Table/Structure Field list used by SAP ABAP Program LISSR6_R31F00 (LISSR6_R31F00)
SAP ABAP Program
LISSR6_R31F00 (LISSR6_R31F00) is using
pages: 1 2 3
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BUS000O - NAME_ORG1 | Name 1 of organization | ||
| 2 | BUS000O_CHAR - NAME_ORG1 | Name 1 of organization | ||
| 3 | BUS000_DAT - NAME_ORG1 | Name 1 of organization | ||
| 4 | BUT000 - NAME_ORG1 | Name 1 of organization | ||
| 5 | BUT000 - PARTNER | Business Partner Number | ||
| 6 | BUT100 - PARTNER | Business Partner Number | ||
| 7 | E071K - OBJNAME | Table Name | ||
| 8 | E071K - TABKEY | Object Name in Object List | ||
| 9 | ISSR_IS_R30B_R2009 - FLG_COMRISKBOUND | Gebunden an Rohstoffrisiko | ||
| 10 | ISSR_IS_R30B_R2009 - FLG_HLD_LIAB | Nicht notierte Genussrechte/Beteiligungen/Nachrangverbindl. | ||
| 11 | ISSR_IS_R30B_R2009 - FLG_NO_ABS | Keine Anlagen in ABS/CLN | ||
| 12 | ISSR_IS_R30B_R2009 - FLG_RCV_LIAB | Notierte Forderungen aus nachrangigen Verbindlichkeiten | ||
| 13 | ISSR_IS_R30B_R2009 - GUAR_LIAB | Art der Gewährträgerhaftung | ||
| 14 | ISSR_IS_R30B_R2009 - RISK_TYPE | Art des Risikos | ||
| 15 | ISSR_IS_R30_R2009 - FLG_COMRISKBOUND | Gebunden an Rohstoffrisiko | ||
| 16 | ISSR_IS_R30_R2009 - FLG_HLD_LIAB | Nicht notierte Genussrechte/Beteiligungen/Nachrangverbindl. | ||
| 17 | ISSR_IS_R30_R2009 - FLG_RCV_LIAB | Notierte Forderungen aus nachrangigen Verbindlichkeiten | ||
| 18 | ISSR_IS_R30_R2009 - GUAR_LIAB | Art der Gewährträgerhaftung | ||
| 19 | ISSR_IS_R30_R2009 - RISK_TYPE | Art des Risikos | ||
| 20 | SYST - LANGU | ABAP System Field: Language Key of Text Environment | ||
| 21 | SYST - TABIX | ABAP System Field: Row Index of Internal Tables | ||
| 22 | TISSR_ANL10_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 23 | TISSR_ANL10_DS - COUNTRY_VAR | TISSR_ANL10_DS-COUNTRY_VAR | ||
| 24 | TISSR_ANL10_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 25 | TISSR_ANL10_DS - MANDT | Client | ||
| 26 | TISSR_ANL10_DS - PRODUCT_CATEGORY | TISSR_ANL10_DS-PRODUCT_CATEGORY | ||
| 27 | TISSR_ANL10_DS - PRODUCT_TYPE | TISSR_ANL10_DS-PRODUCT_TYPE | ||
| 28 | TISSR_ANL10_DS - R59710 | Indicator for R5/97 appendix 10 | ||
| 29 | TISSR_ANL10_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 30 | TISSR_ANLART - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 31 | TISSR_ANLART - COUNTRY_VAR | TISSR_ANLART-COUNTRY_VAR | ||
| 32 | TISSR_ANLARTT - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 33 | TISSR_ANLARTT - COUNTRY_VAR | TISSR_ANLARTT-COUNTRY_VAR | ||
| 34 | TISSR_ANLARTT - LANGU | Language Key | ||
| 35 | TISSR_ANLARTT - XLANGBEZ | ATAB tables long name | ||
| 36 | TISSR_ANLART_DS - ABS | Zuordnung ABS/CLN zu Rundschreiben des BaFin | ||
| 37 | TISSR_ANLART_DS - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 38 | TISSR_ANLART_DS - ART_PRODUCT | Art des strukturierten Produkts | ||
| 39 | TISSR_ANLART_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 40 | TISSR_ANLART_DS - COUNTRY_VAR | TISSR_ANLART_DS-COUNTRY_VAR | ||
| 41 | TISSR_ANLART_DS - FLG_MAX_YLD | Kapitalanlage enthält High-Yield-Rentenpapiere | ||
| 42 | TISSR_ANLART_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 43 | TISSR_ANLART_DS - HF_BIND_TYPE | Klassifizierung der Hedgefonds-Struktur | ||
| 44 | TISSR_ANLART_DS - HF_TYPE | Art des Hedgefonds | ||
| 45 | TISSR_ANLART_DS - MANDT | Client | ||
| 46 | TISSR_ANLART_DS - PRODUCT_CATEGORY | TISSR_ANLART_DS-PRODUCT_CATEGORY | ||
| 47 | TISSR_ANLART_DS - PRODUCT_TYPE | TISSR_ANLART_DS-PRODUCT_TYPE | ||
| 48 | TISSR_ANLART_DS - R3_1999 | Berichtspflicht gemäß R3/1999 | ||
| 49 | TISSR_ANLART_DS - SITZ_EMITTENT | Sitz des Emittenten | ||
| 50 | TISSR_ANLART_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 51 | TISSR_ANLART_DS - TRADING | Handelbarkeit der Anlage (Durchsicht Fonds) | ||
| 52 | TISSR_ASSETTYPET - ASSET_TYPE | Kennzeichen Anlagevermögen/Umlaufvermögen | ||
| 53 | TISSR_ASSETTYPET - COUNTRY_VAR | TISSR_ASSETTYPET-COUNTRY_VAR | ||
| 54 | TISSR_ASSETTYPET - LANGU | Language Key | ||
| 55 | TISSR_ASSETTYPET - MANDT | Client | ||
| 56 | TISSR_ASSETTYPET - XKURZBEZ | Short name for ATAB tables | ||
| 57 | TISSR_ASSETTYPET - XLANGBEZ | ATAB tables long name | ||
| 58 | TISSR_ASSET_R30 - ABS | Zuordnung ABS/CLN zu Rundschreiben des BaFin | ||
| 59 | TISSR_ASSET_R30 - ABS_CLN | Kennzeichnung ABS oder CLN | ||
| 60 | TISSR_ASSET_R30 - ART_ABSCLN | Art des strukturierten Produkts | ||
