{
  "responseHeader":{
    "status":0,
    "QTime":16,
    "params":{
      "q":"id:(2570769)",
      "wt":"json"}},
  "response":{"numFound":1,"start":0,"numFoundExact":true,"docs":[
      {
        "entity_type":"funds_report",
        "type_s":"parent",
        "id":"2570769",
        "_root_":"2570769",
        "funds_national_name":"Fidelity EUR HY Corp Bond Research Enhanced PAB UCITS ETF",
        "collectorParent":["Fidelity EUR HY Corp Bond Research Enhanced PAB UCITS ETF",
          "UCITS",
          "FIL Investment Management (Luxembourg) S.à r.l.",
          "FIL Investment Management (Luxembourg) S.à r.l.",
          "Commission de Surveillance du Secteur Financier (CSSF)",
          "Active",
          "IRELAND"],
        "funds_national_name_2":"Fidelity EUR HY Corp Bond Research Enhanced PAB UCITS ETF",
        "funds_legal_framework":"UCIT",
        "funds_legal_framework_name":"UCITS",
        "funds_legal_framework_name_parent":"UCITS",
        "funds_manager_nat_name":"FIL Investment Management (Luxembourg) S.à r.l.",
        "funds_manager_nat_names":["FIL Investment Management (Luxembourg) S.à r.l.",
          "FIL Investment Management (Luxembourg) S.à r.l."],
        "funds_manager_nat_code":"C137514",
        "funds_manager_comp_cou_code":"Commission de Surveillance du Secteur Financier (CSSF)",
        "funds_status_code":"ACTV",
        "funds_status_code_name":"Active",
        "funds_domicile_cou_code":"IE",
        "funds_domicile_cou_code_name":"IRELAND",
        "funds_ca_cou_code":"IE",
        "funds_manager_legal_framework_name":"UCITS",
        "funds_ca_cou_code_name":"IRELAND",
        "funds_other_legal_framework_name":"N/A",
        "funds_mgmnt_structure_code_name":"Externally Managed",
        "funds_created_date":"2025-06-27T00:00:00Z",
        "funds_last_update_date":"2026-02-04T00:00:00Z",
        "funds_ca_cou_code_name_2":"IRELAND",
        "funds_host_country_codes":["AT",
          "CZ",
          "DE",
          "DK",
          "ES",
          "FI",
          "FR",
          "HU",
          "IS",
          "IT",
          "LI",
          "LU",
          "NL",
          "NO",
          "SE",
          "SK"],
        "funds_notif_event1_dates":["2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-19T00:00:00Z",
          "2023-09-27T00:00:00Z"],
        "funds_mgmnt_structure_code":"EXTL",
        "funds_host_country_codes_2":"AT,CZ,DE,DK,ES,FI,FR,HU,IS,IT,LI,LU,NL,NO,SE,SK",
        "_version_":1872055797090877441,
        "timestamp":"2026-07-29T13:25:31.072Z"}]
  }}
