v3.25.1
Shareholder Report, Line Graph (Details) - USD ($)
12 Months Ended 60 Months Ended 84 Months Ended 112 Months Ended 117 Months Ended 120 Months Ended
Mar. 31, 2025
Mar. 31, 2025
Mar. 31, 2025
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. 29, 2018
Mar. 31, 2017
Mar. 31, 2016
Dec. 14, 2015
Jul. 01, 2015
Mar. 31, 2015
C000111026 [Member]                                      
Account Value [Line Items]                                      
Line Graph and Table Measure Name Aspiriant Risk-Managed Equity Allocation Fund (Advisor class/RMEAX)                                    
Account Value $ 19,468 $ 19,468 $ 19,468 $ 19,468 $ 19,468 $ 19,468 $ 17,921 $ 15,024 $ 15,581 $ 14,968 $ 11,595 $ 12,907 $ 12,306   $ 10,853 $ 9,829     $ 10,000
Average Annual Return, Percent 8.63% 10.92%       6.89%                          
C000156767 [Member]                                      
Account Value [Line Items]                                      
Line Graph and Table Measure Name Aspiriant Risk-Managed Municipal Bond Fund (RMMBX)                                    
Account Value $ 12,881 $ 12,881 12,881 12,881 $ 12,881 $ 12,881 12,622 12,102 12,209 12,570 11,736 11,356 10,834   10,490 10,431   $ 10,000  
Average Annual Return, Percent 2.05% 1.88%     2.63% [1]                            
C000162347 [Member]                                      
Account Value [Line Items]                                      
Line Graph and Table Measure Name Aspiriant Defensive Allocation Fund (RMDFX)                                    
Account Value $ 14,330 $ 14,330 14,330 $ 14,330 $ 14,330 14,330 13,449 12,229 12,700 12,418 10,477 11,074 11,101   10,439 9,930 $ 10,000    
Average Annual Return, Percent 6.55% 6.46%   3.95% [2]                              
C000194824 [Member]                                      
Account Value [Line Items]                                      
Line Graph and Table Measure Name Aspiriant Risk-Managed Taxable Bond Fund (RMTBX)                                    
Account Value $ 11,632 $ 11,632 $ 11,632 $ 11,632 11,632 11,632 10,983 10,445 10,868 11,292 10,797 10,357 10,000 $ 10,000          
Average Annual Return, Percent 5.91% 1.50% 2.18% [3]                                
MSCI ACWI Index [Member]                                      
Account Value [Line Items]                                      
Line Graph and Table Measure Name MSCI ACWI Index                                    
Account Value $ 23,326 $ 23,326 $ 23,326 23,326 23,326 $ 23,326 21,769 17,667 19,087 17,792 11,509 12,968 12,639   11,005 9,567     $ 10,000
Average Annual Return, Percent 7.15% 15.18%       8.84%                          
Bloomberg Municipal Bond Index [Member]                                      
Account Value [Line Items]                                      
Line Graph and Table Measure Name Bloomberg Municipal Bond Index                                    
Account Value $ 12,452 $ 12,452 12,452 12,452 $ 12,452 $ 12,452 12,302 11,929 11,898 12,455 11,805 11,367 10,786   10,507 10,491   $ 10,000  
Average Annual Return, Percent 1.22% 1.07%     2.27% [1]                            
Bloomberg U S Aggregate Bond Index [Member]                                      
Account Value [Line Items]                                      
Line Graph and Table Measure Name Bloomberg U.S. Aggregate Bond Index                                    
Account Value $ 11,158 $ 11,158 $ 11,158 $ 11,158 $ 11,158 11,158 10,638 10,461 10,986 11,462 11,381 10,448 10,000 $ 10,000 10,334 10,289 10,000    
Average Annual Return, Percent 4.88% (0.40%) 1.58% [3] 1.67% [2]                              
HFRI Fund of Funds Composite Index [Member]                                      
Account Value [Line Items]                                      
Line Graph and Table Measure Name HFRI Fund of Funds Composite Index                                    
Account Value $ 14,442 $ 14,442 $ 14,442 $ 14,442 $ 14,442 $ 14,442 $ 13,812 $ 12,593 $ 12,836 $ 12,684 $ 10,227 $ 10,820 $ 10,807   $ 10,239 $ 9,639 $ 10,000    
Average Annual Return, Percent 4.56% 7.15%   4.03% [2]                              
[1] Commenced operations as of the close of business on July 1, 2015.
[2] Commenced operations as of the close of business on December 14, 2015.
[3] Commenced operations as of the close of business on March 29, 2018.