| 61 | TISSR_ASSET_R30 - ART_PRODUCT | Art des strukturierten Produkts | ||
| 62 | TISSR_ASSET_R30 - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 63 | TISSR_ASSET_R30 - BONITAET | Einstufung Bonitätsgruppierung | ||
| 64 | TISSR_ASSET_R30 - COM_RISK_TYP | Art des Rohstoffrisikos | ||
| 65 | TISSR_ASSET_R30 - COUNTRY_VAR | TISSR_ASSET_R30-COUNTRY_VAR | ||
| 66 | TISSR_ASSET_R30 - FLG_CALLABLE | Kapitalanlage ist Callable Bond | ||
| 67 | TISSR_ASSET_R30 - FLG_CAP_GUARANTY | Kapitalgarantie | ||
| 68 | TISSR_ASSET_R30 - FLG_COMRISKBOUND | Gebunden an Rohstoffrisiko | ||
| 69 | TISSR_ASSET_R30 - FLG_COM_FUND | Rohstoff-Fonds | ||
| 70 | TISSR_ASSET_R30 - FLG_DACHFONDS | Dachfonds | ||
| 71 | TISSR_ASSET_R30 - FLG_DIVIDEND | Dividendenausschüttung ist in letzten 12 Monaten erfolgt | ||
| 72 | TISSR_ASSET_R30 - FLG_HF_BOUND | Kapitalanlage an Hedgefonds gebunden | ||
| 73 | TISSR_ASSET_R30 - FLG_HF_INDICES | Anlage ist an Hedgefonds-Indizes gebunden | ||
| 74 | TISSR_ASSET_R30 - FLG_HF_RETURN | Ertrag und Rückzahlung sind an Hedgefonds gebunden | ||
| 75 | TISSR_ASSET_R30 - FLG_HLD_LIAB | Nicht notierte Genussrechte/Beteiligungen/Nachrangverbindl. | ||
| 76 | TISSR_ASSET_R30 - FLG_INVG_FRGN | Ausländische Fonds entsprechen den Anforderungen gemäß InvG | ||
| 77 | TISSR_ASSET_R30 - FLG_INVG_HF | Hedgefonds entspricht den Anforderungen gemäß InvG | ||
| 78 | TISSR_ASSET_R30 - FLG_MAX_YLD | Kapitalanlage enthält High-Yield-Rentenpapiere | ||
| 79 | TISSR_ASSET_R30 - FLG_NEG_CLAUSE | Anforderungen Besicherung mit Negativklausel nicht erfüllt | ||
| 80 | TISSR_ASSET_R30 - FLG_NEG_INTEREST | Negativ-Verzinsung wird ausgeschlossen | ||
| 81 | TISSR_ASSET_R30 - FLG_NO_07C | Keine Schuldverschr. gemäß §1 Abs. 1 Nr.7 Bst. c AnlV | ||
| 82 | TISSR_ASSET_R30 - FLG_NO_08 | Keine Schuldverschreibung gemäß §1 Abs. 1 Nr.8 AnlV | ||
| 83 | TISSR_ASSET_R30 - FLG_NO_ABS | Keine Anlagen in ABS/CLN | ||
| 84 | TISSR_ASSET_R30 - FLG_NO_HF | Keine Anlagen in Hedgefonds und in daran gebundene Anlagen | ||
| 85 | TISSR_ASSET_R30 - FLG_NO_MAX_YLD | Keine High-Yield-Rentenpapiere enthalten | ||
| 86 | TISSR_ASSET_R30 - FLG_NO_NONEWR | Keine Aktien und Genüsse von Untern. mit Sitz außerhalb EWR | ||
| 87 | TISSR_ASSET_R30 - FLG_P77A4VAG | Vorrecht besteht nach §77 Abs. 4 VAG | ||
| 88 | TISSR_ASSET_R30 - FLG_PRIVATE_CAP | Anlage ist Risikokapital mit Eigenkapitalcharakter | ||
| 89 | TISSR_ASSET_R30 - FLG_RCV_LIAB | Notierte Forderungen aus nachrangigen Verbindlichkeiten | ||
| 90 | TISSR_ASSET_R30 - FLG_SIDEP_A | Anlage bietet Möglichkeit, Side Pockets zu bilden | ||
| 91 | TISSR_ASSET_R30 - FLG_SIDEP_B | Anlage bietet Möglichkeit, Side Pockets zu bilden | ||
| 92 | TISSR_ASSET_R30 - FLG_STREU_BER | Fonds ist in Anlage Streuung zu berücksichtigen | ||
| 93 | TISSR_ASSET_R30 - FLG_TRANSP_FONDS | TISSR_ASSET_R30-FLG_TRANSP_FONDS | ||
| 94 | TISSR_ASSET_R30 - FONDSART | Fondsart | ||
| 95 | TISSR_ASSET_R30 - FONDS_BENCH | TISSR_ASSET_R30-FONDS_BENCH | ||
| 96 | TISSR_ASSET_R30 - FONDS_BENCH2 | TISSR_ASSET_R30-FONDS_BENCH2 | ||
| 97 | TISSR_ASSET_R30 - FONDS_CANC | Festgelegte Kündigungsfristen für Fondsanteile | ||
| 98 | TISSR_ASSET_R30 - FONDS_TERM | Festgelegte Rückgabe-/Kündigungsfristen für Fondsanteile | ||
| 99 | TISSR_ASSET_R30 - FONDS_TYPE | Kategorisierung intransparenter Fonds | ||
| 100 | TISSR_ASSET_R30 - FUND_SHR_08 | ISSR: Anteil Anlagen in Anleihen nach § 1 Abs. 1 Nr. 8 AnlV | ||
| 101 | TISSR_ASSET_R30 - FUND_SHR_7C | ISSR: Anteil Anlagen in Anleihen nach § 1 Abs. 1 Nr. 7c AnlV | ||
| 102 | TISSR_ASSET_R30 - FUND_SHR_ABS | ISSR: Anteil Anlagen in ABS/CLN | ||
| 103 | TISSR_ASSET_R30 - FUND_SHR_HF | ISSR: Anteil Anlagen in Hedgefonds/an Hedgefonds geb. Anlage | ||
| 104 | TISSR_ASSET_R30 - FUND_SHR_MAXYLD | ISSR: Anteil Anlagen in High Yield Anleihen | ||
| 105 | TISSR_ASSET_R30 - FUND_SHR_NONEWR | ISSR: Anteil Anlagen in Aktien/Genüsse mit Sitz NON-EWR | ||
| 106 | TISSR_ASSET_R30 - GUAR_LIAB | Art der Gewährträgerhaftung | ||
| 107 | TISSR_ASSET_R30 - HF_LOCATION | Sitz des Emittenten | ||
| 108 | TISSR_ASSET_R30 - HF_TYPE | Art des Hedgefonds | ||
| 109 | TISSR_ASSET_R30 - INDEXGRP | Indexgruppenzugehörigkeit der Wertpapiere | ||
| 110 | TISSR_ASSET_R30 - INVEST_STRAT | Anlagestrategie eines Fonds | ||
| 111 | TISSR_ASSET_R30 - INVG_CAT | Kategorisierung des Fonds gemäß Investmentgesetz (InvG) | ||
| 112 | TISSR_ASSET_R30 - ISSR_RATING | TISSR_ASSET_R30-ISSR_RATING | ||
| 113 | TISSR_ASSET_R30 - LOCK_PER | Lockup-Periode | ||
