Shareholder Report, Holdings (Details)
|
Mar. 31, 2026 |
| C000161620 | 316175504 | Fidelity Treasury Portfolio, Class I, Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
49.50%
|
| C000161620 | 66538R540 | Counterpoint Quantitative Equity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.80%
|
| C000161620 | 912797SX6 | United States Treasury Bill, 3.610% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.30%
|
| C000161620 | 912797RS8 | United States Treasury Bill, 3.535% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000161620 | 261908107 | Dreyfus Treasury Obligations Cash Management Fund, Institutional Class, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000161620 | JPCPILS2A | JP Morgan International Long/Short Index Basket 2, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000161620 | JPCPILS3A | JP Morgan International Long/Short Index Basket 3, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000161620 | JPCPILS1A | JP Morgan International Long/Short Index Basket, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000161620 | JPCPUSH1 | JP Morgan U.S. Short Index Basket, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161620 | MSCPUS1A | Morgan Stanley U.S. Counterpoint Index, 4/8/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161620 | Technology04342Y104 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
23.10%
|
| C000161620 | Equities66538R540 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
11.10%
|
| C000161620 | Cash & Equivalent316175504 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
52.20%
|
| C000161620 | U.S. Government & Agencies912797RS8 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
13.60%
|
| C000161620 | Consumer Discretionary075896159 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.00%
|
| C000161620 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000161620 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161620 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000161620 | Communications |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000161620 | Collateral for Securities Loaned |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000161620 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161620 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161620 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161620 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000161620 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000161620 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000161620 | Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.00%
|
| C000161620 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.80%
|
| C000161620 | U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000161620 | Money Market |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
49.50%
|
| C000161621 | 316175504 | Fidelity Treasury Portfolio, Class I, Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
49.50%
|
| C000161621 | 66538R540 | Counterpoint Quantitative Equity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.80%
|
| C000161621 | 912797SX6 | United States Treasury Bill, 3.610% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.30%
|
| C000161621 | 912797RS8 | United States Treasury Bill, 3.535% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000161621 | 261908107 | Dreyfus Treasury Obligations Cash Management Fund, Institutional Class, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000161621 | JPCPILS2A | JP Morgan International Long/Short Index Basket 2, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000161621 | JPCPILS3A | JP Morgan International Long/Short Index Basket 3, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000161621 | JPCPILS1A | JP Morgan International Long/Short Index Basket, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000161621 | JPCPUSH1 | JP Morgan U.S. Short Index Basket, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161621 | MSCPUS1A | Morgan Stanley U.S. Counterpoint Index, 4/8/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161621 | Technology04342Y104 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
23.10%
|
| C000161621 | Equities66538R540 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
11.10%
|
| C000161621 | Cash & Equivalent316175504 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
52.20%
|
| C000161621 | U.S. Government & Agencies912797RS8 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
13.60%
|
| C000161621 | Consumer Discretionary075896159 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.00%
|
| C000161621 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000161621 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161621 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000161621 | Communications |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000161621 | Collateral for Securities Loaned |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000161621 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161621 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161621 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161621 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000161621 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000161621 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000161621 | Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.00%
|
| C000161621 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.80%
|
| C000161621 | U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000161621 | Money Market |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
49.50%
|
| C000161622 | 316175504 | Fidelity Treasury Portfolio, Class I, Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
49.50%
|
| C000161622 | 66538R540 | Counterpoint Quantitative Equity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.80%
|
| C000161622 | 912797SX6 | United States Treasury Bill, 3.610% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.30%
|
| C000161622 | 912797RS8 | United States Treasury Bill, 3.535% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000161622 | 261908107 | Dreyfus Treasury Obligations Cash Management Fund, Institutional Class, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000161622 | JPCPILS2A | JP Morgan International Long/Short Index Basket 2, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.90%
