Shareholder Report, Holdings (Details)
|
Apr. 30, 2026 |
| C000229483 | 023135106 | Amazon.com, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000229483 | 882508104 | Texas Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000229483 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000229483 | 74743L100 | Qnity Electronics, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000229483 | 65339F101 | NextEra Energy, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000229483 | 126408103 | CSX Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000229483 | 29364G103 | Entergy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229483 | 74935Q107 | RB Global, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229483 | 084670702 | Berkshire Hathaway, Inc., Class B |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000229483 | 883556102 | Thermo Fisher Scientific, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000229483 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.50%
|
| C000229483 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000229481 | 023135106 | Amazon.com, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000229481 | 882508104 | Texas Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000229481 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000229481 | 74743L100 | Qnity Electronics, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000229481 | 65339F101 | NextEra Energy, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000229481 | 126408103 | CSX Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000229481 | 29364G103 | Entergy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229481 | 74935Q107 | RB Global, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229481 | 084670702 | Berkshire Hathaway, Inc., Class B |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000229481 | 883556102 | Thermo Fisher Scientific, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000229481 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.50%
|
| C000229481 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000240108 | 023135106 | Amazon.com, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000240108 | 882508104 | Texas Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000240108 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000240108 | 74743L100 | Qnity Electronics, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000240108 | 65339F101 | NextEra Energy, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000240108 | 126408103 | CSX Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000240108 | 29364G103 | Entergy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000240108 | 74935Q107 | RB Global, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000240108 | 084670702 | Berkshire Hathaway, Inc., Class B |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000240108 | 883556102 | Thermo Fisher Scientific, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000240108 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.50%
|
| C000240108 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.50%
|
| C000229480 | 229899109 | Cullen/Frost Bankers, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000229480 | 84472E102 | SouthState Bank Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229480 | 451107106 | IDACORP, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229480 | 81725T100 | Sensient Technologies Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000229480 | G5S37H101 | Marex Group plc |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229480 | 607828100 | Modine Manufacturing Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229480 | 37637Q105 | Glacier Bancorp, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229480 | 518415104 | Lattice Semiconductor Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229480 | 277276101 | EastGroup Properties, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229480 | 05550J101 | BJ's Wholesale Club Holdings, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229480 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.10%
|
| C000229480 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000229479 | 229899109 | Cullen/Frost Bankers, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000229479 | 84472E102 | SouthState Bank Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229479 | 451107106 | IDACORP, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229479 | 81725T100 | Sensient Technologies Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000229479 | G5S37H101 | Marex Group plc |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229479 | 607828100 | Modine Manufacturing Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229479 | 37637Q105 | Glacier Bancorp, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229479 | 518415104 | Lattice Semiconductor Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229479 | 277276101 | EastGroup Properties, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229479 | 05550J101 | BJ's Wholesale Club Holdings, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229479 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
97.10%
|
| C000229479 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.90%
|
| C000229476 | 81725T100 | Sensient Technologies Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229476 | 922417100 | Veeco Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229476 | 854231107 | Standex International Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229476 | 91704F104 | Urban Edge Properties |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229476 | 55405W104 | MYR Group, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229476 | 498894104 | Knife River Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229476 | 421298100 | Hayward Holdings Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229476 | 65406E102 | Nicolet Bankshares, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229476 | 04956D107 | Atmus Filtration Technologies, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229476 | 552690109 | MDU Resources Group, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229476 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.60%
|
| C000229476 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000229475 | 81725T100 | Sensient Technologies Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229475 | 922417100 | Veeco Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229475 | 854231107 | Standex International Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229475 | 91704F104 | Urban Edge Properties |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229475 | 55405W104 | MYR Group, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229475 | 498894104 | Knife River Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229475 | 421298100 | Hayward Holdings Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229475 | 65406E102 | Nicolet Bankshares, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229475 | 04956D107 | Atmus Filtration Technologies, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229475 | 552690109 | MDU Resources Group, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229475 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.60%
|
