Table/Structure Field list used by SAP ABAP Function Module SECURITY_READ (FB Lesen der Wertpapiergattungsdaten)
SAP ABAP Function Module SECURITY_READ (FB Lesen der Wertpapiergattungsdaten) is using
pages: 1 2 
# Object Type Object Name Object Description Note
     
1 Table/Structure Field  SECURITYV - ACCUMULATION Reinvestment indicator
2 Table/Structure Field  SECURITYV - BALANCE_DATE Balance payment date
3 Table/Structure Field  SECURITYV - BASIC_RATE Basic rate
4 Table/Structure Field  SECURITYV - BONDCLASS Classification of bond
5 Table/Structure Field  SECURITYV - BONDHOLDER_CALL Bondholder call date
6 Table/Structure Field  SECURITYV - CALC_BEGIN Start of Calculation Period
7 Table/Structure Field  SECURITYV - CALENDAR_WT Interest Calendar
8 Table/Structure Field  SECURITYV - CLASSIFICATION General Security Classification
9 Table/Structure Field  SECURITYV - CLEARING_AMOUNT Clearing amount for swap
10 Table/Structure Field  SECURITYV - CLEARING_CURRENCY Clearing amount currency
11 Table/Structure Field  SECURITYV - CONDITION_VALID_FROM Date Condition Effective from
12 Table/Structure Field  SECURITYV - CONV_PERIOD_FROM Conversion period from
13 Table/Structure Field  SECURITYV - CONV_PERIOD_TO Conversion period until
14 Table/Structure Field  SECURITYV - CONV_PREMIUM Premium when converting a convertible bond
15 Table/Structure Field  SECURITYV - CONV_RATIO_DENOMINATOR Conversion ratio - Denominator
16 Table/Structure Field  SECURITYV - CONV_RATIO_NUMERATOR Conversion ratio - Numerator
17 Table/Structure Field  SECURITYV - CUM_EX_INDICATOR Cum/ex indicator
18 Table/Structure Field  SECURITYV - CURRENCY_MARKUP Currency markup
19 Table/Structure Field  SECURITYV - CUTTING_DAYS Number of cutting days
20 Table/Structure Field  SECURITYV - DENOMINATOR Option ratio - Denominator
21 Table/Structure Field  SECURITYV - DISCOUNTED Discounted
22 Table/Structure Field  SECURITYV - DIVIDEND_RIGHTS Dividend rights per unit in percentage terms
23 Table/Structure Field  SECURITYV - DRAWING Drawing Indicator
24 Table/Structure Field  SECURITYV - DRAWING_DATE Drawing date
25 Table/Structure Field  SECURITYV - ELIGIBLE Eligibility indicator
26 Table/Structure Field  SECURITYV - ELIGIBLE_AS_COLL Indicator eligible as collateral
27 Table/Structure Field  SECURITYV - ELIGIBLE_TO_SERVE Eligible for premium reserve fund
28 Table/Structure Field  SECURITYV - EMPLOYEE_ID Employee ID
29 Table/Structure Field  SECURITYV - ENTERED_BY Entered by
30 Table/Structure Field  SECURITYV - ENTITLED_FROM Date from which entitled to dividends
31 Table/Structure Field  SECURITYV - EXCHANGE_DENOMINATOR Swap ratio - denominator
32 Table/Structure Field  SECURITYV - EXCHANGE_FROM Swap period from
33 Table/Structure Field  SECURITYV - EXCHANGE_NUMERATOR Swap ratio - numerator
34 Table/Structure Field  SECURITYV - EXCHANGE_TO Swap period to
35 Table/Structure Field  SECURITYV - EXERCISE_CURRENCY Exercise price currency
36 Table/Structure Field  SECURITYV - EXERCISE_MIN Exercise minimum
37 Table/Structure Field  SECURITYV - EXERCISE_PRICE Exercise price
38 Table/Structure Field  SECURITYV - EXERCISE_TYPE Exercise Type (American or European)
39 Table/Structure Field  SECURITYV - EXERCISE_TYPE_OPT Exercise Type (American or European)
40 Table/Structure Field  SECURITYV - EXPIRY_DATE Expiration date
41 Table/Structure Field  SECURITYV - EXP_MAT_DATE Expected End of Term
42 Table/Structure Field  SECURITYV - FACTORY_CALENDAR Factory calendar
43 Table/Structure Field  SECURITYV - FELLOW_PARTNER Joint partner vote indicator
44 Table/Structure Field  SECURITYV - FINAL_DUE_DATE End of Term
45 Table/Structure Field  SECURITYV - FINAL_DUE_DATE_F Final due date
46 Table/Structure Field  SECURITYV - FOREIGN_INVESTMENT_LAW Foreign Investment Law indicator
47 Table/Structure Field  SECURITYV - FUNDED Indicator: Funded
48 Table/Structure Field  SECURITYV - FUND_CATEGORY Fund category indicator
49 Table/Structure Field  SECURITYV - FUND_TYPE Fund type indicator
50 Table/Structure Field  SECURITYV - FUND_VOLUME Fund volume
51 Table/Structure Field  SECURITYV - INCLUSIVE_INDICATOR Inclusive indicator
52 Table/Structure Field  SECURITYV - INDEX_BASE Index base
53 Table/Structure Field  SECURITYV - INDEX_CURRENCY Index currency
54 Table/Structure Field  SECURITYV - INDEX_MARK Index point per monetary unit
55 Table/Structure Field  SECURITYV - INDEX_POINT_VALUE Value of an index point
56 Table/Structure Field  SECURITYV - INDEX_P_CURRENCY Index point currency
57 Table/Structure Field  SECURITYV - INITIAL_DATE First Entered on
58 Table/Structure Field  SECURITYV - INITIAL_SOURCE Source of initial entry
59 Table/Structure Field  SECURITYV - INITIAL_TIME Time of Initial Entry
60 Table/Structure Field  SECURITYV - INPAYMENT_RATE Pay-in rate
61 Table/Structure Field  SECURITYV - INTEREST_CALC_F Interest Calculation Method
62 Table/Structure Field  SECURITYV - INTEREST_CALC_METHOD Interest Calculation Method
63 Table/Structure Field  SECURITYV - ISSUER Issuer Identity Key