| 114 | TISSR_ASSET_R30 - LOCK_PER_TYP | Typ der Dauer (Tage, Monate, Jahre) der Lockup-Periode | ||
| 115 | TISSR_ASSET_R30 - MANDT | Client | ||
| 116 | TISSR_ASSET_R30 - MARKET_RISK | Marktrisikopotenzial eines Fonds | ||
| 117 | TISSR_ASSET_R30 - PORTFOLIO | Art des Collateral Pools / Referenzakitivums bei ABS/CLN | ||
| 118 | TISSR_ASSET_R30 - PRODUCT_CATEGORY | TISSR_ASSET_R30-PRODUCT_CATEGORY | ||
| 119 | TISSR_ASSET_R30 - PRODUCT_TYPE | TISSR_ASSET_R30-PRODUCT_TYPE | ||
| 120 | TISSR_ASSET_R30 - R1_2002 | Berichtspflicht gemäß R1/2002 | ||
| 121 | TISSR_ASSET_R30 - R3_1999 | Berichtspflicht gemäß R3/1999 | ||
| 122 | TISSR_ASSET_R30 - R3_2000 | TISSR_ASSET_R30-R3_2000 | ||
| 123 | TISSR_ASSET_R30 - RANTYP | External System ID for Capital Investment Type for Reporting | ||
| 124 | TISSR_ASSET_R30 - RATING_COMPANY | Ratinggesellschaft des Wertpapiers | ||
| 125 | TISSR_ASSET_R30 - RISK_TYPE | Art des Risikos | ||
| 126 | TISSR_ASSET_R30 - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 127 | TISSR_ASSET_R30B - ABS | Zuordnung ABS/CLN zu Rundschreiben des BaFin | ||
| 128 | TISSR_ASSET_R30B - ABS_CLN | Kennzeichnung ABS oder CLN | ||
| 129 | TISSR_ASSET_R30B - ART_ABSCLN | Art des strukturierten Produkts | ||
| 130 | TISSR_ASSET_R30B - ART_PRODUCT | Art des strukturierten Produkts | ||
| 131 | TISSR_ASSET_R30B - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 132 | TISSR_ASSET_R30B - BONITAET | Einstufung Bonitätsgruppierung | ||
| 133 | TISSR_ASSET_R30B - BUKRS | Company Code | ||
| 134 | TISSR_ASSET_R30B - COM_RISK_TYP | Art des Rohstoffrisikos | ||
| 135 | TISSR_ASSET_R30B - COUNTRY_VAR | TISSR_ASSET_R30B-COUNTRY_VAR | ||
| 136 | TISSR_ASSET_R30B - FLG_CALLABLE | Kapitalanlage ist Callable Bond | ||
| 137 | TISSR_ASSET_R30B - FLG_CAP_GUARANTY | Kapitalgarantie | ||
| 138 | TISSR_ASSET_R30B - FLG_COMRISKBOUND | Gebunden an Rohstoffrisiko | ||
| 139 | TISSR_ASSET_R30B - FLG_HF_BOUND | Kapitalanlage an Hedgefonds gebunden | ||
| 140 | TISSR_ASSET_R30B - FLG_HF_INDICES | Anlage ist an Hedgefonds-Indizes gebunden | ||
| 141 | TISSR_ASSET_R30B - FLG_HF_RETURN | Ertrag und Rückzahlung sind an Hedgefonds gebunden | ||
| 142 | TISSR_ASSET_R30B - FLG_HLD_LIAB | Nicht notierte Genussrechte/Beteiligungen/Nachrangverbindl. | ||
| 143 | TISSR_ASSET_R30B - FLG_MAX_YLD | Kapitalanlage enthält High-Yield-Rentenpapiere | ||
| 144 | TISSR_ASSET_R30B - FLG_NEG_CLAUSE | Anforderungen Besicherung mit Negativklausel nicht erfüllt | ||
| 145 | TISSR_ASSET_R30B - FLG_NEG_INTEREST | Negativ-Verzinsung wird ausgeschlossen | ||
| 146 | TISSR_ASSET_R30B - FLG_NO_ABS | Keine Anlagen in ABS/CLN | ||
| 147 | TISSR_ASSET_R30B - FLG_P77A4VAG | Vorrecht besteht nach §77 Abs. 4 VAG | ||
| 148 | TISSR_ASSET_R30B - FLG_PRIVATE_CAP | Anlage ist Risikokapital mit Eigenkapitalcharakter | ||
| 149 | TISSR_ASSET_R30B - FLG_RCV_LIAB | Notierte Forderungen aus nachrangigen Verbindlichkeiten | ||
| 150 | TISSR_ASSET_R30B - FLG_SIDEP_B | Anlage bietet Möglichkeit, Side Pockets zu bilden | ||
| 151 | TISSR_ASSET_R30B - GUAR_LIAB | Art der Gewährträgerhaftung | ||
| 152 | TISSR_ASSET_R30B - HF_LOCATION | Sitz des Emittenten | ||
| 153 | TISSR_ASSET_R30B - INDEXGRP | Indexgruppenzugehörigkeit der Wertpapiere | ||
| 154 | TISSR_ASSET_R30B - INVG_CAT | Kategorisierung des Fonds gemäß Investmentgesetz (InvG) | ||
| 155 | TISSR_ASSET_R30B - ISSR_RATING | TISSR_ASSET_R30B-ISSR_RATING | ||
| 156 | TISSR_ASSET_R30B - LOCK_PER | Lockup-Periode | ||
| 157 | TISSR_ASSET_R30B - LOCK_PER_TYP | Typ der Dauer (Tage, Monate, Jahre) der Lockup-Periode | ||
| 158 | TISSR_ASSET_R30B - MANDT | Client | ||
| 159 | TISSR_ASSET_R30B - PORTFOLIO | Art des Collateral Pools / Referenzakitivums bei ABS/CLN | ||
| 160 | TISSR_ASSET_R30B - PRODUCT_CATEGORY | TISSR_ASSET_R30B-PRODUCT_CATEGORY | ||
| 161 | TISSR_ASSET_R30B - PRODUCT_TYPE | TISSR_ASSET_R30B-PRODUCT_TYPE | ||
| 162 | TISSR_ASSET_R30B - R1_2002 | Berichtspflicht gemäß R1/2002 | ||
| 163 | TISSR_ASSET_R30B - R3_1999 | Berichtspflicht gemäß R3/1999 | ||
| 164 | TISSR_ASSET_R30B - R3_2000 | TISSR_ASSET_R30B-R3_2000 | ||
| 165 | TISSR_ASSET_R30B - RANTYP | External System ID for Capital Investment Type for Reporting | ||
| 166 | TISSR_ASSET_R30B - RATING_COMPANY | Ratinggesellschaft des Wertpapiers | ||
| 167 | TISSR_ASSET_R30B - RISK_TYPE | Art des Risikos | ||
| 168 | TISSR_ASSET_R30B - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 169 | TISSR_ASSET_TYPE - ASSET_TYPE | Kennzeichen Anlagevermögen/Umlaufvermögen | ||
