Table/Structure Field list used by SAP ABAP Program LFVVYF01 (Subroutines for Plausibility Checks)
SAP ABAP Program
LFVVYF01 (Subroutines for Plausibility Checks) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
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1 | ![]() |
ATPA - ROFNUMKR | Number range master data - traded options and futures | |
2 | ![]() |
ATPA - SGSART | Product Type | |
3 | ![]() |
DD04V - DDTEXT | Short Description of Repository Objects | |
4 | ![]() |
DFIES - SCRTEXT_L | Long Field Label | |
5 | ![]() |
INRI - RETURNCODE | Return code | |
6 | ![]() |
MESG - ARBGB | Application Area | |
7 | ![]() |
MESG - MSGTY | Message type (E, I, W, ...) | |
8 | ![]() |
MESG - TXTNR | Message number | |
9 | ![]() |
MESG - ZEILE | Line number | |
10 | ![]() |
NRIV - FROMNUMBER | From number | |
11 | ![]() |
NRIV - TONUMBER | To number | |
12 | ![]() |
RIGHT_COMPLEX - INTERFACE | RIGHT_COMPLEX-INTERFACE | |
13 | ![]() |
RIGHT_COMPLEX - TYPE | Rights category of an executable right | |
14 | ![]() |
SECURITYV - FINAL_DUE_DATE | End of Term | |
15 | ![]() |
SECURITYV - ISSUE_START | Issue start date | |
16 | ![]() |
SECURITYV - NOMINAL_VALUE_B | Nominal value | |
17 | ![]() |
SECURITYV - PRODUCT_CATEGORY | Product Category | |
18 | ![]() |
SECURITYV - PRODUCT_TYPE | Product Type | |
19 | ![]() |
SECURITYV - REPAYMENT_TYPE | Repayment Type Indicator | |
20 | ![]() |
SECURITYV - SECURITY_NUMBER | Security ID Number | |
21 | ![]() |
SECURITYV - SSTBE | Tax treatment indicator | |
22 | ![]() |
SECURITYV - TRANCHE_CLASSIF | Tranche Classification | |
23 | ![]() |
SECURITY_ABS - TRANCHE_CLASSIF | Tranche Classification | |
24 | ![]() |
SECURITY_COMPLEX - FINAL_DUE_DATE | End of Term | |
25 | ![]() |
SECURITY_COMPLEX - ISSUE_START | Issue start date | |
26 | ![]() |
SECURITY_COMPLEX - NOMINAL_VALUE_B | Nominal value | |
27 | ![]() |
SECURITY_COMPLEX - POOLDATA | SECURITY_COMPLEX-POOLDATA | |
28 | ![]() |
SECURITY_COMPLEX - POOLRATING | SECURITY_COMPLEX-POOLRATING | |
29 | ![]() |
SECURITY_COMPLEX - POOLREMARK | SECURITY_COMPLEX-POOLREMARK | |
30 | ![]() |
SECURITY_COMPLEX - PRODUCT_CATEGORY | Product Category | |
31 | ![]() |
SECURITY_COMPLEX - PRODUCT_TYPE | Product Type | |
32 | ![]() |
SECURITY_COMPLEX - REPAYMENT_TYPE | Repayment Type Indicator | |
33 | ![]() |
SECURITY_COMPLEX - RIGHTS | SECURITY_COMPLEX-RIGHTS | |
34 | ![]() |
SECURITY_COMPLEX - TIERLEVEL | SECURITY_COMPLEX-TIERLEVEL | |
35 | ![]() |
SECURITY_COMPLEX - TRANCHE_CLASSIF | Tranche Classification | |
36 | ![]() |
SECURITY_CONDITION - AFGSTAGE | Number of working days to due date | |
37 | ![]() |
SECURITY_CONDITION - AFGSTAGEVZ | +/- sign for number of working days for due date | |
38 | ![]() |
SECURITY_CONDITION - AMOUNT | Condition amount independent of currency | |
39 | ![]() |
SECURITY_CONDITION - AVGSTAGE | Number of working days for value date | |
40 | ![]() |
SECURITY_CONDITION - AVGSTAGEVZ | +/- sign for number of working days for value date | |
41 | ![]() |
SECURITY_CONDITION - CALC_CALENDAR_RULE | Shift calculation date to working day | |
