Table/Structure Field list used by SAP ABAP Program RZKLGAT1 (Print Securities Class Data)
SAP ABAP Program
RZKLGAT1 (Print Securities Class Data) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BUS000 - NAME_GRP1 | Name 1 (group) | ||
| 2 | BUS000 - NAME_LAST | Last name of business partner (person) | ||
| 3 | BUS000 - NAME_ORG1 | Name 1 of organization | ||
| 4 | BUS000 - PARTNER | Business Partner Number | ||
| 5 | BUS000 - TYPE | Business partner category | ||
| 6 | BUS000A - TYPE | Business partner category | ||
| 7 | BUS000AINI - TYPE | Business partner category | ||
| 8 | BUS000G - NAME_GRP1 | Name 1 (group) | ||
| 9 | BUS000N - NAME_LAST | Last name of business partner (person) | ||
| 10 | BUS000N_CHAR - NAME_LAST | Last name of business partner (person) | ||
| 11 | BUS000O - NAME_ORG1 | Name 1 of organization | ||
| 12 | BUS000O_CHAR - NAME_ORG1 | Name 1 of organization | ||
| 13 | BUS000_DAT - NAME_GRP1 | Name 1 (group) | ||
| 14 | BUS000_DAT - NAME_LAST | Last name of business partner (person) | ||
| 15 | BUS000_DAT - NAME_ORG1 | Name 1 of organization | ||
| 16 | BUS000_DAT - TYPE | Business partner category | ||
| 17 | DD07L - DOMVALUE_L | Values for Domains: Single Value / Upper Limit | ||
| 18 | DD07V - DDTEXT | Short Text for Fixed Values | ||
| 19 | INDEXDT - IDX | Securities Index | ||
| 20 | INDEXDT - SPRAS | Language Key | ||
| 21 | INDEXDT - XLANGBEZ | ATAB tables long name | ||
| 22 | RVZKOKOKEY - BUKRS | Company Code | ||
| 23 | RVZKOKOKEY - MANDT | Client | ||
| 24 | RVZKOKOKEY - RKEY1 | Key part 1 | ||
| 25 | RVZKOKOKEY - RKEY2 | Key part 2 | ||
| 26 | RVZKOKOKEY - RKEY3 | Key part 3 | ||
| 27 | RVZKOKOKEY - SANLF | Product Category | ||
| 28 | SYST - LANGU | ABAP System Field: Language Key of Text Environment | ||
| 29 | SYST - LINSZ | ABAP System Field: Line Width of Current List | ||
| 30 | SYST - MANDT | ABAP System Field: Client ID of Current User | ||
| 31 | SYST - TABIX | ABAP System Field: Row Index of Internal Tables | ||
| 32 | SYST - ULINE | ABAP System Field: Horizontal Line for List | ||
| 33 | TACT - ACTVT | Activity | ||
| 34 | TCURT - LTEXT | Long Text | ||
| 35 | TCURT - SPRAS | Language Key | ||
| 36 | TCURT - WAERS | Currency Key | ||
| 37 | TERTVWERKO - CURRENCY1 | Exercise price currency | ||
| 38 | TERTVWERKO - ENDDATE | Term to | ||
| 39 | TERTVWERKO - PRICE | Exercise price | ||
| 40 | TERTVWERKO - RATIODENOMINATOR | Option ratio - Denominator | ||
| 41 | TERTVWERKO - RATIONUMERATOR | Option ratio - numerator | ||
| 42 | TERTVWERKO - RIGHTNUMBER | ID number of executable right | ||
| 43 | TERTVWERKO - RIGHTTYPE | Rights category of an executable right | ||
| 44 | TERTVWERKO - STARTDATE | Term from | ||
| 45 | TERTVWERPO - REFRANL | ID number of reference security of an executable right | ||
| 46 | TERTVWERPO - RIGHTNUMBER | ID number of executable right | ||
| 47 | TP06T - LANGU | Language Key | ||
| 48 | TP06T - RATING | Rating | ||
| 49 | TP06T - XRATING | Rating Description | ||
| 50 | TP07T - LANGU | Language Key | ||
| 51 | TP07T - SOL_INS | Institute Providing Credit Standing Information | ||
| 52 | TP07T - XSOLV | Name of Credit Rating Institute | ||
| 53 | TRSS_APPL_DATA - DIS_FLOWTYPE | Update Type | ||
| 54 | TRSS_APPL_DATA - FLOWCAT_TRS | Flow Category for Securities Account Management | ||
| 55 | TRSS_APPL_DATA - NOMINAL_AMT | Nominal Amount | ||
| 56 | TRSS_APPL_DATA - NOMINAL_CURR | Nominal Currency | ||