| 170 | TISSR_ASSET_TYPE - COUNTRY_VAR | TISSR_ASSET_TYPE-COUNTRY_VAR | ||
| 171 | TISSR_ASSET_TYPE - MANDT | Client | ||
| 172 | TISSR_BAV_NW670B - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 173 | TISSR_BAV_NW670B - COUNTRY_VAR | TISSR_BAV_NW670B-COUNTRY_VAR | ||
| 174 | TISSR_BAV_NW670B - MANDT | Client | ||
| 175 | TISSR_BAV_NW670B - NW670 | Anlagen R30NW670 | ||
| 176 | TISSR_BAV_NW670P - COUNTRY_VAR | TISSR_BAV_NW670P-COUNTRY_VAR | ||
| 177 | TISSR_BAV_NW670P - MANDT | Client | ||
| 178 | TISSR_BAV_NW670P - NW670 | Anlagen R30NW670 | ||
| 179 | TISSR_BAV_NW670T - COUNTRY_VAR | TISSR_BAV_NW670T-COUNTRY_VAR | ||
| 180 | TISSR_BAV_NW670T - LANGU | Language Key | ||
| 181 | TISSR_BAV_NW670T - MANDT | Client | ||
| 182 | TISSR_BAV_NW670T - NW670 | Anlagen R30NW670 | ||
| 183 | TISSR_BAV_NW670T - XKURZBEZ | Short name for ATAB tables | ||
| 184 | TISSR_BAV_NW670T - XLANGBEZ | ATAB tables long name | ||
| 185 | TISSR_BAV_NW670T - XXLANGBEZ | TISSR_BAV_NW670T-XXLANGBEZ | ||
| 186 | TISSR_BAV_NW671B - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 187 | TISSR_BAV_NW671B - COUNTRY_VAR | TISSR_BAV_NW671B-COUNTRY_VAR | ||
| 188 | TISSR_BAV_NW671B - MANDT | Client | ||
| 189 | TISSR_BAV_NW671B - NW671 | Anlagen R30NW671 | ||
| 190 | TISSR_BAV_NW671P - COUNTRY_VAR | TISSR_BAV_NW671P-COUNTRY_VAR | ||
| 191 | TISSR_BAV_NW671P - MANDT | Client | ||
| 192 | TISSR_BAV_NW671P - NW671 | Anlagen R30NW671 | ||
| 193 | TISSR_BAV_NW671T - COUNTRY_VAR | TISSR_BAV_NW671T-COUNTRY_VAR | ||
| 194 | TISSR_BAV_NW671T - LANGU | Language Key | ||
| 195 | TISSR_BAV_NW671T - MANDT | Client | ||
| 196 | TISSR_BAV_NW671T - NW671 | Anlagen R30NW671 | ||
| 197 | TISSR_BAV_NW671T - XKURZBEZ | Short name for ATAB tables | ||
| 198 | TISSR_BAV_NW671T - XLANGBEZ | ATAB tables long name | ||
| 199 | TISSR_BAV_NW671T - XXLANGBEZ | TISSR_BAV_NW671T-XXLANGBEZ | ||
| 200 | TISSR_BENCHMARK - COUNTRY_VAR | TISSR_BENCHMARK-COUNTRY_VAR | ||
| 201 | TISSR_BENCHMARK - FONDS_BENCH | TISSR_BENCHMARK-FONDS_BENCH | ||
| 202 | TISSR_BENCHMARK - MANDT | Client | ||
| 203 | TISSR_BENCHMARKT - COUNTRY_VAR | TISSR_BENCHMARKT-COUNTRY_VAR | ||
| 204 | TISSR_BENCHMARKT - FONDS_BENCH | TISSR_BENCHMARKT-FONDS_BENCH | ||
| 205 | TISSR_BENCHMARKT - LANGU | Language Key | ||
| 206 | TISSR_BENCHMARKT - MANDT | Client | ||
| 207 | TISSR_BENCHMARKT - XKURZBEZ | Short name for ATAB tables | ||
| 208 | TISSR_BENCHMARKT - XLANGBEZ | ATAB tables long name | ||
| 209 | TISSR_BENCHM_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 210 | TISSR_BENCHM_DS - COUNTRY_VAR | TISSR_BENCHM_DS-COUNTRY_VAR | ||
| 211 | TISSR_BENCHM_DS - FONDS_BENCH | TISSR_BENCHM_DS-FONDS_BENCH | ||
| 212 | TISSR_BENCHM_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 213 | TISSR_BENCHM_DS - MANDT | Client | ||
| 214 | TISSR_BENCHM_DS - PRODUCT_CATEGORY | TISSR_BENCHM_DS-PRODUCT_CATEGORY | ||
| 215 | TISSR_BENCHM_DS - PRODUCT_TYPE | TISSR_BENCHM_DS-PRODUCT_TYPE | ||
| 216 | TISSR_BENCHM_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 217 | TISSR_BONDTYP - BONDTYP | Art der Wertpapiere | ||
| 218 | TISSR_BONDTYP - COUNTRY_VAR | TISSR_BONDTYP-COUNTRY_VAR | ||
| 219 | TISSR_BONDTYP - MANDT | Client | ||
| 220 | TISSR_BONDTYPT - BONDTYP | Art der Wertpapiere | ||
| 221 | TISSR_BONDTYPT - COUNTRY_VAR | TISSR_BONDTYPT-COUNTRY_VAR | ||
| 222 | TISSR_BONDTYPT - LANGU | Language Key | ||
| 223 | TISSR_BONDTYPT - MANDT | Client | ||
| 224 | TISSR_BONDTYPT - XKURZBEZ | Short name for ATAB tables | ||
| 225 | TISSR_BONDTYPT - XLANGBEZ | ATAB tables long name | ||
| 226 | TISSR_BONDTYP_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 227 | TISSR_BONDTYP_DS - BONDTYP | Art der Wertpapiere | ||
| 228 | TISSR_BONDTYP_DS - COUNTRY_VAR | TISSR_BONDTYP_DS-COUNTRY_VAR | ||
| 229 | TISSR_BONDTYP_DS - FLG_CALLABLE | Kapitalanlage ist Callable Bond | ||
| 230 | TISSR_BONDTYP_DS - FLG_CONV_BOND | Investition in Wandelanleihen/Optionsanleihen | ||
| 231 | TISSR_BONDTYP_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 232 | TISSR_BONDTYP_DS - MANDT | Client | ||
| 233 | TISSR_BONDTYP_DS - PRODUCT_CATEGORY | TISSR_BONDTYP_DS-PRODUCT_CATEGORY | ||
| 234 | TISSR_BONDTYP_DS - PRODUCT_TYPE | TISSR_BONDTYP_DS-PRODUCT_TYPE | ||
| 235 | TISSR_BONDTYP_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 236 | TISSR_BONITAET - BONITAET | Einstufung Bonitätsgruppierung | ||
| 237 | TISSR_BONITAET - COUNTRY_VAR | TISSR_BONITAET-COUNTRY_VAR | ||