| C000229475 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000229478 | 81725T100 | Sensient Technologies Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229478 | 922417100 | Veeco Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229478 | 854231107 | Standex International Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229478 | 91704F104 | Urban Edge Properties |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229478 | 55405W104 | MYR Group, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229478 | 498894104 | Knife River Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229478 | 421298100 | Hayward Holdings Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229478 | 65406E102 | Nicolet Bankshares, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229478 | 04956D107 | Atmus Filtration Technologies, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229478 | 552690109 | MDU Resources Group, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229478 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.60%
|
| C000229478 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000229477 | 81725T100 | Sensient Technologies Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229477 | 922417100 | Veeco Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229477 | 854231107 | Standex International Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229477 | 91704F104 | Urban Edge Properties |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229477 | 55405W104 | MYR Group, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229477 | 498894104 | Knife River Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229477 | 421298100 | Hayward Holdings Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229477 | 65406E102 | Nicolet Bankshares, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229477 | 04956D107 | Atmus Filtration Technologies, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229477 | 552690109 | MDU Resources Group, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229477 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
99.60%
|
| C000229477 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.40%
|
| C000229473 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229473 | 67066G104 | NVIDIA Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229473 | 90386K530 | Westwood Enhanced Income Opportunity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229473 | 375558103 | Gilead Sciences, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229473 | 594918104 | Microsoft Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000229473 | 949746101 | Wells Fargo & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000229473 | 06849F108 | Barrick Mining Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000229473 | 478160104 | Johnson & Johnson |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229473 | 46654Q203 | JPMorgan Nasdaq Equity Premium Income ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229473 | 46625H100 | JPMorgan Chase & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229473 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.20%
|
| C000229473 | InvestmentType_Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000229473 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000229473 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
27.80%
|
| C000229473 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000229473 | InvestmentType_Foreign Governments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000229473 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000229473 | InvestmentType_U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.70%
|
| C000229474 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229474 | 67066G104 | NVIDIA Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229474 | 90386K530 | Westwood Enhanced Income Opportunity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229474 | 375558103 | Gilead Sciences, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229474 | 594918104 | Microsoft Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000229474 | 949746101 | Wells Fargo & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000229474 | 06849F108 | Barrick Mining Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000229474 | 478160104 | Johnson & Johnson |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229474 | 46654Q203 | JPMorgan Nasdaq Equity Premium Income ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229474 | 46625H100 | JPMorgan Chase & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229474 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.20%
|
| C000229474 | InvestmentType_Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000229474 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000229474 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
27.80%
|
| C000229474 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000229474 | InvestmentType_Foreign Governments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000229474 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000229474 | InvestmentType_U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.70%
|
| C000229472 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229472 | 67066G104 | NVIDIA Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229472 | 90386K530 | Westwood Enhanced Income Opportunity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229472 | 375558103 | Gilead Sciences, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229472 | 594918104 | Microsoft Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000229472 | 949746101 | Wells Fargo & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000229472 | 06849F108 | Barrick Mining Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000229472 | 478160104 | Johnson & Johnson |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229472 | 46654Q203 | JPMorgan Nasdaq Equity Premium Income ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229472 | 46625H100 | JPMorgan Chase & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229472 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.20%
|
| C000229472 | InvestmentType_Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000229472 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000229472 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
27.80%
|
| C000229472 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000229472 | InvestmentType_Foreign Governments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000229472 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000229472 | InvestmentType_U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.70%
|
| C000240107 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000240107 | 67066G104 | NVIDIA Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000240107 | 90386K530 | Westwood Enhanced Income Opportunity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000240107 | 375558103 | Gilead Sciences, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000240107 | 594918104 | Microsoft Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.50%
|
| C000240107 | 949746101 | Wells Fargo & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000240107 | 06849F108 | Barrick Mining Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000240107 | 478160104 | Johnson & Johnson |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000240107 | 46654Q203 | JPMorgan Nasdaq Equity Premium Income ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000240107 | 46625H100 | JPMorgan Chase & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000240107 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.20%
|
| C000240107 | InvestmentType_Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.30%
|
| C000240107 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.60%
|
| C000240107 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
27.80%
|