| 57 | TRSS_APPL_DATA - PAYMENT_DATE | Payment or Delivery Date | ||
| 58 | TRSS_APPL_DATA - POSITION_AMT | Amount in Position Currency | ||
| 59 | TRSS_APPL_DATA - POSITION_CURR | Position Currency | ||
| 60 | TRSS_APPL_DATA - SBEWART | Flow Type | ||
| 61 | TRSS_CF_FLOW - ATAGE | Number of Days | ||
| 62 | TRSS_CF_FLOW - DFAELL | Due date | ||
| 63 | TRSS_CF_FLOW - DIS_FLOWTYPE | Update Type | ||
| 64 | TRSS_CF_FLOW - DVALUT | Calculation Date | ||
| 65 | TRSS_CF_FLOW - FLOWCAT_TRS | Flow Category for Securities Account Management | ||
| 66 | TRSS_CF_FLOW - NOMINAL_AMT | Nominal Amount | ||
| 67 | TRSS_CF_FLOW - NOMINAL_CURR | Nominal Currency | ||
| 68 | TRSS_CF_FLOW - PAYMENT_DATE | Payment or Delivery Date | ||
| 69 | TRSS_CF_FLOW - POSITION_AMT | Amount in Position Currency | ||
| 70 | TRSS_CF_FLOW - POSITION_CURR | Position Currency | ||
| 71 | TRSS_CF_FLOW - SBEWART | Flow Type | ||
| 72 | TRSS_CF_FLOW - SPLANIST | Plan/actual record/record to be released indicator | ||
| 73 | TRSS_FIMA_DATA - ATAGE | Number of Days | ||
| 74 | TRSS_FIMA_DATA - DFAELL | Due date | ||
| 75 | TRSS_FIMA_DATA - DVALUT | Calculation Date | ||
| 76 | TRSS_FIMA_DATA - SPLANIST | Plan/actual record/record to be released indicator | ||
| 77 | TW01T - SPRAS | Language Key | ||
| 78 | TW01T - SWPKLASS | Classification of bond | ||
| 79 | TW01T - XLANGBEZ | ATAB tables long name | ||
| 80 | TW02T - SARTBET | Type of shareholding | ||
| 81 | TW03T - SKONBET | Details about structure of shareholding | ||
| 82 | TW03T - SPRAS | Language Key | ||
| 83 | TW20T - SPRAS | Language Key | ||
| 84 | TW20T - SWERTTYP | Security Type ID | ||
| 85 | TW20T - XKURZBEZ | Short name for ATAB tables | ||
| 86 | TW21T - SFOTY | Fund type indicator | ||
| 87 | TW21T - SPRAS | Language Key | ||
| 88 | TW21T - XKURZBEZ | Short name for ATAB tables | ||
| 89 | TWRFT - LTX | Text Field of Length 60 | ||
| 90 | TWRFT - SARTBEZ | ID for type of relationship between product categories | ||
| 91 | TWRFT - SPRAS | Language Key | ||
| 92 | TWX1T - SPRAS | Language Key | ||
| 93 | TWX1T - VVRANLWI | No. of the secondary index description for class data | ||
| 94 | TWX1T - XKURZBEZ | Short name for ATAB tables | ||
| 95 | TWX2 - RANL | Security ID Number | ||
| 96 | TWX2 - VVRANLWI | No. of the secondary index description for class data | ||
| 97 | TWX2 - VVRANLWX | Secondary index class data | ||
| 98 | TZK0A - RANTYP | Contract Type | ||
| 99 | TZK0A - SKOART | Condition Type (Smallest Subdivision of Condition Records) | ||
| 100 | TZK0A - SPRAS | Language Key | ||
| 101 | TZK0A - XKOARTM | Condition type text | ||
| 102 | TZPAT - GSART | Product Type | ||
| 103 | TZPAT - LTX | Text (30 Characters) | ||
| 104 | TZPAT - SPRAS | Language Key | ||
| 105 | VVZZKOPO - AMMRHY | Frequency in months | ||
| 106 | VVZZKOPO - BKOND | Condition item currency amount | ||
| 107 | VVZZKOPO - DFAELL | Due date | ||
| 108 | VVZZKOPO - DGUEL_KP | Condition Item Valid From | ||
| 109 | VVZZKOPO - DVALUT | Calculation Date | ||
| 110 | VVZZKOPO - KBKOND | Condition amount independent of currency | ||
| 111 | VVZZKOPO - PKOND | Percentage rate for condition items | ||
| 112 | VVZZKOPO - RDIVNR | Dividend coupon number | ||
| 113 | VVZZKOPO - SFULT | Month-End Indicator for Due Date | ||
| 114 | VVZZKOPO - SKOART | Condition Type (Smallest Subdivision of Condition Records) | ||
