v3.26.1
Shareholder Report, Average Annual Return (Details) 194914_Aristotle Portfolio Optimization Moderate Conservative Fund_Class A_TSR Annual {Class A}
12 Months Ended 60 Months Ended 120 Months Ended
Mar. 31, 2026
Mar. 31, 2026
Mar. 31, 2026
Class A      
Average Annual Return [Line Items]      
Line Graph and Table Measure Name Class A (with sales charge)    
Average Annual Return, Percent 4.08% 2.04% 4.79%
Without Sales Load [Member] | Class A      
Average Annual Return [Line Items]      
Line Graph and Table Measure Name Class A (without sales charge)    
Average Annual Return, Percent 10.13% 3.20% 5.38%
S&P 500 TR [Member]      
Average Annual Return [Line Items]      
Line Graph and Table Measure Name S&P 500 TR    
Average Annual Return, Percent 17.80% 12.06% 14.16%
Bloomberg US Aggregate Bond Index [Member]      
Average Annual Return [Line Items]      
Line Graph and Table Measure Name Bloomberg US Aggregate Bond Index    
Average Annual Return, Percent 4.35% 0.31% 1.70%
Aristotle Portfolio Optimization Moderate Conservative Composite Benchmark [Member]      
Average Annual Return [Line Items]      
Line Graph and Table Measure Name Aristotle Portfolio Optimization Moderate Conservative Composite Benchmark    
Average Annual Return, Percent 10.02% 4.84% 6.26%