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
EIC Value Fund Class A                    
Prospectus [Line Items]                    
Annual Return [Percent] 15.60% 11.26% 12.69% 0.66% 29.73% 4.00% 22.35% (7.87%) 14.16% 11.29%
Polen Opportunistic High Yield Fund Class Y                    
Prospectus [Line Items]                    
Annual Return [Percent] 4.74% 8.89% 12.28% (11.70%) 6.19% 3.50% 6.10% (0.27%) 10.60% 14.70%
Private Capital Management Value Fund Class I                    
Prospectus [Line Items]                    
Annual Return [Percent] [1] (0.11%) 31.32% 7.12% (1.17%) 36.28% 13.79% 17.14% (9.02%) 15.50% 11.98%
Pacific Capital Tax-Free Securities Fund Class Y                    
Prospectus [Line Items]                    
Annual Return [Percent] 5.03% 2.11% 3.72% (6.75%) 0.89% 4.99% 6.49% 1.21% 4.07% (0.14%)
Pacific Capital U.S. Government Money Market Fund Investor Class                    
Prospectus [Line Items]                    
Annual Return [Percent]           0.25% 1.81%      
Polen Growth Fund Institutional Class                    
Prospectus [Line Items]                    
Annual Return [Percent] 3.77% 16.23% 39.17% (38.34%) 23.47% 33.25% 37.15% 7.82% 26.45% 0.68%
Polen Global Growth Fund Institutional Class                    
Prospectus [Line Items]                    
Annual Return [Percent] 1.88% 12.16% 31.09% (31.20%) 17.42% 23.67% 35.46% 2.51% 31.52% 0.51%
Polen International Growth Fund Institutional Class                    
Prospectus [Line Items]                    
Annual Return [Percent] (0.72%) (3.77%) 27.81% (29.90%) 5.62% 9.80% 25.88% (5.85%) 33.67%  
Polen 5Perspectives Small Growth Fund Institutional Class                    
Prospectus [Line Items]                    
Annual Return [Percent] 12.05% 3.75% 21.83% (42.90%) 16.41% 50.02% 21.22% 1.96%    
Polen Floating Rate Income ETF                    
Prospectus [Line Items]                    
Annual Return [Percent] 2.37% 8.88% 15.45%              
[1] Performance shown for the period from January 1, 1987 to May 28, 2010 is the performance of a corporate defined contribution plan account (the “Predecessor Account”), which transferred its assets to the Fund in connection with the Fund’s commencement of operations on May 28, 2010 and does not reflect any taxes that you may pay as a result of any distributions or sale of shares of the Fund. The Predecessor Account’s performance has been adjusted to reflect the monthly deduction of the Fund’s Total Annual Fund Operating Expenses After Fee Waiver and/or Expense Reimbursement applicable to Class I shares of the Fund effective at the Fund’s commencement of operations on May 28, 2010. The Class C shares and the Class R shares have not been issued.