TargetMarket

/FundsXML4/RegulatoryReportings/DirectReporting/EMT_V4/FinancialInstrument/TargetMarket

Diagram

TargetMarket GeneralReferenceDate xs:date [1] InvestorType (anonymous) [1] KnowledgeAndExperience (anonymous) [1] AbilityToBearLosses (anonymous) [1] RiskTolerance (anonymous) [1] ClientObjectives (anonymous) [1] DistributionStrategy (anonymous) [1]

Documentation

EN

MiFID II target market data including investor type, knowledge, risk tolerance and distribution strategy

DE

MiFID II Zielmarktdaten einschließlich Anlegertyp, Kenntnisse, Risikotoleranz und Vertriebsstrategie

FR

Données de marché cible MiFID II incluant type d'investisseur, connaissances, tolérance au risque et stratégie de distribution

NL

MiFID II doelmarktgegevens inclusief beleggertype, kennis, risicotolerantie en distributiestrategie

ES

Datos de mercado objetivo MiFID II incluyendo tipo de inversor, conocimientos, tolerancia al riesgo y estrategia de distribución

IT

Dati di mercato target MiFID II inclusi tipo di investitore, conoscenze, tolleranza al rischio e strategia di distribuzione

HU

MiFID II célpiaci adatok, beleértve a befektető típusát, ismereteit, kockázattűrését és forgalmazási stratégiát

CS

Údaje o cílovém trhu MiFID II včetně typu investora, znalostí, tolerance rizika a distribuční strategie

Properties

Type
(anonymous)
Cardinality
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
5

Child Elements & Attributes

Child elements and attributes of this element
Name (XPath) Type Documentation Sample Data
xs:date

01000 Date to which the Target Market data within the EMT refer

01000 Datum, auf das sich die Zielmarktdaten im EMT beziehen

01000 Date à laquelle les données du marché cible de l'EMT se réfèrent

01000 Datum waarop de doelmarktgegevens in het EMT betrekking hebben

01000 Fecha a la que se refieren los datos del mercado objetivo del EMT

01000 Data a cui si riferiscono i dati del mercato target dell'EMT

01000 Date to which the Target Market data within the EMT refer

01000 Datum to which the Target Market adat within the EMT refer

2024-06-17
(anonymous)

Target markets - Investor Type

Zielmärkte - Anlegertyp

Marchés cibles - Type d'investisseur

Doelmarkten - Type belegger

Mercados objetivo - Tipo de inversor

Mercati target - Tipo di investitore

Target markets - Investor Type

Target markets - Befekteto Tipus

(anonymous)

Target markets - Knowledge and/or Experience

Zielmärkte - Kenntnisse und/oder Erfahrung

Marchés cibles - Connaissances et/ou expérience

Doelmarkten - Kennis en/of ervaring

Mercados objetivo - Conocimientos y/o experiencia

Mercati target - Conoscenze e/o esperienza

Target markets - Knowledge and/or Experience

Target markets - Knowledge and/or Experience

(anonymous)

Marchés cibles - Capacité à supporter les pertes

Zielmärkte - Fähigkeit, Verluste zu tragen

Marchés cibles - Capacité à supporter les pertes

Doelmarkten - Vermogen om verliezen te dragen

Mercados objetivo - Capacidad para soportar pérdidas

Mercati target - Capacità di sopportare le perdite

Marchés cibles - Capacité à supporter les pertes

Marchés cibles - Capacité à supporter les pertes

(anonymous)

Target markets - Risk Tolerance

Zielmärkte - Risikotoleranz

Marchés cibles - Tolérance au risque

Doelmarkten - Risicotolerantie

Mercados objetivo - Tolerancia al riesgo

Mercati target - Tolleranza al rischio

Target markets - Risk Tolerance

Target markets - Kockazatturesz

(anonymous)

Target markets - Client Objectives and Needs

Zielmärkte - Kundenziele und -bedürfnisse

Marchés cibles - Objectifs et besoins du client

Doelmarkten - Klantdoelstellingen en -behoeften

Mercados objetivo - Objetivos y necesidades del cliente

Mercati target - Obiettivi e bisogni del cliente

Target markets - Client Objectives and Needs

Target markets - Client Objectives and Needs

(anonymous)

