{
    "success": true,
    "data": {
        "ucits": true,
        "type": "ETF",
        "leverage": false,
        "derivates": false,
        "swaps": false,
        "inverse": false,
        "replication_method": "physical",
        "complex_factors": "Securities lending, potential gilt market risks.",
        "classification": "non-complex",
        "supporting_data": "The ETF is UCITS compliant and seeks to track the Bloomberg Sterling 15+ Year Aggregate Gilts Bond Index using a replication strategy. It primarily invests in UK government bonds (Gilts) with a maturity of over 15 years. Derivatives are used for efficient portfolio management, not as an integral part of its investment objective. Securities lending is employed, but exposure is capped at 70% of Net Asset Value. The risk profile is rated 6/7, reflecting market volatility rather than structural complexity.Gilt market is subject to interest rate risks.",
        "complex": false
    }
}