PRIIPS_V20

/FundsXML4/RegulatoryReportings/IndirectReporting/PRIIPS_V20

Diagram

PRIIPS_V20 EPTV2 (anonymous) [1] CEPTV2History CEPTV2HistoryType [0..1] CEPTV2Performance CEPTV2PerformanceType [0..1]

Documentation

EN

EUROPEAN PRIIPs TEMPLATE - EPT V2.0 and EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0

DE

EUROPEAN PRIIPs TEMPLATE - EPT V2.0 und EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0

FR

EUROPEAN PRIIPs TEMPLATE - EPT V2.0 et EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0

NL

EUROPEAN PRIIPs TEMPLATE - EPT V2.0 en EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0

ES

EUROPEAN PRIIPs TEMPLATE - EPT V2.0 y EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0

IT

EUROPEAN PRIIPs TEMPLATE - EPT V2.0 e EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0

HU

EUROPEAN PRIIPs TEMPLATE - EPT V2.0 és EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0

CS

EUROPEAN PRIIPs TEMPLATE - EPT V2.0 a EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0

Properties

Type
PRIIPSType_V20
Cardinality
0..1
Namespace
xs = "http://www.w3.org/2001/XMLSchema"
vc = "http://www.w3.org/2007/XMLSchema-versioning"
xml = "http://www.w3.org/XML/1998/namespace"
altova = "http://www.altova.com/xml-schema-extensions"
ds = "http://www.w3.org/2000/09/xmldsig#"
Level
3

Child Elements & Attributes

Child elements and attributes of this element
Name (XPath) Type Documentation Sample Data
(anonymous)

European PRIIPs Template V2.0 data section

European PRIIPs Template V2.0 Datenabschnitt

Section de données du modèle PRIIPs européen V2.0

European PRIIPs Template V2.0 datasectie

Sección de datos del European PRIIPs Template V2.0

Sezione dati dell'European PRIIPs Template V2.0

European PRIIPs Template V2.0 adatszekció

Datová sekce European PRIIPs Template V2.0

CEPTV2HistoryType

CEPT V2 historical price data for the financial instrument

CEPT V2 historische Preisdaten für das Finanzinstrument

Données de prix historiques CEPT V2 pour l'instrument financier

CEPT V2 historische prijsgegevens voor het financieel instrument

Datos de precios históricos CEPT V2 para el instrumento financiero

Dati storici dei prezzi CEPT V2 per lo strumento finanziario

CEPT V2 historikus áradatok a pénzügyi eszközhöz

CEPT V2 historická cenová data pro finanční nástroj

CEPTV2PerformanceType

CEPT V2 performance data for the financial instrument

CEPT V2 Performance-Daten für das Finanzinstrument

Données de performance CEPT V2 pour l'instrument financier

CEPT V2 prestatiegegevens voor het financieel instrument

Datos de rendimiento CEPT V2 para el instrumento financiero

Dati sulle performance CEPT V2 per lo strumento finanziario

CEPT V2 teljesítményadatok a pénzügyi eszközhöz

CEPT V2 výkonnostní data pro finanční nástroj

Element Definition

<xs:element xmlns:altova="http://www.altova.com/xml-schema-extensions"
            xmlns:ds="http://www.w3.org/2000/09/xmldsig#"
            xmlns:vc="http://www.w3.org/2007/XMLSchema-versioning"
            xmlns:xs="http://www.w3.org/2001/XMLSchema"
            minOccurs="0"
            name="PRIIPS_V20"
            type="PRIIPSType_V20">
   <xs:annotation>
      <xs:documentation xml:lang="en">EUROPEAN PRIIPs TEMPLATE - EPT V2.0 and EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0</xs:documentation>
      <xs:documentation xml:lang="de">EUROPEAN PRIIPs TEMPLATE - EPT V2.0 und EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0</xs:documentation>
      <xs:documentation xml:lang="fr">EUROPEAN PRIIPs TEMPLATE - EPT V2.0 et EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0</xs:documentation>
      <xs:documentation xml:lang="nl">EUROPEAN PRIIPs TEMPLATE - EPT V2.0 en EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0</xs:documentation>
      <xs:documentation xml:lang="es">EUROPEAN PRIIPs TEMPLATE - EPT V2.0 y EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0</xs:documentation>
      <xs:documentation xml:lang="it">EUROPEAN PRIIPs TEMPLATE - EPT V2.0 e EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0</xs:documentation>
      <xs:documentation xml:lang="hu">EUROPEAN PRIIPs TEMPLATE - EPT V2.0 és EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0</xs:documentation>
      <xs:documentation xml:lang="cs">EUROPEAN PRIIPs TEMPLATE - EPT V2.0 a EUROPEAN COMFORT PRIIPs TEMPLATE - CEPT V2.0</xs:documentation>
   </xs:annotation>
</xs:element>

Referenced Type Definition (PRIIPSType_V20)

