{
    "type": "ETF",
    "ucits": true,
    "fund_name": "Amundi Global Corporate Bond 1-5Y ESG - UCITS ETF DR",
    "investment_objective": "Track the Bloomberg MSCI ESG Global Corporate 1-5 Year Select Index, a multi-currency fixed-rate investment-grade corporate bond index with ESG criteria, using sampled physical replication.",
    "primary_asset_class": "Bond",
    "geographic_focus": "Global (multi-currency, with significant US, UK, France, Canada, Germany exposure)",
    "replication_method": "physical",
    "swaps": false,
    "derivatives": false,
    "leverage": false,
    "inverse": false,
    "complex_factors": "",
    "classification": "non-complex",
    "supporting_data": "The ETF is a UCITS fund physically replicating a corporate bond ESG index with sampled replication. The KIID and PRIIPs KID confirm direct investment in underlying securities with no synthetic replication or swap usage. Derivatives may be used only for efficient portfolio management (e.g., managing inflows/outflows or better exposure), not as an inherent part of the strategy, so derivatives are marked false. There is no leverage, inverse or amplified exposure language. The risk profile is low (SRRI 2 out of 7), consistent with investment-grade bonds. The fund holds a diversified portfolio of investment-grade corporate bonds with no contingent convertible bonds or complex structured products. The factsheet confirms physical replication and no mention of swap or synthetic structures. Costs are straightforward with no performance fees or swap fees. Counterparty risk is disclosed but typical for securities lending and operational counterparties, not indicative of complexity. No capital protection or structured features are present. The PRIIPs KID does not include any comprehension warnings or complexity flags. Overall, the fund exhibits a clear, linear relationship to the underlying index and invests directly in liquid, transparent securities, making it non-complex under MiFID II."
}