Data Element list used by SAP ABAP Table VTVFGDI1 (DI Generic Transaction: Direct Input of Receiver Structure)
SAP ABAP Table VTVFGDI1 (DI Generic Transaction: Direct Input of Receiver Structure) is using
# Object Type Object Name Object Description Note
     
1 Data Element  ABASTAGE Number of base days in a calculation period
2 Data Element  ASTUECK Number of units for unit-quoted securities
3 Data Element  ASTUECK Number of units for unit-quoted securities
4 Data Element  BUKRS Company Code
5 Data Element  BUKRS Company Code
6 Data Element  BU_AKTYP Activity Category
7 Data Element  BU_CHIND Change category
8 Data Element  BU_CHIND Change category
9 Data Element  BU_CHIND Change category
10 Data Element  BU_CHIND Change category
11 Data Element  BU_CHIND Change category
12 Data Element  BU_PARTNER Business Partner Number
13 Data Element  BU_RLTYP BDT: Object part
14 Data Element  BU_RLTYP BDT: Object part
15 Data Element  BU_RLTYP BDT: Object part
16 Data Element  BU_RLTYP BDT: Object part
17 Data Element  BU_RLTYP BDT: Object part
18 Data Element  BU_RLTYP BDT: Object part
19 Data Element  BU_RLTYP BDT: Object part
20 Data Element  BU_RLTYP BDT: Object part
21 Data Element  BU_RLTYP BDT: Object part
22 Data Element  DBLFZ Start of Term
23 Data Element  DDEKSE RM: Date on which the average purchase price was determined
24 Data Element  DDISPO Payment Date
25 Data Element  DFAELL Due date
26 Data Element  FIXEDSAMPLECOUNT Number of Fixed Points per Base Value
27 Data Element  FIXEDSPOTAVERAGE Mean Value of Fixed Base Prices
28 Data Element  FIXEDVOLATILITY Forward Volatility, Fixed for Each Contract
29 Data Element  FTR_CSPREAD Credit Spread
30 Data Element  FTR_CSPREAD Credit Spread
31 Data Element  IDX Securities Index
32 Data Element  JBDGUELTAB Version Date of Generic Transaction
33 Data Element  JBIOPPZ Opportunity Interest
34 Data Element  JBNBRANCH Degree of Branching for Each Category of Primary Transaction
35 Data Element  JBNCFNR Consecutive Number for a Flow of an FGET
36 Data Element  JBNGIDNR Sequence Number for a Transaction ID in Primary Transaction
37 Data Element  JBNGIDNR Sequence Number for a Transaction ID in Primary Transaction
38 Data Element  JBNGIDNR Sequence Number for a Transaction ID in Primary Transaction
39 Data Element  JBRAGGREG Aggregation Rule in Hierarchy of Data Type of Fin. Trans.
40 Data Element  JBRBERBIS 'Calculate Through To' Date
41 Data Element  JBRBERVON 'Calculate From' Date (Inclusive of that date)
42 Data Element  JBRBEWREG_ Valuation Rule
43 Data Element  JBRBKONT Account Number
44 Data Element  JBRCFART_D Cash Flow Type
45 Data Element  JBRDELFZ End of Term/End of Period of Notice
46 Data Element  JBREXTNR External Account Number
47 Data Element  JBRIDEXT External Number of the Generic Transaction
48 Data Element  JBRIDEXTRTEXT External Number of the External Generic Transaction
49 Data Element  JBRRANL Security
50 Data Element  JBRUBEST Position Name
51 Data Element  JBRWKN RM: Security ID Number for Complex Class xSDTFT
52 Data Element  JBRXTEXT Text Field for a More Precise Description
53 Data Element  JBSSHLNG Short/Long Indicator
54 Data Element  JBSSHLNG Short/Long Indicator
55 Data Element  JBSSTAT Category of Generic Transaction
56 Data Element  JBSVERS RM: Indicator for Retrieval of a Version
57 Data Element  JBSZINSART RM: Indicator for the Type of Interest Rate