64 Table/Structure Field  SECURITYV - ISSUER_CALL Issuer call date
65 Table/Structure Field  SECURITYV - ISSUE_CURRENCY Issue currency
66 Table/Structure Field  SECURITYV - ISSUE_PREMIUM Issue premium in percentage
67 Table/Structure Field  SECURITYV - ISSUE_PRICE Issue price independent of currency
68 Table/Structure Field  SECURITYV - ISSUE_RATE Issue rate in percent
69 Table/Structure Field  SECURITYV - ISSUE_START Issue start date
70 Table/Structure Field  SECURITYV - ISSUE_YIELD Effective Interest Rate
71 Table/Structure Field  SECURITYV - LAST_EDIT_DATE Last Edited on
72 Table/Structure Field  SECURITYV - LAST_EDIT_SOURCE Editing Source
73 Table/Structure Field  SECURITYV - LAST_EDIT_TIME Last Edited at
74 Table/Structure Field  SECURITYV - LAST_TRADING_DAY Last trade date
75 Table/Structure Field  SECURITYV - LISTED Indicator: Listed on an Exchange
76 Table/Structure Field  SECURITYV - LONG_TEXT Long name
77 Table/Structure Field  SECURITYV - MARGIN_TYPE Margin type
78 Table/Structure Field  SECURITYV - NOMINAL_CURRENCY Nominal currency
79 Table/Structure Field  SECURITYV - NOMINAL_VALUE_B Nominal value
80 Table/Structure Field  SECURITYV - NOMINAL_VALUE_F Nominal value
81 Table/Structure Field  SECURITYV - NOMINAL_VALUE_S Nominal Value per Stock (Independent of Currency)
82 Table/Structure Field  SECURITYV - NUMBER_OF_UNITS Number of units for unit-quoted securities
83 Table/Structure Field  SECURITYV - NUMBER_OF_WARRANTS Number of warrants per nominal value
84 Table/Structure Field  SECURITYV - NUMERATOR Option ratio - numerator
85 Table/Structure Field  SECURITYV - OBJECT_KEY Internal key for object
86 Table/Structure Field  SECURITYV - OBLIGATION_TO_OFFER Obligation to offer for sale until
87 Table/Structure Field  SECURITYV - OPTION_CATEGORY Indicator: Option Category
88 Table/Structure Field  SECURITYV - OPT_FUT_CATEGORY Options/futures category
89 Table/Structure Field  SECURITYV - OPT_FUT_QUOTATION Quotation type option/future
90 Table/Structure Field  SECURITYV - PAYMENT_AMOUNT Amount Deposited
91 Table/Structure Field  SECURITYV - PERCENTAGE_RATE Percentage rate for condition items
92 Table/Structure Field  SECURITYV - POOL_ID Pool ID
93 Table/Structure Field  SECURITYV - PRICE_INDEX Name of Price Index
94 Table/Structure Field  SECURITYV - PRODUCT_CATEGORY Product Category
95 Table/Structure Field  SECURITYV - PRODUCT_TYPE Product Type
96 Table/Structure Field  SECURITYV - PUBLIC_FUND Public fund indicator
97 Table/Structure Field  SECURITYV - PUT_CALL_INDICATOR Put/call indicator
98 Table/Structure Field  SECURITYV - QUOTATION Quotation Indicator
99 Table/Structure Field  SECURITYV - REFERENCE_CURRENCY Reference unit currency
100 Table/Structure Field  SECURITYV - REFERENCE_UNITS Reference units
101 Table/Structure Field  SECURITYV - REF_INTEREST_RATE Reference Interest Rate
102 Table/Structure Field  SECURITYV - REINVESTMENT_DISCOUNT Reinvestment discount percent
103 Table/Structure Field  SECURITYV - REPAYMENT_TYPE Repayment Type Indicator
104 Table/Structure Field  SECURITYV - RIGHT_TO_OFFER Right to offer until
105 Table/Structure Field  SECURITYV - ROUNDING_RULE Rounding Rule
106 Table/Structure Field  SECURITYV - SECONDARY_LOANS Secondary loans ID
107 Table/Structure Field  SECURITYV - SECURITY_CATEGORY General Security Classification
108 Table/Structure Field  SECURITYV - SECURITY_INDEX Securities Index
109 Table/Structure Field  SECURITYV - SECURITY_NUMBER Security ID Number
110 Table/Structure Field  SECURITYV - SECURITY_REFERENCE Security ID number
111 Table/Structure Field  SECURITYV - SECURITY_TYPE Security Type ID
112 Table/Structure Field  SECURITYV - SETTLEMENT Option Settlement Indicator
113 Table/Structure Field  SECURITYV - SETTLEMENT_DAY Settlement date
114 Table/Structure Field  SECURITYV - SETTLEMENT_METHOD Settlement Method Option
115 Table/Structure Field  SECURITYV - SETTLEMENT_OPT Settlement indicator
116 Table/Structure Field  SECURITYV - SET_NAME Redemption Schedule Set
117 Table/Structure Field  SECURITYV - SHAREHOLDING_STRUCT Details about structure of shareholding
118 Table/Structure Field  SECURITYV - SHAREHOLDING_TYPE Type of shareholding
119 Table/Structure Field  SECURITYV - SHARES_OUTSTANDING Number of stocks issued
120 Table/Structure Field  SECURITYV - SHORT_TEXT Short name
121 Table/Structure Field  SECURITYV - STATUS Status of a security
122 Table/Structure Field  SECURITYV - STOCK_CATEGORY Stock category
123 Table/Structure Field  SECURITYV - STOCK_FORM Stock form indicator
124 Table/Structure Field  SECURITYV - STRIKE_AMOUNT Strike as amount
125 Table/Structure Field  SECURITYV - STRIKE_CURRENCY Strike Currency
126 Table/Structure Field  SECURITYV - STRIKE_IN_PERCENT Strike as inverted percentage notation
127 Table/Structure Field  SECURITYV - STRIKE_IN_POINTS Strike in points
128 Table/Structure Field  SECURITYV - TERM_FROM Term from
129 Table/Structure Field  SECURITYV - TERM_UPTO Term to
