Data Element list used by SAP ABAP Table VTVBARW_GH (Money Market: For a Given Date)
SAP ABAP Table VTVBARW_GH (Money Market: For a Given Date) is using
# | Object Type | Object Name | Object Description | Note |
---|---|---|---|---|
1 | Data Element | AFW_EVAL_CURRENCY | Evaluation Currency | |
2 | Data Element | AKTBWBW_SIM | Asset: Book value from sim. valuation in purchase currency | |
3 | Data Element | AKTBWBW_SIM_AW | Asset: Book value from sim. valuation in display currency | |
4 | Data Element | AKTBWHW_SIM | Asset: Book value from sim. valuation in local currency | |
5 | Data Element | AKTBWHW_SIM_AW | Asset: Book value from sim. valuation in display curr. (LC) | |
6 | Data Element | AZINSANSPBW | Interest Receivable from Simulated Accr./Def. in Pos. Crcy | |
7 | Data Element | AZINSANSPBW_AW | Interest receivable from simulated accr./def. in displ.curr. | |
8 | Data Element | AZINSANSPHW | Interest receivable from simulated accr./def. in local curr. | |
9 | Data Element | AZINSANSPHW_AW | Interest received from simulated acc./def.in displ.curr.(LC) | |
10 | Data Element | BP_CNTR_N | Nationality | |
11 | Data Element | BP_CNTR_ST | Citizenship | |
12 | Data Element | BP_COMP_RE | Organization Relationship | |
13 | Data Element | BP_GROUP_D | Target Group | |
14 | Data Element | BP_LEG_ETY_NEW | Legal Form of Organization | |
15 | Data Element | BP_RATING | Rating | |
16 | Data Element | BP_SOLVNCY | Credit Standing | |
17 | Data Element | BP_SOL_INF | Status of Credit Standing Information | |
18 | Data Element | BP_SOL_INS | Institute Providing Credit Standing Information | |
19 | Data Element | BP_SOL_I_D | Date of Credit Standing Information | |
20 | Data Element | BP_STAFF_G | Employee Group | |
21 | Data Element | BP_TYPE_NEW | Business Partner Category | |
22 | Data Element | BUKRS | Company Code | |
23 | Data Element | BU_GRP_ID_NEW | Business Partner Grouping | |
24 | Data Element | BU_IND_SECTOR | Industry | |
25 | Data Element | BU_ISTYPE | Industry System | |
26 | Data Element | BU_LEGAL_ORG_NEW | Legal Entity of Organization | |
27 | Data Element | CFNUMBR | Number of translation key in currency translation | |
28 | Data Element | DBLFZ | Start of Term | |
29 | Data Element | DELFZ | End of Term | |
30 | Data Element | FTI_AKTAWBW | Asset: Acquisition value in position/transaction currency | |
31 | Data Element | FTI_AKTAWBW_AW | Asset: Acquisition value in display currency | |
32 | Data Element | FTI_AKTAWHW | Asset: Acquisition value in local currency | |
33 | Data Element | FTI_AKTAWHW_AW | Asset: Acquisition value in display curr. from local curr. | |
34 | Data Element | FTI_AKTBWBW | Asset: Book value in position currency/transaction currency | |
35 | Data Element | FTI_AKTBWBW_AW | Asset: Book value in display currency from position currency | |
36 | Data Element | FTI_AKTBWHW | Asset: Book value in local currency | |
37 | Data Element | FTI_AKTBWHW_AW | Asset: Book value in display currency from local currency | |
38 | Data Element | FTI_AKTNOMWBW | Asset: Nominal value in investment currency | |
39 | Data Element | FTI_AKTNOMWBW_AW | Asset: Nominal value in display curr. from purchase curr. | |
40 | Data Element | FTI_AKTNOMWHW | Asset: Nominal value in local currency | |
41 | Data Element | FTI_AKTNOMWHW_AW | Asset: Nominal value in display currency from local currency | |
42 | Data Element | FTI_ANZGW | Display Currency | |
43 | Data Element | FTI_BILST | Reference Date | |
44 | Data Element | FTI_BILST2 | Reference Date | |
45 | Data Element | FTI_BILST_REF_B | Positions: Remaining Term/Overdue Period Based On | |
46 | Data Element | FTI_BILST_REF_F | Flows: Remaining Term/Overdue Period Based On | |
47 | Data Element | FTI_CLEAN_PRICE_CC | Clean Price in Valuation Currency | |
48 | Data Element | FTI_CLEAN_PRICE_PC | Clean Price in Position Currency | |
49 | Data Element | FTI_CONDENSE | Summarize Results (for Query) | |
50 | Data Element | FTI_EVALTYPE | Evaluation Type (Risk Management) | |
51 | Data Element | FTI_EXCL_PLAN | Exclude Plan Data (for Query) | |
52 | Data Element | FTI_HKONT | General ledger account | |
53 | Data Element | FTI_LAND1 | Country key of company code | |
54 | Data Element | FTI_LANDBP | Country of Registered Office of Business Partner | |
55 | Data Element | FTI_LDB_FLG_COUPLING_SECACCGRP | Interpret Assignment of Sec. Account to Sec. Account Group | |
56 | Data Element | FTI_LDB_FLG_HISTORIC_ACCASSREF | Indicator: Historical Account Assignment Reference | |
57 | Data Element | FTI_LDB_FLG_LO | Product Group Loans: Yes/No | |
58 | Data Element | FTI_LDB_FLG_LOF | Product Group Listed Derivatives (Futures): Yes/No | |
59 | Data Element | FTI_LDB_FLG_OTC | Product Group OTC (MM, FX, DE): Yes/No | |
60 | Data Element | FTI_LDB_FLG_SE | Product Group Securities: Yes/No | |