<xs:complexType xmlns:altova="http://www.altova.com/xml-schema-extensions"
                xmlns:ds="http://www.w3.org/2000/09/xmldsig#"
                xmlns:vc="http://www.w3.org/2007/XMLSchema-versioning"
                xmlns:xs="http://www.w3.org/2001/XMLSchema"
                name="PRIIPSType_V20">
   <xs:annotation>
      <xs:documentation xml:lang="en">XML adaptation of the European PRIIPs Template (EPT) as well as the  European Comfort PRIIPs Template (CEPT)
The EPT V 2.0 incorporates the necessary changes based on the revised PRIIPs RTS, published by in the Official Journal of the European Union on 20 December 2021. The use of the CEPT 2.0 is based on a bilateral ("comfort") agreements between providers of underlying options for PRIIPs and insurers</xs:documentation>
      <xs:documentation xml:lang="de">XML adaptation von European PRIIPs Template (EPT) als well als European Comfort PRIIPs Template (CEPT)
The EPT V 2.0 incorporates necessary changes based on revised PRIIPs RTS, published durch in Official Journal von European Union on 20 December 2021. The verwenden von CEPT 2.0 ist based on ein bilateral ("comfort") agreements between providers von Basiswert options für PRIIPs und insurers</xs:documentation>
      <xs:documentation xml:lang="fr">XML adaptation de European PRIIPs Template (EPT) comme well comme European Comfort PRIIPs Template (CEPT)
The EPT V 2.0 incorporates necessary changes based on revised PRIIPs RTS, published par dans Official Journal de European Union on 20 December 2021. The utiliser de CEPT 2.0 est based on un bilateral ("comfort") agreements between providers de sous-jacent options pour PRIIPs et insurers</xs:documentation>
      <xs:documentation xml:lang="nl">XML adaptation van European PRIIPs Template (EPT) als well als European Comfort PRIIPs Template (CEPT)
The EPT V 2.0 incorporates necessary changes based on revised PRIIPs RTS, published door in Official Journal van European Union on 20 December 2021. The gebruiken van CEPT 2.0 is based on een bilateral ("comfort") agreements between providers van onderliggende waarde options voor PRIIPs en insurers</xs:documentation>
      <xs:documentation xml:lang="es">XML adaptation van European PRIIPs Template (EPT) als well als European Comfort PRIIPs Template (CEPT)
The EPT V 2.0 incorporates necessary changes based on revised PRIIPs RTS, published door in Official Journal van European Union on 20 December 2021. The gebruiken van CEPT 2.0 is based on een bilateral ("comfort") agreements between providers van onderliggende valor options voor PRIIPs en insurers</xs:documentation>
      <xs:documentation xml:lang="it">Adattamento XML dell'European PRIIPs Template (EPT) e dell'European Comfort PRIIPs Template (CEPT)
L'EPT V 2.0 incorpora le modifiche necessarie sulla base dei PRIIP RTS rivisti, pubblicati nella Gazzetta ufficiale dell'Unione europea il 20 dicembre 2021. L'utilizzo del CEPT 2.0 si basa su accordi bilaterali ("comfort") tra fornitori di opzioni sottostanti per i PRIIP e assicuratori</xs:documentation>
      <xs:documentation xml:lang="cs">XML adaptation of the European PRIIPs Template (EPT) as well as the  European Comfort PRIIPs Template (CEPT)
The EPT V 2.0 incorporates the necessary changes based on the revised PRIIPs RTS, published by in the Official Journal of the European Union on 20 December 2021. The use of the CEPT 2.0 is based on a bilateral ("comfort") agreements between providers of underlying options for PRIIPs and insurers</xs:documentation>
      <xs:documentation xml:lang="hu">XML adaptation of the European PRIIPs Sablon (EPT) as well as the  European Comfort PRIIPs Sablon (CEPT)
The EPT V 2.0 incorporates the necessary changes based on the revised PRIIPs RTS, published by in the Official Journal of the European Union on 20 December 2021. The use of the CEPT 2.0 is based on a bilateral ("comfort") agreements between providers of underlying options for PRIIPs and insurers</xs:documentation>
   </xs:annotation>
   <xs:sequence>
      <xs:element name="EPTV2">
         <xs:annotation>
            <xs:documentation xml:lang="en">European PRIIPs Template V2.0 data section</xs:documentation>
            <xs:documentation xml:lang="de">European PRIIPs Template V2.0 Datenabschnitt</xs:documentation>
            <xs:documentation xml:lang="fr">Section de données du modèle PRIIPs européen V2.0</xs:documentation>
            <xs:documentation xml:lang="nl">European PRIIPs Template V2.0 datasectie</xs:documentation>
            <xs:documentation xml:lang="es">Sección de datos del European PRIIPs Template V2.0</xs:documentation>
            <xs:documentation xml:lang="it">Sezione dati dell'European PRIIPs Template V2.0</xs:documentation>
            <xs:documentation xml:lang="hu">European PRIIPs Template V2.0 adatszekció</xs:documentation>
            <xs:documentation xml:lang="cs">Datová sekce European PRIIPs Template V2.0</xs:documentation>
         </xs:annotation>
         <xs:complexType>
            <xs:sequence>
               <xs:element minOccurs="0"
                           name="FundOrShareClassIdentifiers"
                           type="FundOrShareClassIdentifiersType">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">Fund or share class identifiers for easy connection to other fund or share class data</xs:documentation>
                     <xs:documentation xml:lang="de">Fonds oder Anteilsklasse identifiers für easy connection zu Sonstig Fonds oder Anteilsklasse Daten</xs:documentation>
                     <xs:documentation xml:lang="fr">Fonds ou classe d'actions identifiers pour easy connection à autre fonds ou classe d'actions données</xs:documentation>
                     <xs:documentation xml:lang="nl">Fonds van aandelenklasse identifiers voor easy connection naar overig fonds van aandelenklasse gegevens</xs:documentation>
                     <xs:documentation xml:lang="es">Fondo de clase de acciones identifiers para easy connection hacia otro fondo de clase de acciones datos</xs:documentation>
                     <xs:documentation xml:lang="it">Identificatori di fondi o classi di azioni per una facile connessione ad altri dati di fondi o classi di azioni</xs:documentation>
                     <xs:documentation xml:lang="cs">Fund or share class identifiers for easy connection to other fund or share class data</xs:documentation>
                     <xs:documentation xml:lang="hu">Alap or Sorozat identifiers for easy connection to other Alap or Sorozat Adat</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element minOccurs="0" name="DataSupplier" type="DataSupplierType">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">Definition of data source (investment company, vendor, ...)</xs:documentation>
                     <xs:documentation xml:lang="de">Definition von Daten source (Anlage company, vendor, ...)</xs:documentation>
                     <xs:documentation xml:lang="fr">Definition de données source (investissement company, vendor, ...)</xs:documentation>
                     <xs:documentation xml:lang="nl">Definition van gegevens source (belegging company, vendor, ...)</xs:documentation>
                     <xs:documentation xml:lang="es">Definition de datos source (inversion company, vendor, ...)</xs:documentation>
                     <xs:documentation xml:lang="it">Definizione della fonte dei dati (società di investimento, fornitore, ...)</xs:documentation>
                     <xs:documentation xml:lang="cs">Definition of data source (investment company, vendor, ...)</xs:documentation>
                     <xs:documentation xml:lang="hu">Definition of Adat source (Befektetes Tarsasag, vendor, ...)</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element name="DataSetInformation">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">PRIIPs Data Set Information</xs:documentation>
                     <xs:documentation xml:lang="de">PRIIPs Daten Set Information</xs:documentation>
                     <xs:documentation xml:lang="fr">PRIIPs Données Set Information</xs:documentation>
                     <xs:documentation xml:lang="nl">PRIIPs Gegevens Set Informatie</xs:documentation>
                     <xs:documentation xml:lang="es">PRIIPs Datos Set Informacion</xs:documentation>
                     <xs:documentation xml:lang="it">Informazioni sul set di dati PRIIP</xs:documentation>
                     <xs:documentation xml:lang="cs">PRIIPs Data Set Information</xs:documentation>
                     <xs:documentation xml:lang="hu">PRIIPs Adat Set Informacio</xs:documentation>
                  </xs:annotation>
                  <xs:complexType>
                     <xs:sequence>
                        <xs:element name="Version">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT version identifier (V20 or V21)</xs:documentation>
                              <xs:documentation xml:lang="de">EPT-Versionskennung (V20 oder V21)</xs:documentation>
                              <xs:documentation xml:lang="fr">Identifiant de version EPT (V20 ou V21)</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT-versie-identificatie (V20 of V21)</xs:documentation>
                              <xs:documentation xml:lang="es">Identificador de versión EPT (V20 o V21)</xs:documentation>
                              <xs:documentation xml:lang="it">Identificatore versione EPT (V20 o V21)</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT verzióazonosító (V20 vagy V21)</xs:documentation>
                              <xs:documentation xml:lang="cs">Identifikátor verze EPT (V20 nebo V21)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:enumeration value="V21"/>
                                 <xs:enumeration value="V20"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element name="Data_ReportingNarratives" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Indicates whether narrative data is reported in this submission</xs:documentation>
                              <xs:documentation xml:lang="de">Gibt an, ob in dieser Meldung Textdaten gemeldet werden</xs:documentation>
                              <xs:documentation xml:lang="fr">Indique si des données narratives sont rapportées dans cette soumission</xs:documentation>
                              <xs:documentation xml:lang="nl">Geeft aan of narratieve gegevens worden gerapporteerd in deze indiening</xs:documentation>
                              <xs:documentation xml:lang="es">Indica si se reportan datos narrativos en esta presentación</xs:documentation>
                              <xs:documentation xml:lang="it">Indica se i dati narrativi sono riportati in questa presentazione</xs:documentation>
                              <xs:documentation xml:lang="hu">Jelzi, hogy ezen beküldésben szerepelnek-e szöveges adatok</xs:documentation>
                              <xs:documentation xml:lang="cs">Označuje, zda jsou v tomto podání hlášena narativní data</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="DataReportingCosts" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Indicates whether cost data is reported in this submission</xs:documentation>
                              <xs:documentation xml:lang="de">Gibt an, ob Kostendaten in dieser Meldung gemeldet werden</xs:documentation>
                              <xs:documentation xml:lang="fr">Indique si des données de coûts sont rapportées dans cette soumission</xs:documentation>
                              <xs:documentation xml:lang="nl">Geeft aan of kostengegevens worden gerapporteerd in deze indiening</xs:documentation>
                              <xs:documentation xml:lang="es">Indica si se reportan datos de costes en esta presentación</xs:documentation>
                              <xs:documentation xml:lang="it">Indica se i dati sui costi sono riportati in questa presentazione</xs:documentation>
                              <xs:documentation xml:lang="hu">Jelzi, hogy ezen beküldésben szerepelnek-e költségadatok</xs:documentation>
                              <xs:documentation xml:lang="cs">Označuje, zda jsou v tomto podání hlášena data o nákladech</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="DataReportingAdditionalRequirementsGermanMOPs" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Indicates whether additional German MOP requirements data is reported</xs:documentation>
                              <xs:documentation xml:lang="de">Gibt an, ob zusätzliche deutsche MOP-Anforderungsdaten gemeldet werden</xs:documentation>
                              <xs:documentation xml:lang="fr">Indique si des données relatives aux exigences allemandes MOP sont rapportées</xs:documentation>
                              <xs:documentation xml:lang="nl">Geeft aan of aanvullende Duitse MOP-vereistengegevens worden gerapporteerd</xs:documentation>
                              <xs:documentation xml:lang="es">Indica si se reportan datos de requisitos adicionales alemanes MOP</xs:documentation>
                              <xs:documentation xml:lang="it">Indica se vengono riportati dati su requisiti aggiuntivi MOP tedeschi</xs:documentation>
                              <xs:documentation xml:lang="hu">Jelzi, hogy a német MOP további követelmények adatai szerepelnek-e</xs:documentation>
                              <xs:documentation xml:lang="cs">Označuje, zda jsou hlášena data o dalších německých požadavcích MOP</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="AdditionalInformationStructuredProductsRIY" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Indicates whether additional structured products RIY information is reported</xs:documentation>
                              <xs:documentation xml:lang="de">Gibt an, ob zusätzliche strukturierte Produkte RIY-Informationen gemeldet werden</xs:documentation>
                              <xs:documentation xml:lang="fr">Indique si des informations supplémentaires RIY sur les produits structurés sont rapportées</xs:documentation>
                              <xs:documentation xml:lang="nl">Geeft aan of aanvullende gestructureerde producten RIY-informatie wordt gerapporteerd</xs:documentation>
                              <xs:documentation xml:lang="es">Indica si se reporta información adicional RIY de productos estructurados</xs:documentation>
                              <xs:documentation xml:lang="it">Indica se vengono riportate informazioni aggiuntive RIY sui prodotti strutturati</xs:documentation>
                              <xs:documentation xml:lang="hu">Jelzi, hogy a strukturált termékek RIY további információi szerepelnek-e</xs:documentation>
                              <xs:documentation xml:lang="cs">Označuje, zda jsou hlášeny další informace o RIY strukturovaných produktů</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                     </xs:sequence>
                  </xs:complexType>
               </xs:element>
               <xs:element name="GeneralPortfolioInformation">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">EPT 00 / CEPT PRICES 10 / CEPT RHP 30</xs:documentation>
                     <xs:documentation xml:lang="de">EPT 00 / CEPT PRICES 10 / CEPT RHP 30</xs:documentation>
                     <xs:documentation xml:lang="fr">EPT 00 / CEPT PRICES 10 / CEPT RHP 30</xs:documentation>
                     <xs:documentation xml:lang="nl">EPT 00 / CEPT PRICES 10 / CEPT RHP 30</xs:documentation>
                     <xs:documentation xml:lang="es">EPT 00 / CEPT PRICES 10 / CEPT RHP 30</xs:documentation>
                     <xs:documentation xml:lang="it">EPT 00 / PREZZI CEPT 10 / CEPT RHP 30</xs:documentation>
                     <xs:documentation xml:lang="cs">EPT 00 / CEPT PRICES 10 / CEPT RHP 30</xs:documentation>
                     <xs:documentation xml:lang="hu">EPT 00 / CEPT PRICES 10 / CEPT RHP 30</xs:documentation>
                  </xs:annotation>
                  <xs:complexType>
                     <xs:sequence>
                        <xs:element name="PortfolioManufacturerName">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00010 - (a)  entity that manufactures PRIIPs;
(b)  entity that makes changes to an existing PRIIP including, but not limited to, altering its risk and reward profile or the costs associated with an investment in a PRIIP</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00010 - (ein) entity dass manufactures PRIIPs;
(b) entity dass makes changes zu ein existing PRIIP einschließlich, but nicht limited zu, altering its Risiko und reward profile oder costs associated mit ein Anlage in ein PRIIP</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00010 - (un) entity que manufactures PRIIPs;
(b) entity que makes changes à un existing PRIIP y compris, but pas limited à, altering its risque et reward profile ou costs associated avec un investissement dans un PRIIP</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00010 - (een) entity dat manufactures PRIIPs;
(b) entity dat makes changes naar een existing PRIIP inclusief, but niet limited naar, altering its risico en reward profile van costs associated met een belegging in een PRIIP</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00010 - (een) entity dat manufactures PRIIPs;
(b) entity dat makes changes naar een existing PRIIP inclusief, but niet limited naar, altering its riesgo en reward profile van costs associated met een inversión in een PRIIP</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00010 - (a) entità che produce PRIIP;
(b) entità che apporta modifiche a un PRIIP esistente comprese, ma non limitate a, alterazioni del suo profilo di rischio e rendimento o dei costi associati a un investimento in un PRIIP</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00010 - (a)  entity that manufactures PRIIPs;
(b)  entity that makes changes to an existing PRIIP including, but not limited to, altering its risk and reward profile or the costs associated with an investment in a PRIIP</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00010 - (a)  Jogalany that manufactures PRIIPs;
(b)  Jogalany that makes changes to an existing PRIIP including, but not limited to, altering its Kockazat and reward profile or the Koltsegek associated with an Befektetes in a PRIIP</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="255"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element name="PortfolioManufacturerGroupName">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00015 - Name of the group PRIIPs manufacturer belongs to</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00015 - Name von Gruppe PRIIPs manufacturer belongs zu</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00015 - Nom de groupe PRIIPs manufacturer belongs à</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00015 - Naam van groep PRIIPs manufacturer belongs naar</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00015 - Nombre de groep PRIIPs manufacturer belongs hacia</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00015 - Nome del gruppo a cui appartiene il produttore dei PRIIP</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00015 - Name of the group PRIIPs manufacturer belongs to</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00015 - Nev of the group PRIIPs Gyarto belongs to</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="255"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="PortfolioManufacturerLEI" type="LEICodeType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">00016 - Legal Entity Identifier, LEI of the manufacturer of the portfolio</xs:documentation>
                              <xs:documentation xml:lang="de">00016 - Rechtlich Entity Kennung, LEI von manufacturer von Portfolio</xs:documentation>
                              <xs:documentation xml:lang="fr">00016 - Juridique Entity Identifiant, LEI de manufacturer de portefeuille</xs:documentation>
                              <xs:documentation xml:lang="nl">00016 - Juridisch Entity Identificatie, LEI van manufacturer van portefeuille</xs:documentation>
                              <xs:documentation xml:lang="es">00016 - Juridico Entity Identificatie, LEI de manufacturer de cartera</xs:documentation>
                              <xs:documentation xml:lang="it">00016 - Identificativo della persona giuridica, LEI del produttore del portafoglio</xs:documentation>
                              <xs:documentation xml:lang="cs">00016 - Legal Entity Identifier, LEI of the manufacturer of the portfolio</xs:documentation>
                              <xs:documentation xml:lang="hu">00016 - Legal Jogalany Azonosito, LEI of the Gyarto of the portfolio</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="PortfolioManufacturerEmail">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">00017 - Contact entry point for communication with the manufacturer to either provide feed back reporting or to retrieve details on how to provide feed back reporting.</xs:documentation>
                              <xs:documentation xml:lang="de">00017 - Contact entry point für communication mit manufacturer zu either provide feed back Berichterstattung oder zu retrieve details on wie zu provide feed back Berichterstattung.</xs:documentation>
                              <xs:documentation xml:lang="fr">00017 - Contact entry point pour communication avec manufacturer à either provide feed back reporting ou à retrieve details on comment à provide feed back reporting.</xs:documentation>
                              <xs:documentation xml:lang="nl">00017 - Contact entry point voor communication met manufacturer naar either provide feed back rapportage van naar retrieve details on hoe naar provide feed back rapportage.</xs:documentation>
                              <xs:documentation xml:lang="es">00017 - Contact entry point para communication con manufacturer hacia either provide feed back informe de hacia retrieve details on hoe hacia provide feed back informe.</xs:documentation>
                              <xs:documentation xml:lang="it">00017 - Punto di contatto per la comunicazione con il produttore per fornire rapporti di feedback o per recuperare dettagli su come fornire rapporti di feedback.</xs:documentation>
                              <xs:documentation xml:lang="cs">00017 - Contact entry point for communication with the manufacturer to either provide feed back reporting or to retrieve details on how to provide feed back reporting.</xs:documentation>
                              <xs:documentation xml:lang="hu">00017 - Contact entry point for communication with the Gyarto to either provide feed back Jelentestetel or to retrieve details on how to provide feed back Jelentestetel.</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="255"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="Portfolio_Guarantor_Name">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00020 - Name of Guarantor of the financial instrument ... i.e. the entity to which the end investor has counterparty risk</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00020 - Name von Guarantor von financial instrument ... i.e. entity zu welche end Anleger hat Gegenpartei Risiko</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00020 - Nom de Guarantor de financial instrument ... i.e. entity à qui end investisseur un contrepartie risque</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00020 - Naam van Guarantor van financial instrument ... i.e. entity naar welke end belegger heeft tegenpartij risico</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00020 - Nombre de Guarantor de financial instrument ... i.e. entity hacia cual end inversor tiene contraparte riesgo</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00020 - Nome del Garante dello strumento finanziario…ovvero l'entità verso la quale l'investitore finale ha il rischio di controparte</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00020 - Name of Guarantor of the financial instrument ... i.e. the entity to which the end investor has counterparty risk</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00020 - Nev of Guarantor of the financial instrument ... i.e. the Jogalany to which the end Befekteto has Partner Kockazat</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="255"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element name="PortfolioID" type="PRIIPS_SecurityCodificationType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00030 / CEPT PRICES 10020 / C - Use ISIN, CUSIP, BLOOMBERG etc.  or internal code. See CodificationSystem.
ISIN Preferred when available.</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00030 / CEPT PRICES 10020 / C - Verwenden Sie ISIN, CUSIP, BLOOMBERG etc. oder internen Code. Siehe CodificationSystem.
ISIN bevorzugt, wenn verfügbar.</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00030 / CEPT PRICES 10020 / C - Utilisez ISIN, CUSIP, BLOOMBERG etc. ou interne code. Voir CodificationSystem.
ISIN Préféré si disponible.</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00030 / CEPT PRICES 10020 / C - Gebruik ISIN, CUSIP, BLOOMBERG etc. van intern code. Zie CodificationSystem.
ISIN Voorkeur indien beschikbaar.</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00030 / CEPT PRICES 10020 / C - Gebruik ISIN, CUSIP, BLOOMBERG etc. van intern code. Zie CodificationSystem.
ISIN Voorkeur indien beschikbaar.</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00030 / CEPT PREZZI 10020/C - Utilizzare ISIN, CUSIP, BLOOMBERG ecc. o codice interno. Vedi Sistema di codifica.
ISIN preferibile quando disponibile.</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00030 / CEPT PRICES 10020 / C - Use ISIN, CUSIP, BLOOMBERG etc.  or internal code. See CodificationSystem.
ISIN Preferred when available.</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00030 / CEPT PRICES 10020 / C - Use ISIN, CUSIP, BLOOMBERG etc.  or internal Kod. See CodificationSystem.
ISIN Preferred when available.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="PortfolioName" type="Text256Type">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00050 Name of the Portfolio or name of the CIS</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00050 Name des Portfolios oder Name des Organismus für gemeinsame Anlagen</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00050 Nom de Portefeuille ou nom de CIS</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00050 Naam van Portefeuille van naam van CIS</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00050 Nombre de Cartera de nombre de CIS</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00050 Nome del Portafoglio o nome dell'OIC</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00050 Name of the Portfolio or name of the CIS</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00050 Nev of the Portfolio or Nev of the CIS</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="PortfolioCurrency" type="ISOCurrencyCodeType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00060 - Denomination currency of the portfolio</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00060 - Nennwährung des Portfolios</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00060 - Denomination devise de portefeuille</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00060 - Denomination valuta van portefeuille</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00060 - Denomination valuta de cartera</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00060 - Valuta di denominazione del portafoglio</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00060 - Denomination currency of the portfolio</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00060 - Denomination Penznem of the portfolio</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="GeneralReferenceDate" type="xs:date">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00070- Date to which the general data within the EPT refer</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00070- Datum zu welche allgemein Daten within EPT refer</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00070- Date à qui général données within EPT refer</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00070- Datum naar welke algemeen gegevens within EPT refer</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00070- Fecha hacia cual algemeen datos within EPT refer</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00070- Data a cui si riferiscono i dati generali all'interno dell'EPT</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00070- Date to which the general data within the EPT refer</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00070- Datum to which the general Adat within the EPT refer</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="PortfolioPRIIPSCategory">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00080 PRIIPS Category of the Portfolio (1 to 4)</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00080 PRIIPS Kategorie von Portfolio (1 zu 4)</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00080 PRIIPS Catégorie de Portefeuille (1 à 4)</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00080 PRIIPS Categorie van Portefeuille (1 naar 4)</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00080 PRIIPS Categoria de Cartera (1 hacia 4)</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00080 PRIIPS Categoria del Portafoglio (da 1 a 4)</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00080 PRIIPS Category of the Portfolio (1 to 4)</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00080 PRIIPs Category of the Portfolio (1 to 4)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:short">
                                 <xs:enumeration value="1"/>
                                 <xs:enumeration value="2"/>
                                 <xs:enumeration value="3"/>
                                 <xs:enumeration value="4"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="FundCICCode">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">EPT 00090 - CIC code - Fund   (4 digits)</xs:documentation>
