Table/Structure Field list used by SAP ABAP Program LCFM_BW_SEC_ID_DATAF04 (Include LCFM_BW_SEC_ID_DATAF04)
SAP ABAP Program
LCFM_BW_SEC_ID_DATAF04 (Include LCFM_BW_SEC_ID_DATAF04) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BAPI1076 - PRODUCT_CATEGORY | Product Category | ||
| 2 | BAPI1076 - SECURITY_NUMBER | Security ID number | ||
| 3 | BAPI107600 - ISSUER | Issuer Identity Key | ||
| 4 | BAPI107600 - ISSUE_CURRENCY | Issue currency | ||
| 5 | BAPI107600 - ISSUE_PRICE | Issue price independent of currency | ||
| 6 | BAPI107600 - ISSUE_RATE | Issue rate in percent | ||
| 7 | BAPI107600 - LISTED | Indicator: Listed on an Exchange | ||
| 8 | BAPI107600 - PRODUCT_TYPE | Product Type | ||
| 9 | BAPI107600 - QUOTATION | Quotation Indicator | ||
| 10 | FTI_BIW_SEC_ID_ATTR - CLASSIFICATION | Classification of bond | ||
| 11 | FTI_BIW_SEC_ID_ATTR - ELIGIBLE | Eligibility indicator | ||
| 12 | FTI_BIW_SEC_ID_ATTR - ELIG_AS_COLL | Indicator eligible as collateral | ||
| 13 | FTI_BIW_SEC_ID_ATTR - ELIG_TO_SERVE | Eligible for premium reserve fund | ||
| 14 | FTI_BIW_SEC_ID_ATTR - EXERCISE_TYPE_OP | Exercise Type (American or European) | ||
| 15 | FTI_BIW_SEC_ID_ATTR - EXPIRY_DATE | Expiration date | ||
| 16 | FTI_BIW_SEC_ID_ATTR - FACTORY_CALENDAR | Factory calendar | ||
| 17 | FTI_BIW_SEC_ID_ATTR - FINAL_DUE_DATE_F | Final due date | ||
| 18 | FTI_BIW_SEC_ID_ATTR - FUND_CATEGORY | Fund category indicator | ||
| 19 | FTI_BIW_SEC_ID_ATTR - FUND_TYPE | Fund type indicator | ||
| 20 | FTI_BIW_SEC_ID_ATTR - FUND_VOLUME | Fund volume | ||
| 21 | FTI_BIW_SEC_ID_ATTR - INDEX_POINT_VAL | Value of an index point | ||
| 22 | FTI_BIW_SEC_ID_ATTR - INSTITUTE | Institute Providing Credit Standing Information | ||
| 23 | FTI_BIW_SEC_ID_ATTR - INT_CALC_METHOD | Interest Calculation Method | ||
| 24 | FTI_BIW_SEC_ID_ATTR - ISSUER | Issuer Identity Key | ||
| 25 | FTI_BIW_SEC_ID_ATTR - ISSUE_CCY | Issue currency | ||
| 26 | FTI_BIW_SEC_ID_ATTR - ISSUE_PRICE | Issue price independent of currency | ||
| 27 | FTI_BIW_SEC_ID_ATTR - ISSUE_RATE | Issue rate in percent | ||
| 28 | FTI_BIW_SEC_ID_ATTR - ISSUE_YIELD | Issue Yield | ||
| 29 | FTI_BIW_SEC_ID_ATTR - LAST_TRADING_DAY | Last trade date | ||
| 30 | FTI_BIW_SEC_ID_ATTR - LISTED | Indicator: Listed on an Exchange | ||
| 31 | FTI_BIW_SEC_ID_ATTR - NUMBER_OF_UNITS | Number of units for unit-quoted securities | ||
| 32 | FTI_BIW_SEC_ID_ATTR - OPT_FUT_CATEGORY | Options/futures category | ||
| 33 | FTI_BIW_SEC_ID_ATTR - OPT_FUT_QUOT | Quotation type option/future | ||
| 34 | FTI_BIW_SEC_ID_ATTR - ORG_OPTTYPE | Original option category (on closing) | ||
| 35 | FTI_BIW_SEC_ID_ATTR - PRODUCT_CATEGORY | Product Category | ||
| 36 | FTI_BIW_SEC_ID_ATTR - PRODUCT_TYPE | Product Type | ||