42 | ![]() |
SECURITY_CONDITION - CALC_DATE | Calculation Date | |
43 | ![]() |
SECURITY_CONDITION - CALC_DETERMINE_METHOD | Method for determining the next value date | |
44 | ![]() |
SECURITY_CONDITION - CALENDAR | Factory calendar | |
45 | ![]() |
SECURITY_CONDITION - CALENDAR2 | Calendar ID 2 (valid in connection with calendar ID 1) | |
46 | ![]() |
SECURITY_CONDITION - CONDITION_FORM | Condition Form | |
47 | ![]() |
SECURITY_CONDITION - CONDITION_TYPE | Condition Type (Smallest Subdivision of Condition Records) | |
48 | ![]() |
SECURITY_CONDITION - COND_KEY | Internal condition key | |
49 | ![]() |
SECURITY_CONDITION - CURRENCY | Currency of Condition Item | |
50 | ![]() |
SECURITY_CONDITION - DUE_CALENDAR_RULE | Shift due date to working day | |
51 | ![]() |
SECURITY_CONDITION - DUE_DATE | Due date | |
52 | ![]() |
SECURITY_CONDITION - DUE_DETERMINE_METHOD | Method for determining the next due date | |
53 | ![]() |
SECURITY_CONDITION - LEVEL | Level number of condition item for recurring payments | |
54 | ![]() |
SECURITY_CONDITION - PAY_CALENDAR_RULE | Working Day Shift for Payment Date | |
55 | ![]() |
SECURITY_CONDITION - PERCENTAGE_RATE | Percentage rate for condition items | |
56 | ![]() |
SECURITY_CONDITION - VALID_FROM | Condition Item Valid From | |
57 | ![]() |
SECURITY_HEADER - PRODUCT_CATEGORY | Product Category | |
58 | ![]() |
SECURITY_HEADER - PRODUCT_TYPE | Product Type | |
59 | ![]() |
SECURITY_HEADER - SECURITY_NUMBER | Security ID Number | |
60 | ![]() |
SECURITY_HEADER_BOND - FINAL_DUE_DATE | End of Term | |
61 | ![]() |
SECURITY_HEADER_BOND - NOMINAL_VALUE_B | Nominal value | |
62 | ![]() |
SECURITY_HEADER_BOND - REPAYMENT_TYPE | Repayment Type Indicator | |
63 | ![]() |
SECURITY_HEADER_MIX_S_B - ISSUE_START | Issue start date | |
64 | ![]() |
SECURITY_HEADER_MIX_S_B - SSTBE | Tax treatment indicator | |
65 | ![]() |
SECURITY_LISTING - CURRENCY | Currency unit of rate | |
66 | ![]() |
SECURITY_LISTING - HOME_EXCHANGE | Home exchange - Yes/No | |
67 | ![]() |
SECURITY_LISTING - STOCK_EXCHANGE | Exchange | |
68 | ![]() |
SECURITY_RATING - INSTITUTE | Institute Providing Credit Standing Information | |
69 | ![]() |
SECURITY_RATING - VALID_FROM | Valid-From Date | |
70 | ![]() |
SECURITY_REFERENCE - PRODUCT_CATEGORY | Product Category | |
71 | ![]() |
SECURITY_REFERENCE - REFERENCE_TYPE | ID for type of relationship between product categories | |
72 | ![]() |
SECURITY_REFERENCE - SECURITY_NUMBER | Security ID Number | |
73 | ![]() |
SECURITY_SHARE_CAPITAL - AGGREGATION_KEY | Aggregation Key | |
74 | ![]() |
SECURITY_SHARE_CAPITAL - VALID_FROM | Valid-From Date | |
75 | ![]() |
SYST - LANGU | ABAP System Field: Language Key of Text Environment | |
76 | ![]() |
SYST - MSGID | ABAP System Field: Message ID | |
77 | ![]() |
SYST - MSGNO | ABAP System Field: Message Number | |
78 | ![]() |
SYST - MSGTY | ABAP System Field: Message Type | |
79 | ![]() |
SYST - MSGV1 | ABAP System Field: Message Variable | |
80 | ![]() |
