Data Element list used by SAP ABAP Table JBIUPCDFP (Extended Receiver Structure for Transfer of Financial Prod.)
SAP ABAP Table
JBIUPCDFP (Extended Receiver Structure for Transfer of Financial Prod.) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
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1 | ![]() |
AAAAKTIE | Number of stocks issued | |
2 | ![]() |
AAAAKTIE | Number of stocks issued | |
3 | ![]() |
AGGREGATION_KEY | Aggregation Key | |
4 | ![]() |
ALWPKL | General Security Classification | |
5 | ![]() |
AMINDEST | Exercise minimum | |
6 | ![]() |
AMMRHY | Frequency in months | |
7 | ![]() |
ASTUECK | Number of units for unit-quoted securities | |
8 | ![]() |
BAPI_BABTA | Clearing amount for swap | |
9 | ![]() |
BAPI_BABTA | Clearing amount for swap | |
10 | ![]() |
BAPI_BABTA | Clearing amount for swap | |
11 | ![]() |
BAPI_BAUFP | Conversion premium | |
12 | ![]() |
BAPI_BBASPREI | Base Price | |
13 | ![]() |
BAPI_BBPRU | Underlying subscription price | |
14 | ![]() |
BAPI_BFONVOL | Fund volume | |
15 | ![]() |
BAPI_BINDEX | Index point per monetary unit | |
16 | ![]() |
BAPI_BNHAE | Nominal per trading unit | |
17 | ![]() |
BAPI_BNOMS | Nominal value | |
18 | ![]() |
BAPI_BNOMS | Nominal value | |
19 | ![]() |
BAPI_BVNJA | Advantage/disadvantage dividend of new stock | |
20 | ![]() |
BAPI_BZAHLAKT | Pay-in amount | |
21 | ![]() |
BAPI_EXTRACAP | Additional Stock Capital | |
22 | ![]() |
BAPI_TI_BETICK | Tick as amount | |
23 | ![]() |
BAPI_TI_BPINDEX | Value of an index point | |
24 | ![]() |
BAPI_TI_BSTRIKE | Strike as amount | |
25 | ![]() |
BAPI_TI_BWTICK | Tick value | |
26 | ![]() |
BAPI_VVBBEZEIN | Reference units | |
27 | ![]() |
BAPI_VVBBEZEIN | Reference units | |
28 | ![]() |
BATRT | Number of cutting days | |
29 | ![]() |
BBVHN | Subscription ratio - Denominator | |
30 | ![]() |
BBVHZ | Subscription ratio - Numerator | |
31 | ![]() |
BOPHE | Number of warrants per nominal value | |
32 | ![]() |
BOVNE | Option ratio - Denominator | |
33 | ![]() |
BOVZA | Option ratio - numerator | |
34 | ![]() |
BP_RATING | Rating | |
35 | ![]() |
BP_SOL_INS | Institute Providing Credit Standing Information | |
36 | ![]() |
BTVNE | Swap ratio - denominator | |
37 | ![]() |
BTVZA | Swap ratio - numerator | |
38 | ![]() |
BU_BPEXT | Business Partner Number in External System | |
39 | ![]() |
BWAVN | Conversion ratio - Denominator | |
40 | ![]() |
BWAVZ | Conversion ratio - Numerator | |
41 | ![]() |
DANDPFL | Obligation to offer for sale until | |
42 | ![]() |
DANDRE | Right to offer until | |
43 | ![]() |
DAUSL | Drawing date | |
44 | ![]() |
DBEAR | Last Edited on | |
45 | ![]() |
DBFRB | Date subscription period until | |
46 | ![]() |
DBFRV | Subscription period from | |
47 | ![]() |
DBHAB | Date of subscription rights trading until | |
48 | ![]() |
DBHAV | Date of subscription rights trading from | |
49 | ![]() |
DDBAB | Date from which entitled to dividends | |
50 | ![]() |
DELFZ | End of Term | |
51 | ![]() |
