{
    "success": true,
    "data": {
        "leverage": false,
        "derivates": false,
        "swaps": false,
        "inverse": false,
        "replication_method": "physical",
        "ucits": true,
        "type": "ETF",
        "complex_factors": "The fund invests in EUR-denominated, fixed-rate government debt, with five to seven years in remaining time to maturity. The index employs sampling techniques. The fund may engage in securities lending.",
        "classification": "non-complex",
        "supporting_data": "This UCITS ETF tracks a transparent index of Eurozone government bonds with a defined maturity. The replication method appears to be optimized sampling meaning it should physically hold a representative sample of the underlying bonds. The fund uses securities lending which introduces counterparty risk but well-managed within UCITS rules, and dividend distribution. The KID risk score is 4/7. The fund does not use leverage or derivatives to achieve its objectives. The index tracks bonds so, is subject to interest rate risk, the ETF does not use any of the MiFID II complex asset factors."
    }
}