Target markets - Distribution Strategy

Zielmärkte - Vertriebsstrategie

Marchés cibles - Stratégie de distribution

Doelmarkten - Distributiestrategie

Mercados objetivo - Distributiestrategie

Mercati target - Strategia di distribuzione

Target markets - Distribution Strategy

Target markets - Forgalmazas Strategia

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"
            name="TargetMarket">
   <xs:annotation>
      <xs:documentation xml:lang="en">MiFID II target market data including investor type, knowledge, risk tolerance and distribution strategy</xs:documentation>
      <xs:documentation xml:lang="de">MiFID II Zielmarktdaten einschließlich Anlegertyp, Kenntnisse, Risikotoleranz und Vertriebsstrategie</xs:documentation>
      <xs:documentation xml:lang="fr">Données de marché cible MiFID II incluant type d'investisseur, connaissances, tolérance au risque et stratégie de distribution</xs:documentation>
      <xs:documentation xml:lang="nl">MiFID II doelmarktgegevens inclusief beleggertype, kennis, risicotolerantie en distributiestrategie</xs:documentation>
      <xs:documentation xml:lang="es">Datos de mercado objetivo MiFID II incluyendo tipo de inversor, conocimientos, tolerancia al riesgo y estrategia de distribución</xs:documentation>
      <xs:documentation xml:lang="it">Dati di mercato target MiFID II inclusi tipo di investitore, conoscenze, tolleranza al rischio e strategia di distribuzione</xs:documentation>
      <xs:documentation xml:lang="hu">MiFID II célpiaci adatok, beleértve a befektető típusát, ismereteit, kockázattűrését és forgalmazási stratégiát</xs:documentation>
      <xs:documentation xml:lang="cs">Údaje o cílovém trhu MiFID II včetně typu investora, znalostí, tolerance rizika a distribuční strategie</xs:documentation>
   </xs:annotation>
   <xs:complexType>
      <xs:sequence>
         <xs:element name="GeneralReferenceDate" type="xs:date">
            <xs:annotation>
               <xs:documentation xml:lang="en">01000 Date to which the Target Market data within the EMT refer</xs:documentation>
               <xs:documentation xml:lang="de">01000 Datum, auf das sich die Zielmarktdaten im EMT beziehen</xs:documentation>
               <xs:documentation xml:lang="fr">01000 Date à laquelle les données du marché cible de l'EMT se réfèrent</xs:documentation>
               <xs:documentation xml:lang="nl">01000 Datum waarop de doelmarktgegevens in het EMT betrekking hebben</xs:documentation>
               <xs:documentation xml:lang="es">01000 Fecha a la que se refieren los datos del mercado objetivo del EMT</xs:documentation>
               <xs:documentation xml:lang="it">01000 Data a cui si riferiscono i dati del mercato target dell'EMT</xs:documentation>
               <xs:documentation xml:lang="cs">01000 Date to which the Target Market data within the EMT refer</xs:documentation>
               <xs:documentation xml:lang="hu">01000 Datum to which the Target Market adat within the EMT refer</xs:documentation>
            </xs:annotation>
         </xs:element>
         <xs:element name="InvestorType">
            <xs:annotation>
               <xs:documentation xml:lang="en">Target markets - Investor Type</xs:documentation>
               <xs:documentation xml:lang="de">Zielmärkte - Anlegertyp</xs:documentation>
               <xs:documentation xml:lang="fr">Marchés cibles - Type d'investisseur</xs:documentation>
               <xs:documentation xml:lang="nl">Doelmarkten - Type belegger</xs:documentation>
               <xs:documentation xml:lang="es">Mercados objetivo - Tipo de inversor</xs:documentation>
               <xs:documentation xml:lang="it">Mercati target - Tipo di investitore</xs:documentation>
               <xs:documentation xml:lang="cs">Target markets - Investor Type</xs:documentation>
               <xs:documentation xml:lang="hu">Target markets - Befekteto Tipus</xs:documentation>
            </xs:annotation>
            <xs:complexType>
               <xs:sequence>
                  <xs:element name="Retail" type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">01010: Neutral means usage by Retail clients are available under certain conditions.</xs:documentation>
                        <xs:documentation xml:lang="de">01010: Neutral bedeutet, dass die Nutzung durch Kleinanleger unter bestimmten Bedingungen möglich ist.</xs:documentation>
                        <xs:documentation xml:lang="fr">01010: Neutre signifie que l'utilisation par des clients de détail est disponible sous certaines conditions.</xs:documentation>
                        <xs:documentation xml:lang="nl">01010: Neutraal betekent dat het gebruik door particuliere cliënten onder bepaalde voorwaarden beschikbaar is.</xs:documentation>
                        <xs:documentation xml:lang="es">01010: Neutral significa que el uso por parte de clientes minoristas está disponible bajo ciertas condiciones.</xs:documentation>
                        <xs:documentation xml:lang="it">01010: Neutrale significa che l'uso da parte di clienti al dettaglio è disponibile a determinate condizioni.</xs:documentation>
                        <xs:documentation xml:lang="cs">01010: Neutral means usage by Retail clients are available under certain conditions.</xs:documentation>
                        <xs:documentation xml:lang="hu">01010: Neutral means usage by Lakossagi clients are elerheto under certain conditions.</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="Professional">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">01020: Y means both Professional Per Se and Elective Professionals are compatible.
N means that neither Professional Per Se nor Elective Professionals are compatible.
P means that Professional Per Se is compatible but Elective Professionals are not.
E means that Elective Professional is compatible but Professionals Per Se are not.
P is only used if the distinction Per Se is done in the Prospectus. </xs:documentation>
                        <xs:documentation xml:lang="de">01020: Y bedeutet, dass sowohl Professional Per Se als auch Elective Professionals kompatibel sind.
N bedeutet, dass weder Professional Per Se noch Elective Professionals kompatibel sind.
P bedeutet, dass Professional Per Se kompatibel ist, Elective Professionals jedoch nicht.
E bedeutet, dass Elective Professional kompatibel ist, Professionals Per Se jedoch nicht.
P wird nur verwendet, wenn die Unterscheidung Per Se im Prospekt erfolgt.</xs:documentation>
                        <xs:documentation xml:lang="fr">01020: Y signifie que Professional Per Se et Elective Professionals sont compatibles.
N signifie que ni Professional Per Se ni Elective Professionals ne sont compatibles.
P signifie que Professional Per Se est compatible mais pas Elective Professionals.
E signifie qu'Elective Professional est compatible mais pas Professionals Per Se.
P n'est utilisé que si la distinction Per Se est faite dans le Prospectus.</xs:documentation>
                        <xs:documentation xml:lang="nl">01020: Y betekent dat zowel Professional Per Se als Elective Professionals compatibel zijn.
N betekent dat noch Professional Per Se noch Elective Professionals compatibel zijn.
P betekent dat Professional Per Se compatibel is maar Elective Professionals niet.
E betekent dat Elective Professional compatibel is maar Professionals Per Se niet.
P wordt alleen gebruikt als het onderscheid Per Se in het Prospectus wordt gemaakt.</xs:documentation>
                        <xs:documentation xml:lang="es">01020: Y significa que tanto Professional Per Se como Elective Professionals son compatibles.
											<xs:documentation xml:lang="it"/>
                           <xs:documentation xml:lang="cs">01020: Y means both Professional Per Se and Elective Professionals are compatible.
N means that neither Professional Per Se nor Elective Professionals are compatible.
P means that Professional Per Se is compatible but Elective Professionals are not.
E means that Elective Professional is compatible but Professionals Per Se are not.
P is only used if the distinction Per Se is done in the Prospectus.</xs:documentation>
                           <xs:documentation xml:lang="hu">01020: Y means both Szakmai Per Se and Valasztott szakmais are compatible.
N means that neither Szakmai Per Se nor Valasztott szakmais are compatible.
P means that Szakmai Per Se is compatible but Valasztott szakmais are not.
E means that Valasztott szakmai is compatible but Professionals Per Se are not.
P is only hasznalt if the distinction Per Se is done in the Prospectus.</xs:documentation>
N significa que ni Professional Per Se ni Elective Professionals son compatibles.
P significa que Professional Per Se es compatible pero Elective Professionals no.
E significa que Elective Professional es compatible pero Professionals Per Se no.
P solo se usa si la distinción Per Se se hace en el Prospecto.</xs:documentation>
                        <xs:documentation xml:lang="it">01020: Y significa che sia Professional Per Se che Elective Professionals sono compatibili.
N significa che né Professional Per Se né Elective Professionals sono compatibili.
P significa che Professional Per Se è compatibile ma Elective Professionals no.
E significa che Elective Professional è compatibile ma Professionals Per Se no.
P viene utilizzato solo se la distinzione Per Se è fatta nel Prospetto.</xs:documentation>
                     </xs:annotation>
                     <xs:simpleType>
                        <xs:restriction base="xs:string">
                           <xs:enumeration value="Y"/>
                           <xs:enumeration value="N"/>
                           <xs:enumeration value="P"/>
                           <xs:enumeration value="E"/>
                        </xs:restriction>
                     </xs:simpleType>
                  </xs:element>
                  <xs:element name="EligibleCounterparty" type="EMTYesNoType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">01030: Investor Type Eligible Counterparty</xs:documentation>
                        <xs:documentation xml:lang="de">01030: Anlegertyp Geeignete Gegenpartei</xs:documentation>
                        <xs:documentation xml:lang="fr">01030: Type d'investisseur Contrepartie éligible</xs:documentation>
                        <xs:documentation xml:lang="nl">01030: Beleggertype In aanmerking komende tegenpartij</xs:documentation>
                        <xs:documentation xml:lang="es">01030: Tipo de inversor Contraparte elegible</xs:documentation>
                        <xs:documentation xml:lang="it">01030: Tipo di investitore Controparte ammissibile</xs:documentation>
                        <xs:documentation xml:lang="cs">01030: Investor Type Eligible Counterparty</xs:documentation>
                        <xs:documentation xml:lang="hu">01030: Befekteto Tipus Elfogadhato partner</xs:documentation>
                     </xs:annotation>
                  </xs:element>
               </xs:sequence>
            </xs:complexType>
         </xs:element>
         <xs:element name="KnowledgeAndExperience">
            <xs:annotation>
               <xs:documentation xml:lang="en">Target markets - Knowledge and/or Experience</xs:documentation>
               <xs:documentation xml:lang="de">Zielmärkte - Kenntnisse und/oder Erfahrung</xs:documentation>
               <xs:documentation xml:lang="fr">Marchés cibles - Connaissances et/ou expérience</xs:documentation>
               <xs:documentation xml:lang="nl">Doelmarkten - Kennis en/of ervaring</xs:documentation>
               <xs:documentation xml:lang="es">Mercados objetivo - Conocimientos y/o experiencia</xs:documentation>
               <xs:documentation xml:lang="it">Mercati target - Conoscenze e/o esperienza</xs:documentation>
               <xs:documentation xml:lang="cs">Target markets - Knowledge and/or Experience</xs:documentation>
