Table/Structure Field list used by SAP ABAP Program SR_EXIT_S_OUT_DE_NW670_RX11 (Include SR_EXIT_S_OUT_DE_NW670_RX11)
SAP ABAP Program
SR_EXIT_S_OUT_DE_NW670_RX11 (Include SR_EXIT_S_OUT_DE_NW670_RX11) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BP1012 - DATE_TO | Valid-to Date for Rating | ||
| 2 | BP1012 - GRADE | Rating | ||
| 3 | BP1012 - GRADE_METHOD | Rating Procedure | ||
| 4 | BP1012_DATA - GRADE | Rating | ||
| 5 | BP1012_KEY - DATE_TO | Valid-to Date for Rating | ||
| 6 | BP1012_KEY - GRADE_METHOD | Rating Procedure | ||
| 7 | BP1030 - COMP_RE | Organization Relationship | ||
| 8 | BP1030 - PAR1_ABS1_REL | Authorized Acc. to Para. 2(1)18b of German Asset Regulation | ||
| 9 | BP1040 - COMP_RE | Company Relationship in Company Code | ||
| 10 | BP3100 - DATA_TYPE | Information Type | ||
| 11 | BPI1030 - COMP_RE | Organization Relationship | ||
| 12 | BPI1030_BAFIN - PAR1_ABS1_REL | Authorized Acc. to Para. 2(1)18b of German Asset Regulation | ||
| 13 | BPI1030_DAT - COMP_RE | Organization Relationship | ||
| 14 | BPI1030_DAT - PAR1_ABS1_REL | Authorized Acc. to Para. 2(1)18b of German Asset Regulation | ||
| 15 | BPI1040 - COMP_RE | Company Relationship in Company Code | ||
| 16 | DD09L - AS4LOCAL | Activation Status of a Repository Object | ||
| 17 | DD09L - TABNAME | Table Name | ||
| 18 | DFIES - POSITION | Position of the field in the table | ||
| 19 | ISSR_ADMN_ASSET_KEY_SPEC - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 20 | ISSR_ADMN_ASSET_KEY_SPEC - COUNTRY_VAR | ISSR_ADMN_ASSET_KEY_SPEC-COUNTRY_VAR | ||
| 21 | ISSR_ADMN_ASSET_KEY_SPEC - PRODUCT_CATEGORY | ISSR_ADMN_ASSET_KEY_SPEC-PRODUCT_CATEGORY | ||
| 22 | ISSR_ADMN_ASSET_KEY_SPEC - PRODUCT_TYPE | ISSR_ADMN_ASSET_KEY_SPEC-PRODUCT_TYPE | ||
| 23 | ISSR_ADMN_ASSET_KEY_SPEC - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 24 | ISSR_ADMN_BONDTYPE - BONDTYP | Art der Wertpapiere | ||
| 25 | ISSR_ADMN_BONDTYPE - COUNTRY_VAR | ISSR_ADMN_BONDTYPE-COUNTRY_VAR | ||
| 26 | ISSR_ADMN_CERTIF_670 - COUNTRY_VAR | ISSR_ADMN_CERTIF_670-COUNTRY_VAR | ||
| 27 | ISSR_ADMN_CERTIF_670 - NW670 | Anlagen R30NW670 | ||
| 28 | ISSR_ADMN_DS_FTYP - FUNDSSHARE | BaFin: Prozentualer Fonds-Anteil | ||
| 29 | ISSR_ADMN_FUNDS_RATING - COUNTRY_VAR | ISSR_ADMN_FUNDS_RATING-COUNTRY_VAR | ||
| 30 | ISSR_ADMN_FUNDS_RATING - ISSR_RATING | ISSR_ADMN_FUNDS_RATING-ISSR_RATING | ||
| 31 | ISSR_ADMN_INVESTM_TYPE_DS - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 32 | ISSR_ADMN_INVESTM_TYPE_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 33 | ISSR_ADMN_INVESTM_TYPE_DS - HF_TYPE | Art des Hedgefonds | ||