| 37 | FTI_BIW_SEC_ID_ATTR - PUBLIC_FUND | Public fund indicator | ||
| 38 | FTI_BIW_SEC_ID_ATTR - PUT_CALL_IND | Put/call indicator | ||
| 39 | FTI_BIW_SEC_ID_ATTR - QUOTATION | Quotation Indicator | ||
| 40 | FTI_BIW_SEC_ID_ATTR - RATING | Rating | ||
| 41 | FTI_BIW_SEC_ID_ATTR - REF_INT_RATE | Reference Interest Rate | ||
| 42 | FTI_BIW_SEC_ID_ATTR - REF_SIGN | +/- sign / reference interest rate operator | ||
| 43 | FTI_BIW_SEC_ID_ATTR - SECONDARY_LOANS | Secondary loans ID | ||
| 44 | FTI_BIW_SEC_ID_ATTR - SECURITY_INDEX | Securities Index | ||
| 45 | FTI_BIW_SEC_ID_ATTR - SECURITY_NUMBER | Security ID number | ||
| 46 | FTI_BIW_SEC_ID_ATTR - SECURITY_REF | Security ID number | ||
| 47 | FTI_BIW_SEC_ID_ATTR - SECURITY_TYPE | Security Type ID | ||
| 48 | FTI_BIW_SEC_ID_ATTR - SEC_CATEGORY | General Security Classification | ||
| 49 | FTI_BIW_SEC_ID_ATTR - SETTLEMENT_DAY | Settlement date | ||
| 50 | FTI_BIW_SEC_ID_ATTR - SETTLEMENT_METH | Settlement Method Option | ||
| 51 | FTI_BIW_SEC_ID_ATTR - SETTLEMENT_OPT | Settlement indicator | ||
| 52 | FTI_BIW_SEC_ID_ATTR - SHAREH_STRUCT | Details about structure of shareholding | ||
| 53 | FTI_BIW_SEC_ID_ATTR - SHAREH_TYPE | Type of shareholding | ||
| 54 | FTI_BIW_SEC_ID_ATTR - SHARES_OUTSTAND | Number of stocks issued | ||
| 55 | FTI_BIW_SEC_ID_ATTR - SSTBE | Tax treatment indicator | ||
| 56 | FTI_BIW_SEC_ID_ATTR - STOCK_CATEGORY | Stock category | ||
| 57 | FTI_BIW_SEC_ID_ATTR - STOCK_FORM | Stock form indicator | ||
| 58 | FTI_BIW_SEC_ID_ATTR - STRIKE_AMOUNT | Strike as amount | ||
| 59 | FTI_BIW_SEC_ID_ATTR - STRIKE_IN_POINTS | Strike in points | ||
| 60 | FTI_BIW_SEC_ID_ATTR - TERM_FROM | Start of Term | ||
| 61 | FTI_BIW_SEC_ID_ATTR - TERM_UPTO | End of Term | ||
| 62 | FTI_BIW_SEC_ID_ATTR - TICK_AMOUNT | Tick as amount | ||
| 63 | FTI_BIW_SEC_ID_ATTR - TICK_IN_POINTS | Tick in index points | ||
| 64 | FTI_BIW_SEC_ID_ATTR - TICK_VALUE | Tick value | ||
| 65 | FTI_BIW_SEC_ID_ATTR - TRANCHE_CLASSIF | Tranche Classification | ||
| 66 | FTI_BIW_SEC_ID_ATTR - YIELD_METHOD | Effective Interest Method (Financial Mathematics) | ||
| 67 | FTI_LDB_CLASS_DATA_00 - INSTITUTE | Institute Providing Credit Standing Information | ||
| 68 | FTI_LDB_CLASS_DATA_00 - ISSUER | Issuer Identity Key | ||
| 69 | FTI_LDB_CLASS_DATA_00 - ISSUE_CURRENCY | Issue currency | ||
| 70 | FTI_LDB_CLASS_DATA_00 - ISSUE_PRICE | Issue price independent of currency | ||
| 71 | FTI_LDB_CLASS_DATA_00 - ISSUE_RATE | Issue rate in percent | ||
| 72 | FTI_LDB_CLASS_DATA_00 - LISTED | Indicator: Listed on an Exchange | ||
| 73 | FTI_LDB_CLASS_DATA_00 - PRODUCT_CATEGORY | Product Category | ||
| 74 | FTI_LDB_CLASS_DATA_00 - PRODUCT_TYPE | Product Type | ||