58 Data Element  JBWCF Currency of Cash Flow
59 Data Element  JSOFVERR Immediate settlement
60 Data Element  KL_BBWHR Amount in transaction currency
61 Data Element  KL_DEFRIRE Default Risk Rule
62 Data Element  KL_DISPW Planned Currency for Cash Management and Forecast
63 Data Element  KL_EXTZK Amount of external commit. capital in currency
64 Data Element  KL_EXTZKWHR Currency of external commitment capital
65 Data Element  KL_FDLEV Credit Limit: Level for Cash Management and Forecasting
66 Data Element  KL_KKURS Exchange Rate
67 Data Element  KL_LPG Limit Product Group
68 Data Element  KL_SBWHR Position Currency/Transaction Currency
69 Data Element  KL_SKPSK Credit Limit Part: General Ledger Account
70 Data Element  KL_XKURS X - Fixed exchange rate agreed
71 Data Element  LEAD_FGET Selected Transaction
72 Data Element  NEXTSAMPLEDATE Next Sample Date
73 Data Element  NORDER Order Number
74 Data Element  NORDEXT External order number
75 Data Element  PKOND Percentage rate for condition items
76 Data Element  PKOND Percentage rate for condition items
77 Data Element  PKOND Percentage rate for condition items
78 Data Element  PKOND Percentage rate for condition items
79 Data Element  PKOND Percentage rate for condition items
80 Data Element  PKOND Percentage rate for condition items
81 Data Element  RANL Contract Number
82 Data Element  RANLALT1 Alternative Identification
83 Data Element  RDEALER Trader
84 Data Element  RLDEPO Securities Account
85 Data Element  RLDEPO Securities Account
86 Data Element  RM_AOPTTYP Current option category
87 Data Element  RM_B1OSBPR Upper Barrier Price per Unit
88 Data Element  RM_B1OSIND Upper Barrier Points (For Quotation in Points)
89 Data Element  RM_B1OSKUR Rate for Upper Barrier (Forex)
90 Data Element  RM_B1OSPRO Upper Barrier Percentage (For Percentage Quotations)
91 Data Element  RM_B1OSTRI Upper Barrier Amount
92 Data Element  RM_B2OSBPR Lower Barrier Price per Unit
93 Data Element  RM_B2OSIND Lower Barrier Points (For Quotation in Points)
94 Data Element  RM_B2OSKUR Lower Barrier Rate (Forex)
95 Data Element  RM_B2OSPRO Percentage for Lower Barrier (For Percentage Quotation)
96 Data Element  RM_B2OSTRI Lower Barrier Amount
97 Data Element  RM_BA1RBET Rebate Amount of Upper Barrier
98 Data Element  RM_BA1RDAT Maturity Date of Rebate for Upper Barrier
99 Data Element  RM_BA1RSSI Direction of Rebate for Uppter Barrier
100 Data Element  RM_BA1RWAE Currency of the Rebate Amount of Upper Barrier
101 Data Element  RM_BA2RBET Rebate Amount of Lower Barrier
102 Data Element  RM_BA2RDAT Maturity Date of Rebate of Lower Barrier
103 Data Element  RM_BA2RSSI Direction of Rebate of Lower Barrier
104 Data Element  RM_BA2RWAE Currency of Rebate Amount of Lower Barrier
105 Data Element  RM_BNOTPT Value of quotation point
106 Data Element  RM_BPROZE Reference value of strike percentage quotation
107 Data Element  RM_OBEZVH Subscription ratio of option
108 Data Element  RM_OFWAERS Strike Currency of Option/Future
109 Data Element  RM_OPTTYP Original Option category (On Conclusion of Deal)
110 Data Element  RM_OSBPRIC Strike price per unit
111 Data Element  RM_OSINDEX Strike in points (for quotation in points)
112 Data Element  RM_OSKURS Strike as Rate (Forex)
113 Data Element  RM_OSPROZE Strike in percent (for percentage quotation)
