Table list used by SAP ABAP Program LISSR6_R31F00 (LISSR6_R31F00)
SAP ABAP Program
LISSR6_R31F00 (LISSR6_R31F00) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BUT000 | BP: General data I | ||
| 2 | BUT100 | BP: Roles | ||
| 3 | E071K | Change & Transport System: Key Entries of Requests/Tasks | ||
| 4 | TISSR_ANL10_DS | Zuordnung Kennz. Anl.10 zu Fonds für Durchrechnung Fonds | ||
| 5 | TISSR_ANLART | ISSR: Anlageart gemäß den Rechnungslegungsvorschriften | ||
| 6 | TISSR_ANLARTT | ISSR: Anlageart gem.den Rechnungslegungsvorschr.Textta | ||
| 7 | TISSR_ANLART_DS | Durchsicht Fonds unter Berücksichtigung der AnlV | ||
| 8 | TISSR_ASSETTYPET | Texttabelle zur Tabelle TISSR_ASSET_TYPE | ||
| 9 | TISSR_ASSET_R30 | Stichtagsbezogene Kennzeichen je Anlage gem. R30/2002 | ||
| 10 | TISSR_ASSET_R30B | Stichtagsbez.Kennz. je Anlage gem. R30/2002 (keine WP) | ||
| 11 | TISSR_ASSET_TYPE | Definition Kennzeichen Anlagevermögen/Umlaufvermögen | ||
| 12 | TISSR_BAV_NW670B | ISSR: Beziehungstabelle Kennz. R30 NW670 zur Anlageform | ||
| 13 | TISSR_BAV_NW670P | ISSR: Prüftabelle zur Anlage R30 NW670 | ||
| 14 | TISSR_BAV_NW670T | ISSR: Texttabelle zur Prüftabelle zur Anlage R30 NW670 | ||
| 15 | TISSR_BAV_NW671B | ISSR: Beziehungstabelle Kennz. R30 NW671 zur Anlageform | ||
| 16 | TISSR_BAV_NW671P | ISSR: Prüftabelle zur Anlage R30 NW671 | ||
| 17 | TISSR_BAV_NW671T | ISSR: Texttabelle zur Prüftabelle zur Anlage R30 NW671 | ||
| 18 | TISSR_BENCHMARK | Definition der Benchmark | ||
| 19 | TISSR_BENCHMARKT | Texttabelle zur Definition der Benchmark | ||
| 20 | TISSR_BENCHM_DS | Zuordnung Benchmarkzusammensetzung zum Fonds | ||
| 21 | TISSR_BONDTYP | ISSR: Art der in einem Fonds enthaltenen Wertpapiere | ||
| 22 | TISSR_BONDTYPT | Texttabelle zur Tabelle TISSR_BONDTYP | ||
| 23 | TISSR_BONDTYP_DS | Zuordnung Wertpapierart um Fonds zur Durchrechnung Fonds | ||
| 24 | TISSR_BONITAET | Bonitätsgruppierung definieren | ||
| 25 | TISSR_BONITAETT | Bonitätsgruppierung definieren | ||
| 26 | TISSR_BP_DS | Durchsicht Fonds Struktur nach Emittent | ||
| 27 | TISSR_BRANCH_DS | Zuordnung Branche zum Fonds für Durchsicht Fonds | ||
| 28 | TISSR_COLL_PL_H | Collateral-Pool Historie | ||
| 29 | TISSR_COLL_POOL | Definition der Collateral Pools | ||
| 30 | TISSR_COLL_POOLT | Definition der Collateral Pools | ||
| 31 | TISSR_COM_RISK | Definition Rostoffrisikotypen | ||
| 32 | TISSR_COM_RISKT | Texttabelle zur Tabelle TISSR_FONDS_CAN | ||
| 33 | TISSR_DS_LOCAT | Durchsicht nach Sitz und Art des Schuldners | ||
| 34 | TISSR_EXIT_FEE_H | Historische Darstellung der Exit Fees | ||
| 35 | TISSR_EX_FEE_TT | Texttabelle für Exit Fee Types | ||
| 36 | TISSR_EX_FEE_TYP | Exit Fee types | ||
| 37 | TISSR_FEE_PER_B | Percentage base for exit fees | ||
| 38 | TISSR_FEE_PER_BT | Texttabelle für TISSR_FEE_PER_B | ||
| 39 | TISSR_FOF_REL | ISSR: Abwicklung Vertragsbedingungen von Dachfonds | ||
| 40 | TISSR_FONDS_CAN | Definition der Kündigungsfrist für Fondsanteile | ||
| 41 | TISSR_FONDS_CANT | Texttabelle zur Tabelle TISSR_FONDS_CAN | ||
| 42 | TISSR_FONDS_CAT | Fondskategorie | ||
| 43 | TISSR_FONDS_CATT | Fondskategorietexte | ||
| 44 | TISSR_FONDS_TRM | Definition der Rückgabefrist für Fondsanteile | ||
| 45 | TISSR_FONDS_TRMR | Definition der Rückgabefrist für Fondsanteile | ||
| 46 | TISSR_FONDS_TRMT | Texttabelle zur Tabelle TISSR_FONDS_TRM | ||
| 47 | TISSR_FOND_WR_DS | Einstellungen zur Fondsdurchsicht je Fonds | ||
| 48 | TISSR_FSTRUC_TPT | Texttabelle zur Definitionstabelle TISSR_FSTRUC_TYP | ||
| 49 | TISSR_FSTRUC_TYP | Definition der Strukturierung eines Fonds | ||
| 50 | TISSR_INDEXGRP | Definitionstabelle für Indexgruppen Wertpapiere | ||
| 51 | TISSR_INDEXGRPT | Definitionstabelle für Indexgruppen Wertpapiere | ||
| 52 | TISSR_INDEX_DS | Zuordnung Fonds zur Wertpapierindexgruppe | ||
