Id | Title |
---|---|
64027 | Valid-as-from date cannot be before issue start date |
64028 | No entry available in the exchange rate table |
64029 | Reference stock price: &1 assigned by &2 |
64030 | Company code position is not available |
64031 | Sec.acct position is not available |
64032 | Company code position and securities account position are not available |
64033 | No position items with &1 available in company code &2 |
64034 | Flow type for flow category &1 has not been defined |
64035 | Subscription rights posted |
64036 | Product type &1 has number range interval &2 to &3 |
64037 | Enter ID number (external number range) |
64038 | Product type & has internal number assignment, do not enter number |
64039 | Enter ID number |
64040 | ID number &1 exists with product type &2 |
64041 | Securities account master data does not exist |
64042 | New stock posted |
64043 | Edit conditions |
64044 | Target securities account is the same as source securities account |
64045 | ID number & is not a reference security |
64046 | ID number & is not a subscription right |
64047 | Nominal value &1 &2 transferred from security acct &3 to security acct &4 |
64048 | &1 units transferred from security account &2 to security account &3 |
64049 | A maximum of & units can be transferred from old sec.acct |
64050 | Nominal amount & is the maximum which can be transferred |
64051 | & units cannot be transferred |
64052 | Nominal amount &1 &2 cannot be transferred |
64053 | Position transfer posting carried out |
64054 | Acct assignment reference could not be determined |
64055 | Issue currency cannot be changed |
64056 | Issue currency has changed (adjust conditions) |
64057 | Date of balance payment must be later than issue start date |
64058 | 'Trading until' date cannot be before issue start date |
64059 | Drawing date & cannot be before issue start date |
64060 | ID number &1 is not available in exchange &2 |
64061 | Currency entry is missing |
64062 | Exch. rate add.info is incorrect |
64063 | Markdown is incorrect |
64064 | Percent quotation over 999.99999 is not permitted |
64065 | Security price is & higher than stipulated maximum margin |
64066 | Security price is & lower than stipulated maximum margin |
64067 | Drawing date & cannot be after term end |
64068 | Final maturity date cannot be before drawing date |
64069 | Issue start date cannot be greater than drawing date |
64070 | Issue start date cannot be later than conversion period from/to |
64071 | Issue start date cannot be after oblig.to offer for sale/right to offer |
64072 | Final mat.date cannot be before oblig.to offer for sale/right to offer |
64073 | Price type not permitted |
64074 | Final maturity date cannot be earlier than conversion period from/to |
64075 | Final maturity date cannot be before date of notice |
64076 | Assign depositary bank |
64077 | Calculation date must be within the subscription right trading period |
64078 | No exchange rate could be assigned |
64079 | Calculation day has to be within the subscription period |
64080 | Object is locked |
64081 | No additional data was found |
64082 | No rate was found in the exchange rate table |
64083 | Reverse flows that were posted after the calculation date |
64084 | No position items available |
64085 | Value date is before start of subscription period & |
64086 | Last capital increase was carried out on & |
64087 | Capital increase already carried out |
64088 | The value date must not be in the future |
64089 | Totals formation could not be made for flow type &1 and error &2 |
64090 | The company code position indicators are not maintained |
64091 | Enter type of relationship and ID number |
64092 | Specify valid date |
64093 | The appropriate stock exchange was not found |
64094 | Exch. rate date is in the future |
64095 | Security prices for class &1 are already being edited by &2 |
64096 | Not possible to exercise (unused subscription rights still in position) |
64097 | Effective interest rate cannot be calculated |
64098 | Unit-quoted bonds have no marketable unit |
64099 | Unit-quoted securities for product type & are not supported at present |
64100 | Update error (processing ID: &1, SY-SUBRC &2) |
64101 | Only the nominal value or the quota can be entered |
64102 | Only &1 entries permitted with relationship type &2 |
64103 | Unit-quoted bonds do not have an issue rate |
64104 | No-par stocks do not exist as partly paid stocks |
64105 | The start date is after the end date |
64106 | Only percentage or absolute price deviation permitted |
64107 | Inpmnt amount must be smaller than or equal to the nom.val. |
64108 | Pay-in rate must be less than or equal to 100 |
64109 | Warning: Reverse split (numerator > denominator) |
64110 | Invalid relationship |
64111 | No position items selected for transfer or posting |
64112 | Percentage-quoted securities do not have a currency-dependent price |
64113 | Unit-quoted securities have no price in percentage |
64114 | Only choose monthly or yearly accruals/deferrals |
64115 | The amount requires a currency and vice-versa |
64116 | A reinvestment discount is only possible for distributed funds |
64117 | Entry value "0" not allowed |
64118 | Percentage-quoted securities can only have a percentage price deviation |
64119 | Not sensible to enter industry |
64120 | Issue date before final maturity date |
64121 | Percentage-quoted bonds require nominal value with issue currency |
64122 | Security price is & higher than stipulated percentage margin |
64123 | Security price is & lower than stipulated percentage margin |
64124 | Percentage-quoted bonds require a repayment price |
64125 | &1 cannot be deleted; it is connected to security account position &2 &3 |
64126 | BAV-related fields are not ready for input |