{
    "type": "ETF",
    "ucits": true,
    "fund_name": "Robeco 3D European Equity UCITS ETF EUR Acc",
    "investment_objective": "Actively managed equity fund investing in European stocks applying a proprietary quantitative '3D' strategy considering risk, return and sustainability to outperform MSCI Europe Index",
    "primary_asset_class": "Equity",
    "geographic_focus": "Europe",
    "replication_method": "physical",
    "swaps": false,
    "derivatives": false,
    "leverage": false,
    "inverse": false,
    "complex_factors": [],
    "classification": "non-complex",
    "supporting_data": "The ETF is a UCITS-compliant, actively managed equity fund investing directly in European stocks with physical replication. There is no mention of synthetic replication, swap agreements, or derivative instruments used as part of the investment strategy. The fund uses a quantitative stock-ranking model to select securities, but this does not imply derivative usage for investment exposure. The risk profile is moderate (4 out of 7), consistent with equity market risk, with no leverage or inverse exposure. The ongoing charges are straightforward with no performance fees or swap fees. The PRIIPs KID and KIID do not indicate complexity warnings or comprehension difficulties. The monthly factsheet confirms physical holdings in equities, no use of swaps or leverage, and a clear, transparent investment approach. No capital protection or structured features are present. Counterparty risk is mentioned only in the context of collateralized derivatives usage for risk management, but no inherent derivative exposure is indicated. Overall, the fund exhibits a straightforward, physical equity investment strategy with no complex features triggering MiFID II complexity classification."
}