130 Table/Structure Field  SECURITYV - TICK_AMOUNT Tick as amount
131 Table/Structure Field  SECURITYV - TICK_CURRENCY Tick Value Currency
132 Table/Structure Field  SECURITYV - TICK_IN_PERCENT Tick in percentage points
133 Table/Structure Field  SECURITYV - TICK_IN_POINTS Tick in index points
134 Table/Structure Field  SECURITYV - TICK_VALUE Tick value
135 Table/Structure Field  SECURITYV - TRADING_UNIT Nominal per trading unit
136 Table/Structure Field  SECURITYV - TRADING_UNTIL Trading until
137 Table/Structure Field  SECURITYV - TRANCHE_CLASSIF Tranche Classification
138 Table/Structure Field  SECURITYV - YIELD_FREQUENCY Int.sttlmnt frequency for effective int.rate calc.in months
139 Table/Structure Field  SECURITYV - YIELD_METHOD Effective Interest Method (Financial Mathematics)
140 Table/Structure Field  SECURITY_ABS - EXP_MAT_DATE Expected End of Term
141 Table/Structure Field  SECURITY_ABS - POOL_ID Pool ID
142 Table/Structure Field  SECURITY_ABS - TRANCHE_CLASSIF Tranche Classification
143 Table/Structure Field  SECURITY_BOND - OBLIGATION_TO_OFFER Obligation to offer for sale until
144 Table/Structure Field  SECURITY_BOND - RIGHT_TO_OFFER Right to offer until
145 Table/Structure Field  SECURITY_BONDWARRANT - BASIC_RATE Basic rate
146 Table/Structure Field  SECURITY_COMPLEX - ACCUMULATION Reinvestment indicator
147 Table/Structure Field  SECURITY_COMPLEX - BALANCE_DATE Balance payment date
148 Table/Structure Field  SECURITY_COMPLEX - BASIC_RATE Basic rate
149 Table/Structure Field  SECURITY_COMPLEX - BONDCLASS Classification of bond
150 Table/Structure Field  SECURITY_COMPLEX - BONDHOLDER_CALL Bondholder call date
151 Table/Structure Field  SECURITY_COMPLEX - CALC_BEGIN Start of Calculation Period
152 Table/Structure Field  SECURITY_COMPLEX - CALENDAR_WT Interest Calendar
153 Table/Structure Field  SECURITY_COMPLEX - CLASSIFICATION General Security Classification
154 Table/Structure Field  SECURITY_COMPLEX - CLEARING_AMOUNT Clearing amount for swap
155 Table/Structure Field  SECURITY_COMPLEX - CLEARING_CURRENCY Clearing amount currency
156 Table/Structure Field  SECURITY_COMPLEX - CONDITIONS SECURITY_COMPLEX-CONDITIONS
157 Table/Structure Field  SECURITY_COMPLEX - CONDITION_VALID_FROM Date Condition Effective from
158 Table/Structure Field  SECURITY_COMPLEX - CONV_PERIOD_FROM Conversion period from
159 Table/Structure Field  SECURITY_COMPLEX - CONV_PERIOD_TO Conversion period until
160 Table/Structure Field  SECURITY_COMPLEX - CONV_PREMIUM Premium when converting a convertible bond
161 Table/Structure Field  SECURITY_COMPLEX - CONV_RATIO_DENOMINATOR Conversion ratio - Denominator
162 Table/Structure Field  SECURITY_COMPLEX - CONV_RATIO_NUMERATOR Conversion ratio - Numerator
163 Table/Structure Field  SECURITY_COMPLEX - CUM_EX_INDICATOR Cum/ex indicator
164 Table/Structure Field  SECURITY_COMPLEX - CURRENCY_MARKUP Currency markup
165 Table/Structure Field  SECURITY_COMPLEX - CUTTING_DAYS Number of cutting days
166 Table/Structure Field  SECURITY_COMPLEX - DENOMINATOR Option ratio - Denominator
167 Table/Structure Field  SECURITY_COMPLEX - DISCOUNTED Discounted
168 Table/Structure Field  SECURITY_COMPLEX - DIVIDEND_RIGHTS Dividend rights per unit in percentage terms
169 Table/Structure Field  SECURITY_COMPLEX - DRAWING Drawing Indicator
170 Table/Structure Field  SECURITY_COMPLEX - DRAWING_DATE Drawing date
171 Table/Structure Field  SECURITY_COMPLEX - ELIGIBLE Eligibility indicator
172 Table/Structure Field  SECURITY_COMPLEX - ELIGIBLE_AS_COLL Indicator eligible as collateral
173 Table/Structure Field  SECURITY_COMPLEX - ELIGIBLE_TO_SERVE Eligible for premium reserve fund
174 Table/Structure Field  SECURITY_COMPLEX - EMPLOYEE_ID Employee ID
175 Table/Structure Field  SECURITY_COMPLEX - ENTERED_BY Entered by
176 Table/Structure Field  SECURITY_COMPLEX - ENTITLED_FROM Date from which entitled to dividends
177 Table/Structure Field  SECURITY_COMPLEX - EXCHANGE_DENOMINATOR Swap ratio - denominator
178 Table/Structure Field  SECURITY_COMPLEX - EXCHANGE_FROM Swap period from
179 Table/Structure Field  SECURITY_COMPLEX - EXCHANGE_NUMERATOR Swap ratio - numerator
180 Table/Structure Field  SECURITY_COMPLEX - EXCHANGE_TO Swap period to
181 Table/Structure Field  SECURITY_COMPLEX - EXERCISE_CURRENCY Exercise price currency
182 Table/Structure Field  SECURITY_COMPLEX - EXERCISE_MIN Exercise minimum
183 Table/Structure Field  SECURITY_COMPLEX - EXERCISE_PRICE Exercise price
184 Table/Structure Field  SECURITY_COMPLEX - EXERCISE_TYPE Exercise Type (American or European)
185 Table/Structure Field  SECURITY_COMPLEX - EXERCISE_TYPE_OPT Exercise Type (American or European)
186 Table/Structure Field  SECURITY_COMPLEX - EXPIRY_DATE Expiration date
187 Table/Structure Field  SECURITY_COMPLEX - EXP_MAT_DATE Expected End of Term
188 Table/Structure Field  SECURITY_COMPLEX - FACTORY_CALENDAR Factory calendar
189 Table/Structure Field  SECURITY_COMPLEX - FELLOW_PARTNER Joint partner vote indicator