                              <xs:documentation xml:lang="de">EPT 00090 - CIC Code - Fonds (4 digits)</xs:documentation>
                              <xs:documentation xml:lang="fr">EPT 00090 - CIC code - Fonds (4 digits)</xs:documentation>
                              <xs:documentation xml:lang="nl">EPT 00090 - CIC code - Fonds (4 digits)</xs:documentation>
                              <xs:documentation xml:lang="es">EPT 00090 - CIC code - Fondo (4 digits)</xs:documentation>
                              <xs:documentation xml:lang="it">EPT 00090 - Codice CIC - Fondo (4 cifre)</xs:documentation>
                              <xs:documentation xml:lang="cs">EPT 00090 - CIC code - Fund   (4 digits)</xs:documentation>
                              <xs:documentation xml:lang="hu">EPT 00090 - CIC Kod - Alap   (4 digits)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:length value="4"/>
                                 <xs:pattern value="[A-Z]{2}[0-9]{2}"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element name="IsAnAutocallableProduct" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">00110 - indication of whether the product is an autocallable</xs:documentation>
                              <xs:documentation xml:lang="de">00110 - Angabe, ob das Produkt ein Autocallable ist</xs:documentation>
                              <xs:documentation xml:lang="fr">00110 - indication si le produit est un autocallable</xs:documentation>
                              <xs:documentation xml:lang="nl">00110 - indicatie of het product een autocallable is</xs:documentation>
                              <xs:documentation xml:lang="es">00110 - indication de si product es un autocallable</xs:documentation>
                              <xs:documentation xml:lang="it">00110 - indicazione se il prodotto è un autocallable</xs:documentation>
                              <xs:documentation xml:lang="cs">00110 - indication of whether the product is an autocallable</xs:documentation>
                              <xs:documentation xml:lang="hu">00110 - indication of whether the product is an autocallable</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="ReferenceLanguage" type="xs:date">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">00120 - Language in which the linked website with past performance, the historical performance (02190_Past_Performance_Link and 02200_Previous_Performance_Scenarios_Calculation_Link) and all narratives/texts of this set of data are written</xs:documentation>
                              <xs:documentation xml:lang="de">00120 - Sprache, in der die verlinkte Website mit vergangener Performance, historischer Performance (02190_Past_Performance_Link und 02200_Previous_Performance_Scenarios_Calculation_Link) und alle Texte dieses Datensatzes geschrieben sind</xs:documentation>
                              <xs:documentation xml:lang="fr">00120 - Language dans qui linked website avec past performance, historical performance (02190_Past_Performance_Link et 02200_Previous_Performance_Scenarios_Calculation_Link) et tous narratives/texts de ce set de données sont written</xs:documentation>
                              <xs:documentation xml:lang="nl">00120 - Language in welke linked website met past prestatie, historical prestatie (02190_Past_Performance_Link en 02200_Previous_Performance_Scenarios_Calculation_Link) en alle narratives/texts van dit set van gegevens zijn written</xs:documentation>
                              <xs:documentation xml:lang="es">00120 - Language in cual linked website con past rendimiento, historical rendimiento (02190_Past_Performance_Link y 02200_Previous_Performance_Scenarios_Calculation_Link) y alle narratives/texts de este set de datos son written</xs:documentation>
                              <xs:documentation xml:lang="it">00120 - Lingua in cui sono scritti il ​​sito web collegato con le prestazioni passate, le prestazioni storiche (02190_Past_Performance_Link e 02200_Previous_Performance_Scenarios_Calculation_Link) e tutte le narrazioni/testi di questo insieme di dati</xs:documentation>
                              <xs:documentation xml:lang="cs">00120 - Language in which the linked website with past performance, the historical performance (02190_Past_Performance_Link and 02200_Previous_Performance_Scenarios_Calculation_Link) and all narratives/texts of this set of data are written</xs:documentation>
                              <xs:documentation xml:lang="hu">00120 - Language in which the linked website with past performance, the historical performance (02190_Past_Performance_Link and 02200_Previous_Performance_Scenarios_Calculation_Link) and all narratives/texts of this set of Adat are written</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                     </xs:sequence>
                  </xs:complexType>
               </xs:element>
               <xs:element name="RiskAssessment">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">01</xs:documentation>
                     <xs:documentation xml:lang="de">01</xs:documentation>
                     <xs:documentation xml:lang="fr">01</xs:documentation>
                     <xs:documentation xml:lang="nl">01</xs:documentation>
                     <xs:documentation xml:lang="es">01</xs:documentation>
                     <xs:documentation xml:lang="it">01</xs:documentation>
                     <xs:documentation xml:lang="cs">01</xs:documentation>
                     <xs:documentation xml:lang="hu">01</xs:documentation>
                  </xs:annotation>
                  <xs:complexType>
                     <xs:sequence>
                        <xs:element name="ValuationFrequency" type="PRIIPSFrequencyType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01010-Number of valuation days per year for the portfolio or fund or share class.</xs:documentation>
                              <xs:documentation xml:lang="de">01010-Nummer von Bewertung days per year für Portfolio oder Fonds oder Anteilsklasse.</xs:documentation>
                              <xs:documentation xml:lang="fr">01010-Numéro de évaluation days per year pour portefeuille ou fonds ou classe d'actions.</xs:documentation>
                              <xs:documentation xml:lang="nl">01010-Nummer van waardering days per year voor portefeuille van fonds van aandelenklasse.</xs:documentation>
                              <xs:documentation xml:lang="es">01010-Numero de valoracion days per year para cartera de fondo de clase de acciones.</xs:documentation>
                              <xs:documentation xml:lang="it">01010-Numero di giorni di valutazione all'anno per il portafoglio o fondo o classe di azioni.</xs:documentation>
                              <xs:documentation xml:lang="cs">01010-Number of valuation days per year for the portfolio or fund or share class.</xs:documentation>
                              <xs:documentation xml:lang="hu">01010-Szam of valuation days per Ev for the portfolio or Alap or Sorozat.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="VEV_Reference" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01020-VEV of the Portfolio/Share Class. Mandatory for cat 2 and 3 / Optional for cat 1 and 4</xs:documentation>
                              <xs:documentation xml:lang="de">01020-VEV von Portfolio/Anteil Class. Pflicht für cat 2 und 3 / Optional für cat 1 und 4</xs:documentation>
                              <xs:documentation xml:lang="fr">01020-VEV de Portefeuille/Action Class. Obligatoire pour cat 2 et 3 / Optionnel pour cat 1 et 4</xs:documentation>
                              <xs:documentation xml:lang="nl">01020-VEV van Portefeuille/Aandeel Class. Verplicht voor cat 2 en 3 / Optioneel voor cat 1 en 4</xs:documentation>
                              <xs:documentation xml:lang="es">01020-VEV de Cartera/Accion Class. Obligatorio para cat 2 y 3 / Opcional para cat 1 y 4</xs:documentation>
                              <xs:documentation xml:lang="it">01020-VEV del Portafoglio/Classe di Azioni. Obbligatorio per cat 2 e 3 / Facoltativo per cat 1 e 4</xs:documentation>
                              <xs:documentation xml:lang="cs">01020-VEV of the Portfolio/Share Class. Mandatory for cat 2 and 3 / Optional for cat 1 and 4</xs:documentation>
                              <xs:documentation xml:lang="hu">01020-VEV of the Portfolio/Sorozat. Mandatory for cat 2 and 3 / Optional for cat 1 and 4</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="IS_Flexible" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01030-Indicator to alert if the fund is flexible. If the annex 2 section 14 of the regulation applies</xs:documentation>
                              <xs:documentation xml:lang="de">01030-Indikator zu alert wenn Fonds ist flexible. If Anhang 2 Abschnitt 14 von regulation applies</xs:documentation>
                              <xs:documentation xml:lang="fr">01030-Indicateur à alert si fonds est flexible. If annexe 2 section 14 de regulation applies</xs:documentation>
                              <xs:documentation xml:lang="nl">01030-Indicator naar alert als fonds is flexible. If bijlage 2 sectie 14 van regulation applies</xs:documentation>
                              <xs:documentation xml:lang="es">01030-Indicador hacia alert si fondo es flexible. If anexo 2 seccion 14 de regulation applies</xs:documentation>
                              <xs:documentation xml:lang="it">01030-Indicatore per avvisare se il fondo è flessibile. Se si applica l'allegato 2, punto 14 del regolamento</xs:documentation>
                              <xs:documentation xml:lang="cs">01030-Indicator to alert if the fund is flexible. If the annex 2 section 14 of the regulation applies</xs:documentation>
                              <xs:documentation xml:lang="hu">01030-Indicator to alert if the Alap is flexible. If the annex 2 Szakasz 14 of the Szabalyozas applies</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="Flex_VEV_Historical" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01040-Var Equivalent Volatility of the portfolio. Mandatory if IS-Flexible is set to Yes</xs:documentation>
                              <xs:documentation xml:lang="de">01040-VaR-äquivalente Volatilität des Portfolios. Pflicht wenn IS-Flexible auf Ja gesetzt ist</xs:documentation>
                              <xs:documentation xml:lang="fr">01040-Var Equivalent Volatilité de portefeuille. Obligatoire si IS-Flexible est set à Yes</xs:documentation>
                              <xs:documentation xml:lang="nl">01040-Var Equivalent Volatiliteit van portefeuille. Verplicht als IS-Flexible is set naar Yes</xs:documentation>
                              <xs:documentation xml:lang="es">01040-Var Equivalent Volatilidad de cartera. Obligatorio si IS-Flexible es set hacia Yes</xs:documentation>
                              <xs:documentation xml:lang="it">01040-Var Volatilità Equivalente del portafoglio. Obbligatorio se IS-Flexible è impostato su Sì</xs:documentation>
                              <xs:documentation xml:lang="cs">01040-Var Equivalent Volatility of the portfolio. Mandatory if IS-Flexible is set to Yes</xs:documentation>
                              <xs:documentation xml:lang="hu">01040-Var Equivalent Volatility of the portfolio. Mandatory if IS-Flexible is set to Yes</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0"
                                    name="Flex_VEV_Ref_Asset_Allocation"
                                    type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01050-Var Equivalent of the reference asset allocation of the portfolio. Mandatory if IS-Flexible is set to Yes</xs:documentation>
                              <xs:documentation xml:lang="de">01050-VaR-Äquivalent der Referenz-Vermögensallokation des Portfolios. Pflicht wenn IS-Flexible auf Ja gesetzt ist</xs:documentation>
                              <xs:documentation xml:lang="fr">01050-Var Equivalent de référence actif allocation de portefeuille. Obligatoire si IS-Flexible est set à Yes</xs:documentation>
                              <xs:documentation xml:lang="nl">01050-Var Equivalent van referentie actief allocatie van portefeuille. Verplicht als IS-Flexible is set naar Yes</xs:documentation>
                              <xs:documentation xml:lang="es">01050-Var Equivalent de referencia activo asignacion de cartera. Obligatorio si IS-Flexible es set hacia Yes</xs:documentation>
                              <xs:documentation xml:lang="it">01050-Var Equivalente dell'asset allocation di riferimento del portafoglio. Obbligatorio se IS-Flexible è impostato su Sì</xs:documentation>
                              <xs:documentation xml:lang="cs">01050-Var Equivalent of the reference asset allocation of the portfolio. Mandatory if IS-Flexible is set to Yes</xs:documentation>
                              <xs:documentation xml:lang="hu">01050-Var Equivalent of the reference Eszkoz allocation of the portfolio. Mandatory if IS-Flexible is set to Yes</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="IS_Risk_Limit_Relevant" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01060-Indicator to alert if there is a relevant risk limit for flexible funds</xs:documentation>
                              <xs:documentation xml:lang="de">01060-Indikator zu alert wenn there ist ein relevant Risiko limit für flexible funds</xs:documentation>
                              <xs:documentation xml:lang="fr">01060-Indicateur à alert si there est un relevant risque limit pour flexible funds</xs:documentation>
                              <xs:documentation xml:lang="nl">01060-Indicator naar alert als there is een relevant risico limit voor flexible funds</xs:documentation>
                              <xs:documentation xml:lang="es">01060-Indicador hacia alert si there es un relevant riesgo limit para flexible funds</xs:documentation>
                              <xs:documentation xml:lang="it">01060-Indicatore per avvisare se esiste un limite di rischio rilevante per i fondi flessibili</xs:documentation>
                              <xs:documentation xml:lang="cs">01060-Indicator to alert if there is a relevant risk limit for flexible funds</xs:documentation>
                              <xs:documentation xml:lang="hu">01060-Indicator to alert if there is a relevant Kockazat limit for flexible funds</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="Flex_VEV_Risk_Limit" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01070-Var Equivalent volatility of the risk limit of the portfolio</xs:documentation>
                              <xs:documentation xml:lang="de">01070-Var Equivalent Volatilität von Risiko limit von Portfolio</xs:documentation>
                              <xs:documentation xml:lang="fr">01070-Var Equivalent volatilité de risque limit de portefeuille</xs:documentation>
                              <xs:documentation xml:lang="nl">01070-Var Equivalent volatiliteit van risico limit van portefeuille</xs:documentation>
                              <xs:documentation xml:lang="es">01070-Var Equivalent volatilidad de riesgo limit de cartera</xs:documentation>
                              <xs:documentation xml:lang="it">01070-Var Volatilità equivalente del limite di rischio del portafoglio</xs:documentation>
                              <xs:documentation xml:lang="cs">01070-Var Equivalent volatility of the risk limit of the portfolio</xs:documentation>
                              <xs:documentation xml:lang="hu">01070-Var Equivalent volatility of the Kockazat limit of the portfolio</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="Existing_Credit_Risk" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01080-Indicator to alert if there is a credit risk</xs:documentation>
                              <xs:documentation xml:lang="de">01080-Indikator zu alert wenn there ist ein Kredit Risiko</xs:documentation>
                              <xs:documentation xml:lang="fr">01080-Indicateur à alert si there est un crédit risque</xs:documentation>
                              <xs:documentation xml:lang="nl">01080-Indicator naar alert als there is een krediet risico</xs:documentation>
                              <xs:documentation xml:lang="es">01080-Indicador hacia alert si there es un credito riesgo</xs:documentation>
                              <xs:documentation xml:lang="it">01080-Indicatore per avvisare se esiste un rischio di credito</xs:documentation>
                              <xs:documentation xml:lang="cs">01080-Indicator to alert if there is a credit risk</xs:documentation>
                              <xs:documentation xml:lang="hu">01080-Indicator to alert if there is a credit Kockazat</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="SRI">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01090-Summary Indicator Risk of the fund or the portfolio (1 to 7)</xs:documentation>
                              <xs:documentation xml:lang="de">01090-Summary Indikator Risiko von Fonds oder Portfolio (1 zu 7)</xs:documentation>
                              <xs:documentation xml:lang="fr">01090-Summary Indicateur Risque de fonds ou portefeuille (1 à 7)</xs:documentation>
                              <xs:documentation xml:lang="nl">01090-Summary Indicator Risico van fonds van portefeuille (1 naar 7)</xs:documentation>
                              <xs:documentation xml:lang="es">01090-Summary Indicador Riesgo de fondo de cartera (1 hacia 7)</xs:documentation>
                              <xs:documentation xml:lang="it">01090-Indicatore sintetico Rischio del fondo o del portafoglio (da 1 a 7)</xs:documentation>
                              <xs:documentation xml:lang="cs">01090-Summary Indicator Risk of the fund or the portfolio (1 to 7)</xs:documentation>
                              <xs:documentation xml:lang="hu">01090-Summary Indicator Kockazat of the Alap or the portfolio (1 to 7)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:short">
                                 <xs:enumeration value="1"/>
                                 <xs:enumeration value="2"/>
                                 <xs:enumeration value="3"/>
                                 <xs:enumeration value="4"/>
                                 <xs:enumeration value="5"/>
                                 <xs:enumeration value="6"/>
                                 <xs:enumeration value="7"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element name="IsSRIAdjusted" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">010095 - whether or not the manufacturer increased the SRI</xs:documentation>
                              <xs:documentation xml:lang="de">010095 - ob der Hersteller den SRI erhöht hat oder nicht</xs:documentation>
                              <xs:documentation xml:lang="fr">010095 - si le fabricant a augmenté ou non le SRI</xs:documentation>
                              <xs:documentation xml:lang="nl">010095 - of de fabrikant de SRI al dan niet heeft verhoogd</xs:documentation>
                              <xs:documentation xml:lang="es">010095 - si de no manufacturer increased SRI</xs:documentation>
                              <xs:documentation xml:lang="it">010095 - se il produttore ha aumentato o meno l'SRI</xs:documentation>
                              <xs:documentation xml:lang="cs">010095 - whether or not the manufacturer increased the SRI</xs:documentation>
                              <xs:documentation xml:lang="hu">010095 - whether or not the Gyarto increased the SRI</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="MRM">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01100-Market Risk Measure of the fund or portfolio (1 to 7)</xs:documentation>
                              <xs:documentation xml:lang="de">01100-Markt Risiko Measure von Fonds oder Portfolio (1 zu 7)</xs:documentation>
                              <xs:documentation xml:lang="fr">01100-Marché Risque Measure de fonds ou portefeuille (1 à 7)</xs:documentation>
                              <xs:documentation xml:lang="nl">01100-Markt Risico Measure van fonds van portefeuille (1 naar 7)</xs:documentation>
                              <xs:documentation xml:lang="es">01100-Mercado Riesgo Measure de fondo de cartera (1 hacia 7)</xs:documentation>
                              <xs:documentation xml:lang="it">01100-Misura del rischio di mercato del fondo o del portafoglio (da 1 a 7)</xs:documentation>
                              <xs:documentation xml:lang="cs">01100-Market Risk Measure of the fund or portfolio (1 to 7)</xs:documentation>
                              <xs:documentation xml:lang="hu">01100-Market Kockazat Measure of the Alap or portfolio (1 to 7)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:short">
                                 <xs:enumeration value="1"/>
                                 <xs:enumeration value="2"/>
                                 <xs:enumeration value="3"/>
                                 <xs:enumeration value="4"/>
                                 <xs:enumeration value="5"/>
                                 <xs:enumeration value="6"/>
                                 <xs:enumeration value="7"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="CRM">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01110-Credit Risk measure of the fund or the portfolio (1 to 6)</xs:documentation>
                              <xs:documentation xml:lang="de">01110-Kredit Risiko measure von Fonds oder Portfolio (1 zu 6)</xs:documentation>
                              <xs:documentation xml:lang="fr">01110-Crédit Risque measure de fonds ou portefeuille (1 à 6)</xs:documentation>
                              <xs:documentation xml:lang="nl">01110-Krediet Risico measure van fonds van portefeuille (1 naar 6)</xs:documentation>
                              <xs:documentation xml:lang="es">01110-Credito Riesgo measure de fondo de cartera (1 hacia 6)</xs:documentation>
                              <xs:documentation xml:lang="it">01110-Misura del rischio di credito del fondo o del portafoglio (da 1 a 6)</xs:documentation>
                              <xs:documentation xml:lang="cs">01110-Credit Risk measure of the fund or the portfolio (1 to 6)</xs:documentation>
                              <xs:documentation xml:lang="hu">01110-Credit Kockazat measure of the Alap or the portfolio (1 to 6)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:short">
                                 <xs:enumeration value="1"/>
                                 <xs:enumeration value="2"/>
                                 <xs:enumeration value="3"/>
                                 <xs:enumeration value="4"/>
                                 <xs:enumeration value="5"/>
                                 <xs:enumeration value="6"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element name="Recommended_Holding_Period" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01120-Recommended holding period of the fund (in years (not an integer))</xs:documentation>
                              <xs:documentation xml:lang="de">01120-Recommended Bestand period von Fonds (in years (nicht ein integer))</xs:documentation>
                              <xs:documentation xml:lang="fr">01120-Recommended détention period de fonds (dans years (pas un integer))</xs:documentation>
                              <xs:documentation xml:lang="nl">01120-Recommended bezit period van fonds (in years (niet een integer))</xs:documentation>
                              <xs:documentation xml:lang="es">01120-Recommended tenencia period de fondo (in years (no un integer))</xs:documentation>
                              <xs:documentation xml:lang="it">01120-Periodo di detenzione raccomandato del fondo (in anni (non un numero intero))</xs:documentation>
                              <xs:documentation xml:lang="cs">01120-Recommended holding period of the fund (in years (not an integer))</xs:documentation>
                              <xs:documentation xml:lang="hu">01120-Ajanlott tartasi idoszak of the Alap (in years (not an integer))</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="HasAContractualMaturityDate" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01125 - Indicates the existence of a contractual maturiy date of the portfolio</xs:documentation>
                              <xs:documentation xml:lang="de">01125 - Zeigt die Existenz eines vertraglichen Fälligkeitsdatums des Portfolios an</xs:documentation>
                              <xs:documentation xml:lang="fr">01125 - Indicates existence de un contractual maturiy date de portefeuille</xs:documentation>
                              <xs:documentation xml:lang="nl">01125 - Indicates existence van een contractual maturiy datum van portefeuille</xs:documentation>
                              <xs:documentation xml:lang="es">01125 - Indica existence de un contractual maturiy fecha de cartera</xs:documentation>
                              <xs:documentation xml:lang="it">01125 - Indica l'esistenza di una data di scadenza contrattuale del portafoglio</xs:documentation>
                              <xs:documentation xml:lang="cs">01125 - Indicates the existence of a contractual maturiy date of the portfolio</xs:documentation>
                              <xs:documentation xml:lang="hu">01125 - Indicates the existence of a contractual maturiy Datum of the portfolio</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="MaturityDate" type="xs:date">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01130 - Required only for fixed maturity financial instruments in ordrer to calculate the remaining time to maturity as a RHP.</xs:documentation>
                              <xs:documentation xml:lang="de">01130 - Erforderlich only für fixed maturity financial instruments in ordrer zu calculate remaining time zu maturity als ein RHP.</xs:documentation>
                              <xs:documentation xml:lang="fr">01130 - Requis only pour fixed maturity financial instruments dans ordrer à calculate remaining time à maturity comme un RHP.</xs:documentation>
                              <xs:documentation xml:lang="nl">01130 - Vereist only voor fixed maturity financial instruments in ordrer naar calculate remaining time naar maturity als een RHP.</xs:documentation>
                              <xs:documentation xml:lang="es">01130 - Requerido only para fixed maturity financial instruments in ordrer hacia calculate remaining time hacia maturity si un RHP.</xs:documentation>
                              <xs:documentation xml:lang="it">01130 - Obbligatorio solo per gli strumenti finanziari a scadenza fissa al fine di calcolare il tempo rimanente alla scadenza come RHP.</xs:documentation>
                              <xs:documentation xml:lang="cs">01130 - Required only for fixed maturity financial instruments in ordrer to calculate the remaining time to maturity as a RHP.</xs:documentation>
                              <xs:documentation xml:lang="hu">01130 - Required only for fixed Lejarat financial instruments in ordrer to calculate the remaining time to Lejarat as a RHP.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="Liquidity_Risk">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">01140 - Risk of Liquidity at the level of the fund or the portfolio
M = material liquidity risk, I = illiquid, L = no liquidity issue.</xs:documentation>
                              <xs:documentation xml:lang="de">01140 - Liquiditätsrisiko auf Ebene des Fonds oder Portfolios
M = material Liquidität Risiko, I = illiquid, L = kein Liquidität issue.</xs:documentation>
                              <xs:documentation xml:lang="fr">01140 - Risque de Liquidité at level de fonds ou portefeuille
M = material liquidité risque, I = illiquid, L = aucun liquidité issue.</xs:documentation>
                              <xs:documentation xml:lang="nl">01140 - Risico van Liquiditeit at level van fonds van portefeuille
M = material liquiditeit risico, I = illiquid, L = geen liquiditeit issue.</xs:documentation>
                              <xs:documentation xml:lang="es">01140 - Risico van Liquiditeit at level van fonds van portefeuille
M = material liquiditeit riesgo, I = illiquid, L = geen liquiditeit issue.</xs:documentation>
                              <xs:documentation xml:lang="it">01140 - Rischio di liquidità a livello di fondo o di portafoglio
M = rischio di liquidità sostanziale, I = illiquido, L = nessun problema di liquidità.</xs:documentation>
                              <xs:documentation xml:lang="cs">01140 - Risk of Liquidity at the level of the fund or the portfolio
M = material liquidity risk, I = illiquid, L = no liquidity issue.</xs:documentation>
                              <xs:documentation xml:lang="hu">01140 - Kockazat of Liquidity at the level of the Alap or the portfolio
M = material liquidity Kockazat, I = illiquid, L = no liquidity issue.</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:enumeration value="M"/>
                                 <xs:enumeration value="I"/>
                                 <xs:enumeration value="L"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                     </xs:sequence>
                  </xs:complexType>
               </xs:element>
               <xs:element name="PerformanceScenario">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">02</xs:documentation>
                     <xs:documentation xml:lang="de">02</xs:documentation>
                     <xs:documentation xml:lang="fr">02</xs:documentation>
                     <xs:documentation xml:lang="nl">02</xs:documentation>
                     <xs:documentation xml:lang="es">02</xs:documentation>
                     <xs:documentation xml:lang="it">02</xs:documentation>
                     <xs:documentation xml:lang="cs">02</xs:documentation>
                     <xs:documentation xml:lang="hu">02</xs:documentation>
                  </xs:annotation>
                  <xs:complexType>
                     <xs:sequence>