| C000240107 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000240107 | InvestmentType_Foreign Governments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.70%
|
| C000240107 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000240107 | InvestmentType_U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.70%
|
| C000229469 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000229469 | 67066G104 | NVIDIA Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229469 | 90386K530 | Westwood Enhanced Income Opportunity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229469 | WNM6 COM_20260622 | CME Ultra Long-Term U.S. Treasury Bond Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000229469 | UXYM6 COM_20260622 | 10-Year U.S. Treasury Note Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000229469 | ECM6 CUR_20260616 | CME Euro Foreign Exchange Currency Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229469 | 912797SV0 | U.S. Treasury Bill |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229469 | 665531AL3 | Northern Oil and Gas, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000229469 | 451102CK1 | Icahn Enterprises, L.P. / Icahn Enterprises Financial Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000229469 | 345370CA6 | Ford Motor Credit Company, LLC |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000229469 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.40%
|
| C000229469 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000229469 | InvestmentType_Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229469 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000229469 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.50%
|
| C000229469 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000229469 | InvestmentType_Foreign Governments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000229469 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229469 | InvestmentType_U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.70%
|
| C000229469 | InvestmentType_Warrant |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000229470 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.60%
|
| C000229470 | 67066G104 | NVIDIA Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.20%
|
| C000229470 | 90386K530 | Westwood Enhanced Income Opportunity ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229470 | WNM6 COM_20260622 | CME Ultra Long-Term U.S. Treasury Bond Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000229470 | UXYM6 COM_20260622 | 10-Year U.S. Treasury Note Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000229470 | ECM6 CUR_20260616 | CME Euro Foreign Exchange Currency Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000229470 | 912797SV0 | U.S. Treasury Bill |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.80%
|
| C000229470 | 665531AL3 | Northern Oil and Gas, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.30%
|
| C000229470 | 451102CK1 | Icahn Enterprises, L.P. / Icahn Enterprises Financial Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000229470 | 345370CA6 | Ford Motor Credit Company, LLC |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.00%
|
| C000229470 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
21.40%
|
| C000229470 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.10%
|
| C000229470 | InvestmentType_Collateralized Mortgage Obligations |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000229470 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000229470 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
60.50%
|
| C000229470 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000229470 | InvestmentType_Foreign Governments |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.40%
|
| C000229470 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.20%
|
| C000229470 | InvestmentType_U.S. Government & Agencies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.70%
|
| C000229470 | InvestmentType_Warrant |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.00%
|
| C000229466 | 007973AE0 | Advanced Energy Industries, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000229466 | FVM6 COM_20260701 | 5-Year U.S. Treasury Note Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000229466 | 81180WBL4 | Seagate HDD Cayman |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000229466 | 25402DAC6 | DigitalOcean Holdings, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000229466 | 55306NAB0 | MKS Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000229466 | 682189AU9 | ON Semiconductor Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000229466 | 671044AF2 | OSI Systems, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000229466 | 595017BM5 | Microchip Technology, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229466 | 00971TAP6 | Akamai Technologies, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229466 | 83419XAB4 | Solaris Energy Infrastructure, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000229466 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.20%
|
| C000229466 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000229466 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
88.90%
|
| C000229466 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000229466 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000229467 | 007973AE0 | Advanced Energy Industries, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000229467 | FVM6 COM_20260701 | 5-Year U.S. Treasury Note Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000229467 | 81180WBL4 | Seagate HDD Cayman |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000229467 | 25402DAC6 | DigitalOcean Holdings, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000229467 | 55306NAB0 | MKS Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000229467 | 682189AU9 | ON Semiconductor Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000229467 | 671044AF2 | OSI Systems, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000229467 | 595017BM5 | Microchip Technology, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229467 | 00971TAP6 | Akamai Technologies, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229467 | 83419XAB4 | Solaris Energy Infrastructure, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000229467 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.20%
|
| C000229467 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000229467 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
88.90%
|
| C000229467 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000229467 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000229465 | 007973AE0 | Advanced Energy Industries, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000229465 | FVM6 COM_20260701 | 5-Year U.S. Treasury Note Future |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000229465 | 81180WBL4 | Seagate HDD Cayman |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000229465 | 25402DAC6 | DigitalOcean Holdings, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000229465 | 55306NAB0 | MKS Instruments, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000229465 | 682189AU9 | ON Semiconductor Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.70%
|
| C000229465 | 671044AF2 | OSI Systems, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.60%
|
| C000229465 | 595017BM5 | Microchip Technology, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229465 | 00971TAP6 | Akamai Technologies, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000229465 | 83419XAB4 | Solaris Energy Infrastructure, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.40%