190 Table/Structure Field  SECURITY_COMPLEX - FINAL_DUE_DATE End of Term
191 Table/Structure Field  SECURITY_COMPLEX - FINAL_DUE_DATE_F Final due date
192 Table/Structure Field  SECURITY_COMPLEX - FOREIGN_INVESTMENT_LAW Foreign Investment Law indicator
193 Table/Structure Field  SECURITY_COMPLEX - FUNDED Indicator: Funded
194 Table/Structure Field  SECURITY_COMPLEX - FUND_CATEGORY Fund category indicator
195 Table/Structure Field  SECURITY_COMPLEX - FUND_TYPE Fund type indicator
196 Table/Structure Field  SECURITY_COMPLEX - FUND_VOLUME Fund volume
197 Table/Structure Field  SECURITY_COMPLEX - INCLUSIVE_INDICATOR Inclusive indicator
198 Table/Structure Field  SECURITY_COMPLEX - INDEX_BASE Index base
199 Table/Structure Field  SECURITY_COMPLEX - INDEX_CURRENCY Index currency
200 Table/Structure Field  SECURITY_COMPLEX - INDEX_MARK Index point per monetary unit
201 Table/Structure Field  SECURITY_COMPLEX - INDEX_POINT_VALUE Value of an index point
202 Table/Structure Field  SECURITY_COMPLEX - INDEX_P_CURRENCY Index point currency
203 Table/Structure Field  SECURITY_COMPLEX - INDICES SECURITY_COMPLEX-INDICES
204 Table/Structure Field  SECURITY_COMPLEX - INITIAL_DATE First Entered on
205 Table/Structure Field  SECURITY_COMPLEX - INITIAL_SOURCE Source of initial entry
206 Table/Structure Field  SECURITY_COMPLEX - INITIAL_TIME Time of Initial Entry
207 Table/Structure Field  SECURITY_COMPLEX - INPAYMENT_RATE Pay-in rate
208 Table/Structure Field  SECURITY_COMPLEX - INTEREST_CALC_F Interest Calculation Method
209 Table/Structure Field  SECURITY_COMPLEX - INTEREST_CALC_METHOD Interest Calculation Method
210 Table/Structure Field  SECURITY_COMPLEX - INTERNAL SECURITY_COMPLEX-INTERNAL
211 Table/Structure Field  SECURITY_COMPLEX - ISSUER Issuer Identity Key
212 Table/Structure Field  SECURITY_COMPLEX - ISSUER_CALL Issuer call date
213 Table/Structure Field  SECURITY_COMPLEX - ISSUE_CURRENCY Issue currency
214 Table/Structure Field  SECURITY_COMPLEX - ISSUE_PREMIUM Issue premium in percentage
215 Table/Structure Field  SECURITY_COMPLEX - ISSUE_PRICE Issue price independent of currency
216 Table/Structure Field  SECURITY_COMPLEX - ISSUE_RATE Issue rate in percent
217 Table/Structure Field  SECURITY_COMPLEX - ISSUE_START Issue start date
218 Table/Structure Field  SECURITY_COMPLEX - ISSUE_YIELD Effective Interest Rate
219 Table/Structure Field  SECURITY_COMPLEX - LAST_EDIT_DATE Last Edited on
220 Table/Structure Field  SECURITY_COMPLEX - LAST_EDIT_SOURCE Editing Source
221 Table/Structure Field  SECURITY_COMPLEX - LAST_EDIT_TIME Last Edited at
222 Table/Structure Field  SECURITY_COMPLEX - LAST_TRADING_DAY Last trade date
223 Table/Structure Field  SECURITY_COMPLEX - LISTED Indicator: Listed on an Exchange
224 Table/Structure Field  SECURITY_COMPLEX - LISTINGS SECURITY_COMPLEX-LISTINGS
225 Table/Structure Field  SECURITY_COMPLEX - LONG_TEXT Long name
226 Table/Structure Field  SECURITY_COMPLEX - MARGIN_TYPE Margin type
227 Table/Structure Field  SECURITY_COMPLEX - NOMINAL_CURRENCY Nominal currency
228 Table/Structure Field  SECURITY_COMPLEX - NOMINAL_VALUE_B Nominal value
229 Table/Structure Field  SECURITY_COMPLEX - NOMINAL_VALUE_F Nominal value
230 Table/Structure Field  SECURITY_COMPLEX - NOMINAL_VALUE_S Nominal Value per Stock (Independent of Currency)
231 Table/Structure Field  SECURITY_COMPLEX - NUMBER_OF_UNITS Number of units for unit-quoted securities
232 Table/Structure Field  SECURITY_COMPLEX - NUMBER_OF_WARRANTS Number of warrants per nominal value
233 Table/Structure Field  SECURITY_COMPLEX - NUMERATOR Option ratio - numerator
234 Table/Structure Field  SECURITY_COMPLEX - OBJECT_KEY Internal key for object
235 Table/Structure Field  SECURITY_COMPLEX - OBLIGATION_TO_OFFER Obligation to offer for sale until
236 Table/Structure Field  SECURITY_COMPLEX - OPTION_CATEGORY Indicator: Option Category
237 Table/Structure Field  SECURITY_COMPLEX - OPT_FUT_CATEGORY Options/futures category
238 Table/Structure Field  SECURITY_COMPLEX - OPT_FUT_QUOTATION Quotation type option/future
239 Table/Structure Field  SECURITY_COMPLEX - PAYMENT_AMOUNT Amount Deposited
240 Table/Structure Field  SECURITY_COMPLEX - PERCENTAGE_RATE Percentage rate for condition items
241 Table/Structure Field  SECURITY_COMPLEX - POOL_ID Pool ID
242 Table/Structure Field  SECURITY_COMPLEX - PRICE_INDEX Name of Price Index
243 Table/Structure Field  SECURITY_COMPLEX - PRODUCT_CATEGORY Product Category
244 Table/Structure Field  SECURITY_COMPLEX - PRODUCT_TYPE Product Type
245 Table/Structure Field  SECURITY_COMPLEX - PUBLIC_FUND Public fund indicator
246 Table/Structure Field  SECURITY_COMPLEX - PUT_CALL_INDICATOR Put/call indicator
247 Table/Structure Field  SECURITY_COMPLEX - QUOTATION Quotation Indicator
248 Table/Structure Field  SECURITY_COMPLEX - REFERENCE_CURRENCY Reference unit currency
249 Table/Structure Field  SECURITY_COMPLEX - REFERENCE_UNITS Reference units
250 Table/Structure Field  SECURITY_COMPLEX - REFS SECURITY_COMPLEX-REFS
