JBIUPCDFP SAP (Extended Receiver Structure for Transfer of Financial Prod.) Structure details
Description: Extended Receiver Structure for Transfer of Financial Prod.
Structure field list including key, data, relationships and ABAP select examples
JBIUPCDFP 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 "Extended Receiver Structure for Transfer of Financial Prod." 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_JBIUPCDFP TYPE JBIUPCDFP.
The JBIUPCDFP table consists of various fields, each holding specific information or linking keys about Extended Receiver Structure for Transfer of Financial Prod. data available in SAP. These include SET_TYPE (Record Category for Class Data for the Financial Product), MODE (Mode of Data Flow), TYPE (ID for type of relationship between product categories), SECURITY_NUMBER (Security ID number).. 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: Not classified
SAP JBIUPCDFP 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 |
SET_TYPE | Record Category for Class Data for the Financial Product | JBDCDFP_SETTY | NUMC | 2 | JBDCDFP_SETTY | ||||
MODE | Mode of Data Flow | JBSMODE | CHAR | 1 | JBSMODE | ||||
TYPE | ID for type of relationship between product categories | SARTBEZ | NUMC | 3 | TWRF | SARTBEZ | |||
SECURITY_NUMBER | Security ID number | WP_RANL | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | RAN | SECURITY_F4 |
CATEGORY | Product Category | SANLF | NUMC | 3 | TZAF | VVSANLF | |||
STOCK_EXCHANGE | Exchange | VVRHANDPL | CHAR | 10 | TWH01 | VVRHANDPL | WHP | ||
CURRENCY | Currency Key | WAERS | CUKY | 5 | Assigned to domain | WAERS | FWS | ||
CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
FLAT_PRICE | Flat price - Yes/No | VVJFLAT | CHAR | 1 | KENZX | ||||
HOME_EXCHANGE | Home exchange - Yes/No | VVJHEIBOE | CHAR | 1 | KENZX | ||||
LISTING_KEY | Listing key | VVSBOEN | NUMC | 2 | TW53 | VVSBOEN | |||
INDEX_NUMBER | No. of the secondary index description for class data | VVRANLWI | NUMC | 2 | TWX1 | VVRANLWI | |||
INDEX_NAME | Secondary index class data | VVRANLWXS | CHAR | 20 | CHAR20S | ||||
CONDITION_TYPE | Condition Type (Smallest Subdivision of Condition Records) | SKOART | NUMC | 4 | Assigned to domain | SKOART | |||
VALID_FROM | Condition Item Valid From | DGUEL_KP | DATS | 8 | DATUM | ||||
CONDITION_FORM | Condition Form | JNULLKON | CHAR | 1 | SKONDF | ||||
AMOUNT | Condition amount independent of currency | VVKBKOND | DEC | 15(6) | VVKWKURS | ||||
REF_SIGN | +/- sign / reference interest rate operator | SZSREFVZ | CHAR | 1 | SZSREFVZ | ||||
PERCENTAGE_RATE | Percentage rate for condition items | PKOND | DEC | 10(7) | DECV3_7 | ||||
INTEREST_CALC_METHOD | Interest Calculation Method | SZBMETH | CHAR | 1 | SZBMETH | ||||
CALC_DATE | Calculation Date | DVALUT | DATS | 8 | DATUM | ||||
CALC_MONTH_END | Month-end indicator for calculation date | VVSBULT | CHAR | 1 | JFLAGG | ||||
CALC_INCLUSIV | Inclusive indicator for calculation date | TFMJSINCL | CHAR | 1 | TFMSINCL | ||||
CALC_CALENDAR_RULE | Shift calculation date to working day | VVSVWERK | NUMC | 1 | T_SWERK | ||||