| 34 | ISSR_ADMN_INVESTM_TYPE_DS - TRADING | Handelbarkeit der Anlage (Durchsicht Fonds) | ||
| 35 | ISSR_ADMN_OECD_EEA - FLG_EEA | Land ist im Europäischen Wirtschaftsraum (EWR) | ||
| 36 | ISSR_ADMN_OECD_EEA - FLG_EMU | Land ist in der europäischen Währungsunion | ||
| 37 | ISSR_ADMN_OECD_EEA - LAND1 | Country Key | ||
| 38 | ISSR_DE_TP - NW670 | Anlagen R30NW670 | ||
| 39 | ISSR_DE_TP - R59706 | Indicator for R5/97 appendix 6 - Collateral | ||
| 40 | ISSR_GENERAL_AMOUNT_FIELDS - HSL | Total of transactions of the period in local currency | ||
| 41 | ISSR_GENERAL_AMOUNT_FIELDS - KSL | Total of transactions of the period in group currency | ||
| 42 | ISSR_GENERAL_AMOUNT_FIELDS - MSL | Total of the transactions of period in units of measure | ||
| 43 | ISSR_GENERAL_AMOUNT_FIELDS - TSL | Total of transactions of the period in transaction currency | ||
| 44 | ISSR_GENERAL_FIELDS - DATUM | Date | ||
| 45 | ISSR_GENERAL_FIELDS - DRCRK | Debit/Credit Indicator | ||
| 46 | ISSR_GENERAL_FIELDS - RBUKRS | Company Code | ||
| 47 | ISSR_GENERAL_FIELDS - RTCUR | Currency Key | ||
| 48 | ISSR_GENERAL_FIELDS - RVAL_AREA | ISSR_GENERAL_FIELDS-RVAL_AREA | ||
| 49 | ISSR_GENERAL_SELECTION - BEGDA | ISSR_GENERAL_SELECTION-BEGDA | ||
| 50 | ISSR_GENERAL_SELECTION - BUKRS | Company Code | ||
| 51 | ISSR_GENERAL_SELECTION - COUNTRY_VAR | ISSR_GENERAL_SELECTION-COUNTRY_VAR | ||
| 52 | ISSR_GENERAL_SELECTION - ENDDA | ISSR_GENERAL_SELECTION-ENDDA | ||
| 53 | ISSR_GENERAL_SELECTION - KONTL_3 | ISSR: Idennummer | ||
| 54 | ISSR_GENERAL_SELECTION - LISTTYP | ISSR_GENERAL_SELECTION-LISTTYP | ||
| 55 | ISSR_GENERAL_SELECTION - POSTING_TYPE | ISSR: Ledger Type for Statutory Reporting | ||
| 56 | ISSR_GENERAL_SELECTION - TABLE_TYPE | ISSR: Tabellentyp (Bewegungstabelle, Summentabelle, ...) | ||
| 57 | ISSR_IS_R30_R2009 - FLG_COMRISKBOUND | Gebunden an Rohstoffrisiko | ||
| 58 | ISSR_MV_DE - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 59 | ISSR_MV_DE - NW101 | BAV asset group stmt 101 | ||
| 60 | ISSR_MV_DE - NW102 | BAV Asset Group Statement 102 (Germany Only) | ||
| 61 | ISSR_MV_DE - NW201 | BAV asset group stmt 201 | ||
| 62 | ISSR_MV_DE - NW600 | ISSR_MV_DE-NW600 | ||
| 63 | ISSR_MV_DE - NW670_3 | Anlagen R30NW670 | ||
| 64 | ISSR_MV_DE - NW671_3 | Anlagen R30NW671 | ||
| 65 | ISSR_MV_DE - OUT_PRIMANOTA | ISSR_MV_DE-OUT_PRIMANOTA | ||
| 66 | ISSR_MV_DE - PRIMANOTA | ISSR_MV_DE-PRIMANOTA | ||
| 67 | ISSR_MV_DE - PRODUCT_CAT | ISSR_MV_DE-PRODUCT_CAT | ||
| 68 | ISSR_MV_DE - R59710_1 | Indicator for R5/97 appendix 10 | ||
| 69 | ISSR_MV_DE - R59710_2 | Indicator for R5/97 appendix 10 | ||