                        <xs:element name="ReturnUnfavorable" type="PRIIPS_V2_ReturnScenarioType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02010-02020-02030 Annual return  of the portfolio, fund, share class corresponding to the unfavorable scenario.</xs:documentation>
                              <xs:documentation xml:lang="de">02010-02020-02030 Jährlich Rendite von Portfolio, Fonds, Anteilsklasse corresponding zu unfavorable scenario.</xs:documentation>
                              <xs:documentation xml:lang="fr">02010-02020-02030 Annuel rendement de portefeuille, fonds, classe d'actions corresponding à unfavorable scenario.</xs:documentation>
                              <xs:documentation xml:lang="nl">02010-02020-02030 Jaarlijks rendement van portefeuille, fonds, aandelenklasse corresponding naar unfavorable scenario.</xs:documentation>
                              <xs:documentation xml:lang="es">02010-02020-02030 Anual rendimiento de cartera, fondo, clase de acciones correspondiente hacia unfavorable scenario.</xs:documentation>
                              <xs:documentation xml:lang="it">02010-02020-02030 Rendimento annuo del portafoglio, fondo, classe di azioni corrispondente allo scenario sfavorevole.</xs:documentation>
                              <xs:documentation xml:lang="cs">02010-02020-02030 Annual return  of the portfolio, fund, share class corresponding to the unfavorable scenario.</xs:documentation>
                              <xs:documentation xml:lang="hu">02010-02020-02030 Eves Hozam  of the portfolio, Alap, Sorozat corresponding to the unfavorable Forgatokonyv.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="ReturnModerate" type="PRIIPS_V2_ReturnScenarioType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02040-02050-02060 Return of the portfolio, fund, share class corresponding to the moderate scenario</xs:documentation>
                              <xs:documentation xml:lang="de">02040-02050-02060 Rendite von Portfolio, Fonds, Anteilsklasse corresponding zu moderate scenario</xs:documentation>
                              <xs:documentation xml:lang="fr">02040-02050-02060 Rendement de portefeuille, fonds, classe d'actions corresponding à moderate scenario</xs:documentation>
                              <xs:documentation xml:lang="nl">02040-02050-02060 Rendement van portefeuille, fonds, aandelenklasse corresponding naar moderate scenario</xs:documentation>
                              <xs:documentation xml:lang="es">02040-02050-02060 Rendimiento de cartera, fondo, clase de acciones correspondiente hacia moderate scenario</xs:documentation>
                              <xs:documentation xml:lang="it">02040-02050-02060 Rendimento del portafoglio, fondo, classe di azioni corrispondente allo scenario moderato</xs:documentation>
                              <xs:documentation xml:lang="cs">02040-02050-02060 Return of the portfolio, fund, share class corresponding to the moderate scenario</xs:documentation>
                              <xs:documentation xml:lang="hu">02040-02050-02060 Hozam of the portfolio, Alap, Sorozat corresponding to the Mersekelt Forgatokonyv</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="ReturnFavorable" type="PRIIPS_V2_ReturnScenarioType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02070-02080-02090 Annual return  of the portfolio, fund, share class corresponding to the favorable scenario</xs:documentation>
                              <xs:documentation xml:lang="de">02070-02080-02090 Jährlich Rendite von Portfolio, Fonds, Anteilsklasse corresponding zu favorable scenario</xs:documentation>
                              <xs:documentation xml:lang="fr">02070-02080-02090 Annuel rendement de portefeuille, fonds, classe d'actions corresponding à favorable scenario</xs:documentation>
                              <xs:documentation xml:lang="nl">02070-02080-02090 Jaarlijks rendement van portefeuille, fonds, aandelenklasse corresponding naar favorable scenario</xs:documentation>
                              <xs:documentation xml:lang="es">02070-02080-02090 Anual rendimiento de cartera, fondo, clase de acciones correspondiente hacia favorable scenario</xs:documentation>
                              <xs:documentation xml:lang="it">02070-02080-02090 Rendimento annuo del portafoglio, fondo, classe di azioni corrispondente allo scenario favorevole</xs:documentation>
                              <xs:documentation xml:lang="cs">02070-02080-02090 Annual return  of the portfolio, fund, share class corresponding to the favorable scenario</xs:documentation>
                              <xs:documentation xml:lang="hu">02070-02080-02090 Eves Hozam  of the portfolio, Alap, Sorozat corresponding to the favorable Forgatokonyv</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="ReturnStress" type="PRIIPS_V2_ReturnScenarioType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02100-02110-02120 Annual return  of the portfolio, fund, share class corresponding to the stress scenario</xs:documentation>
                              <xs:documentation xml:lang="de">02100-02110-02120 Jährlich Rendite von Portfolio, Fonds, Anteilsklasse corresponding zu stress scenario</xs:documentation>
                              <xs:documentation xml:lang="fr">02100-02110-02120 Annuel rendement de portefeuille, fonds, classe d'actions corresponding à stress scenario</xs:documentation>
                              <xs:documentation xml:lang="nl">02100-02110-02120 Jaarlijks rendement van portefeuille, fonds, aandelenklasse corresponding naar stress scenario</xs:documentation>
                              <xs:documentation xml:lang="es">02100-02110-02120 Anual rendimiento de cartera, fondo, clase de acciones correspondiente hacia stress scenario</xs:documentation>
                              <xs:documentation xml:lang="it">02100-02110-02120 Rendimento annuo del portafoglio, fondo, classe di azioni corrispondente allo scenario di stress</xs:documentation>
                              <xs:documentation xml:lang="cs">02100-02110-02120 Annual return  of the portfolio, fund, share class corresponding to the stress scenario</xs:documentation>
                              <xs:documentation xml:lang="hu">02100-02110-02120 Eves Hozam  of the portfolio, Alap, Sorozat corresponding to the Stressz Forgatokonyv</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="NumberOfObservedReturn_M0" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02130-See PRIIPS regulation. 
Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="de">02130-Siehe PRIIPS regulation. 
Pflicht für PRIIPS cat equals zu 2</xs:documentation>
                              <xs:documentation xml:lang="fr">02130-Voir PRIIPS regulation. 
Obligatoire pour PRIIPS cat equals à 2</xs:documentation>
                              <xs:documentation xml:lang="nl">02130-Zie PRIIPS regulation. 
Verplicht voor PRIIPS cat equals naar 2</xs:documentation>
                              <xs:documentation xml:lang="es">02130-Zie PRIIPS regulation. 
Verplicht voor PRIIPS cat equals naar 2</xs:documentation>
                              <xs:documentation xml:lang="it">02130-Vedi regolamento PRIIPS. 
Obbligatorio per PRIIPS cat pari a 2</xs:documentation>
                              <xs:documentation xml:lang="cs">02130-See PRIIPS regulation. 
Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="hu">02130-See PRIIPs Szabalyozas. 
Mandatory for PRIIPs cat equals to 2</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="MeanObservedReturns_M1" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02140-See PRIIPS Regulation.
M1. Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="de">02140-Siehe PRIIPS Regulation.
M1. Pflicht für PRIIPS cat equals zu 2</xs:documentation>
                              <xs:documentation xml:lang="fr">02140-Voir PRIIPS Regulation.
M1. Obligatoire pour PRIIPS cat equals à 2</xs:documentation>
                              <xs:documentation xml:lang="nl">02140-Zie PRIIPS Regulation.
M1. Verplicht voor PRIIPS cat equals naar 2</xs:documentation>
                              <xs:documentation xml:lang="es">02140-Zie PRIIPS Regulation.
M1. Verplicht voor PRIIPS cat equals naar 2</xs:documentation>
                              <xs:documentation xml:lang="it">02140-Cfr. Regolamento PRIIPS.
M1. Obbligatorio per PRIIPS cat pari a 2</xs:documentation>
                              <xs:documentation xml:lang="cs">02140-See PRIIPS Regulation.
M1. Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="hu">02140-See PRIIPs Szabalyozas.
M1. Mandatory for PRIIPs cat equals to 2</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="ObservedSigma" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02150-See PRIIPS Regulation. Square root of M2. Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="de">02150-Siehe PRIIPS Regulation. Square root von M2. Pflicht für PRIIPS cat equals zu 2</xs:documentation>
                              <xs:documentation xml:lang="fr">02150-Voir PRIIPS Regulation. Square root de M2. Obligatoire pour PRIIPS cat equals à 2</xs:documentation>
                              <xs:documentation xml:lang="nl">02150-Zie PRIIPS Regulation. Square root van M2. Verplicht voor PRIIPS cat equals naar 2</xs:documentation>
                              <xs:documentation xml:lang="es">02150-Ver PRIIPS Regulation. Square root de M2. Obligatorio para PRIIPS cat equals hacia 2</xs:documentation>
                              <xs:documentation xml:lang="it">02150-Cfr. Regolamento PRIIPS. Radice quadrata di M2. Obbligatorio per PRIIPS cat pari a 2</xs:documentation>
                              <xs:documentation xml:lang="cs">02150-See PRIIPS Regulation. Square root of M2. Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="hu">02150-See PRIIPs Szabalyozas. Square root of M2. Mandatory for PRIIPs cat equals to 2</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="ObservedSkewness" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02160-See PRIIPS Regulation. Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="de">02160-Siehe PRIIPS Regulation. Pflicht für PRIIPS cat equals zu 2</xs:documentation>
                              <xs:documentation xml:lang="fr">02160-Voir PRIIPS Regulation. Obligatoire pour PRIIPS cat equals à 2</xs:documentation>
                              <xs:documentation xml:lang="nl">02160-Zie PRIIPS Regulation. Verplicht voor PRIIPS cat equals naar 2</xs:documentation>
                              <xs:documentation xml:lang="es">02160-Ver PRIIPS Regulation. Obligatorio para PRIIPS cat equals hacia 2</xs:documentation>
                              <xs:documentation xml:lang="it">02160-Cfr. Regolamento PRIIPS. Obbligatorio per PRIIPS cat pari a 2</xs:documentation>
                              <xs:documentation xml:lang="cs">02160-See PRIIPS Regulation. Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="hu">02160-See PRIIPs Szabalyozas. Mandatory for PRIIPs cat equals to 2</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="ObservedExcessKurtosis" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02170-See PRIIPS Regulation. Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="de">02170-Siehe PRIIPS Regulation. Pflicht für PRIIPS cat equals zu 2</xs:documentation>
                              <xs:documentation xml:lang="fr">02170-Voir PRIIPS Regulation. Obligatoire pour PRIIPS cat equals à 2</xs:documentation>
                              <xs:documentation xml:lang="nl">02170-Zie PRIIPS Regulation. Verplicht voor PRIIPS cat equals naar 2</xs:documentation>
                              <xs:documentation xml:lang="es">02170-Ver PRIIPS Regulation. Obligatorio para PRIIPS cat equals hacia 2</xs:documentation>
                              <xs:documentation xml:lang="it">02170-Cfr. Regolamento PRIIPS. Obbligatorio per PRIIPS cat pari a 2</xs:documentation>
                              <xs:documentation xml:lang="cs">02170-See PRIIPS Regulation. Mandatory for PRIIPS cat equals to 2</xs:documentation>
                              <xs:documentation xml:lang="hu">02170-See PRIIPs Szabalyozas. Mandatory for PRIIPs cat equals to 2</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="ObservedStressedVolatility" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02180-Volatility used to calculate stress scenario
stressed volatility applied for stress scenario calculations for &gt;1y</xs:documentation>
                              <xs:documentation xml:lang="de">02180-Volatilität zur Berechnung des Stressszenarios
stressed Volatilität applied für stress scenario calculations für &gt;1y</xs:documentation>
                              <xs:documentation xml:lang="fr">02180-Volatilité utilisée pour calculer le scénario de stress
stressed volatilité applied pour stress scenario calculations pour &gt;1y</xs:documentation>
                              <xs:documentation xml:lang="nl">02180-Volatiliteit gebruikt om stressscenario te berekenen
stressed volatiliteit applied voor stress scenario calculations voor &gt;1y</xs:documentation>
                              <xs:documentation xml:lang="es">02180-Volatilidad utilizada para calcular el escenario de estrés
stressed volatiliteit applied voor stress escenario calculations voor &gt;1y</xs:documentation>
                              <xs:documentation xml:lang="it">02180-Volatilità utilizzata per il calcolo dello scenario di stress
volatilità sotto stress applicata per i calcoli degli scenari di stress per &gt;1 anno</xs:documentation>
                              <xs:documentation xml:lang="cs">02180-Volatility used to calculate stress scenario
stressed volatility applied for stress scenario calculations for &gt;1y</xs:documentation>
                              <xs:documentation xml:lang="hu">02180-Volatility used to calculate Stressz Forgatokonyv
stressed volatility applied for Stressz Forgatokonyv calculations for &gt;1y</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element name="PortfolioPastPerformanceDisclosureRequired" type="YesNoType">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02185-Does this product fulfil conditions sets in  Annex VIII number 1 a and b</xs:documentation>
                              <xs:documentation xml:lang="de">02185-Erfüllt dieses Produkt die in Anhang VIII Nummer 1 a und b festgelegten Bedingungen</xs:documentation>
                              <xs:documentation xml:lang="fr">02185-Does ce product fulfil conditions sets dans Annexe VIII numéro 1 un et b</xs:documentation>
                              <xs:documentation xml:lang="nl">02185-Does dit product fulfil conditions sets in Bijlage VIII nummer 1 een en b</xs:documentation>
                              <xs:documentation xml:lang="es">02185-Does este product fulfil conditions sets in Anexo VIII numero 1 un y b</xs:documentation>
                              <xs:documentation xml:lang="it">02185-Questo prodotto soddisfa le condizioni stabilite nell'allegato VIII numero 1 a e b</xs:documentation>
                              <xs:documentation xml:lang="cs">02185-Does this product fulfil conditions sets in  Annex VIII number 1 a and b</xs:documentation>
                              <xs:documentation xml:lang="hu">02185-Does this product fulfil conditions sets in  Annex VIII Szam 1 a and b</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="PastPerformanceLink" type="xs:anyURI">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02190 - link to the past performance of the fund</xs:documentation>
                              <xs:documentation xml:lang="de">02190 - link zu past Performance von Fonds</xs:documentation>
                              <xs:documentation xml:lang="fr">02190 - link à past performance de fonds</xs:documentation>
                              <xs:documentation xml:lang="nl">02190 - link naar past prestatie van fonds</xs:documentation>
                              <xs:documentation xml:lang="es">02190 - link hacia past rendimiento de fondo</xs:documentation>
                              <xs:documentation xml:lang="it">02190 - collegamento alla performance passata del fondo</xs:documentation>
                              <xs:documentation xml:lang="cs">02190 - link to the past performance of the fund</xs:documentation>
                              <xs:documentation xml:lang="hu">02190 - link to the past performance of the Alap</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0"
                                    name="PreviousPerformanceScenariosCalculationLink"
                                    type="xs:anyURI">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02200 - Link to the previous calculations</xs:documentation>
                              <xs:documentation xml:lang="de">02200 - Link zu previous calculations</xs:documentation>
                              <xs:documentation xml:lang="fr">02200 - Link à previous calculations</xs:documentation>
                              <xs:documentation xml:lang="nl">02200 - Link naar previous calculations</xs:documentation>
                              <xs:documentation xml:lang="es">02200 - Link hacia previous calculations</xs:documentation>
                              <xs:documentation xml:lang="it">02200 - Collegamento ai calcoli precedenti</xs:documentation>
                              <xs:documentation xml:lang="cs">02200 - Link to the previous calculations</xs:documentation>
                              <xs:documentation xml:lang="hu">02200 - Link to the previous calculations</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="PastPerformanceNumberOfYears">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02210 - Number of years for which past performance is presented</xs:documentation>
                              <xs:documentation xml:lang="de">02210 - Nummer von years für welche past Performance ist presented</xs:documentation>
                              <xs:documentation xml:lang="fr">02210 - Numéro de years pour qui past performance est presented</xs:documentation>
                              <xs:documentation xml:lang="nl">02210 - Nummer van years voor welke past prestatie is presented</xs:documentation>
                              <xs:documentation xml:lang="es">02210 - Numero de years para cual past rendimiento es presented</xs:documentation>
                              <xs:documentation xml:lang="it">02210 - Numero di anni per i quali vengono presentate le performance passate</xs:documentation>
                              <xs:documentation xml:lang="cs">02210 - Number of years for which past performance is presented</xs:documentation>
                              <xs:documentation xml:lang="hu">02210 - Szam of years for which past performance is presented</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:decimal">
                                 <xs:minInclusive value="0"/>
                                 <xs:maxInclusive value="10"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="InvestedAmountOtherCurrency" type="xs:int">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">02220 - invested amount if the currency of the PRIIP is not EUR as shown in the performance scenarios.
Mandatory if the share class in 00060_Share_Class_Currency is not in EUR.</xs:documentation>
                              <xs:documentation xml:lang="de">02220 - invested Betrag wenn Währung von PRIIP ist nicht EUR als shown in Performance scenarios.
Pflicht wenn Anteilsklasse in 00060_Share_Class_Currency ist nicht in EUR.</xs:documentation>
                              <xs:documentation xml:lang="fr">02220 - invested montant si devise de PRIIP est pas EUR comme shown dans performance scenarios.
Obligatoire si classe d'actions dans 00060_Share_Class_Currency est pas dans EUR.</xs:documentation>
                              <xs:documentation xml:lang="nl">02220 - invested bedrag als valuta van PRIIP is niet EUR als shown in prestatie scenarios.
Verplicht als aandelenklasse in 00060_Share_Class_Currency is niet in EUR.</xs:documentation>
                              <xs:documentation xml:lang="es">02220 - invested importe als valuta van PRIIP is niet EUR als shown in prestatie escenarios.
Verplicht als aandelenklasse in 00060_Share_Class_Currency is niet in EUR.</xs:documentation>
                              <xs:documentation xml:lang="it">02220 - importo investito se la valuta del PRIIP non è l'EUR come mostrato negli scenari di performance.
Obbligatorio se la classe di azioni in 00060_Share_Class_Currency non è in EUR.</xs:documentation>
                              <xs:documentation xml:lang="cs">02220 - invested amount if the currency of the PRIIP is not EUR as shown in the performance scenarios.
Mandatory if the share class in 00060_Share_Class_Currency is not in EUR.</xs:documentation>
                              <xs:documentation xml:lang="hu">02220 - invested Osszeg if the Penznem of the PRIIP is not EUR as shown in the performance scenarios.
Mandatory if the Sorozat in 00060_Share_Class_Currency is not in EUR.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                     </xs:sequence>
                  </xs:complexType>
               </xs:element>
               <xs:element name="Costs">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">03</xs:documentation>
                     <xs:documentation xml:lang="de">03</xs:documentation>
                     <xs:documentation xml:lang="fr">03</xs:documentation>
                     <xs:documentation xml:lang="nl">03</xs:documentation>
                     <xs:documentation xml:lang="es">03</xs:documentation>
                     <xs:documentation xml:lang="it">03</xs:documentation>
                     <xs:documentation xml:lang="cs">03</xs:documentation>
                     <xs:documentation xml:lang="hu">03</xs:documentation>
                  </xs:annotation>
                  <xs:complexType>
                     <xs:sequence>
                        <xs:element name="OneOff">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">03010-03050</xs:documentation>
                              <xs:documentation xml:lang="de">03010-03050</xs:documentation>
                              <xs:documentation xml:lang="fr">03010-03050</xs:documentation>
                              <xs:documentation xml:lang="nl">03010-03050</xs:documentation>
                              <xs:documentation xml:lang="es">03010-03050</xs:documentation>
                              <xs:documentation xml:lang="it">03010-03050</xs:documentation>
                              <xs:documentation xml:lang="cs">03010-03050</xs:documentation>
                              <xs:documentation xml:lang="hu">03010-03050</xs:documentation>
                           </xs:annotation>
                           <xs:complexType>
                              <xs:sequence>
                                 <xs:element name="EntryCost">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03010-Subscription fees not acquired to the fund or the share class or portfolio mandate. Expressed as a % of the amount to be invested</xs:documentation>
                                       <xs:documentation xml:lang="de">03010-Zeichnungsgebühren, die nicht dem Fonds oder der Anteilsklasse oder dem Portfoliomandat zufallen. Ausgedrückt als % des zu investierenden Betrags</xs:documentation>
                                       <xs:documentation xml:lang="fr">03010-Souscription fees pas acquired à fonds ou classe d'actions ou portefeuille mandate. Expressed comme un % de montant à be invested</xs:documentation>
                                       <xs:documentation xml:lang="nl">03010-Inschrijving fees niet acquired naar fonds van aandelenklasse van portefeuille mandate. Expressed als een % van bedrag naar be invested</xs:documentation>
                                       <xs:documentation xml:lang="es">03010-Suscripcion fees no acquired hacia fondo de clase de acciones de cartera mandate. Expressed si un % de importe hacia be invested</xs:documentation>
                                       <xs:documentation xml:lang="it">03010-Commissioni di sottoscrizione non acquisite al fondo o alla classe di azioni o al mandato di portafoglio. Espresso in % dell'importo da investire</xs:documentation>
                                       <xs:documentation xml:lang="cs">03010-Subscription fees not acquired to the fund or the share class or portfolio mandate. Expressed as a % of the amount to be invested</xs:documentation>
                                       <xs:documentation xml:lang="hu">03010-Subscription fees not acquired to the Alap or the Sorozat or portfolio mandate. Expressed as a % of the Osszeg to be invested</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:decimal">
                                          <xs:minInclusive value="0"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="EntryCostsAcquired" type="xs:decimal">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03015-Subscription fees acquired to the fund or the share class or portfolio mandate. Expressed as a % of the amount to be invested</xs:documentation>
                                       <xs:documentation xml:lang="de">03015-Zeichnungsgebühren, die dem Fonds oder der Anteilsklasse oder dem Portfoliomandat zufallen. Ausgedrückt als % des zu investierenden Betrags</xs:documentation>
                                       <xs:documentation xml:lang="fr">03015-Souscription fees acquired à fonds ou classe d'actions ou portefeuille mandate. Expressed comme un % de montant à be invested</xs:documentation>
                                       <xs:documentation xml:lang="nl">03015-Inschrijving fees acquired naar fonds van aandelenklasse van portefeuille mandate. Expressed als een % van bedrag naar be invested</xs:documentation>
                                       <xs:documentation xml:lang="es">03015-Suscripcion fees acquired hacia fondo de clase de acciones de cartera mandate. Expressed si un % de importe hacia be invested</xs:documentation>
                                       <xs:documentation xml:lang="it">03015-Commissioni di sottoscrizione acquisite al fondo o alla classe di azioni o al mandato di portafoglio. Espresso in % dell'importo da investire</xs:documentation>
                                       <xs:documentation xml:lang="cs">03015-Subscription fees acquired to the fund or the share class or portfolio mandate. Expressed as a % of the amount to be invested</xs:documentation>
                                       <xs:documentation xml:lang="hu">03015-Subscription fees acquired to the Alap or the Sorozat or portfolio mandate. Expressed as a % of the Osszeg to be invested</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="ExitCostAtRHP">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03020-Exit fees at the end of RHP for the portfolio or fund or share class. It is expressed as a % of net asset value.</xs:documentation>
                                       <xs:documentation xml:lang="de">03020-Ausstiegsgebühren am Ende der RHP für Portfolio oder Fonds oder Anteilsklasse. Ausgedrückt als % des Nettoinventarwerts.</xs:documentation>
                                       <xs:documentation xml:lang="fr">03020-Exit fees at end de RHP pour portefeuille ou fonds ou classe d'actions. It est expressed comme un % de net actif valeur.</xs:documentation>
                                       <xs:documentation xml:lang="nl">03020-Exit fees at end van RHP voor portefeuille van fonds van aandelenklasse. It is expressed als een % van netto actief waarde.</xs:documentation>
                                       <xs:documentation xml:lang="es">03020-Exit fees at end de RHP para cartera de fondo de clase de acciones. It es expressed si un % de neto activo valor.</xs:documentation>
                                       <xs:documentation xml:lang="it">03020-Commissioni di uscita alla fine del RHP per il portafoglio o fondo o classe di azioni. È espresso in percentuale del valore patrimoniale netto.</xs:documentation>
                                       <xs:documentation xml:lang="cs">03020-Exit fees at the end of RHP for the portfolio or fund or share class. It is expressed as a % of net asset value.</xs:documentation>
                                       <xs:documentation xml:lang="hu">03020-Exit fees at the end of RHP for the portfolio or Alap or Sorozat. It is expressed as a % of net Eszkoz Ertek.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:decimal">
                                          <xs:minInclusive value="0"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element minOccurs="0" name="ExitCostOneYear">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03030-Exit fees after one year for the portfolio or fund or shar class. It is expressed as a % of net asset value. Mandatory if datapoint Sliding exit cost is Yes.</xs:documentation>
                                       <xs:documentation xml:lang="de">03030-Exit fees after one year für Portfolio oder Fonds oder shar class. It ist expressed als ein % von netto Vermögenswert Wert. Pflicht wenn datapoint Sliding exit Kosten ist Yes.</xs:documentation>
                                       <xs:documentation xml:lang="fr">03030-Exit fees after one year pour portefeuille ou fonds ou shar class. It est expressed comme un % de net actif valeur. Obligatoire si datapoint Sliding exit coût est Yes.</xs:documentation>
                                       <xs:documentation xml:lang="nl">03030-Exit fees after one year voor portefeuille van fonds van shar class. It is expressed als een % van netto actief waarde. Verplicht als datapoint Sliding exit kosten is Yes.</xs:documentation>
                                       <xs:documentation xml:lang="es">03030-Exit fees after one year para cartera de fondo de shar class. It es expressed si un % de neto activo valor. Obligatorio si datapoint Sliding exit costes es Yes.</xs:documentation>
