v3.26.1
Annual Total Returns
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
BRANDES INTERNATIONAL EQUITY FUND | Class I                    
Prospectus [Line Items]                    
Annual Return [Percent] 38.75% 7.17% 30.37% (8.44%) 12.88% (1.84%) 14.46% (9.53%) 15.14% 8.11%
BRANDES GLOBAL EQUITY FUND | Class I                    
Prospectus [Line Items]                    
Annual Return [Percent] 33.52% 12.51% 21.68% (5.94%) 21.19% 1.97% 17.37% (10.36%) 16.22% 8.06%
BRANDES EMERGING MARKETS VALUE FUND | Class I                    
Prospectus [Line Items]                    
Annual Return [Percent] 47.83% 4.01% 22.52% (15.90%) 1.68% (6.18%) 18.59% (15.57%) 25.99% 25.74%
BRANDES INTERNATIONAL SMALL CAP EQUITY FUND | Class I                    
Prospectus [Line Items]                    
Annual Return [Percent] 45.79% 23.44% 39.26% (8.44%) 18.57% 4.86% 7.15% (20.04%) 11.78% 7.50%
BRANDES SMALL CAP VALUE FUND | Class I                    
Prospectus [Line Items]                    
Annual Return [Percent] 23.42% 24.75% 22.75% (7.89%) 27.59% 20.38% 12.82% (10.66%) 4.09% 31.59%
BRANDES CORE PLUS FIXED INCOME FUND | Class I                    
Prospectus [Line Items]                    
Annual Return [Percent] 6.69% 2.29% 7.37% (10.36%) 0.03% 6.64% 6.66% (0.44%) 2.74% 5.30%
BRANDES SEPARATELY MANAGED ACCOUNT RESERVE TRUST | BRANDES SEPARATELY MANAGED ACCOUNT RESERVE TRUST Shares                    
Prospectus [Line Items]                    
Annual Return [Percent] 6.89% 4.52% 10.64% (11.18%) 1.27% 6.87% 7.72% (1.08%) 4.77% 12.24%