DEMBEG | Bonds and debentures issue start | |
52 | ![]() |
DENDF | Final due date | |
53 | ![]() |
DERF | First Entered on | |
54 | ![]() |
DFAELL | Due date | |
55 | ![]() |
DGUEL | Date Condition Effective from | |
56 | ![]() |
DGUEL_KP | Condition Item Valid From | |
57 | ![]() |
DKEMI | Issuer call date | |
58 | ![]() |
DKOBL | Bondholder call date | |
59 | ![]() |
DLABI | Term to | |
60 | ![]() |
DLABI | Term to | |
61 | ![]() |
DLAVO | Term from | |
62 | ![]() |
DLAVO | Term from | |
63 | ![]() |
DREST | Balance payment date | |
64 | ![]() |
DTFBI | Swap period to | |
65 | ![]() |
DTFVO | Swap period from | |
66 | ![]() |
DTGBI | Trading until | |
67 | ![]() |
DVALUT | Calculation Date | |
68 | ![]() |
DWAFB | Conversion period until | |
69 | ![]() |
DWAFV | Conversion period from | |
70 | ![]() |
IDX | Securities Index | |
71 | ![]() |
ISOCD | ISO currency code | |
72 | ![]() |
ISOCD | ISO currency code | |
73 | ![]() |
ISOCD | ISO currency code | |
74 | ![]() |
ISOCD | ISO currency code | |
75 | ![]() |
ISOCD | ISO currency code | |
76 | ![]() |
ISOCD | ISO currency code | |
77 | ![]() |
ISOCD | ISO currency code | |
78 | ![]() |
ISOCD | ISO currency code | |
79 | ![]() |
ISOCD | ISO currency code | |
80 | ![]() |
ISOCD | ISO currency code | |
81 | ![]() |
ISOCD | ISO currency code | |
82 | ![]() |
ISOCD | ISO currency code | |
83 | ![]() |
ISOCD | ISO currency code | |
84 | ![]() |
ISOCD | ISO currency code | |
85 | ![]() |
ISOCD | ISO currency code | |
86 | ![]() |
ISSUE_YIELD | Issue Yield | |
87 | ![]() |
JABMI | Joint partner vote indicator | |
88 | ![]() |
JBDCDFP_SETTY | Record Category for Class Data for the Financial Product | |
89 | ![]() |
JBSMODE | Mode of Data Flow | |
90 | ![]() |
JNULLKON | Condition Form | |
91 | ![]() |
KREAK | Post Subscription Rights | |
92 | ![]() |
KURZTEXT | Short text/description of the object | |
93 | ![]() |
KZAHLAKT | Pay-in rate | |
94 | ![]() |
PAUSG | Issue premium in percentage | |
95 | ![]() |
PBASKURS | Basic rate | |
96 | ![]() |
PBASKURS | Basic rate | |
97 | ![]() |
PDIVBER | Dividend rights per unit in percentage terms | |
98 | ![]() |
PEMKURS | Issue rate in percent | |
99 | ![]() |
PKOND | Percentage rate for condition items | |
100 | ![]() |
PKOND | Percentage rate for condition items | |
101 | ![]() |
PWARB | Reinvestment discount percent | |
102 | ![]() |
RBEAR | Employee ID | |
103 | ![]() |
RBHER | Editing Source | |
104 | ![]() |
RDIVNR | Dividend coupon number | |
105 | ![]() |
RDPT_SET_NAME | Redemption Schedule Set | |
106 | ![]() |
REHER | Source of initial entry | |
107 | ![]() |
REPKE_NEW | Issuer Identity Key | |
108 | ![]() |
RERF | Entered by | |
109 | ![]() |
REWHR | Issue currency | |
110 | ![]() |
RINDWHR | Index currency | |
111 | ![]() |
RNWHR | Nominal currency | |
112 | ![]() |
RWAUF | Currency markup | |
113 | ![]() |
RWBZP | Subscription price currency | |
114 | ![]() |
RWHRBAS | Exercise price currency | |
115 | ![]() |
RWHRBAS | Exercise price currency | |
116 | ![]() |