SYST - MSGV2 | ABAP System Field: Message Variable | |
81 | ![]() |
SYST - MSGV3 | ABAP System Field: Message Variable | |
82 | ![]() |
SYST - MSGV4 | ABAP System Field: Message Variable | |
83 | ![]() |
SYST - TABIX | ABAP System Field: Row Index of Internal Tables | |
84 | ![]() |
T100C - MSGTS | Active message type | |
85 | ![]() |
TERSINTERFACE - INTERFACETABLE | TERSINTERFACE-INTERFACETABLE | |
86 | ![]() |
TERSMULTIPLEDATA - ENDDATE | Term to | |
87 | ![]() |
TERSMULTIPLEDATA - STARTDATE | Term from | |
88 | ![]() |
TRFS_CLASS_POS_I - CLASS_ID | Security ID Number | |
89 | ![]() |
TRFT_CLASS_POS - CLASS_ID | Security ID Number | |
90 | ![]() |
TRSS_CLASPOS_I - SECURITY_ID | Security ID Number | |
91 | ![]() |
TW15 - GSART | Product Type | |
92 | ![]() |
TW15 - STILGART | Repayment Type Indicator | |
93 | ![]() |
TW16 - GSART | Product Type | |
94 | ![]() |
TW16 - SWPKLASS | Classification of bond | |
95 | ![]() |
TWRFR - SANLF1 | Product Category | |
96 | ![]() |
TWRFR - SANLF2 | Product Category | |
97 | ![]() |
TWRFR - SARTBEZ | ID for type of relationship between product categories | |
98 | ![]() |
TWRFR - VVNREFINV | Number of possible references | |
99 | ![]() |
TWRFR - VVNREFZAHL | Number of possible references | |
100 | ![]() |
TZK01 - RANTYP | Contract Type | |
101 | ![]() |
TZK01 - SBERFIMA | Calculation category for cash flow calculator | |
102 | ![]() |
TZK01 - SBEWZITI | Flow category | |
103 | ![]() |
TZK01 - SKOART | Condition Type (Smallest Subdivision of Condition Records) | |
104 | ![]() |
TZK02 - SKOGRP | Condition Group | |
105 | ![]() |
TZK03 - FDNAME | Field name for condition control | |
106 | ![]() |
TZK03 - NEWNAME | Field Name | |
107 | ![]() |
TZK03 - NPOS | Position of field in the field string | |
108 | ![]() |
TZPA - AUSWA | Financial Assets Management field selection string | |
109 | ![]() |
TZPA - GSART | Product Type | |
110 | ![]() |
TZPA - NUMKR | Number range | |
111 | ![]() |
TZPA - RANTYP | Contract Type | |
112 | ![]() |
TZPA - SANLF | Product Category | |
113 | ![]() |
TZPA - SKOGRP | Condition Group | |
114 | ![]() |
TZUNI - SRUNIT | Currency unit | |
115 | ![]() |
VVAUTHA - TRGAT | Authorization field for class catergory TRTM | |
116 | ![]() |
VVTIERLEVEL - END_DATE | End Date | |
117 | ![]() |
VVTIERLEVEL - PARTNER | Business Partner Number | |
118 | ![]() |
VVTIERLEVEL - START_DATE | Start Date | |
119 | ![]() |
VVTIERLEVEL - TIER_LEVEL | Rank | |
120 | ![]() |
VWPAKTI - DEBEG | Issue start date | |
121 | ![]() |
VWPAKTI - KBNEWE | Nominal Value per Stock (Independent of Currency) | |
122 | ![]() |
VWPAKTI - PAKTQUO | Quota for par-value stock | |
123 | ![]() |
VWPAKTI - PAUSG | Issue premium in percentage | |
124 | ![]() |
VWPAKTI - PDIVBER | Dividend rights per unit in percentage terms | |
125 | ![]() |
VWPAKTI - SANLF | Product Category | |
126 | ![]() |
VWPAKTI - SVBRE | Stock form indicator | |
127 | ![]() |
VWPANAN - BBREVERN | Subscription right ratio - Denominator | |
128 | ![]() |
VWPANAN - BBREVERZ | Subscription right ratio - Numerator | |