| 238 | TISSR_BONITAET - MANDT | Client | ||
| 239 | TISSR_BONITAETT - BONITAET | Einstufung Bonitätsgruppierung | ||
| 240 | TISSR_BONITAETT - COUNTRY_VAR | TISSR_BONITAETT-COUNTRY_VAR | ||
| 241 | TISSR_BONITAETT - LANGU | Language Key | ||
| 242 | TISSR_BONITAETT - MANDT | Client | ||
| 243 | TISSR_BONITAETT - XKURZBEZ | Short name for ATAB tables | ||
| 244 | TISSR_BONITAETT - XLANGBEZ | ATAB tables long name | ||
| 245 | TISSR_BP_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 246 | TISSR_BP_DS - COUNTRY_VAR | TISSR_BP_DS-COUNTRY_VAR | ||
| 247 | TISSR_BP_DS - FUND_PERCENT1 | Anteil Erweiterte Streuungsquote | ||
| 248 | TISSR_BP_DS - FUND_PERCENT2 | Anteil Beteiligungsquote | ||
| 249 | TISSR_BP_DS - FUND_PERCENT3 | Anteil generelle Streuungsquote | ||
| 250 | TISSR_BP_DS - FUND_PERCENT4 | Anteil besonders besicherte Anlagen | ||
| 251 | TISSR_BP_DS - MANDT | Client | ||
| 252 | TISSR_BP_DS - PARTNER | Business Partner Number | ||
| 253 | TISSR_BP_DS - PRODUCT_CATEGORY | TISSR_BP_DS-PRODUCT_CATEGORY | ||
| 254 | TISSR_BP_DS - PRODUCT_TYPE | TISSR_BP_DS-PRODUCT_TYPE | ||
| 255 | TISSR_BP_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 256 | TISSR_BRANCH_DS - MANDT | Client | ||
| 257 | TISSR_BRANCH_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 258 | TISSR_BRANCH_DS - PRODUCT_TYPE | TISSR_BRANCH_DS-PRODUCT_TYPE | ||
| 259 | TISSR_BRANCH_DS - PRODUCT_CATEGORY | TISSR_BRANCH_DS-PRODUCT_CATEGORY | ||
| 260 | TISSR_BRANCH_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 261 | TISSR_BRANCH_DS - COUNTRY_VAR | TISSR_BRANCH_DS-COUNTRY_VAR | ||
| 262 | TISSR_BRANCH_DS - BRANCHE | Branchenzugehörigkeit der Wertpapiere | ||
| 263 | TISSR_BRANCH_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 264 | TISSR_COLL_PL_H - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 265 | TISSR_COLL_PL_H - COUNTRY_VAR | TISSR_COLL_PL_H-COUNTRY_VAR | ||
| 266 | TISSR_COLL_PL_H - MANDT | Client | ||
| 267 | TISSR_COLL_PL_H - PORTFOLIO | Art des Collateral Pools / Referenzakitivums bei ABS/CLN | ||
| 268 | TISSR_COLL_PL_H - PRODUCT_CATEGORY | TISSR_COLL_PL_H-PRODUCT_CATEGORY | ||
| 269 | TISSR_COLL_PL_H - PRODUCT_TYPE | TISSR_COLL_PL_H-PRODUCT_TYPE | ||
| 270 | TISSR_COLL_PL_H - VALID_FROM | Datum von Feld vom Typ DATS | ||
| 271 | TISSR_COLL_PL_H - VALID_TO | Datum bis Feld vom Typ DATS | ||
| 272 | TISSR_COLL_POOL - COUNTRY_VAR | TISSR_COLL_POOL-COUNTRY_VAR | ||
| 273 | TISSR_COLL_POOL - MANDT | Client | ||
| 274 | TISSR_COLL_POOL - PORTFOLIO | Art des Collateral Pools / Referenzakitivums bei ABS/CLN | ||
| 275 | TISSR_COLL_POOLT - COUNTRY_VAR | TISSR_COLL_POOLT-COUNTRY_VAR | ||
| 276 | TISSR_COLL_POOLT - LANGU | Language Key | ||
| 277 | TISSR_COLL_POOLT - MANDT | Client | ||
| 278 | TISSR_COLL_POOLT - PORTFOLIO | Art des Collateral Pools / Referenzakitivums bei ABS/CLN | ||
| 279 | TISSR_COLL_POOLT - XKURZBEZ | Short name for ATAB tables | ||
| 280 | TISSR_COLL_POOLT - XLANGBEZ | ATAB tables long name | ||
| 281 | TISSR_COM_RISK - COM_RISK_TYP | Art des Rohstoffrisikos | ||
| 282 | TISSR_COM_RISK - COUNTRY_VAR | TISSR_COM_RISK-COUNTRY_VAR | ||
| 283 | TISSR_COM_RISK - MANDT | Client | ||
| 284 | TISSR_COM_RISKT - COM_RISK_TYP | Art des Rohstoffrisikos | ||
| 285 | TISSR_COM_RISKT - COUNTRY_VAR | TISSR_COM_RISKT-COUNTRY_VAR | ||
| 286 | TISSR_COM_RISKT - LANGU | Language Key | ||
| 287 | TISSR_COM_RISKT - MANDT | Client | ||
| 288 | TISSR_COM_RISKT - XKURZBEZ | Short name for ATAB tables | ||
| 289 | TISSR_COM_RISKT - XLANGBEZ | ATAB tables long name | ||
| 290 | TISSR_DS_LOCAT - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 291 | TISSR_DS_LOCAT - COUNTRY_VAR | TISSR_DS_LOCAT-COUNTRY_VAR | ||
| 292 | TISSR_DS_LOCAT - PRODUCT_CATEGORY | TISSR_DS_LOCAT-PRODUCT_CATEGORY | ||
| 293 | TISSR_DS_LOCAT - PRODUCT_TYPE | TISSR_DS_LOCAT-PRODUCT_TYPE | ||
| 294 | TISSR_DS_LOCAT - PRZ_DE | BaFin: Prozentualer Fonds-Anteil | ||
| 295 | TISSR_DS_LOCAT - PRZ_DE_OEFF | BaFin: Prozentualer Fonds-Anteil | ||
| 296 | TISSR_DS_LOCAT - PRZ_EU | BaFin: Prozentualer Fonds-Anteil | ||
| 297 | TISSR_DS_LOCAT - PRZ_EU_OEFF | BaFin: Prozentualer Fonds-Anteil | ||
| 298 | TISSR_DS_LOCAT - PRZ_EWR | BaFin: Prozentualer Fonds-Anteil | ||
| 299 | TISSR_DS_LOCAT - PRZ_EWR_OEFF | BaFin: Prozentualer Fonds-Anteil | ||
| 300 | TISSR_DS_LOCAT - PRZ_OECD | BaFin: Prozentualer Fonds-Anteil | ||
| 301 | TISSR_DS_LOCAT - PRZ_OECD_OEFF | BaFin: Prozentualer Fonds-Anteil | ||