SAING | Foreign Investment Law indicator | |
117 | ![]() |
SAKAR | Stock category | |
118 | ![]() |
SANLF | Product Category | |
119 | ![]() |
SANLF | Product Category | |
120 | ![]() |
SARTBET | Type of shareholding | |
121 | ![]() |
SARTBEZ | ID for type of relationship between product categories | |
122 | ![]() |
SCUEX | Cum/ex indicator | |
123 | ![]() |
SDISKO | Discounted | |
124 | ![]() |
SEC_AS_COLL | Indicator eligible as collateral | |
125 | ![]() |
SEC_ELIGIBLE | Eligibility indicator | |
126 | ![]() |
SEC_FUNDED | Indicator: Funded | |
127 | ![]() |
SEC_JAUSL | Drawing Indicator | |
128 | ![]() |
SEC_LISTED | Indicator: Listed on an Exchange | |
129 | ![]() |
SEC_TO_SERVE | Eligible for premium reserve fund | |
130 | ![]() |
SEFFMETH | Effective Interest Method (Financial Mathematics) | |
131 | ![]() |
SFOTY | Fund type indicator | |
132 | ![]() |
SFULT | Month-End Indicator for Due Date | |
133 | ![]() |
SKALID | Factory calendar | |
134 | ![]() |
SKALID | Factory calendar | |
135 | ![]() |
SKOART | Condition Type (Smallest Subdivision of Condition Records) | |
136 | ![]() |
SKONBET | Details about structure of shareholding | |
137 | ![]() |
SMOVERW | Possible custody type | |
138 | ![]() |
SNOTI | Quotation Indicator | |
139 | ![]() |
SOEFF | Public fund indicator | |
140 | ![]() |
SOPTAUS | Exercise Type (American or European) | |
141 | ![]() |
SOPTAUS | Exercise Type (American or European) | |
142 | ![]() |
SOPTTYP | Indicator: Option Category | |
143 | ![]() |
SSTBE | Tax treatment indicator | |
144 | ![]() |
STHES | Reinvestment indicator | |
145 | ![]() |
STILGART | Repayment Type Indicator | |
146 | ![]() |
SVBRE | Stock form indicator | |
147 | ![]() |
SVERROPT | Option Settlement Indicator | |
148 | ![]() |
SWERTTYP | Security Type ID | |
149 | ![]() |
SWHRAUSG | Clearing amount currency | |
150 | ![]() |
SWPKLASS | Classification of bond | |
151 | ![]() |
SYTABIX | Row Index of Internal Tables | |
152 | ![]() |
SZBMETH | Interest Calculation Method | |
153 | ![]() |
SZBMETH | Interest Calculation Method | |
154 | ![]() |
SZSREF | Reference Interest Rate | |
155 | ![]() |
SZSREFVZ | +/- sign / reference interest rate operator | |
156 | ![]() |
TBEAR | Last Edited at | |
157 | ![]() |
TB_MARGART | Margin type | |
158 | ![]() |
TB_VARNAME | Variable Name | |
159 | ![]() |
TB_XFORMBE | Formula Reference | |
160 | ![]() |
TB_XFORMBE | Formula Reference | |
161 | ![]() |
TERF | Time of Initial Entry | |
162 | ![]() |
TER_RANL | ID number of reference security of an executable right | |
163 | ![]() |
TER_RANLNEW | ID number of new security after swap | |
164 | ![]() |
TER_RIGHTTYPE | Rights category of an executable right | |
165 | ![]() |
TER_SUBRANLNEW | Security ID number of the new stock | |
166 | ![]() |
TER_SUBRATE | Subscription rate | |
167 | ![]() |
TER_SWAPDENUM | Swap ratio - denominator | |
168 | ![]() |
TER_SWAPNUM | Swap ratio - numerator | |
169 | ![]() |
TER_SWAPPRICE_CURRENCY | Currency of pay-in amount for stock swap | |