|
| C000161622 | JPCPILS3A | JP Morgan International Long/Short Index Basket 3, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000161622 | JPCPILS1A | JP Morgan International Long/Short Index Basket, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000161622 | JPCPUSH1 | JP Morgan U.S. Short Index Basket, 1/21/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161622 | MSCPUS1A | Morgan Stanley U.S. Counterpoint Index, 4/8/27 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161622 | Technology04342Y104 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
23.10%
|
| C000161622 | Equities66538R540 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
11.10%
|
| C000161622 | Cash & Equivalent316175504 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
52.20%
|
| C000161622 | U.S. Government & Agencies912797RS8 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
13.60%
|
| C000161622 | Consumer Discretionary075896159 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.00%
|
| C000161622 | Real Estate |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000161622 | Utilities |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000161622 | Consumer Staples |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000161622 | Communications |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000161622 | Collateral for Securities Loaned |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000161622 | Health Care |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161622 | Consumer Discretionary |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161622 | Financials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000161622 | Materials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000161622 | Energy |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000161622 | Industrials |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.40%
|
| C000161622 | Technology |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.00%
|
| C000161622 | Equity |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.80%
|
| C000161622 | U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.30%
|
| C000161622 | Money Market |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
49.50%
|
| C000146567 | Goldman Sachs Financial Square Government Fund |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.70%
|
| C000146567 | United States Treasury Bill, 3.62, 2026-04-28 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000146567 | United States Treasury Bill, 3.63, 2026-05-26 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000146567 | United States Treasury Bill, 3.61, 2026-06-18 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000146567 | United States Treasury Bill, 3.61, 2026-07-21 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000146567 | United States Treasury Bill, 3.63, 2026-09-24 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.70%
|
| C000146567 | United States Treasury Note, 3.625, 2027-08-31 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.80%
|
| C000146567 | United States Treasury Bill, 3.535, 2026-09-03 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000146567 | Goldman Sachs Financial Square Treasury Instruments Fund |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000146567 | Counterpoint High Yield Trend ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000146567 | U.S. Government & Agencies912797RS8 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
75.00%
|
| C000146567 | Collateral for Securities Loaned |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000146567 | U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
75.70%
|
| C000146567 | Money Market |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
25.00%
|
| C000146567 | Fixed Income - Other66538R722 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.10%
|
| C000146567 | Cash & Equivalent38141W273 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
24.90%
|
| C000146567 | Fixed Income - Other52472T726 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.00%
|
| C000146567 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000146568 | Goldman Sachs Financial Square Government Fund |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.70%
|
| C000146568 | United States Treasury Bill, 3.62, 2026-04-28 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000146568 | United States Treasury Bill, 3.63, 2026-05-26 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000146568 | United States Treasury Bill, 3.61, 2026-06-18 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000146568 | United States Treasury Bill, 3.61, 2026-07-21 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000146568 | United States Treasury Bill, 3.63, 2026-09-24 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.70%
|
| C000146568 | United States Treasury Note, 3.625, 2027-08-31 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.80%
|
| C000146568 | United States Treasury Bill, 3.535, 2026-09-03 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000146568 | Goldman Sachs Financial Square Treasury Instruments Fund |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000146568 | Counterpoint High Yield Trend ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000146568 | U.S. Government & Agencies912797RS8 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
75.00%
|
| C000146568 | Collateral for Securities Loaned |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000146568 | U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
75.70%
|
| C000146568 | Money Market |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
25.00%
|
| C000146568 | Fixed Income - Other66538R722 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.10%
|
| C000146568 | Cash & Equivalent38141W273 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
24.90%
|
| C000146568 | Fixed Income - Other52472T726 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.00%
|
| C000146568 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000146569 | Goldman Sachs Financial Square Government Fund |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.70%
|
| C000146569 | United States Treasury Bill, 3.62, 2026-04-28 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000146569 | United States Treasury Bill, 3.63, 2026-05-26 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.90%