251 Table/Structure Field  SECURITY_COMPLEX - REF_INTEREST_RATE Reference Interest Rate
252 Table/Structure Field  SECURITY_COMPLEX - REINVESTMENT_DISCOUNT Reinvestment discount percent
253 Table/Structure Field  SECURITY_COMPLEX - REPAYMENT_TYPE Repayment Type Indicator
254 Table/Structure Field  SECURITY_COMPLEX - RIGHTS SECURITY_COMPLEX-RIGHTS
255 Table/Structure Field  SECURITY_COMPLEX - RIGHT_TO_OFFER Right to offer until
256 Table/Structure Field  SECURITY_COMPLEX - ROUNDING_RULE Rounding Rule
257 Table/Structure Field  SECURITY_COMPLEX - SECONDARY_LOANS Secondary loans ID
258 Table/Structure Field  SECURITY_COMPLEX - SECURITY_CATEGORY General Security Classification
259 Table/Structure Field  SECURITY_COMPLEX - SECURITY_INDEX Securities Index
260 Table/Structure Field  SECURITY_COMPLEX - SECURITY_NUMBER Security ID Number
261 Table/Structure Field  SECURITY_COMPLEX - SECURITY_REFERENCE Security ID number
262 Table/Structure Field  SECURITY_COMPLEX - SECURITY_TYPE Security Type ID
263 Table/Structure Field  SECURITY_COMPLEX - SETTLEMENT Option Settlement Indicator
264 Table/Structure Field  SECURITY_COMPLEX - SETTLEMENT_DAY Settlement date
265 Table/Structure Field  SECURITY_COMPLEX - SETTLEMENT_METHOD Settlement Method Option
266 Table/Structure Field  SECURITY_COMPLEX - SETTLEMENT_OPT Settlement indicator
267 Table/Structure Field  SECURITY_COMPLEX - SET_NAME Redemption Schedule Set
268 Table/Structure Field  SECURITY_COMPLEX - SHAREHOLDING_STRUCT Details about structure of shareholding
269 Table/Structure Field  SECURITY_COMPLEX - SHAREHOLDING_TYPE Type of shareholding
270 Table/Structure Field  SECURITY_COMPLEX - SHARES_OUTSTANDING Number of stocks issued
271 Table/Structure Field  SECURITY_COMPLEX - SHORT_TEXT Short name
272 Table/Structure Field  SECURITY_COMPLEX - STATUS Status of a security
273 Table/Structure Field  SECURITY_COMPLEX - STOCK_CATEGORY Stock category
274 Table/Structure Field  SECURITY_COMPLEX - STOCK_FORM Stock form indicator
275 Table/Structure Field  SECURITY_COMPLEX - STRIKE_AMOUNT Strike as amount
276 Table/Structure Field  SECURITY_COMPLEX - STRIKE_CURRENCY Strike Currency
277 Table/Structure Field  SECURITY_COMPLEX - STRIKE_IN_PERCENT Strike as inverted percentage notation
278 Table/Structure Field  SECURITY_COMPLEX - STRIKE_IN_POINTS Strike in points
279 Table/Structure Field  SECURITY_COMPLEX - TERM_FROM Term from
280 Table/Structure Field  SECURITY_COMPLEX - TERM_UPTO Term to
281 Table/Structure Field  SECURITY_COMPLEX - TICK_AMOUNT Tick as amount
282 Table/Structure Field  SECURITY_COMPLEX - TICK_CURRENCY Tick Value Currency
283 Table/Structure Field  SECURITY_COMPLEX - TICK_IN_PERCENT Tick in percentage points
284 Table/Structure Field  SECURITY_COMPLEX - TICK_IN_POINTS Tick in index points
285 Table/Structure Field  SECURITY_COMPLEX - TICK_VALUE Tick value
286 Table/Structure Field  SECURITY_COMPLEX - TRADING_UNIT Nominal per trading unit
287 Table/Structure Field  SECURITY_COMPLEX - TRADING_UNTIL Trading until
288 Table/Structure Field  SECURITY_COMPLEX - TRANCHE_CLASSIF Tranche Classification
289 Table/Structure Field  SECURITY_COMPLEX - YIELD_FREQUENCY Int.sttlmnt frequency for effective int.rate calc.in months
290 Table/Structure Field  SECURITY_COMPLEX - YIELD_METHOD Effective Interest Method (Financial Mathematics)
291 Table/Structure Field  SECURITY_CONVERTIBLEBOND - CONV_PERIOD_FROM Conversion period from
292 Table/Structure Field  SECURITY_CONVERTIBLEBOND - CONV_PERIOD_TO Conversion period until
293 Table/Structure Field  SECURITY_CONVERTIBLEBOND - CONV_PREMIUM Premium when converting a convertible bond
294 Table/Structure Field  SECURITY_CONVERTIBLEBOND - CONV_RATIO_DENOMINATOR Conversion ratio - Denominator
295 Table/Structure Field  SECURITY_CONVERTIBLEBOND - CONV_RATIO_NUMERATOR Conversion ratio - Numerator
296 Table/Structure Field  SECURITY_CONVERTIBLEBOND - CURRENCY_MARKUP Currency markup
297 Table/Structure Field  SECURITY_DB - AKTI SECURITY_DB-AKTI
298 Table/Structure Field  SECURITY_DB - ANAN SECURITY_DB-ANAN
299 Table/Structure Field  SECURITY_DB - ANLA SECURITY_DB-ANLA
300 Table/Structure Field  SECURITY_DB - ANLE SECURITY_DB-ANLE
301 Table/Structure Field  SECURITY_DB - BEFRI SECURITY_DB-BEFRI
302 Table/Structure Field  SECURITY_DB - BONO SECURITY_DB-BONO
303 Table/Structure Field  SECURITY_DB - DERI SECURITY_DB-DERI
304 Table/Structure Field  SECURITY_DB - KOPA SECURITY_DB-KOPA
305 Table/Structure Field  SECURITY_DB - KOPO SECURITY_DB-KOPO
306 Table/Structure Field  SECURITY_DB - POOLDATA SECURITY_DB-POOLDATA
307 Table/Structure Field  SECURITY_DB - POOLRATING SECURITY_DB-POOLRATING
308 Table/Structure Field  SECURITY_DB - POOLREMARKS SECURITY_DB-POOLREMARKS
309 Table/Structure Field  SECURITY_DB - RATING SECURITY_DB-RATING
310 Table/Structure Field  SECURITY_DB - SHARE_CAPITAL SECURITY_DB-SHARE_CAPITAL
311 Table/Structure Field  SECURITY_DB - SKOKO SECURITY_DB-SKOKO
312 Table/Structure Field  SECURITY_DB - TERM SECURITY_DB-TERM
