A_BondRedemptionScheduleItem

DDL: A_BONDREDEMPTIONSCHEDULEITEM Type: view_entity CONSUMPTION Package: RAP_FIN_TRM_SEC_SC_API

Bond Redemption Schedule Item

A_BondRedemptionScheduleItem is a Consumption CDS View that provides data about "Bond Redemption Schedule Item" in SAP S/4HANA. It reads from 1 data source (R_BondRedemptionScheduleItemTP) and exposes 30 fields with key fields SecurityClass, BondRedemptionScheduleVersion, CalculationDate. It is exposed through 2 OData services (API_SECURITYCLASS, ASQL_F7824). Part of development package RAP_FIN_TRM_SEC_SC_API.

Data Sources (1)

SourceAliasJoin Type
R_BondRedemptionScheduleItemTP R_BondRedemptionScheduleItemTP projection

Annotations (9)

NameValueLevelField
AccessControl.authorizationCheck #MANDATORY view
Metadata.ignorePropagatedAnnotations true view
VDM.viewType #CONSUMPTION view
ObjectModel.usageType.sizeCategory #L view
ObjectModel.usageType.serviceQuality #A view
ObjectModel.usageType.dataClass #MASTER view
EndUserText.label Bond Redemption Schedule Item view
OData.entityType.name BondRedemptionScheduleItem_Type view
VDM.lifecycle.contract.type #PUBLIC_REMOTE_API view

OData Services (2)

ServiceBindingVersionContractRelease
API_SECURITYCLASS API_SECURITYCLASS V4 C2 Deprecated
ASQL_F7824 ASQL_F7824 C2 NOT_RELEASED

Fields (30)

KeyFieldSource TableSource FieldDescription
KEY SecurityClass SecurityClass
KEY BondRedemptionScheduleVersion BondRedemptionScheduleVersion
KEY CalculationDate CalculationDate
BondRdmptnSchedPaymentDate BondRdmptnSchedPaymentDate
BondRdmptnSchedFactorStatus BondRdmptnSchedFactorStatus
BondRedemptionScheduleFactor BondRedemptionScheduleFactor
BondRdmptnSchedCurFaceAmount BondRdmptnSchedCurFaceAmount
BondRdmptnSchedFaceValChgAmt BondRdmptnSchedFaceValChgAmt
BondRdmptnSchedPrncplPaytAmt BondRdmptnSchedPrncplPaytAmt
BondRedemptionScheduleCurrency BondRedemptionScheduleCurrency
FinancialConditionPaymentRate FinancialConditionPaymentRate
FinConditionFactoryCalendar1 FinConditionFactoryCalendar1
FinConditionFactoryCalendar2 FinConditionFactoryCalendar2
FinConditionFactoryCalendar3 FinConditionFactoryCalendar3
FinConditionFactoryCalendar4 FinConditionFactoryCalendar4
FinConditionFactoryCalendar5 FinConditionFactoryCalendar5
CalcDateIsAsEndDateInclusive CalcDateIsAsEndDateInclusive
CalcDateIsAsEndDateMonthEnd CalcDateIsAsEndDateMonthEnd
CalcDteIsRegularWithVarblDte CalcDteIsRegularWithVarblDte
FinCndnCalcDteWrkgDayShft FinCndnCalcDteWrkgDayShft
FinCndnCalcDteShftDrctn FinCndnCalcDteShftDrctn
FinCndnCalcDteShftNrOfDays FinCndnCalcDteShftNrOfDays
DueDateIsAsEndDateInclusive DueDateIsAsEndDateInclusive
DueDateIsAsEndDateMonthEnd DueDateIsAsEndDateMonthEnd
DueDteIsRegularWithVarblDte DueDteIsRegularWithVarblDte
FinCndnDueDteWrkgDayShft FinCndnDueDteWrkgDayShft
FinCndnDueDteShftDrctn FinCndnDueDteShftDrctn
FinCndnDueDteShftNrOfDays FinCndnDueDteShftNrOfDays
FinCndnPaytDateWrkgDayShft FinCndnPaytDateWrkgDayShft
_SecurityClassBasic _SecurityClassBasic

Derived SQL interpretation, reconstructed from the parsed view metadata (data sources, associations, and field mappings). SAP annotations are omitted and the structure is reformulated as SQL — this is a functional approximation, not the verbatim SAP source.

-- Derived SQL interpretation of CDS view A_BondRedemptionScheduleItem.
-- Reconstructed from parsed metadata (data sources, associations, fields).
-- SAP annotations are omitted and the structure is reformulated as SQL;
-- this is a functional approximation, not the verbatim SAP source. Some join
-- conditions may be unavailable and a few CDS constructs are kept as-is.

CREATE VIEW A_BondRedemptionScheduleItem AS
SELECT
  SecurityClass,
  BondRedemptionScheduleVersion,
  CalculationDate,
  BondRdmptnSchedPaymentDate,
  BondRdmptnSchedFactorStatus,
  BondRedemptionScheduleFactor,
  BondRdmptnSchedCurFaceAmount,
  BondRdmptnSchedFaceValChgAmt,
  BondRdmptnSchedPrncplPaytAmt,
  BondRedemptionScheduleCurrency,
  FinancialConditionPaymentRate,
  FinConditionFactoryCalendar1,
  FinConditionFactoryCalendar2,
  FinConditionFactoryCalendar3,
  FinConditionFactoryCalendar4,
  FinConditionFactoryCalendar5,
  CalcDateIsAsEndDateInclusive,
  CalcDateIsAsEndDateMonthEnd,
  CalcDteIsRegularWithVarblDte,
  FinCndnCalcDteWrkgDayShft,
  FinCndnCalcDteShftDrctn,
  FinCndnCalcDteShftNrOfDays,
  DueDateIsAsEndDateInclusive,
  DueDateIsAsEndDateMonthEnd,
  DueDteIsRegularWithVarblDte,
  FinCndnDueDteWrkgDayShft,
  FinCndnDueDteShftDrctn,
  FinCndnDueDteShftNrOfDays,
  FinCndnPaytDateWrkgDayShft
FROM R_BondRedemptionScheduleItemTP
;