Shareholder Report
|
12 Months Ended |
|
Oct. 31, 2025
USD ($)
Holding
|
| Shareholder Report [Line Items] |
|
| Document Type |
N-CSR
|
| Amendment Flag |
false
|
| Registrant Name |
Advisors' Inner Circle Fund
|
| Entity Central Index Key |
0000878719
|
| Entity Investment Company Type |
N-1A
|
| Document Period End Date |
Oct. 31, 2025
|
| C000123807 |
|
| Shareholder Report [Line Items] |
|
| Fund Name |
LSV Small Cap Value Fund
|
| Class Name |
Institutional Class Shares
|
| Trading Symbol |
LSVQX
|
| Annual or Semi-Annual Statement [Text Block] |
This annual shareholder report contains important information about Institutional Class Shares of the LSV Small Cap Value Fund (the "Fund") for the period from November 1, 2024 to October 31, 2025.
|
| Additional Information [Text Block] |
You can find additional information about the Fund at https://www.lsvasset.com/small-cap-value-fund/. You can also request this information by contacting us at 888-386-3578.
|
| Additional Information Phone Number |
888-386-3578
|
| Additional Information Website |
https://www.lsvasset.com/small-cap-value-fund/
|
| Expenses [Text Block] |
What were the Fund costs for the last year?(based on a hypothetical $10,000 investment) Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
|---|
LSV Small Cap Value Fund, Institutional Class Shares | $85 | 0.83% |
|---|
|
| Expenses Paid, Amount |
$ 85
|
| Expense Ratio, Percent |
0.83%
|
| Performance Past Does Not Indicate Future [Text] |
Past performance is not indicative of future performance.
|
| Line Graph [Table Text Block] |
| LSV Small Cap Value Fund, Institutional Class Shares | Russell 3000 Index (USD) (TR)Footnote Reference* | Russell 2000 Value Benchmark Index (USD) (TR)Footnote Reference* |
|---|
Oct/15 | $100,000 | $100,000 | $100,000 |
|---|
Oct/16 | $106,813 | $104,243 | $108,812 |
|---|
Oct/17 | $131,065 | $129,240 | $135,807 |
|---|
Oct/18 | $123,606 | $137,765 | $135,004 |
|---|
Oct/19 | $125,092 | $156,349 | $139,351 |
|---|
Oct/20 | $98,585 | $172,215 | $119,952 |
|---|
Oct/21 | $161,991 | $247,816 | $197,079 |
|---|
Oct/22 | $158,126 | $206,882 | $175,937 |
|---|
Oct/23 | $157,443 | $224,219 | $158,467 |
|---|
Oct/24 | $199,720 | $309,098 | $208,811 |
|---|
Oct/25 | $207,212 | $373,429 | $229,430 |
|---|
|
| Average Annual Return [Table Text Block] |
Average Annual Total Returns as of October 31, 2025Fund/Index Name | 1 Year | 5 Years | 10 Years |
|---|
LSV Small Cap Value Fund, Institutional Class Shares | 3.75% | 16.02% | 7.56% |
|---|
Russell 3000 Index (USD) (TR)Footnote Reference* | 20.81% | 16.74% | 14.08% |
|---|
Russell 2000 Value Benchmark Index (USD) (TR)Footnote Reference* | 9.87% | 13.85% | 8.66% |
|---|
|
| No Deduction of Taxes [Text Block] |
The table and graph presented do not reflect the deduction of taxes a shareholder would pay on Fund distributions or the redemption of Fund shares.
|
| AssetsNet |
$ 558,501,000
|
| Holdings Count | Holding |
227
|
| Advisory Fees Paid, Amount |
$ 3,788
|
| InvestmentCompanyPortfolioTurnover |
33.00%
|
| Holdings [Text Block] |
Sector/Asset WeightingsFootnote Reference*Value | Value |
|---|
Repurchase Agreement | 1.6% | Communication Services | 2.9% | Utilities | 3.1% | Consumer Staples | 3.7% | Materials | 4.1% | Energy | 6.7% | Real Estate | 6.8% | Health Care | 6.9% | Information Technology | 8.6% | Industrials | 12.5% | Consumer Discretionary | 14.7% | Financials | 28.4% |
| Footnote | Description | Footnote* | Percentages are calculated based on total net assets. |
Holding Name | | | Percentage of
Total Net AssetsFootnote Reference(A) |
|---|
Jazz Pharmaceuticals | | | 1.2% | Ryder System | | | 1.2% | UGI | | | 1.2% | CNO Financial Group | | | 1.1% | MGIC Investment | | | 1.1% | Exelixis | | | 1.1% | Cirrus Logic | | | 1.0% | Associated Banc-Corp | | | 1.0% | Dropbox, Cl A | | | 1.0% | Zions Bancorp | | | 0.9% |
| Footnote | Description | Footnote(A) | Repurchase Agreements are not shown in the top ten chart. |
|
| Material Fund Change [Text Block] |
There were no material changes during the reporting period.