313 Table/Structure Field  SECURITY_DB - TIERLEVEL SECURITY_DB-TIERLEVEL
314 Table/Structure Field  SECURITY_DB - TWX2 SECURITY_DB-TWX2
315 Table/Structure Field  SECURITY_DB - ZKOKO SECURITY_DB-ZKOKO
316 Table/Structure Field  SECURITY_FUTURE - FINAL_DUE_DATE_F Final due date
317 Table/Structure Field  SECURITY_FUTURE - INTEREST_CALC_F Interest Calculation Method
318 Table/Structure Field  SECURITY_FUTURE - NOMINAL_CURRENCY Nominal currency
319 Table/Structure Field  SECURITY_FUTURE - NOMINAL_VALUE_F Nominal value
320 Table/Structure Field  SECURITY_FUTURE - PERCENTAGE_RATE Percentage rate for condition items
321 Table/Structure Field  SECURITY_FUTURE - REF_INTEREST_RATE Reference Interest Rate
322 Table/Structure Field  SECURITY_HEADER - CLASSIFICATION General Security Classification
323 Table/Structure Field  SECURITY_HEADER - FUNDED Indicator: Funded
324 Table/Structure Field  SECURITY_HEADER - ISSUER Issuer Identity Key
325 Table/Structure Field  SECURITY_HEADER - ISSUE_CURRENCY Issue currency
326 Table/Structure Field  SECURITY_HEADER - ISSUE_PRICE Issue price independent of currency
327 Table/Structure Field  SECURITY_HEADER - ISSUE_RATE Issue rate in percent
328 Table/Structure Field  SECURITY_HEADER - LISTED Indicator: Listed on an Exchange
329 Table/Structure Field  SECURITY_HEADER - LONG_TEXT Long name
330 Table/Structure Field  SECURITY_HEADER - PRODUCT_CATEGORY Product Category
331 Table/Structure Field  SECURITY_HEADER - PRODUCT_TYPE Product Type
332 Table/Structure Field  SECURITY_HEADER - QUOTATION Quotation Indicator
333 Table/Structure Field  SECURITY_HEADER - SECURITY_NUMBER Security ID Number
334 Table/Structure Field  SECURITY_HEADER - SHORT_TEXT Short name
335 Table/Structure Field  SECURITY_HEADER_BOND - BONDCLASS Classification of bond
336 Table/Structure Field  SECURITY_HEADER_BOND - BONDHOLDER_CALL Bondholder call date
337 Table/Structure Field  SECURITY_HEADER_BOND - CALENDAR_WT Interest Calendar
338 Table/Structure Field  SECURITY_HEADER_BOND - CUTTING_DAYS Number of cutting days
339 Table/Structure Field  SECURITY_HEADER_BOND - DISCOUNTED Discounted
340 Table/Structure Field  SECURITY_HEADER_BOND - DRAWING Drawing Indicator
341 Table/Structure Field  SECURITY_HEADER_BOND - DRAWING_DATE Drawing date
342 Table/Structure Field  SECURITY_HEADER_BOND - FINAL_DUE_DATE End of Term
343 Table/Structure Field  SECURITY_HEADER_BOND - INCLUSIVE_INDICATOR Inclusive indicator
344 Table/Structure Field  SECURITY_HEADER_BOND - INTEREST_CALC_METHOD Interest Calculation Method
345 Table/Structure Field  SECURITY_HEADER_BOND - ISSUER_CALL Issuer call date
346 Table/Structure Field  SECURITY_HEADER_BOND - ISSUE_YIELD Effective Interest Rate
347 Table/Structure Field  SECURITY_HEADER_BOND - NOMINAL_VALUE_B Nominal value
348 Table/Structure Field  SECURITY_HEADER_BOND - REPAYMENT_TYPE Repayment Type Indicator
349 Table/Structure Field  SECURITY_HEADER_BOND - ROUNDING_RULE Rounding Rule
350 Table/Structure Field  SECURITY_HEADER_BOND - SECONDARY_LOANS Secondary loans ID
351 Table/Structure Field  SECURITY_HEADER_BOND - SECURITY_CATEGORY General Security Classification
352 Table/Structure Field  SECURITY_HEADER_BOND - TRADING_UNIT Nominal per trading unit
353 Table/Structure Field  SECURITY_HEADER_BOND - YIELD_FREQUENCY Int.sttlmnt frequency for effective int.rate calc.in months
354 Table/Structure Field  SECURITY_HEADER_BOND - YIELD_METHOD Effective Interest Method (Financial Mathematics)
355 Table/Structure Field  SECURITY_HEADER_MIX_S_B - CALC_BEGIN Start of Calculation Period
356 Table/Structure Field  SECURITY_HEADER_MIX_S_B - ELIGIBLE Eligibility indicator
357 Table/Structure Field  SECURITY_HEADER_MIX_S_B - ELIGIBLE_AS_COLL Indicator eligible as collateral
358 Table/Structure Field  SECURITY_HEADER_MIX_S_B - ELIGIBLE_TO_SERVE Eligible for premium reserve fund
359 Table/Structure Field  SECURITY_HEADER_MIX_S_B - ISSUE_START Issue start date
360 Table/Structure Field  SECURITY_HEADER_MIX_S_B - SECURITY_TYPE Security Type ID
361 Table/Structure Field  SECURITY_HEADER_OPTFUT - EXPIRY_DATE Expiration date
362 Table/Structure Field  SECURITY_HEADER_OPTFUT - FACTORY_CALENDAR Factory calendar
363 Table/Structure Field  SECURITY_HEADER_OPTFUT - LAST_TRADING_DAY Last trade date
364 Table/Structure Field  SECURITY_HEADER_OPTFUT - MARGIN_TYPE Margin type
365 Table/Structure Field  SECURITY_HEADER_OPTFUT - OPT_FUT_CATEGORY Options/futures category
366 Table/Structure Field  SECURITY_HEADER_OPTFUT - OPT_FUT_QUOTATION Quotation type option/future
367 Table/Structure Field  SECURITY_HEADER_OPTFUT - SETTLEMENT_DAY Settlement date
368 Table/Structure Field  SECURITY_HEADER_OPTFUT - TICK_AMOUNT Tick as amount
369 Table/Structure Field  SECURITY_HEADER_OPTFUT - TICK_CURRENCY Tick Value Currency
370 Table/Structure Field  SECURITY_HEADER_OPTFUT - TICK_IN_PERCENT Tick in percentage points
371 Table/Structure Field  SECURITY_HEADER_OPTFUT - TICK_IN_POINTS Tick in index points