                                       <xs:documentation xml:lang="it">03030-Commissioni di uscita dopo un anno per il portafoglio o fondo o classe di azioni. È espresso in percentuale del valore patrimoniale netto. Obbligatorio se il costo di uscita decrescente del datapoint è Sì.</xs:documentation>
                                       <xs:documentation xml:lang="cs">03030-Exit fees after one year for the portfolio or fund or shar class. It is expressed as a % of net asset value. Mandatory if datapoint Sliding exit cost is Yes.</xs:documentation>
                                       <xs:documentation xml:lang="hu">03030-Exit fees after one Ev for the portfolio or Alap or shar class. It is expressed as a % of net Eszkoz Ertek. Mandatory if datapoint Sliding exit Koltseg is Yes.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:decimal">
                                          <xs:minInclusive value="0"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element minOccurs="0" name="ExitCostHalfRHP">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03040-Exit fees after half of the RHP for the portfolio or fund or shar class. It is expressed as a % of net asset value. Mandatory if datapoint Sliding exit cost is Yes.</xs:documentation>
                                       <xs:documentation xml:lang="de">03040-Exit fees after half von RHP für Portfolio oder Fonds oder shar class. It ist expressed als ein % von netto Vermögenswert Wert. Pflicht wenn datapoint Sliding exit Kosten ist Yes.</xs:documentation>
                                       <xs:documentation xml:lang="fr">03040-Exit fees after half de RHP pour portefeuille ou fonds ou shar class. It est expressed comme un % de net actif valeur. Obligatoire si datapoint Sliding exit coût est Yes.</xs:documentation>
                                       <xs:documentation xml:lang="nl">03040-Exit fees after half van RHP voor portefeuille van fonds van shar class. It is expressed als een % van netto actief waarde. Verplicht als datapoint Sliding exit kosten is Yes.</xs:documentation>
                                       <xs:documentation xml:lang="es">03040-Exit fees after half de RHP para cartera de fondo de shar class. It es expressed si un % de neto activo valor. Obligatorio si datapoint Sliding exit costes es Yes.</xs:documentation>
                                       <xs:documentation xml:lang="it">03040-Commissioni di uscita dopo la metà del RHP per il portafoglio o fondo o classe di azioni. È espresso in percentuale del valore patrimoniale netto. Obbligatorio se il costo di uscita decrescente del datapoint è Sì.</xs:documentation>
                                       <xs:documentation xml:lang="cs">03040-Exit fees after half of the RHP for the portfolio or fund or shar class. It is expressed as a % of net asset value. Mandatory if datapoint Sliding exit cost is Yes.</xs:documentation>
                                       <xs:documentation xml:lang="hu">03040-Exit fees after half of the RHP for the portfolio or Alap or shar class. It is expressed as a % of net Eszkoz Ertek. Mandatory if datapoint Sliding exit Koltseg is Yes.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:decimal">
                                          <xs:minInclusive value="0"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="SlidingExitCostIndicator" type="YesNoType">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03050-Sliding exit cost indicator</xs:documentation>
                                       <xs:documentation xml:lang="de">03050-Sliding exit Kosten Indikator</xs:documentation>
                                       <xs:documentation xml:lang="fr">03050-Sliding exit coût indicateur</xs:documentation>
                                       <xs:documentation xml:lang="nl">03050-Sliding exit kosten indicator</xs:documentation>
                                       <xs:documentation xml:lang="es">03050-Sliding exit costes indicador</xs:documentation>
                                       <xs:documentation xml:lang="it">03050-Indicatore costo di uscita scorrevole</xs:documentation>
                                       <xs:documentation xml:lang="cs">03050-Sliding exit cost indicator</xs:documentation>
                                       <xs:documentation xml:lang="hu">03050-Sliding exit Koltseg indicator</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                              </xs:sequence>
                           </xs:complexType>
                        </xs:element>
                        <xs:element name="Ongoing">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">03060-03070</xs:documentation>
                              <xs:documentation xml:lang="de">03060-03070</xs:documentation>
                              <xs:documentation xml:lang="fr">03060-03070</xs:documentation>
                              <xs:documentation xml:lang="nl">03060-03070</xs:documentation>
                              <xs:documentation xml:lang="es">03060-03070</xs:documentation>
                              <xs:documentation xml:lang="it">03060-03070</xs:documentation>
                              <xs:documentation xml:lang="cs">03060-03070</xs:documentation>
                              <xs:documentation xml:lang="hu">03060-03070</xs:documentation>
                           </xs:annotation>
                           <xs:complexType>
                              <xs:sequence>
                                 <xs:element name="OtherCost">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03060-See PRIIPS definition as a % of NAV of the portfolio, the funds or the share class / per annum.
Maximum  fees, including look through for fund of funds / custodian fees / management fees.</xs:documentation>
                                       <xs:documentation xml:lang="de">03060-Siehe PRIIPS definition als ein % von NAV von Portfolio, funds oder Anteilsklasse / per annum.
Maximum fees, einschließlich look through für Fonds von funds / Verwahrstelle fees / management fees.</xs:documentation>
                                       <xs:documentation xml:lang="fr">03060-Voir PRIIPS definition comme un % de NAV de portefeuille, funds ou classe d'actions / per annum.
Maximum fees, y compris look through pour fonds de funds / dépositaire fees / management fees.</xs:documentation>
                                       <xs:documentation xml:lang="nl">03060-Zie PRIIPS definition als een % van NAV van portefeuille, funds van aandelenklasse / per annum.
Maximum fees, inclusief look through voor fonds van funds / bewaarder fees / management fees.</xs:documentation>
                                       <xs:documentation xml:lang="es">03060-Zie PRIIPS definition als een % van NAV van portefeuille, funds van aandelenklasse / per annum.
Maximum fees, inclusief look through voor fonds van funds / bevalorr fees / management fees.</xs:documentation>
                                       <xs:documentation xml:lang="it">03060-Vedere la definizione PRIIPS come percentuale del NAV del portafoglio, dei fondi o della classe di azioni / annuo.
Commissioni massime, inclusa la ricerca di fondi di fondi/commissioni di custodia/commissioni di gestione.</xs:documentation>
                                       <xs:documentation xml:lang="cs">03060-See PRIIPS definition as a % of NAV of the portfolio, the funds or the share class / per annum.
Maximum  fees, including look through for fund of funds / custodian fees / management fees.</xs:documentation>
                                       <xs:documentation xml:lang="hu">03060-See PRIIPs definition as a % of NAV of the portfolio, the funds or the Sorozat / per annum.
Maximum  fees, including look through for Alap of funds / custodian fees / management fees.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:decimal">
                                          <xs:minInclusive value="0"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="ManagementCosts">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03070-Maximum fee. Can be submitted to reduction for some specific commercial agreement between insurers and structurers.</xs:documentation>
                                       <xs:documentation xml:lang="de">03070-Maximale Gebühr. Kann für einige spezifische kommerzielle Vereinbarungen zwischen Versicherern und Strukturierern reduziert werden.</xs:documentation>
                                       <xs:documentation xml:lang="fr">03070-Maximum frais. Can be submitted à reduction pour quelques spécifique commercial agreement between insurers et structurers.</xs:documentation>
                                       <xs:documentation xml:lang="nl">03070-Maximum kosten. Can be submitted naar reduction voor enkele specifiek commercial agreement between insurers en structurers.</xs:documentation>
                                       <xs:documentation xml:lang="es">03070-Maximum costes. Can be submitted hacia reduction para enkele especifico commercial agreement between insurers y structurers.</xs:documentation>
                                       <xs:documentation xml:lang="it">03070-Tariffa massima. Può essere sottoposto a riduzione per specifici accordi commerciali tra assicuratori e strutturatori.</xs:documentation>
                                       <xs:documentation xml:lang="cs">03070-Maximum fee. Can be submitted to reduction for some specific commercial agreement between insurers and structurers.</xs:documentation>
                                       <xs:documentation xml:lang="hu">03070-Maximum fee. Can be submitted to reduction for some specific commercial agreement between insurers and structurers.</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="Transaction">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03080-See PRIIPS definition as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="de">03080-Siehe PRIIPS definition als ein % von NAV von Portfolio, funds oder Anteilsklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="fr">03080-Voir PRIIPS definition comme un % de NAV de portefeuille, funds ou classe d'actions / per annum</xs:documentation>
                                       <xs:documentation xml:lang="nl">03080-Zie PRIIPS definition als een % van NAV van portefeuille, funds van aandelenklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="es">03080-Ver PRIIPS definition si un % de NAV de cartera, funds de clase de acciones / per annum</xs:documentation>
                                       <xs:documentation xml:lang="it">03080-Vedere la definizione PRIIPS come % del NAV del portafoglio, dei fondi o della classe di azioni / annuo</xs:documentation>
                                       <xs:documentation xml:lang="cs">03080-See PRIIPS definition as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="hu">03080-See PRIIPs definition as a % of NAV of the portfolio, the funds or the Sorozat / per annum</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:decimal">
                                          <xs:minInclusive value="0"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                              </xs:sequence>
                           </xs:complexType>
                        </xs:element>
                        <xs:element name="Incidental">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">03080-03100</xs:documentation>
                              <xs:documentation xml:lang="de">03080-03100</xs:documentation>
                              <xs:documentation xml:lang="fr">03080-03100</xs:documentation>
                              <xs:documentation xml:lang="nl">03080-03100</xs:documentation>
                              <xs:documentation xml:lang="es">03080-03100</xs:documentation>
                              <xs:documentation xml:lang="it">03080-03100</xs:documentation>
                              <xs:documentation xml:lang="cs">03080-03100</xs:documentation>
                              <xs:documentation xml:lang="hu">03080-03100</xs:documentation>
                           </xs:annotation>
                           <xs:complexType>
                              <xs:sequence>
                                 <xs:element name="ExistringIncidentalCostsPortfolio" type="YesNoType">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03090-Indicates whether there are existing performance fees or carried interest or not</xs:documentation>
                                       <xs:documentation xml:lang="de">03090-Zeigt an, ob bestehende Performance-Gebühren oder Carried Interest vorhanden sind oder nicht</xs:documentation>
                                       <xs:documentation xml:lang="fr">03090-Indique s'il existe des commissions de performance ou des intérêts différés ou non</xs:documentation>
                                       <xs:documentation xml:lang="nl">03090-Geeft aan of er bestaande prestatiekosten of gedragen rente zijn of niet</xs:documentation>
                                       <xs:documentation xml:lang="es">03090-Indica si existen comisiones de rendimiento o carried interest o no</xs:documentation>
                                       <xs:documentation xml:lang="it">03090-Indica se esistono commissioni di performance o carry interest oppure no</xs:documentation>
                                       <xs:documentation xml:lang="cs">03090-Indicates whether there are existing performance fees or carried interest or not</xs:documentation>
                                       <xs:documentation xml:lang="hu">03090-Indicates whether there are existing performance fees or carried interest or not</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element minOccurs="0" name="IncidentalCostsPortfolio" type="xs:decimal">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03095-See PRIIPS definition as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="de">03095-Siehe PRIIPS definition als ein % von NAV von Portfolio, funds oder Anteilsklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="fr">03095-Voir PRIIPS definition comme un % de NAV de portefeuille, funds ou classe d'actions / per annum</xs:documentation>
                                       <xs:documentation xml:lang="nl">03095-Zie PRIIPS definition als een % van NAV van portefeuille, funds van aandelenklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="es">03095-Ver PRIIPS definition si un % de NAV de cartera, funds de clase de acciones / per annum</xs:documentation>
                                       <xs:documentation xml:lang="it">03095-Vedere la definizione PRIIPS come % del NAV del portafoglio, dei fondi o della classe di azioni / annuo</xs:documentation>
                                       <xs:documentation xml:lang="cs">03095-See PRIIPS definition as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="hu">03095-See PRIIPs definition as a % of NAV of the portfolio, the funds or the Sorozat / per annum</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="ExistingIncidentalCostsPortfolio" type="YesNoType">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">03100 - Indicates whether there are existing performance fees or carried interest or not</xs:documentation>
                                       <xs:documentation xml:lang="de">03100 - Zeigt an, ob bestehende Performance-Gebühren oder Carried Interest vorhanden sind oder nicht</xs:documentation>
                                       <xs:documentation xml:lang="fr">03100 - Indique s'il existe des commissions de performance ou des intérêts différés ou non</xs:documentation>
                                       <xs:documentation xml:lang="nl">03100 - Geeft aan of er bestaande prestatiekosten of gedragen rente zijn of niet</xs:documentation>
                                       <xs:documentation xml:lang="es">03100-Indica si existen comisiones de rendimiento o carried interest o no</xs:documentation>
                                       <xs:documentation xml:lang="it">03100 - Indica se esistono commissioni di performance o carry interest oppure no</xs:documentation>
                                       <xs:documentation xml:lang="cs">03100 - Indicates whether there are existing performance fees or carried interest or not</xs:documentation>
                                       <xs:documentation xml:lang="hu">03100 - Indicates whether there are existing performance fees or carried interest or not</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                              </xs:sequence>
                           </xs:complexType>
                        </xs:element>
                     </xs:sequence>
                  </xs:complexType>
               </xs:element>
               <xs:element name="Narratives" type="PRIIPS_V2_NarrativesType">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">04 - Narratives - mandatory section for underlying options offered in German or Italian MOPs</xs:documentation>
                     <xs:documentation xml:lang="de">04 - Narratives - Pflicht Abschnitt für Basiswert options offered in German oder Italian MOPs</xs:documentation>
                     <xs:documentation xml:lang="fr">04 - Narratives - obligatoire section pour sous-jacent options offered dans German ou Italian MOPs</xs:documentation>
                     <xs:documentation xml:lang="nl">04 - Narratives - verplicht sectie voor onderliggende waarde options offered in German van Italian MOPs</xs:documentation>
                     <xs:documentation xml:lang="es">04 - Narratives - obligatorio seccion para onderliggende valor options offered in German de Italian MOPs</xs:documentation>
                     <xs:documentation xml:lang="it">04 - Narrazioni - sezione obbligatoria per le opzioni sottostanti offerte nei MOP tedeschi o italiani</xs:documentation>
                     <xs:documentation xml:lang="cs">04 - Narratives - mandatory section for underlying options offered in German or Italian MOPs</xs:documentation>
                     <xs:documentation xml:lang="hu">04 - Narratives - mandatory Szakasz for underlying options offered in German or Italian MOPs</xs:documentation>
                  </xs:annotation>
               </xs:element>
               <xs:element minOccurs="0" name="AdditionalInformationRequiredForStructuredPRIIPs">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">07-Additional information required for structured PRIIPs: RIY Costs</xs:documentation>
                     <xs:documentation xml:lang="de">07-Zusätzlich Information erforderlich für structured PRIIPs: RIY Costs</xs:documentation>
                     <xs:documentation xml:lang="fr">07-Supplémentaire information requis pour structured PRIIPs: RIY Costs</xs:documentation>
                     <xs:documentation xml:lang="nl">07-Aanvullend informatie vereist voor structured PRIIPs: RIY Costs</xs:documentation>
                     <xs:documentation xml:lang="es">07-Aanvullend informacion requerido para structured PRIIPs: RIY Costs</xs:documentation>
                     <xs:documentation xml:lang="it">07-Informazioni aggiuntive richieste per i PRIIP strutturati: Costi RIY</xs:documentation>
                     <xs:documentation xml:lang="cs">07-Additional information required for structured PRIIPs: RIY Costs</xs:documentation>
                     <xs:documentation xml:lang="hu">07-Additional Informacio required for structured PRIIPs: RIY Koltsegek</xs:documentation>
                  </xs:annotation>
                  <xs:complexType>
                     <xs:sequence>
                        <xs:element minOccurs="0" name="FirstPossibleCallDate" type="xs:date">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07005 - date of the first possible call for autocallable products</xs:documentation>
                              <xs:documentation xml:lang="de">07005 - Datum von first possible call für autocallable products</xs:documentation>
                              <xs:documentation xml:lang="fr">07005 - date de first possible call pour autocallable products</xs:documentation>
                              <xs:documentation xml:lang="nl">07005 - datum van first possible call voor autocallable products</xs:documentation>
                              <xs:documentation xml:lang="es">07005 - fecha de first possible call para autocallable products</xs:documentation>
                              <xs:documentation xml:lang="it">07005 - data della prima richiesta possibile per i prodotti autocallable</xs:documentation>
                              <xs:documentation xml:lang="cs">07005 - date of the first possible call for autocallable products</xs:documentation>
                              <xs:documentation xml:lang="hu">07005 - Datum of the first possible call for autocallable products</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="TotalCost1YearOrFirstCall" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07010-Total cost in 00060_Share_Class_Currency terms in case the investor cashes in after one year, as requested in the "Costs over time" table. Rebased to 1.</xs:documentation>
                              <xs:documentation xml:lang="de">07010-Gesamtkosten in 00060_Share_Class_Currency-Begriffen, falls der Anleger nach einem Jahr auszahlt, wie in der Tabelle "Kosten über die Zeit" angefordert. Auf 1 umbasiert.</xs:documentation>
                              <xs:documentation xml:lang="fr">07010-Coût total en termes de 00060_Share_Class_Currency dans le cas où l'investisseur encaisse après un an, comme demandé dans le tableau "Coûts dans le temps". Rebasé à 1.</xs:documentation>
                              <xs:documentation xml:lang="nl">07010-Totale kosten in 00060_Share_Class_Currency-termen in geval de belegger na een jaar int, zoals gevraagd in de tabel "Kosten in de tijd". Geherbaseerd naar 1.</xs:documentation>
                              <xs:documentation xml:lang="es">07010-Costes totales en términos de 00060_Share_Class_Currency en caso de que el inversor retire después de un año, como se solicita en la tabla "Costes a lo largo del tiempo". Rebasado a 1.</xs:documentation>
                              <xs:documentation xml:lang="it">07010-Costo totale in termini 00060_Share_Class_Currency nel caso in cui l'investitore incassi dopo un anno, come richiesto nella tabella "Costi nel tempo". Ribasato a 1.</xs:documentation>
                              <xs:documentation xml:lang="cs">07010-Total cost in 00060_Share_Class_Currency terms in case the investor cashes in after one year, as requested in the "Costs over time" table. Rebased to 1.</xs:documentation>
                              <xs:documentation xml:lang="hu">07010-Osszes koltseg in 00060_Share_Class_Currency terms in case the Befekteto cashes in after one Ev, as requested in the "Koltsegek over time" table. Rebased to 1.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="RIY_1_YearOrFirstCall" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07020-RIY in case the investor cashes in after one year, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="de">07020-RIY in case Anleger cashes in after one year, als requested in "Costs over time" Tabelle.</xs:documentation>
                              <xs:documentation xml:lang="fr">07020-RIY dans case investisseur cashes dans after one year, comme requested dans "Costs over time" tableau.</xs:documentation>
                              <xs:documentation xml:lang="nl">07020-RIY in case belegger cashes in after one year, als requested in "Costs over time" tabel.</xs:documentation>
                              <xs:documentation xml:lang="es">07020-RIY in case inversor cashes in after one year, si requested in "Costs over time" tabla.</xs:documentation>
                              <xs:documentation xml:lang="it">07020-RIY nel caso in cui l'investitore incassi dopo un anno, come richiesto nella tabella "Costi nel tempo".</xs:documentation>
                              <xs:documentation xml:lang="cs">07020-RIY in case the investor cashes in after one year, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="hu">07020-RIY in case the Befekteto cashes in after one Ev, as requested in the "Koltsegek over time" table.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="TotalCostHalfRHP" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07030-Total cost in 00060_Share_Class_Currency terms in case the investor cashes in at the middle of the RHP, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="de">07030-Gesamtkosten in 00060_Share_Class_Currency-Einheiten, falls der Anleger in der Mitte der RHP aussteigt, wie in der Tabelle "Kosten im Zeitverlauf" angefordert.</xs:documentation>
                              <xs:documentation xml:lang="fr">07030-Total coût dans 00060_Share_Class_Currency terms dans case investisseur cashes dans at middle de RHP, comme requested dans "Costs over time" tableau.</xs:documentation>
                              <xs:documentation xml:lang="nl">07030-Totaal kosten in 00060_Share_Class_Currency terms in case belegger cashes in at middle van RHP, als requested in "Costs over time" tabel.</xs:documentation>
                              <xs:documentation xml:lang="es">07030-Totaal costes in 00060_Share_Class_Currency terms in case inversor cashes in at middle de RHP, si requested in "Costs over time" tabla.</xs:documentation>
                              <xs:documentation xml:lang="it">07030-Costo totale in termini 00060_Share_Class_Currency nel caso in cui l'investitore incassi a metà del RHP, come richiesto nella tabella "Costi nel tempo".</xs:documentation>
                              <xs:documentation xml:lang="cs">07030-Total cost in 00060_Share_Class_Currency terms in case the investor cashes in at the middle of the RHP, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="hu">07030-Osszes koltseg in 00060_Share_Class_Currency terms in case the Befekteto cashes in at the middle of the RHP, as requested in the "Koltsegek over time" table.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="RIYHalfRHP" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07040-RIY in case the investor cashes in at the middle of the RHP, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="de">07040-RIY falls der Anleger in der Mitte der RHP aussteigt, wie in der Tabelle "Kosten im Zeitverlauf" angefordert.</xs:documentation>
                              <xs:documentation xml:lang="fr">07040-RIY dans case investisseur cashes dans at middle de RHP, comme requested dans "Costs over time" tableau.</xs:documentation>
                              <xs:documentation xml:lang="nl">07040-RIY in case belegger cashes in at middle van RHP, als requested in "Costs over time" tabel.</xs:documentation>
                              <xs:documentation xml:lang="es">07040-RIY in case inversor cashes in at middle de RHP, si requested in "Costs over time" tabla.</xs:documentation>
                              <xs:documentation xml:lang="it">07040-RIY nel caso in cui l'investitore incassi a metà del RHP, come richiesto nella tabella "Costi nel tempo".</xs:documentation>
                              <xs:documentation xml:lang="cs">07040-RIY in case the investor cashes in at the middle of the RHP, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="hu">07040-RIY in case the Befekteto cashes in at the middle of the RHP, as requested in the "Koltsegek over time" table.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="TotalCostRHP" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07050-Total cost in 00060_Share_Class_Currency terms in case the investor cashes in at the RHP, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="de">07050-Gesamtkosten in 00060_Share_Class_Currency-Einheiten, falls der Anleger bei RHP aussteigt, wie in der Tabelle "Kosten im Zeitverlauf" angefordert.</xs:documentation>
                              <xs:documentation xml:lang="fr">07050-Total coût dans 00060_Share_Class_Currency terms dans case investisseur cashes dans at RHP, comme requested dans "Costs over time" tableau.</xs:documentation>
                              <xs:documentation xml:lang="nl">07050-Totaal kosten in 00060_Share_Class_Currency terms in case belegger cashes in at RHP, als requested in "Costs over time" tabel.</xs:documentation>
                              <xs:documentation xml:lang="es">07050-Totaal costes in 00060_Share_Class_Currency terms in case inversor cashes in at RHP, si requested in "Costs over time" tabla.</xs:documentation>
                              <xs:documentation xml:lang="it">07050-Costo totale in termini 00060_Share_Class_Currency nel caso in cui l'investitore incassi al RHP, come richiesto nella tabella "Costi nel tempo".</xs:documentation>
                              <xs:documentation xml:lang="cs">07050-Total cost in 00060_Share_Class_Currency terms in case the investor cashes in at the RHP, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="hu">07050-Osszes koltseg in 00060_Share_Class_Currency terms in case the Befekteto cashes in at the RHP, as requested in the "Koltsegek over time" table.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="RIY_RHP" type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07060-RIY in case the investor cashes in at the RHP, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="de">07060-RIY falls der Anleger bei RHP aussteigt, wie in der Tabelle "Kosten im Zeitverlauf" angefordert.</xs:documentation>
                              <xs:documentation xml:lang="fr">07060-RIY dans case investisseur cashes dans at RHP, comme requested dans "Costs over time" tableau.</xs:documentation>
                              <xs:documentation xml:lang="nl">07060-RIY in case belegger cashes in at RHP, als requested in "Costs over time" tabel.</xs:documentation>
                              <xs:documentation xml:lang="es">07060-RIY in case inversor cashes in at RHP, si requested in "Costs over time" tabla.</xs:documentation>
                              <xs:documentation xml:lang="it">07060-RIY nel caso in cui l'investitore incassi al RHP, come richiesto nella tabella "Costi nel tempo".</xs:documentation>