CALC_DETERMINE_METHOD | Method for determining the next value date | VVSVMETH | NUMC | 1 | T_SVMETH | ||||
CALC_DATE_RELATED | Indicator for Pro Rata Temporis Calculations | VVSZEITANT | NUMC | 1 | VVSZEITANT | ||||
DUE_DATE | Due date | DFAELL | DATS | 8 | DATUM | ||||
DUE_MONTH_END | Month-End Indicator for Due Date | SFULT | CHAR | 1 | VVSULT | ||||
DUE_INCLUSIV | Inclusive Indicator for Due Date | VVSFINCL | NUMC | 1 | VVSINCL | ||||
DUE_CALENDAR_RULE | Shift due date to working day | VVSFWERK | NUMC | 1 | T_SWERK | ||||
DUE_DATE_RELATED | Indicator for due date-related FiMa calculations | VVSFANT | NUMC | 1 | VVSFANT | ||||
DUE_DETERMINE_METHOD | Method for determining the next due date | VVSFMETH | NUMC | 1 | T_SFMETH | ||||
FREQUENCY_MONTH | Frequency in months | AMMRHY | NUMC | 3 | NUMC03 | ||||
CALENDAR | Factory calendar | SKALID | CHAR | 2 | TFACD | WFCID | H_TFACD | ||
FORMULAR_REFERENCE | Formula Reference | TB_XFORMBE | CHAR | 4 | AT30 | T_FORMBE | |||
FORMULAR_REF | Formula Reference | TB_XFORMBE | CHAR | 4 | AT30 | T_FORMBE | |||
VARIABLE_NAME | Variable Name | TB_VARNAME | CHAR | 4 | T_XFELD04 | ||||
VARIABLE_VALUE | Percentage rate for condition items | PKOND | DEC | 10(7) | DECV3_7 | ||||
REF_INTEREST_RATE | Reference Interest Rate | SZSREF | CHAR | 10 | Assigned to domain | ZIREFKU | |||
PFLUCT | Fluctuation margin | TFM_PFLUCT | DEC | 10(7) | DECV3_7 | ||||
RIGHTTYPE | Rights category of an executable right | TER_RIGHTTYPE | NUMC | 2 | TER_RIGHTTYPE | ||||
PRICE | Clearing amount for swap | BAPI_BABTA | DEC | 23(4) | BAPICURR | ||||
CURRENCY1 | Exercise price currency | RWHRBAS | CUKY | 5 | Assigned to domain | WAERS | |||
CURRENCY1_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
BASICRATE | Basic rate | PBASKURS | DEC | 10(7) | DEC3_7 | ||||
RANL | ID number of reference security of an executable right | TER_RANL | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | RAN | |
STARTDATE | Term from | DLAVO | DATS | 8 | DATUM | ||||
ENDDATE | Term to | DLABI | DATS | 8 | DATUM | ||||
RANLNEW | ID number of new security after swap | TER_RANLNEW | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | ||
SETTLEMENTPAYMENT | Clearing amount for swap | BAPI_BABTA | DEC | 23(4) | BAPICURR | ||||
SETTLEMENTPAYMENT_CURRENCY | Currency of pay-in amount for stock swap | TER_SWAPPRICE_CURRENCY | CUKY | 5 | TCURC | WAERS | |||
SETTLEMENTPAYMENT_CUR_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
RATIONUMERATOR | Swap ratio - numerator | TER_SWAPNUM | DEC | 9(4) | DEC5_4 | ||||
RATIODENOMINATOR | Swap ratio - denominator | TER_SWAPDENUM | DEC | 9(4) | DEC5_4 | ||||
RERF | Entered by | RERF | CHAR | 12 | SYCHAR12 | ||||
DERF | First Entered on | DERF | DATS | 8 | DATUM | ||||
TERF | Time of Initial Entry | TERF | TIMS | 6 | TIMES | ||||
REHER | Source of initial entry | REHER | CHAR | 10 | CHAR10 | ||||
RBEAR | Employee ID | RBEAR | CHAR | 12 | SYCHAR12 | ||||
DBEAR | Last Edited on | DBEAR | DATS | 8 | DATUM | ||||
TBEAR | Last Edited at | TBEAR | TIMS | 6 | TIMES | ||||
RBHER | Editing Source | RBHER | CHAR | 10 | CHAR10 | ||||
