v3.25.1
Shareholder Report, Line Graph (Details) - USD ($)
12 Months Ended 60 Months Ended 120 Months Ended
Mar. 31, 2025
Mar. 31, 2025
Mar. 31, 2025
Mar. 31, 2024
Mar. 31, 2023
Mar. 31, 2022
Mar. 31, 2021
Mar. 31, 2020
Mar. 31, 2019
Mar. 31, 2018
Mar. 31, 2017
Mar. 31, 2016
Mar. 31, 2015
C000251889 [Member]                          
Account Value [Line Items]                          
Line Graph and Table Measure Name Disciplined Value Global Long/Short Fund (Class A/JAKRX)                        
Account Value $ 16,649.367462 $ 16,649.367462 $ 16,649.367462 $ 16,017.652241 $ 13,901.476006 $ 12,770.585492 $ 11,300.382656 $ 8,513.723666 $ 10,097.23879 $ 10,709.742682 $ 10,392.278627 $ 9,865.71428 $ 9,500
Average Annual Return, Percent (1.27%) 13.18% 5.23%                    
C000251889 [Member] | Without Sales Load [Member]                          
Account Value [Line Items]                          
Line Graph and Table Measure Name Disciplined Value Global Long/Short Fund (Class A/JAKRX)—excluding sales charge                        
Average Annual Return, Percent 3.94% 14.36% 5.77%                    
C000251890 [Member]                          
Account Value [Line Items]                          
Line Graph and Table Measure Name Disciplined Value Global Long/Short Fund (Class C/JAKTX)                        
Account Value $ 17,462.16526 $ 17,462.16526 $ 17,462.16526 16,860.686569 14,633.132638 13,442.72157 11,895.139637 8,961.814385 10,628.67241 11,273.413349 10,939.24066 10,384.9624 10,000
Average Annual Return, Percent 2.67% 14.27% 5.73%                    
C000251890 [Member] | Without Sales Load [Member]                          
Account Value [Line Items]                          
Line Graph and Table Measure Name Disciplined Value Global Long/Short Fund (Class C/JAKTX)—excluding sales charge                        
Average Annual Return, Percent 3.57% 14.27% 5.73%                    
C000251891 [Member]                          
Account Value [Line Items]                          
Line Graph and Table Measure Name Disciplined Value Global Long/Short Fund (Class I/JAKUX)                        
Account Value $ 449,666.370205 $ 449,666.370205 $ 449,666.370205 431,491.429106 373,858.359111 342,405.857563 302,301.983659 227,273.882003 268,617.182322 284,241.866782 275,152.024301 260,347.105 250,000
Average Annual Return, Percent 4.21% 14.62% 6.05%                    
C000251888 [Member]                          
Account Value [Line Items]                          
Line Graph and Table Measure Name Disciplined Value Global Long/Short Fund (Class R6/JAKVX)                        
Account Value $ 1,755,085.988912 $ 1,755,085.988912 $ 1,755,085.988912 1,686,068.656841 1,463,313.263737 1,344,272.156981 1,189,513.963696 896,181.438467 1,062,867.240978 1,127,341.334919 1,093,924.065977 1,038,496.24 1,000,000
Average Annual Return, Percent 4.09% 14.39% 5.79%                    
MSCI World C000251888 Index [Member]                          
Account Value [Line Items]                          
Account Value $ 2,477,621.666503 $ 2,477,621.666503 $ 2,477,621.666503 2,314,704.262403 1,850,158.966868 1,989,892.801282 1,807,017.974379 1,173,134.105838 1,309,151.138805 1,258,634.266634 1,108,052.687601 965,482.73 1,000,000
MSCI World C000251891 Index [Member]                          
Account Value [Line Items]                          
Account Value $ 619,405.416626 619,405.416626 619,405.416626 578,676.065601 462,539.741717 497,473.20032 451,754.493594 293,283.526459 327,287.784701 314,658.566658 277,013.1719 241,370.6825 250,000
MSCI World Index [Member]                          
Account Value [Line Items]                          
Line Graph and Table Measure Name MSCI World Index                        
Account Value $ 24,776.216664 $ 24,776.216664 $ 24,776.216664 $ 23,147.042623 $ 18,501.589668 $ 19,898.928012 $ 18,070.179743 $ 11,731.341058 $ 13,091.511388 $ 12,586.342666 $ 11,080.526876 $ 9,654.8273 $ 10,000
Average Annual Return, Percent 7.04% 16.13% 9.50%