| 70 | ISSR_MV_DE - R59710_3 | Indicator for R5/97 appendix 10 | ||
| 71 | ISSR_MV_DE - R59710_4 | Indicator for R5/97 appendix 10 | ||
| 72 | ISSR_MV_DE - RACCT | Account Number | ||
| 73 | ISSR_MV_DE - RASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 74 | ISSR_MV_DE - RDV | Premium reserve fund list number | ||
| 75 | ISSR_MV_DE - RDVUA | Subsection number of premium reserve fund list | ||
| 76 | ISSR_MV_DE - RFLOWTYPE | ISSR_MV_DE-RFLOWTYPE | ||
| 77 | ISSR_MV_DE - RPARTNER | Business Partner Number | ||
| 78 | ISSR_MV_DE - RPRODUCT_TYPE | ISSR_MV_DE-RPRODUCT_TYPE | ||
| 79 | ISSR_MV_DE - RRANTYP | External System ID for Capital Investment Type for Reporting | ||
| 80 | ISSR_MV_DE - RSEC_ACCOUNT | Securities Account | ||
| 81 | ISSR_MV_DE - RSPARTE | Insurance Line of Business Indicator | ||
| 82 | ISSR_MV_DE - RSTOCKBAV | BAV Stock Indicator | ||
| 83 | ISSR_MV_DE - RSTOCKFA | Tax office stock indicator | ||
| 84 | ISSR_OUTC_ASSIGN_FLOWTYPE - COUNTRY_VAR | ISSR_OUTC_ASSIGN_FLOWTYPE-COUNTRY_VAR | ||
| 85 | ISSR_OUTC_ASSIGN_FLOWTYPE - LISTTYP | ISSR_OUTC_ASSIGN_FLOWTYPE-LISTTYP | ||
| 86 | ISSR_OUTC_ASSIGN_FLOWTYPE - LIST_FLOWTYPE | Ausgabe-Bewegungsart | ||
| 87 | ISSR_OUTC_ASSIGN_FLOWTYPE - RFLOWTYPE | ISSR_OUTC_ASSIGN_FLOWTYPE-RFLOWTYPE | ||
| 88 | ISSR_OUTC_ASSIGN_FLOWTYPE - TABLE_TYPE | ISSR: Tabellentyp (Bewegungstabelle, Summentabelle, ...) | ||
| 89 | ISSR_OUT_CUSTOM_CHAR - FIELD001 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 90 | ISSR_OUT_CUSTOM_CHAR - FIELD002 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 91 | ISSR_OUT_CUSTOM_CHAR - FIELD003 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 92 | ISSR_OUT_CUSTOM_CHAR - FIELD004 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 93 | ISSR_OUT_CUSTOM_CHAR - FIELD005 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 94 | ISSR_OUT_CUSTOM_CHAR - FIELD006 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 95 | ISSR_OUT_CUSTOM_CHAR - FIELD007 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 96 | ISSR_OUT_CUSTOM_CHAR - FIELD008 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 97 | ISSR_OUT_CUSTOM_CHAR - FIELD009 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 98 | ISSR_OUT_CUSTOM_CHAR - FIELD010 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 99 | ISSR_OUT_CUSTOM_CHAR - FIELD011 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 100 | ISSR_OUT_CUSTOM_CHAR - FIELD012 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 101 | ISSR_OUT_CUSTOM_CHAR - FIELD013 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 102 | ISSR_OUT_CUSTOM_CHAR - FIELD014 