| 302 | TISSR_DS_LOCAT - PRZ_OTHER | BaFin: Prozentualer Fonds-Anteil | ||
| 303 | TISSR_DS_LOCAT - PRZ_OTHER_OEFF | BaFin: Prozentualer Fonds-Anteil | ||
| 304 | TISSR_DS_LOCAT - RCLNT | Client | ||
| 305 | TISSR_DS_LOCAT - STICHTAG_FONDS | Datum von Feld vom Typ DATS | ||
| 306 | TISSR_EXIT_FEE_H - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 307 | TISSR_EXIT_FEE_H - COUNTRY_VAR | TISSR_EXIT_FEE_H-COUNTRY_VAR | ||
| 308 | TISSR_EXIT_FEE_H - FEE_AMOUNT | Betrag für Exit-Fee | ||
| 309 | TISSR_EXIT_FEE_H - FEE_CURR | Currency Key | ||
| 310 | TISSR_EXIT_FEE_H - FEE_PERCENT | Exit-Fee als Prozentsatz | ||
| 311 | TISSR_EXIT_FEE_H - FEE_PERCENT_BASE | Bezugsbasis für Exit-Fee-Angabe in Prozent | ||
| 312 | TISSR_EXIT_FEE_H - FEE_TYPE | Art der Exit-Fee | ||
| 313 | TISSR_EXIT_FEE_H - MANDT | Client | ||
| 314 | TISSR_EXIT_FEE_H - PRODUCT_CATEGORY | TISSR_EXIT_FEE_H-PRODUCT_CATEGORY | ||
| 315 | TISSR_EXIT_FEE_H - PRODUCT_TYPE | TISSR_EXIT_FEE_H-PRODUCT_TYPE | ||
| 316 | TISSR_EXIT_FEE_H - VALID_FROM | Datum von Feld vom Typ DATS | ||
| 317 | TISSR_EXIT_FEE_H - VALID_TO | Datum bis Feld vom Typ DATS | ||
| 318 | TISSR_EX_FEE_TT - COUNTRY_VAR | TISSR_EX_FEE_TT-COUNTRY_VAR | ||
| 319 | TISSR_EX_FEE_TT - FEE_TYPE | Art der Exit-Fee | ||
| 320 | TISSR_EX_FEE_TT - LANGU | Language Key | ||
| 321 | TISSR_EX_FEE_TT - MANDT | Client | ||
| 322 | TISSR_EX_FEE_TT - XKURZBEZ | Short name for ATAB tables | ||
| 323 | TISSR_EX_FEE_TT - XLANGBEZ | ATAB tables long name | ||
| 324 | TISSR_EX_FEE_TYP - COUNTRY_VAR | TISSR_EX_FEE_TYP-COUNTRY_VAR | ||
| 325 | TISSR_EX_FEE_TYP - FEE_TYPE | Art der Exit-Fee | ||
| 326 | TISSR_EX_FEE_TYP - MANDT | Client | ||
| 327 | TISSR_FEE_PER_B - COUNTRY_VAR | TISSR_FEE_PER_B-COUNTRY_VAR | ||
| 328 | TISSR_FEE_PER_B - FEE_PERC_BASE | Bezugsbasis für Exit-Fee-Angabe in Prozent | ||
| 329 | TISSR_FEE_PER_B - MANDT | Client | ||
| 330 | TISSR_FEE_PER_BT - COUNTRY_VAR | TISSR_FEE_PER_BT-COUNTRY_VAR | ||
| 331 | TISSR_FEE_PER_BT - FEE_PERC_BASE | Bezugsbasis für Exit-Fee-Angabe in Prozent | ||
| 332 | TISSR_FEE_PER_BT - LANGU | Language Key | ||
| 333 | TISSR_FEE_PER_BT - MANDT | Client | ||
| 334 | TISSR_FEE_PER_BT - XKURZBEZ | Short name for ATAB tables | ||
| 335 | TISSR_FEE_PER_BT - XLANGBEZ | ATAB tables long name | ||
| 336 | TISSR_FOF_REL - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 337 | TISSR_FOF_REL - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 338 | TISSR_FOF_REL - COUNTRY_VAR | TISSR_FOF_REL-COUNTRY_VAR | ||
| 339 | TISSR_FOF_REL - FLG_07C | Schuldverschr. gemäß §1 Abs. 1 Nr.7 Bst. c AnlV | ||
| 340 | TISSR_FOF_REL - FLG_08 | Schuldverschreibung gemäß §1 Abs. 1 Nr.8 AnlV | ||
| 341 | TISSR_FOF_REL - FLG_ABS | Anlagen in ABS/CLN | ||
| 342 | TISSR_FOF_REL - FLG_HF | Anlagen in Hedgefonds und in daran gebundene Anlagen | ||
| 343 | TISSR_FOF_REL - FLG_MAXYLD | Kapitalanlage enthält High-Yield-Rentenpapiere | ||
| 344 | TISSR_FOF_REL - FLG_NONEWR | Aktien und Genüsse von Untern. mit Sitz außerhalb EWR | ||
| 345 | TISSR_FOF_REL - MANDT | Client | ||
| 346 | TISSR_FOF_REL - PRODUCT_CATEGORY | TISSR_FOF_REL-PRODUCT_CATEGORY | ||
| 347 | TISSR_FOF_REL - PRODUCT_TYPE | TISSR_FOF_REL-PRODUCT_TYPE | ||
| 348 | TISSR_FOF_REL - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 349 | TISSR_FONDS_CAN - COUNTRY_VAR | TISSR_FONDS_CAN-COUNTRY_VAR | ||
| 350 | TISSR_FONDS_CAN - FONDS_CANC | Festgelegte Kündigungsfristen für Fondsanteile | ||
| 351 | TISSR_FONDS_CAN - MANDT | Client | ||
| 352 | TISSR_FONDS_CANT - COUNTRY_VAR | TISSR_FONDS_CANT-COUNTRY_VAR | ||
| 353 | TISSR_FONDS_CANT - FONDS_CANC | Festgelegte Kündigungsfristen für Fondsanteile | ||
| 354 | TISSR_FONDS_CANT - LANGU | Language Key | ||
| 355 | TISSR_FONDS_CANT - MANDT | Client | ||
| 356 | TISSR_FONDS_CANT - XKURZBEZ | Short name for ATAB tables | ||
| 357 | TISSR_FONDS_CANT - XLANGBEZ | ATAB tables long name | ||
| 358 | TISSR_FONDS_CAT - COUNTRY_VAR | TISSR_FONDS_CAT-COUNTRY_VAR | ||
| 359 | TISSR_FONDS_CAT - FONDSART | Fondsart | ||
| 360 | TISSR_FONDS_CAT - MANDT | Client | ||
| 361 | TISSR_FONDS_CATT - COUNTRY_VAR | TISSR_FONDS_CATT-COUNTRY_VAR | ||
| 362 | TISSR_FONDS_CATT - FONDSART | Fondsart | ||
| 363 | TISSR_FONDS_CATT - LANGU | Language Key | ||
| 364 | TISSR_FONDS_CATT - MANDT | Client | ||
| 365 | TISSR_FONDS_CATT - XKURZBEZ | Short name for ATAB tables | ||
| 366 | TISSR_FONDS_CATT - XLANGBEZ | ATAB tables long name | ||
| 367 | TISSR_FONDS_TRM - COUNTRY_VAR | TISSR_FONDS_TRM-COUNTRY_VAR | ||
