FTI_BIW_SEC_ID_ATTR_BU SAP (CFM: Class Master Data) Structure details

Dictionary Type: Structure
Description: CFM: Class Master Data




ABAP Code to SELECT data from FTI_BIW_SEC_ID_ATTR_BU
Related tables to FTI_BIW_SEC_ID_ATTR_BU
Access table FTI_BIW_SEC_ID_ATTR_BU




Structure field list including key, data, relationships and ABAP select examples

FTI_BIW_SEC_ID_ATTR_BU 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" 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_BU TYPE FTI_BIW_SEC_ID_ATTR_BU.

The FTI_BIW_SEC_ID_ATTR_BU table consists of various fields, each holding specific information or linking keys about CFM: Class Master Data data available in SAP. These include SECURITY_NUMBER (Security ID number), PRODUCT_CATEGORY (Product Category), SHORT_TEXT (Short name), LONG_TEXT (Long name).. 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_BU 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_NUMBERSecurity ID number WP_RANLCHAR13VWPANLAALPHAWP_RANLRANSECURITY_F4
PRODUCT_CATEGORYProduct Category SANLFNUMC3TZAFVVSANLF
SHORT_TEXTShort name XALKZCHAR15XKBEZ
LONG_TEXTLong name XALLBCHAR60XLBEZ
PRODUCT_TYPEProduct Type VVSARTCHAR3TZPAVVSARTSANVVSART_APPL_BAS
LISTEDIndicator: Listed on an Exchange SEC_LISTEDCHAR1ATXF1
QUOTATIONQuotation Indicator SNOTINUMC1SNOTI
ISSUERIssuer Identity Key REPKE_NEWCHAR10Assigned to domainALPHABU_PARTNERBPABUPA
ISSUE_CURRENCYIssue currency REWHRCUKY5TCURCWAERS
ISSUE_CURRENCY_ISOISO currency code ISOCDCHAR3ISOCD
ISSUE_PRICEIssue price independent of currency VVKBEMPRDEC15(6) VVKWKURS
ISSUE_RATEIssue rate in percent PEMKURSDEC10(7) DEC3_7
SSTBETax treatment indicator SSTBECHAR1JANEI
SECURITY_CATEGORYGeneral Security Classification ALWPKLCHAR3Assigned to domainALWPKL
RATINGRating BP_RATINGCHAR3Assigned to domainBP_RATING
INSTITUTEInstitute Providing Credit Standing Information BP_SOL_INSCHAR4Assigned to domainBP_SOL_INS
SWHRKONDInterest Currency TB_WHRKONDCUKY5TCURCWAERS
BKONDInterest rate as amount TB_BKONDCURR13(2) WERTV7
TERM_FROMStart of Term FTI_LDB_FP_TERMFROMDATS8DATUM
TERM_UPTOEnd of Term FTI_LDB_FP_TERMUPTODATS8DATUM
SECURITY_TYPESecurity Type ID SWERTTYPNUMC1Assigned to domainSAKTTYP
ELIGIBLEEligibility indicator SEC_ELIGIBLECHAR1ATXF1
ELIGIBLE_AS_COLLIndicator eligible as collateral SEC_AS_COLLCHAR1ATXF1
ELIGIBLE_TO_SERVEEligible for premium reserve fund SEC_TO_SERVECHAR1ATXF1
NOMINAL_VALUE_CINominal Value per Stock (Independent of Currency) VVBNEWEDEC15(6) VVKWKURS
FELLOW_PARTNERJoint partner vote indicator JABMICHAR1JANEI
CONDITION_VALID_FROMDate Condition Effective from DGUELDATS8DATUM
SHAREHOLDING_TYPEType of shareholding SARTBETNUMC2Assigned to domainSARTBET
SHAREHOLDING_STRUCTDetails about structure of shareholding SKONBETNUMC2Assigned to domainSKONBET
SHARES_OUTSTANDINGNumber of stocks issued AAAAKTIEDEC12DEC12
STOCK_CATEGORYStock category SAKARNUMC1SAKAR
STOCK_FORMStock form indicator SVBRENUMC1SVBRE
INPAYMENT_RATEPay-in rate KZAHLAKTDEC10(7) DEC3_7
PAYMENT_AMOUNTPay-in amount BAPI_BZAHLAKTDEC23(4) BAPICURR
BALANCE_DATEBalance payment date DRESTDATS8DATUM
DIVIDEND_RIGHTSDividend rights per unit in percentage terms PDIVBERDEC10(7) DEC3_7
ENTITLED_FROMDate from which entitled to dividends DDBABDATS8DATUM
EXCHANGE_FROMSwap period from DTFVODATS8DATUM
EXCHANGE_TOSwap period to DTFBIDATS8DATUM
EXCHANGE_NUMERATORSwap ratio - numerator BTVZADEC9(4) DEC5_4