SUB_PRICE | Underlying subscription price | BAPI_BBPRU | DEC | 23(4) | BAPICURR | ||||
SUB_CURRENCY | Subscription price currency | RWBZP | CUKY | 5 | Assigned to domain | WAERS | |||
SUB_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
SUB_NUMERATOR | Subscription ratio - Numerator | BBVHZ | DEC | 9(4) | DEC5_4 | ||||
SUB_DENOMINATOR | Subscription ratio - Denominator | BBVHN | DEC | 9(4) | DEC5_4 | ||||
SUB_PERIOD_FROM | Subscription period from | DBFRV | DATS | 8 | DATUM | ||||
SUB_PERIOD_UNTIL | Date subscription period until | DBFRB | DATS | 8 | DATUM | ||||
SUB_TRADING_FROM | Date of subscription rights trading from | DBHAV | DATS | 8 | DATUM | ||||
SUB_TRADING_UNTIL | Date of subscription rights trading until | DBHAB | DATS | 8 | DATUM | ||||
PRICE_REF_SHARE | Post Subscription Rights | KREAK | DEC | 15(6) | VVKWKURS | ||||
DIVIDEND_ADV_DIS | Advantage/disadvantage dividend of new stock | BAPI_BVNJA | DEC | 23(4) | BAPICURR | ||||
RANLUNDERLYING | Security ID number of the new stock | TER_SUBRANLNEW | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | ||
SUBSCRIPTIONRATE | Subscription rate | TER_SUBRATE | DEC | 10(7) | DEC3_7 | ||||
REFERENCEUNIT | Reference units | BAPI_VVBBEZEIN | DEC | 23(4) | BAPICURR | ||||
REFERENCE_CURR | Reference unit currency | VVRBEZEIN | CUKY | 5 | Assigned to domain | WAERS | |||
REFERENCE_CURR_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
SHORTTEXT | Short text/description of the object | KURZTEXT | CHAR | 40 | TEXT40 | ||||
INPAYMENT_RATE | Pay-in rate | KZAHLAKT | DEC | 10(7) | DEC3_7 | ||||
PAYMENT_AMOUNT | Pay-in amount | BAPI_BZAHLAKT | DEC | 23(4) | BAPICURR | ||||
NUMBER_OF_SHARES | Number of stocks issued | AAAAKTIE | DEC | 12 | DEC12 | ||||
CAPITAL_PR_SHARE | Nominal Value per Stock (Independent of Currency) | VVBNEWE | DEC | 15(6) | VVKWKURS | ||||
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 | ||||
AGGREGATION_KEY | Aggregation Key | AGGREGATION_KEY | CHAR | 13 | AGGREGATION_KEY | ||||
SHORT_TEXT | Short name | XALKZ | CHAR | 15 | XKBEZ | ||||
LONG_TEXT | Long name | XALLB | CHAR | 60 | XLBEZ | ||||
PRODUCT_TYPE | Product Type | VVSART | CHAR | 3 | Assigned to domain | 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_CURRENCY | Issue currency | REWHR | CUKY | 5 | Assigned to domain | WAERS | |||
ISSUE_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
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 | ||||
OPTION_CATEGORY | Indicator: Option Category | SOPTTYP | NUMC | 1 | SOPTTYP | ||||
TERM_FROM | Term from | DLAVO | DATS | 8 | DATUM | ||||
TERM_UPTO | Term to | DLABI | DATS | 8 | DATUM | ||||
EXERCISE_TYPE | Exercise Type (American or European) | SOPTAUS | NUMC | 1 | SOPTAUS | ||||
EXERCISE_MIN | Exercise minimum | AMINDEST | DEC | 15(5) | ASTUECK | ||||
NUMERATOR | Option ratio - numerator | BOVZA | DEC | 9(4) | DEC5_4 | ||||
SETTLEMENT | Option Settlement Indicator | SVERROPT | NUMC | 1 | SVERROPT | ||||
BASIC_RATE | Basic rate | PBASKURS | DEC | 10(7) | DEC3_7 | ||||
REFERENCE_UNITS | Reference units | BAPI_VVBBEZEIN | DEC | 23(4) | BAPICURR | ||||
REFERENCE_CURRENCY | Reference unit currency | VVRBEZEIN | CUKY | 5 | Assigned to domain | WAERS | |||