| 368 | TISSR_FONDS_TRM - FONDS_TRM | Festgelegte Rückgabe-/Kündigungsfristen für Fondsanteile | ||
| 369 | TISSR_FONDS_TRM - MANDT | Client | ||
| 370 | TISSR_FONDS_TRMR - COUNTRY_VAR | TISSR_FONDS_TRMR-COUNTRY_VAR | ||
| 371 | TISSR_FONDS_TRMR - FONDS_TRM | Festgelegte Rückgabe-/Kündigungsfristen für Fondsanteile | ||
| 372 | TISSR_FONDS_TRMR - MANDT | Client | ||
| 373 | TISSR_FONDS_TRMR - PRODUCT_CATEGORY | TISSR_FONDS_TRMR-PRODUCT_CATEGORY | ||
| 374 | TISSR_FONDS_TRMT - COUNTRY_VAR | TISSR_FONDS_TRMT-COUNTRY_VAR | ||
| 375 | TISSR_FONDS_TRMT - FONDS_TRM | Festgelegte Rückgabe-/Kündigungsfristen für Fondsanteile | ||
| 376 | TISSR_FONDS_TRMT - LANGU | Language Key | ||
| 377 | TISSR_FONDS_TRMT - MANDT | Client | ||
| 378 | TISSR_FONDS_TRMT - XKURZBEZ | Short name for ATAB tables | ||
| 379 | TISSR_FONDS_TRMT - XLANGBEZ | ATAB tables long name | ||
| 380 | TISSR_FOND_WR_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 381 | TISSR_FOND_WR_DS - BUKRS | Company Code | ||
| 382 | TISSR_FOND_WR_DS - COUNTRY_VAR | TISSR_FOND_WR_DS-COUNTRY_VAR | ||
| 383 | TISSR_FOND_WR_DS - FLG_TRANSP_FONDS | TISSR_FOND_WR_DS-FLG_TRANSP_FONDS | ||
| 384 | TISSR_FOND_WR_DS - MANDT | Client | ||
| 385 | TISSR_FOND_WR_DS - PRODUCT_CATEGORY | TISSR_FOND_WR_DS-PRODUCT_CATEGORY | ||
| 386 | TISSR_FOND_WR_DS - PRODUCT_TYPE | TISSR_FOND_WR_DS-PRODUCT_TYPE | ||
| 387 | TISSR_FOND_WR_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 388 | TISSR_FSTRUC_TPT - COUNTRY_VAR | TISSR_FSTRUC_TPT-COUNTRY_VAR | ||
| 389 | TISSR_FSTRUC_TPT - XLANGBEZ | ATAB tables long name | ||
| 390 | TISSR_FSTRUC_TPT - XKURZBEZ | Short name for ATAB tables | ||
| 391 | TISSR_FSTRUC_TPT - LANGU | Language Key | ||
| 392 | TISSR_FSTRUC_TPT - ART_PRODUCT | Art des strukturierten Produkts | ||
| 393 | TISSR_FSTRUC_TPT - MANDT | Client | ||
| 394 | TISSR_FSTRUC_TYP - ART_PRODUCT | Art des strukturierten Produkts | ||
| 395 | TISSR_FSTRUC_TYP - COUNTRY_VAR | TISSR_FSTRUC_TYP-COUNTRY_VAR | ||
| 396 | TISSR_FSTRUC_TYP - MANDT | Client | ||
| 397 | TISSR_INDEXGRP - COUNTRY_VAR | TISSR_INDEXGRP-COUNTRY_VAR | ||
| 398 | TISSR_INDEXGRP - INDEXGRP | Indexgruppenzugehörigkeit der Wertpapiere | ||
| 399 | TISSR_INDEXGRP - MANDT | Client | ||
| 400 | TISSR_INDEXGRPT - COUNTRY_VAR | TISSR_INDEXGRPT-COUNTRY_VAR | ||
| 401 | TISSR_INDEXGRPT - INDEXGRP | Indexgruppenzugehörigkeit der Wertpapiere | ||
| 402 | TISSR_INDEXGRPT - LANGU | Language Key | ||
| 403 | TISSR_INDEXGRPT - MANDT | Client | ||
| 404 | TISSR_INDEXGRPT - XKURZBEZ | Short name for ATAB tables | ||
| 405 | TISSR_INDEXGRPT - XLANGBEZ | ATAB tables long name | ||
| 406 | TISSR_INDEX_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 407 | TISSR_INDEX_DS - COUNTRY_VAR | TISSR_INDEX_DS-COUNTRY_VAR | ||
| 408 | TISSR_INDEX_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 409 | TISSR_INDEX_DS - INDEXGRP | Indexgruppenzugehörigkeit der Wertpapiere | ||
| 410 | TISSR_INDEX_DS - MANDT | Client | ||
| 411 | TISSR_INDEX_DS - PRODUCT_CATEGORY | TISSR_INDEX_DS-PRODUCT_CATEGORY | ||
| 412 | TISSR_INDEX_DS - PRODUCT_TYPE | TISSR_INDEX_DS-PRODUCT_TYPE | ||
| 413 | TISSR_INDEX_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 414 | TISSR_INVESTMENT - COUNTRY_VAR | TISSR_INVESTMENT-COUNTRY_VAR | ||
| 415 | TISSR_INVESTMENT - FLG_INVESTMENT | Kennzeichen 'Kapitalanlage ist Beteiligung' | ||
| 416 | TISSR_INVESTMENT - MANDT | Client | ||
| 417 | TISSR_INVESTMNTT - COUNTRY_VAR | TISSR_INVESTMNTT-COUNTRY_VAR | ||
| 418 | TISSR_INVESTMNTT - FLG_INVESTMENT | Kennzeichen 'Kapitalanlage ist Beteiligung' | ||
| 419 | TISSR_INVESTMNTT - LANGU | Language Key | ||
| 420 | TISSR_INVESTMNTT - MANDT | Client | ||
| 421 | TISSR_INVESTMNTT - XKURZBEZ | Short name for ATAB tables | ||
| 422 | TISSR_INVESTMNTT - XLANGBEZ | ATAB tables long name | ||
| 423 | TISSR_INVG_CAT - INVG_CAT | Kategorisierung des Fonds gemäß Investmentgesetz (InvG) | ||
| 424 | TISSR_INVG_CAT - RCLNT | Client | ||
| 425 | TISSR_INVG_CAT - RCOUNTRY_VAR | TISSR_INVG_CAT-RCOUNTRY_VAR | ||
| 426 | TISSR_INVG_CATT - INVG_CAT | Kategorisierung des Fonds gemäß Investmentgesetz (InvG) | ||
| 427 | TISSR_INVG_CATT - LANGU | Language Key | ||
| 428 | TISSR_INVG_CATT - MANDT | Client | ||
| 429 | TISSR_INVG_CATT - RCOUNTRY_VAR | TISSR_INVG_CATT-RCOUNTRY_VAR | ||
| 430 | TISSR_INVG_CATT - XKURZBEZ | Short name for ATAB tables | ||
| 431 | TISSR_INVG_CATT - XLANGBEZ | ATAB tables long name | ||
| 432 | TISSR_INV_STRAT - COUNTRY_VAR | TISSR_INV_STRAT-COUNTRY_VAR | ||
