Data Element list used by SAP ABAP Table KLSIREPEVANBETRIN (Attributable Amount Determination for Collateral (Sec. Risk))
SAP ABAP Table
KLSIREPEVANBETRIN (Attributable Amount Determination for Collateral (Sec. Risk)) is using
| # | Object Type | Object Name | Object Description | Note |
|---|---|---|---|---|
| 1 | BP_PARTNR_NEW | Business Partner Number | ||
| 2 | BP_RATING | Rating | ||
| 3 | BUKRS | Company Code | ||
| 4 | JBOBJNR | Object number for financial transactions | ||
| 5 | KL_ADDONFA | Add-On Factor in Percentage | ||
| 6 | KL_ADDONFA | Add-On Factor in Percentage | ||
| 7 | KL_ARAKT | Indicator: Counterparty/Issuer Risk Active | ||
| 8 | KL_BBAS | Calculation Base | ||
| 9 | KL_BEWFAKKENNZ | Counterparty/Issuer Risk - Country Risk | ||
| 10 | KL_BK1 | Amount of Basic Key Figure 1 in Currency | ||
| 11 | KL_BK1 | Amount of Basic Key Figure 1 in Currency | ||
| 12 | KL_BK1CURR | Currency of Basic Key Figure 1 | ||
| 13 | KL_BK1CURR | Currency of Basic Key Figure 1 | ||
| 14 | KL_BK2 | Amount of Basic Key Figure 2 in Currency | ||
| 15 | KL_BK2CURR | Currency of Base Key Figure 2 | ||
| 16 | KL_BK3 | Amount of Basic Key Figure 3 in Currency | ||
| 17 | KL_BK3CURR | Currency of Base Key Figure 3 | ||
| 18 | KL_BK4 | Amount of Basic Key Figure 4 in Currency | ||
| 19 | KL_BK4CURR | Currency of Base Key Figure 4 | ||
| 20 | KL_CEQCLASS | CEQ Class | ||
| 21 | KL_CEQRATE | Credit Equivalent in Percentage | ||
| 22 | KL_COMPERD | Risk Commitment Period in Months | ||
| 23 | KL_DBLFZ | Term Start (Original Term) | ||
| 24 | KL_DEFRIRE | Default Risk Rule | ||
| 25 | KL_DELFZ | Term End (Original Term) | ||
| 26 | KL_DETPROC | Determination Procedure | ||
| 27 | KL_DFIKT | Base Date for Fiction | ||
| 28 | KL_DFIKT | Base Date for Fiction | ||
| 29 | KL_DMWAE | Base Date for Calculating Market Value Change Period | ||
| 30 | KL_DMWAE | Base Date for Calculating Market Value Change Period | ||
| 31 | KL_DRBD | Base Date for Calculating the Risk Commitment Period | ||
| 32 | KL_EDFRATE | Country Default Probability (EDF) in Percentage | ||
| 33 | KL_EDFRATE | Country Default Probability (EDF) in Percentage | ||
| 34 | KL_FORM_ID | Number for Formula Identification | ||
| 35 | KL_LEQCLASS | Loss Equivalent Class | ||
| 36 | KL_LEQRATE | Loss Equivalent in Percentage | ||
| 37 | KL_LRAKT | Indicator: Country Risk Active | ||
| 38 | KL_LRB | Country Risk Area | ||
| 39 | KL_RECRATE | Recovery Rate in Percentage Points | ||
| 40 | KL_RISK_EFFECT | Transaction is Risk-Reducing | ||
| 41 | KL_RRFIND | Recovery Rate | ||
| 42 | KL_SCTERM | Original Term | ||
| 43 | KL_SKALID | Factory Calendar | ||
| 44 | KL_SKE | Selection of Counterparty - Issuer Risk | ||
| 45 | KL_SPS | Primary - Secondary Risk | ||
| 46 | KL_VARRATE | Value of Value-at-Risk in Percentage | ||
| 47 | LAND1_GP | Country Key | ||
| 48 | RDEALER | Trader | ||
| 49 | RPORTB | Portfolio | ||
| 50 | TB_CONTROL | Monitoring Unit | ||
| 51 | TB_COUNTRYRATING | Country Rating | ||
| 52 | TB_INDSECT | Industry of Business Partner | ||
| 53 | TB_INTORGUNIT | Internal Organizational Unit | ||
| 54 | TB_RISKCOUNTRY | Relevant Country for Country Risk | ||
| 55 | TB_SLPG | Limit Product Group | ||
| 56 | TB_WCHAR | Currency as Limit Characteristic |