|
| C000146569 | United States Treasury Bill, 3.61, 2026-06-18 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000146569 | United States Treasury Bill, 3.61, 2026-07-21 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.80%
|
| C000146569 | United States Treasury Bill, 3.63, 2026-09-24 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
12.70%
|
| C000146569 | United States Treasury Note, 3.625, 2027-08-31 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.80%
|
| C000146569 | United States Treasury Bill, 3.535, 2026-09-03 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000146569 | Goldman Sachs Financial Square Treasury Instruments Fund |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000146569 | Counterpoint High Yield Trend ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000146569 | U.S. Government & Agencies912797RS8 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
75.00%
|
| C000146569 | Collateral for Securities Loaned |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000146569 | U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
75.70%
|
| C000146569 | Money Market |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
25.00%
|
| C000146569 | Fixed Income - Other66538R722 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.10%
|
| C000146569 | Cash & Equivalent38141W273 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
24.90%
|
| C000146569 | Fixed Income - Other52472T726 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
0.00%
|
| C000146569 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.10%
|
| C000200261 | 09248U841 | BlackRock Liquidity Funds MuniCash, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.80%
|
| C000200261 | 67065Q772 | Nuveen High Yield Municipal Bond Fund, Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000200261 | 018642744 | AB High Income Municipal Portfolio, Advisor Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200261 | 78249R123 | Russell Tax Exempt High Yield Bond Fund, Class S |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200261 | 38142Y583 | Goldman Sachs High Yield Municipal Fund, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200261 | 72201F672 | PIMCO High Yield Municipal Bond Fund, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200261 | 001419654 | Invesco High Yield Municipal Fund, Class Y |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200261 | 00141W703 | Invesco Rochester Municipal Opportunities Fund, Class Y |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200261 | 026545806 | American High-Income Municipal Bond Fund, Class F-3 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200261 | 741486302 | T Rowe Price Tax-Free High Yield Fund, Inc., Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200261 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000200261 | Cash & Equivalent09248U841 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
96.60%
|
| C000200261 | Fixed Income - Other018642744 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
3.40%
|
| C000200261 | Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.80%
|
| C000200262 | 09248U841 | BlackRock Liquidity Funds MuniCash, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.80%
|
| C000200262 | 67065Q772 | Nuveen High Yield Municipal Bond Fund, Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000200262 | 018642744 | AB High Income Municipal Portfolio, Advisor Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200262 | 78249R123 | Russell Tax Exempt High Yield Bond Fund, Class S |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200262 | 38142Y583 | Goldman Sachs High Yield Municipal Fund, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200262 | 72201F672 | PIMCO High Yield Municipal Bond Fund, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200262 | 001419654 | Invesco High Yield Municipal Fund, Class Y |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200262 | 00141W703 | Invesco Rochester Municipal Opportunities Fund, Class Y |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200262 | 026545806 | American High-Income Municipal Bond Fund, Class F-3 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200262 | 741486302 | T Rowe Price Tax-Free High Yield Fund, Inc., Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200262 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000200262 | Cash & Equivalent09248U841 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
96.60%
|
| C000200262 | Fixed Income - Other018642744 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
3.40%
|
| C000200262 | Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.80%
|
| C000200263 | 09248U841 | BlackRock Liquidity Funds MuniCash, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.80%
|
| C000200263 | 67065Q772 | Nuveen High Yield Municipal Bond Fund, Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000200263 | 018642744 | AB High Income Municipal Portfolio, Advisor Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200263 | 78249R123 | Russell Tax Exempt High Yield Bond Fund, Class S |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200263 | 38142Y583 | Goldman Sachs High Yield Municipal Fund, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200263 | 72201F672 | PIMCO High Yield Municipal Bond Fund, Institutional Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200263 | 001419654 | Invesco High Yield Municipal Fund, Class Y |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200263 | 00141W703 | Invesco Rochester Municipal Opportunities Fund, Class Y |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200263 | 026545806 | American High-Income Municipal Bond Fund, Class F-3 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200263 | 741486302 | T Rowe Price Tax-Free High Yield Fund, Inc., Class I |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000200263 | Fixed Income |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.30%
|
| C000200263 | Cash & Equivalent09248U841 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
96.60%
|
| C000200263 | Fixed Income - Other018642744 |
|
| Holdings [Line Items] |
|
| Percent of Total Investments |
3.40%
|
| C000200263 | Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
94.80%
|