               <xs:documentation xml:lang="hu">Target markets - Knowledge and/or Experience</xs:documentation>
            </xs:annotation>
            <xs:complexType>
               <xs:sequence>
                  <xs:element name="BasicInvestor" type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">02010: Investors having the following characteristics:
• basic knowledge of relevant financial instruments (a  basic investor can make an informed investment decision based on the regulated and authorised offering documentation  or with the help of basic information provided by point of sale); 
• no financial industry  experience, i.e. suited to a first time investor</xs:documentation>
                        <xs:documentation xml:lang="de">02010: Anleger mit folgenden Eigenschaften:
• Grundkenntnisse über relevante Finanzinstrumente (ein Basisanleger kann eine informierte Anlageentscheidung auf Grundlage der regulierten und autorisierten Angebotsdokumentation oder mit Hilfe von grundlegenden Informationen der Verkaufsstelle treffen);
• keine Erfahrung in der Finanzbranche, d.h. geeignet für einen Erstanleger</xs:documentation>
                        <xs:documentation xml:lang="fr">02010: Investisseurs ayant les caractéristiques suivantes:
• connaissance de base des instruments financiers pertinents (un investisseur de base peut prendre une décision d'investissement éclairée sur la base de la documentation d'offre réglementée et autorisée ou avec l'aide des informations de base fournies par le point de vente);
• aucune expérience dans le secteur financier, c.-à-d. adapté à un investisseur débutant</xs:documentation>
                        <xs:documentation xml:lang="nl">02010: Beleggers met de volgende kenmerken:
• basiskennis van relevante financiële instrumenten (een basisbelegger kan een geïnformeerde beleggingsbeslissing nemen op basis van gereguleerde en geautoriseerde aanbiedingsdocumentatie of met behulp van basisinformatie verstrekt door het verkooppunt);
• geen ervaring in de financiële sector, d.w.z. geschikt voor een beginnende belegger</xs:documentation>
                        <xs:documentation xml:lang="es">02010: Inversores con las siguientes características:
• conocimiento básico de instrumentos financieros relevantes (un inversor básico puede tomar una decisión de inversión informada basándose en la documentación de oferta regulada y autorizada o con la ayuda de información básica proporcionada por el punto de venta);
• sin experiencia en el sector financiero, es decir, adecuado para un inversor primerizo</xs:documentation>
                        <xs:documentation xml:lang="it">02010: Investitori con le seguenti caratteristiche:
• conoscenza di base degli strumenti finanziari rilevanti (un investitore di base può prendere una decisione di investimento informata sulla base della documentazione di offerta regolamentata e autorizzata o con l'aiuto delle informazioni di base fornite dal punto vendita);
• nessuna esperienza nel settore finanziario, cioè adatto a un investitore alle prime armi</xs:documentation>
                        <xs:documentation xml:lang="cs">02010: Investors having the following characteristics:
• basic knowledge of relevant financial instruments (a  basic investor can make an informed investment decision based on the regulated and authorised offering documentation  or with the help of basic information provided by point of sale); 
• no financial industry  experience, i.e. suited to a first time investor</xs:documentation>
                        <xs:documentation xml:lang="hu">02010: Investors having the kovetkezo characteristics:
• basic knowledge of relevant Penzugyi eszkozok (a  basic befekteto can make an informed befektetes decision based on the regulated and authorised offering documentation  or with the help of basic informacio provided by point of sale); 
• nem penzugyi industry  experience, i.e. suited to a elso ido befekteto</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="InformedInvestor" type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">02020: Having one, or more, of the following characteristics:
• average knowledge of relevant financial products (an informed investor can make an informed investment decision based on the regulated and authorised offering documentation, together with knowledge and understanding of the specific factors/risks highlighted within them only)
• some financial industry experience </xs:documentation>
                        <xs:documentation xml:lang="de">02020: Eine oder mehrere der folgenden Eigenschaften:
• durchschnittliche Kenntnisse über relevante Finanzprodukte (ein informierter Anleger kann eine informierte Anlageentscheidung auf Grundlage der regulierten und autorisierten Angebotsdokumentation treffen, zusammen mit Kenntnissen und Verständnis der darin hervorgehobenen spezifischen Faktoren/Risiken)
• gewisse Erfahrung in der Finanzbranche</xs:documentation>
                        <xs:documentation xml:lang="fr">02020: Ayant une ou plusieurs des caractéristiques suivantes:
• connaissance moyenne des produits financiers pertinents (un investisseur informé peut prendre une décision d'investissement éclairée sur la base de la documentation d'offre réglementée et autorisée, ainsi que des connaissances et de la compréhension des facteurs/risques spécifiques qui y sont mis en évidence)
• une certaine expérience dans le secteur financier</xs:documentation>
                        <xs:documentation xml:lang="nl">02020: Met een of meer van de volgende kenmerken:
• gemiddelde kennis van relevante financiële producten (een geïnformeerde belegger kan een geïnformeerde beleggingsbeslissing nemen op basis van gereguleerde en geautoriseerde aanbiedingsdocumentatie, samen met kennis en begrip van de specifieke factoren/risico's die daarin worden benadrukt)
• enige ervaring in de financiële sector</xs:documentation>
                        <xs:documentation xml:lang="es">02020: Con una o más de las siguientes características:
• conocimiento medio de productos financieros relevantes (un inversor informado puede tomar una decisión de inversión informada basándose en la documentación de oferta regulada y autorizada, junto con conocimiento y comprensión de los factores/riesgos específicos destacados en ella)
• alguna experiencia en el sector financiero</xs:documentation>
                        <xs:documentation xml:lang="it">02020: Con una o più delle seguenti caratteristiche:
• conoscenza media dei prodotti finanziari rilevanti (un investitore informato può prendere una decisione di investimento informata sulla base della documentazione di offerta regolamentata e autorizzata, insieme alla conoscenza e comprensione dei fattori/rischi specifici evidenziati al loro interno)
• una certa esperienza nel settore finanziario</xs:documentation>
                        <xs:documentation xml:lang="cs">02020: Having one, or more, of the following characteristics:
• average knowledge of relevant financial products (an informed investor can make an informed investment decision based on the regulated and authorised offering documentation, together with knowledge and understanding of the specific factors/risks highlighted within them only)
• some financial industry experience</xs:documentation>
                        <xs:documentation xml:lang="hu">02020: Having one, or more, of the kovetkezo characteristics:
• average knowledge of relevant penzugyi products (an informed befekteto can make an informed befektetes decision based on the regulated and authorised offering documentation, together with knowledge and understanding of the specific factors/risks highlighted within them only)
• some penzugyi industry experience</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="AdvancedInvestor" type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">02030: Investors having one, or more, of the following characteristics:
• good knowledge of relevant financial products and transactions
• financial industry experience or accompanied by professional investment advice or included in a discretionary portfolio service</xs:documentation>
                        <xs:documentation xml:lang="de">02030: Anleger mit einer oder mehreren der folgenden Eigenschaften:
• gute Kenntnisse über relevante Finanzprodukte und -transaktionen
• Erfahrung in der Finanzbranche oder begleitet von professioneller Anlageberatung oder in einem diskretionären Portfoliomanagement</xs:documentation>
                        <xs:documentation xml:lang="fr">02030: Investisseurs ayant une ou plusieurs des caractéristiques suivantes:
• bonne connaissance des produits et transactions financiers pertinents
• expérience dans le secteur financier ou accompagné de conseils d'investissement professionnels ou inclus dans un service de gestion discrétionnaire de portefeuille</xs:documentation>
                        <xs:documentation xml:lang="nl">02030: Beleggers met een of meer van de volgende kenmerken:
• goede kennis van relevante financiële producten en transacties
• ervaring in de financiële sector of vergezeld van professioneel beleggingsadvies of opgenomen in een discretionair vermogensbeheer</xs:documentation>
                        <xs:documentation xml:lang="es">02030: Inversores con una o más de las siguientes características:
• buen conocimiento de productos y transacciones financieras relevantes
• experiencia en el sector financiero o acompañado de asesoramiento de inversión profesional o incluido en un servicio de gestión discrecional de carteras</xs:documentation>
                        <xs:documentation xml:lang="it">02030: Investitori con una o più delle seguenti caratteristiche:
• buona conoscenza dei prodotti e delle transazioni finanziarie rilevanti
• esperienza nel settore finanziario o accompagnato da consulenza professionale sugli investimenti o incluso in un servizio di gestione discrezionale del portafoglio</xs:documentation>
                        <xs:documentation xml:lang="cs">02030: Investors having one, or more, of the following characteristics:
• good knowledge of relevant financial products and transactions
• financial industry experience or accompanied by professional investment advice or included in a discretionary portfolio service</xs:documentation>
                        <xs:documentation xml:lang="hu">02030: Investors having one, or more, of the kovetkezo characteristics:
• good knowledge of relevant penzugyi products and transactions
• penzugyi industry experience or accompanied by szakmai Befektetesi tanacsadas or included in a discretionary portfolio service</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element minOccurs="0"
                              name="ExpertInvestorGermany"
                              type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">02040: Expert knowledge of and / or experience with highly specialised financial products (Regulatory requirement in Germany/ example: CFD/ the updated list will be provided by the DSGV)</xs:documentation>
                        <xs:documentation xml:lang="de">02040: Expertenwissen über und/oder Erfahrung mit hochspezialisierten Finanzprodukten (Regulatorische Anforderung in Deutschland/Beispiel: CFD/die aktualisierte Liste wird vom DSGV bereitgestellt)</xs:documentation>
                        <xs:documentation xml:lang="fr">02040: Connaissance experte de et/ou expérience avec des produits financiers hautement spécialisés (exigence réglementaire en Allemagne/exemple: CFD/la liste mise à jour sera fournie par le DSGV)</xs:documentation>
                        <xs:documentation xml:lang="nl">02040: Deskundige kennis van en/of ervaring met hooggespecialiseerde financiële producten (regelgevende vereiste in Duitsland/voorbeeld: CFD/de bijgewerkte lijst wordt verstrekt door de DSGV)</xs:documentation>