REFERENCE_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
SECURITY_CATEGORY | General Security Classification | ALWPKL | CHAR | 3 | Assigned to domain | ALWPKL | |||
ELIGIBLE_TO_SERVE | Eligible for premium reserve fund | SEC_TO_SERVE | CHAR | 1 | ATXF1 | ||||
UNDERLYING | Security ID Number | VVRANLW | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | RAN | SECURITY_F4 |
DENOMINATOR | Option ratio - Denominator | BOVNE | DEC | 9(4) | DEC5_4 | ||||
EXERCISE_PRICE | Base Price | BAPI_BBASPREI | DEC | 23(4) | BAPICURR | ||||
EXERCISE_CURRENCY | Exercise price currency | RWHRBAS | CUKY | 5 | Assigned to domain | WAERS | |||
EXERCISE_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
SECURITY_INDEX | Securities Index | IDX | CHAR | 10 | Assigned to domain | CHAR10 | |||
INDEX_MARK | Index point per monetary unit | BAPI_BINDEX | DEC | 23(4) | BAPICURR | ||||
INDEX_BASE | Index base | VVBASIS | DEC | 8(3) | DEC5_3 | ||||
INDEX_CURRENCY | Index currency | RINDWHR | CUKY | 5 | TCURC | WAERS | |||
INDEX_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
SECURITY_TYPE | Security Type ID | SWERTTYP | NUMC | 1 | Assigned to domain | SAKTTYP | |||
NOMINAL_VALUE | Nominal value | BAPI_BNOMS | DEC | 23(4) | BAPICURR | ||||
TRADING_UNIT | Nominal per trading unit | BAPI_BNHAE | DEC | 23(4) | BAPICURR | ||||
ISSUER_CALL | Issuer call date | DKEMI | DATS | 8 | DATUM | ||||
ELIGIBLE | Eligibility indicator | SEC_ELIGIBLE | CHAR | 1 | ATXF1 | ||||
ELIGIBLE_AS_COLL | Indicator eligible as collateral | SEC_AS_COLL | CHAR | 1 | ATXF1 | ||||
SECONDARY_LOANS | Secondary loans ID | VVJNACHR | CHAR | 1 | JANE | ||||
FINAL_DUE_DATE | End of Term | DELFZ | DATS | 8 | DATUM | ||||
INCLUSIVE_INDICATOR | Inclusive indicator | VVWSINCL | CHAR | 1 | XFELD | ||||
ISSUE_YIELD | Issue Yield | ISSUE_YIELD | DEC | 10(7) | DEC3_7 | ||||
YIELD_METHOD | Effective Interest Method (Financial Mathematics) | SEFFMETH | NUMC | 1 | SEFFMETH | ||||
YIELD_FREQUENCY | Int.sttlmnt frequency for effective int.rate calc.in months | VVZVRHYEFF | NUMC | 3 | NUMC03 | ||||
REPAYMENT_TYPE | Repayment Type Indicator | STILGART | NUMC | 1 | STILGART | ||||
DISCOUNTED | Discounted | SDISKO | CHAR | 1 | SDISKO | ||||
OBLIGATION_TO_OFFER | Obligation to offer for sale until | DANDPFL | DATS | 8 | DATUM | ||||
RIGHT_TO_OFFER | Right to offer until | DANDRE | DATS | 8 | DATUM | ||||
DRAWING | Drawing Indicator | SEC_JAUSL | CHAR | 1 | ATXF1 | ||||
DRAWING_DATE | Drawing date | DAUSL | DATS | 8 | DATUM | ||||
ISSUE_START | Bonds and debentures issue start | DEMBEG | DATS | 8 | DATUM | ||||
CLASSIFICATION | Classification of bond | SWPKLASS | NUMC | 3 | Assigned to domain | SWPKLASS | |||
BONDHOLDER_CALL | Bondholder call date | DKOBL | DATS | 8 | DATUM | ||||
CUTTING_DAYS | Number of cutting days | BATRT | NUMC | 3 | NUMC03 | ||||
CONV_PERIOD_FROM | Conversion period from | DWAFV | DATS | 8 | DATUM | ||||
CONV_PERIOD_TO | Conversion period until | DWAFB | DATS | 8 | DATUM | ||||
CONV_RATIO_NOMINATOR | Conversion ratio - Numerator | BWAVZ | DEC | 9(4) | DEC5_4 | ||||