|
| C000229465 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.20%
|
| C000229465 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000229465 | InvestmentType_Convertible Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
88.90%
|
| C000229465 | InvestmentType_Corporate Bonds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000229465 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.60%
|
| C000237961 | 29273V100 | Energy Transfer, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000237961 | 969457100 | Williams Companies, Inc. (The) |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.20%
|
| C000237961 | 23345M107 | DT Midstream, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000237961 | 49456B101 | Kinder Morgan, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000237961 | 29250N105 | Enbridge, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000237961 | 87807B107 | TC Energy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000237961 | 293792107 | Enterprise Products Partners, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000237961 | 16411R208 | Cheniere Energy, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000237961 | B3SGMV5 | Keyera Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000237961 | 55336V100 | MPLX, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000237961 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000237961 | InvestmentType_Affiliated Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000237961 | InvestmentType_Master Limited Partnerships |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.40%
|
| C000237961 | InvestmentType_MLP Related Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
71.30%
|
| C000237964 | 29273V100 | Energy Transfer, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000237964 | 969457100 | Williams Companies, Inc. (The) |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.20%
|
| C000237964 | 23345M107 | DT Midstream, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000237964 | 49456B101 | Kinder Morgan, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000237964 | 29250N105 | Enbridge, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000237964 | 87807B107 | TC Energy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000237964 | 293792107 | Enterprise Products Partners, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000237964 | 16411R208 | Cheniere Energy, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000237964 | B3SGMV5 | Keyera Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000237964 | 55336V100 | MPLX, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000237964 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000237964 | InvestmentType_Affiliated Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000237964 | InvestmentType_Master Limited Partnerships |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.40%
|
| C000237964 | InvestmentType_MLP Related Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
71.30%
|
| C000237963 | 29273V100 | Energy Transfer, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000237963 | 969457100 | Williams Companies, Inc. (The) |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.20%
|
| C000237963 | 23345M107 | DT Midstream, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000237963 | 49456B101 | Kinder Morgan, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000237963 | 29250N105 | Enbridge, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000237963 | 87807B107 | TC Energy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000237963 | 293792107 | Enterprise Products Partners, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000237963 | 16411R208 | Cheniere Energy, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000237963 | B3SGMV5 | Keyera Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000237963 | 55336V100 | MPLX, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000237963 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000237963 | InvestmentType_Affiliated Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000237963 | InvestmentType_Master Limited Partnerships |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.40%
|
| C000237963 | InvestmentType_MLP Related Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
71.30%
|
| C000237962 | 29273V100 | Energy Transfer, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
10.30%
|
| C000237962 | 969457100 | Williams Companies, Inc. (The) |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.20%
|
| C000237962 | 23345M107 | DT Midstream, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.70%
|
| C000237962 | 49456B101 | Kinder Morgan, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.90%
|
| C000237962 | 29250N105 | Enbridge, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.60%
|
| C000237962 | 87807B107 | TC Energy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000237962 | 293792107 | Enterprise Products Partners, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.90%
|
| C000237962 | 16411R208 | Cheniere Energy, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.80%
|
| C000237962 | B3SGMV5 | Keyera Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.50%
|
| C000237962 | 55336V100 | MPLX, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000237962 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
0.30%
|
| C000237962 | InvestmentType_Affiliated Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000237962 | InvestmentType_Master Limited Partnerships |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
24.40%
|
| C000237962 | InvestmentType_MLP Related Companies |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
71.30%
|
| C000237966 | 442487112 | Hovnanian Enterprises, Inc., 7.63% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000237966 | 48251K209 | KKR Real Estate Finance Trust, Inc., 6.50% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237966 | 74965L200 | RLJ Lodging Trust, 7.80% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237966 | 22002T108 | COPT Defense Properties |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237966 | 22948Q200 | CTO Realty Growth, Inc., 6.38% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237966 | 22822V101 | Crown Castle, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000237966 | 70509V886 | Pebblebrook Hotel Trust, 5.70% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000237966 | 529043309 | LXP Industrial Trust, 6.50% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000237966 | 637870205 | National Storage Affiliates Trust, 6.00% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000237966 | 804395804 | Saul Centers, Inc., 6.13% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000237966 | Other Industries |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.40%
|
| C000237966 | Specialty Finance |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000237966 | Multi-Asset Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000237966 | Banking |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000237966 | Industrial |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000237966 | Infrastructure |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000237966 | Mortgage |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237966 | Shopping Centers |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000237966 | Home Construction |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000237966 | Specialized |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.60%
|