372 Table/Structure Field  SECURITY_HEADER_OPTFUT - TICK_VALUE Tick value
373 Table/Structure Field  SECURITY_HEADER_STOCK - CONDITION_VALID_FROM Date Condition Effective from
374 Table/Structure Field  SECURITY_HEADER_STOCK - FELLOW_PARTNER Joint partner vote indicator
375 Table/Structure Field  SECURITY_HEADER_STOCK - NOMINAL_VALUE_S Nominal Value per Stock (Independent of Currency)
376 Table/Structure Field  SECURITY_HEADER_WARRANT - DENOMINATOR Option ratio - Denominator
377 Table/Structure Field  SECURITY_HEADER_WARRANT - EXERCISE_MIN Exercise minimum
378 Table/Structure Field  SECURITY_HEADER_WARRANT - EXERCISE_TYPE Exercise Type (American or European)
379 Table/Structure Field  SECURITY_HEADER_WARRANT - NUMERATOR Option ratio - numerator
380 Table/Structure Field  SECURITY_HEADER_WARRANT - OPTION_CATEGORY Indicator: Option Category
381 Table/Structure Field  SECURITY_HEADER_WARRANT - TERM_FROM Term from
382 Table/Structure Field  SECURITY_HEADER_WARRANT - TERM_UPTO Term to
383 Table/Structure Field  SECURITY_INDEXWARRANT - INDEX_BASE Index base
384 Table/Structure Field  SECURITY_INDEXWARRANT - INDEX_CURRENCY Index currency
385 Table/Structure Field  SECURITY_INDEXWARRANT - INDEX_MARK Index point per monetary unit
386 Table/Structure Field  SECURITY_INDEXWARRANT - SECURITY_INDEX Securities Index
387 Table/Structure Field  SECURITY_INTERNAL - OBJECT_KEY Internal key for object
388 Table/Structure Field  SECURITY_INTERNAL - STATUS Status of a security
389 Table/Structure Field  SECURITY_INVESTMENT - ACCUMULATION Reinvestment indicator
390 Table/Structure Field  SECURITY_INVESTMENT - FOREIGN_INVESTMENT_LAW Foreign Investment Law indicator
391 Table/Structure Field  SECURITY_INVESTMENT - FUND_CATEGORY Fund category indicator
392 Table/Structure Field  SECURITY_INVESTMENT - FUND_TYPE Fund type indicator
393 Table/Structure Field  SECURITY_INVESTMENT - FUND_VOLUME Fund volume
394 Table/Structure Field  SECURITY_INVESTMENT - ISSUE_PREMIUM Issue premium in percentage
395 Table/Structure Field  SECURITY_INVESTMENT - PUBLIC_FUND Public fund indicator
396 Table/Structure Field  SECURITY_INVESTMENT - REINVESTMENT_DISCOUNT Reinvestment discount percent
397 Table/Structure Field  SECURITY_MIX_B_C_WARRANT - REFERENCE_CURRENCY Reference unit currency
398 Table/Structure Field  SECURITY_MIX_B_C_WARRANT - REFERENCE_UNITS Reference units
399 Table/Structure Field  SECURITY_MIX_B_E_WARRANT - SETTLEMENT Option Settlement Indicator
400 Table/Structure Field  SECURITY_MIX_C_E_WARRANT - EXERCISE_CURRENCY Exercise price currency
401 Table/Structure Field  SECURITY_MIX_C_E_WARRANT - EXERCISE_PRICE Exercise price
402 Table/Structure Field  SECURITY_OPTION - EXERCISE_TYPE_OPT Exercise Type (American or European)
403 Table/Structure Field  SECURITY_OPTION - INDEX_POINT_VALUE Value of an index point
404 Table/Structure Field  SECURITY_OPTION - INDEX_P_CURRENCY Index point currency
405 Table/Structure Field  SECURITY_OPTION - NUMBER_OF_UNITS Number of units for unit-quoted securities
406 Table/Structure Field  SECURITY_OPTION - PUT_CALL_INDICATOR Put/call indicator
407 Table/Structure Field  SECURITY_OPTION - SECURITY_REFERENCE Security ID number
408 Table/Structure Field  SECURITY_OPTION - SETTLEMENT_METHOD Settlement Method Option
409 Table/Structure Field  SECURITY_OPTION - SETTLEMENT_OPT Settlement indicator
410 Table/Structure Field  SECURITY_OPTION - STRIKE_AMOUNT Strike as amount
411 Table/Structure Field  SECURITY_OPTION - STRIKE_CURRENCY Strike Currency
412 Table/Structure Field  SECURITY_OPTION - STRIKE_IN_PERCENT Strike as inverted percentage notation
413 Table/Structure Field  SECURITY_OPTION - STRIKE_IN_POINTS Strike in points
414 Table/Structure Field  SECURITY_STOCK - BALANCE_DATE Balance payment date
415 Table/Structure Field  SECURITY_STOCK - CLEARING_AMOUNT Clearing amount for swap
416 Table/Structure Field  SECURITY_STOCK - CLEARING_CURRENCY Clearing amount currency
417 Table/Structure Field  SECURITY_STOCK - DIVIDEND_RIGHTS Dividend rights per unit in percentage terms
418 Table/Structure Field  SECURITY_STOCK - ENTITLED_FROM Date from which entitled to dividends
419 Table/Structure Field  SECURITY_STOCK - EXCHANGE_DENOMINATOR Swap ratio - denominator
420 Table/Structure Field  SECURITY_STOCK - EXCHANGE_FROM Swap period from
421 Table/Structure Field  SECURITY_STOCK - EXCHANGE_NUMERATOR Swap ratio - numerator
422 Table/Structure Field  SECURITY_STOCK - EXCHANGE_TO Swap period to
423 Table/Structure Field  SECURITY_STOCK - INPAYMENT_RATE Pay-in rate
424 Table/Structure Field  SECURITY_STOCK - PAYMENT_AMOUNT Amount Deposited
425 Table/Structure Field  SECURITY_STOCK - SHAREHOLDING_STRUCT Details about structure of shareholding
426 Table/Structure Field  SECURITY_STOCK - SHAREHOLDING_TYPE Type of shareholding
427 Table/Structure Field  SECURITY_STOCK - SHARES_OUTSTANDING Number of stocks issued
428 Table/Structure Field  SECURITY_STOCK - STOCK_CATEGORY Stock category