129 | ![]() |
VWPANAN - RANL1 | Security ID Number | |
130 | ![]() |
VWPANAN - RANL2 | Security ID Number | |
131 | ![]() |
VWPANAN - SANLF1 | Product Category | |
132 | ![]() |
VWPANAN - SANLF2 | Product Category | |
133 | ![]() |
VWPANAN - SARTBEZ | ID for type of relationship between product categories | |
134 | ![]() |
VWPANLA - BKUAB | Absolute price deviation | |
135 | ![]() |
VWPANLA - DANDPFL | Obligation to offer for sale until | |
136 | ![]() |
VWPANLA - DANDRE | Right to offer until | |
137 | ![]() |
VWPANLA - GSART | Product Type | |
138 | ![]() |
VWPANLA - KBEMPREIS | Issue price independent of currency | |
139 | ![]() |
VWPANLA - PEMKURS | Issue rate in percent | |
140 | ![]() |
VWPANLA - PKUAB | Price deviation in percent | |
141 | ![]() |
VWPANLA - RANL | Security ID Number | |
142 | ![]() |
VWPANLA - REPKE | Issuer Identity Key | |
143 | ![]() |
VWPANLA - REWHR | Issue currency | |
144 | ![]() |
VWPANLA - SANLF | Product Category | |
145 | ![]() |
VWPANLA - SNOTI | Quotation Indicator | |
146 | ![]() |
VWPANLE - BAUFP | Premium when converting a convertible bond | |
147 | ![]() |
VWPANLE - BNHAE | Nominal per trading unit | |
148 | ![]() |
VWPANLE - BNOMS | Nominal value | |
149 | ![]() |
VWPANLE - BOPHE | Number of warrants per nominal value | |
150 | ![]() |
VWPANLE - BWAVN | Conversion ratio - Denominator | |
151 | ![]() |
VWPANLE - BWAVZ | Conversion ratio - Numerator | |
152 | ![]() |
VWPANLE - DAUSL | Drawing date | |
153 | ![]() |
VWPANLE - DKEMI | Issuer call date | |
154 | ![]() |
VWPANLE - DKOBL | Bondholder call date | |
155 | ![]() |
VWPANLE - DWAFB | Conversion period until | |
156 | ![]() |
VWPANLE - DWAFV | Conversion period from | |
157 | ![]() |
VWPANLE - RWAUF | Currency markup | |
158 | ![]() |
VWPANLE - SCUEX | Cum/ex indicator | |
159 | ![]() |
VWPANLE - SWPKLASS | Classification of bond | |
160 | ![]() |
VWPBUKR - RANL | Security ID Number | |
161 | ![]() |
VWPPOOLDATA - CLASSIFICATION | Asset Pool Classification | |
162 | ![]() |
VWPPOOLDATA - REINV_PERIOD | Reinvestment Period | |
163 | ![]() |
VWPPOOLDATA - TOTAL_VOLUME | Nominal Amount | |
164 | ![]() |
VWPPOOLRATING - INSTITUTE | Institute Providing Credit Standing Information | |
165 | ![]() |
VWPPOOLRATING - VALID_FROM | Valid-From Date | |
166 | ![]() |
VWPPOOLREMARK - VALID_FROM | Valid-From Date | |
167 | ![]() |
VWPTERM - BBASPREI | Exercise price | |
168 | ![]() |
VWPTERM - BBEZEIN | Reference units | |
169 | ![]() |
VWPTERM - BINDEX | Index point per monetary unit | |
170 | ![]() |
VWPTERM - BOVNE | Option ratio - Denominator | |
171 | ![]() |
VWPTERM - BOVZA | Option ratio - numerator | |
172 | ![]() |
VWPTERM - DLABI | Term to | |
173 | ![]() |
VWPTERM - DLAVO | Term from | |
174 | ![]() |
VWPTERM - RBEZWHR | Reference unit currency | |
175 | ![]() |
VWPTERM - RINDWHR | Index currency | |
176 | ![]() |
VWPTERM - RWHRBAS | Exercise price currency | |
177 | ![]() |
VWPTERM - SANLF | Product Category | |
178 | ![]() |
VWPTERM - SOPTAUS | Exercise Type (American or European) | |
