{
    "complex": false,
    "leverage": false,
    "derivatives": false,
    "swaps": false,
    "inverse": false,
    "replication_method": "physical",
    "ucits": true,
    "type": "ETF",
    "complex_factors": [],
    "classification": "non-complex",
    "supporting_data": "The SPDR Bloomberg 1-3 Year U.S. Treasury Bond UCITS ETF is a physically replicated, UCITS-compliant ETF that tracks the Bloomberg U.S. 1-3 Year Treasury Bond Index. It uses a stratified sampling strategy to replicate the index, which consists of U.S. Treasury bonds with maturities between 1 and 3 years. The fund does not use derivatives for leverage, inverse exposure, or synthetic replication. The risk profile is low (risk category 2), and the fund's investment strategy is straightforward, focusing on direct investment in U.S. Treasury bonds. The fund's charges are low (TER 0.15%), and there are no complex features such as capital protection or structured products. The fund's holdings are highly liquid and transparent, with no exposure to complex or illiquid assets. The fund's risk and reward profile is easily understandable, and there are no indications of significant counterparty risk or other complexity factors. The fund's use of derivatives, if any, is limited to efficient portfolio management and does not trigger complexity under MiFID II.",
    "confidence": 95
}