| 75 | FTI_LDB_CLASS_DATA_00 - QUOTATION | Quotation Indicator | ||
| 76 | FTI_LDB_CLASS_DATA_00 - RATING | Rating | ||
| 77 | FTI_LDB_CLASS_DATA_00 - SECURITY_CATEGORY | General Security Classification | ||
| 78 | FTI_LDB_CLASS_DATA_00 - SECURITY_NUMBER | Security ID number | ||
| 79 | FTI_LDB_CLASS_DATA_00A - TERM_FROM | Start of Term | ||
| 80 | FTI_LDB_CLASS_DATA_00A - TERM_UPTO | End of Term | ||
| 81 | FTI_LDB_CLASS_DATA_01 - ELIGIBLE | Eligibility indicator | ||
| 82 | FTI_LDB_CLASS_DATA_01 - ELIGIBLE_AS_COLL | Indicator eligible as collateral | ||
| 83 | FTI_LDB_CLASS_DATA_01 - ELIGIBLE_TO_SERVE | Eligible for premium reserve fund | ||
| 84 | FTI_LDB_CLASS_DATA_01 - SECURITY_TYPE | Security Type ID | ||
| 85 | FTI_LDB_CLASS_DATA_03 - SHAREHOLDING_STRUCT | Details about structure of shareholding | ||
| 86 | FTI_LDB_CLASS_DATA_03 - SHAREHOLDING_TYPE | Type of shareholding | ||
| 87 | FTI_LDB_CLASS_DATA_03 - SHARES_OUTSTANDING | Number of stocks issued | ||
| 88 | FTI_LDB_CLASS_DATA_03 - STOCK_CATEGORY | Stock category | ||
| 89 | FTI_LDB_CLASS_DATA_03 - STOCK_FORM | Stock form indicator | ||
| 90 | FTI_LDB_CLASS_DATA_05 - FUND_CATEGORY | Fund category indicator | ||
| 91 | FTI_LDB_CLASS_DATA_05 - FUND_TYPE | Fund type indicator | ||
| 92 | FTI_LDB_CLASS_DATA_05 - FUND_VOLUME | Fund volume | ||
| 93 | FTI_LDB_CLASS_DATA_05 - PUBLIC_FUND | Public fund indicator | ||
| 94 | FTI_LDB_CLASS_DATA_06 - CLASSIFICATION | Classification of bond | ||
| 95 | FTI_LDB_CLASS_DATA_06 - INTEREST_CALC_METHOD | Interest Calculation Method | ||
| 96 | FTI_LDB_CLASS_DATA_06 - ISSUE_YIELD | Issue Yield | ||
| 97 | FTI_LDB_CLASS_DATA_06 - SECONDARY_LOANS | Secondary loans ID | ||
| 98 | FTI_LDB_CLASS_DATA_06 - YIELD_METHOD | Effective Interest Method (Financial Mathematics) | ||
| 99 | FTI_LDB_CLASS_DATA_07 - REF_INTEREST_RATE | Reference Interest Rate | ||
| 100 | FTI_LDB_CLASS_DATA_07 - REF_SIGN | +/- sign / reference interest rate operator | ||
| 101 | FTI_LDB_CLASS_DATA_12 - EXERCISE_TYPE_OPT | Exercise Type (American or European) | ||
| 102 | FTI_LDB_CLASS_DATA_12 - EXPIRY_DATE | Expiration date | ||
| 103 | FTI_LDB_CLASS_DATA_12 - FACTORY_CALENDAR | Factory calendar | ||
| 104 | FTI_LDB_CLASS_DATA_12 - FINAL_DUE_DATE_F | Final due date | ||
| 105 | FTI_LDB_CLASS_DATA_12 - INDEX_POINT_VALUE | Value of an index point | ||
| 106 | FTI_LDB_CLASS_DATA_12 - LAST_TRADING_DAY | Last trade date | ||
| 107 | FTI_LDB_CLASS_DATA_12 - NUMBER_OF_UNITS | Number of units for unit-quoted securities | ||
| 108 | FTI_LDB_CLASS_DATA_12 - OPT_FUT_CATEGORY | Options/futures category | ||
| 109 | FTI_LDB_CLASS_DATA_12 - OPT_FUT_QUOTATION | Quotation type option/future | ||
| 110 | FTI_LDB_CLASS_DATA_12 - ORG_OPTTYPE | Original option category (on closing) | ||