61 | Data Element | FTI_LDB_RISK_COUNTERPARTY | Partner with Whom Commitment Exists | |
62 | Data Element | FTI_NO_NULL | Hide Zero Records | |
63 | Data Element | FTI_NPV_PC | RM NPV in Display Currency | |
64 | Data Element | FTI_NUMBR_LC | Translation Type for Currency Translation into Local Crcy | |
65 | Data Element | FTI_PASAWBW | Liability: Acquisition value in position/transact. currency | |
66 | Data Element | FTI_PASAWBW_AW | Liability: Acquisition value in display currency | |
67 | Data Element | FTI_PASAWHW | Liability: Acquisition value in local currency | |
68 | Data Element | FTI_PASAWHW_AW | Liability: Acquisition value in disp. curr. from local curr. | |
69 | Data Element | FTI_PASBWBW | Liability: Book value in position/transaction currency | |
70 | Data Element | FTI_PASBWBW_AW | Liability: Book value in display currency | |
71 | Data Element | FTI_PASBWHW | Liability: Book value in local currency | |
72 | Data Element | FTI_PASBWHW_AW | Liability: Book value in display curr. from local currency | |
73 | Data Element | FTI_PASNOMWBW | Liability: Nominal value in currency of sale | |
74 | Data Element | FTI_PASNOMWBW_AW | Liability: Nominal value in display curr. from sale curr. | |
75 | Data Element | FTI_PASNOMWHW | Liability: Nominal value in local currency | |
76 | Data Element | FTI_PASNOMWHW_AW | Liability: Nominal value in display curr. from local curr. | |
77 | Data Element | FTI_PEFFZINS | Effective Interest Rate on Key Date | |
78 | Data Element | FTI_REVERSED_FLOWS | Process Reversed Flows (for Query) | |
79 | Data Element | FTI_RLZJA | Remaining Term in Years | |
80 | Data Element | FTI_RLZMO | Remaining Term in Months | |
81 | Data Element | FTI_RLZTG | Remaining Term in Days | |
82 | Data Element | FTI_RLZTGK | Remaining Term in Days (Key Figure) | |
83 | Data Element | FTI_SAKTIV | Active status of financial transaction (drilldown reporting) | |
84 | Data Element | FTI_STORNO | Evaluate Reversed Flows | |
85 | Data Element | FTI_STUECKE | Number of units / Number of transactions | |
86 | Data Element | FTI_UEBJA | Overdue Period in Years | |
87 | Data Element | FTI_UEBMO | Overdue Period in Months | |
88 | Data Element | FTI_UEBTG | Overdue Period in Days | |
89 | Data Element | FTI_UEBTGK | Overdue Period in Days (Key Figure) | |
90 | Data Element | FTI_VALBP_PC | Basis Point Value in Display Currency | |
91 | Data Element | FTI_WGSCH1 | Currency borrowing/sale | |
92 | Data Element | FTI_WGSCH2 | Currency investment/purchase | |
93 | Data Element | MANDT | Client | |
94 | Data Element | MPKOND | Interest rate (characteristic in drill-down reporting) | |
95 | Data Element | PERIV | Fiscal Year Variant | |
96 | Data Element | RANTYP | Contract Type | |
97 | Data Element | RDEALER | Trader | |
98 | Data Element | RPORTB | Portfolio | |
99 | Data Element | RSTICH | Key date reference | |
100 | Data Element | SANLF | Product Category | |
101 | Data Element | SCASHFLOW | Indicator for cash flow calculation up to end of term | |
102 | Data Element | SEFFMETH | Effective Interest Method (Financial Mathematics) | |
103 | Data Element | TB_BWHR | Position Currency/Transaction Currency | |
104 | Data Element | TB_MERKM | Characteristics | |
105 | Data Element | TB_NORDEXT | External Reference | |
106 | Data Element | TB_REFER | Internal Reference | |
107 | Data Element | TB_REFKONT | Acct Assignment Ref. for Operative Valn Area and Loan | |
108 | Data Element | TB_RFHA | Financial Transaction | |
109 | Data Element | TB_RGARANT_NEW | Guarantor of Financial Transaction | |
110 | Data Element | TB_RMAID | Master Agreement | |
111 | Data Element | TB_SFGTYP | Transaction Category | |
112 | Data Element | TB_SFGZUTY | Transaction Activity Category | |
113 | Data Element | TB_SFHAART | Financial Transaction Type | |
114 | Data Element | TB_TFPROJ | Finance Project | |
115 | Data Element | TB_ZUOND | Assignment | |
116 | Data Element | TV_CLEAN_PRICE_PC | Clean Price in Position Currency | |
117 | Data Element | TV_MAC_DURATION | Macaulay Duration | |
118 | Data Element | TV_MOD_DURATION | Fisher-Weil Duration | |
119 | Data Element | TV_NPV_CC | RM NPV in Evaluation Currency | |
120 | Data Element | TV_NPV_PC | RM Net Present Value in Position Currency | |
121 | Data Element | TV_PKOND | Interest rate | |
122 | Data Element | TV_VALBP | Basis Point Value in Evaluation Currency | |
123 | Data Element | TV_VALBP_PC | Basis Point Value in Position Currency | |
124 | Data Element | VVKURSAUSW | Price type for evaluations | |
125 | Data Element | VVRANLWI | No. of the secondary index description for class data | |
126 | Data Element | VVSART | Product Type | |
127 | Data Element | VVSTDAT | Key date | |
128 | Data Element | WAERS | Currency Key |