114 Data Element  RM_OSTRIKE Strike Amount of Option
115 Data Element  RM_PUTCALL Put/Call Indicator for Options
116 Data Element  RM_REBETR Option rebate amount
117 Data Element  RM_REDATE Rebate Due Date
118 Data Element  RM_RESSIGN Direction of rebate amount
119 Data Element  RM_REWAERS Option Rebate Currency
120 Data Element  RM_SABRMET Settlement method option/future
121 Data Element  RM_SETTLFL Settlement indicator
122 Data Element  RM_SOPTAUS Exercise type (American or European)
123 Data Element  RM_UDDISPO Delivery of Underlying
124 Data Element  RM_UNOTTYP Quotation of underlying
125 Data Element  RPORTB Portfolio
126 Data Element  SZBMETH Interest Calculation Method
127 Data Element  SZSREF Reference Interest Rate
128 Data Element  SZSREF Reference Interest Rate
129 Data Element  SZSREF Reference Interest Rate
130 Data Element  SZSREF Reference Interest Rate
131 Data Element  SZSREF Reference Interest Rate
132 Data Element  SZSREF Reference Interest Rate
133 Data Element  SZSREF Reference Interest Rate
134 Data Element  SZSREFVZ +/- sign / reference interest rate operator
135 Data Element  TB_DZFEST Interest rate fixing date
136 Data Element  TB_NOTTYPE Quotation type for option, future, security etc.
137 Data Element  TB_PKOND Interest rate as a percentage
138 Data Element  TB_RFHA Financial Transaction
139 Data Element  TB_RKONDGR Direction of Transaction
140 Data Element  TB_SSIGN Direction of flow
141 Data Element  TB_VARNAME Variable Name
142 Data Element  TB_VARNAME Variable Name
143 Data Element  TB_VARNAME Variable Name
144 Data Element  TB_VARNAME Variable Name
145 Data Element  TB_VARNAME Variable Name
146 Data Element  TB_VARNAME Variable Name
147 Data Element  TB_WGSCHF1 Currency of Outgoing Side
148 Data Element  TB_WGSCHF2 Currency of Incoming Side
149 Data Element  TB_XFORMBE Formula Reference
150 Data Element  TOTALSAMPLECOUNT Number of Sample Dates per Base Value
151 Data Element  TV_AGGRKZ Indicator for aggregated transactions
152 Data Element  TV_BNWHR Nominal amount base for cash flow determination
153 Data Element  TV_BPIDX Value of an index point
154 Data Element  TV_BSALDO Residual balance of a contract (account)
155 Data Element  TV_CASHF Cash Flow Amount in Currency
156 Data Element  TV_CFWHR Currency of cash flow
157 Data Element  TV_FIKTKZ Include Fictitious Cash Flows
158 Data Element  TV_GDETAIL Transaction Form - Detail Information
159 Data Element  TV_GFORM Transaction Form
160 Data Element  TV_IDXVAL Index Value
161 Data Element  TV_KATEKZ Indicator for spot and forward transactions
162 Data Element  TV_KURSFUT Current price of futures contract/option on futures contract
163 Data Element  TV_NOMI1 Nominal amount of outgoing side
164 Data Element  TV_NOMI2 Nominal amount of incoming side
165 Data Element  TV_NOMINAL Nominal amount
166 Data Element  TV_NOMWAE Currency of Nominal Amount
167 Data Element  TV_SFGTYP Buy/Sell
168 Data Element  TV_SNWHR Currency of nominal amount base
169 Data Element  TV_SOFFSET Fixer offset for variable interest rate reference
170 Data Element  TV_SPIDX Currency of Value of an Index Point
171 Data Element  VORZEIT Lead Time of Option
172 Data Element  VTVATAGE Number of Days
173 Data Element  VVDEFSZ Date of fixed period end
174 Data Element  VVRANLW Security ID Number
175 Data Element  VVRANLW Security ID Number
176 Data Element  VVRHANDPL Exchange