FTI_BIW_SEC_ID_ATTR SAP (CFM: Class Master Data - Reduced to Max. 16-Character Names) Structure details
Description: CFM: Class Master Data - Reduced to Max. 16-Character Names
Related tables to FTI_BIW_SEC_ID_ATTR
Access table FTI_BIW_SEC_ID_ATTR
Structure field list including key, data, relationships and ABAP select examples
FTI_BIW_SEC_ID_ATTR is a standard SAP Structure so does not store data like a database table does. It can be used to define the fields of other actual tables or to process "CFM: Class Master Data - Reduced to Max. 16-Character Names" Information within sap ABAP programs.
This is done by declaring abap internal tables, work areas or database tables based on this Structure. These can then be used to store and process the required data appropriately.
i.e. DATA: wa_FTI_BIW_SEC_ID_ATTR TYPE FTI_BIW_SEC_ID_ATTR.
The FTI_BIW_SEC_ID_ATTR table consists of various fields, each holding specific information or linking keys about CFM: Class Master Data - Reduced to Max. 16-Character Names data available in SAP. These include COMMODITY_ID (Commodity ID), CONTRACT_SIZE (Contract Size), CONTRACT_SZ_UNIT (Mengeneinheit der Kontraktgröße), BETICK_CTY (Tick Amount (Commodity)).. See below for full list along with technical details, documentation, text table, check tables, foreign key relationships, conversion routines, relevant tcodes and example ABAP select code etc. .
Delivery Class:Display/Maintenance via tcode SM30: Display/Maintenance Allowed but with Restrictions
SAP enhancement categories: Can be enhanced (character-type or numeric)
SAP FTI_BIW_SEC_ID_ATTR structure fields - Full list of fields found in SAP data dictionary
Field | Description | Data Element | Data Type | length (Dec) | Check table | Conversion Routine | Domain Name | MemoryID | SHLP |
SECURITY_NUMBER | Security ID number | WP_RANL | CHAR | 13 | VWPANLA | ALPHA | WP_RANL | RAN | SECURITY_F4 |
COMMODITY_ID | Commodity ID | TRCO_COMM_ID | CHAR | 18 | TRCOT_CTY_MASTER | TPM_CTY_ID | COMMODITY_ID | F4_CTY_ID_CORE | |
CONTRACT_SIZE | Contract Size | TPM_CTY_CONTRACT_SIZE | QUAN | 13(3) | FTR_QUAN | ||||
CONTRACT_SZ_UNIT | Mengeneinheit der Kontraktgröße | TPM_CTY_CONTRACT_SIZE_UNIT | UNIT | 3 | Assigned to domain | TRCO_COMM_UOM | |||
BETICK_CTY | Tick Amount (Commodity) | TI_BETICK_COMMODITY | DEC | 13(7) | DEC13_7 | ||||
BWTICK_CTY | Tick Value (Commodity) | TI_BWTICK_COMMODITY | DEC | 13(7) | DEC13_7 | ||||
PRODUCT_CATEGORY | Product Category | SANLF | NUMC | 3 | TZAF | VVSANLF | |||
PRODUCT_TYPE | Product Type | VVSART | CHAR | 3 | TZPA | VVSART | SAN | VVSART_APPL_BAS | |
LISTED | Indicator: Listed on an Exchange | SEC_LISTED | CHAR | 1 | ATXF1 | ||||
QUOTATION | Quotation Indicator | SNOTI | NUMC | 1 | SNOTI | ||||
ISSUER | Issuer Identity Key | REPKE_NEW | CHAR | 10 | Assigned to domain | ALPHA | BU_PARTNER | BPA | BUPA |
ISSUE_CCY | Issue currency | REWHR | CUKY | 5 | Assigned to domain | WAERS | |||
ISSUE_PRICE | Issue price independent of currency | VVKBEMPR | DEC | 15(6) | VVKWKURS | ||||
ISSUE_RATE | Issue rate in percent | PEMKURS | DEC | 10(7) | DEC3_7 | ||||