                              <xs:documentation xml:lang="cs">07060-RIY in case the investor cashes in at the RHP, as requested in the "Costs over time" table.</xs:documentation>
                              <xs:documentation xml:lang="hu">07060-RIY in case the Befekteto cashes in at the RHP, as requested in the "Koltsegek over time" table.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0"
                                    name="One-off_costs_Portfolio_entry_cost"
                                    type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07070 - The entry cost in percentage term at 1Year</xs:documentation>
                              <xs:documentation xml:lang="de">07070 - Die Einstiegskosten in Prozent bei 1 Jahr</xs:documentation>
                              <xs:documentation xml:lang="fr">07070 - Le coût d'entrée en pourcentage à 1 an</xs:documentation>
                              <xs:documentation xml:lang="nl">07070 - De instapkosten in procentuele termen op 1 jaar</xs:documentation>
                              <xs:documentation xml:lang="es">07070 - Los costes de entrada en términos de porcentaje a 1 año</xs:documentation>
                              <xs:documentation xml:lang="it">07070 - Il costo di ingresso in termini percentuali a 1 anno</xs:documentation>
                              <xs:documentation xml:lang="cs">07070 - The entry cost in percentage term at 1Year</xs:documentation>
                              <xs:documentation xml:lang="hu">07070 - The entry Koltseg in Szazalek term at 1Year</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0"
                                    name="One-off_costs_Portfolio_exit_cost_RIY"
                                    type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07080-The exit cost in RIY terms, as requested in the "Composition of costs" table.</xs:documentation>
                              <xs:documentation xml:lang="de">07080-Die Ausstiegskosten in RIY-Einheiten, wie in der Tabelle "Zusammensetzung der Kosten" angefordert.</xs:documentation>
                              <xs:documentation xml:lang="fr">07080-Le coût de sortie en termes de RIY, comme demandé dans le tableau "Composition des coûts".</xs:documentation>
                              <xs:documentation xml:lang="nl">07080-De uitstapkosten in RIY-termen, zoals gevraagd in de tabel "Samenstelling van kosten".</xs:documentation>
                              <xs:documentation xml:lang="es">07080-Los costes de salida en términos de RIY, como se solicita en la tabla "Composición de costes".</xs:documentation>
                              <xs:documentation xml:lang="it">07080-Il costo di uscita in termini RIY, come richiesto nella tabella "Composizione dei costi".</xs:documentation>
                              <xs:documentation xml:lang="cs">07080-The exit cost in RIY terms, as requested in the "Composition of costs" table.</xs:documentation>
                              <xs:documentation xml:lang="hu">07080-The exit Koltseg in RIY terms, as requested in the "Composition of Koltsegek" table.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0"
                                    name="Ongoing_costs_Portfolio_transaction_costs"
                                    type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07090-The portfolio transaction costs in RIY terms, as requested in the "Composition of costs" table.</xs:documentation>
                              <xs:documentation xml:lang="de">07090-Die Portfolio-Transaktionskosten in RIY-Einheiten, wie in der Tabelle "Zusammensetzung der Kosten" angefordert.</xs:documentation>
                              <xs:documentation xml:lang="fr">07090-Les coûts de transaction du portefeuille en termes de RIY, comme demandé dans le tableau "Composition des coûts".</xs:documentation>
                              <xs:documentation xml:lang="nl">07090-De portefeuille transactiekosten in RIY-termen, zoals gevraagd in de tabel "Samenstelling van kosten".</xs:documentation>
                              <xs:documentation xml:lang="es">07090-Los costes de transacción de la cartera en términos de RIY, como se solicita en la tabla "Composición de costes".</xs:documentation>
                              <xs:documentation xml:lang="it">07090-I costi di transazione del portafoglio in termini RIY, come richiesto nella tabella "Composizione dei costi".</xs:documentation>
                              <xs:documentation xml:lang="cs">07090-The portfolio transaction costs in RIY terms, as requested in the "Composition of costs" table.</xs:documentation>
                              <xs:documentation xml:lang="hu">07090-The portfolio Tranzakcio Koltsegek in RIY terms, as requested in the "Composition of Koltsegek" table.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0"
                                    name="OngoingCostsManagementFeesAndOtherAdministrativeOrOperatingCosts"
                                    type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07100-The other ongoing costs in RIY terms  in percentage term at 1Year (or at RHP if RHP less 1 year), as requested in the narrative part of the "Composition of costs" table</xs:documentation>
                              <xs:documentation xml:lang="de">07100-Die sonstigen laufenden Kosten in RIY-Begriffen in Prozent zu 1 Jahr (oder zur RHP wenn RHP weniger als 1 Jahr), wie im narrativen Teil der Tabelle "Zusammensetzung der Kosten" angefordert</xs:documentation>
                              <xs:documentation xml:lang="fr">07100-The autre ongoing costs dans RIY terms  dans pourcentage term at 1Year (ou at RHP si RHP moins 1 year), comme requested dans narrative part de "Composition de costs" tableau</xs:documentation>
                              <xs:documentation xml:lang="nl">07100-The overig ongoing costs in RIY terms  in percentage term at 1Year (van at RHP als RHP minder 1 year), als requested in narrative part van "Composition van costs" tabel</xs:documentation>
                              <xs:documentation xml:lang="es">07100-The otro ongoing costs in RIY terms  in percentage term at 1Year (de at RHP si RHP minder 1 year), si requested in narrative part de "Composition de costs" tabla</xs:documentation>
                              <xs:documentation xml:lang="it">07100-Gli altri costi correnti in termini RIY in termini percentuali a 1 anno (o a RHP se RHP meno 1 anno), come richiesto nella parte narrativa della tabella "Composizione dei costi"</xs:documentation>
                              <xs:documentation xml:lang="cs">07100-The other ongoing costs in RIY terms  in percentage term at 1Year (or at RHP if RHP less 1 year), as requested in the narrative part of the "Composition of costs" table</xs:documentation>
                              <xs:documentation xml:lang="hu">07100-The other ongoing Koltsegek in RIY terms  in Szazalek term at 1Year (or at RHP if RHP less 1 Ev), as requested in the narrative part of the "Composition of Koltsegek" table</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0"
                                    name="IncidentalCostsPortfolioPerformanceFeesCarriedInterest"
                                    type="xs:decimal">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">07110-The performance fees in RIY terms, as requested in the "Composition of costs" table.</xs:documentation>
                              <xs:documentation xml:lang="de">07110-Die Performance-Gebühren in RIY-Einheiten, wie in der Tabelle "Zusammensetzung der Kosten" angefordert.</xs:documentation>
                              <xs:documentation xml:lang="fr">07110-Les commissions de performance en termes de RIY, comme demandé dans le tableau "Composition des coûts".</xs:documentation>
                              <xs:documentation xml:lang="nl">07110-De prestatiekosten in RIY-termen, zoals gevraagd in de tabel "Samenstelling van kosten".</xs:documentation>
                              <xs:documentation xml:lang="es">07110-Las comisiones de rendimiento en términos RIY, si se solicita en la tabla "Composición de costes".</xs:documentation>
                              <xs:documentation xml:lang="it">07110-Le commissioni di performance in termini RIY, come richiesto nella tabella "Composizione dei costi".</xs:documentation>
                              <xs:documentation xml:lang="cs">07110-The performance fees in RIY terms, as requested in the "Composition of costs" table.</xs:documentation>
                              <xs:documentation xml:lang="hu">07110-The performance fees in RIY terms, as requested in the "Composition of Koltsegek" table.</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                     </xs:sequence>
                  </xs:complexType>
               </xs:element>
               <xs:element minOccurs="0" name="CountrySpecificData">
                  <xs:annotation>
                     <xs:documentation xml:lang="en">Country-specific PRIIPs data extensions</xs:documentation>
                     <xs:documentation xml:lang="de">Länderspezifische PRIIPs-Datenerweiterungen</xs:documentation>
                     <xs:documentation xml:lang="fr">Extensions de données PRIIPs spécifiques par pays</xs:documentation>
                     <xs:documentation xml:lang="nl">Landspecifieke PRIIPs-gegevensuitbreidingen</xs:documentation>
                     <xs:documentation xml:lang="es">Extensiones de datos PRIIPs específicas por país</xs:documentation>
                     <xs:documentation xml:lang="it">Estensioni dati PRIIPs specifiche per paese</xs:documentation>
                     <xs:documentation xml:lang="hu">Országspecifikus PRIIPs adatbővítmények</xs:documentation>
                     <xs:documentation xml:lang="cs">Rozšíření dat PRIIPs specifická pro jednotlivé země</xs:documentation>
                  </xs:annotation>
                  <xs:complexType>
                     <xs:sequence>
                        <xs:element minOccurs="0" name="AT">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Austria-specific PRIIPs data (placeholder for future use)</xs:documentation>
                              <xs:documentation xml:lang="de">Österreich-spezifische PRIIPs-Daten (Platzhalter für künftige Nutzung)</xs:documentation>
                              <xs:documentation xml:lang="fr">Données PRIIPs spécifiques à l'Autriche (réservé pour utilisation future)</xs:documentation>
                              <xs:documentation xml:lang="nl">Oostenrijk-specifieke PRIIPs-gegevens (gereserveerd voor toekomstig gebruik)</xs:documentation>
                              <xs:documentation xml:lang="es">Datos PRIIPs específicos de Austria (reservado para uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="it">Dati PRIIPs specifici per l'Austria (riservato per uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="hu">Ausztria-specifikus PRIIPs adatok (jövőbeli használatra fenntartva)</xs:documentation>
                              <xs:documentation xml:lang="cs">Data PRIIPs specifická pro Rakousko (vyhrazeno pro budoucí použití)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="0"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="DE" type="PRIIPS_V2_Country_Specific_DE">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Specific data for German CAT IV PRIIPs (PIA model)</xs:documentation>
                              <xs:documentation xml:lang="de">Spezifisch Daten für German CAT IV PRIIPs (PIA model)</xs:documentation>
                              <xs:documentation xml:lang="fr">Spécifique données pour German CAT IV PRIIPs (PIA model)</xs:documentation>
                              <xs:documentation xml:lang="nl">Specifiek gegevens voor German CAT IV PRIIPs (PIA model)</xs:documentation>
                              <xs:documentation xml:lang="es">Especifico datos para German CAT IV PRIIPs (PIA model)</xs:documentation>
                              <xs:documentation xml:lang="it">Dati specifici per i PRIIP CAT IV tedeschi (modello PIA)</xs:documentation>
                              <xs:documentation xml:lang="cs">Specific data for German CAT IV PRIIPs (PIA model)</xs:documentation>
                              <xs:documentation xml:lang="hu">Specific Adat for German CAT IV PRIIPs (PIA model)</xs:documentation>
                           </xs:annotation>
                        </xs:element>
                        <xs:element minOccurs="0" name="DK">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Denmark-specific PRIIPs data (placeholder for future use)</xs:documentation>
                              <xs:documentation xml:lang="de">Dänemark-spezifische PRIIPs-Daten (Platzhalter für künftige Nutzung)</xs:documentation>
                              <xs:documentation xml:lang="fr">Données PRIIPs spécifiques au Danemark (réservé pour utilisation future)</xs:documentation>
                              <xs:documentation xml:lang="nl">Denemarken-specifieke PRIIPs-gegevens (gereserveerd voor toekomstig gebruik)</xs:documentation>
                              <xs:documentation xml:lang="es">Datos PRIIPs específicos de Dinamarca (reservado para uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="it">Dati PRIIPs specifici per la Danimarca (riservato per uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="hu">Dánia-specifikus PRIIPs adatok (jövőbeli használatra fenntartva)</xs:documentation>
                              <xs:documentation xml:lang="cs">Data PRIIPs specifická pro Dánsko (vyhrazeno pro budoucí použití)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="0"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="FR">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">France-specific PRIIPs data (placeholder for future use)</xs:documentation>
                              <xs:documentation xml:lang="de">Frankreich-spezifische PRIIPs-Daten (Platzhalter für künftige Nutzung)</xs:documentation>
                              <xs:documentation xml:lang="fr">Données PRIIPs spécifiques à la France (réservé pour utilisation future)</xs:documentation>
                              <xs:documentation xml:lang="nl">Frankrijk-specifieke PRIIPs-gegevens (gereserveerd voor toekomstig gebruik)</xs:documentation>
                              <xs:documentation xml:lang="es">Datos PRIIPs específicos de Francia (reservado para uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="it">Dati PRIIPs specifici per la Francia (riservato per uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="hu">Franciaország-specifikus PRIIPs adatok (jövőbeli használatra fenntartva)</xs:documentation>
                              <xs:documentation xml:lang="cs">Data PRIIPs specifická pro Francii (vyhrazeno pro budoucí použití)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="0"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="LU">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Luxembourg-specific PRIIPs data (placeholder for future use)</xs:documentation>
                              <xs:documentation xml:lang="de">Luxemburg-spezifische PRIIPs-Daten (Platzhalter für künftige Nutzung)</xs:documentation>
                              <xs:documentation xml:lang="fr">Données PRIIPs spécifiques au Luxembourg (réservé pour utilisation future)</xs:documentation>
                              <xs:documentation xml:lang="nl">Luxemburg-specifieke PRIIPs-gegevens (gereserveerd voor toekomstig gebruik)</xs:documentation>
                              <xs:documentation xml:lang="es">Datos PRIIPs específicos de Luxemburgo (reservado para uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="it">Dati PRIIPs specifici per il Lussemburgo (riservato per uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="hu">Luxemburg-specifikus PRIIPs adatok (jövőbeli használatra fenntartva)</xs:documentation>
                              <xs:documentation xml:lang="cs">Data PRIIPs specifická pro Lucembursko (vyhrazeno pro budoucí použití)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="0"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="NL">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Netherlands-specific PRIIPs data (placeholder for future use)</xs:documentation>
                              <xs:documentation xml:lang="de">Niederlande-spezifische PRIIPs-Daten (Platzhalter für künftige Nutzung)</xs:documentation>
                              <xs:documentation xml:lang="fr">Données PRIIPs spécifiques aux Pays-Bas (réservé pour utilisation future)</xs:documentation>
                              <xs:documentation xml:lang="nl">Nederland-specifieke PRIIPs-gegevens (gereserveerd voor toekomstig gebruik)</xs:documentation>
                              <xs:documentation xml:lang="es">Datos PRIIPs específicos de Países Bajos (reservado para uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="it">Dati PRIIPs specifici per i Paesi Bassi (riservato per uso futuro)</xs:documentation>
                              <xs:documentation xml:lang="hu">Hollandia-specifikus PRIIPs adatok (jövőbeli használatra fenntartva)</xs:documentation>
                              <xs:documentation xml:lang="cs">Data PRIIPs specifická pro Nizozemsko (vyhrazeno pro budoucí použití)</xs:documentation>
                           </xs:annotation>
                           <xs:simpleType>
                              <xs:restriction base="xs:string">
                                 <xs:maxLength value="0"/>
                              </xs:restriction>
                           </xs:simpleType>
                        </xs:element>
                        <xs:element minOccurs="0" name="UK">
                           <xs:annotation>
                              <xs:documentation xml:lang="en">Additional information required according to EPT V2.1</xs:documentation>
                              <xs:documentation xml:lang="de">Zusätzlich Information erforderlich gemäß EPT V2.1</xs:documentation>
                              <xs:documentation xml:lang="fr">Supplémentaire information requis selon EPT V2.1</xs:documentation>
                              <xs:documentation xml:lang="nl">Aanvullend informatie vereist volgens EPT V2.1</xs:documentation>
                              <xs:documentation xml:lang="es">Aanvullend informacion requerido segun EPT V2.1</xs:documentation>
                              <xs:documentation xml:lang="it">Ulteriori informazioni richieste secondo EPT V2.1</xs:documentation>
                              <xs:documentation xml:lang="cs">Additional information required according to EPT V2.1</xs:documentation>
                              <xs:documentation xml:lang="hu">Additional Informacio required according to EPT V2.1</xs:documentation>
                           </xs:annotation>
                           <xs:complexType>
                              <xs:sequence>
                                 <xs:element name="UKPRIIPOrUCITSOrBoth">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08010 Indicates if the line contains UK PRIIPs data, UCITS data or Both</xs:documentation>
                                       <xs:documentation xml:lang="de">08010 Gibt an, ob die Zeile UK PRIIPs-Daten, UCITS-Daten oder beides enthält</xs:documentation>
                                       <xs:documentation xml:lang="fr">08010 Indicates si line contains UK PRIIPs données, UCITS données ou Both</xs:documentation>
                                       <xs:documentation xml:lang="nl">08010 Indicates als line contains UK PRIIPs gegevens, UCITS gegevens van Both</xs:documentation>
                                       <xs:documentation xml:lang="es">08010 Indica si line contains UK PRIIPs datos, UCITS datos de Both</xs:documentation>
                                       <xs:documentation xml:lang="it">08010 Indica se la riga contiene dati PRIIP UK, dati OICVM o entrambi</xs:documentation>
                                       <xs:documentation xml:lang="cs">08010 Indicates if the line contains UK PRIIPs data, UCITS data or Both</xs:documentation>
                                       <xs:documentation xml:lang="hu">08010 Indicates if the line contains UK PRIIPs Adat, UCITS Adat or Both</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:string">
                                          <xs:enumeration value="UKPRIIP"/>
                                          <xs:enumeration value="UCITS"/>
                                          <xs:enumeration value="Both"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKOngoingCostsPortfolioTransactionCosts" type="xs:decimal">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08020-See UK PRIIPs definition for PRIIPs other than UCITS/NURS.
UCITS/NURS may follow alternative definitions.
Express as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="de">08020-Siehe UK PRIIPs definition für PRIIPs Sonstig than UCITS/NURS.
UCITS/NURS may follow alternative definitions.
Express als ein % von NAV von Portfolio, funds oder Anteilsklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="fr">08020-Voir UK PRIIPs definition pour PRIIPs autre than UCITS/NURS.
UCITS/NURS may follow alternative definitions.
Express comme un % de NAV de portefeuille, funds ou classe d'actions / per annum</xs:documentation>
                                       <xs:documentation xml:lang="nl">08020-Zie UK PRIIPs definition voor PRIIPs overig than UCITS/NURS.
UCITS/NURS may follow alternative definitions.
Express als een % van NAV van portefeuille, funds van aandelenklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="es">08020-Zie UK PRIIPs definition voor PRIIPs overig than UCITS/NURS.
UCITS/NURS may follow alternative definitions.
Express als een % van NAV van portefeuille, funds van aandelenklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="it">08020-Vedere la definizione UK PRIIP per PRIIP diversi da UCITS/NURS.
OICVM/NURS possono seguire definizioni alternative.
Espresso in % del NAV del portafoglio, dei fondi o della classe di azioni / annuo</xs:documentation>
                                       <xs:documentation xml:lang="cs">08020-See UK PRIIPs definition for PRIIPs other than UCITS/NURS.
UCITS/NURS may follow alternative definitions.
Express as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="hu">08020-See UK PRIIPs definition for PRIIPs other than UCITS/NURS.
UCITS/NURS may follow alternative definitions.
Express as a % of NAV of the portfolio, the funds or the Sorozat / per annum</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="UKTransactionscostsmethodology">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08030 1 New PRIIPS methodology
2 Full UK PRIIPS methodology
3 Other methodology</xs:documentation>
                                       <xs:documentation xml:lang="de">08030 1 Neue PRIIPs-Methodik
2 Vollständige UK PRIIPs-Methodik
3 Andere Methodik</xs:documentation>
                                       <xs:documentation xml:lang="fr">08030 1 New PRIIPS methodology
2 Full UK PRIIPS methodology
3 Autre methodology</xs:documentation>
                                       <xs:documentation xml:lang="nl">08030 1 New PRIIPS methodology
2 Full UK PRIIPS methodology
3 Overig methodology</xs:documentation>
                                       <xs:documentation xml:lang="es">08030 1 New PRIIPS methodology
2 Full UK PRIIPS methodology
3 Overig methodology</xs:documentation>
                                       <xs:documentation xml:lang="it">08030 1 Nuova metodologia PRIIPS
2 Metodologia PRIIPS completa del Regno Unito
3 Altra metodologia</xs:documentation>
                                       <xs:documentation xml:lang="cs">08030 1 New PRIIPS methodology
2 Full UK PRIIPS methodology
3 Other methodology</xs:documentation>
                                       <xs:documentation xml:lang="hu">08030 1 New PRIIPs methodology
2 Full UK PRIIPs methodology
3 Other methodology</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:short">
                                          <xs:minInclusive value="1"/>
                                          <xs:maxInclusive value="3"/>
                                          <xs:enumeration value="1"/>
                                          <xs:enumeration value="2"/>
                                          <xs:enumeration value="3"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKAntiDilutionBenefitDerived" type="xs:decimal">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08040 Information about the total benefit derived from an anti-dilution mechanism floating decimal. 100%= 1,     5%= 0,05</xs:documentation>
                                       <xs:documentation xml:lang="de">08040 Information about gesamt benefit derived von ein anti-dilution mechanism floating decimal. 100%= 1, 5%= 0,05</xs:documentation>
                                       <xs:documentation xml:lang="fr">08040 Information about total benefit derived de un anti-dilution mechanism floating decimal. 100%= 1, 5%= 0,05</xs:documentation>
                                       <xs:documentation xml:lang="nl">08040 Informatie about totaal benefit derived van een anti-dilution mechanism floating decimal. 100%= 1, 5%= 0,05</xs:documentation>
                                       <xs:documentation xml:lang="es">08040 Informacion about totaal benefit derived de un anti-dilution mechanism floating decimal. 100%= 1, 5%= 0,05</xs:documentation>
                                       <xs:documentation xml:lang="it">08040 Informazioni sul beneficio totale derivante da un meccanismo antidiluizione decimale mobile. 100%= 1,5%= 0,05</xs:documentation>
                                       <xs:documentation xml:lang="cs">08040 Information about the total benefit derived from an anti-dilution mechanism floating decimal. 100%= 1,     5%= 0,05</xs:documentation>
                                       <xs:documentation xml:lang="hu">08040 Informacio about the Osszesen benefit derived from an anti-dilution mechanism floating decimal. 100%= 1,     5%= 0,05</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="UKPRIIPsDataReferenceDate" type="xs:date">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08045 The date to which the UK PRIIPs data in this section relates</xs:documentation>
                                       <xs:documentation xml:lang="de">08045 Das Datum, auf das sich die UK PRIIPs-Daten in diesem Abschnitt beziehen</xs:documentation>
                                       <xs:documentation xml:lang="fr">08045 La date à laquelle se rapportent les données UK PRIIPs de cette section</xs:documentation>
                                       <xs:documentation xml:lang="nl">08045 De datum waarop de UK PRIIPs-gegevens in deze sectie betrekking hebben</xs:documentation>
                                       <xs:documentation xml:lang="es">08045 La fecha a la que se refieren los datos de UK PRIIPs en esta sección</xs:documentation>
                                       <xs:documentation xml:lang="it">08045 La data a cui si riferiscono i dati PRIIP del Regno Unito presenti in questa sezione</xs:documentation>
                                       <xs:documentation xml:lang="cs">08045 The date to which the UK PRIIPs data in this section relates</xs:documentation>
                                       <xs:documentation xml:lang="hu">08045 The Datum to which the UK PRIIPs Adat in this Szakasz relates</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="UKPRIIPsKIDPublicationDate" type="xs:date">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08050 Date of the latest UK PRIIPs KID produced for the portfolio or share class.</xs:documentation>
                                       <xs:documentation xml:lang="de">08050 Datum von latest UK PRIIPs KID produced für Portfolio oder Anteilsklasse.</xs:documentation>
                                       <xs:documentation xml:lang="fr">08050 Date de latest UK PRIIPs KID produced pour portefeuille ou classe d'actions.</xs:documentation>
                                       <xs:documentation xml:lang="nl">08050 Datum van latest UK PRIIPs KID produced voor portefeuille van aandelenklasse.</xs:documentation>
                                       <xs:documentation xml:lang="es">08050 Fecha de latest UK PRIIPs KID produced para cartera de clase de acciones.</xs:documentation>
                                       <xs:documentation xml:lang="it">08050 Data degli ultimi PRIIP KID del Regno Unito prodotti per il portafoglio o la classe di azioni.</xs:documentation>
                                       <xs:documentation xml:lang="cs">08050 Date of the latest UK PRIIPs KID produced for the portfolio or share class.</xs:documentation>
                                       <xs:documentation xml:lang="hu">08050 Datum of the latest UK PRIIPs KID produced for the portfolio or Sorozat.</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="UKPRIIPsKIDWebAddress" type="xs:anyURI">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08060 Direct link to the UK PRIIPs KID</xs:documentation>
                                       <xs:documentation xml:lang="de">08060 Direct link zu UK PRIIPs KID</xs:documentation>
                                       <xs:documentation xml:lang="fr">08060 Direct link à UK PRIIPs KID</xs:documentation>
                                       <xs:documentation xml:lang="nl">08060 Direct link naar UK PRIIPs KID</xs:documentation>
                                       <xs:documentation xml:lang="es">08060 Direct link hacia UK PRIIPs KID</xs:documentation>
                                       <xs:documentation xml:lang="it">08060 Collegamento diretto al PRIIP KID del Regno Unito</xs:documentation>
                                       <xs:documentation xml:lang="cs">08060 Direct link to the UK PRIIPs KID</xs:documentation>
                                       <xs:documentation xml:lang="hu">08060 Direct link to the UK PRIIPs KID</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="InvestmentObjectivePortfolio">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08070 "Text in reference language, as proposed by the asset manager