170 | ![]() |
TFMJSINCL | Inclusive indicator for calculation date | |
171 | ![]() |
TFM_PFLUCT | Fluctuation margin | |
172 | ![]() |
TIDX_INDEX_NAME | Name of Price Index | |
173 | ![]() |
TI_DERFUE | Settlement date | |
174 | ![]() |
TI_DLHAND | Last trade date | |
175 | ![]() |
TI_DVERF | Expiration date | |
176 | ![]() |
TI_IPSTRIK | Strike as inverted percentage notation | |
177 | ![]() |
TI_NOTTYPE | Quotation type option/future | |
178 | ![]() |
TI_PITICK | Tick in index points | |
179 | ![]() |
TI_PKSTRIK | Strike in points | |
180 | ![]() |
TI_PPTICK | Tick in percentage points | |
181 | ![]() |
TI_SABRMET | Settlement Method Option | |
182 | ![]() |
TI_SETTLFL | Settlement indicator | |
183 | ![]() |
TI_SOFTYP | Options/futures category | |
184 | ![]() |
TI_SPUTCAL | Put/call indicator | |
185 | ![]() |
TI_WPINDEX | Index point currency | |
186 | ![]() |
TI_WSTRIKE | Strike Currency | |
187 | ![]() |
TI_WWTICK | Tick Value Currency | |
188 | ![]() |
VOTES_PER_SHARE | Voting Rights per Share | |
189 | ![]() |
VVBASIS | Index base | |
190 | ![]() |
VVBNEWE | Nominal Value per Stock (Independent of Currency) | |
191 | ![]() |
VVDEPOSTAT | Securities account statistics key | |
192 | ![]() |
VVJFLAT | Flat price - Yes/No | |
193 | ![]() |
VVJHEIBOE | Home exchange - Yes/No | |
194 | ![]() |
VVJNACHR | Secondary loans ID | |
195 | ![]() |
VVKBEMPR | Issue price independent of currency | |
196 | ![]() |
VVKBKOND | Condition amount independent of currency | |
197 | ![]() |
VVRANLW | Security ID Number | |
198 | ![]() |
VVRANLW | Security ID Number | |
199 | ![]() |
VVRANLWI | No. of the secondary index description for class data | |
200 | ![]() |
VVRANLWXS | Secondary index class data | |
201 | ![]() |
VVRBEZEIN | Reference unit currency | |
202 | ![]() |
VVRBEZEIN | Reference unit currency | |
203 | ![]() |
VVRHANDPL | Exchange | |
204 | ![]() |
VVSART | Product Type | |
205 | ![]() |
VVSBOEN | Listing key | |
206 | ![]() |
VVSBULT | Month-end indicator for calculation date | |
207 | ![]() |
VVSFANT | Indicator for due date-related FiMa calculations | |
208 | ![]() |
VVSFINCL | Inclusive Indicator for Due Date | |
209 | ![]() |
VVSFMETH | Method for determining the next due date | |
210 | ![]() |
VVSFOART | Fund category indicator | |
211 | ![]() |
VVSFWERK | Shift due date to working day | |
212 | ![]() |
VVSVMETH | Method for determining the next value date | |
213 | ![]() |
VVSVWERK | Shift calculation date to working day | |
214 | ![]() |
VVSWPHGMPF | Securities trading law reporting obligation indicator | |
215 | ![]() |
VVSZEITANT | Indicator for Pro Rata Temporis Calculations | |
216 | ![]() |
VVWSINCL | Inclusive indicator | |
217 | ![]() |
VVZVRHYEFF | Int.sttlmnt frequency for effective int.rate calc.in months | |
218 | ![]() |
WAERS | Currency Key | |
219 | ![]() |
WP_RANL | Security ID number | |
220 | ![]() |
WP_RANL | Security ID number | |
221 | ![]() |
XALKZ | Short name | |
222 | ![]() |
XALLB | Long name |