SSTBE | Tax treatment indicator | SSTBE | CHAR | 1 | JANEI | ||||
SEC_CATEGORY | General Security Classification | ALWPKL | CHAR | 3 | Assigned to domain | ALWPKL | |||
RATING | Rating | BP_RATING | CHAR | 3 | Assigned to domain | BP_RATING | |||
INSTITUTE | Institute Providing Credit Standing Information | BP_SOL_INS | CHAR | 4 | Assigned to domain | BP_SOL_INS | |||
TERM_FROM | Start of Term | FTI_LDB_FP_TERMFROM | DATS | 8 | DATUM | ||||
TERM_UPTO | End of Term | FTI_LDB_FP_TERMUPTO | DATS | 8 | DATUM | ||||
SECURITY_TYPE | Security Type ID | SWERTTYP | NUMC | 1 | Assigned to domain | SAKTTYP | |||
ELIGIBLE | Eligibility indicator | SEC_ELIGIBLE | CHAR | 1 | ATXF1 | ||||
ELIG_AS_COLL | Indicator eligible as collateral | SEC_AS_COLL | CHAR | 1 | ATXF1 | ||||
ELIG_TO_SERVE | Eligible for premium reserve fund | SEC_TO_SERVE | CHAR | 1 | ATXF1 | ||||
NOM_VALUE_CI | Nominal Value per Stock (Independent of Currency) | VVBNEWE | DEC | 15(6) | VVKWKURS | ||||
FELLOW_PARTNER | Joint partner vote indicator | JABMI | CHAR | 1 | JANEI | ||||
SHAREH_TYPE | Type of shareholding | SARTBET | NUMC | 2 | Assigned to domain | SARTBET | |||
SHAREH_STRUCT | Details about structure of shareholding | SKONBET | NUMC | 2 | Assigned to domain | SKONBET | |||
SHARES_OUTSTAND | Number of stocks issued | AAAAKTIE | DEC | 12 | DEC12 | ||||
STOCK_CATEGORY | Stock category | SAKAR | NUMC | 1 | SAKAR | ||||
STOCK_FORM | Stock form indicator | SVBRE | NUMC | 1 | SVBRE | ||||
FUND_TYPE | Fund type indicator | SFOTY | NUMC | 1 | Assigned to domain | SFOTY | |||
FUND_CATEGORY | Fund category indicator | VVSFOART | CHAR | 2 | VVSFOART | ||||
FUND_VOLUME | Fund volume | BAPI_BFONVOL | DEC | 23(4) | BAPICURR | ||||
PUBLIC_FUND | Public fund indicator | SOEFF | CHAR | 1 | JANEI | ||||
ISSUE_PREMIUM | Issue premium in percentage | PAUSG | DEC | 10(7) | DEC3_7 | ||||
FOREIGN_INV_LAW | Foreign Investment Law indicator | SAING | CHAR | 1 | JANEI | ||||
ACCUMULATION | Reinvestment indicator | STHES | CHAR | 1 | JANEI | ||||
REINV_DISCOUNT | Reinvestment discount percent | PWARB | DEC | 10(7) | DEC3_7 | ||||
CLASSIFICATION | Classification of bond | SWPKLASS | NUMC | 3 | Assigned to domain | SWPKLASS | |||
NOMINAL_VALUE | Nominal Value | BNOMS_FWZZ | CURR | 13(2) | BWHR | ||||
TRADING_UNIT | Nominal per trading unit | BAPI_BNHAE | DEC | 23(4) | BAPICURR | ||||
SECONDARY_LOANS | Secondary loans ID | VVJNACHR | CHAR | 1 | JANE | ||||
ISSUE_YIELD | Issue Yield | ISSUE_YIELD | DEC | 10(7) | DEC3_7 | ||||
PERCENTAGE_RATE | Percentage rate for condition items | PKOND | DEC | 10(7) | DECV3_7 | ||||
YIELD_METHOD | Effective Interest Method (Financial Mathematics) | SEFFMETH | NUMC | 1 | SEFFMETH | ||||
INT_CALC_METHOD | Interest Calculation Method | SZBMETH | CHAR | 1 | SZBMETH | ||||
REF_INT_RATE | Reference Interest Rate | SZSREF | CHAR | 10 | Assigned to domain | ZIREFKU | |||
REF_SIGN | +/- sign / reference interest rate operator | SZSREFVZ | CHAR | 1 | SZSREFVZ | ||||
OPT_FUT_CATEGORY | Options/futures category | TI_SOFTYP | NUMC | 2 | T_SOFTYP | ||||
ORG_OPTTYPE | Original option category (on closing) | TV_OPTTYP | NUMC | 3 | Assigned to domain | T_OPTTYP | |||
