{
    "fund_name": "Amundi Euro Government Bond 10-15Y UCITS ETF Acc",
    "type": "ETF",
    "ucits": true,
    "leverage": false,
    "derivatives": false,
    "swaps": false,
    "inverse": false,
    "replication_method": "physical",
    "complex_factors": [],
    "classification": "non-complex",
    "supporting_data": "The ETF uses physical replication to track the Bloomberg Barclays Euro Treasury 50bn 10-15 Year Bond Index, investing directly in the underlying securities. There is no indication of leverage, inverse strategies, or synthetic replication. The risk profile is straightforward, focusing on Eurozone government bonds with a clear risk-reward profile (SRRI 3). While there is mention of securities lending and counterparty risk from potential swap usage, these are within UCITS guidelines and do not introduce significant complexity. The ETF is UCITS-compliant, which generally aligns with non-complex classifications under MiFID II.",
    "confidence": 95,
    "risk_level": "The ETF has a moderate risk level (SRRI 3), primarily reflecting market risk associated with Eurozone government bonds. The absence of leverage, complex derivatives, or synthetic replication supports its classification as non-complex."
}