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 103 | ISSR_OUT_CUSTOM_CHAR - FIELD015 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 104 | ISSR_OUT_CUSTOM_CHAR - FIELD016 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 105 | ISSR_OUT_CUSTOM_CHAR - FIELD017 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 106 | ISSR_OUT_CUSTOM_CHAR - FIELD018 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 107 | ISSR_OUT_CUSTOM_CHAR - FIELD019 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 108 | ISSR_OUT_CUSTOM_CHAR - FIELD020 | ISSR: Variables Ausgabefeld (wird anhand Cust. versorgt) | ||
| 109 | ISSR_OUT_CUSTOM_CHAR - FIELD021 | Text field length 200 | ||
| 110 | ISSR_OUT_CUSTOM_CHAR - FIELD022 | Text field length 200 | ||
| 111 | ISSR_OUT_CUSTOM_CHAR - FIELD023 | Text field length 200 | ||
| 112 | ISSR_OUT_CUSTOM_CHAR - FIELD024 | Text field length 200 | ||
| 113 | ISSR_OUT_CUSTOM_CHAR - FIELD025 | Text field length 200 | ||
| 114 | ISSR_OUT_CUSTOM_CHAR - FIELD026 | Text field length 200 | ||
| 115 | ISSR_OUT_CUSTOM_CHAR - FIELD027 | Text field length 200 | ||
| 116 | ISSR_OUT_CUSTOM_CHAR - FIELD028 | Text field length 200 | ||
| 117 | ISSR_OUT_CUSTOM_CHAR - FIELD029 | Text field length 200 | ||
| 118 | ISSR_OUT_CUSTOM_CHAR - FIELD030 | Text field length 200 | ||
| 119 | ISSR_OUT_DE - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 120 | ISSR_OUT_DE - BEGDA | ISSR_OUT_DE-BEGDA | ||
| 121 | ISSR_OUT_DE - BUKRS | Company Code | ||
| 122 | ISSR_OUT_DE - COUNTRY_VAR | ISSR_OUT_DE-COUNTRY_VAR | ||
| 123 | ISSR_OUT_DE - DATUM | Date | ||
| 124 | ISSR_OUT_DE - DRCRK | Debit/Credit Indicator | ||
| 125 | ISSR_OUT_DE - ENDDA | ISSR_OUT_DE-ENDDA | ||
| 126 | ISSR_OUT_DE - HSL | Total of transactions of the period in local currency | ||
| 127 | ISSR_OUT_DE - KONTL_3 | ISSR: Idennummer | ||
| 128 | ISSR_OUT_DE - KSL | Total of transactions of the period in group currency | ||
| 129 | ISSR_OUT_DE - LISTTYP | ISSR_OUT_DE-LISTTYP | ||
| 130 | ISSR_OUT_DE - MSL | Total of the transactions of period in units of measure | ||
| 131 | ISSR_OUT_DE - NW101 | BAV asset group stmt 101 | ||
| 132 | ISSR_OUT_DE - NW102 | BAV Asset Group Statement 102 (Germany Only) | ||
| 133 | ISSR_OUT_DE - NW201 | BAV asset group stmt 201 | ||
| 134 | ISSR_OUT_DE - NW600 | ISSR_OUT_DE-NW600 | ||
| 135 | ISSR_OUT_DE - NW670_3 | Anlagen R30NW670 | ||
| 136 | ISSR_OUT_DE - NW671_3 | Anlagen R30NW671 | ||
| 137 | ISSR_OUT_DE - OUT_PRIMANOTA | ISSR_OUT_DE-OUT_PRIMANOTA | ||
| 138 | ISSR_OUT_DE - POSTING_TYPE | ISSR: Ledger Type for Statutory Reporting | ||
| 139 | ISSR_OUT_DE - PRIMANOTA | ISSR_OUT_DE-PRIMANOTA | ||