Information stating the objectives of the PRIIP and the means for achieving those objectives in the section entitled ‘What is this product?’ of the key information document shall be summarised in a brief, clear and easily understandable manner. That information shall identify the main factors upon which return depends, the underlying investment assets or reference values, and how the return is determined, as well as the relationship between the PRIIP’s return and that of the underlying investment assets or reference values."</xs:documentation>
                                       <xs:documentation xml:lang="de">08070 "Text in Referenz language, als proposed durch Vermögenswert Manager

Information stating objectives von PRIIP und means für achieving those objectives in Abschnitt entitled ‘What ist dies product?’ von key Information document shall be summarised in ein brief, clear und easily understandable manner. That Information shall identify main factors upon welche Rendite depends, Basiswert Anlage assets oder Referenz values, und wie Rendite ist determined, als well als relationship between PRIIP’s Rendite und dass von Basiswert Anlage assets oder Referenz values."</xs:documentation>
                                       <xs:documentation xml:lang="fr">08070 "Text dans référence language, comme proposed par actif gestionnaire

Information stating objectives de PRIIP et means pour achieving those objectives dans section entitled ‘What est ce product?’ de key information document shall be summarised dans un brief, clear et easily understandable manner. That information shall identify main factors upon qui rendement depends, sous-jacent investissement assets ou référence values, et comment rendement est determined, comme well comme relationship between PRIIP’s rendement et que de sous-jacent investissement assets ou référence values."</xs:documentation>
                                       <xs:documentation xml:lang="nl">08070 "Text in referentie language, als proposed door actief beheerder
Informatie stating objectives van PRIIP en means voor achieving those objectives in sectie entitled ‘What is dit product?’ van key informatie document shall be summarised in een brief, clear en easily understandable manner. That informatie shall identify main factors upon welke rendement depends, onderliggende waarde belegging assets van referentie values, en hoe rendement is determined, als well als relationship between PRIIP’s rendement en dat van onderliggende waarde belegging assets van referentie values."</xs:documentation>
                                       <xs:documentation xml:lang="es">08070 "Text in referencia language, als proposed door actief beheerder
Informatie stating objectives van PRIIP en means voor achieving those objectives in sectie entitled ‘What is dit producto?’ van key información documento shall be summarised in een brief, clear en easily understandable manner. That información shall identify main factors upon welke rendimiento depends, onderliggende valor inversión assets van referencia values, en hoe rendimiento is determined, als well als relationship between PRIIP’s rendimiento en dat van onderliggende valor inversión assets van referencia values."</xs:documentation>
                                       <xs:documentation xml:lang="it">08070 "Testo nella lingua di riferimento, come proposto dal gestore patrimoniale

