
Stock/Shareholding/Invest.: Editing Conditions
When you enter conditions, you enter the general condition characteristics followed by the individual condition items of the various condition types.
A distinction is made between the fields in the general condition characteristics that you can set up yourself using the field selection function in Customizing and those that are predefined in the system. The latter type includes fields in which you are required to enter data for technical reasons (required entry fields).
General Condition Characteristics
Stocks/Shareholding
If you set the partly-paid indicator for a class, the table Payment rates/installments appears, where you can set the data for the partial payment.
Additional payments can be structured using the condition type Additional payment.
Investment certificate
Condition Items
The following section describes how to enter condition types for the stock, shareholding and investment certificate product categories.
You assign a range of these condition types (i.e. a condition group) to the various product types from these product categories in Customizing.
You can use the field selection function to set the entry fields for each condition type as optional, required or display fields in Customizing for Securities by choosing Define Condition Types. The Customizing settings delivered with the system allow you to enter the condition types described in this section.
You can also assign default conditions for some fields in the Customizing activity Assign Condition Types to Condition Groups.
Dividends Distributions Bonus Supplementary PaymentsNotes for Processing

The first condition item is valid until the Effective from date of the second condition item.

By clicking
(Duplicate line), you can make it easier to enter the second condition item for the same condition type. The selected condition item is copied, and then you make the necessary changes to the copy (e.g. new dividend amount and payment date).

The cash flow is only displayed in position currency. Local currency is not translated since no company code is recognized within the class data.