Table/Structure Field list used by SAP ABAP Function Module STOCKFUND_CHECK (Plausi-Prüfungen für Aktien, Investmentfonds und Beteiligungen)
SAP ABAP Function Module STOCKFUND_CHECK (Plausi-Prüfungen für Aktien, Investmentfonds und Beteiligungen) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Table/Structure Field | SECURITYV - BALANCE_DATE | Balance payment date | |
2 | Table/Structure Field | SECURITYV - ACCUMULATION | Reinvestment indicator | |
3 | Table/Structure Field | SECURITYV - TRADING_UNTIL | Trading until | |
4 | Table/Structure Field | SECURITYV - STOCK_FORM | Stock form indicator | |
5 | Table/Structure Field | SECURITYV - REINVESTMENT_DISCOUNT | Reinvestment discount percent | |
6 | Table/Structure Field | SECURITYV - QUOTATION | Quotation Indicator | |
7 | Table/Structure Field | SECURITYV - PRODUCT_CATEGORY | Product Category | |
8 | Table/Structure Field | SECURITYV - ISSUE_START | Issue start date | |
9 | Table/Structure Field | SECURITYV - ISSUE_PREMIUM | Issue premium in percentage | |
10 | Table/Structure Field | SECURITYV - INPAYMENT_RATE | Pay-in rate | |
11 | Table/Structure Field | SECURITYV - EXCHANGE_NUMERATOR | Swap ratio - numerator | |
12 | Table/Structure Field | SECURITYV - EXCHANGE_FROM | Swap period from | |
13 | Table/Structure Field | SECURITYV - EXCHANGE_DENOMINATOR | Swap ratio - denominator | |
14 | Table/Structure Field | SECURITYV - ENTITLED_FROM | Date from which entitled to dividends | |
15 | Table/Structure Field | SECURITYV - DIVIDEND_RIGHTS | Dividend rights per unit in percentage terms | |
16 | Table/Structure Field | SECURITYV - CLEARING_CURRENCY | Clearing amount currency | |
17 | Table/Structure Field | SECURITYV - CLEARING_AMOUNT | Clearing amount for swap | |
18 | Table/Structure Field | SECURITYV - EXCHANGE_TO | Swap period to | |
19 | Table/Structure Field | SECURITY_COMPLEX - EXCHANGE_TO | Swap period to | |
20 | Table/Structure Field | SECURITY_COMPLEX - INPAYMENT_RATE | Pay-in rate | |
21 | Table/Structure Field | SECURITY_COMPLEX - ISSUE_PREMIUM | Issue premium in percentage | |
22 | Table/Structure Field | SECURITY_COMPLEX - ISSUE_START | Issue start date | |
23 | Table/Structure Field | SECURITY_COMPLEX - PRODUCT_CATEGORY | Product Category | |
24 | Table/Structure Field | SECURITY_COMPLEX - QUOTATION | Quotation Indicator | |
25 | Table/Structure Field | SECURITY_COMPLEX - REINVESTMENT_DISCOUNT | Reinvestment discount percent | |
26 | Table/Structure Field | SECURITY_COMPLEX - SHARE_CAPITALS | SECURITY_COMPLEX-SHARE_CAPITALS | |
27 | Table/Structure Field | SECURITY_COMPLEX - STOCK_FORM | Stock form indicator | |
28 | Table/Structure Field | SECURITY_COMPLEX - TRADING_UNTIL | Trading until | |
29 | Table/Structure Field | SECURITY_COMPLEX - EXCHANGE_FROM | Swap period from | |
30 | Table/Structure Field | SECURITY_COMPLEX - EXCHANGE_DENOMINATOR | Swap ratio - denominator | |
31 | Table/Structure Field | SECURITY_COMPLEX - ENTITLED_FROM | Date from which entitled to dividends | |
32 | Table/Structure Field | SECURITY_COMPLEX - DIVIDEND_RIGHTS | Dividend rights per unit in percentage terms | |
33 | Table/Structure Field | SECURITY_COMPLEX - CONDITIONS | SECURITY_COMPLEX-CONDITIONS | |
34 | Table/Structure Field | SECURITY_COMPLEX - CLEARING_CURRENCY | Clearing amount currency | |
35 | Table/Structure Field | SECURITY_COMPLEX - CLEARING_AMOUNT | Clearing amount for swap | |
36 | Table/Structure Field | SECURITY_COMPLEX - BALANCE_DATE | Balance payment date | |
37 | Table/Structure Field | SECURITY_COMPLEX - ACCUMULATION | Reinvestment indicator | |
38 | Table/Structure Field | SECURITY_COMPLEX - EXCHANGE_NUMERATOR | Swap ratio - numerator | |
39 | Table/Structure Field | SECURITY_CONDITION - CONDITION_TYPE | Condition Type (Smallest Subdivision of Condition Records) | |
40 | Table/Structure Field | SECURITY_HEADER - PRODUCT_CATEGORY | Product Category | |
41 | Table/Structure Field | SECURITY_HEADER - QUOTATION | Quotation Indicator | |
42 | Table/Structure Field | SECURITY_HEADER_MIX_S_B - ISSUE_START | Issue start date | |
43 | Table/Structure Field | SECURITY_INVESTMENT - ISSUE_PREMIUM | Issue premium in percentage | |
44 | Table/Structure Field | SECURITY_INVESTMENT - REINVESTMENT_DISCOUNT | Reinvestment discount percent | |
45 | Table/Structure Field | SECURITY_INVESTMENT - ACCUMULATION | Reinvestment indicator | |
46 | Table/Structure Field | SECURITY_STOCK - BALANCE_DATE | Balance payment date | |
47 | Table/Structure Field | SECURITY_STOCK - CLEARING_AMOUNT | Clearing amount for swap | |
48 | Table/Structure Field | SECURITY_STOCK - CLEARING_CURRENCY | Clearing amount currency | |
49 | Table/Structure Field | SECURITY_STOCK - DIVIDEND_RIGHTS | Dividend rights per unit in percentage terms | |
50 | Table/Structure Field | SECURITY_STOCK - ENTITLED_FROM | Date from which entitled to dividends | |
51 | Table/Structure Field | SECURITY_STOCK - EXCHANGE_DENOMINATOR | Swap ratio - denominator | |
52 | Table/Structure Field | SECURITY_STOCK - EXCHANGE_FROM | Swap period from | |
53 | Table/Structure Field | SECURITY_STOCK - EXCHANGE_NUMERATOR | Swap ratio - numerator | |
54 | Table/Structure Field | SECURITY_STOCK - EXCHANGE_TO | Swap period to | |
55 | Table/Structure Field | SECURITY_STOCK - INPAYMENT_RATE | Pay-in rate | |
56 | Table/Structure Field | SECURITY_STOCK - STOCK_FORM | Stock form indicator | |
57 | Table/Structure Field | SECURITY_STOCK - TRADING_UNTIL | Trading until | |
58 | Table/Structure Field | SYST - TABIX | ABAP System Field: Row Index of Internal Tables | |
59 | Table/Structure Field | VWPANLA - SANLF | Product Category |