CONV_RATIO_DENOMINATOR | Conversion ratio - Denominator | BWAVN | DEC | 9(4) | DEC5_4 | ||||
CONV_PREMIUM | Conversion premium | BAPI_BAUFP | DEC | 23(4) | BAPICURR | ||||
CURRENCY_MARKUP | Currency markup | RWAUF | CUKY | 5 | TCURC | WAERS | |||
CURRENCY_MARKUP_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
CUM_EX_INDICATOR | Cum/ex indicator | SCUEX | NUMC | 1 | SCUEX | ||||
NUMBER_OF_WARRANTS | Number of warrants per nominal value | BOPHE | NUMC | 3 | NUM03 | ||||
UNDERLYING2 | Security ID Number | VVRANLW | CHAR | 13 | Assigned to domain | ALPHA | WP_RANL | RAN | SECURITY_F4 |
FELLOW_PARTNER | Joint partner vote indicator | JABMI | CHAR | 1 | JANEI | ||||
STOCK_CATEGORY | Stock category | SAKAR | NUMC | 1 | SAKAR | ||||
STOCK_FORM | Stock form indicator | SVBRE | NUMC | 1 | SVBRE | ||||
SHAREHOLDING_TYPE | Type of shareholding | SARTBET | NUMC | 2 | Assigned to domain | SARTBET | |||
SHAREHOLDING_STRUCT | Details about structure of shareholding | SKONBET | NUMC | 2 | Assigned to domain | SKONBET | |||
SHARES_OUTSTANDING | Number of stocks issued | AAAAKTIE | DEC | 12 | DEC12 | ||||
BALANCE_DATE | Balance payment date | DREST | DATS | 8 | DATUM | ||||
DIVIDEND_RIGHTS | Dividend rights per unit in percentage terms | PDIVBER | DEC | 10(7) | DEC3_7 | ||||
ENTITLED_FROM | Date from which entitled to dividends | DDBAB | DATS | 8 | DATUM | ||||
EXCHANGE_FROM | Swap period from | DTFVO | DATS | 8 | DATUM | ||||
EXCHANGE_TO | Swap period to | DTFBI | DATS | 8 | DATUM | ||||
EXCHANGE_NUMERATOR | Swap ratio - numerator | BTVZA | DEC | 9(4) | DEC5_4 | ||||
EXCHANGE_DENOMINATOR | Swap ratio - denominator | BTVNE | DEC | 9(4) | DEC5_4 | ||||
CLEARING_AMOUNT | Clearing amount for swap | BAPI_BABTA | DEC | 23(4) | BAPICURR | ||||
CLEARING_CURRENCY | Clearing amount currency | SWHRAUSG | CUKY | 5 | TCURC | WAERS | |||
CLEARING_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
TRADING_UNTIL | Trading until | DTGBI | DATS | 8 | DATUM | ||||
CONDITION_VALID_FROM | Date Condition Effective from | DGUEL | DATS | 8 | DATUM | ||||
FUND_TYPE | Fund type indicator | SFOTY | NUMC | 1 | TW21 | 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_INVESTMENT_LAW | Foreign Investment Law indicator | SAING | CHAR | 1 | JANEI | ||||
ACCUMULATION | Reinvestment indicator | STHES | CHAR | 1 | JANEI | ||||
REINVESTMENT_DISCOUNT | Reinvestment discount percent | PWARB | DEC | 10(7) | DEC3_7 | ||||
COUPON_NUMBER | Dividend coupon number | RDIVNR | NUMC | 3 | NUM03 | ||||
FACTORY_CALENDAR | Factory calendar | SKALID | CHAR | 2 | Assigned to domain | WFCID | H_TFACD | ||
OPT_FUT_CATEGORY | Options/futures category | TI_SOFTYP | NUMC | 2 | T_SOFTYP | ||||
OPT_FUT_QUOTATION | Quotation type option/future | TI_NOTTYPE | CHAR | 1 | T_NOTTYPE | ||||
MARGIN_TYPE | Margin type | TB_MARGART | CHAR | 5 | Assigned to domain | T_MARGART | |||
TICK_IN_PERCENT | Tick in percentage points | TI_PPTICK | DEC | 10(7) | DECV3_7 | ||||
TICK_AMOUNT | Tick as amount | BAPI_TI_BETICK | DEC | 23(4) | BAPICURR | ||||
TICK_IN_POINTS | Tick in index points | TI_PITICK | DEC | 11(6) | T_PKTKUR | ||||
TICK_VALUE | Tick value | BAPI_TI_BWTICK | DEC | 23(4) | BAPICURR | ||||
