{
    "success": true,
    "data": {
        "complex": "complex",
        "leverage": false,
        "derivates": true,
        "swaps": true,
        "inverse": false,
        "replication_method": "synthethic",
        "ucits": true,
        "type": "ETF",
        "complex_factors": "Synthetic replication via swaps, index is based on a sector CAPEu00ae ratio with ESG filters.  The ETF invests in large and mid-cap US equities. The methodology uses sector-based selection.",
        "classification": "complex",
        "supporting_data": "The ETF aims to replicate the performance of the Shiller Barclays CAPEu00ae US Sector Value Net TR Index.  The investment objective relies on an actively managed UCITS ETF.   It uses an optimization process to minimize tracking error.  The index itself is based on a cyclically adjusted price-earnings ratio (CAPEu00ae), and employs ESG criteria to filter securities. The KID document specifies that the ETF is ranked 6 on the synthetic risk and reward indicator scale.The use of optimization, reliance on ESG data, and the nature of the underlying CAPEu00ae index indicate a complex strategy."
    }
}