{
    "name": "AMUNDI EURO GOVERNMENT BOND UCITS ETF Acc",
    "type": "ETF",
    "ucits": true,
    "replication_method": "physical",
    "leverage": false,
    "derivatives": false,
    "swaps": false,
    "inverse": false,
    "complex_factors": [],
    "classification": "non-complex",
    "supporting_data": "The ETF uses physical replication with sampled replication of the Bloomberg Euro Treasury 50bn Bond Index, primarily investing directly in the underlying securities. While derivatives may be used for efficient portfolio management (EPM) such as handling inflows/outflows or improving index exposure, this is not considered a complex strategy under MiFID II. The fund does not employ leverage, inverse strategies, or synthetic replication. The risk profile is straightforward, focusing on Eurozone government bonds with a clear risk-reward profile (SRRI 3). The KIID and factsheet do not indicate any complex features such as capital protection mechanisms, structured products, or significant counterparty risks. The fund is UCITS-compliant, which generally aligns with non-complex classifications under MiFID II.",
    "confidence": 95
}