                        <xs:documentation xml:lang="es">02040: Conocimiento experto de y/o experiencia con productos financieros altamente especializados (requisito regulatorio en Alemania/ejemplo: CFD/la lista actualizada será proporcionada por el DSGV)</xs:documentation>
                        <xs:documentation xml:lang="it">02040: Conoscenza esperta di e/o esperienza con prodotti finanziari altamente specializzati (requisito normativo in Germania/esempio: CFD/la lista aggiornata sarà fornita dal DSGV)</xs:documentation>
                        <xs:documentation xml:lang="cs">02040: Expert knowledge of and / or experience with highly specialised financial products (Regulatory requirement in Germany/ example: CFD/ the updated list will be provided by the DSGV)</xs:documentation>
                        <xs:documentation xml:lang="hu">02040: Expert knowledge of and / or experience with highly specialised penzugyi products (Regulatory requirement in Germany/ example: CFD/ the updated lista will be provided by the DSGV)</xs:documentation>
                     </xs:annotation>
                  </xs:element>
               </xs:sequence>
            </xs:complexType>
         </xs:element>
         <xs:element name="AbilityToBearLosses">
            <xs:annotation>
               <xs:documentation xml:lang="en">Marchés cibles - Capacité à supporter les pertes</xs:documentation>
               <xs:documentation xml:lang="de">Zielmärkte - Fähigkeit, Verluste zu tragen</xs:documentation>
               <xs:documentation xml:lang="fr">Marchés cibles - Capacité à supporter les pertes</xs:documentation>
               <xs:documentation xml:lang="nl">Doelmarkten - Vermogen om verliezen te dragen</xs:documentation>
               <xs:documentation xml:lang="es">Mercados objetivo - Capacidad para soportar pérdidas</xs:documentation>
               <xs:documentation xml:lang="it">Mercati target - Capacità di sopportare le perdite</xs:documentation>
               <xs:documentation xml:lang="cs">Marchés cibles - Capacité à supporter les pertes</xs:documentation>
               <xs:documentation xml:lang="hu">Marchés cibles - Capacité à supporter les pertes</xs:documentation>
            </xs:annotation>
            <xs:complexType>
               <xs:sequence>
                  <xs:element name="CompatibleWithClientsWhoCanNotBearCapitalLoss"
                              type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">03010: Investor can bear no loss of capital. Minor losses especially due to costs possible. Yes or No or Neutral.
N for negative target: product should not be sold to investors that cannot bear losses </xs:documentation>
                        <xs:documentation xml:lang="de">03010: Anleger kann keinen Kapitalverlust tragen. Geringfügige Verluste insbesondere durch Kosten möglich. Ja oder Nein oder Neutral.
N für negatives Ziel: Produkt sollte nicht an Anleger verkauft werden, die keine Verluste tragen können</xs:documentation>
                        <xs:documentation xml:lang="fr">03010: L'investisseur ne peut supporter aucune perte de capital. Des pertes mineures notamment dues aux coûts sont possibles. Oui ou Non ou Neutre.
N pour cible négative: le produit ne doit pas être vendu aux investisseurs qui ne peuvent pas supporter de pertes</xs:documentation>
                        <xs:documentation xml:lang="nl">03010: Belegger kan geen kapitaalverlies dragen. Kleine verliezen met name door kosten zijn mogelijk. Ja of Nee of Neutraal.
N voor negatief doel: product mag niet worden verkocht aan beleggers die geen verliezen kunnen dragen</xs:documentation>
                        <xs:documentation xml:lang="es">03010: El inversor no puede soportar pérdidas de capital. Son posibles pérdidas menores especialmente debidas a costes. Sí o No o Neutral.
N para objetivo negativo: el producto no debe venderse a inversores que no pueden soportar pérdidas</xs:documentation>
                        <xs:documentation xml:lang="it">03010: L'investitore non può sopportare perdite di capitale. Sono possibili perdite minori soprattutto dovute ai costi. Sì o No o Neutrale.
N per obiettivo negativo: il prodotto non deve essere venduto a investitori che non possono sopportare perdite</xs:documentation>
                        <xs:documentation xml:lang="cs">03010: Investor can bear no loss of capital. Minor losses especially due to costs possible. Yes or No or Neutral.
N for negative target: product should not be sold to investors that cannot bear losses</xs:documentation>
                        <xs:documentation xml:lang="hu">03010: Befekteto can bear nem loss of capital. Minor losses especially due to koltsegek possible. Igen or Nem or Neutral.
N for negative target: product should not be sold to investors that cannot bear losses</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element minOccurs="0"
                              name="CompatibleWithClientsWhoCanBearLimitedCapitalLoss"
                              type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">03020: Investor seeking to preserve capital or can bear losses limited to a level specified by the product. Assessment  of loss level is based on investments in the same currency as the instrument denomination and do not take into consideration potential adverse FX market performance.
To be filled only for structured securities and funds with an explicit capital protection or for Money Market funds.
Yes or No or Neutral</xs:documentation>
                        <xs:documentation xml:lang="de">03020: Anleger, der Kapital erhalten möchte oder Verluste tragen kann, die auf ein vom Produkt festgelegtes Niveau begrenzt sind. Die Bewertung des Verlustniveaus basiert auf Anlagen in derselben Währung wie die Instrumentendenomination und berücksichtigt keine potenziellen nachteiligen FX-Marktentwicklungen.
Nur für strukturierte Wertpapiere und Fonds mit explizitem Kapitalschutz oder für Geldmarktfonds auszufüllen.
Ja oder Nein oder Neutral</xs:documentation>
                        <xs:documentation xml:lang="fr">03020: Investisseur cherchant à préserver son capital ou pouvant supporter des pertes limitées à un niveau spécifié par le produit. L'évaluation du niveau de perte est basée sur des investissements dans la même devise que la dénomination de l'instrument et ne prend pas en compte les performances potentiellement défavorables du marché des changes.
À remplir uniquement pour les titres structurés et les fonds avec une protection explicite du capital ou pour les fonds du marché monétaire.
Oui ou Non ou Neutre</xs:documentation>
                        <xs:documentation xml:lang="nl">03020: Belegger die kapitaal wil behouden of verliezen kan dragen die beperkt zijn tot een door het product gespecificeerd niveau. De beoordeling van het verliesniveau is gebaseerd op beleggingen in dezelfde valuta als de instrumentdenominatie en houdt geen rekening met potentieel nadelige FX-marktprestaties.
Alleen in te vullen voor gestructureerde effecten en fondsen met expliciete kapitaalbescherming of voor geldmarktfondsen.
Ja of Nee of Neutraal</xs:documentation>
                        <xs:documentation xml:lang="es">03020: Inversor que busca preservar su capital o puede soportar pérdidas limitadas a un nivel especificado por el producto. La evaluación del nivel de pérdida se basa en inversiones en la misma moneda que la denominación del instrumento y no tiene en cuenta el rendimiento potencialmente adverso del mercado de divisas.
A completar solo para valores estructurados y fondos con protección de capital explícita o para fondos del mercado monetario.
Sí o No o Neutral</xs:documentation>
                        <xs:documentation xml:lang="it">03020: Investitore che cerca di preservare il capitale o può sopportare perdite limitate a un livello specificato dal prodotto. La valutazione del livello di perdita si basa su investimenti nella stessa valuta della denominazione dello strumento e non tiene conto delle potenziali performance avverse del mercato dei cambi.
Da compilare solo per titoli strutturati e fondi con protezione esplicita del capitale o per fondi del mercato monetario.
Sì o No o Neutrale</xs:documentation>
                        <xs:documentation xml:lang="cs">03020: Investor seeking to preserve capital or can bear losses limited to a level specified by the product. Assessment  of loss level is based on investments in the same currency as the instrument denomination and do not take into consideration potential adverse FX market performance.
To be filled only for structured securities and funds with an explicit capital protection or for Money Market funds.
Yes or No or Neutral</xs:documentation>
                        <xs:documentation xml:lang="hu">03020: Befekteto seeking to preserve capital or can bear losses limited to a szint specified by the product. Assessment  of loss szint is based on investments in the same currency as the eszkoz denomination and do not take into consideration potential adverse FX market performance.
To be kitoltott only for structured securities and funds with an explicit capital protection or for Money Market funds.
Igen or Nem or Neutral</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element minOccurs="0" name="LimitedCapitalLossLevel" type="PercentageType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">03030: To be completed for products that have a clearly stated full or partial capital guarantee, provided on the primary market. This field represents the maximum loss a client could incur when investing in this product – it is not the level of capital protection offered</xs:documentation>
                        <xs:documentation xml:lang="de">03030: Auszufüllen für Produkte mit einer klar angegebenen vollständigen oder teilweisen Kapitalgarantie am Primärmarkt. Dieses Feld stellt den maximalen Verlust dar, den ein Kunde bei einer Investition in dieses Produkt erleiden könnte – es ist nicht das Niveau des angebotenen Kapitalschutzes</xs:documentation>
                        <xs:documentation xml:lang="fr">03030: À compléter pour les produits ayant une garantie de capital totale ou partielle clairement indiquée, fournie sur le marché primaire. Ce champ représente la perte maximale qu'un client pourrait subir lors d'un investissement dans ce produit – ce n'est pas le niveau de protection du capital offert</xs:documentation>
                        <xs:documentation xml:lang="nl">03030: In te vullen voor producten met een duidelijk vermelde volledige of gedeeltelijke kapitaalgarantie op de primaire markt. Dit veld vertegenwoordigt het maximale verlies dat een klant zou kunnen lijden bij een investering in dit product – het is niet het niveau van de aangeboden kapitaalbescherming</xs:documentation>
                        <xs:documentation xml:lang="es">03030: A completar para productos con una garantía de capital total o parcial claramente indicada, proporcionada en el mercado primario. Este campo representa la pérdida máxima que un cliente podría sufrir al invertir en este producto – no es el nivel de protección del capital ofrecido</xs:documentation>
                        <xs:documentation xml:lang="it">03030: Da completare per i prodotti con una garanzia di capitale totale o parziale chiaramente indicata, fornita sul mercato primario. Questo campo rappresenta la perdita massima che un cliente potrebbe subire investendo in questo prodotto – non è il livello di protezione del capitale offerto</xs:documentation>
                        <xs:documentation xml:lang="cs">03030: To be completed for products that have a clearly stated full or partial capital guarantee, provided on the primary market. This field represents the maximum loss a client could incur when investing in this product – it is not the level of capital protection offered</xs:documentation>