429 Table/Structure Field  SECURITY_STOCK - STOCK_FORM Stock form indicator
430 Table/Structure Field  SECURITY_STOCK - TRADING_UNTIL Trading until
431 Table/Structure Field  SECURITY_USERDATA - EMPLOYEE_ID Employee ID
432 Table/Structure Field  SECURITY_USERDATA - ENTERED_BY Entered by
433 Table/Structure Field  SECURITY_USERDATA - INITIAL_DATE First Entered on
434 Table/Structure Field  SECURITY_USERDATA - INITIAL_SOURCE Source of initial entry
435 Table/Structure Field  SECURITY_USERDATA - INITIAL_TIME Time of Initial Entry
436 Table/Structure Field  SECURITY_USERDATA - LAST_EDIT_DATE Last Edited on
437 Table/Structure Field  SECURITY_USERDATA - LAST_EDIT_SOURCE Editing Source
438 Table/Structure Field  SECURITY_USERDATA - LAST_EDIT_TIME Last Edited at
439 Table/Structure Field  SECURITY_WARRANTBOND - CUM_EX_INDICATOR Cum/ex indicator
440 Table/Structure Field  SECURITY_WARRANTBOND - NUMBER_OF_WARRANTS Number of warrants per nominal value
441 Table/Structure Field  VTIDERI - ASTUECK Number of units for unit-quoted securities
442 Table/Structure Field  VTIDERI - BETICK Tick as amount
443 Table/Structure Field  VTIDERI - BNOMS Nominal value
444 Table/Structure Field  VTIDERI - BPINDEX Value of an index point
445 Table/Structure Field  VTIDERI - BSTRIKE Strike as amount
446 Table/Structure Field  VTIDERI - BWTICK Tick value
447 Table/Structure Field  VTIDERI - DEBEG Issue start date
448 Table/Structure Field  VTIDERI - DENDF Final due date
449 Table/Structure Field  VTIDERI - DERFUELL Settlement date
450 Table/Structure Field  VTIDERI - DLHANDEL Last trade date
451 Table/Structure Field  VTIDERI - DVERFALL Expiration date
452 Table/Structure Field  VTIDERI - IPSTRIKE Strike as inverted percentage notation
453 Table/Structure Field  VTIDERI - PITICK Tick in index points
454 Table/Structure Field  VTIDERI - PKOND Percentage rate for condition items
455 Table/Structure Field  VTIDERI - PKSTRIKE Strike in points
456 Table/Structure Field  VTIDERI - PPTICK Tick in percentage points
457 Table/Structure Field  VTIDERI - RNWHR Nominal currency
458 Table/Structure Field  VTIDERI - SABRMET Settlement Method Option
459 Table/Structure Field  VTIDERI - SKALID Factory calendar
460 Table/Structure Field  VTIDERI - SMARGART Margin type
461 Table/Structure Field  VTIDERI - SNOTTYPE Quotation type option/future
462 Table/Structure Field  VTIDERI - SOFTYP Options/futures category
463 Table/Structure Field  VTIDERI - SOPTAUS Exercise Type (American or European)
464 Table/Structure Field  VTIDERI - SPUTCALL Put/call indicator
465 Table/Structure Field  VTIDERI - SSETTLFL Settlement indicator
466 Table/Structure Field  VTIDERI - SZBMETH Interest Calculation Method
467 Table/Structure Field  VTIDERI - SZSREF Reference Interest Rate
468 Table/Structure Field  VTIDERI - UINDEX Securities Index
469 Table/Structure Field  VTIDERI - URANL Security ID Number
470 Table/Structure Field  VTIDERI - WPINDEX Index point currency
471 Table/Structure Field  VTIDERI - WSTRIKE Strike Currency
472 Table/Structure Field  VTIDERI - WWTICK Tick Value Currency
473 Table/Structure Field  VTIDERI_CFM - DEBEG Issue start date
474 Table/Structure Field  VWPAKTI - AAAAKTIE Number of stocks issued
475 Table/Structure Field  VWPAKTI - BFONVOL Fund volume
476 Table/Structure Field  VWPAKTI - DEBEG Issue start date
477 Table/Structure Field  VWPAKTI - KBNEWE Nominal Value per Stock (Independent of Currency)
478 Table/Structure Field  VWPAKTI - PAUSG Issue premium in percentage
479 Table/Structure Field  VWPAKTI - PDIVBER Dividend rights per unit in percentage terms
480 Table/Structure Field  VWPAKTI - SAING Foreign Investment Law indicator
481 Table/Structure Field  VWPAKTI - SAKAR Stock category
482 Table/Structure Field  VWPAKTI - SARTBET Type of shareholding
483 Table/Structure Field  VWPAKTI - SFOART Fund category indicator
484 Table/Structure Field  VWPAKTI - SFOTY Fund type indicator
485 Table/Structure Field  VWPAKTI - SKONBET Details about structure of shareholding
486 Table/Structure Field  VWPAKTI - SOEFF Public fund indicator
487 Table/Structure Field  VWPAKTI - SVBRE Stock form indicator
488 Table/Structure Field  VWPANLA - BEMPREIS Issue Price
489 Table/Structure Field  VWPANLA - DANDPFL Obligation to offer for sale until
490 Table/Structure Field  VWPANLA - DANDRE Right to offer until
491 Table/Structure Field  VWPANLA - DBEAR Last Edited on
492 Table/Structure Field  VWPANLA - DERF First Entered on
493 Table/Structure Field  VWPANLA - GSART Product Type
494 Table/Structure Field  VWPANLA - JABMI Joint partner vote indicator
495 Table/Structure Field  VWPANLA - JDECK Regulatory reporting BPV (hedge fund Y/N)
496 Table/Structure Field  VWPANLA - JMUENDEL Eligibility indicator
497 Table/Structure Field  VWPANLA - PEMKURS Issue rate in percent
498 Table/Structure Field  VWPANLA - PRICE_INDEX Name of Price Index
499 Table/Structure Field  VWPANLA - RANL Security ID Number
500 Table/Structure Field  VWPANLA - RBEAR Employee ID