| 64227 |
& units cannot be assigned |
| 64228 |
Number range interval for securities prima nota not defined |
| 64229 |
Number range object for securities prima nota not defined |
| 64230 |
Security prima nota number range is not internal |
| 64231 |
Current no. in SEC prima nota no. range interval must be greater than 0 |
| 64232 |
Old and new assignment tables are identical |
| 64233 |
Company code not relevant for 6B |
| 64234 |
No reference available for product type & |
| 64235 |
Warrants & taken off books |
| 64236 |
Accruals/deferrals procedure not permitted |
| 64237 |
Purchases have to be reversed via the order |
| 64238 |
Sales have to be reversed via the order |
| 64239 |
You cannot reverse the activity using this function |
| 64240 |
Accrued interest has to be reversed via the order |
| 64241 |
You first have to reverse the following posted flows |
| 64242 |
No transfer postings available |
| 64243 |
No records to be reversed were selected |
| 64244 |
Specify asset or asset class |
| 64245 |
Deletion is not possible |
| 64246 |
Nominal amount & cannot be assigned |
| 64247 |
Only one selection option available |
| 64248 |
No flow type could be determined automatically |
| 64249 |
No flow category was found for this business transaction |
| 64250 |
Subscription right ratio not applicable |
| 64251 |
Reference with ID number of product type & not possible |
| 64252 |
Validity date cannot be after final maturity date |
| 64253 |
Conditions have to be adjusted when listing is changed |
| 64254 |
New subscription period cannot be created |
| 64255 |
Condition type & results in an inpayment amount larger than 100% |
| 64256 |
No new condition is possible for inpayment rate of 100% |
| 64257 |
Final repayment can only occur once |
| 64258 |
Val.as-from date not possible |
| 64259 |
§6b processing required: More units assigned than available |
| 64260 |
No LIFO allocation possible |
| 64261 |
§6b units will also be sold |
| 64262 |
§6b processing was terminated |
| 64263 |
Program error |
| 64264 |
Only & are assigned according to LIFO |
| 64265 |
Not possible to change units which are already allocated |
| 64266 |
Accruals/deferrals Customizing not maintained for flow type & |
| 64267 |
Line item assignment is required |
| 64268 |
Position number is invalid |
| 64269 |
Currency units not available for & in Customizing |
| 64270 |
No valid sort sequence available |
| 64271 |
Position cursor on a valid line |
| 64272 |
No order selected |
| 64273 |
Flow type & not permitted (use F4 Help) |
| 64274 |
Execute period-end closing for security number &1 first |
| 64275 |
Nominal amount cannot be assigned |
| 64276 |
Enter product type |
| 64277 |
System defaults to payment details defined in the standing instructions |
| 64278 |
Payment details of counterparty could not be determined |
| 64279 |
CoCd &1, ID no. &2: Posting error, see reversal log |
| 64280 |
Error when order called up from derivatives |
| 64281 |
Posting with posting date &1, daybook no. &2 exists in current sec. acct |
| 64282 |
Memo record with position date & available in current sec.acct |
| 64283 |
Posting exists in securities account &1, posting date &2, daybook no. &3 |
| 64284 |
Memo record available in sec. acct &1, position date &2 |
| 64285 |
Flow type & is neither a purchase nor sale |
| 64286 |
No object number could be assigned |
| 64287 |
Object number is not filled |
| 64288 |
Issue currency of warrant differs from issue currency of underlying |
| 64289 |
Price of reference stock is lower than subscription price |
| 64290 |
ID number & successfully deleted |
| 64291 |
Planned records could not be updated |
| 64292 |
Posting with posting date &1, ID no. &2, security account &3 |
| 64293 |
Posting with posting date &1, ID no. &2, security account &3 |
| 64294 |
Period-end closing for securities account &1 in portfolio &2 required |
| 64295 |
The system does not support the exercising of this warrant |
| 64296 |
Internal bank account &1 not created in company code &2 |
| 64297 |
Short text for internal bank account & could not be found |
| 64298 |
No user master data found for user & (table USR01) |
| 64299 |
Errors in database update |
| 64300 |
Update could not be made |
| 64301 |
No position for ID number & to be transferred |
| 64302 |
Corporate action successfully reversed |
| 64303 |
Corporate action & successfully posted |
| 64304 |
No positive cash settlement determined, exercising not applicable |
| 64305 |
Data converted successfully |
| 64306 |
No stock master for stock & to be posted |
| 64307 |
No asset master for ID number & to be taken off books |
| 64308 |
No asset master for stock & to be posted |
| 64309 |
No relation to share available |
| 64310 |
No bond master exists for ID number & |
| 64311 |
Order data after key date available |
| 64312 |
No position under ID number & |
| 64313 |
Key date outside of conversion period |
| 64314 |
No reference to warrant available |
| 64315 |
No reference available for warrant "ex" |
| 64316 |
ID number & is not a convertible bond |
| 64317 |
ID number & is not a warrant bond |
| 64318 |
ID number & is not a stock |
| 64319 |
No asset master exists for warrant & to be posted |
| 64320 |
Nominal entered is larger than position |
| 64321 |
Only enter a positive nominal amount |
| 64322 |
Amount smaller than smallest tradeable quantity & |
| 64323 |
Amount not multiple of smallest tradeable quantity & |
| 64324 |
Enter exchange rate |
| 64325 |
No exchange rate found. Enter exchange rate |
| 64326 |
ID number & is not a warrant |