                        <xs:documentation xml:lang="hu">03030: To be completed for products that have a clearly stated full or partial capital guarantee, provided on the primary market. This mezo represents the maximum loss a client could incur when investing in this product – it is not the szint of capital protection offered</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="CompatibleWithClientsWhoDoNotNeedCapitalGuarantee"
                              type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">03040: No Capital Guarantee nor protection. 100% capital at risk. Yes or No or Neutral</xs:documentation>
                        <xs:documentation xml:lang="de">03040: Keine Kapitalgarantie oder -schutz. 100% Kapital im Risiko. Ja oder Nein oder Neutral</xs:documentation>
                        <xs:documentation xml:lang="fr">03040: Pas de garantie ni de protection du capital. 100% du capital à risque. Oui ou Non ou Neutre</xs:documentation>
                        <xs:documentation xml:lang="nl">03040: Geen kapitaalgarantie of -bescherming. 100% kapitaal op risico. Ja of Nee of Neutraal</xs:documentation>
                        <xs:documentation xml:lang="es">03040: Sin garantía ni protección de capital. 100% del capital en riesgo. Sí o No o Neutral</xs:documentation>
                        <xs:documentation xml:lang="it">03040: Nessuna garanzia o protezione del capitale. 100% del capitale a rischio. Sì o No o Neutrale</xs:documentation>
                        <xs:documentation xml:lang="cs">03040: No Capital Guarantee nor protection. 100% capital at risk. Yes or No or Neutral</xs:documentation>
                        <xs:documentation xml:lang="hu">03040: Nem Capital Guarantee nor protection. 100% capital at kockazat. Igen or Nem or Neutral</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="CompatibleWithClientsWhoCanBearLossBeyondCapital"
                              type="EMTYesNoNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">03050: Loss Beyond the Capital. 
Yes or No or Neutral</xs:documentation>
                        <xs:documentation xml:lang="de">03050: Verlust über das Kapital hinaus.
Ja oder Nein oder Neutral</xs:documentation>
                        <xs:documentation xml:lang="fr">03050: Perte au-delà du capital.
Oui ou Non ou Neutre</xs:documentation>
                        <xs:documentation xml:lang="nl">03050: Verlies boven het kapitaal.
Ja of Nee of Neutraal</xs:documentation>
                        <xs:documentation xml:lang="es">03050: Pérdida más allá del capital.
Sí o No o Neutral</xs:documentation>
                        <xs:documentation xml:lang="it">03050: Perdita oltre il capitale.
Sì o No o Neutrale</xs:documentation>
                        <xs:documentation xml:lang="cs">03050: Loss Beyond the Capital. 
Yes or No or Neutral</xs:documentation>
                        <xs:documentation xml:lang="hu">03050: Loss Beyond the Capital. 
Igen or Nem or Neutral</xs:documentation>
                     </xs:annotation>
                  </xs:element>
               </xs:sequence>
            </xs:complexType>
         </xs:element>
         <xs:element name="RiskTolerance">
            <xs:annotation>
               <xs:documentation xml:lang="en">Target markets - Risk Tolerance</xs:documentation>
               <xs:documentation xml:lang="de">Zielmärkte - Risikotoleranz</xs:documentation>
               <xs:documentation xml:lang="fr">Marchés cibles - Tolérance au risque</xs:documentation>
               <xs:documentation xml:lang="nl">Doelmarkten - Risicotolerantie</xs:documentation>
               <xs:documentation xml:lang="es">Mercados objetivo - Tolerancia al riesgo</xs:documentation>
               <xs:documentation xml:lang="it">Mercati target - Tolleranza al rischio</xs:documentation>
               <xs:documentation xml:lang="cs">Target markets - Risk Tolerance</xs:documentation>
               <xs:documentation xml:lang="hu">Target markets - Kockazatturesz</xs:documentation>
            </xs:annotation>
            <xs:complexType>
               <xs:sequence>
                  <xs:element minOccurs="0" name="PRIIPSMethodology">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">04010: SRI (1-7), if PRIIPS KID is available. German distributors will use only this Risk Tolerance item</xs:documentation>
                        <xs:documentation xml:lang="de">04010: SRI (1-7), wenn PRIIPS KID verfügbar ist. Deutsche Vertriebsstellen verwenden nur dieses Risikotoleranz-Element</xs:documentation>
                        <xs:documentation xml:lang="fr">04010: SRI (1-7), si le KID PRIIPS est disponible. Les distributeurs allemands n'utilisent que cet élément de tolérance au risque</xs:documentation>
                        <xs:documentation xml:lang="nl">04010: SRI (1-7), indien PRIIPS KID beschikbaar is. Duitse distributeurs gebruiken alleen dit risicotolerantie-element</xs:documentation>
                        <xs:documentation xml:lang="es">04010: SRI (1-7), si el KID PRIIPS está disponible. Los distribuidores alemanes utilizan únicamente este elemento de tolerancia al riesgo</xs:documentation>
                        <xs:documentation xml:lang="it">04010: SRI (1-7), se il KID PRIIPS è disponibile. I distributori tedeschi utilizzano solo questo elemento di tolleranza al rischio</xs:documentation>
                        <xs:documentation xml:lang="cs">04010: SRI (1-7), if PRIIPS KID is available. German distributors will use only this Risk Tolerance item</xs:documentation>
                        <xs:documentation xml:lang="hu">04010: SRI (1-7), if PRIIPS KID is elerheto. German distributors will use only this Kockazatturesz item</xs:documentation>
                     </xs:annotation>
                     <xs:simpleType>
                        <xs:restriction base="xs:positiveInteger">
                           <xs:minInclusive value="1"/>
                           <xs:maxInclusive value="7"/>
                        </xs:restriction>
                     </xs:simpleType>
                  </xs:element>
                  <xs:element minOccurs="0" name="UCITSMethodology">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">04020: SRRI (1-7; for funds)</xs:documentation>
                        <xs:documentation xml:lang="de">04020: SRRI (1-7; für Fonds)</xs:documentation>
                        <xs:documentation xml:lang="fr">04020: SRRI (1-7; pour les fonds)</xs:documentation>
                        <xs:documentation xml:lang="nl">04020: SRRI (1-7; voor fondsen)</xs:documentation>
                        <xs:documentation xml:lang="es">04020: SRRI (1-7; para fondos)</xs:documentation>
                        <xs:documentation xml:lang="it">04020: SRRI (1-7; per i fondi)</xs:documentation>
                        <xs:documentation xml:lang="cs">04020: SRRI (1-7; for funds)</xs:documentation>
                        <xs:documentation xml:lang="hu">04020: SRRI (1-7; for funds)</xs:documentation>
                     </xs:annotation>
                     <xs:simpleType>
                        <xs:restriction base="xs:positiveInteger">
                           <xs:minInclusive value="1"/>
                           <xs:maxInclusive value="7"/>
                        </xs:restriction>
                     </xs:simpleType>
                  </xs:element>
                  <xs:element minOccurs="0" name="InternalMethodology">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">04030: For Non PRIIPS and Non UCITS:
L ... Low
M ... Medium
H ... High</xs:documentation>
                        <xs:documentation xml:lang="de">04030: Für Non-PRIIPS und Non-UCITS:
L ... Niedrig
M ... Mittel
H ... Hoch</xs:documentation>
                        <xs:documentation xml:lang="fr">04030: Pour Non PRIIPS et Non UCITS:
L ... Faible
M ... Moyen
H ... Élevé</xs:documentation>
                        <xs:documentation xml:lang="nl">04030: Voor Non-PRIIPS en Non-UCITS:
L ... Laag
M ... Gemiddeld
H ... Hoog</xs:documentation>
                        <xs:documentation xml:lang="es">04030: Para Non PRIIPS y Non UCITS:
L ... Bajo
M ... Medio
H ... Alto</xs:documentation>
                        <xs:documentation xml:lang="it">04030: Per Non PRIIPS e Non UCITS:
L ... Basso
M ... Medio
H ... Alto</xs:documentation>
                        <xs:documentation xml:lang="cs">04030: For Non PRIIPS and Non UCITS:
L ... Low
M ... Medium
H ... High</xs:documentation>
                        <xs:documentation xml:lang="hu">04030: For Non PRIIPS and Non UCITS:
L ... Low
M ... Medium
H ... Magas</xs:documentation>
                     </xs:annotation>
                     <xs:simpleType>
                        <xs:restriction base="xs:string">
                           <xs:enumeration value="L"/>
                           <xs:enumeration value="M"/>
                           <xs:enumeration value="H"/>
                           <xs:enumeration value=""/>
                        </xs:restriction>
                     </xs:simpleType>
                  </xs:element>
                  <xs:element minOccurs="0" name="MethodologySpain">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">04040: Spanish SRI (1-6) for Non PRIIPS and Non UCITS
For Spanish local NON PRIIPS and NON UCITS products.
Orden ECC/2316/2015, de 4 de noviembre, relativa a las obligaciones de información y clasificación de productos financieros</xs:documentation>
                        <xs:documentation xml:lang="de">04040: Spanischer SRI (1-6) für Nicht-PRIIPS und Nicht-UCITS
Für spanische lokale Nicht-PRIIPS- und Nicht-UCITS-Produkte.
Orden ECC/2316/2015 vom 4. November über die Informationspflichten und Klassifizierung von Finanzprodukten</xs:documentation>
                        <xs:documentation xml:lang="fr">04040: SRI espagnol (1-6) pour les Non PRIIPS et Non UCITS
Pour les produits espagnols locaux Non PRIIPS et Non UCITS.
Orden ECC/2316/2015 du 4 novembre relative aux obligations d'information et de classification des produits financiers</xs:documentation>
                        <xs:documentation xml:lang="nl">04040: Spaanse SRI (1-6) voor Niet-PRIIPS en Niet-UCITS
Voor Spaanse lokale Niet-PRIIPS en Niet-UCITS producten.
Orden ECC/2316/2015 van 4 november betreffende de informatieverplichtingen en classificatie van financiële producten</xs:documentation>
                        <xs:documentation xml:lang="es">04040: SRI español (1-6) para No PRIIPS y No UCITS
Para productos locales españoles No PRIIPS y No UCITS.
Orden ECC/2316/2015, de 4 de noviembre, relativa a las obligaciones de información y clasificación de productos financieros</xs:documentation>
                        <xs:documentation xml:lang="it">04040: SRI spagnolo (1-6) per Non PRIIPS e Non UCITS
Per i prodotti spagnoli locali Non PRIIPS e Non UCITS.
Orden ECC/2316/2015 del 4 novembre relativa agli obblighi di informazione e classificazione dei prodotti finanziari</xs:documentation>
                        <xs:documentation xml:lang="cs">04040: Spanish SRI (1-6) for Non PRIIPS and Non UCITS
For Spanish local NON PRIIPS and NON UCITS products.
Orden ECC/2316/2015, de 4 de noviembre, relativa a las obligaciones de información y clasificación de productos financieros</xs:documentation>
                        <xs:documentation xml:lang="hu">04040: Spanish SRI (1-6) for Non PRIIPS and Non UCITS
For Spanish local NON PRIIPS and NON UCITS products.
Orden ECC/2316/2015, de 4 de noviembre, relativa a las obligaciones de información y clasificación de productos financieros</xs:documentation>
                     </xs:annotation>
                     <xs:simpleType>
                        <xs:restriction base="xs:positiveInteger">
                           <xs:minInclusive value="1"/>
                           <xs:maxInclusive value="6"/>
                        </xs:restriction>
                     </xs:simpleType>
                  </xs:element>
