v3.25.2
Shareholder Report, Line Graph (Details) - USD ($)
6 Months Ended
Apr. 30, 2025
Apr. 30, 2024
Apr. 30, 2023
Apr. 30, 2022
Apr. 30, 2021
Apr. 30, 2020
Dec. 30, 2019
C000215611              
Account Value [Line Items]              
Line Graph and Table Measure Name Standpoint Multi-Asset Fund - Institutional            
Account Value $ 39,389 $ 42,843 $ 37,227 $ 37,385 $ 32,849 $ 25,575 $ 25,000
C000215610              
Account Value [Line Items]              
Line Graph and Table Measure Name Standpoint Multi-Asset Fund - Investor            
Account Value $ 15,554 16,950 14,779 14,872 13,103 10,220 10,000
ICE BofA US Treasury Bill Index (USD) TR              
Account Value [Line Items]              
Account Value 28,645 27,287 25,908 25,198 25,195 25,166 25,000
50% MSCI World / 50% ICE BAML 3-month T-Bill              
Account Value [Line Items]              
Account Value 14,310 13,138 11,702 11,286 11,386 9,406 9,977
50% MSCI World / 50% ICE BAML 3-month T-Bill              
Account Value [Line Items]              
Account Value 35,775 32,844 29,255 28,216 28,466 23,516 24,941
ICE BofA US Treasury Bill Index (USD) TR              
Account Value [Line Items]              
Account Value $ 11,458 $ 10,915 $ 10,363 $ 10,079 $ 10,078 $ 10,066 $ 10,000