   0   Rating  
50 PRICE_INDEX TIDX_INDEX_NAME TIDX_INDEX_NAME CHAR 15   0   Name of Price Index  
51 PRICE_IDX_BDATE TIDX_INDEX_BASE_DATE DATPER DATS 8   0   Price Index Base Date  
52 .INCLU--AP       0   0   Append for VWPANLA  
53 AKTI VWPAKTI   STRU 0   0    
54 MANDT MANDT MANDT CLNT 3   0   Client  
55 RANL VVRANLW WP_RANL CHAR 13   0   Security ID Number  
56 SANLF SANLF VVSANLF NUMC 3   0   Product Category  
57 AAAAKTIE AAAAKTIE DEC12 DEC 12   0   Number of stocks issued  
58 PDIVBER PDIVBER DEC3_7 DEC 10   7   Dividend rights per unit in percentage terms  
59 SAKAR SAKAR SAKAR NUMC 1   0   Stock category  
60 DEBEG DEBEG DATUM DATS 8   0   Issue start date  
61 SVBRE SVBRE SVBRE NUMC 1   0   Stock form indicator  
62 SSRBE SSRBE JANEI CHAR 1   0   Restriction of voting power indicator  
63 BNEWE BNEWE VVBNENNW CURR 10   2   Nominal value per share  
64 PAKTQUO PAKTQUO DEC3_7 DEC 10   7   Quota for par-value stock  
65 SAING SAING JANEI CHAR 1   0   Foreign Investment Law indicator  
66 SFOTY SFOTY SFOTY NUMC 1   0   Fund type indicator  
67 SOEFF SOEFF JANEI CHAR 1   0   Public fund indicator  
68 PAUSG PAUSG DEC3_7 DEC 10   7   Issue premium in percentage  
69 SARTBET SARTBET SARTBET NUMC 2   0   Type of shareholding  
70 SKONBET SKONBET SKONBET NUMC 2   0   Details about structure of shareholding  
71 SFOART VVSFOART VVSFOART CHAR 2   0   Fund category indicator  
72 BFONVOL BFONVOL WERT8 CURR 15   2   Fund volume  
73 KBNEWE VVBNEWE VVKWKURS DEC 15   6   Nominal Value per Stock (Independent of Currency)  
74 ANLE VWPANLE   STRU 0   0    
75 MANDT MANDT MANDT CLNT 3   0   Client  
76 RANL WP_RANL WP_RANL CHAR 13   0   Security ID number  
77 SANLF SANLF VVSANLF NUMC 3   0   Product Category  
78 SWPKLASS SWPKLASS SWPKLASS NUMC 3   0   Classification of bond  
79 DEBEG DEBEG DATUM DATS 8   0   Issue start date  
80 DENDF DENDF DATUM DATS 8   0   Final due date  
81 BEMIBET BEMIBET WHRBTRG CURR 10   2   Issue volumes  
82 BNOMS BNOMS BWHR CURR 13   2   Nominal value  
83 BNHAE BNHAE BWHR CURR 13   2   Nominal per trading unit  
84 RNWHR RNWHR WAERS CUKY 5   0   Nominal currency  
85 DKEMI DKEMI DATUM DATS 8   0   Issuer call date  
86 DKOBL DKOBL DATUM DATS 8   0   Bondholder call date  
87 SOPTVERT SOPTVERT SOPTVERT NUMC 1   0   Indicator whether issuer or bond holder has option right  
88 BATRT BATRT NUMC03 NUMC 3   0   Number of cutting days  
89 SCUEX SCUEX SCUEX NUMC 1   0   Cum/ex indicator  
90 BOPHE BOPHE NUM03 NUMC 3   0   Number of warrants per nominal value  
91 BAUFP BAUFP BWHR CURR 13   2   Premium when converting a convertible bond  
92 RWAUF RWAUF WAERS CUKY 5   0   Currency markup  
93 DWAFB DWAFB DATUM DATS 8   0   Conversion period until  
94 DWAFV DWAFV DATUM DATS 8   0   Conversion period from  
95 BWAVN BWAVN DEC5_4 DEC 9   4   Conversion ratio - Denominator  
96 BWAVZ BWAVZ DEC5_4 DEC 9   4   Conversion ratio - Numerator  
97 JAUSL JAUSL JANEI CHAR 1   0   Drawing Indicator  
98 DAUSL DAUSL DATUM DATS 8   0   Drawing date  
99 BEIVO VVBEIVO BWHR CURR 13   2   Total issue amount  
100 ANABT VVANABT NUMC03 NUMC 3   0   Max. no. of assignments  