| 53 | TISSR_INVESTMENT | Definition der Beteiligungsform | ||
| 54 | TISSR_INVESTMNTT | Definition der Beteiligungsform | ||
| 55 | TISSR_INVG_CAT | Kategorisierung des Fonds gemäß Investmentgesetz (InvG) | ||
| 56 | TISSR_INVG_CATT | Texte für Tabelle TISSR_INVG_CAT | ||
| 57 | TISSR_INV_STRAT | Definition der Anlagestrategie eines Fonds | ||
| 58 | TISSR_INV_STRATR | Beziehung zwischen Anlagestrategie und Produkttyp | ||
| 59 | TISSR_INV_STRATT | Texttabelle zur Tabelle TISSR_INV_STRAT | ||
| 60 | TISSR_NW673_TXT | ISSR: Texttabelle für die Liste NW673 | ||
| 61 | TISSR_RATING | Ratingeinstufung des Fonds | ||
| 62 | TISSR_RATINGCOMT | Texttabelle zu TISSR_RATING_COM | ||
| 63 | TISSR_RATINGT | ISSR: Texttabelle, Ratingeinstufung des Fonds | ||
| 64 | TISSR_RATING_COM | Ratinggesellschaften definieren | ||
| 65 | TISSR_RATING_DS | Ratingeinstufung je Fonds für Durchsicht Fonds | ||
| 66 | TISSR_RATING_H | Historie des Wertpapier-Ratings | ||
| 67 | TISSR_STRUC2_TPT | Texttabelle zu TISSRFSTRUC2_TYP | ||
| 68 | TISSR_STRUC2_TYP | Definition der Strukturierung eines Fonds | ||
| 69 | VIMDESC | Control block structure for view maintenance | ||
| 70 | VIMSTATUS | Processing status vector for view maintenance | ||
| 71 | VISSR_ASSETR30BO | Generated Table for View | ||
| 72 | VISSR_COLL_PL_H | Generated Table for View | ||
| 73 | VISSR_EXIT_FEE_H | Generated Table for View | ||
| 74 | VISSR_EX_FEE_TYP | Generated Table for View | ||
| 75 | VISSR_FEE_PER_B | Generated Table for View | ||
| 76 | VISSR_FSTRUC_TYP | Generated Table for View | ||
| 77 | VISSR_INVG_CAT | Generated Table for View | ||
| 78 | VISSR_NW673_TXT | Generated Table for View | ||
| 79 | VISSR_RATING_H | Generated Table for View | ||
| 80 | VISSR_STRUC2_TYP | Generated Table for View | ||
| 81 | V_ISSR_ANLART_DO | Generated Table for View | ||
| 82 | V_ISSR_ASSETR30B | Generated Table for View | ||
| 83 | V_ISSR_ASSETR30O | Generated Table for View | ||
| 84 | V_ISSR_ASSET_R30 | Generated Table for View | ||
| 85 | V_ISSR_BENCHM_DS | Generated Table for View | ||
| 86 | V_ISSR_BONDTP_DO | Generated Table for View | ||
| 87 | V_ISSR_COM_RISK | Generated Table for View | ||
| 88 | V_ISSR_FONDSCAN | Generated Table for View | ||
| 89 | V_ISSR_FONDSTRM | Generated Table for View | ||
| 90 | V_ISSR_FONDSTRMR | Generated Table for View | ||
| 91 | V_ISSR_FONDS_CAT | Generated Table for View | ||
| 92 | V_ISSR_INVSTRAT | Generated Table for View | ||
| 93 | V_ISSR_INVSTRATR | Generated Table for View V_ISSR_INVSTRATR | ||
| 94 | V_TISSR_ANL10_DS | Generated Table for View | ||
| 95 | V_TISSR_ANLART_D | Generated Table for View | ||
| 96 | V_TISSR_ASSETR30 | Generated Table for View | ||
| 97 | V_TISSR_ASSETTYP | Generated Table for View | ||
| 98 | V_TISSR_BENCHMK | Generated Table for View | ||
| 99 | V_TISSR_BONDTP_D | Generated Table for View | ||
| 100 | V_TISSR_BONDTYP | Generated Table for View | ||
| 101 | V_TISSR_BONITAET | Generated Table for View | ||
| 102 | V_TISSR_BP | Generated Table for View | ||
| 103 | V_TISSR_BRANCH | Generated Table for View | ||
| 104 | V_TISSR_COLLPOOL | Generated Table for View | ||
| 105 | V_TISSR_DS_LOCAT | Generated Table for View | ||
| 106 | V_TISSR_FOF_REL | Generated Table for View V_TISSR_FOF_REL | ||
| 107 | V_TISSR_FOND_WR | Generated Table for View V_TISSR_FOND_WR | ||
| 108 | V_TISSR_INDEXGRP | Generated Table for View | ||
| 109 | V_TISSR_INDEX_DS | Generated Table for View | ||
| 110 | V_TISSR_INVESTM | Generated Table for View | ||
| 111 | V_TISSR_NW670 | Generated Table for View | ||
| 112 | V_TISSR_NW670B | Generated Table for View | ||
| 113 | V_TISSR_NW671 | Generated Table for View | ||
| 114 | V_TISSR_NW671B | Generated Table for View | ||
| 115 | V_TISSR_RATING | Generated Table for View | ||
| 116 | V_TISSR_RATINGCO | Generated Table for View | ||
| 117 | V_TISSR_RATING_D | Generated Table for View |