TICK_CURRENCY | Tick Value Currency | TI_WWTICK | CUKY | 5 | Assigned to domain | WAERS | |||
TICK_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
LAST_TRADING_DAY | Last trade date | TI_DLHAND | DATS | 8 | DATUM | ||||
SETTLEMENT_DAY | Settlement date | TI_DERFUE | DATS | 8 | DATUM | ||||
EXPIRY_DATE | Expiration date | TI_DVERF | DATS | 8 | DATUM | ||||
INDEX_POINT_VALUE | Value of an index point | BAPI_TI_BPINDEX | DEC | 23(4) | BAPICURR | ||||
INDEX_P_CURRENCY | Index point currency | TI_WPINDEX | CUKY | 5 | Assigned to domain | WAERS | |||
INDEX_P_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
SETTLEMENT_METHOD | Settlement Method Option | TI_SABRMET | CHAR | 1 | T_SABRMET | ||||
PUT_CALL_INDICATOR | Put/call indicator | TI_SPUTCAL | NUMC | 1 | T_SPUTCAL | ||||
SETTLEMENT_OPT | Settlement indicator | TI_SETTLFL | CHAR | 1 | T_SETTLFL | ||||
EXERCISE_TYPE_OPT | Exercise Type (American or European) | SOPTAUS | NUMC | 1 | SOPTAUS | ||||
NUMBER_OF_UNITS | Number of units for unit-quoted securities | ASTUECK | DEC | 15(5) | ASTUECK | ||||
SECURITY_REFERENCE | Security ID number | WP_RANL | CHAR | 13 | VWPANLA | ALPHA | WP_RANL | RAN | SECURITY_F4 |
STRIKE_AMOUNT | Strike as amount | BAPI_TI_BSTRIKE | DEC | 23(4) | BAPICURR | ||||
STRIKE_CURRENCY | Strike Currency | TI_WSTRIKE | CUKY | 5 | TCURC | WAERS | |||
STRIKE_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
STRIKE_IN_PERCENT | Strike as inverted percentage notation | TI_IPSTRIK | DEC | 10(7) | DECV3_7 | ||||
STRIKE_IN_POINTS | Strike in points | TI_PKSTRIK | DEC | 9(4) | DEC5_4 | ||||
NOMINAL_VALUE_F | Nominal value | BAPI_BNOMS | DEC | 23(4) | BAPICURR | ||||
NOMINAL_CURRENCY | Nominal currency | RNWHR | CUKY | 5 | TCURC | WAERS | |||
NOMINAL_CURRENCY_ISO | ISO currency code | ISOCD | CHAR | 3 | ISOCD | ||||
INTEREST_CALC_F | Interest Calculation Method | SZBMETH | CHAR | 1 | SZBMETH | ||||
FINAL_DUE_DATE_F | Final due date | DENDF | DATS | 8 | DATUM | ||||
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 | |||
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 | |
SMOVERW | Possible custody type | SMOVERW | CHAR | 2 | Assigned to domain | SMOVERW | |||
SDEPOSTAT | Securities account statistics key | VVDEPOSTAT | NUMC | 2 | Assigned to domain | VVDEPOSTA | |||
SWPHGMPF | Securities trading law reporting obligation indicator | VVSWPHGMPF | CHAR | 1 | JANEI | ||||
FUNDED | Indicator: Funded | SEC_FUNDED | CHAR | 1 | ATXF1 | ||||
BPEXT | Business Partner Number in External System | BU_BPEXT | CHAR | 20 | CHAR20 | ||||
PRODUCT_CATEGORY | Product Category | SANLF | NUMC | 3 | Assigned to domain | VVSANLF | |||
ORG_INDEX | Row Index of Internal Tables | SYTABIX | INT4 | 10 | SYST_LONG |
Key field | Non-key field |
How do I retrieve data from SAP structure JBIUPCDFP using ABAP code?
As JBIUPCDFP 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 JBIUPCDFP as there is no data to select.How to access SAP table JBIUPCDFP
Within an ECC or HANA version of SAP you can also view further information about JBIUPCDFP 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