Le informazioni che indicano gli obiettivi del PRIIP e i mezzi per raggiungerli nella sezione intitolata "Cos'è questo prodotto?" del documento contenente le informazioni chiave sono riepilogate in modo breve, chiaro e facilmente comprensibile. Tali informazioni individuano i principali fattori da cui dipende il rendimento, le attività di investimento sottostanti o i valori di riferimento e le modalità con cui viene determinato il rendimento, nonché la relazione tra il rendimento del PRIIP e quello delle attività di investimento o valori di riferimento sottostanti."</xs:documentation>
                                       <xs:documentation xml:lang="cs">08070 "Text in reference language, as proposed by the asset manager

Information stating the objectives of the PRIIP and the means for achieving those objectives in the section entitled ‘What is this product?’ of the key information document shall be summarised in a brief, clear and easily understandable manner. That information shall identify the main factors upon which return depends, the underlying investment assets or reference values, and how the return is determined, as well as the relationship between the PRIIP’s return and that of the underlying investment assets or reference values."</xs:documentation>
                                       <xs:documentation xml:lang="hu">08070 "Text in reference language, as proposed by the Eszkoz manager

Informacio stating the objectives of the PRIIP and the means for achieving those objectives in the Szakasz entitled ‘What is this product?’ of the Kiemelt Informaciokat Tartalmazo Dokumentum shall be summarised in a brief, clear and easily understandable manner. That Informacio shall identify the main factors upon which Hozam depends, the underlying Befektetes assets or reference values, and how the Hozam is determined, as well as the relationship between the PRIIP’s Hozam and that of the underlying Befektetes assets or reference values."</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:string">
                                          <xs:maxLength value="2500"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKOtherMateriallyRelevantRiskNarrativePortfolio">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08080 Text in reference language, as proposed by the asset managers : (Element E)
[Where applicable: element h] [Other risks materially relevant to the PRIIP not included in the summary risk indicator to be explained with a maximum of 400 characters]
The field shall contain well-formulated text which can be used directly by the insurer in the KID according to article 14 of the regulation.</xs:documentation>
                                       <xs:documentation xml:lang="de">08080 Text in Referenz language, als proposed durch Vermögenswert managers : (Element E)
[Where applicable: Element h] [Sonstig risks materially relevant zu PRIIP nicht included in summary Risiko Indikator zu be explained mit ein maximum von 400 characters]
The Feld shall contain well-formulated text welche can be used directly durch insurer in KID gemäß article 14 von regulation.</xs:documentation>
                                       <xs:documentation xml:lang="fr">08080 Text dans référence language, comme proposed par actif managers : (Élément E)
[Where applicable: élément h] [Autre risks materially relevant à PRIIP pas included dans summary risque indicateur à be explained avec un maximum de 400 characters]
The champ shall contain well-formulated text qui can be used directly par insurer dans KID selon article 14 de regulation.</xs:documentation>
                                       <xs:documentation xml:lang="nl">08080 Text in referentie language, als proposed door actief managers : (Element E)
[Where applicable: element h] [Overig risks materially relevant naar PRIIP niet included in summary risico indicator naar be explained met een maximum van 400 characters]
The veld shall contain well-formulated text welke can be used directly door insurer in KID volgens article 14 van regulation.</xs:documentation>
                                       <xs:documentation xml:lang="es">08080 Text in referencia language, als proposed door actief managers : (Element E)
[Where applicable: element h] [Overig risks materially relevant naar PRIIP niet included in summary riesgo indicator naar be explained met een maximum van 400 characters]
The campo shall contain well-formulated text welke can be used directly door insurer in KID volgens article 14 van regulation.</xs:documentation>
                                       <xs:documentation xml:lang="it">08080 Testo nella lingua di riferimento, come proposto dai gestori patrimoniali: (Elemento E)
[Se applicabile: elemento h] [Altri rischi sostanzialmente rilevanti per il PRIIP non inclusi nell'indicatore sintetico di rischio da spiegare con un massimo di 400 caratteri]
Il campo deve contenere un testo ben formulato che possa essere utilizzato direttamente dall'assicuratore nel KID ai sensi dell'articolo 14 del regolamento.</xs:documentation>
                                       <xs:documentation xml:lang="cs">08080 Text in reference language, as proposed by the asset managers : (Element E)
[Where applicable: element h] [Other risks materially relevant to the PRIIP not included in the summary risk indicator to be explained with a maximum of 400 characters]
The field shall contain well-formulated text which can be used directly by the insurer in the KID according to article 14 of the regulation.</xs:documentation>
                                       <xs:documentation xml:lang="hu">08080 Text in reference language, as proposed by the Eszkoz managers : (Element E)
[Where applicable: element h] [Other risks materially relevant to the PRIIP not included in the Osszefoglalo Kockazati Mutato to be explained with a maximum of 400 characters]
The Mezo shall contain well-formulated text which can be used directly by the insurer in the KID according to article 14 of the Szabalyozas.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:string">
                                          <xs:maxLength value="400"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKPerformanceInformationMainFactors">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08090 A description of the main factors likely to affect future returns for the investor, identifying those most likely to determine the outcome of the investment and other factors which could have a material impact on performance.</xs:documentation>
                                       <xs:documentation xml:lang="de">08090 A Beschreibung von main factors likely zu affect future returns für Anleger, identifying those meist likely zu determine outcome von Anlage und Sonstig factors welche could haben ein material impact on Performance.</xs:documentation>
                                       <xs:documentation xml:lang="fr">08090 A description de main factors likely à affect future returns pour investisseur, identifying those plus likely à determine outcome de investissement et autre factors qui could ont un material impact on performance.</xs:documentation>
                                       <xs:documentation xml:lang="nl">08090 A beschrijving van main factors likely naar affect future returns voor belegger, identifying those meest likely naar determine outcome van belegging en overig factors welke could hebben een material impact on prestatie.</xs:documentation>
                                       <xs:documentation xml:lang="es">08090 A descripcion de main factors likely hacia affect future returns para inversor, identifying those meest likely hacia determine outcome de inversion y otro factors cual could hebben un material impact on rendimiento.</xs:documentation>
                                       <xs:documentation xml:lang="it">08090 Una descrizione dei principali fattori che potrebbero influenzare i rendimenti futuri dell'investitore, identificando quelli che con maggiore probabilità determineranno il risultato dell'investimento e altri fattori che potrebbero avere un impatto materiale sulla performance.</xs:documentation>
                                       <xs:documentation xml:lang="cs">08090 A description of the main factors likely to affect future returns for the investor, identifying those most likely to determine the outcome of the investment and other factors which could have a material impact on performance.</xs:documentation>
                                       <xs:documentation xml:lang="hu">08090 A Leiras of the main factors likely to affect future returns for the Befekteto, identifying those most likely to determine the outcome of the Befektetes and other factors which could have a material impact on performance.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:string">
                                          <xs:maxLength value="4000"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKPerformanceInformationComparator">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08100 Identification of the most relevant index, benchmark, target, or proxy, as applicable, along with an explanation of how the PRIIP is likely to compare in terms of performance and volatility.</xs:documentation>
                                       <xs:documentation xml:lang="de">08100 Identification von meist relevant index, benchmark, target, oder proxy, als applicable, along mit ein explanation von wie PRIIP ist likely zu compare in terms von Performance und Volatilität.</xs:documentation>
                                       <xs:documentation xml:lang="fr">08100 Identification de plus relevant index, benchmark, target, ou proxy, comme applicable, along avec un explanation de comment PRIIP est likely à compare dans terms de performance et volatilité.</xs:documentation>
                                       <xs:documentation xml:lang="nl">08100 Identification van meest relevant index, benchmark, target, van proxy, als applicable, along met een explanation van hoe PRIIP is likely naar compare in terms van prestatie en volatiliteit.</xs:documentation>
                                       <xs:documentation xml:lang="es">08100 Identification de meest relevant index, benchmark, target, de proxy, si applicable, along con un explanation de hoe PRIIP es likely hacia compare in terms de rendimiento y volatilidad.</xs:documentation>
                                       <xs:documentation xml:lang="it">08100 Identificazione dell'indice, benchmark, obiettivo o proxy più rilevante, a seconda dei casi, insieme a una spiegazione di come è probabile che il PRIIP si collochi in termini di performance e volatilità.</xs:documentation>
                                       <xs:documentation xml:lang="cs">08100 Identification of the most relevant index, benchmark, target, or proxy, as applicable, along with an explanation of how the PRIIP is likely to compare in terms of performance and volatility.</xs:documentation>
                                       <xs:documentation xml:lang="hu">08100 Identification of the most relevant index, benchmark, target, or proxy, as applicable, along with an explanation of how the PRIIP is likely to compare in terms of performance and volatility.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:string">
                                          <xs:maxLength value="1000"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKPerformanceInformationHigherReturns">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08110 A brief explanation of the kinds of conditions that would be conducive to the PRIIP generating higher returns.</xs:documentation>
                                       <xs:documentation xml:lang="de">08110 Eine kurze Erläuterung der Bedingungen, die dazu beitragen würden, dass das PRIIP höhere Renditen erzielt.</xs:documentation>
                                       <xs:documentation xml:lang="fr">08110 A brief explanation de kinds de conditions que would be conducive à PRIIP generating higher returns.</xs:documentation>
                                       <xs:documentation xml:lang="nl">08110 A brief explanation van kinds van conditions dat would be conducive naar PRIIP generating higher returns.</xs:documentation>
                                       <xs:documentation xml:lang="es">08110 A brief explanation de kinds de conditions dat would be conducive hacia PRIIP generating higher returns.</xs:documentation>
                                       <xs:documentation xml:lang="it">08110 Una breve spiegazione delle tipologie di condizioni che potrebbero favorire la generazione di rendimenti più elevati da parte del PRIIP.</xs:documentation>
                                       <xs:documentation xml:lang="cs">08110 A brief explanation of the kinds of conditions that would be conducive to the PRIIP generating higher returns.</xs:documentation>
                                       <xs:documentation xml:lang="hu">08110 A brief explanation of the kinds of conditions that would be conducive to the PRIIP generating higher returns.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:string">
                                          <xs:maxLength value="1000"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKPerformanceInformationLowerReturnsOrLoss">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08120 A brief explanation of the kinds of conditions whereby the PRIIP is likely to generate lower returns or lead to investment loss.</xs:documentation>
                                       <xs:documentation xml:lang="de">08120 A brief explanation von kinds von conditions whereby PRIIP ist likely zu generate lower returns oder lead zu Anlage loss.</xs:documentation>
                                       <xs:documentation xml:lang="fr">08120 A brief explanation de kinds de conditions whereby PRIIP est likely à generate lower returns ou lead à investissement loss.</xs:documentation>
                                       <xs:documentation xml:lang="nl">08120 A brief explanation van kinds van conditions whereby PRIIP is likely naar generate lower returns van lead naar belegging loss.</xs:documentation>
                                       <xs:documentation xml:lang="es">08120 A brief explanation de kinds de conditions whereby PRIIP es likely hacia generate lower returns de lead hacia inversion loss.</xs:documentation>
                                       <xs:documentation xml:lang="it">08120 Una breve spiegazione delle tipologie di condizioni in cui è probabile che il PRIIP generi rendimenti inferiori o comporti perdite sull'investimento.</xs:documentation>
                                       <xs:documentation xml:lang="cs">08120 A brief explanation of the kinds of conditions whereby the PRIIP is likely to generate lower returns or lead to investment loss.</xs:documentation>
                                       <xs:documentation xml:lang="hu">08120 A brief explanation of the kinds of conditions whereby the PRIIP is likely to generate lower returns or lead to Befektetes Veszteseg.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:string">
                                          <xs:maxLength value="1000"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKPerformanceInformationAdverseConditions">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08130 A brief description of what outcome the investor may expect where the PRIIP matures or is redeemed or encashed under severely adverse market conditions.</xs:documentation>
                                       <xs:documentation xml:lang="de">08130 A brief Beschreibung von what outcome Anleger may expect wo PRIIP matures oder ist redeemed oder encashed under severely adverse Markt conditions.</xs:documentation>
                                       <xs:documentation xml:lang="fr">08130 A brief description de what outcome investisseur may expect où PRIIP matures ou est redeemed ou encashed under severely adverse marché conditions.</xs:documentation>
                                       <xs:documentation xml:lang="nl">08130 A brief beschrijving van what outcome belegger may expect waar PRIIP matures van is redeemed van encashed under severely adverse markt conditions.</xs:documentation>
                                       <xs:documentation xml:lang="es">08130 A brief descripcion de what outcome inversor may expect waar PRIIP matures de es redeemed de encashed under severely adverse mercado conditions.</xs:documentation>
                                       <xs:documentation xml:lang="it">08130 Breve descrizione del risultato che l'investitore può aspettarsi nel caso in cui il PRIIP scada o venga rimborsato o incassato in condizioni di mercato gravemente avverse.</xs:documentation>
                                       <xs:documentation xml:lang="cs">08130 A brief description of what outcome the investor may expect where the PRIIP matures or is redeemed or encashed under severely adverse market conditions.</xs:documentation>
                                       <xs:documentation xml:lang="hu">08130 A brief Leiras of what outcome the Befekteto may expect where the PRIIP matures or is redeemed or encashed under severely adverse market conditions.</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:string">
                                          <xs:maxLength value="1000"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UKAssumedPortfolioReturn" type="xs:decimal">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08140 The performance used as the annual internal rate of return for estimating future benefit payments when calculating summary cost indicators</xs:documentation>
                                       <xs:documentation xml:lang="de">08140 Die als jährlicher interner Zinssatz verwendete Performance für die Schätzung künftiger Leistungszahlungen bei der Berechnung zusammenfassender Kostenindikatoren</xs:documentation>
                                       <xs:documentation xml:lang="fr">08140 La performance utilisée comme taux de rendement interne annuel pour estimer les paiements de prestations futurs lors du calcul des indicateurs de coût synthétiques</xs:documentation>
                                       <xs:documentation xml:lang="nl">08140 De prestatie die wordt gebruikt als jaarlijks intern rendement voor het schatten van toekomstige uitkeringen bij het berekenen van samenvattende kostenindicatoren</xs:documentation>
                                       <xs:documentation xml:lang="es">08140 El rendimiento utilizado como tasa interna de rendimiento anual para estimar los pagos de beneficios futuros al calcular los indicadores de costes resumidos</xs:documentation>
                                       <xs:documentation xml:lang="it">08140 La performance utilizzata come tasso interno annuo di rendimento per la stima dei pagamenti futuri delle prestazioni nel calcolo degli indicatori sintetici di costo</xs:documentation>
                                       <xs:documentation xml:lang="cs">08140 The performance used as the annual internal rate of return for estimating future benefit payments when calculating summary cost indicators</xs:documentation>
                                       <xs:documentation xml:lang="hu">08140 The performance used as the Eves internal Arfolyam of Hozam for estimating future benefit payments when calculating summary Koltseg indicators</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="UCITSKIIDPublicationDate" type="xs:date">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08150 Date of the latest UCITS KIID produced for the portfolio or share class.</xs:documentation>
                                       <xs:documentation xml:lang="de">08150 Datum von latest UCITS KIID produced für Portfolio oder Anteilsklasse.</xs:documentation>
                                       <xs:documentation xml:lang="fr">08150 Date de latest UCITS KIID produced pour portefeuille ou classe d'actions.</xs:documentation>
                                       <xs:documentation xml:lang="nl">08150 Datum van latest UCITS KIID produced voor portefeuille van aandelenklasse.</xs:documentation>
                                       <xs:documentation xml:lang="es">08150 Fecha de latest UCITS KIID produced para cartera de clase de acciones.</xs:documentation>
                                       <xs:documentation xml:lang="it">08150 Data dell'ultimo KIID OICVM prodotto per il portafoglio o la classe di azioni.</xs:documentation>
                                       <xs:documentation xml:lang="cs">08150 Date of the latest UCITS KIID produced for the portfolio or share class.</xs:documentation>
                                       <xs:documentation xml:lang="hu">08150 Datum of the latest UCITS KIID produced for the portfolio or Sorozat.</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="UCITSKIIDWebAddress" type="xs:anyURI">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08160 Direct link to the UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="de">08160 Direct link zu UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="fr">08160 Direct link à UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="nl">08160 Direct link naar UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="es">08160 Direct link hacia UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="it">08160 Link diretto al KIID OICVM</xs:documentation>
                                       <xs:documentation xml:lang="cs">08160 Direct link to the UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="hu">08160 Direct link to the UCITS KIID</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element minOccurs="0" name="UCITSSRRI">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08170 -The SRRI of the Valid UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="de">08170 - Der SRRI des gültigen UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="fr">08170 -Le SRRI du KIID OPCVM valide</xs:documentation>
                                       <xs:documentation xml:lang="nl">08170 - De SRRI van geldige ICBE KIID</xs:documentation>
                                       <xs:documentation xml:lang="es">08170 -Le SRRI du KIID OPCVM valide</xs:documentation>
                                       <xs:documentation xml:lang="it">08170 -L'SRRI del KIID OICVM valido</xs:documentation>
                                       <xs:documentation xml:lang="cs">08170 -The SRRI of the Valid UCITS KIID</xs:documentation>
                                       <xs:documentation xml:lang="hu">08170 -The SRRI of the Valid UCITS KIID</xs:documentation>
                                    </xs:annotation>
                                    <xs:simpleType>
                                       <xs:restriction base="xs:short">
                                          <xs:enumeration value="1"/>
                                          <xs:enumeration value="2"/>
                                          <xs:enumeration value="3"/>
                                          <xs:enumeration value="4"/>
                                          <xs:enumeration value="5"/>
                                          <xs:enumeration value="6"/>
                                          <xs:enumeration value="7"/>
                                       </xs:restriction>
                                    </xs:simpleType>
                                 </xs:element>
                                 <xs:element name="UCITSOngoingCharges" type="xs:decimal">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08180-See UCITS definition as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="de">08180-Siehe UCITS definition als ein % von NAV von Portfolio, funds oder Anteilsklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="fr">08180-Voir UCITS definition comme un % de NAV de portefeuille, funds ou classe d'actions / per annum</xs:documentation>
                                       <xs:documentation xml:lang="nl">08180-Zie UCITS definition als een % van NAV van portefeuille, funds van aandelenklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="es">08180-Ver UCITS definition si un % de NAV de cartera, funds de clase de acciones / per annum</xs:documentation>
                                       <xs:documentation xml:lang="it">08180-Vedi definizione OICVM come % del NAV del portafoglio, dei fondi o della classe di azioni / annuo</xs:documentation>
                                       <xs:documentation xml:lang="cs">08180-See UCITS definition as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="hu">08180-See UCITS definition as a % of NAV of the portfolio, the funds or the Sorozat / per annum</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element name="UCITSExistingPerformanceFees" type="YesNoType">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08190 -Indicates whether there are existing performance fees or carried interest</xs:documentation>
                                       <xs:documentation xml:lang="de">08190 - Zeigt an, ob bestehende Performance-Gebühren oder Carried Interest vorhanden sind</xs:documentation>
                                       <xs:documentation xml:lang="fr">08190 -Indique s'il existe des commissions de performance ou des intérêts différés</xs:documentation>
                                       <xs:documentation xml:lang="nl">08190 - Geeft aan of er bestaande prestatiekosten of gedragen rente zijn</xs:documentation>
                                       <xs:documentation xml:lang="es">08190-Indica si existen comisiones de rendimiento o carried interest</xs:documentation>
                                       <xs:documentation xml:lang="it">08190 -Indica se esistono commissioni di performance o carry interest</xs:documentation>
                                       <xs:documentation xml:lang="cs">08190 -Indicates whether there are existing performance fees or carried interest</xs:documentation>
                                       <xs:documentation xml:lang="hu">08190 -Indicates whether there are existing performance fees or carried interest</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                                 <xs:element minOccurs="0" name="UCITSPerformanceFees" type="xs:decimal">
                                    <xs:annotation>
                                       <xs:documentation xml:lang="en">08200-See UCITS definition as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="de">08200-Siehe UCITS definition als ein % von NAV von Portfolio, funds oder Anteilsklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="fr">08200-Voir UCITS definition comme un % de NAV de portefeuille, funds ou classe d'actions / per annum</xs:documentation>
                                       <xs:documentation xml:lang="nl">08200-Zie UCITS definition als een % van NAV van portefeuille, funds van aandelenklasse / per annum</xs:documentation>
                                       <xs:documentation xml:lang="es">08200-Ver UCITS definition si un % de NAV de cartera, funds de clase de acciones / per annum</xs:documentation>
                                       <xs:documentation xml:lang="it">08200-Vedere la definizione di OICVM come percentuale del NAV del portafoglio, dei fondi o della classe di azioni / annuo</xs:documentation>
                                       <xs:documentation xml:lang="cs">08200-See UCITS definition as a % of NAV of the portfolio, the funds or the share class / per annum</xs:documentation>
                                       <xs:documentation xml:lang="hu">08200-See UCITS definition as a % of NAV of the portfolio, the funds or the Sorozat / per annum</xs:documentation>
                                    </xs:annotation>
                                 </xs:element>
                              </xs:sequence>
                           </xs:complexType>
                        </xs:element>
                     </xs:sequence>
                  </xs:complexType>
               </xs:element>
            </xs:sequence>
         </xs:complexType>
      </xs:element>
      <xs:element minOccurs="0" name="CEPTV2History" type="CEPTV2HistoryType">
         <xs:annotation>
            <xs:documentation xml:lang="en">CEPT V2 historical price data for the financial instrument</xs:documentation>
            <xs:documentation xml:lang="de">CEPT V2 historische Preisdaten für das Finanzinstrument</xs:documentation>
            <xs:documentation xml:lang="fr">Données de prix historiques CEPT V2 pour l'instrument financier</xs:documentation>
            <xs:documentation xml:lang="nl">CEPT V2 historische prijsgegevens voor het financieel instrument</xs:documentation>
            <xs:documentation xml:lang="es">Datos de precios históricos CEPT V2 para el instrumento financiero</xs:documentation>
            <xs:documentation xml:lang="it">Dati storici dei prezzi CEPT V2 per lo strumento finanziario</xs:documentation>
            <xs:documentation xml:lang="hu">CEPT V2 historikus áradatok a pénzügyi eszközhöz</xs:documentation>
            <xs:documentation xml:lang="cs">CEPT V2 historická cenová data pro finanční nástroj</xs:documentation>
         </xs:annotation>
      </xs:element>
      <xs:element minOccurs="0" name="CEPTV2Performance" type="CEPTV2PerformanceType">
         <xs:annotation>
            <xs:documentation xml:lang="en">CEPT V2 performance data for the financial instrument</xs:documentation>
            <xs:documentation xml:lang="de">CEPT V2 Performance-Daten für das Finanzinstrument</xs:documentation>
            <xs:documentation xml:lang="fr">Données de performance CEPT V2 pour l'instrument financier</xs:documentation>
            <xs:documentation xml:lang="nl">CEPT V2 prestatiegegevens voor het financieel instrument</xs:documentation>
            <xs:documentation xml:lang="es">Datos de rendimiento CEPT V2 para el instrumento financiero</xs:documentation>
            <xs:documentation xml:lang="it">Dati sulle performance CEPT V2 per lo strumento finanziario</xs:documentation>
            <xs:documentation xml:lang="hu">CEPT V2 teljesítményadatok a pénzügyi eszközhöz</xs:documentation>
            <xs:documentation xml:lang="cs">CEPT V2 výkonnostní data pro finanční nástroj</xs:documentation>
         </xs:annotation>
      </xs:element>
   </xs:sequence>
</xs:complexType>