EXCHANGE_DENOMINATORSwap ratio - denominator BTVNEDEC9(4) DEC5_4
CLEARING_AMOUNTClearing amount for swap BAPI_BABTADEC23(4) BAPICURR
CLEARING_CURRENCYClearing amount currency SWHRAUSGCUKY5Assigned to domainWAERS
CLEARING_CURRENCY_ISOISO currency code ISOCDCHAR3ISOCD
TRADING_UNTILTrading until DTGBIDATS8DATUM
FUND_TYPEFund type indicator SFOTYNUMC1Assigned to domainSFOTY
FUND_CATEGORYFund category indicator VVSFOARTCHAR2VVSFOART
FUND_VOLUMEFund volume BAPI_BFONVOLDEC23(4) BAPICURR
PUBLIC_FUNDPublic fund indicator SOEFFCHAR1JANEI
ISSUE_PREMIUMIssue premium in percentage PAUSGDEC10(7) DEC3_7
FOREIGN_INVESTMENT_LAWForeign Investment Law indicator SAINGCHAR1JANEI
ACCUMULATIONReinvestment indicator STHESCHAR1JANEI
REINVESTMENT_DISCOUNTReinvestment discount percent PWARBDEC10(7) DEC3_7
CLASSIFICATIONClassification of bond SWPKLASSNUMC3Assigned to domainSWPKLASS
NOMINAL_VALUENominal value BAPI_BNOMSDEC23(4) BAPICURR
TRADING_UNITNominal per trading unit BAPI_BNHAEDEC23(4) BAPICURR
ISSUER_CALLIssuer call date DKEMIDATS8DATUM
BONDHOLDER_CALLBondholder call date DKOBLDATS8DATUM
SECONDARY_LOANSSecondary loans ID VVJNACHRCHAR1JANE
INCLUSIVE_INDICATORInclusive indicator for beginning and end of a period VVSINCLNUMC1VVSINCL
ISSUE_YIELDIssue Yield ISSUE_YIELDDEC10(7) DEC3_7
PERCENTAGE_RATEPercentage rate for condition items PKONDDEC10(7) DECV3_7
YIELD_METHODEffective Interest Method (Financial Mathematics) SEFFMETHNUMC1SEFFMETH
YIELD_FREQUENCYInt.sttlmnt frequency for effective int.rate calc.in months VVZVRHYEFFNUMC3NUMC03
INTEREST_CALC_METHODInterest Calculation Method SZBMETHCHAR1SZBMETH
REPAYMENT_TYPERepayment Type Indicator STILGARTNUMC1STILGART
CUTTING_DAYSNumber of cutting days BATRTNUMC3NUMC03
DISCOUNTEDDiscounted SDISKOCHAR1SDISKO
AMOUNTCondition amount independent of currency VVKBKONDDEC15(6) VVKWKURS
CURRENCYCurrency of Condition Item SWHRKONDCUKY5Assigned to domainWAERS
REF_INTEREST_RATEReference Interest Rate SZSREFCHAR10Assigned to domainZIREFKU
REF_SIGN+/- sign / reference interest rate operator SZSREFVZCHAR1SZSREFVZ
OBLIGATION_TO_OFFERObligation to offer for sale until DANDPFLDATS8DATUM
RIGHT_TO_OFFERRight to offer until DANDREDATS8DATUM
INT_CATInterest Category FTI_INTTYPECHAR1FTI_INTEREST_TYPE
CONV_PERIOD_FROMConversion period until DWAFBDATS8DATUM
CONV_PERIOD_TOConversion period from DWAFVDATS8DATUM
CONV_RATIO_NOMINATORConversion ratio - Numerator BWAVZDEC9(4) DEC5_4
CONV_RATIO_DENOMINATORConversion ratio - Denominator BWAVNDEC9(4) DEC5_4
CONV_PREMIUMConversion premium BAPI_BAUFPDEC23(4) BAPICURR
CURRENCY_MARKUPCurrency markup RWAUFCUKY5Assigned to domainWAERS
CURRENCY_MARKUP_ISOISO currency code ISOCDCHAR3ISOCD
CUM_EX_INDICATORCum/ex indicator SCUEXNUMC1SCUEX
NUMBER_OF_WARRANTSNumber of warrants per nominal value BOPHENUMC3NUM03
DRAWINGDrawing Indicator SEC_JAUSLCHAR1ATXF1
DRAWING_DATEDrawing date DAUSLDATS8DATUM
COUPON_NUMBERDividend coupon number RDIVNRNUMC3NUM03
SUB_PRICEUnderlying subscription price BAPI_BBPRUDEC23(4) BAPICURR
SUB_CURRENCYSubscription price currency RWBZPCUKY5TCURCWAERS
SUB_CURRENCY_ISOISO currency code ISOCDCHAR3ISOCD
SUB_NUMERATORSubscription ratio - Numerator BBVHZDEC9(4) DEC5_4
SUB_DENOMINATORSubscription ratio - Denominator BBVHNDEC9(4) DEC5_4
SUB_TRADING_FROMDate of subscription rights trading from DBHAVDATS8DATUM
SUB_TRADING_UNTILDate of subscription rights trading until DBHABDATS8DATUM
PRICE_REF_SHAREPost Subscription Rights KREAKDEC15(6) VVKWKURS