| 111 | FTI_LDB_CLASS_DATA_12 - PUT_CALL_INDICATOR | Put/call indicator | ||
| 112 | FTI_LDB_CLASS_DATA_12 - SECURITY_INDEX | Securities Index | ||
| 113 | FTI_LDB_CLASS_DATA_12 - SECURITY_REFERENCE | Security ID number | ||
| 114 | FTI_LDB_CLASS_DATA_12 - SETTLEMENT_DAY | Settlement date | ||
| 115 | FTI_LDB_CLASS_DATA_12 - SETTLEMENT_METHOD | Settlement Method Option | ||
| 116 | FTI_LDB_CLASS_DATA_12 - SETTLEMENT_OPT | Settlement indicator | ||
| 117 | FTI_LDB_CLASS_DATA_12 - STRIKE_AMOUNT | Strike as amount | ||
| 118 | FTI_LDB_CLASS_DATA_12 - STRIKE_IN_POINTS | Strike in points | ||
| 119 | FTI_LDB_CLASS_DATA_12 - TICK_AMOUNT | Tick as amount | ||
| 120 | FTI_LDB_CLASS_DATA_12 - TICK_IN_POINTS | Tick in index points | ||
| 121 | FTI_LDB_CLASS_DATA_12 - TICK_VALUE | Tick value | ||
| 122 | FTI_LDB_CLASS_DATA_13 - TRANCHE_CLASSIF | Tranche Classification | ||
| 123 | FTI_LDB_CLASS_MASTER_DATA - CLASSIFICATION | Classification of bond | ||
| 124 | FTI_LDB_CLASS_MASTER_DATA - ELIGIBLE | Eligibility indicator | ||
| 125 | FTI_LDB_CLASS_MASTER_DATA - ELIGIBLE_AS_COLL | Indicator eligible as collateral | ||
| 126 | FTI_LDB_CLASS_MASTER_DATA - ELIGIBLE_TO_SERVE | Eligible for premium reserve fund | ||
| 127 | FTI_LDB_CLASS_MASTER_DATA - EXERCISE_TYPE_OPT | Exercise Type (American or European) | ||
| 128 | FTI_LDB_CLASS_MASTER_DATA - EXPIRY_DATE | Expiration date | ||
| 129 | FTI_LDB_CLASS_MASTER_DATA - FACTORY_CALENDAR | Factory calendar | ||
| 130 | FTI_LDB_CLASS_MASTER_DATA - FINAL_DUE_DATE_F | Final due date | ||
| 131 | FTI_LDB_CLASS_MASTER_DATA - FUND_CATEGORY | Fund category indicator | ||
| 132 | FTI_LDB_CLASS_MASTER_DATA - FUND_TYPE | Fund type indicator | ||
| 133 | FTI_LDB_CLASS_MASTER_DATA - FUND_VOLUME | Fund volume | ||
| 134 | FTI_LDB_CLASS_MASTER_DATA - INDEX_POINT_VALUE | Value of an index point | ||
| 135 | FTI_LDB_CLASS_MASTER_DATA - INSTITUTE | Institute Providing Credit Standing Information | ||
| 136 | FTI_LDB_CLASS_MASTER_DATA - INTEREST_CALC_METHOD | Interest Calculation Method | ||
| 137 | FTI_LDB_CLASS_MASTER_DATA - ISSUER | Issuer Identity Key | ||
| 138 | FTI_LDB_CLASS_MASTER_DATA - ISSUE_CURRENCY | Issue currency | ||
| 139 | FTI_LDB_CLASS_MASTER_DATA - ISSUE_PRICE | Issue price independent of currency | ||
| 140 | FTI_LDB_CLASS_MASTER_DATA - ISSUE_RATE | Issue rate in percent | ||
| 141 | FTI_LDB_CLASS_MASTER_DATA - ISSUE_YIELD | Issue Yield | ||
| 142 | FTI_LDB_CLASS_MASTER_DATA - LAST_TRADING_DAY | Last trade date | ||
| 143 | FTI_LDB_CLASS_MASTER_DATA - LISTED | Indicator: Listed on an Exchange | ||
| 144 | FTI_LDB_CLASS_MASTER_DATA - NUMBER_OF_UNITS | Number of units for unit-quoted securities | ||
| 145 | FTI_LDB_CLASS_MASTER_DATA - OPT_FUT_CATEGORY | Options/futures category | ||
