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