| 115 | VVZZKOPO - SVULT | Month-end indicator for calculation date | ||
| 116 | VVZZKOPO - SWHRKOND | Currency of Condition Item | ||
| 117 | VVZZKOPO - SZSREF | Reference Interest Rate | ||
| 118 | VVZZKOPO - SZSREFVZ | +/- sign / reference interest rate operator | ||
| 119 | VWPAKTI - AAAAKTIE | Number of stocks issued | ||
| 120 | VWPAKTI - BFONVOL | Fund volume | ||
| 121 | VWPAKTI - KBNEWE | Nominal Value per Stock (Independent of Currency) | ||
| 122 | VWPAKTI - PAUSG | Issue premium in percentage | ||
| 123 | VWPAKTI - PDIVBER | Dividend rights per unit in percentage terms | ||
| 124 | VWPAKTI - RANL | Security ID Number | ||
| 125 | VWPAKTI - SAING | Foreign Investment Law indicator | ||
| 126 | VWPAKTI - SAKAR | Stock category | ||
| 127 | VWPAKTI - SARTBET | Type of shareholding | ||
| 128 | VWPAKTI - SFOART | Fund category indicator | ||
| 129 | VWPAKTI - SFOTY | Fund type indicator | ||
| 130 | VWPAKTI - SKONBET | Details about structure of shareholding | ||
| 131 | VWPAKTI - SOEFF | Public fund indicator | ||
| 132 | VWPAKTI - SSRBE | Restriction of voting power indicator | ||
| 133 | VWPAKTI - SVBRE | Stock form indicator | ||
| 134 | VWPANAN - BBREVERN | Subscription right ratio - Denominator | ||
| 135 | VWPANAN - BBREVERZ | Subscription right ratio - Numerator | ||
| 136 | VWPANAN - RANL1 | Security ID Number | ||
| 137 | VWPANAN - RANL2 | Security ID Number | ||
| 138 | VWPANAN - SARTBEZ | ID for type of relationship between product categories | ||
| 139 | VWPANLA - BEMPREIS | Issue Price | ||
| 140 | VWPANLA - BKUAB | Absolute price deviation | ||
| 141 | VWPANLA - DANDPFL | Obligation to offer for sale until | ||
| 142 | VWPANLA - DANDRE | Right to offer until | ||
| 143 | VWPANLA - DBEAR | Last Edited on | ||
| 144 | VWPANLA - DERF | First Entered on | ||
| 145 | VWPANLA - GSART | Product Type | ||
| 146 | VWPANLA - JABMI | Joint partner vote indicator | ||
| 147 | VWPANLA - JDECK | Regulatory reporting BPV (hedge fund Y/N) | ||
| 148 | VWPANLA - JMUENDEL | Eligibility indicator | ||
| 149 | VWPANLA - PKUAB | Price deviation in percent | ||
| 150 | VWPANLA - PRICE_INDEX | Name of Price Index | ||
| 151 | VWPANLA - RANL | Security ID Number | ||
| 152 | VWPANLA - RBEAR | Employee ID | ||
| 153 | VWPANLA - REPKE | Issuer Identity Key | ||
| 154 | VWPANLA - RERF | Entered by | ||
| 155 | VWPANLA - REWHR | Issue currency | ||
| 156 | VWPANLA - SANLF | Product Category | ||
| 157 | VWPANLA - SBOERNOT | Indicator: Listed on an Exchange | ||
| 158 | VWPANLA - SNOTI | Quotation Indicator | ||
| 159 | VWPANLA - SSTATI | Status of a security | ||
| 160 | VWPANLA - SSTBE | Tax treatment indicator | ||
| 161 | VWPANLA - SWERTTYP | Security Type ID | ||
| 162 | VWPANLA - WLOMB | Indicator eligible as collateral | ||
| 163 | VWPANLA - XALKZ | Short name | ||
| 164 | VWPANLA - XALLB | Long name | ||
| 165 | VWPANLE - BATRT | Number of cutting days | ||
| 166 | VWPANLE - BAUFP | Premium when converting a convertible bond | ||
| 167 | VWPANLE - BNHAE | Nominal per trading unit | ||
| 168 | VWPANLE - BNOMS | Nominal value | ||
| 169 | VWPANLE - BOPHE | Number of warrants per nominal value | ||
| 170 | VWPANLE - BWAVN | Conversion ratio - Denominator | ||
| 171 | VWPANLE - BWAVZ | Conversion ratio - Numerator | ||
| 172 | VWPANLE - DAUSL | Drawing date | ||
| 173 | VWPANLE - DKEMI | Issuer call date | ||
| 174 | VWPANLE - DKOBL | Bondholder call date | ||