101 BMINABT VVMINABT BWHR CURR 13   2   Minimum assignment amount  
102 JVERKBE VVJVERK JANEI CHAR 1   0   Sales restriction  
103 BDEBET VVBDEBE BWHR CURR 13   2   Coverage amount  
104 JWEIM VVJWEIM JANEI CHAR 1   0   Resale to reserve carrier permitted  
105 JRUECK VVJRUECK JANEI CHAR 1   0   Subject to return  
106 JANZWE VVJANZWE JANEI CHAR 1   0   Resale report  
107 JNACHR VVJNACHR JANE CHAR 1   0   Secondary loans ID  
108 SET_NAME RDPT_SET_NAME RDPT_SET_NAME CHAR 15   0   Redemption Schedule Set  
109 ROUNDING_RULE TPM_ROUNDING_RULE TPM_ROUNDING_RULE CHAR 4   0   Rounding Rule  
110 POOL_ID VVPOOLID   CHAR 13   0   Pool ID  
111 EXP_MAT_DATE VVEXPMATDATE DATE DATS 8   0   Expected End of Term  
112 TRANCHE_CLASSIF VVTRANCHECL VVTRANCHECL NUMC 3   0   Tranche Classification  
113 CALC_BEGIN DBERVON DATUM DATS 8   0   Start of Calculation Period  
114 TERM VWPTERM   STRU 0   0    
115 MANDT MANDT MANDT CLNT 3   0   Client  
116 RANL RANL RANL CHAR 13   0   Contract Number  
117 SANLF SANLF VVSANLF NUMC 3   0   Product Category  
118 DLAVO DLAVO DATUM DATS 8   0   Term from  
119 DLABI DLABI DATUM DATS 8   0   Term to  
120 SOPTTYP SOPTTYP SOPTTYP NUMC 1   0   Indicator: Option Category  
121 DVERFALL DVERFALL DATUM DATS 8   0   Expiration date for forward exchange transactions  
122 DEBEG DEBEG DATUM DATS 8   0   Issue start date  
123 SVERROPT SVERROPT SVERROPT NUMC 1   0   Option Settlement Indicator  
124 BOVNE BOVNE DEC5_4 DEC 9   4   Option ratio - Denominator  
125 BOVZA BOVZA DEC5_4 DEC 9   4   Option ratio - numerator  
126 SINDEART IDX CHAR10 CHAR 10   0   Securities Index  
127 BBASPREI BBASPREI BWHR CURR 13   2   Exercise price  
128 RWHRBAS RWHRBAS WAERS CUKY 5   0   Exercise price currency  
129 SOPTAUS SOPTAUS SOPTAUS NUMC 1   0   Exercise Type (American or European)  
130 AMINDEST AMINDEST ASTUECK DEC 15   5   Exercise minimum  
131 PBASKURS PBASKURS DEC3_7 DEC 10   7   Basic rate  
132 BINDEX BINDEX BWHR CURR 13   2   Index point per monetary unit  
133 RINDWHR RINDWHR WAERS CUKY 5   0   Index currency  
134 BBEZEIN VVBBEZEIN BWHR CURR 13   2   Reference units  
135 RBEZWHR VVRBEZEIN WAERS CUKY 5   0   Reference unit currency  
136 BBASIS VVBASIS DEC5_3 DEC 8   3   Index base  
137 OPTANLF OPTANLF OPTANLF NUMC 1   0   Warrant product category  
138 DERI VTIDERI   STRU 0   0    
139 MANDT MANDT MANDT CLNT 3   0   Client  
140 RANL VVRANLW WP_RANL CHAR 13   0   Security ID Number  
141 SGSART VVSART VVSART CHAR 3   0   Product Type  
142 DJAHR TI_DJAHR GJAHR NUMC 4   0   Expiration year  
143 DMONAT TI_DMOANT T_DMOANT NUMC 2   0   Expiration month  
144 SOFTYP TI_SOFTYP T_SOFTYP NUMC 2   0   Options/futures category  
145 SOPTTYP TV_OPTTYP T_OPTTYP NUMC 3   0   Original option category (on closing)  
146 SABRMET TI_SABRMET T_SABRMET CHAR 1   0   Settlement Method Option  
147 SMARGART TB_MARGART T_MARGART CHAR 5   0   Margin type  
148 SNOTTYPE TI_NOTTYPE T_NOTTYPE CHAR 1   0   Quotation type option/future  
149 PPTICK TI_PPTICK DECV3_7 DEC 10   7   Tick in percentage points  
150 BETICK TI_BETICK WERTV7 CURR 13   2   Tick as amount  
151 PITICK TI_PITICK T_PKTKUR DEC 11   6   Tick in index points  