DIVIDEND_ADV_DISAdvantage/disadvantage dividend of new stock BAPI_BVNJADEC23(4) BAPICURR
SETTLEMENT_METHODSettlement Method Option TI_SABRMETCHAR1T_SABRMET
PUT_CALL_INDICATORPut/call indicator TI_SPUTCALNUMC1T_SPUTCAL
SETTLEMENT_OPTSettlement indicator TI_SETTLFLCHAR1T_SETTLFL
EXERCISE_TYPE_OPTExercise Type (American or European) SOPTAUSNUMC1SOPTAUS
SECURITY_REFERENCESecurity ID number WP_RANLCHAR13Assigned to domainALPHAWP_RANLRANSECURITY_F4
OPT_FUT_CATEGORYOptions/futures category TI_SOFTYPNUMC2T_SOFTYP
ORG_OPTTYPEOriginal option category (on closing) TV_OPTTYPNUMC3Assigned to domainT_OPTTYP
OPT_FUT_QUOTATIONQuotation type option/future TI_NOTTYPECHAR1T_NOTTYPE
EXPIRY_DATEExpiration date TI_DVERFDATS8DATUM
LAST_TRADING_DAYLast trade date TI_DLHANDDATS8DATUM
SETTLEMENT_DAYSettlement date TI_DERFUEDATS8DATUM
FACTORY_CALENDARFactory calendar SKALIDCHAR2Assigned to domainWFCIDH_TFACD
FINAL_DUE_DATE_FFinal due date DENDFDATS8DATUM
SECURITY_INDEXSecurities Index IDXCHAR10CHAR10
NUMBER_OF_UNITSNumber of units for unit-quoted securities ASTUECKDEC15(5) ASTUECK
STRIKE_AMOUNTStrike as amount BAPI_TI_BSTRIKEDEC23(4) BAPICURR
STRIKE_IN_POINTSStrike in points TI_PKSTRIKDEC9(4) DEC5_4
TICK_AMOUNTTick as amount BAPI_TI_BETICKDEC23(4) BAPICURR
TICK_IN_POINTSTick in index points TI_PITICKDEC11(6) T_PKTKUR
TICK_VALUETick value BAPI_TI_BWTICKDEC23(4) BAPICURR
NOMINAL_VALUE_FNominal value BAPI_BNOMSDEC23(4) BAPICURR
INDEX_POINT_VALUEValue of an index point BAPI_TI_BPINDEXDEC23(4) BAPICURR
COMMODITY_IDCommodity ID TRCO_COMM_IDCHAR18TPM_CTY_IDCOMMODITY_IDF4_CTY_ID_CORE
CONTRACT_SIZECommodity Quantity to Be Delivered FTI_CTY_QUAN_DELVRDQUAN25(5) FTI_CTY_QUAN
CONTRACT_SZ_UNITUnit of Measure for the Commodity TPM_CTY_UOMUNIT3Assigned to domainCUNITMEINS
TRANCHE_CLASSIFTranche Classification VVTRANCHECLNUMC3VVTRANCHECL
OPTION_CATEGORYIndicator: Option Category SOPTTYPNUMC1SOPTTYP
EXERCISE_TYPEExercise Type (American or European) SOPTAUSNUMC1SOPTAUS
EXERCISE_MINExercise minimum AMINDESTDEC15(5) ASTUECK
DENOMINATOROption ratio - Denominator BOVNEDEC9(4) DEC5_4
NUMERATOROption ratio - numerator BOVZADEC9(4) DEC5_4
SETTLEMENTOption Settlement Indicator SVERROPTNUMC1SVERROPT
BASIC_RATEBasic rate PBASKURSDEC10(7) DEC3_7
REFERENCE_UNITSReference units BAPI_VVBBEZEINDEC23(4) BAPICURR
REFERENCE_CURRENCYReference unit currency VVRBEZEINCUKY5Assigned to domainWAERS
EXERCISE_PRICEBase Price BAPI_BBASPREIDEC23(4) BAPICURR
EXERCISE_CURRENCYExercise price currency RWHRBASCUKY5Assigned to domainWAERS
INDEX_MARKIndex point per monetary unit BAPI_BINDEXDEC23(4) BAPICURR
INDEX_BASEIndex base VVBASISDEC8(3) DEC5_3
INDEX_CURRENCYIndex currency RINDWHRCUKY5Assigned to domainWAERS
UNDERLYINGSecurity ID Number VVRANLWCHAR13Assigned to domainALPHAWP_RANLRANSECURITY_F4

Key field Non-key field



How do I retrieve data from SAP structure FTI_BIW_SEC_ID_ATTR_BU using ABAP code?

As FTI_BIW_SEC_ID_ATTR_BU 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_BU as there is no data to select.

How to access SAP table FTI_BIW_SEC_ID_ATTR_BU

Within an ECC or HANA version of SAP you can also view further information about FTI_BIW_SEC_ID_ATTR_BU and the data within it using relevant transactions such as

SE11 (ABAP Dictionary Maintenance)
SM30 (Maintain Table Data)
SE80 (Object Navigator)
SE16 (Data Browser).


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