| 140 | ISSR_OUT_DE - PRODUCT_CAT | ISSR_OUT_DE-PRODUCT_CAT | ||
| 141 | ISSR_OUT_DE - R59710_1 | Indicator for R5/97 appendix 10 | ||
| 142 | ISSR_OUT_DE - R59710_2 | Indicator for R5/97 appendix 10 | ||
| 143 | ISSR_OUT_DE - R59710_3 | Indicator for R5/97 appendix 10 | ||
| 144 | ISSR_OUT_DE - R59710_4 | Indicator for R5/97 appendix 10 | ||
| 145 | ISSR_OUT_DE - RACCT | Account Number | ||
| 146 | ISSR_OUT_DE - RASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 147 | ISSR_OUT_DE - RBUKRS | Company Code | ||
| 148 | ISSR_OUT_DE - RDV | Premium reserve fund list number | ||
| 149 | ISSR_OUT_DE - RDVUA | Subsection number of premium reserve fund list | ||
| 150 | ISSR_OUT_DE - RFLOWTYPE | ISSR_OUT_DE-RFLOWTYPE | ||
| 151 | ISSR_OUT_DE - RPARTNER | Business Partner Number | ||
| 152 | ISSR_OUT_DE - RPRODUCT_TYPE | ISSR_OUT_DE-RPRODUCT_TYPE | ||
| 153 | ISSR_OUT_DE - RRANTYP | External System ID for Capital Investment Type for Reporting | ||
| 154 | ISSR_OUT_DE - RSEC_ACCOUNT | Securities Account | ||
| 155 | ISSR_OUT_DE - RSPARTE | Insurance Line of Business Indicator | ||
| 156 | ISSR_OUT_DE - RSTOCKBAV | BAV Stock Indicator | ||
| 157 | ISSR_OUT_DE - RSTOCKFA | Tax office stock indicator | ||
| 158 | ISSR_OUT_DE - RTCUR | Currency Key | ||
| 159 | ISSR_OUT_DE - RVAL_AREA | ISSR_OUT_DE-RVAL_AREA | ||
| 160 | ISSR_OUT_DE - TABLE_TYPE | ISSR: Tabellentyp (Bewegungstabelle, Summentabelle, ...) | ||
| 161 | ISSR_OUT_DE - TSL | Total of transactions of the period in transaction currency | ||
| 162 | ISSR_OUT_FICUST - ACTIV | Kennzeichen: Eintrag aktivieren | ||
| 163 | ISSR_OUT_FICUST - COUNTRY_VAR | ISSR_OUT_FICUST-COUNTRY_VAR | ||
| 164 | ISSR_OUT_FICUST - FIELDNAME | Field Name | ||
| 165 | ISSR_OUT_FICUST - LISTTYP | ISSR_OUT_FICUST-LISTTYP | ||
| 166 | ISSR_OUT_FICUST - SPALTE | ISSR_OUT_FICUST-SPALTE | ||
| 167 | ISSR_OUT_FICUST - ZEILE | Zeile pro Andruck | ||
| 168 | ISSR_OUT_KEY_ISSR_OUT_DE - OUT_CUSTOM | ISSR_OUT_KEY_ISSR_OUT_DE-OUT_CUSTOM | ||
| 169 | ISSR_OUT_LISTTYPE_GROUP - COUNTRY_VAR | ISSR_OUT_LISTTYPE_GROUP-COUNTRY_VAR | ||
| 170 | ISSR_OUT_LISTTYPE_GROUP - LISTTYP | ISSR_OUT_LISTTYPE_GROUP-LISTTYP | ||
| 171 | ISSR_OUT_LISTTYPE_GROUP - LISTTYPGRUPPE | Listtypgruppe | ||
| 172 | ISSR_OUT_SEL_PARAM_ASSET - BUKRS | Company Code | ||
| 173 | ISSR_OUT_SEL_PARAM_ASSET - COUNTRYVAR | ISSR_OUT_SEL_PARAM_ASSET-COUNTRYVAR | ||
| 174 | ISSR_OUT_SEL_PARAM_ASSET - LISTTYPE | ISSR_OUT_SEL_PARAM_ASSET-LISTTYPE | ||
| 175 | ISSR_OUT_SEL_PARAM_ASSET - POSTINGTYPE | ISSR: Ledger Type for Statutory Reporting | ||
| 176 | ISSR_OUT_SEL_PARAM_ASSET - TIMEFRAME | ISSR_OUT_SEL_PARAM_ASSET-TIMEFRAME | ||
