Table/Structure Field list used by SAP ABAP Program LCMS_SEC_VIEWSF00 (LCMS_SEC_VIEWSF00)
SAP ABAP Program LCMS_SEC_VIEWSF00 (LCMS_SEC_VIEWSF00) is using
# Object Type Object Name Object Description Note
     
1 Table/Structure Field  CMS_SEC_CL_MST - COUNTRY_ZONE Country Zone where the Securities Positions are Traded
2 Table/Structure Field  CMS_SEC_CL_MST - FUNGIBILITY Specifies Interchangeability of Securities Positions
3 Table/Structure Field  CMS_SEC_CL_MST - IMP_INDEX Stock Exchange Index where Securities Positions are Traded
4 Table/Structure Field  CMS_SEC_CL_MST - ISIN Unique identification number for every position
5 Table/Structure Field  CMS_SEC_CL_MST - ISSUE_SOURCE Name of Source which has Issued the Securities Position
6 Table/Structure Field  CMS_SEC_CL_MST - MANDT Client
7 Table/Structure Field  CMS_SEC_CL_MST - NATIONALITY Country whose Jurisdiction is Applicable for the Securities
8 Table/Structure Field  CMS_SEC_CL_MST - POS_DESC Description of Securities Account
9 Table/Structure Field  CMS_SEC_CL_MST - QUOTE_METHOD Method in which Position is Quoted during Trading
10 Table/Structure Field  CMS_SEC_CL_MST - SEC_POS_TYPE Securities Classification Type
11 Table/Structure Field  CMS_SEC_CL_MST - SHORT_NAME Short name of securities ISIN
12 Table/Structure Field  CMS_SEC_CL_MST - STOCK_EXCHNG Name of Stock Exchange where Securities Account is Traded
13 Table/Structure Field  CMS_SEC_VALUE - CURRENT_PRICE Current Price of a Securities Postion per Unit
14 Table/Structure Field  CMS_SEC_VALUE - CURR_PRICE_AT Time Stamp - Short Format
15 Table/Structure Field  CMS_SEC_VALUE - CURR_PRICE_CURR Currency of Current Price of a Securities Position
16 Table/Structure Field  CMS_SEC_VALUE - CURR_PRICE_PCT Current Price of a Unit of a Securities Position
17 Table/Structure Field  CMS_SEC_VALUE - ISIN Unique ID for a Position in a Securities Account
18 Table/Structure Field  CMS_SEC_VALUE - MANDT Client
19 Table/Structure Field  CMS_STR_AST_TYP_T_DATA - NAME Asset Type Name in a Specified Language
20 Table/Structure Field  CMS_STR_AST_TYP_T_PKY - AST_TYP Asset Type
21 Table/Structure Field  CMS_STR_AST_TYP_T_PKY - LANGUAGE Language in which Description is Required
22 Table/Structure Field  CMS_STR_OBJ_COR_DATA - COR_GRP Correspondence group
23 Table/Structure Field  CMS_STR_OBJ_COR_DATA - COR_ROLE Correspondence role
24 Table/Structure Field  CMS_STR_SAS_TYP_PKY - SUBAST_TYP Sub-asset Type
25 Table/Structure Field  CMS_STR_SAS_TYP_T_DATA - NAME Name of Sub-asset Type
26 Table/Structure Field  CMS_STR_SAS_TYP_T_PKY - LANGUAGE Language in which Description is Required
27 Table/Structure Field  CMS_STR_SAS_TYP_T_PKY - SUBAST_TYP Sub-asset Type
28 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - COUNTRY_ZONE Country Zone where the Securities Positions are Traded
29 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - FUNGIBILITY Specifies Interchangeability of Securities Positions
30 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - IMP_INDEX Stock Exchange Index where Securities Positions are Traded
31 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - ISSUE_SOURCE Name of Source which has Issued the Securities Position
32 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - NATIONALITY Country whose Jurisdiction is Applicable for the Securities
33 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - POS_DESC Description of Securities Account
34 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - QUOTE_METHOD Method in which Position is Quoted during Trading
35 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - SEC_POS_TYPE Securities Classification Type
36 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - SHORT_NAME Short name of securities ISIN
37 Table/Structure Field  CMS_STR_SEC_ACC_POS_ADD_DATA - STOCK_EXCHNG Name of Stock Exchange where Securities Account is Traded
38 Table/Structure Field  CMS_STR_SEC_ACC_POS_TYP_PKY - SEC_POS_TYPE Securities Classification Type
39 Table/Structure Field  CMS_STR_SEC_ACC_POS_TYP_T_DATA - NAME Securities classification type name in a specified language
40 Table/Structure Field  CMS_STR_SEC_ACC_POS_TYP_T_PKY - LANGUAGE Language in which Description is Required
