Table list used by SAP ABAP Program L1076F01 (Include L1076F01)
SAP ABAP Program
L1076F01 (Include L1076F01) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BAPI1076_ADDITIONALDATA | Additional Fields for the BAPI Interface | ||
| 2 | BAPI1076_BOND | Bond parameters | ||
| 3 | BAPI1076_BONDWARRANT | Financial product parameter structure (bond warrant) | ||
| 4 | BAPI1076_CONDITION | Condition Items | ||
| 5 | BAPI1076_CONVERTIBLEBOND | Convertible bond parameters | ||
| 6 | BAPI1076_CURRENCYWARRANT | Financial product parameter structure (currency warrant) | ||
| 7 | BAPI1076_EQUITYWARRANT | Financial product parameter structure (equity warrant) | ||
| 8 | BAPI1076_FORMULAR | Formula | ||
| 9 | BAPI1076_FUTURE | Attributes for futures | ||
| 10 | BAPI1076_INDEX | Secondary index class data | ||
| 11 | BAPI1076_INDEXWARRANT | Financial product parameter structure (index warrant) | ||
| 12 | BAPI1076_INVESTMENT | Investment certificate parameters | ||
| 13 | BAPI1076_LISTING | Listing | ||
| 14 | BAPI1076_NOTICE | Termination | ||
| 15 | BAPI1076_OPTION | Attributes for options | ||
| 16 | BAPI1076_PARTPAID | Partly-Paids for Stocks and Shareholdings | ||
| 17 | BAPI1076_POOLDATA | BAPI Structure for Pool Data | ||
| 18 | BAPI1076_POOLRATING | BAPI Structure for Pool Rating | ||
| 19 | BAPI1076_POOLREMARK | BAPI Structure for Asset Pool Comments | ||
| 20 | BAPI1076_RATING | Rating | ||
| 21 | BAPI1076_REFERENCE | Structure for references | ||
| 22 | BAPI1076_SHARECAPITAL | Stock Capital and Voting Rights | ||
| 23 | BAPI1076_SHAREHOLDING | Shareholding parameters | ||
| 24 | BAPI1076_STOCK | Stocks parameters | ||
| 25 | BAPI1076_SUBSCRIPTIONRIGHT | Subscription rights | ||
| 26 | BAPI1076_SUBSCRIPTPERIOD | Subscription period for subscription rights | ||
| 27 | BAPI1076_SWAP | Stock Swap | ||
| 28 | BAPI1076_WARRANTBOND | Warrant bonds parameters | ||
| 29 | BAPIRET2 | Return Parameter | ||
| 30 | MESG | Message collector | ||
| 31 | RIGHT_COMPLEX | Complex Structure for Rights | ||
| 32 | SECURITY_COMPLEX | Complex Structure of Class Data | ||
| 33 | SECURITY_CONDITION | Condition items | ||
| 34 | SECURITY_FORMULAR | Formula | ||
| 35 | SECURITY_LISTING | Listing | ||
| 36 | SECURITY_MAPPING | Mapping for amount and currency fields | ||
| 37 | SECURITY_PARTLY_PAID | Structure for Subsequent Payments | ||
| 38 | SECURITY_SHARE_CAPITAL | Share Capital and Votes | ||
| 39 | SECURITY_SUBSCRIPTIONPERIOD | Subscription period for subscription rights | ||
| 40 | TERSINTERFACE | Transfer Structure for Executable Rights | ||
| 41 | TERSMULTIPLEDATA | Fields with Several Values for Rights per Class | ||
| 42 | TERSRIGHTLIST | Rights List for Underlying | ||
| 43 | TW22 | Securities classification | ||
| 44 | VWPANLA | Asset master for securities | ||
| 45 | VWPANLE | Interest-bearing securities | ||
| 46 | VWPPOOLDATA | Asset Pool Data | ||
| 47 | VWPPOOLRATING | Rating for an Asset Pool | ||
| 48 | VWPPOOLREMARK | Comments for Asset Pool |