| 177 | ISSR_OUT_SEL_PARAM_ASSET - VALAREA | ISSR_OUT_SEL_PARAM_ASSET-VALAREA | ||
| 178 | ISSR_R30_R30B_ALL_FIELDS - BONITAET | Einstufung Bonitätsgruppierung | ||
| 179 | ISSR_R30_R30B_ALL_FIELDS - FLG_COMRISKBOUND | Gebunden an Rohstoffrisiko | ||
| 180 | ISSR_R30_R30B_ALL_FIELDS - FLG_HF_BOUND | Kapitalanlage an Hedgefonds gebunden | ||
| 181 | ISSR_R30_R30B_ALL_FIELDS - FLG_HF_INDICES | Anlage ist an Hedgefonds-Indizes gebunden | ||
| 182 | ISSR_R30_R30B_ALL_FIELDS - FLG_HF_RETURN | Ertrag und Rückzahlung sind an Hedgefonds gebunden | ||
| 183 | ISSR_R30_R30B_ALL_FIELDS - FLG_P77A4VAG | Vorrecht besteht nach §77 Abs. 4 VAG | ||
| 184 | ISSR_R30_R30B_ALL_FIELDS - FLG_TRANSP_FONDS | ISSR_R30_R30B_ALL_FIELDS-FLG_TRANSP_FONDS | ||
| 185 | ISSR_R30_R30B_ALL_FIELDS - FONDS_TYPE | Kategorisierung intransparenter Fonds | ||
| 186 | ISSR_R30_R30B_ALL_FIELDS - MARKET_RISK | Marktrisikopotenzial eines Fonds | ||
| 187 | ISSR_R30_R30B_ALL_FIELDS - R3_1999 | Berichtspflicht gemäß R3/1999 | ||
| 188 | ISSR_R30_R30B_ALL_FIELDS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 189 | ISSR_RPI_MFT - BUDAT | Gueltig Ab-Datum Meldewesen -Stamm | ||
| 190 | ISSR_RPI_MFT - BUKRS | Company Code | ||
| 191 | ISSR_RPI_MFT - ECOMPONENT | ISSR_RPI_MFT-ECOMPONENT | ||
| 192 | ISSR_RPI_MFT - NW670 | Anlagen R30NW670 | ||
| 193 | ISSR_RPI_MFT - R59706 | Indicator for R5/97 appendix 6 - Collateral | ||
| 194 | ISSR_SELECTION - BUKRS | Company Code | ||
| 195 | ISSR_SELECTION - COUNTRYVAR | ISSR_SELECTION-COUNTRYVAR | ||
| 196 | ISSR_SELECTION - LISTTYPE | ISSR_SELECTION-LISTTYPE | ||
| 197 | ISSR_SELECTION - POSTINGTYPE | ISSR: Ledger Type for Statutory Reporting | ||
| 198 | ISSR_SELECTION - TIMEFRAME | ISSR_SELECTION-TIMEFRAME | ||
| 199 | ISSR_SELECTION - VALAREA | ISSR_SELECTION-VALAREA | ||
| 200 | ISSR_STORE_FIELDS_CHAR - FIELD021 | Text field length 200 | ||
| 201 | ISSR_STORE_FIELDS_CHAR - FIELD022 | Text field length 200 | ||
| 202 | ISSR_STORE_FIELDS_CHAR - FIELD023 | Text field length 200 | ||
| 203 | ISSR_STORE_FIELDS_CHAR - FIELD024 | Text field length 200 | ||
| 204 | ISSR_STORE_FIELDS_CHAR - FIELD025 | Text field length 200 | ||
| 205 | ISSR_STORE_FIELDS_CHAR - FIELD026 | Text field length 200 | ||
| 206 | ISSR_STORE_FIELDS_CHAR - FIELD027 | Text field length 200 | ||
| 207 | ISSR_STORE_FIELDS_CHAR - FIELD028 | Text field length 200 | ||
| 208 | ISSR_STORE_FIELDS_CHAR - FIELD029 | Text field length 200 | ||
| 209 | ISSR_STORE_FIELDS_CHAR - FIELD030 | Text field length 200 | ||
| 210 | ISSR_SYDATA - ECOMPONENT | ISSR_SYDATA-ECOMPONENT | ||