|
| Updated Prospectus Phone Number |
888-386-3578
|
| Updated Prospectus Web Address |
https://www.lsvasset.com/small-cap-value-fund/
|
| C000142891 |
|
| Shareholder Report [Line Items] |
|
| Fund Name |
LSV Small Cap Value Fund
|
| Class Name |
Investor Class Shares
|
| Trading Symbol |
LVAQX
|
| Annual or Semi-Annual Statement [Text Block] |
This annual shareholder report contains important information about Investor Class Shares of the LSV Small Cap Value Fund (the "Fund") for the period from November 1, 2024 to October 31, 2025.
|
| Additional Information [Text Block] |
You can find additional information about the Fund at https://www.lsvasset.com/small-cap-value-fund/. You can also request this information by contacting us at 888-386-3578.
|
| Additional Information Phone Number |
888-386-3578
|
| Additional Information Website |
https://www.lsvasset.com/small-cap-value-fund/
|
| Expenses [Text Block] |
What were the Fund costs for the last year?(based on a hypothetical $10,000 investment) Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
|---|
LSV Small Cap Value Fund, Investor Class Shares | $110 | 1.08% |
|---|
|
| Expenses Paid, Amount |
$ 110
|
| Expense Ratio, Percent |
1.08%
|
| Performance Past Does Not Indicate Future [Text] |
Past performance is not indicative of future performance.
|
| Line Graph [Table Text Block] |
| LSV Small Cap Value Fund, Investor Class Shares | Russell 3000 Index (USD) (TR)Footnote Reference* | Russell 2000 Value Benchmark Index (USD) (TR)Footnote Reference* |
|---|
Oct/15 | $10,000 | $10,000 | $10,000 |
|---|
Oct/16 | $10,649 | $10,424 | $10,881 |
|---|
Oct/17 | $13,033 | $12,924 | $13,581 |
|---|
Oct/18 | $12,264 | $13,776 | $13,500 |
|---|
Oct/19 | $12,374 | $15,635 | $13,935 |
|---|
Oct/20 | $9,726 | $17,221 | $11,995 |
|---|
Oct/21 | $15,953 | $24,782 | $19,708 |
|---|
Oct/22 | $15,524 | $20,688 | $17,594 |
|---|
Oct/23 | $15,421 | $22,422 | $15,847 |
|---|
Oct/24 | $19,503 | $30,910 | $20,881 |
|---|
Oct/25 | $20,186 | $37,343 | $22,943 |
|---|
|
| Average Annual Return [Table Text Block] |
Average Annual Total Returns as of October 31, 2025Fund/Index Name | 1 Year | 5 Years | 10 Years |
|---|
LSV Small Cap Value Fund, Investor Class Shares | 3.50% | 15.72% | 7.28% |
|---|
Russell 3000 Index (USD) (TR)Footnote Reference* | 20.81% | 16.74% | 14.08% |
|---|
Russell 2000 Value Benchmark Index (USD) (TR)Footnote Reference* | 9.87% | 13.85% | 8.66% |
|---|
|
| No Deduction of Taxes [Text Block] |
The table and graph presented do not reflect the deduction of taxes a shareholder would pay on Fund distributions or the redemption of Fund shares.
|
| AssetsNet |
$ 558,501,000
|
| Holdings Count | Holding |
227
|
| Advisory Fees Paid, Amount |
$ 3,788
|
| InvestmentCompanyPortfolioTurnover |
33.00%
|
| Holdings [Text Block] |
Sector/Asset WeightingsFootnote Reference*Value | Value |
|---|
Repurchase Agreement | 1.6% | Communication Services | 2.9% | Utilities | 3.1% | Consumer Staples | 3.7% | Materials | 4.1% | Energy | 6.7% | Real Estate | 6.8% | Health Care | 6.9% | Information Technology | 8.6% | Industrials | 12.5% | Consumer Discretionary | 14.7% | Financials | 28.4% |
| Footnote | Description | Footnote* | Percentages are calculated based on total net assets. |
Holding Name | | | Percentage of
Total Net AssetsFootnote Reference(A) |
|---|
Jazz Pharmaceuticals | | | 1.2% | Ryder System | | | 1.2% | UGI | | | 1.2% | CNO Financial Group | | | 1.1% | MGIC Investment | | | 1.1% | Exelixis | | | 1.1% | Cirrus Logic | | | 1.0% | Associated Banc-Corp | | | 1.0% | Dropbox, Cl A | | | 1.0% | Zions Bancorp | | | 0.9% |
| Footnote | Description | Footnote(A) | Repurchase Agreements are not shown in the top ten chart. |
|
| Material Fund Change [Text Block] |
There were no material changes during the reporting period.
|
| Updated Prospectus Phone Number |
888-386-3578
|
| Updated Prospectus Web Address |
https://www.lsvasset.com/small-cap-value-fund/
|