                  <xs:element minOccurs="0" name="NotForInvestorsWithLowestRiskToleranceGermany">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">04050: For all products distributed in Germany (Yes or Neutral)</xs:documentation>
                        <xs:documentation xml:lang="de">04050: Für alle in Deutschland vertriebenen Produkte (Ja oder Neutral)</xs:documentation>
                        <xs:documentation xml:lang="fr">04050: Pour tous les produits distribués en Allemagne (Oui ou Neutre)</xs:documentation>
                        <xs:documentation xml:lang="nl">04050: Voor alle in Duitsland gedistribueerde producten (Ja of Neutraal)</xs:documentation>
                        <xs:documentation xml:lang="es">04050: Para todos los productos distribuidos en Alemania (Sí o Neutral)</xs:documentation>
                        <xs:documentation xml:lang="it">04050: Per tutti i prodotti distribuiti in Germania (Sì o Neutrale)</xs:documentation>
                        <xs:documentation xml:lang="cs">04050: For all products distributed in Germany (Yes or Neutral)</xs:documentation>
                        <xs:documentation xml:lang="hu">04050: For all products distributed in Germany (Igen or Neutral)</xs:documentation>
                     </xs:annotation>
                     <xs:simpleType>
                        <xs:restriction base="xs:string">
                           <xs:enumeration value="Y"/>
                           <xs:enumeration value="Neutral"/>
                        </xs:restriction>
                     </xs:simpleType>
                  </xs:element>
               </xs:sequence>
            </xs:complexType>
         </xs:element>
         <xs:element name="ClientObjectives">
            <xs:annotation>
               <xs:documentation xml:lang="en">Target markets - Client Objectives and Needs</xs:documentation>
               <xs:documentation xml:lang="de">Zielmärkte - Kundenziele und -bedürfnisse</xs:documentation>
               <xs:documentation xml:lang="fr">Marchés cibles - Objectifs et besoins du client</xs:documentation>
               <xs:documentation xml:lang="nl">Doelmarkten - Klantdoelstellingen en -behoeften</xs:documentation>
               <xs:documentation xml:lang="es">Mercados objetivo - Objetivos y necesidades del cliente</xs:documentation>
               <xs:documentation xml:lang="it">Mercati target - Obiettivi e bisogni del cliente</xs:documentation>
               <xs:documentation xml:lang="cs">Target markets - Client Objectives and Needs</xs:documentation>
               <xs:documentation xml:lang="hu">Target markets - Client Objectives and Needs</xs:documentation>
            </xs:annotation>
            <xs:complexType>
               <xs:sequence>
                  <xs:element name="ReturnProfile">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">Return profile information including client objectives for capital preservation, growth and income</xs:documentation>
                        <xs:documentation xml:lang="de">Renditeprofil-Informationen einschließlich Kundenziele für Kapitalerhalt, Wachstum und Erträge</xs:documentation>
                        <xs:documentation xml:lang="fr">Informations sur le profil de rendement incluant les objectifs des clients pour la préservation du capital, la croissance et les revenus</xs:documentation>
                        <xs:documentation xml:lang="nl">Rendementsprofielinformatie inclusief klantdoelstellingen voor kapitaalbehoud, groei en inkomen</xs:documentation>
                        <xs:documentation xml:lang="es">Información del perfil de rendimiento incluyendo objetivos del cliente para preservación de capital, crecimiento e ingresos</xs:documentation>
                        <xs:documentation xml:lang="it">Informazioni sul profilo di rendimento inclusi gli obiettivi del cliente per la conservazione del capitale, la crescita e il reddito</xs:documentation>
                        <xs:documentation xml:lang="hu">Hozamprofil-információk az ügyfél tőkemegőrzési, növekedési és jövedelmi céljaival</xs:documentation>
                        <xs:documentation xml:lang="cs">Informace o profilu výnosnosti včetně klientských cílů pro zachování kapitálu, růst a příjmy</xs:documentation>
                     </xs:annotation>
                     <xs:complexType>
                        <xs:sequence>
                           <xs:element name="ClientLookingForPreservation" type="EMTYesNoNeutralType">
                              <xs:annotation>
                                 <xs:documentation xml:lang="en">05010: Indicates if the product is compatible with clients looking for preserving their capital.
Products stipulating a capital preservation objective should be YES. For other products, the answer should be NO or NEUTRAL based on a case-by-case analysis. In Germany fields 05010, 05020 and 05030 are merged and regarded "General Capital Formation". A YES in any of these fields will be regarded a YES in the German combined field.</xs:documentation>
                                 <xs:documentation xml:lang="de">05010: Gibt an, ob das Produkt mit Kunden kompatibel ist, die ihr Kapital erhalten möchten.
Produkte mit einem Kapitalerhaltungsziel sollten mit JA angegeben werden. Für andere Produkte sollte die Antwort auf Basis einer Einzelfallanalyse NEIN oder NEUTRAL sein. In Deutschland werden die Felder 05010, 05020 und 05030 zusammengeführt und als "Allgemeine Vermögensbildung" betrachtet. Ein JA in einem dieser Felder wird als JA im kombinierten deutschen Feld gewertet.</xs:documentation>
                                 <xs:documentation xml:lang="fr">05010: Indique si le produit est compatible avec les clients cherchant à préserver leur capital.
Les produits stipulant un objectif de préservation du capital doivent être OUI. Pour les autres produits, la réponse doit être NON ou NEUTRE sur la base d'une analyse au cas par cas. En Allemagne, les champs 05010, 05020 et 05030 sont fusionnés et considérés comme "Formation de capital générale". Un OUI dans l'un de ces champs sera considéré comme un OUI dans le champ combiné allemand.</xs:documentation>
                                 <xs:documentation xml:lang="nl">05010: Geeft aan of het product compatibel is met klanten die hun kapitaal willen behouden.
Producten met een kapitaalbehoudsdoelstelling moeten JA zijn. Voor andere producten moet het antwoord NEEN of NEUTRAAL zijn op basis van een analyse per geval. In Duitsland worden de velden 05010, 05020 en 05030 samengevoegd en beschouwd als "Algemene vermogensvorming". Een JA in een van deze velden wordt beschouwd als een JA in het gecombineerde Duitse veld.</xs:documentation>
                                 <xs:documentation xml:lang="es">05010: Indica si el producto es compatible con clientes que buscan preservar su capital.
Los productos que estipulan un objetivo de preservación de capital deben ser SÍ. Para otros productos, la respuesta debe ser NO o NEUTRAL basándose en un análisis caso por caso. En Alemania, los campos 05010, 05020 y 05030 se fusionan y se consideran "Formación de capital general". Un SÍ en cualquiera de estos campos se considerará un SÍ en el campo combinado alemán.</xs:documentation>
                                 <xs:documentation xml:lang="it">05010: Indica se il prodotto è compatibile con i clienti che cercano di preservare il proprio capitale.
I prodotti che prevedono un obiettivo di conservazione del capitale dovrebbero essere SÌ. Per altri prodotti, la risposta dovrebbe essere NO o NEUTRALE sulla base di un'analisi caso per caso. In Germania i campi 05010, 05020 e 05030 sono uniti e considerati "Formazione di capitale generale". Un SÌ in uno qualsiasi di questi campi sarà considerato un SÌ nel campo combinato tedesco.</xs:documentation>
                                 <xs:documentation xml:lang="cs">05010: Indicates if the product is compatible with clients looking for preserving their capital.
Products stipulating a capital preservation objective should be YES. For other products, the answer should be NO or NEUTRAL based on a case-by-case analysis. In Germany fields 05010, 05020 and 05030 are merged and regarded "General Capital Formation". A YES in any of these fields will be regarded a YES in the German combined field.</xs:documentation>
                                 <xs:documentation xml:lang="hu">05010: Indicates if the product is compatible with clients looking for preserving their capital.
Products stipulating a Tokemegőrzes celkituzes should be YES. For egyeb products, the answer should be NO or NEUTRAL based on a case-by-case analysis. In Germany fields 05010, 05020 and 05030 are merged and regarded "Altalanos Capital Formation". A YES in any of these fields will be regarded a YES in the German combined mezo.</xs:documentation>
                              </xs:annotation>
                           </xs:element>
                           <xs:element name="ClientLookingForCapitalGrowth" type="EMTYesNoNeutralType">
                              <xs:annotation>
                                 <xs:documentation xml:lang="en">05020: Indicates if the product is compatible with clients looking for growing their capital.
In Germany fields 05010, 05020 and 05030 are merged and regarded "General Capital Formation". A YES in any of these fields will be regarded a YES in the German combined field.</xs:documentation>
                                 <xs:documentation xml:lang="de">05020: Gibt an, ob das Produkt mit Kunden kompatibel ist, die ihr Kapital vermehren möchten.
In Deutschland werden die Felder 05010, 05020 und 05030 zusammengeführt und als "Allgemeine Vermögensbildung" betrachtet. Ein JA in einem dieser Felder wird als JA im kombinierten deutschen Feld gewertet.</xs:documentation>
                                 <xs:documentation xml:lang="fr">05020: Indique si le produit est compatible avec les clients cherchant à faire croître leur capital.
En Allemagne, les champs 05010, 05020 et 05030 sont fusionnés et considérés comme "Formation de capital générale". Un OUI dans l'un de ces champs sera considéré comme un OUI dans le champ combiné allemand.</xs:documentation>
                                 <xs:documentation xml:lang="nl">05020: Geeft aan of het product compatibel is met klanten die hun kapitaal willen laten groeien.
In Duitsland worden de velden 05010, 05020 en 05030 samengevoegd en beschouwd als "Algemene vermogensvorming". Een JA in een van deze velden wordt beschouwd als een JA in het gecombineerde Duitse veld.</xs:documentation>
                                 <xs:documentation xml:lang="es">05020: Indica si el producto es compatible con clientes que buscan hacer crecer su capital.
En Alemania, los campos 05010, 05020 y 05030 se fusionan y se consideran "Formación de capital general". Un SÍ en cualquiera de estos campos se considerará un SÍ en el campo combinado alemán.</xs:documentation>
                                 <xs:documentation xml:lang="it">05020: Indica se il prodotto è compatibile con i clienti che cercano di far crescere il proprio capitale.
In Germania i campi 05010, 05020 e 05030 sono uniti e considerati "Formazione di capitale generale". Un SÌ in uno qualsiasi di questi campi sarà considerato un SÌ nel campo combinato tedesco.</xs:documentation>
                                 <xs:documentation xml:lang="cs">05020: Indicates if the product is compatible with clients looking for growing their capital.
In Germany fields 05010, 05020 and 05030 are merged and regarded "General Capital Formation". A YES in any of these fields will be regarded a YES in the German combined field.</xs:documentation>
                                 <xs:documentation xml:lang="hu">05020: Indicates if the product is compatible with clients looking for growing their capital.
In Germany fields 05010, 05020 and 05030 are merged and regarded "Altalanos Capital Formation". A YES in any of these fields will be regarded a YES in the German combined mezo.</xs:documentation>