152 BWTICK TI_BWTICK WERTV7 CURR 13   2   Tick value  
153 WWTICK TI_WWTICK WAERS CUKY 5   0   Tick Value Currency  
154 SPUTCALL TI_SPUTCAL T_SPUTCAL NUMC 1   0   Put/call indicator  
155 SSETTLFL TI_SETTLFL T_SETTLFL CHAR 1   0   Settlement indicator  
156 SOPTAUS SOPTAUS SOPTAUS NUMC 1   0   Exercise Type (American or European)  
157 DVERFALL TI_DVERF DATUM DATS 8   0   Expiration date  
158 DLHANDEL TI_DLHAND DATUM DATS 8   0   Last trade date  
159 DERFUELL TI_DERFUE DATUM DATS 8   0   Settlement date  
160 SKALID SKALID WFCID CHAR 2   0   Factory calendar  
161 BNOMS BNOMS BWHR CURR 13   2   Nominal value  
162 RNWHR RNWHR WAERS CUKY 5   0   Nominal currency  
163 PKOND PKOND DECV3_7 DEC 10   7   Percentage rate for condition items  
164 SZSREF SZSREF ZIREFKU CHAR 10   0   Reference Interest Rate  
165 SZBMETH SZBMETH SZBMETH CHAR 1   0   Interest Calculation Method  
166 DENDF DENDF DATUM DATS 8   0   Final due date  
167 ASTUECK ASTUECK ASTUECK DEC 15   5   Number of units for unit-quoted securities  
168 URANL VVRANLW WP_RANL CHAR 13   0   Security ID Number  
169 UINDEX IDX CHAR10 CHAR 10   0   Securities Index  
170 BPINDEX TI_BPINDEX WERTV7 CURR 13   2   Value of an index point  
171 WPINDEX TI_WPINDEX WAERS CUKY 5   0   Index point currency  
172 BSTRIKE TI_BSTRIKE WERTV7 CURR 13   2   Strike as amount  
173 WSTRIKE TI_WSTRIKE WAERS CUKY 5   0   Strike Currency  
174 PKSTRIKE TI_PKSTRIK DEC5_4 DEC 9   4   Strike in points  
175 IPSTRIKE TI_IPSTRIK DECV3_7 DEC 10   7   Strike as inverted percentage notation  
176 .INCLU--AP       0   0   Append Structure for VTIDERI  
177 DEBEG DEBEG DATUM DATS 8   0   Issue start date  
178 SKOKO VZSKOKO   STRU 0   0    
179 MANDT MANDT MANDT CLNT 3   0   Client  
180 RANL RANL RANL CHAR 13   0   Contract Number  
181 DGUEL_KK DGUEL DATUM DATS 8   0   Date Condition Effective from  
182 SANLF SANLF VVSANLF NUMC 3   0   Product Category  
183 SSTATI SSTATI STATI NUMC 2   0   Status of data record  
184 KZAHLAKT KZAHLAKT DEC3_7 DEC 10   7   Pay-in rate  
185 BZAHLAKT BZAHLAKT WHRBTRG CURR 10   2   Amount Deposited  
186 DREST DREST DATUM DATS 8   0   Balance payment date  
187 SZAHLDIV SZAHLDIV SZAHLDIV NUMC 1   0   Dividend form of payment  
188 DDBAB DDBAB DATUM DATS 8   0   Date from which entitled to dividends  
189 RDIVNR RDIVNR NUM03 NUMC 3   0   Dividend coupon number  
190 BAUSGLCH BABTA WHRBTRG CURR 10   2   Clearing amount for swap  
191 SWHRAUSG SWHRAUSG WAERS CUKY 5   0   Clearing amount currency  
192 DXGUELT DTGBI DATUM DATS 8   0   Trading until  
193 DTSCHAB DTFVO DATUM DATS 8   0   Swap period from  
194 DXTAUSCH DTFBI DATUM DATS 8   0   Swap period to  
195 ATCHNEN BTVNE DEC5_4 DEC 9   4   Swap ratio - denominator  
196 ATSHZAE BTVZA DEC5_4 DEC 9   4   Swap ratio - numerator  
197 PWANLRAB PWARB DEC3_7 DEC 10   7   Reinvestment discount percent  
198 JTHESAU STHES JANEI CHAR 1   0   Reinvestment indicator  
199 DBFRB DBFRB DATUM DATS 8   0   Date subscription period until  
200 DBFRV DBFRV DATUM DATS 8   0   Subscription period from  
201 BBPRU BBPRU VVBNENNW CURR 10   2   Underlying subscription price  
202 RWBZP RWBZP WAERS CUKY 5   0   Subscription price currency  
