SAP Messages

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
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