41 Table/Structure Field  CMS_STR_SEC_ACC_POS_TYP_T_PKY - SEC_POS_TYPE Securities Classification Type
42 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - AST_TYP Asset Type
43 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - BPF_SET Business Partner Function Set
44 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - COR_GRP Correspondence group
45 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - COR_ROLE Correspondence role
46 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - DOC_SET Document Set
47 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - FSTAT_VAR Object Screen (Field Status Variant)
48 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - LENDING_RATE1 Lending rate 1
49 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - PERIOD_VALN_FREQ Period of revaluation for securities
50 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - PROC_CKY Process Control Key
51 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - SFTY_DSCNT Safety discount
52 Table/Structure Field  CMS_STR_SEC_AST_DETAIL - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account
53 Table/Structure Field  CMS_STR_SEC_LENDING_RATE - LENDING_RATE1 Lending rate 1
54 Table/Structure Field  CMS_STR_SEC_POS_SAS_DATA - LENDING_RATE1 Lending rate 1
55 Table/Structure Field  CMS_STR_SEC_POS_SAS_DATA - PERIOD_VALN_FREQ Period of revaluation for securities
56 Table/Structure Field  CMS_STR_SEC_POS_SAS_DATA - SAS_TYPE Sub-asset Type
57 Table/Structure Field  CMS_STR_SEC_POS_SAS_DATA - SFTY_DSCNT Safety discount
58 Table/Structure Field  CMS_STR_SEC_POS_SAS_DATA - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account
59 Table/Structure Field  E071K - OBJNAME Table Name
60 Table/Structure Field  E071K - TABKEY Object Name in Object List
61 Table/Structure Field  SYST - LANGU ABAP System Field: Language Key of Text Environment
62 Table/Structure Field  SYST - TABIX ABAP System Field: Row Index of Internal Tables
63 Table/Structure Field  TCMS_AST_TYP - AST_TYP Asset Type
64 Table/Structure Field  TCMS_AST_TYP_T - AST_TYP Asset Type
65 Table/Structure Field  TCMS_AST_TYP_T - LANGUAGE Language in which Description is Required
66 Table/Structure Field  TCMS_AST_TYP_T - NAME Asset Type Name in a Specified Language
67 Table/Structure Field  TCMS_SAS_TYP - SUBAST_TYP Sub-asset Type
68 Table/Structure Field  TCMS_SAS_TYP_T - LANGUAGE Language in which Description is Required
69 Table/Structure Field  TCMS_SAS_TYP_T - NAME Name of Sub-asset Type
70 Table/Structure Field  TCMS_SAS_TYP_T - SUBAST_TYP Sub-asset Type
71 Table/Structure Field  TCMS_SEC_AST - AST_TYP Asset Type
72 Table/Structure Field  TCMS_SEC_AST - BPF_SET Business Partner Function Set
73 Table/Structure Field  TCMS_SEC_AST - COR_GRP Correspondence group
74 Table/Structure Field  TCMS_SEC_AST - COR_ROLE Correspondence role
75 Table/Structure Field  TCMS_SEC_AST - DOC_SET Document Set
76 Table/Structure Field  TCMS_SEC_AST - FSTAT_VAR Object Screen (Field Status Variant)
77 Table/Structure Field  TCMS_SEC_AST - LENDING_RATE1 Lending rate 1
78 Table/Structure Field  TCMS_SEC_AST - MANDT Client
79 Table/Structure Field  TCMS_SEC_AST - PERIOD_VALN_FREQ Period of revaluation for securities
80 Table/Structure Field  TCMS_SEC_AST - PROC_CKY Process Control Key
81 Table/Structure Field  TCMS_SEC_AST - SFTY_DSCNT Safety discount
82 Table/Structure Field  TCMS_SEC_AST - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account
83 Table/Structure Field  TCMS_SEC_CL_TYP - LENDING_RATE1 Lending rate 1
84 Table/Structure Field  TCMS_SEC_CL_TYP - MANDT Client
85 Table/Structure Field  TCMS_SEC_CL_TYP - PERIOD_VALN_FREQ Period of revaluation for securities
86 Table/Structure Field  TCMS_SEC_CL_TYP - SAS_TYPE Sub-asset Type
87 Table/Structure Field  TCMS_SEC_CL_TYP - SEC_POS_TYPE Securities Classification Type
88 Table/Structure Field  TCMS_SEC_CL_TYP - SFTY_DSCNT Safety discount
89 Table/Structure Field  TCMS_SEC_CL_TYP - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account
90 Table/Structure Field  TCMS_SEC_CL_TY_T - LANGUAGE Language in which Description is Required
91 Table/Structure Field  TCMS_SEC_CL_TY_T - MANDT Client
92 Table/Structure Field  TCMS_SEC_CL_TY_T - NAME Securities classification type name in a specified language