203 RWBZP_T CHAR30 CHAR30 CHAR 30   0   30 Characters  
204 DBHAB DBHAB DATUM DATS 8   0   Date of subscription rights trading until  
205 DBHAV DBHAV DATUM DATS 8   0   Date of subscription rights trading from  
206 BBVHN BBVHN DEC5_4 DEC 9   4   Subscription ratio - Denominator  
207 BBVHZ BBVHZ DEC5_4 DEC 9   4   Subscription ratio - Numerator  
208 BVNJA BVNJA WHRBTRG CURR 10   2   Advantage/disadvantage dividend of new stock  
209 KREAK KREAK VVKWKURS DEC 15   6   Post Subscription Rights  
210 ZKOKO VZZKOKO   STRU 0   0    
211 MANDT MANDT MANDT CLNT 3   0   Client  
212 BUKRS BUKRS BUKRS CHAR 4   0   Company Code  
213 SANLF SANLF VVSANLF NUMC 3   0   Product Category  
214 RKEY1 RKEY1 RKEY1 CHAR 13   0   Key part 1  
215 DGUEL_KK DGUEL DATUM DATS 8   0   Date Condition Effective from  
216 NLFD_ANG NLFD_ANG LFNR3 NUMC 3   0   Offer consecutive number  
217 SSTATI SSTATI STATI NUMC 2   0   Status of data record  
218 SKOKOART SKOKOART SKOKOART NUMC 2   0   Type of Condition Header  
219 STILGRHY STILGRHY SRHYT NUMC 2   0   Payment cycle  
220 STILGART STILGART STILGART NUMC 1   0   Repayment Type Indicator  
221 SDISEIN SDISEIN SDISEIN CHAR 1   0   Type of Discount Withholding  
222 KZAHLUNG KZAHLUNG DEC3_7 DEC 10   7   Pay-in/disbursement rate  
223 BZAHLUNG BZAHLUNG BWHR CURR 13   2   Pay-in/disbursement amount  
224 SWHRZHLG SWHRZHLG WAERS CUKY 5   0   Currency of payment amount  
225 BZUSAGE BZUSAGE WERTV7 CURR 13   2   Commitment capital  
226 SWHRZUSA SWHRZUSA WAERS CUKY 5   0   Currency of commitment amount  
227 PEFFZINS TB_EFF_RATE DECV3_7 DEC 10   7   Effective Interest Rate  
228 SEFFMETH SEFFMETH SEFFMETH NUMC 1   0   Effective Interest Method (Financial Mathematics)  
229 SZBMETH SZBMETH SZBMETH CHAR 1   0   Interest Calculation Method  
230 SDISKO SDISKO SDISKO CHAR 1   0   Discounted  
231 DKUEND DKUEND DATUM DATS 8   0   Date of notice  
232 SKUEND SKUEND SKUEART NUMC 3   0   Reason for Notice  
233 DKUENDDG DKUENDDG DATUM DATS 8   0   Earliest Possible Date for Notice Given by the Lender  
234 DBLFZ DBLFZ DATUM DATS 8   0   Start of Term  
235 DBLFZ_ORIGIN DBLFZ_ORIGIN DATUM DATS 8   0   Original Term Start  
236 DELFZ DELFZ DATUM DATS 8   0   End of Term  
237 DRESAM DRESAM DATUM DATS 8   0   Reservation of Conditions On  
238 DRESBIS DRESBIS DATUM DATS 8   0   Reservation of Conditions Until  
239 DANGAM DANGAM DATUM DATS 8   0   Offer creation date  
240 DANGBIS DANGBIS DATUM DATS 8   0   Offer Effective To  
241 SANGVOR SANGVOR SANGVOR NUMC 2   0   Offer/Acceptance Reservation Indicator  
242 JANNAHME JANNAHME JANEI CHAR 1   0   Offer Acceptance Indicator  
243 SANNAHME SANNAHME SKONTAKT NUMC 2   0   Type of offer acceptance indicator  
244 DANNAHME DANNAHME DATUM DATS 8   0   Date of acceptance of offer  
245 JVERTRAG JVERTRAG JANEI CHAR 1   0   Indicator: Contract Created?  
246 DVERTRAM DVERTRAM DATUM DATS 8   0   Contract creation date  
247 DVERTBIS DVERTBIS DATUM DATS 8   0   Return contract by  
248 PMANEFFZ TB_EFF_RATE_INT DECV3_7 DEC 10   7   Effective Interest Rate  
249 SEFFM2 SEFFMETH SEFFMETH NUMC 1   0   Effective Interest Method (Financial Mathematics)  
