v3.26.1
Average Annual Total Returns
12 Months Ended 60 Months Ended 120 Months Ended 148 Months Ended 187 Months Ended
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Toews Tactical Income Fund | Morningstar US Core Bond Index (reflects no deduction for fees, expenses, or taxes)            
Prospectus [Line Items]            
Average Annual Return, Percent [1] 7.12% (0.43%) 1.96%     2.41%
Toews Tactical Income Fund | Bloomberg U.S. Aggregate Bond Index (reflects no deduction for fees, expenses, or taxes)            
Prospectus [Line Items]            
Average Annual Return, Percent [2] 7.30% (0.36%) 2.01%     2.47%
Toews Tactical Income Fund | Toews Tactical Income Fund            
Prospectus [Line Items]            
Average Annual Return, Label [Optional Text] Return before taxes          
Average Annual Return, Percent 4.03% 1.71% 3.33%     4.19%
Performance Inception Date Jun. 04, 2010          
Toews Tactical Income Fund | Toews Tactical Income Fund | After Taxes on Distributions            
Prospectus [Line Items]            
Average Annual Return, Percent 1.75% 0.10% 1.71%     2.49%
Toews Tactical Income Fund | Toews Tactical Income Fund | After Taxes on Distributions and Sales            
Prospectus [Line Items]            
Average Annual Return, Percent 2.36% 0.61% 1.85%     2.53%
Toews Hedged U.S. Fund | S&P 500 Total Return Index (reflects no deduction for fees, expenses, or taxes)            
Prospectus [Line Items]            
Average Annual Return, Percent [3] 17.88% 14.42% 14.82%     14.82%
Toews Hedged U.S. Fund | Toews Hedged U.S. Fund            
Prospectus [Line Items]            
Average Annual Return, Label [Optional Text] Return before taxes          
Average Annual Return, Percent 14.00% 4.36% 7.73%     6.81%
Performance Inception Date Jun. 04, 2010          
Toews Hedged U.S. Fund | Toews Hedged U.S. Fund | After Taxes on Distributions            
Prospectus [Line Items]            
Average Annual Return, Percent 13.39% 2.79% 6.56%     5.48%
Toews Hedged U.S. Fund | Toews Hedged U.S. Fund | After Taxes on Distributions and Sales            
Prospectus [Line Items]            
Average Annual Return, Percent 8.76% 2.79% 5.81%     5.05%
Toews Hedged Opportunity Fund | S&P 500 Total Return Index            
Prospectus [Line Items]            
Average Annual Return, Percent [4] 17.88% 14.42% 14.82%     14.82%
Toews Hedged Opportunity Fund | Morningstar US Small Cap Total Return Index            
Prospectus [Line Items]            
Average Annual Return, Percent [5] 12.20% 7.29% 9.74%     10.95%
Toews Hedged Opportunity Fund | Toews Hedged Opportunity Fund            
Prospectus [Line Items]            
Average Annual Return, Label [Optional Text] Return before taxes          
Average Annual Return, Percent 8.77% (0.61%) 3.32%     3.48%
Performance Inception Date Jun. 04, 2010          
Toews Hedged Opportunity Fund | Toews Hedged Opportunity Fund | After Taxes on Distributions            
Prospectus [Line Items]            
Average Annual Return, Percent 6.65% (2.35%) 2.33%     2.39%
Toews Hedged Opportunity Fund | Toews Hedged Opportunity Fund | After Taxes on Distributions and Sales            
Prospectus [Line Items]            
Average Annual Return, Percent 5.22% (0.99%) 2.28%     2.44%
Toews Unconstrained Income Fund | Morningstar US Core Bond Index            
Prospectus [Line Items]            
Average Annual Return, Percent [6] 7.12% (0.43%) 1.96%   2.17%  
Toews Unconstrained Income Fund | Bloomberg U.S. Aggregate Bond Index            
Prospectus [Line Items]            
Average Annual Return, Percent [7] 7.30% (0.36%) 2.01%   2.23%  
Toews Unconstrained Income Fund | Toews Unconstrained Income Fund            
Prospectus [Line Items]            
Average Annual Return, Label [Optional Text] Return before taxes          
Average Annual Return, Percent 3.55% 1.27% 2.29%   2.11%  
Performance Inception Date Aug. 28, 2013          
Toews Unconstrained Income Fund | Toews Unconstrained Income Fund | After Taxes on Distributions            
Prospectus [Line Items]            
Average Annual Return, Percent 1.82% (0.05%) 1.11%   0.95%  
Toews Unconstrained Income Fund | Toews Unconstrained Income Fund | After Taxes on Distributions and Sales            
Prospectus [Line Items]            
Average Annual Return, Percent 2.09% 0.40% 1.25%   1.11%  
Toews Managed Risk Equity Fund | S&P 500 Total Return Index (reflects no deduction for fees, expenses, or taxes)            
Prospectus [Line Items]            