                              </xs:annotation>
                           </xs:element>
                           <xs:element name="ClientLookingForIncome" type="EMTYesNoNeutralType">
                              <xs:annotation>
                                 <xs:documentation xml:lang="en">05030: Indicates if the product is compatible with clients looking for Income.
In Germany fields 05010, 05020 and 05030 are merged and regarded "General Capital Formation". A YES in any of these fields will be regarded a YES in the German combined field.</xs:documentation>
                                 <xs:documentation xml:lang="de">05030: Gibt an, ob das Produkt mit Kunden kompatibel ist, die Einkommen suchen.
In Deutschland werden die Felder 05010, 05020 und 05030 zusammengeführt und als "Allgemeine Vermögensbildung" betrachtet. Ein JA in einem dieser Felder wird als JA im kombinierten deutschen Feld gewertet.</xs:documentation>
                                 <xs:documentation xml:lang="fr">05030: Indique si le produit est compatible avec les clients cherchant des revenus.
En Allemagne, les champs 05010, 05020 et 05030 sont fusionnés et considérés comme "Formation de capital générale". Un OUI dans l'un de ces champs sera considéré comme un OUI dans le champ combiné allemand.</xs:documentation>
                                 <xs:documentation xml:lang="nl">05030: Geeft aan of het product compatibel is met klanten die op zoek zijn naar inkomen.
In Duitsland worden de velden 05010, 05020 en 05030 samengevoegd en beschouwd als "Algemene vermogensvorming". Een JA in een van deze velden wordt beschouwd als een JA in het gecombineerde Duitse veld.</xs:documentation>
                                 <xs:documentation xml:lang="es">05030: Indica si el producto es compatible con clientes que buscan ingresos.
En Alemania, los campos 05010, 05020 y 05030 se fusionan y se consideran "Formación de capital general". Un SÍ en cualquiera de estos campos se considerará un SÍ en el campo combinado alemán.</xs:documentation>
                                 <xs:documentation xml:lang="it">05030: Indica se il prodotto è compatibile con i clienti che cercano reddito.
In Germania i campi 05010, 05020 e 05030 sono uniti e considerati "Formazione di capitale generale". Un SÌ in uno qualsiasi di questi campi sarà considerato un SÌ nel campo combinato tedesco.</xs:documentation>
                                 <xs:documentation xml:lang="cs">05030: Indicates if the product is compatible with clients looking for Income.
In Germany fields 05010, 05020 and 05030 are merged and regarded "General Capital Formation". A YES in any of these fields will be regarded a YES in the German combined field.</xs:documentation>
                                 <xs:documentation xml:lang="hu">05030: Indicates if the product is compatible with clients looking for Income.
In Germany fields 05010, 05020 and 05030 are merged and regarded "Altalanos Capital Formation". A YES in any of these fields will be regarded a YES in the German combined mezo.</xs:documentation>
                              </xs:annotation>
                           </xs:element>
                           <xs:element minOccurs="0" name="OptionOrLeveraged" type="EMTYesNoNeutralType">
                              <xs:annotation>
                                 <xs:documentation xml:lang="en">05050: Yes or No or Neutral</xs:documentation>
                                 <xs:documentation xml:lang="de">05050: Ja oder Nein oder Neutral</xs:documentation>
                                 <xs:documentation xml:lang="fr">05050: Oui ou Non ou Neutre</xs:documentation>
                                 <xs:documentation xml:lang="nl">05050: Ja of Nee of Neutraal</xs:documentation>
                                 <xs:documentation xml:lang="es">05050: Sí o No o Neutral</xs:documentation>
                                 <xs:documentation xml:lang="it">05050: Sì o No o Neutrale</xs:documentation>
                                 <xs:documentation xml:lang="cs">05050: Yes or No or Neutral</xs:documentation>
                                 <xs:documentation xml:lang="hu">05050: Igen or Nem or Neutral</xs:documentation>
                              </xs:annotation>
                           </xs:element>
                           <xs:element minOccurs="0"
                                       name="PensionSchemeGermany"
                                       type="EMTYesNoNeutralType">
                              <xs:annotation>
                                 <xs:documentation xml:lang="en">05070: Yes or No or Neutral</xs:documentation>
                                 <xs:documentation xml:lang="de">05070: Ja oder Nein oder Neutral</xs:documentation>
                                 <xs:documentation xml:lang="fr">05070: Oui ou Non ou Neutre</xs:documentation>
                                 <xs:documentation xml:lang="nl">05070: Ja of Nee of Neutraal</xs:documentation>
                                 <xs:documentation xml:lang="es">05070: Sí o No o Neutral</xs:documentation>
                                 <xs:documentation xml:lang="it">05070: Sì o No o Neutrale</xs:documentation>
                                 <xs:documentation xml:lang="cs">05070: Yes or No or Neutral</xs:documentation>
                                 <xs:documentation xml:lang="hu">05070: Igen or Nem or Neutral</xs:documentation>
                              </xs:annotation>
                           </xs:element>
                           <xs:element minOccurs="0" name="StructuredSecurity">
                              <xs:annotation>
                                 <xs:documentation xml:lang="en">Structured security specific return profile data (hedging, leverage, etc.)</xs:documentation>
                                 <xs:documentation xml:lang="de">Strukturierte Wertpapiere spezifische Renditeprofdaten (Absicherung, Hebelwirkung, usw.)</xs:documentation>
                                 <xs:documentation xml:lang="fr">Données de profil de rendement spécifiques aux titres structurés (couverture, effet de levier, etc.)</xs:documentation>
                                 <xs:documentation xml:lang="nl">Specifieke rendementsprofielgegevens voor gestructureerde effecten (hedging, hefboomwerking, enz.)</xs:documentation>
                                 <xs:documentation xml:lang="es">Datos de perfil de rendimiento específicos para valores estructurados (cobertura, apalancamiento, etc.)</xs:documentation>
                                 <xs:documentation xml:lang="it">Dati del profilo di rendimento specifici per titoli strutturati (copertura, leva finanziaria, ecc.)</xs:documentation>
                                 <xs:documentation xml:lang="hu">Strukturált értékpapír-specifikus hozamprofil adatok (fedezés, tőkeáttétel, stb.)</xs:documentation>
                                 <xs:documentation xml:lang="cs">Údaje o profilu výnosnosti specifické pro strukturované cenné papíry (zajištění, pákový efekt, atd.)</xs:documentation>
                              </xs:annotation>
                              <xs:complexType>
                                 <xs:sequence>
                                    <xs:element name="Hedging" type="EMTYesNoNeutralType">
                                       <xs:annotation>
                                          <xs:documentation xml:lang="en">05040: Yes or No or Neutral
Only for structured Securities</xs:documentation>
                                          <xs:documentation xml:lang="de">05040: Ja oder Nein oder Neutral
Nur für strukturierte Wertpapiere</xs:documentation>
                                          <xs:documentation xml:lang="fr">05040: Oui ou Non ou Neutre
Uniquement pour les titres structurés</xs:documentation>
                                          <xs:documentation xml:lang="nl">05040: Ja of Nee of Neutraal
Alleen voor gestructureerde effecten</xs:documentation>
                                          <xs:documentation xml:lang="es">05040: Sí o No o Neutral
Solo para valores estructurados</xs:documentation>
                                          <xs:documentation xml:lang="it">05040: Sì o No o Neutrale
Solo per titoli strutturati</xs:documentation>
                                          <xs:documentation xml:lang="cs">05040: Yes or No or Neutral
Only for structured Securities</xs:documentation>
                                          <xs:documentation xml:lang="hu">05040: Igen or Nem or Neutral
Only for structured Securities</xs:documentation>
                                       </xs:annotation>
                                    </xs:element>
                                 </xs:sequence>
                              </xs:complexType>
                           </xs:element>
                        </xs:sequence>
                     </xs:complexType>
                  </xs:element>
                  <xs:element name="MinimumRecommendedHoldingPeriod">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">05080: Minimum recommended holding period
RHP: Recommended Holding Period</xs:documentation>
                        <xs:documentation xml:lang="de">05080: Mindestempfohlene Haltedauer
RHP: Empfohlene Haltedauer</xs:documentation>
                        <xs:documentation xml:lang="fr">05080: Période de détention minimale recommandée
RHP: Période de détention recommandée</xs:documentation>
                        <xs:documentation xml:lang="nl">05080: Minimaal aanbevolen aanhoudingsperiode
RHP: Aanbevolen aanhoudingsperiode</xs:documentation>
                        <xs:documentation xml:lang="es">05080: Período de tenencia mínimo recomendado
RHP: Período de tenencia recomendado</xs:documentation>
                        <xs:documentation xml:lang="it">05080: Periodo di detenzione minimo raccomandato
RHP: Periodo di detenzione raccomandato</xs:documentation>
                        <xs:documentation xml:lang="cs">05080: Minimum recommended holding period
RHP: Recommended Holding Period</xs:documentation>
                        <xs:documentation xml:lang="hu">05080: Minimum recommended holding period
RHP: Recommended Holding Period</xs:documentation>
                     </xs:annotation>
                     <xs:complexType>
                        <xs:choice>
                           <xs:element name="Years" type="xs:decimal">
                              <xs:annotation>
                                 <xs:documentation xml:lang="en">Minimum recommended holding period in years</xs:documentation>
                                 <xs:documentation xml:lang="de">Minimum recommended Bestand period in years</xs:documentation>
                                 <xs:documentation xml:lang="fr">Minimum recommended détention period dans years</xs:documentation>
                                 <xs:documentation xml:lang="nl">Minimum recommended bezit period in years</xs:documentation>
                                 <xs:documentation xml:lang="es">Minimum recommended tenencia period en years</xs:documentation>
                                 <xs:documentation xml:lang="it">Periodo minimo di detenzione raccomandato in anni</xs:documentation>
                                 <xs:documentation xml:lang="cs">Minimum recommended holding period in years</xs:documentation>
                                 <xs:documentation xml:lang="hu">Minimum recommended holding period in years</xs:documentation>
                              </xs:annotation>
                           </xs:element>
                           <xs:element name="Category">
                              <xs:annotation>
                                 <xs:documentation xml:lang="en">V ... Very short term (max 1Y)
S ... Short term (max 3Y)
M ... Medium term (max 5Y)
L ... Long term (min 5Y)
H ... Hold to Maturity</xs:documentation>