250 SKUEGL VVSKUEGL VVSKUEGL NUMC 3   0   Notice Arrangement Lender  
251 RPNR VVRPNR NUMC08 NUMC 8   0   Activity number/rollover number  
252 DEFSZ VVDEFSZ DATUM DATS 8   0   Date of fixed period end  
253 DGES VVDGES DATUM DATS 8   0   Earliest Notice Date in acc. with the Legal Right of Notice  
254 SGESAUS VVSGESAUS XFELD CHAR 1   0   Legal Right of Notice Excluded  
255 SZKZ VVSZKZ VVSZKZ CHAR 1   0   Special int. ID for int. on arrears for remaining balance  
256 NANGEBOT NLFD_ANG LFNR3 NUMC 3   0   Offer consecutive number  
257 SINCL VVSINCL VVSINCL NUMC 1   0   Inclusive indicator for beginning and end of a period  
258 ZVRHYEFF VVZVRHYEFF NUMC03 NUMC 3   0   Int.sttlmnt frequency for effective int.rate calc.in months  
259 PVGLEFFZ TB_EFF_RATE_COM DECV3_7 DEC 10   7   Comparative Effective Interest  
260 SULTEFSZ VVSULTEFSZ VVSULT CHAR 1   0   Month-end indicator for end of fixed period  
261 DABEFFZ VVDABEFFZ DATUM DATS 8   0   Date when calculation of effective rate starts  
262 DKUENDDN VVDKUENDDN DATUM DATS 8   0   Earliest Possible Date for Notice Given by the Borrower  
263 SKUEDN VVSKUEDN VVSKUEDN NUMC 3   0   Notice Arrangement Borrower  
264 SKUEART VVSKUEART VVSKUEART NUMC 3   0   Notice Type for the Loan  
265 DMARKTZINS DMARKTZINS DATS DATS 8   0   ISB: Market Rate Date: Market Interest Rate for NPV Calc.  
266 SKALIDWT TFMSKALIDWT WFCID CHAR 2   0   Interest Calendar  
267 EDEFFZINS TB_EFF_RATE_ED DECV3_7 DEC 10   7   Relevant for Closely Defined Effective Interest  
268 EDEFFMETH EFFMETH EFFMETH CHAR 1   0   Effective Interest Method - Acc. to EU Gdline Int.Statistics  
269 JAHREFFZINS TB_EFF_RATE_YEAR DECV3_7 DEC 10   7   Relevant for Yearly Eff. Interest Acc Guideline 87/102/EU  
270 JAHREFFMETH EFFMETH EFFMETH CHAR 1   0   Effective Interest Method - Acc. to EU Gdline Int.Statistics  
271 PEFFZINS_ORIGIN TB_EFF_RATE_ORIG DECV3_7 DEC 10   7   Original Effective Interest Rate  
272 .INCLU--AP       0   0   Extensions of Loan Component  
273 ORIGINAL_TERM TB_VIEW_ORIGINAL_TERM   NUMC 3   0   Original Term in Months  
274 OVERALL_RUNTIME TB_VIEW_OVERALL_RUNTIME   NUMC 3   0   Overall Term  
275 ORIG_CREDIT_SUM TB_VIEW_ORIGINAL_CREDIT_SUM WERTV7 CURR 13   2   Original Total Loan Amount  
276 DATE_REPAYMENT TB_VIEW_DATE_REPAYMENT DATUM DATS 8   0   Start Date for Repayment  
277 DATE_FIRST_RATE TB_VIEW_DATE_FIRST_RATE DATUM DATS 8   0   Due Date for First Installment to Include a Repayment Amount  
278 DAY_OF_PAYMENT TB_VIEW_DAY_OF_PAYMENT T_VIEW_DAY_OF_PAYMENT NUMC 2   0   Day of Installment Payment  
279 CLEARING_RATE TB_VIEW_CLEARING_RATE WERTV7 CURR 13   2   Amount for Final Loan Installment Payment  
280 EFF_INT_L_PYMNP TB_MODEL_EFFECTIV_INTERSTS_PPC DEC3_7 DEC 10   7   Effective Interest Rate for Last Change to Installment Plan  
281 DEFF_INT_L_PYMNP TB_MODEL_DATE_LAST_PAYMENTPLAN DATUM DATS 8   0   Key Date for Last Change to Installment Plan  
282 REPAY_DELAY TB_MODEL_REPAY_DELAY   NUMC 2   0   Model Calculation: DE for Periods of Repayment Suspension  
283 CALCULATED_PARAM TB_MODEL_P_RATE_OR_TERM T_MODEL_P_RATE_OR_TERM CHAR 4   0   Calculate Installment Amount or Number of Installments?  
