{
  "responseHeader":{
    "status":0,
    "QTime":7,
    "params":{
      "q":"id:(2826545)",
      "wt":"json"}},
  "response":{"numFound":1,"start":0,"numFoundExact":true,"docs":[
      {
        "entity_type":"funds_report",
        "type_s":"parent",
        "id":"2826545",
        "_root_":"2826545",
        "funds_national_name":"L&G Asia Pacific ex Japan ESG Paris Aligned UCITS ETF",
        "collectorParent":["L&G Asia Pacific ex Japan ESG Paris Aligned UCITS ETF",
          "UCITS",
          "LGIM Managers (Europe) Limited",
          "LGIM Managers (Europe) Limited",
          "Central Bank of Ireland (CBI)",
          "Active",
          "IRELAND"],
        "funds_national_name_2":"L&G Asia Pacific ex Japan ESG Paris Aligned UCITS ETF",
        "funds_legal_framework":"UCIT",
        "funds_legal_framework_name":"UCITS",
        "funds_legal_framework_name_parent":"UCITS",
        "funds_manager_nat_name":"LGIM Managers (Europe) Limited",
        "funds_manager_nat_names":["LGIM Managers (Europe) Limited",
          "LGIM Managers (Europe) Limited"],
        "funds_manager_nat_code":"C173733",
        "funds_manager_comp_cou_code":"Central Bank of Ireland (CBI)",
        "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":"2026-07-08T00:00:00Z",
        "funds_last_update_date":"2026-07-08T00:00:00Z",
        "funds_ca_cou_code_name_2":"IRELAND",
        "funds_host_country_codes":["AT",
          "DE",
          "DK",
          "ES",
          "FI",
          "FR",
          "IT",
          "LU",
          "NL",
          "PT",
          "SE"],
        "funds_notif_event1_dates":["2022-09-22T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2022-09-30T00:00:00Z",
          "2026-07-09T00:00:00Z"],
        "funds_mgmnt_structure_code":"EXTL",
        "funds_host_country_codes_2":"AT,DE,DK,ES,FI,FR,IT,LU,NL,PT,SE",
        "_version_":1872055798875553825,
        "timestamp":"2026-07-29T13:25:31.072Z"}]
  }}
