T3 - Messages for options and futures

The following messages are stored in message class T3: Messages for options and futures.
It is part of development package FTA in software component FIN-FSCM-TRM-TM. This development package consists of objects that can be grouped under "R/3 appl. development for Treasury money,forex,forward gen".
Message Nr
Message Text
001Option/Future product type not maintained
002Underlying not a unit-quoted security
003Underlying not created
004Option/Future does not exist
005Select a valid line
006Option/Future group has no valid product type
007Product type not in listed option category
008Product type not in listed option category
009Product type not in listed option or future category
010Option/Future & saved
011Specify a calendar
012Enter the tick currency (= quotation currency)
013Stike currency of option &1 is not the same as currency of underlying &2
014Tick currency can only be issue currency & or the euro
015Tick currency &1 and strike currency &2 must be identical
016Tick currency &1 and index currency &2 must be identical
017Underlying transaction & does not exist
018No active status exists for underlying transaction &
019No active flows exist for underlying transaction &
020Option/Future in product type &
021Price currency and payment currency are not the same
022Unit, price and payment amount are inconsistent; overwrite payment amount
023Option already traded in another transaction
024Option cannot be saved without underlying
025Option & saved
026Underlying transaction & saved
027Transaction can only be called as an underlying
028Underlying transaction & noted
029No underlying transaction entered
030Underlying transaction not changed
031Choose a valid column
035Condition type is required for multiple payments
041Strike price cannot be calculated since different currencies exist
043Strike in points calculation does not give feasible value
044Strike in percentage calculation does not give feasible value
045Maximum number of underlyings has been reached
046Underlying type &1 does not correspond to the permitted product type &2
047Underlying &1 does not correspond to the permitted transaction type &2
048Maximum number of underlyings exceeded
050Status not in underlying category
051Only one line is possible
053Option/future has already been traded in a transaction
055Enter at least two underlyings
056Enter a uniform hedge currency
057Average dates are not complete or not fixed
060Underlying transaction &1 of option &2 does not exist
061Transaction already exists for underlying transaction &1 of option &2
063Underlying is not specified in the product type attributes for &
064No. of underlyings is not specified in the product type attributes for &
066Customizing of underlyings for product type & is not correct
080Option no longer identifiable as put or call
081Option changes from put to call
082Option changes from call to put
083You cannot specify this option category using the standard entry screen
100Group is not a futures group
118Option/Future already exists
181Option/Future already being edited
200Data has not been changed; you do not need to save
201Data has not changed; it is not necessary to note
210Due date is before contract conclusion date
211Premium value date is before the contract date
212Please enter a premium currency
213Please enter a premium payment date
214Please enter a premium flow type
215Please enter an expiry date
216Either provide points, percentage or premium amount &1
220Option has several underlyings
221Underlying product type &1 is not product type &2 &3
300Selected underlying does not exist
500Condition type not defined for settlement
501Condition type not maintained
502Security & not maintained
510Settlement method requires no additional details
511Settlement method requires additional details
601Condition date is before start of term
602Condition date is after end of term
603Settlement condition with the same date already exists
700Open position: Purchase: &1 Sale: &2
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