| 211 | ISSR_S_BONDRATING - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 212 | ISSR_S_BONDRATING - RATING | ISSR_S_BONDRATING-RATING | ||
| 213 | ISSR_S_BONDTYP - BONDTYP | Art der Wertpapiere | ||
| 214 | ISSR_S_BONDTYP - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 215 | ISSR_TIMEFRAME - BEGDA | ISSR_TIMEFRAME-BEGDA | ||
| 216 | ISSR_TIMEFRAME - ENDDA | ISSR_TIMEFRAME-ENDDA | ||
| 217 | ISSR_VALUES_CASHFLOW - HSL | Value in Transaction Currency | ||
| 218 | SECURITYV - PUBLIC_FUND | Public fund indicator | ||
| 219 | SECURITY_COMPLEX - PUBLIC_FUND | Public fund indicator | ||
| 220 | SECURITY_INVESTMENT - PUBLIC_FUND | Public fund indicator | ||
| 221 | SYST - TABIX | ABAP System Field: Row Index of Internal Tables | ||
| 222 | T001 - WAERS | Currency Key | ||
| 223 | TISSR_ANLART_DS - ABS54AVAG | Asset Type According to Regulatory Accounting Requirements | ||
| 224 | TISSR_ANLART_DS - ASSET_NR | Capital Investment Number for Regulatory Reporting | ||
| 225 | TISSR_ANLART_DS - COUNTRY_VAR | TISSR_ANLART_DS-COUNTRY_VAR | ||
| 226 | TISSR_ANLART_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 227 | TISSR_ANLART_DS - HF_TYPE | Art des Hedgefonds | ||
| 228 | TISSR_ANLART_DS - PRODUCT_CATEGORY | TISSR_ANLART_DS-PRODUCT_CATEGORY | ||
| 229 | TISSR_ANLART_DS - PRODUCT_TYPE | TISSR_ANLART_DS-PRODUCT_TYPE | ||
| 230 | TISSR_ANLART_DS - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 231 | TISSR_ANLART_DS - TRADING | Handelbarkeit der Anlage (Durchsicht Fonds) | ||
| 232 | TISSR_ASSET_R30 - BONITAET | Einstufung Bonitätsgruppierung | ||
| 233 | TISSR_ASSET_R30 - FLG_COMRISKBOUND | Gebunden an Rohstoffrisiko | ||
| 234 | TISSR_ASSET_R30 - FLG_HF_BOUND | Kapitalanlage an Hedgefonds gebunden | ||
| 235 | TISSR_ASSET_R30 - FLG_HF_INDICES | Anlage ist an Hedgefonds-Indizes gebunden | ||
| 236 | TISSR_ASSET_R30 - FLG_HF_RETURN | Ertrag und Rückzahlung sind an Hedgefonds gebunden | ||
| 237 | TISSR_ASSET_R30 - FLG_P77A4VAG | Vorrecht besteht nach §77 Abs. 4 VAG | ||
| 238 | TISSR_ASSET_R30 - FLG_PRIVATE_CAP | Anlage ist Risikokapital mit Eigenkapitalcharakter | ||
| 239 | TISSR_ASSET_R30 - FLG_TRANSP_FONDS | TISSR_ASSET_R30-FLG_TRANSP_FONDS | ||
| 240 | TISSR_ASSET_R30 - FONDS_TYPE | Kategorisierung intransparenter Fonds | ||
| 241 | TISSR_ASSET_R30 - FUND_SHR_08 | ISSR: Anteil Anlagen in Anleihen nach § 1 Abs. 1 Nr. 8 AnlV | ||
| 242 | TISSR_ASSET_R30 - FUND_SHR_7C | ISSR: Anteil Anlagen in Anleihen nach § 1 Abs. 1 Nr. 7c AnlV | ||
| 243 | TISSR_ASSET_R30 - FUND_SHR_ABS | ISSR: Anteil Anlagen in ABS/CLN | ||
| 244 | TISSR_ASSET_R30 - FUND_SHR_HF | ISSR: Anteil Anlagen in Hedgefonds/an Hedgefonds geb. Anlage | ||