                                 <xs:documentation xml:lang="de">V ... Very Short term (max 1Y)
S ... Short term (max 3Y)
M ... Medium term (max 5Y)
L ... Long term (min 5Y)
H ... Hold zu Maturity</xs:documentation>
                                 <xs:documentation xml:lang="fr">V ... Very short term (max 1Y)
S ... Short term (max 3Y)
M ... Medium term (max 5Y)
L ... Long term (min 5Y)
H ... Hold à Maturity</xs:documentation>
                                 <xs:documentation xml:lang="nl">V ... Very short term (max 1Y)
S ... Short term (max 3Y)
M ... Medium term (max 5Y)
L ... Long term (min 5Y)
H ... Hold naar Maturity</xs:documentation>
                                 <xs:documentation xml:lang="es">V ... Very short term (max 1Y)
														<xs:documentation xml:lang="it"/>
                                    <xs:documentation xml:lang="cs">V ... Very short term (max 1Y)
S ... Short term (max 3Y)
M ... Medium term (max 5Y)
L ... Long term (min 5Y)
H ... Hold to Maturity</xs:documentation>
                                    <xs:documentation xml:lang="hu">V ... Very short term (max 1Y)
S ... Short term (max 3Y)
M ... Medium term (max 5Y)
L ... Long term (min 5Y)
H ... Hold to Maturity</xs:documentation>
S ... Short term (max 3Y)
M ... Medium term (max 5Y)
L ... Long term (min 5Y)
H ... Hold a Maturity</xs:documentation>
                              </xs:annotation>
                              <xs:simpleType>
                                 <xs:restriction base="xs:string">
                                    <xs:enumeration value="V"/>
                                    <xs:enumeration value="S"/>
                                    <xs:enumeration value="M"/>
                                    <xs:enumeration value="L"/>
                                    <xs:enumeration value="H"/>
                                 </xs:restriction>
                              </xs:simpleType>
                           </xs:element>
                        </xs:choice>
                     </xs:complexType>
                  </xs:element>
                  <xs:element minOccurs="0"
                              name="IntendedCompatibleWithClientsHavingSustainabilityPreferences"
                              type="EMTYesNeutralType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">05105: Discloses if the product is developed with the aim of being compatible with clients having ESG preferences. 
(Yes or Neutral).
There is no Negative Target Market</xs:documentation>
                        <xs:documentation xml:lang="de">05105: Offenlegung, ob das Produkt mit dem Ziel entwickelt wurde, mit Kunden kompatibel zu sein, die ESG-Präferenzen haben.
(Ja oder Neutral).
Es gibt keinen negativen Zielmarkt</xs:documentation>
                        <xs:documentation xml:lang="fr">05105: Indique si le produit est développé dans le but d'être compatible avec des clients ayant des préférences ESG.
(Oui ou Neutre).
Il n'y a pas de marché cible négatif</xs:documentation>
                        <xs:documentation xml:lang="nl">05105: Geeft aan of het product is ontwikkeld met als doel compatibel te zijn met cliënten met ESG-voorkeuren.
(Ja of Neutraal).
Er is geen negatieve doelmarkt</xs:documentation>
                        <xs:documentation xml:lang="es">05105: Revela si el producto se desarrolla con el objetivo de ser compatible con clientes que tienen preferencias ESG.
(Sí o Neutral).
No hay mercado objetivo negativo</xs:documentation>
                        <xs:documentation xml:lang="it">05105: Indica se il prodotto è sviluppato con l'obiettivo di essere compatibile con clienti che hanno preferenze ESG.
(Sì o Neutrale).
Non esiste un mercato target negativo</xs:documentation>
                        <xs:documentation xml:lang="cs">05105: Discloses if the product is developed with the aim of being compatible with clients having ESG preferences. 
(Yes or Neutral).
There is no Negative Target Market</xs:documentation>
                        <xs:documentation xml:lang="hu">05105: Discloses if the product is developed with the aim of being compatible with clients having ESG preferences. 
(Igen or Neutral).
There is nem Negative Target Market</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="OtherSpecificInvestmentNeed">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">05115: No, Islamic banking or Other
N...No, 
I... Islamic banking 
or O... Other</xs:documentation>
                        <xs:documentation xml:lang="de">05115: Nein, Islamic Banking oder Sonstige
N...Nein, 
I...Islamic Banking 
oder O...Sonstige</xs:documentation>
                        <xs:documentation xml:lang="fr">05115: Non, Banque islamique ou Autre
N...Non, 
I...Banque islamique 
ou O...Autre</xs:documentation>
                        <xs:documentation xml:lang="nl">05115: Nee, Islamitisch bankieren of Overig
N...Nee, 
I...Islamitisch bankieren 
of O...Overig</xs:documentation>
                        <xs:documentation xml:lang="es">05115: No, Banca islámica u Otro
N...No, 
I...Banca islámica 
u O...Otro</xs:documentation>
                        <xs:documentation xml:lang="it">05115: No, Banca islamica o Altro
N...No, 
I...Banca islamica 
o O...Altro</xs:documentation>
                        <xs:documentation xml:lang="cs">05115: No, Islamic banking or Other
N...No, 
I... Islamic banking 
or O... Other</xs:documentation>
                        <xs:documentation xml:lang="hu">05115: Nem, Islamic banking or Egyeb
N...Nem, 
I... Islamic banking 
or O... Egyeb</xs:documentation>
                     </xs:annotation>
                     <xs:simpleType>
                        <xs:restriction base="xs:string">
                           <xs:length value="1"/>
                           <xs:enumeration value="N"/>
                           <xs:enumeration value="I"/>
                           <xs:enumeration value="O"/>
                        </xs:restriction>
                     </xs:simpleType>
                  </xs:element>
               </xs:sequence>
            </xs:complexType>
         </xs:element>
         <xs:element name="DistributionStrategy">
            <xs:annotation>
               <xs:documentation xml:lang="en">Target markets - Distribution Strategy</xs:documentation>
               <xs:documentation xml:lang="de">Zielmärkte - Vertriebsstrategie</xs:documentation>
               <xs:documentation xml:lang="fr">Marchés cibles - Stratégie de distribution</xs:documentation>
               <xs:documentation xml:lang="nl">Doelmarkten - Distributiestrategie</xs:documentation>
               <xs:documentation xml:lang="es">Mercados objetivo - Distributiestrategie</xs:documentation>
               <xs:documentation xml:lang="it">Mercati target - Strategia di distribuzione</xs:documentation>
               <xs:documentation xml:lang="cs">Target markets - Distribution Strategy</xs:documentation>
               <xs:documentation xml:lang="hu">Target markets - Forgalmazas Strategia</xs:documentation>
            </xs:annotation>
            <xs:complexType>
               <xs:sequence>
                  <xs:element name="ExecutionOnly" type="RetailProfessionalBothNeitherType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">06010: Retail or Professional or Both or Neither</xs:documentation>
                        <xs:documentation xml:lang="de">06010: Privatanleger oder Professionell oder Beide oder Keiner</xs:documentation>
                        <xs:documentation xml:lang="fr">06010: Particulier ou Professionnel ou Les deux ou Aucun</xs:documentation>
                        <xs:documentation xml:lang="nl">06010: Particulier of Professioneel of Beide of Geen van beide</xs:documentation>
                        <xs:documentation xml:lang="es">06010: Minorista o Profesional o Ambos o Ninguno</xs:documentation>
                        <xs:documentation xml:lang="it">06010: Retail o Professionale o Entrambi o Nessuno</xs:documentation>
                        <xs:documentation xml:lang="cs">06010: Retail or Professional or Both or Neither</xs:documentation>
                        <xs:documentation xml:lang="hu">06010: Lakossagi or Szakmai or Both or Neither</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="ExecutionWithCheckOrNonAdvisedServices"
                              type="RetailProfessionalBothNeitherType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">06020: Retail or Professional or Both or Neither</xs:documentation>
                        <xs:documentation xml:lang="de">06020: Privatanleger oder Professionell oder Beide oder Keiner</xs:documentation>
                        <xs:documentation xml:lang="fr">06020: Particulier ou Professionnel ou Les deux ou Aucun</xs:documentation>
                        <xs:documentation xml:lang="nl">06020: Particulier of Professioneel of Beide of Geen van beide</xs:documentation>
                        <xs:documentation xml:lang="es">06020: Minorista o Profesional o Ambos o Ninguno</xs:documentation>
                        <xs:documentation xml:lang="it">06020: Retail o Professionale o Entrambi o Nessuno</xs:documentation>
                        <xs:documentation xml:lang="cs">06020: Retail or Professional or Both or Neither</xs:documentation>
                        <xs:documentation xml:lang="hu">06020: Lakossagi or Szakmai or Both or Neither</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="InvestmentAdvice" type="RetailProfessionalBothNeitherType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">06030: Retail or Professional or Both or Neither</xs:documentation>
                        <xs:documentation xml:lang="de">06030: Privatanleger oder Professionell oder Beide oder Keiner</xs:documentation>
                        <xs:documentation xml:lang="fr">06030: Particulier ou Professionnel ou Les deux ou Aucun</xs:documentation>
                        <xs:documentation xml:lang="nl">06030: Particulier of Professioneel of Beide of Geen van beide</xs:documentation>
                        <xs:documentation xml:lang="es">06030: Minorista o Profesional o Ambos o Ninguno</xs:documentation>
                        <xs:documentation xml:lang="it">06030: Retail o Professionale o Entrambi o Nessuno</xs:documentation>
                        <xs:documentation xml:lang="cs">06030: Retail or Professional or Both or Neither</xs:documentation>
                        <xs:documentation xml:lang="hu">06030: Lakossagi or Szakmai or Both or Neither</xs:documentation>
                     </xs:annotation>
                  </xs:element>
                  <xs:element name="PortfolioManagement" type="RetailProfessionalBothNeitherType">
                     <xs:annotation>
                        <xs:documentation xml:lang="en">06040: Retail or Professional or Both or Neither</xs:documentation>
                        <xs:documentation xml:lang="de">06040: Privatanleger oder Professionell oder Beide oder Keiner</xs:documentation>
                        <xs:documentation xml:lang="fr">06040: Particulier ou Professionnel ou Les deux ou Aucun</xs:documentation>
                        <xs:documentation xml:lang="nl">06040: Particulier of Professioneel of Beide of Geen van beide</xs:documentation>
                        <xs:documentation xml:lang="es">06040: Minorista o Profesional o Ambos o Ninguno</xs:documentation>
                        <xs:documentation xml:lang="it">06040: Retail o Professionale o Entrambi o Nessuno</xs:documentation>
                        <xs:documentation xml:lang="cs">06040: Retail or Professional or Both or Neither</xs:documentation>
                        <xs:documentation xml:lang="hu">06040: Lakossagi or Szakmai or Both or Neither</xs:documentation>
                     </xs:annotation>
                  </xs:element>
               </xs:sequence>
            </xs:complexType>
         </xs:element>
      </xs:sequence>
   </xs:complexType>
</xs:element>