| 433 | TISSR_INV_STRAT - INVEST_STRAT | Anlagestrategie eines Fonds | ||
| 434 | TISSR_INV_STRAT - MANDT | Client | ||
| 435 | TISSR_INV_STRATR - COUNTRY_VAR | TISSR_INV_STRATR-COUNTRY_VAR | ||
| 436 | TISSR_INV_STRATR - INVEST_STRAT | Anlagestrategie eines Fonds | ||
| 437 | TISSR_INV_STRATR - MANDT | Client | ||
| 438 | TISSR_INV_STRATR - PRODUCT_CATEGORY | TISSR_INV_STRATR-PRODUCT_CATEGORY | ||
| 439 | TISSR_INV_STRATT - COUNTRY_VAR | TISSR_INV_STRATT-COUNTRY_VAR | ||
| 440 | TISSR_INV_STRATT - INVEST_STRAT | Anlagestrategie eines Fonds | ||
| 441 | TISSR_INV_STRATT - LANGU | Language Key | ||
| 442 | TISSR_INV_STRATT - MANDT | Client | ||
| 443 | TISSR_INV_STRATT - XKURZBEZ | Short name for ATAB tables | ||
| 444 | TISSR_INV_STRATT - XLANGBEZ | ATAB tables long name | ||
| 445 | TISSR_NW673_TXT - COUNTER | Numeric, 2-digit value | ||
| 446 | TISSR_NW673_TXT - COUNTRY_VAR | TISSR_NW673_TXT-COUNTRY_VAR | ||
| 447 | TISSR_NW673_TXT - LANGU | Language Key | ||
| 448 | TISSR_NW673_TXT - MANDT | Client | ||
| 449 | TISSR_NW673_TXT - NW673_KENNUNG | Anlagen R30NW670 | ||
| 450 | TISSR_NW673_TXT - XKURZBEZ | Short name for ATAB tables | ||
| 451 | TISSR_NW673_TXT - XLANGBEZ | ATAB tables long name | ||
| 452 | TISSR_NW673_TXT - XXLANGBEZ | TISSR_NW673_TXT-XXLANGBEZ | ||
| 453 | TISSR_RATING - MANDT | Client | ||
| 454 | TISSR_RATING - COUNTRY_VAR | TISSR_RATING-COUNTRY_VAR | ||
| 455 | TISSR_RATING - ISSR_RATING | TISSR_RATING-ISSR_RATING | ||
| 456 | TISSR_RATINGCOMT - COUNTRY_VAR | TISSR_RATINGCOMT-COUNTRY_VAR | ||
| 457 | TISSR_RATINGCOMT - LANGU | Language Key | ||
| 458 | TISSR_RATINGCOMT - MANDT | Client | ||
| 459 | TISSR_RATINGCOMT - RATING_COMPANY | Ratinggesellschaft des Wertpapiers | ||
| 460 | TISSR_RATINGCOMT - XKURZBEZ | Short name for ATAB tables | ||
| 461 | TISSR_RATINGCOMT - XLANGBEZ | ATAB tables long name | ||
| 462 | TISSR_RATINGT - COUNTRY_VAR | TISSR_RATINGT-COUNTRY_VAR | ||
| 463 | TISSR_RATINGT - ISSR_RATING | TISSR_RATINGT-ISSR_RATING | ||
| 464 | TISSR_RATINGT - LANGU | Language Key | ||
| 465 | TISSR_RATINGT - MANDT | Client | ||
| 466 | TISSR_RATINGT - XKURZBEZ | Short name for ATAB tables | ||
| 467 | TISSR_RATINGT - XLANGBEZ | ATAB tables long name | ||
| 468 | TISSR_RATING_COM - COUNTRY_VAR | TISSR_RATING_COM-COUNTRY_VAR | ||
| 469 | TISSR_RATING_COM - MANDT | Client | ||
| 470 | TISSR_RATING_COM - RATING_COMPANY | Ratinggesellschaft des Wertpapiers | ||
| 471 | TISSR_RATING_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 472 | TISSR_RATING_DS - COUNTRY_VAR | TISSR_RATING_DS-COUNTRY_VAR | ||
| 473 | TISSR_RATING_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 474 | TISSR_RATING_DS - MANDT | Client | ||
| 475 | TISSR_RATING_DS - PRODUCT_CATEGORY | TISSR_RATING_DS-PRODUCT_CATEGORY | ||
| 476 | TISSR_RATING_DS - PRODUCT_TYPE | TISSR_RATING_DS-PRODUCT_TYPE | ||
| 477 | TISSR_RATING_DS - RATING | TISSR_RATING_DS-RATING | ||
| 478 | TISSR_RATING_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 479 | TISSR_RATING_H - RCOUNTRY_VAR | TISSR_RATING_H-RCOUNTRY_VAR | ||
| 480 | TISSR_RATING_H - VALID_TO | Datum bis Feld vom Typ DATS | ||
| 481 | TISSR_RATING_H - VALID_FROM | Datum von Feld vom Typ DATS | ||
| 482 | TISSR_RATING_H - RPRODUCT_TYPE | TISSR_RATING_H-RPRODUCT_TYPE | ||
| 483 | TISSR_RATING_H - RCLNT | Client | ||
| 484 | TISSR_RATING_H - RATING | TISSR_RATING_H-RATING | ||
| 485 | TISSR_RATING_H - RASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 486 | TISSR_RATING_H - PRODUCT_CAT | TISSR_RATING_H-PRODUCT_CAT | ||
| 487 | TISSR_RATING_H - DATE_RATING_V | Rating - Datum der Veröffentlichung | ||
| 488 | TISSR_RATING_H - DATE_RATING_P | Datum der Ratingüberprüfung | ||
| 489 | TISSR_RATING_H - RATING_COMPANY | Ratinggesellschaft des Wertpapiers | ||
| 490 | TISSR_STRUC2_TPT - MANDT | Client | ||
| 491 | TISSR_STRUC2_TPT - XLANGBEZ | ATAB tables long name | ||
| 492 | TISSR_STRUC2_TPT - XKURZBEZ | Short name for ATAB tables | ||
| 493 | TISSR_STRUC2_TPT - LANGU | Language Key | ||
| 494 | TISSR_STRUC2_TPT - COUNTRY_VAR | TISSR_STRUC2_TPT-COUNTRY_VAR | ||
| 495 | TISSR_STRUC2_TPT - ART_ABSCLN | Art des strukturierten Produkts | ||
| 496 | TISSR_STRUC2_TYP - MANDT | Client | ||
| 497 | TISSR_STRUC2_TYP - COUNTRY_VAR | TISSR_STRUC2_TYP-COUNTRY_VAR | ||
| 498 | TISSR_STRUC2_TYP - ART_ABSCLN | Art des strukturierten Produkts | ||
| 499 | VIMDESC - DELMDTFLAG | Checkbox | ||
| 500 | VIMDESC - SELECTION | CHAR01 data element for SYST |