| 146 | FTI_LDB_CLASS_MASTER_DATA - OPT_FUT_QUOTATION | Quotation type option/future | ||
| 147 | FTI_LDB_CLASS_MASTER_DATA - ORG_OPTTYPE | Original option category (on closing) | ||
| 148 | FTI_LDB_CLASS_MASTER_DATA - PRODUCT_CATEGORY | Product Category | ||
| 149 | FTI_LDB_CLASS_MASTER_DATA - PRODUCT_TYPE | Product Type | ||
| 150 | FTI_LDB_CLASS_MASTER_DATA - PUBLIC_FUND | Public fund indicator | ||
| 151 | FTI_LDB_CLASS_MASTER_DATA - PUT_CALL_INDICATOR | Put/call indicator | ||
| 152 | FTI_LDB_CLASS_MASTER_DATA - QUOTATION | Quotation Indicator | ||
| 153 | FTI_LDB_CLASS_MASTER_DATA - RATING | Rating | ||
| 154 | FTI_LDB_CLASS_MASTER_DATA - REF_INTEREST_RATE | Reference Interest Rate | ||
| 155 | FTI_LDB_CLASS_MASTER_DATA - REF_SIGN | +/- sign / reference interest rate operator | ||
| 156 | FTI_LDB_CLASS_MASTER_DATA - SECONDARY_LOANS | Secondary loans ID | ||
| 157 | FTI_LDB_CLASS_MASTER_DATA - SECURITY_CATEGORY | General Security Classification | ||
| 158 | FTI_LDB_CLASS_MASTER_DATA - SECURITY_INDEX | Securities Index | ||
| 159 | FTI_LDB_CLASS_MASTER_DATA - SECURITY_NUMBER | Security ID number | ||
| 160 | FTI_LDB_CLASS_MASTER_DATA - SECURITY_REFERENCE | Security ID number | ||
| 161 | FTI_LDB_CLASS_MASTER_DATA - SECURITY_TYPE | Security Type ID | ||
| 162 | FTI_LDB_CLASS_MASTER_DATA - SETTLEMENT_DAY | Settlement date | ||
| 163 | FTI_LDB_CLASS_MASTER_DATA - SETTLEMENT_METHOD | Settlement Method Option | ||
| 164 | FTI_LDB_CLASS_MASTER_DATA - SETTLEMENT_OPT | Settlement indicator | ||
| 165 | FTI_LDB_CLASS_MASTER_DATA - SHAREHOLDING_STRUCT | Details about structure of shareholding | ||
| 166 | FTI_LDB_CLASS_MASTER_DATA - SHAREHOLDING_TYPE | Type of shareholding | ||
| 167 | FTI_LDB_CLASS_MASTER_DATA - SHARES_OUTSTANDING | Number of stocks issued | ||
| 168 | FTI_LDB_CLASS_MASTER_DATA - STOCK_CATEGORY | Stock category | ||
| 169 | FTI_LDB_CLASS_MASTER_DATA - STOCK_FORM | Stock form indicator | ||
| 170 | FTI_LDB_CLASS_MASTER_DATA - STRIKE_AMOUNT | Strike as amount | ||
| 171 | FTI_LDB_CLASS_MASTER_DATA - STRIKE_IN_POINTS | Strike in points | ||
| 172 | FTI_LDB_CLASS_MASTER_DATA - TERM_FROM | Start of Term | ||
| 173 | FTI_LDB_CLASS_MASTER_DATA - TERM_UPTO | End of Term | ||
| 174 | FTI_LDB_CLASS_MASTER_DATA - TICK_AMOUNT | Tick as amount | ||
| 175 | FTI_LDB_CLASS_MASTER_DATA - TICK_IN_POINTS | Tick in index points | ||
| 176 | FTI_LDB_CLASS_MASTER_DATA - TICK_VALUE | Tick value | ||
| 177 | FTI_LDB_CLASS_MASTER_DATA - TRANCHE_CLASSIF | Tranche Classification | ||
| 178 | FTI_LDB_CLASS_MASTER_DATA - YIELD_METHOD | Effective Interest Method (Financial Mathematics) | ||
| 179 | RSAAPI_IF - CHABASNM | Reference characteristic | ||
| 180 | RSAAPI_IF - UPDMODE | Mode of data update (Full, Delta, etc.) |