| 245 | TISSR_ASSET_R30 - FUND_SHR_NONEWR | ISSR: Anteil Anlagen in Aktien/Genüsse mit Sitz NON-EWR | ||
| 246 | TISSR_ASSET_R30 - HF_TYPE | Art des Hedgefonds | ||
| 247 | TISSR_ASSET_R30 - MARKET_RISK | Marktrisikopotenzial eines Fonds | ||
| 248 | TISSR_ASSET_R30 - R3_1999 | Berichtspflicht gemäß R3/1999 | ||
| 249 | TISSR_ASSET_R30 - STICHTAG_FONDS | Stichtag Fondsdurchsicht | ||
| 250 | TISSR_ASSET_R30B - FLG_NEG_CLAUSE | Anforderungen Besicherung mit Negativklausel nicht erfüllt | ||
| 251 | TISSR_BAV_NW670P - COUNTRY_VAR | TISSR_BAV_NW670P-COUNTRY_VAR | ||
| 252 | TISSR_BAV_NW670P - NW670 | Anlagen R30NW670 | ||
| 253 | TISSR_BONDTYP - BONDTYP | Art der Wertpapiere | ||
| 254 | TISSR_BONDTYP - COUNTRY_VAR | TISSR_BONDTYP-COUNTRY_VAR | ||
| 255 | TISSR_BONDTYP_DS - BONDTYP | Art der Wertpapiere | ||
| 256 | TISSR_BONDTYP_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 257 | TISSR_CHA_MDATA - CHA_DATE | Date | ||
| 258 | TISSR_CHA_MDATA - COUNTRY_VAR | TISSR_CHA_MDATA-COUNTRY_VAR | ||
| 259 | TISSR_CHA_MDATA - ECOMPONENT | TISSR_CHA_MDATA-ECOMPONENT | ||
| 260 | TISSR_OECD_EEA - FLG_EEA | Land ist im Europäischen Wirtschaftsraum (EWR) | ||
| 261 | TISSR_OECD_EEA - FLG_EMU | Land ist in der europäischen Währungsunion | ||
| 262 | TISSR_OECD_EEA - LAND1 | Country Key | ||
| 263 | TISSR_OUT_FICUST - ACTIV | Kennzeichen: Eintrag aktivieren | ||
| 264 | TISSR_OUT_FICUST - COUNTRY_VAR | TISSR_OUT_FICUST-COUNTRY_VAR | ||
| 265 | TISSR_OUT_FICUST - FIELDNAME | Field Name | ||
| 266 | TISSR_OUT_FICUST - LISTTYP | TISSR_OUT_FICUST-LISTTYP | ||
| 267 | TISSR_OUT_FICUST - SPALTE | TISSR_OUT_FICUST-SPALTE | ||
| 268 | TISSR_OUT_FICUST - ZEILE | Zeile pro Andruck | ||
| 269 | TISSR_OUT_LGLT - COUNTRY_VAR | TISSR_OUT_LGLT-COUNTRY_VAR | ||
| 270 | TISSR_OUT_LGLT - LISTTYP | TISSR_OUT_LGLT-LISTTYP | ||
| 271 | TISSR_OUT_LGLT - LISTTYPGRUPPE | Listtypgruppe | ||
| 272 | TISSR_OUT_LTFT - COUNTRY_VAR | TISSR_OUT_LTFT-COUNTRY_VAR | ||
| 273 | TISSR_OUT_LTFT - LISTTYP | TISSR_OUT_LTFT-LISTTYP | ||
| 274 | TISSR_OUT_LTFT - LIST_FLOWTYPE | Ausgabe-Bewegungsart | ||
| 275 | TISSR_OUT_LTFT - RFLOWTYPE | TISSR_OUT_LTFT-RFLOWTYPE | ||
| 276 | TISSR_OUT_LTFT - TABLE_TYPE | ISSR: Tabellentyp (Bewegungstabelle, Summentabelle, ...) | ||
| 277 | TISSR_RATING - COUNTRY_VAR | TISSR_RATING-COUNTRY_VAR | ||
| 278 | TISSR_RATING - ISSR_RATING | TISSR_RATING-ISSR_RATING | ||
| 279 | TISSR_RATING_DS - FOND_ANTEIL | Anteil am Fonds in Prozent | ||
| 280 | TISSR_RATING_DS - RATING | TISSR_RATING_DS-RATING | ||
| 281 | VWPANLA - SBOERNOT | Indicator: Listed on an Exchange |