179 | ![]() |
VWPTERM - SOPTTYP | Indicator: Option Category | |
180 | ![]() |
VZBEST - SNOTTYPE | Quotation type for option, future, security etc. | |
181 | ![]() |
VZSKOKO - ATCHNEN | Swap ratio - denominator | |
182 | ![]() |
VZSKOKO - ATSHZAE | Swap ratio - numerator | |
183 | ![]() |
VZSKOKO - BAUSGLCH | Clearing amount for swap | |
184 | ![]() |
VZSKOKO - BBPRU | Underlying subscription price | |
185 | ![]() |
VZSKOKO - BBVHN | Subscription ratio - Denominator | |
186 | ![]() |
VZSKOKO - BBVHZ | Subscription ratio - Numerator | |
187 | ![]() |
VZSKOKO - BZAHLAKT | Amount Deposited | |
188 | ![]() |
VZSKOKO - DBFRB | Date subscription period until | |
189 | ![]() |
VZSKOKO - DBFRV | Subscription period from | |
190 | ![]() |
VZSKOKO - DBHAB | Date of subscription rights trading until | |
191 | ![]() |
VZSKOKO - DBHAV | Date of subscription rights trading from | |
192 | ![]() |
VZSKOKO - DDBAB | Date from which entitled to dividends | |
193 | ![]() |
VZSKOKO - DGUEL_KK | Date Condition Effective from | |
194 | ![]() |
VZSKOKO - DREST | Balance payment date | |
195 | ![]() |
VZSKOKO - DTSCHAB | Swap period from | |
196 | ![]() |
VZSKOKO - DXGUELT | Trading until | |
197 | ![]() |
VZSKOKO - DXTAUSCH | Swap period to | |
198 | ![]() |
VZSKOKO - JTHESAU | Reinvestment indicator | |
199 | ![]() |
VZSKOKO - KREAK | Post Subscription Rights | |
200 | ![]() |
VZSKOKO - KZAHLAKT | Pay-in rate | |
201 | ![]() |
VZSKOKO - PWANLRAB | Reinvestment discount percent | |
202 | ![]() |
VZSKOKO - RANL | Contract Number | |
203 | ![]() |
VZSKOKO - RWBZP | Subscription price currency | |
204 | ![]() |
VZSKOKO - SWHRAUSG | Clearing amount currency | |
205 | ![]() |
VZZKOKO - DBLFZ | Start of Term | |
206 | ![]() |
VZZKOKO - DELFZ | End of Term | |
207 | ![]() |
VZZKOKO - SDISKO | Discounted | |
208 | ![]() |
VZZKOKO - STILGART | Repayment Type Indicator | |
209 | ![]() |
VZZKOPO - AMMRHY | Frequency in months | |
210 | ![]() |
VZZKOPO - BKOND | Condition item currency amount | |
211 | ![]() |
VZZKOPO - DFAELL | Due date | |
212 | ![]() |
VZZKOPO - DGUEL_KP | Condition Item Valid From | |
213 | ![]() |
VZZKOPO - DVALUT | Calculation Date | |
214 | ![]() |
VZZKOPO - KBKOND | Condition amount independent of currency | |
215 | ![]() |
VZZKOPO - PKOND | Percentage rate for condition items | |
216 | ![]() |
VZZKOPO - RDIVNR | Dividend coupon number | |
217 | ![]() |
VZZKOPO - SFULT | Month-End Indicator for Due Date | |
218 | ![]() |
VZZKOPO - SFWERK | Shift due date to working day | |
219 | ![]() |
VZZKOPO - SKOART | Condition Type (Smallest Subdivision of Condition Records) | |
220 | ![]() |
VZZKOPO - SVULT | Month-end indicator for calculation date | |
221 | ![]() |
VZZKOPO - SVWERK | Shift calculation date to working day | |
222 | ![]() |
VZZKOPO - SWHRKOND | Currency of Condition Item | |
223 | ![]() |
VZZKOPO - SZSREF | Reference Interest Rate | |
224 | ![]() |
VZZKOPO - SZSREFVZ | +/- sign / reference interest rate operator | |
225 | ![]() |
V_TZK0W - AUSWAHL | Field selection |