| 175 | VWPANLE - DWAFB | Conversion period until | ||
| 176 | VWPANLE - DWAFV | Conversion period from | ||
| 177 | VWPANLE - JAUSL | Drawing Indicator | ||
| 178 | VWPANLE - RANL | Security ID number | ||
| 179 | VWPANLE - RWAUF | Currency markup | ||
| 180 | VWPANLE - SCUEX | Cum/ex indicator | ||
| 181 | VWPANLE - SET_NAME | Redemption Schedule Set | ||
| 182 | VWPANLE - SOPTVERT | Indicator whether issuer or bond holder has option right | ||
| 183 | VWPANLE - SWPKLASS | Classification of bond | ||
| 184 | VWPRATING - INSTITUTE | Institute Providing Credit Standing Information | ||
| 185 | VWPRATING - RATING | Rating | ||
| 186 | VWPRATING - SECURITY_NUMBER | Security ID Number | ||
| 187 | VWPRATING - VALID_FROM | Valid-From Date | ||
| 188 | VWPTERM - AMINDEST | Exercise minimum | ||
| 189 | VWPTERM - BBASIS | Index base | ||
| 190 | VWPTERM - BBASPREI | Exercise price | ||
| 191 | VWPTERM - BBEZEIN | Reference units | ||
| 192 | VWPTERM - BINDEX | Index point per monetary unit | ||
| 193 | VWPTERM - BOVNE | Option ratio - Denominator | ||
| 194 | VWPTERM - BOVZA | Option ratio - numerator | ||
| 195 | VWPTERM - DLABI | Term to | ||
| 196 | VWPTERM - DLAVO | Term from | ||
| 197 | VWPTERM - RANL | Contract Number | ||
| 198 | VWPTERM - RBEZWHR | Reference unit currency | ||
| 199 | VWPTERM - RINDWHR | Index currency | ||
| 200 | VWPTERM - RWHRBAS | Exercise price currency | ||
| 201 | VWPTERM - SINDEART | Securities Index | ||
| 202 | VWPTERM - SOPTAUS | Exercise Type (American or European) | ||
| 203 | VWPTERM - SOPTTYP | Indicator: Option Category | ||
| 204 | VWPTERM - SVERROPT | Option Settlement Indicator | ||
| 205 | VZSKOKO - BBPRU | Underlying subscription price | ||
| 206 | VZSKOKO - BBVHN | Subscription ratio - Denominator | ||
| 207 | VZSKOKO - BBVHZ | Subscription ratio - Numerator | ||
| 208 | VZSKOKO - BVNJA | Advantage/disadvantage dividend of new stock | ||
| 209 | VZSKOKO - DBFRB | Date subscription period until | ||
| 210 | VZSKOKO - DBFRV | Subscription period from | ||
| 211 | VZSKOKO - DBHAB | Date of subscription rights trading until | ||
| 212 | VZSKOKO - DBHAV | Date of subscription rights trading from | ||
| 213 | VZSKOKO - DDBAB | Date from which entitled to dividends | ||
| 214 | VZSKOKO - DGUEL_KK | Date Condition Effective from | ||
| 215 | VZSKOKO - KREAK | Post Subscription Rights | ||
| 216 | VZSKOKO - RANL | Contract Number | ||
| 217 | VZSKOKO - RDIVNR | Dividend coupon number | ||
| 218 | VZSKOKO - RWBZP | Subscription price currency | ||
| 219 | VZSKOKO - SWHRAUSG | Clearing amount currency | ||
| 220 | VZZKOKO - BUKRS | Company Code | ||
| 221 | VZZKOKO - BZAHLUNG | Pay-in/disbursement amount | ||
| 222 | VZZKOKO - DBLFZ | Start of Term | ||
| 223 | VZZKOKO - DELFZ | End of Term | ||
| 224 | VZZKOKO - DGUEL_KK | Date Condition Effective from | ||
| 225 | VZZKOKO - KZAHLUNG | Pay-in/disbursement rate | ||
| 226 | VZZKOKO - NLFD_ANG | Offer consecutive number | ||
| 227 | VZZKOKO - PEFFZINS | Effective Interest Rate | ||
| 228 | VZZKOKO - RKEY1 | Key part 1 | ||
| 229 | VZZKOKO - SANLF | Product Category | ||
| 230 | VZZKOKO - SDISKO | Discounted | ||
| 231 | VZZKOKO - SEFFMETH | Effective Interest Method (Financial Mathematics) | ||
| 232 | VZZKOKO - STILGART | Repayment Type Indicator | ||
| 233 | VZZKOKO - SWHRZHLG | Currency of payment amount | ||
| 234 | VZZKOKO - SZBMETH | Interest Calculation Method |