284 CURR_CREDIT_SUM TB_VIEW_CURRENT_CREDIT_SUM WERTV7 CURR 13   2   Current Total Loan Amount  
285 BROUNDUNIT TB_BROUNDUNIT_A TFMSRUNIT DEC 13   7   Rounding Unit for Amounts  
286 SROUND TB_SROUND_A TFM_SROUND CHAR 1   0   Rounding Category (Round up, Round Down or Number Rounding)  
287 BOVERLIMIT TB_COMP_OVERLIMIT_AMOUNT WERTV7 CURR 13   2   Drawing Tolerance as Amount  
288 POVERLIMIT TB_COMP_OVERLIMT_PERCENT DECV3_7 DEC 10   7   Drawing Tolerance as a Percentage  
289 CONTAB TB_FICO_CONTAB T_FICO_CONTAB CHAR 8   0   Condition Table  
290 CONTAB_VERSION TB_FICO_CONTAB_VERSION T_FICO_CONTAB_VERSION NUMC 4   0   Version Number for a Condition Table  
291 TERM_PAYMENT TB_TERM_PAYMENT T_TERM_PAYMENT CHAR 1   0   Category of Last Installment  
292 PAPR_ORIGIN TB_PAPR_ORIGIN DECV3_7 DEC 10   7   Original U.S. Effective Interest Rate  
293 BONO SECURITY_DB_VWPBONO   TTYP 0   0    
294 TWX2 SECURITY_DB_TWX2   TTYP 0   0    
295 ANAN SECURITY_DB_VWPANAN   TTYP 0   0    
296 BEFRI SECURITY_DB_VZSKOKO   TTYP 0   0    
297 KOPO SECURITY_DB_VZZKOPO   TTYP 0   0    
298 KOPA SECURITY_DB_VZZKOPA   TTYP 0   0    
299 VZGPO SECURITY_DB_VZGPO   TTYP 0   0    
300 SHARE_CAPITAL SECURITY_DB_SHARECAPITAL   TTYP 0   0    
301 RATING SECURITY_DB_RATING   TTYP 0   0    
302 POOLDATA VWPPOOLDATA   STRU 0   0    
303 MANDT MANDT MANDT CLNT 3   0   Client  
304 POOL_ID VVPOOLID   CHAR 13   0   Pool ID  
305 CLASSIFICATION VVPOOLCL VVPOOLCL NUMC 3   0   Asset Pool Classification  
306 TOTAL_VOLUME TPM_NOMINAL_AMT TPM_AMOUNT CURR 21   2   Nominal Amount  
307 TOTAL_VOLUME_CUR TPM_NOMINAL_CURR WAERS CUKY 5   0   Nominal Currency  
308 REINV_PERIOD TPM_REINV_PERIOD DATS DATS 8   0   Reinvestment Period  
309 POOLRATING VWPPOOLRATINGY   TTYP 0   0    
310 POOLREMARKS VWPPOOLREMARKY   TTYP 0   0    
311 TIERLEVEL VVTIERLEVELY   TTYP 0   0    
312 RIGHTS RIGHTS_COMPLEX   TTYP 0   0    
History
Last changed by/on SAP  20131127 
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