93 Table/Structure Field  TCMS_SEC_CL_TY_T - SEC_POS_TYPE Securities Classification Type
94 Table/Structure Field  VIMDESC - DELMDTFLAG Checkbox
95 Table/Structure Field  VIMDESC - SELECTION CHAR01 data element for SYST
96 Table/Structure Field  VIMSTATUS - ALR_SORTED CHAR01 data element for SYST
97 Table/Structure Field  VIMSTATUS - ST_DELETE CHAR01 data element for SYST
98 Table/Structure Field  VIMSTATUS - UPD_CHECKD CHAR01 data element for SYST
99 Table/Structure Field  VIMSTATUS - UPD_FLAG Checkbox
100 Table/Structure Field  V_CMS_SEC_CL_MST - COUNTRY_ZONE Country Zone where the Securities Positions are Traded
101 Table/Structure Field  V_CMS_SEC_CL_MST - FUNGIBILITY Specifies Interchangeability of Securities Positions
102 Table/Structure Field  V_CMS_SEC_CL_MST - IMP_INDEX Stock Exchange Index where Securities Positions are Traded
103 Table/Structure Field  V_CMS_SEC_CL_MST - ISIN Unique identification number for every position
104 Table/Structure Field  V_CMS_SEC_CL_MST - ISSUE_SOURCE Name of Source which has Issued the Securities Position
105 Table/Structure Field  V_CMS_SEC_CL_MST - MANDT Client
106 Table/Structure Field  V_CMS_SEC_CL_MST - NAME Securities classification type name in a specified language
107 Table/Structure Field  V_CMS_SEC_CL_MST - NATIONALITY Country whose Jurisdiction is Applicable for the Securities
108 Table/Structure Field  V_CMS_SEC_CL_MST - POS_DESC Description of Securities Account
109 Table/Structure Field  V_CMS_SEC_CL_MST - QUOTE_METHOD Method in which Position is Quoted during Trading
110 Table/Structure Field  V_CMS_SEC_CL_MST - SEC_POS_TYPE Securities Classification Type
111 Table/Structure Field  V_CMS_SEC_CL_MST - SHORT_NAME Short name of securities ISIN
112 Table/Structure Field  V_CMS_SEC_CL_MST - STOCK_EXCHNG Name of Stock Exchange where Securities Account is Traded
113 Table/Structure Field  V_CMS_SEC_VALUE - CURRENT_PRICE Current Price of a Securities Postion per Unit
114 Table/Structure Field  V_CMS_SEC_VALUE - CURR_PRICE_AT Time Stamp - Short Format
115 Table/Structure Field  V_CMS_SEC_VALUE - CURR_PRICE_CURR Currency of Current Price of a Securities Position
116 Table/Structure Field  V_CMS_SEC_VALUE - CURR_PRICE_PCT Current Price of a Unit of a Securities Position
117 Table/Structure Field  V_CMS_SEC_VALUE - ISIN Unique ID for a Position in a Securities Account
118 Table/Structure Field  V_CMS_SEC_VALUE - MANDT Client
119 Table/Structure Field  V_CMS_SEC_VALUE - SHORT_NAME Short name of securities ISIN
120 Table/Structure Field  V_TCMS_SEC_AST - AST_TYP Asset Type
121 Table/Structure Field  V_TCMS_SEC_AST - BPF_SET Business Partner Function Set
122 Table/Structure Field  V_TCMS_SEC_AST - COR_GRP Correspondence group
123 Table/Structure Field  V_TCMS_SEC_AST - COR_ROLE Correspondence role
124 Table/Structure Field  V_TCMS_SEC_AST - DOC_SET Document Set
125 Table/Structure Field  V_TCMS_SEC_AST - FSTAT_VAR Object Screen (Field Status Variant)
126 Table/Structure Field  V_TCMS_SEC_AST - LENDING_RATE1 Lending rate 1
127 Table/Structure Field  V_TCMS_SEC_AST - MANDT Client
128 Table/Structure Field  V_TCMS_SEC_AST - NAME Asset Type Name in a Specified Language
129 Table/Structure Field  V_TCMS_SEC_AST - PERIOD_VALN_FREQ Period of revaluation for securities
130 Table/Structure Field  V_TCMS_SEC_AST - PROC_CKY Process Control Key
131 Table/Structure Field  V_TCMS_SEC_AST - SFTY_DSCNT Safety discount
132 Table/Structure Field  V_TCMS_SEC_AST - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account
133 Table/Structure Field  V_TCMS_SEC_CL_TY - LENDING_RATE1 Lending rate 1
134 Table/Structure Field  V_TCMS_SEC_CL_TY - MANDT Client
135 Table/Structure Field  V_TCMS_SEC_CL_TY - NAME Securities classification type name in a specified language
136 Table/Structure Field  V_TCMS_SEC_CL_TY - PERIOD_VALN_FREQ Period of revaluation for securities
137 Table/Structure Field  V_TCMS_SEC_CL_TY - SAS_NAME Name of Sub-asset Type
138 Table/Structure Field  V_TCMS_SEC_CL_TY - SAS_TYPE Sub-asset Type
139 Table/Structure Field  V_TCMS_SEC_CL_TY - SEC_POS_TYPE Securities Classification Type
140 Table/Structure Field  V_TCMS_SEC_CL_TY - SFTY_DSCNT Safety discount
141 Table/Structure Field  V_TCMS_SEC_CL_TY - UNIT_VALN_FREQ Indicator : Valuation Frequency of Securities Account