Id | Title |
---|---|
T1149 | No flow type for cash settlement |
T115 | Object & has old restart logs. Please edit online |
T1150 | Choose flow type for cash settlement |
T1151 | Transaction cannot be edited without flow type for cash settlement |
T1152 | No flow type for position change |
T1153 | Choose flow type for position change |
T1154 | Transaction cannot be created without flow type for position change |
T1155 | No flows can be blocked for transaction |
T1156 | Exercise date not yet reached |
T1157 | Exercise date exceeded |
T1158 | No underlying assigned to transaction |
T1159 | Internal number assignment necessary for underlying transaction no. |
T116 | Test activation of $ $ was successful |
T1160 | No need to save, as no changes made |
T1161 | Transaction no longer active |
T1162 | Error when updating calendar |
T1163 | Activity reversed! Can only be displayed |
T1164 | An exercise transaction still exists |
T1165 | Interest settlement activities are still active |
T1166 | Error when generating ALV field catalog |
T1167 | Activity already reversed |
T1168 | Interest settlements already exist for this transaction |
T1169 | Not all selected flows could be deleted |
T117 | Force mode only allowed for conversion request |
T1170 | No history exists |
T1171 | No flow type for purchase/sale flow |
T1172 | Choose flow type for purchase/sale flow |
T1173 | Transaction cannot be created without flow type for purchase/sale flow |
T1174 | Option already exercised |
T1175 | Option already expired |
T1176 | Saving transaction & was not completed |
T1177 | Interest rate adjustment date must be after 'valid from' (&) |
T1178 | Interest fixing date must be after 'valid from' (&) |
T1179 | Error in net present value calculation (&) |
T118 | Table conversion program without compare run (inactive) |
T1180 | Interest calculations not all carried out |
T1181 | No knock-in level entered yet |
T1182 | No knock-out level entered yet |
T1183 | Enter a reference interest rate |
T1184 | Transaction is not a forex transaction |
T1185 | No transaction was found for the selection criteria |
T1186 | Product category & is not supported as an underlying |
T1187 | Evaluation type & does not exist |
T1188 | Evaluation type &1 is not assigned to product type &2 |
T1189 | Product type & is not assigned to any evaluation type |
T119 | (Target table type was modified again by table $) |
T1190 | No. of days for fixing do not match reference interest rate (&) |
T1191 | Calendars entered do not match reference interest rate (&) |
T1192 | No items have been selected |
T1193 | With activity & transaction is complete |
T1194 | Transaction has already been terminated |
T1195 | Transition from &1 to &2 is not permitted for this transaction |
T1196 | Enter premuium currency and amount! |
T1197 | At least one order position must exist |
T1198 | There are only &2 positions in sec. acct &1 |
T1199 | The are no positions in sec. acct. &1 |
T120 | Not all views for $ $ could be retrieved |
T1200 | Flow type for chosen status type not permitted |
T1201 | Flow type is main flow |
T1202 | No status created for this request |
T1203 | Define settlement before exercising |
T1204 | Calendar &1 has only been maintained upto year &2 |
T1205 | Activity reversed - Transaction no longer active |
T1206 | Financial transaction &1 saved with underlying &2 |
T1207 | End of exercise period not yet reached |
T1208 | Exercise date not yet exceeded |
T1209 | Expiration period is exceeded |
T121 | Compare module contains empty nametabs for $ $ |
T1210 | Premium has no payment date |
T1211 | 'Start of lead time' later than 'End of hedging period' |
T1212 | 'Start of lead time' same as 'Start of hedging period' |
T1213 | 'Start of hedging period' later than/same as 'End of hedging period' |
T1214 | 'Start of lead time' later than 'Start of hedging period' |
T1215 | No premium percentage rate or amount determined |
T1216 | Fixing date cannot fall after start of hedging period |
T1217 | Termination date falls after or at end of contract term (&) |
T1218 | Termination date falls before or on contract start date (&) |
T1219 | Flows exist that were posted after & |
T122 | Nametab of table $ with status $ does not exist |
T1220 | Order execution is outside validity period & to & |
T1221 | Activity does not allow a termination |
T1222 | There are interest rate adjustments after termination date |
T1223 | Termination date is later than start of hedging period |
T1224 | Inconsistency for interest rate adjustment date & of transaction & |
T1225 | There are no interest rate adjustment dates for the given selections |
T1226 | Error when generating the dynamic field selection for & |
T1227 | Contract date must lie between start and end of term of the order |
T1228 | Product type & does not belong to OTC interest rate instruments |
T1229 | Transaction is not an OTC interest rate instrument |
T123 | Indexes for $ $ must be edited |
T1230 | Activity is not defined for the transaction |
T1231 | No currency entered for the reference interest rate |
T1232 | Termination only possible after & |
T1233 | Enter a flow type |
T1234 | Enter the currency |
T1235 | Changes to the nominal amount only possible before & |
T1236 | Transaction &1 has already been replaced |
T1237 | There are no interest adjustment details |
T1238 | No calendar is assigned to the currency |
T1239 | Premium has no 'effective from' date |