v3.25.4
Shareholder Report, Line Graph (Details) - USD ($)
8 Months Ended 12 Months Ended 20 Months Ended 24 Months Ended 32 Months Ended 36 Months Ended 44 Months Ended 48 Months Ended 56 Months Ended 60 Months Ended 68 Months Ended 72 Months Ended 80 Months Ended 84 Months Ended 92 Months Ended 96 Months Ended 104 Months Ended 108 Months Ended 120 Months Ended
May 01, 2017
Dec. 31, 2015
Dec. 29, 2017
Dec. 31, 2025
Dec. 30, 2016
Dec. 31, 2018
Dec. 29, 2017
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2021
Dec. 31, 2020
Dec. 30, 2022
Dec. 31, 2021
Dec. 29, 2023
Dec. 30, 2022
Dec. 31, 2024
Dec. 29, 2023
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2025
C000241134 [Member]                                            
Account Value [Line Items]                                            
Line Graph and Table Measure Name       Virtus AlphaSimplex Global Alternatives Fund (Class A/GAFAX) at POP                                    
Accumulated Value [1],[2]   $ 10,000     $ 9,035.209924   $ 9,998.526041   $ 9,363.581191   $ 10,324.28645   $ 10,078.14395   $ 10,182.04235   $ 10,100.87178   $ 10,461.04089   $ 11,441.76347 $ 12,182.75385
C000241136 [Member]                                            
Account Value [Line Items]                                            
Line Graph and Table Measure Name       Virtus AlphaSimplex Managed Futures Strategy Fund (Class A/AMFAX) at POP                                    
Accumulated Value   10,000     8,912.343298   9,459.112825   8,272.378299   8,941.29727   10,127.69603   10,461.68181   14,162.03961   12,662.58467   12,212.2308 11,021.38672
FT Wilshire 5000 C000241133 Index [Member]                                            
Account Value [Line Items]                                            
Accumulated Value   2,500,000     2,834,312.989   3,430,423.45   3,249,746.113   4,256,170.849   5,142,632.623   6,515,539.438   5,274,879.922   6,651,541.351   8,231,901.082 9,641,900.727
FT Wilshire 5000 C000241132 Index [Member]                                            
Account Value [Line Items]                                            
Accumulated Value   100,000     113,372.5196   137,216.938   129,989.8445   170,246.8339   205,705.3049   260,621.5775   210,995.1969   266,061.654   329,276.0433 385,676.0291
FT Wilshire 5000 Index [Member]                                            
Account Value [Line Items]                                            
Line Graph and Table Measure Name       FT Wilshire 5000 Index                                    
Accumulated Value $ 2,500,000 10,000 $ 2,828,775.686   11,337.25196 $ 2,679,786.599 13,721.6938 $ 3,509,698.668 12,998.98445 $ 4,240,687.582 17,024.68339 $ 5,372,805.956 20,570.53049 $ 4,349,740.575 26,062.15775 $ 5,484,955.056 21,099.51969 $ 6,788,142.039 26,606.1654 $ 7,950,847.685 32,927.60433 38,567.60291
Barclay Fund of Funds C000241131 Index [Member]                                            
Account Value [Line Items]                                            
Accumulated Value                                           14,637.18741
Barclay Fund of Funds C000241133 Index [Member]                                            
Account Value [Line Items]                                            
Accumulated Value   2,500,000     2,486,363.419   2,635,041.564   2,509,230.913   2,685,134.057   2,947,077.253   3,082,628.964   2,888,141.51   3,053,317.941   3,321,096.317 3,692,369.16875
Barclay Fund of Funds C000241132 Index [Member]                                            
Account Value [Line Items]                                            
Accumulated Value   100,000     99,454.53678   105,401.6626   100,369.2365   107,405.3623   117,883.0901   123,305.1586   115,525.6604   122,132.7176   132,843.8527 147,694.76675
Barclay Fund of Funds Index [Member]                                            
Account Value [Line Items]                                            
Line Graph and Table Measure Name       Barclay Fund of Funds Index                                    
Accumulated Value   10,000     9,945.453678   10,540.16626   10,036.92365   10,740.53623   11,788.30901   12,330.51586   11,552.56604   12,213.27176   13,284.38527 14,769.47667
Credit Suisse Managed Futures Liquid C000241138 Index [Member]                                            
Account Value [Line Items]                                            
Accumulated Value   100,000     104,186.8555   101,839.6252   97,356.3708   92,913.93784   94,592.93967   101,688.7635   124,188.4405   116,843.2653   110,140.5733 105,688.3703
SG Trend C000241138 Index [Member]                                            
Account Value [Line Items]                                            
Accumulated Value   100,000     93,862.43424   95,930.48825   88,150.13168   96,282.44951   102,329.0939   111,627.8086   142,163.075   136,375.5466   139,977.2497 143,454.798
Credit Suisse Managed Futures Liquid Index [Member]                                            
Account Value [Line Items]                                            
Line Graph and Table Measure Name       Credit Suisse Managed Futures Liquid Index                                    
Accumulated Value 2,500,000 10,000 2,584,080.162   10,418.68555 2,470,322 10,183.96252 2,357,599.64 9,735.63708 2,400,202.657 9,291.393784 2,580,252.195 9,459.293967 3,151,159.336 10,168.87635 2,964,782.751 12,418.84405 2,794,708.545 11,684.32653 2,681,738.279 11,014.05733 10,568.83703
SG Trend Index [Member]                                            
Account Value [Line Items]                                            
Line Graph and Table Measure Name       SG Trend Index                                    
Accumulated Value $ 2,500,000 $ 10,000 $ 2,612,527.068   $ 9,386.243424 $ 2,400,640.393 $ 9,593.048825 $ 2,622,112.22 $ 8,815.013168 $ 2,786,783.769 $ 9,628.244951 $ 3,040,020.716 $ 10,232.90939 $ 3,871,604.202 $ 11,162.78086 $ 3,713,989.299 $ 14,216.3075 $ 3,812,076.436 $ 13,637.55466 $ 3,906,782.397 $ 13,997.72497 $ 14,345.4798
[1] “CDSC” (contingent deferred sales charge) is applied to redemptions of certain classes of shares that do not have a sales charge applied at the time of purchase. A CDSC may be imposed on certain redemptions of Class A shares made within 18 months of a finder’s fee being paid.
[2] “POP” (Public Offering Price) total returns include the effect of the maximum front-end 5.50% sales charge.