Average Annual Return, Percent [8] 17.88% 14.42%   15.42%    
Toews Managed Risk Equity Fund | MSCI World Net Total Return USD Index (reflects no deduction for fees, expenses, or taxes)            
Prospectus [Line Items]            
Average Annual Return, Percent [9] 21.09% 12.15%   12.79%    
Toews Managed Risk Equity Fund | CBOE S&P 500 BuyWrite Index (BXM)            
Prospectus [Line Items]            
Average Annual Return, Percent [10] 8.91% 9.33%   7.68%    
Toews Managed Risk Equity Fund | Toews Managed Risk Equity Fund            
Prospectus [Line Items]            
Average Annual Return, Label [Optional Text] Return before taxes          
Average Annual Return, Percent 10.89% 2.80%   7.17%    
Performance Inception Date Jan. 07, 2016          
Toews Managed Risk Equity Fund | Toews Managed Risk Equity Fund | After Taxes on Distributions            
Prospectus [Line Items]            
Average Annual Return, Percent 9.98% 0.71%   5.06%    
Toews Managed Risk Equity Fund | Toews Managed Risk Equity Fund | After Taxes on Distributions and Sales            
Prospectus [Line Items]            
Average Annual Return, Percent 6.45% 1.52%   4.97%    
[1] The Morningstar US Core Bond Index measures the performance of fixed-rate, investment-grade USD-denominated securities with maturities greater than one year. It is market-capitalization weighted. The index does not incorporate Environmental, Social, or Governance (ESG) criteria. Investors cannot invest directly in an index or benchmark.
[2] Bloomberg U.S Aggregate Bond Index is a broad-based benchmark that measures the investment grade, US dollar-denominated, fixed-rate taxable bond market. The Index includes Treasuries, government-related and corporate securities, MBS (agency fixed-rate and hybrid ARM pass-throughs), ABS and CMBS (agency and nonagency). It includes securities that have at least one year to maturity, and have an outstanding par value of at least $250 million. Bonds specifically excluded are tax-exempt municipal securities, inflation-linked bonds, floating-rate issues and convertible bonds. The index is market cap weighted and reconstituted on the last business day of the month. Investors cannot invest directly in an index or benchmark.
[3] The S&P 500 Total Return Index is an unmanaged market capitalization-weighted index which is comprised of 500 of the largest U.S. domiciled companies and includes the reinvestment of all dividends. Investors cannot invest directly in an index or benchmark.
[4] The S&P 500 Total Return Index is a capitalization-weighted index of 500 stocks. The index is designed to measure performance of the broad domestic economy through changes in the aggregate market value of 500 stocks representing all major industries. The Total Return version of the index is shown. Investors cannot invest directly in an index or benchmark
[5] The Morningstar US Small Cap Total Return Index measures the performance of stocks issued by small-capitalization companies that are domiciled or principally traded in the United States. Investors cannot invest directly in an index or benchmark.
[6] The Morningstar US Core Bond Index measures the performance of fixed-rate, investment-grade USD-denominated securities with maturities greater than one year. It is market-capitalization weighted. The index does not incorporate Environmental, Social, or Governance (ESG) criteria. Investors cannot invest directly in an index or benchmark.
[7] The Bloomberg U.S. Aggregate Bond Index is an unmanaged index which represents the U.S. investment-grade fixed-rate bond market (including government and corporate securities, mortgage pass-through securities and asset-backed securities). Investors cannot invest directly in an index or benchmark.
[8] The S&P 500 Total Return Index is an unmanaged market capitalization-weighted index which is comprised of 500 of the largest U.S. domiciled companies and includes the reinvestment of all dividends. Investors cannot invest directly in an index or benchmark.
[9] The MSCI World Net Total Return USD Index captures large and mid cap representation across 23 Developed Markets (DM) countries. With 1,157 constituents, the index covers approximately 85% of the free float-adjusted market capitalization in each country. Investors cannot invest directly in an index or benchmark.
[10] CBOE S&P 500 BuyWrite Index (BXM) is a benchmark index designed to track the performance of a hypothetical buy-write strategy on the S&P 500 Index®. Investors cannot invest directly in an index or benchmark.