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
⤷ 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 |
SAP Release Created in |