SETTLEMENT_METH | Settlement Method Option | TI_SABRMET | CHAR | 1 | T_SABRMET | ||||
OPT_FUT_QUOT | Quotation type option/future | TI_NOTTYPE | CHAR | 1 | T_NOTTYPE | ||||
PUT_CALL_IND | Put/call indicator | TI_SPUTCAL | NUMC | 1 | T_SPUTCAL | ||||
SETTLEMENT_OPT | Settlement indicator | TI_SETTLFL | CHAR | 1 | T_SETTLFL | ||||
EXERCISE_TYPE_OP | Exercise Type (American or European) | SOPTAUS | NUMC | 1 | SOPTAUS | ||||
EXPIRY_DATE | Expiration date | TI_DVERF | DATS | 8 | DATUM | ||||
LAST_TRADING_DAY | Last trade date | TI_DLHAND | DATS | 8 | DATUM | ||||
SETTLEMENT_DAY | Settlement date | TI_DERFUE | DATS | 8 | DATUM | ||||
FACTORY_CALENDAR | Factory calendar | SKALID | CHAR | 2 | Assigned to domain | WFCID | H_TFACD | ||
FINAL_DUE_DATE_F | Final due date | DENDF | DATS | 8 | DATUM | ||||
SECURITY_REF | Security ID number | WP_RANL | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | RAN | SECURITY_F4 |
SECURITY_INDEX | Securities Index | IDX | CHAR | 10 | CHAR10 | ||||
TICK_AMOUNT | Tick as amount | TI_BETICK | CURR | 13(2) | WERTV7 | ||||
TICK_IN_POINTS | Tick in index points | TI_PITICK | DEC | 11(6) | T_PKTKUR | ||||
TICK_VALUE | Tick Value | TPM_BWTICK_FINE | DEC | 13(7) | DEC13_7 | ||||
NUMBER_OF_UNITS | Number of units for unit-quoted securities | ASTUECK | DEC | 15(5) | ASTUECK | ||||
INDEX_POINT_VAL | Value of an index point | TI_BPINDEX | CURR | 13(2) | WERTV7 | ||||
STRIKE_AMOUNT | Strike as amount | TI_BSTRIKE | CURR | 13(2) | WERTV7 | ||||
STRIKE_IN_POINTS | Strike in points | TI_PKSTRIK | DEC | 9(4) | DEC5_4 | ||||
VOTES_PER_SHARE | Voting Rights per Share | VOTES_PER_SHARE | DEC | 15(6) | VOTES_PER_SHARE | ||||
EXTRA_CAPITAL | Additional Stock Capital | BAPI_EXTRACAP | DEC | 23(4) | BAPICURR | ||||
PRICE_INDEX | Name of Price Index | TIDX_INDEX_NAME | CHAR | 15 | Assigned to domain | TIDX_INDEX_NAME | |||
SET_NAME | Redemption Schedule Set | RDPT_SET_NAME | CHAR | 15 | Assigned to domain | RDPT_SET_NAME | RDPT_SET_NAME | RDPT_F4_SET | |
VAR_OFFSET | Spread for Reference Interest Rate (Variable Interest) | FTI_VAR_OFFSET | DEC | 10(7) | DECV3_7 | ||||
FUNDED | Indicator: Funded | SEC_FUNDED | CHAR | 1 | ATXF1 | ||||
VALID_FROM | Valid From | VALID_FRM | DATS | 8 | DATUM | ||||
VALID_TO | Valid To | VALID_TODAT | DATS | 8 | DATUM | ||||
TRANCHE_CLASSIF | Tranche Classification | VVTRANCHECL | NUMC | 3 | VVTRANCHECL |
Key field | Non-key field |
How do I retrieve data from SAP structure FTI_BIW_SEC_ID_ATTR using ABAP code?
As FTI_BIW_SEC_ID_ATTR is a database structure and not a table it does not store any data in the SAP data dictionary. The ABAP SELECT statement is therefore not appropriate and can not be performed on FTI_BIW_SEC_ID_ATTR as there is no data to select.How to access SAP table FTI_BIW_SEC_ID_ATTR
Within an ECC or HANA version of SAP you can also view further information about FTI_BIW_SEC_ID_ATTR and the data within it using relevant transactions such asSE11 (ABAP Dictionary Maintenance)
SM30 (Maintain Table Data)
SE80 (Object Navigator)
SE16 (Data Browser).
Search for further information about these or an SAP related objects