SAP Table TISSR_BONDTYP_DS
Zuordnung Wertpapierart um Fonds zur Durchrechnung Fonds
The table TISSR_BONDTYP_DS (Zuordnung Wertpapierart um Fonds zur Durchrechnung Fonds) is a standard table in SAP ERP.
It belongs to the package VVSRFISL.
Technical Information
Table |
TISSR_BONDTYP_DS |
Short Text |
Zuordnung Wertpapierart um Fonds zur Durchrechnung Fonds |
Package |
VVSRFISL
|
Table Type |
Transparent Table
|
Fields for Table TISSR_BONDTYP_DS
Field Name |
Key |
Description |
Data Element |
Type |
Length |
Check Table |
MANDT |
✔ |
Client |
MANDT |
CLNT |
3 |
T000 |
COUNTRY_VAR |
✔ |
Reporting Variant |
ISSR_REP_COUNTRY |
CHAR |
4 |
TISSR_MARECO |
STICHTAG_FONDS |
✔ |
Stichtag Fondsdurchsicht |
ISSR_STICHTAG_FONDS |
DATS |
8 |
|
ASSET_NR |
✔ |
Capital Investment Number for Regulatory Reporting |
ISSR_ASSET_NR |
CHAR |
13 |
|
PRODUCT_CATEGORY |
✔ |
Reporting Product Category |
ISSR_PRODUCT_CATEGORY |
CHAR |
3 |
TISSR_IFPCAT |
PRODUCT_TYPE |
✔ |
Reporting Product Type |
ISSR_PRODUCT_TYPE |
CHAR |
8 |
TISSR_IFPTYP |
BONDTYP |
✔ |
Art der Wertpapiere |
ISSR_BONDTYP |
CHAR |
2 |
TISSR_BONDTYP |
FLG_CONV_BOND |
✔ |
Investition in Wandelanleihen/Optionsanleihen |
ISSR_FLG_CONV_BOND |
CHAR |
1 |
|
FLG_CALLABLE |
✔ |
Kapitalanlage ist Callable Bond |
ISSR_FLG_CALLABLE |
CHAR |
1 |
|
FOND_ANTEIL |
|
Anteil am Fonds in Prozent |
ISSR_FOND_ANTEIL |
DEC |
7 |
|