Where Used List (Class) for SAP ABAP Table TPMS_VALUE (Value of a Component)
SAP ABAP Table
TPMS_VALUE (Value of a Component) is used by
| # | Object Type | Object Name | Object Description | Package | Structure Package | Software Component |
|---|---|---|---|---|---|---|
| 1 |
CL_ACCUMULATOR_TRG Method: ACCUMULATE_FLOWS
|
Treasury: Accumulator | ||||
| 2 |
CL_ACCUMULATOR_TRG Method: GET_SINGLE_VALUE
|
Treasury: Accumulator | ||||
| 3 |
CL_ACCUMULATOR_TRG Method: COMPUTE_DERIVED_VALUES
|
Treasury: Accumulator | ||||
| 4 |
CL_ACCUMULATOR_TRG Method: REPLACE_VALUE
|
Treasury: Accumulator | ||||
| 5 |
CL_ACCUMULATOR_TRG Method: SUBTRACT_VALUES
|
Treasury: Accumulator | ||||
| 6 |
CL_ACCUMULATOR_TRG Method: DEDUCT_FLOWS
|
Treasury: Accumulator | ||||
| 7 |
CL_ACCUMULATOR_TRG Method: RESET_VALUES
|
Treasury: Accumulator | ||||
| 8 |
CL_ACCUMULATOR_TRG Method: CONSTRUCTOR
|
Treasury: Accumulator | ||||
| 9 |
CL_ACCUMULATOR_TRG Method: ADD_VALUES
|
Treasury: Accumulator | ||||
| 10 | CL_ACCUMULATOR_TRG | Treasury: Accumulator | ||||
| 11 |
CL_AMORTIZATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Amortization Step | ||||
| 12 |
CL_BADI_MANIPULATE_TRL Method: CHECK_POSITION_VALUES
|
Help Class for BAdI TPM_TRL_MANIPULATE | ||||
| 13 |
CL_BADI_MANIPULATE_TRL Method: ADJUST_AMORT_REPAYMENT
|
Help Class for BAdI TPM_TRL_MANIPULATE | ||||
| 14 |
CL_CLASS_POSITION_TRS Method: CHECK_EXISTING_GUARDS_NEW
|
Class Position in Securities Account | ||||
| 15 |
CL_CLASS_POSITION_TRS Method: ACCUMULATE_QUANTITY
|
Class Position in Securities Account | ||||
| 16 |
CL_CLASS_POSITION_TRS Method: CALCULATE_QUANTITY
|
Class Position in Securities Account | ||||
| 17 | CL_CLASS_POSITION_TRS | Class Position in Securities Account | ||||
| 18 |
CL_DERIVED_TRANSACTION_MGT_TRL Method: UPDATE_BY_TRANSACTIONS
|
Derived Business Transactions (Manager) | ||||
| 19 |
CL_DERIV_METHOD_TRL Method: GET_RATE_DELTA
|
Class Holder for Derivation Method | ||||
| 20 |
CL_DERIV_METHOD_TRL Method: GET_VALUES_DELTA
|
Class Holder for Derivation Method | ||||
| 21 |
CL_DERIV_METHOD_TRL Method: GET_VALUES_INCL
|
Class Holder for Derivation Method | ||||
| 22 |
CL_DERIV_METHOD_TRL Method: GET_INDEX_EXCL
|
Class Holder for Derivation Method | ||||
| 23 |
CL_DERIV_METHOD_TRL Method: GET_AMOUNT_DELTA
|
Class Holder for Derivation Method | ||||
| 24 |
CL_DERIV_METHOD_TRL Method: FILL_VALUE_BUFFER
|
Class Holder for Derivation Method | ||||
| 25 |
CL_DERIV_METHOD_TRL Method: GET_TARGETS
|
Class Holder for Derivation Method | ||||
| 26 | CL_DERIV_METHOD_TRL | Class Holder for Derivation Method | ||||
| 27 |
CL_DERIV_METHOD_TRL Method: GET_AMOUNT_INCL
|
Class Holder for Derivation Method | ||||
| 28 |
CL_DERIV_METHOD_TRL Method: GET_QUANTITY_INCL
|
Class Holder for Derivation Method | ||||
| 29 |
CL_DERIV_METHOD_TRL Method: GET_VALUES_EXCL
|
Class Holder for Derivation Method | ||||
| 30 |
CL_DERIV_METHOD_TRL Method: GET_RATE_INCL
|
Class Holder for Derivation Method | ||||
| 31 |
CL_DERIV_METHOD_TRL Method: GET_QUANTITY_EXCL
|
Class Holder for Derivation Method | ||||
| 32 |
CL_FE_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Foreign Currency Valuation Step | ||||
| 33 |
CL_FTI_LDB_VALUES_PER_DATE Method: FILL_POSITION_DATA_VALUES
|
Values per Key Date for PREPARE_OUTPUT | ||||
| 34 |
CL_FTI_LDB_VALUES_PER_DATE Method: MAP_FLOW_VALUES
|
Values per Key Date for PREPARE_OUTPUT | ||||
| 35 | CL_FUNCTIONS_TRAD | Accrual/Deferral Functions | ||||
| 36 |
CL_FX_RATE_VAL Method: DETERMINE_CALC_BASIS_NVP
|
Treasury: Rate Valuation Step FX-Forward | ||||