| C000237966 | Residential |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000237966 | Retail |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000237966 | Diversified |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.70%
|
| C000237966 | Storage |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000237966 | Healthcare |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000237966 | Office |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.80%
|
| C000237966 | Hotels |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.50%
|
| C000237966 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
27.80%
|
| C000237966 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000237966 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
70.50%
|
| C000237968 | 442487112 | Hovnanian Enterprises, Inc., 7.63% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000237968 | 48251K209 | KKR Real Estate Finance Trust, Inc., 6.50% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237968 | 74965L200 | RLJ Lodging Trust, 7.80% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237968 | 22002T108 | COPT Defense Properties |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237968 | 22948Q200 | CTO Realty Growth, Inc., 6.38% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237968 | 22822V101 | Crown Castle, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000237968 | 70509V886 | Pebblebrook Hotel Trust, 5.70% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000237968 | 529043309 | LXP Industrial Trust, 6.50% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000237968 | 637870205 | National Storage Affiliates Trust, 6.00% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.50%
|
| C000237968 | 804395804 | Saul Centers, Inc., 6.13% |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.20%
|
| C000237968 | Other Industries |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.40%
|
| C000237968 | Specialty Finance |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000237968 | Multi-Asset Class |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000237968 | Banking |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.00%
|
| C000237968 | Industrial |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.60%
|
| C000237968 | Infrastructure |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.70%
|
| C000237968 | Mortgage |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000237968 | Shopping Centers |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.30%
|
| C000237968 | Home Construction |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000237968 | Specialized |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.60%
|
| C000237968 | Residential |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000237968 | Retail |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.90%
|
| C000237968 | Diversified |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.70%
|
| C000237968 | Storage |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000237968 | Healthcare |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000237968 | Office |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.80%
|
| C000237968 | Hotels |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
18.50%
|
| C000237968 | InvestmentType_Common Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
27.80%
|
| C000237968 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.70%
|
| C000237968 | InvestmentType_Preferred Stocks |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
70.50%
|
| C000237951 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.20%
|
| C000237951 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
55.80%
|
| C000237952 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.20%
|
| C000237952 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
55.80%
|
| C000237949 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
44.20%
|
| C000237949 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
55.80%
|
| C000237956 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
71.70%
|
| C000237956 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
28.30%
|
| C000237953 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
71.70%
|
| C000237953 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
28.30%
|
| C000237955 | InvestmentType_Money Market Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
71.70%
|
| C000237955 | InvestmentType_Exchange-Traded Funds |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
28.30%
|
| C000248453 | 29273V100 | Energy Transfer, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
9.10%
|
| C000248453 | 969457100 | Williams Companies, Inc. (The) |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.70%
|
| C000248453 | 23345M107 | DT Midstream, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.50%
|
| C000248453 | 49456B101 | Kinder Morgan, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.70%
|
| C000248453 | 29250N105 | Enbridge, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
8.90%
|
| C000248453 | 87807B107 | TC Energy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000248453 | 293792107 | Enterprise Products Partners, L.P. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
7.00%
|
| C000248453 | 16411R208 | Cheniere Energy, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.10%
|
| C000248453 | 682680103 | ONEOK, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.10%
|
| C000248453 | 83671M105 | South Bow Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.00%
|
| C000248452 | 969457100 | Williams Companies, Inc. (The) |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.10%
|
| C000248452 | 49456B101 | Kinder Morgan, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.80%
|
| C000248452 | 30231G102 | Exxon Mobil Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
23.60%
|
| C000248452 | 166764100 | Chevron Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
13.80%
|
| C000248452 | 20825C104 | ConocoPhillips |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
6.30%
|
| C000248452 | 91913Y100 | Valero Energy Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.40%
|
| C000248452 | 806857108 | SLB Ltd. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
5.20%
|
| C000248452 | 05722G100 | Baker Hughes Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.20%
|
| C000248452 | 718546104 | Phillips 66 |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.00%
|
| C000248452 | 26875P101 | EOG Resources, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.90%
|
| C000267227 | 02079K305 | Alphabet, Inc., Class A |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
3.10%
|
| C000267227 | 67066G104 | NVIDIA Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.10%
|
| C000267227 | 375558103 | Gilead Sciences, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.50%
|
| C000267227 | 594918104 | Microsoft Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
2.00%
|
| C000267227 | 949746101 | Wells Fargo & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000267227 | 46625H100 | JPMorgan Chase & Company |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000267227 | 464288513 | iShares iBoxx USD High Yield Corporate Bond ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000267227 | 46435U853 | iShares Broad USD High Yield Corporate Bond ETF |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
4.40%
|
| C000267227 | 11135F101 | Broadcom, Inc. |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|
| C000267227 | 68389X105 | Oracle Corporation |
|
| Holdings [Line Items] |
|
| Percent of Net Asset Value |
1.90%
|