RDPT_SET

Quantity of Redemption Schedules | #masterdata | Component: Transaction Manager
Column Name Description
MANDT FK Client
SET_KEY Key
Column Name Description
CURR_VALUE Current Face Amount
Column Name Description
Column Name Description
FIRST_REDEMPTION Date of First Redemption
LAST_REDEMPTION Date of Last Redemption
CALC_START Start Date
DFAELL Due date
Column Name Description
PERIOD_TYPE Period Indicator for Shelf Life Expiration Date Show values
ROUNDING_RULE Rounding Rule Show values
PERIOD_TYPE_PB Period Indicator for Shelf Life Expiration Date Show values
ROUNDING_RULE_PB Rounding Rule Show values
DUE_CALENDA_RULE Shift due date to working day Show values
CALC_INCLUSIVE Inclusive indicator for beginning and end of a period Show values
ROUND_TYPE Rounding Category Show values
ENTER_MODE Entry Type for Factors Show values
AVTAGEVZ Plus and Minus Operators Show values
CALC_METHOD Prepayment Calculation Method Show values
FAI Prepayment Speed Interval Show values
USE_ICT Interest Condition Template Show values
Column Name Description Domain name
SET_TEXT Long Text for Redemption Schedule Set XLBEZ
PERIOD_LENGTH Cycle NUMC3
PERIOD_LENGTH_PB Cycle NUMC3
NUM_OF_DEC Number of Relevant Decimal Places for Repayment Factor RDPT_NUM_OF_DEC
AVTAGE Number of Days NUMC2
WAC_ORIG Weighted Average Coupon on Date of Issue (WAC Original) DECV3_7
NET_ORIG Net Interest Original DECV3_7
WAM_ORIG Weighted Average Maturity Original (WAM Original) RDPT_MONTHS
Master Data Relations | to Other Relations ↓ Join Conditions
Factory calendar RDPT_SET.CALENDAR == TFACD.IDENT
Product Type
  • Product Type
  • Client
  • RDPT_SET.GSART == TZPA.GSART
  • RDPT_SET.MANDT == TZPA.MANDT
Client RDPT_SET.MANDT == T000.MANDT
Payment Currency
  • RDPT_SET.MANDT == TCURC.MANDT
  • RDPT_SET.REPAYMENT_CURR == TCURC.WAERS
Security Class ID Number
Other Relations | to Master Data Relations ↑ Join Conditions
Get Set Names from the Customizing Table
  • Redemption Schedule Set
  • Client
Set Type
  • Class for Redemption Schedule Set
  • Client