{
    "success": true,
    "data": {
        "ucits": true,
        "type": "ETF",
        "leverage": false,
        "derivates": false,
        "swaps": false,
        "inverse": false,
        "replication_method": "physical",
        "complex_factors": [
            "Securities Lending",
            "Sampling Techniques"
        ],
        "classification": "non-complex",
        "supporting_data": "The ETF is UCITS compliant and aims to track the Bloomberg Euro Government Select 3-5 Year Index using sampling techniques. Derivatives are not integral to achieving its investment objective. Securities lending is permitted, introducing counterparty risk, but is managed within UCITS rules. While securities lending and the use of sampling techniques add a layer of complexity, they do not automatically classify it as a complex financial instrument under MiFID II, because the main risk-return profile is still determined by the underlying government bonds.  The fund invests in EUR-denominated, fixed-rate government debt, with three to five years in remaining time to maturity issued by France, Germany, Italy, Netherlands, and Spain",
        "complex": false,
        "non-complex": true
    }
}