| 37 |
CL_FX_RATE_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Rate Valuation Step FX-Forward | ||||
| 38 |
CL_ISSR_IF_SERVICES_CFM Method: _GET_SR_DATA_BY_POSFLOW
|
ISSR: Services aus dem CFM | ||||
| 39 |
CL_ISSR_IF_SERVICES_FAM Method: _GET_SR_DATA_BY_POSFLOW
|
Klasse zur BAdI-Impl.: ISSR_IF_SERVICES_FAM | ||||
| 40 | CL_MANAGER_TRS | Treasury: Manager Class Securities Account Management | ||||
| 41 |
CL_MANAGER_TRS Method: CALCULATE_QUANTITY
|
Treasury: Manager Class Securities Account Management | ||||
| 42 |
CL_MARGIN_SWAP_DEF_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Step Margin/Swap Accrual | ||||
| 43 |
CL_OTC_OPTION_POSITION_TMP_TRR Method: IF_ASSESSABLE_POSITION_VAL~GET_COMPONENT_VALUES
|
OTC Option Position for Data Extraction (Preliminary) | ||||
| 44 |
CL_OTC_OPTION_POSITION_TRR Method: IF_ASSESSABLE_POSITION_VAL~GET_COMPONENT_VALUES
|
OTC Option Position for Data Extraction (Preliminary) | ||||
| 45 |
CL_POSITIONSERVICE_TRQ Method: GET_VALUES_FOR_POSITION
|
Treasury: Quantity Ledger: Position Service | ||||
| 46 |
CL_POSITION_LINK_TRG Method: CLS_GET_POSITIONS_TRS_FOR_TRQ
|
Linking the CFM Positions | ||||
| 47 |
CL_POSITION_TRL Method: WRITE_FS_BY_TRANSACTION
|
Treasury Ledger Position | ||||
| 48 |
CL_POSITION_TRL Method: IF_LAST_AMORT_CAL~GET_LAST_AMORTIZATION
|
Treasury Ledger Position | ||||
| 49 |
CL_PRICE_INDEX_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Index Valuation Step | ||||
| 50 |
CL_PRICE_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Single-Level Rate Valuation | ||||
| 51 |
CL_QUANTITY_SERVICE_TRQ Method: CALCULATE_QUANTITY
|
Treasury: Quantity Ledger - Quantity Service | ||||
| 52 |
CL_QUANTITY_SERVICE_TRQ Method: ADJUST_QUANTITY
|
Treasury: Quantity Ledger - Quantity Service | ||||
| 53 |
CL_QUERY_SERVICE_TRL Method: CHECK_FOR_SHORT_POSITION
|
Treasury Ledger Query Service | ||||
| 54 |
CL_QUERY_SERVICE_TRL Method: GET_LAST_FIX_SUM_BY_TRANS
|
Treasury Ledger Query Service | ||||
| 55 |
CL_RATE_SERVER_VAL Method: GET_DEAL_DATA_REPO
|
Treasury: Determination of Key Date Exchange Rates | ||||
| 56 |
CL_RATE_SERVER_VAL Method: GET_BOOK_VALUES
|
Treasury: Determination of Key Date Exchange Rates | ||||
| 57 | CL_RATE_SERVER_VAL | Treasury: Determination of Key Date Exchange Rates | ||||
| 58 |
CL_SAC_CALCULATOR_LOA_CAL Method: DETERMINE_INITIAL_EFFINTRATE
|
SAC Calculator (Incremental) for Loans | ||||
| 59 |
CL_SUBTRANSACTION_TRF Method: REGISTER_FLOWS
|
Treasury: TRF Business Subtransaction | ||||
| 60 |
CL_SWAP_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Swap Valuation Step | ||||
| 61 |
CL_TITLE_IMPAIRMENT_VAL Method: DETERMINE_CALCULATION_BASIS
|
Impairment | ||||
| 62 |
CL_TITLE_VALUATION_VAL Method: CLS_ADD_ACCRUED_INTEREST
|
Treasury: Security Valuation Step | ||||
| 63 |
CL_TITLE_VALUATION_VAL Method: DETERMINE_CALCULATION_BASIS
|
Treasury: Security Valuation Step | ||||
| 64 |
CL_TRADING_POSITION_TRR Method: IF_ASSESSABLE_POSITION_VAL~GET_COMPONENT_VALUES
|
Trading Position | ||||
| 65 |
CL_TRANSACTION_TRAT Method: DETERMINE_PARTITIONS
|
Account Assignment Reference - Transfer Business Transaction | ||||
| 66 |
CL_TRL_POSITION_TRAD Method: COMPENSATION_METHOD_EXECUTE
|
Wrapper for TRL Position | ||||
| 67 | CL_WORKINGSTOCK_TLV | Worklist for Valuation of Subledger Positions | ||||
| 68 | CL_WORKINGSTOCK_TLV | Worklist for Valuation of Subledger Positions | ||||
| 69 | CL_WORKINGSTOCK_TLV | Worklist for Valuation of Subledger Positions | ||||
| 70 | CL_WORKINGSTOCK_TLV | Worklist for Valuation of Subledger Positions |