v3.26.1
Shareholder Report, Holdings (Details)
Jun. 30, 2026
C000199639 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 27.20% [1]
C000199639 [Member] | Roche Holding AG [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.00% [1]
C000199639 [Member] | SAP SE [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.00% [1]
C000199639 [Member] | Nestle SA [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.00% [1]
C000199639 [Member] | British American Tobacco plc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.00% [1]
C000199639 [Member] | Siemens Energy AG [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20% [1]
C000199639 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.60% [1]
C000199639 [Member] | Siemens AG Registered [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.70% [1]
C000199639 [Member] | Rolls Royce Holdings plc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.90% [1]
C000199639 [Member] | HSBC Holdings plc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.90% [1]
C000199639 [Member] | ASML Holding NV [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.90% [1]
C000199639 [Member] | Utilities Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.20% [2]
C000199639 [Member] | Materials Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.80% [2]
C000199639 [Member] | Information Technology Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 12.40% [2]
C000199639 [Member] | Industrial Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 22.10% [2]
C000199639 [Member] | Consumer Staples Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 8.10% [2]
C000199639 [Member] | Consumer Discretionary Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.30% [2]
C000199639 [Member] | Communications Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.60% [2]
C000199639 [Member] | Real Estate Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [2]
C000199639 [Member] | Healthcare Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 10.10% [2]
C000199639 [Member] | Financial Services Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 26.50% [2]
C000199639 [Member] | Energy Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.70% [2]
C000199640 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 13.00% [3]
C000199640 [Member] | U S Treasury Bills 3 66 09 03 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.80% [3]
C000199640 [Member] | U S Treasury Notes 4 00 05 31 2028 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.60% [3]
C000199640 [Member] | U S Treasury Bills 3 70 09 24 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.40% [3]
C000199640 [Member] | Tohopekaliga Water Authority Series A Rev 5 00 10 01 2030 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30% [3]
C000199640 [Member] | Black Belt Energy Gas District Gas Project Series C Rev 5 25 06 01 2036 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [3]
C000199640 [Member] | School Board of Miami Dade County The Series A COP 5 00 02 01 2032 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.00% [3]
C000199640 [Member] | State of New Mexico Severance Tax Permanent Fund Series A Rev 5 00 07 01 2036 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.00% [3]
C000199640 [Member] | North Carolina Municipal Power Agency No 1 Rev 5 00 01 01 2029 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.00% [3]
C000199640 [Member] | State of Nevada Highway Improvement Revenue Rev 4 00 12 01 2034 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.90% [3]
C000199640 [Member] | Arizona Industrial Development Authority, Equitable School Revolving Fund Rev 5 00 11 01 2031 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80% [3]
C000199640 [Member] | Municipal Bonds [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 99.10% [4]
C000199640 [Member] | Short-Term Investments [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 6.60% [4]
C000199640 [Member] | U S Treasury Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.70% [4]
C000199641 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 39.00% [5]
C000199641 [Member] | Micron Technology Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.80% [5]
C000199641 [Member] | Eli Lilly And Co [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10% [5]
C000199641 [Member] | Alphabet Inc Class C [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.20% [5]
C000199641 [Member] | Walmart Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.10% [5]
C000199641 [Member] | Alphabet Inc Class A [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.20% [5]
C000199641 [Member] | Broadcom Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.50% [5]
C000199641 [Member] | Amazon com Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.70% [5]
C000199641 [Member] | Microsoft Corp [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 5.40% [5]
C000199641 [Member] | Apple Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 5.90% [5]
C000199641 [Member] | NVIDIA Corp [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 7.10% [5]
C000199641 [Member] | Utilities Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.20% [6]
C000199641 [Member] | Materials Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.50% [6]
C000199641 [Member] | Information Technology Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 39.60% [6]
C000199641 [Member] | Industrial Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 8.00% [6]
C000199641 [Member] | Consumer Staples Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 5.30% [6]
C000199641 [Member] | Consumer Discretionary Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 8.20% [6]
C000199641 [Member] | Communications Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 9.40% [6]
C000199641 [Member] | Real Estate Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [6]
C000199641 [Member] | Healthcare Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 9.90% [6]
C000199641 [Member] | Financial Services Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 11.60% [6]
C000199641 [Member] | Energy Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.60% [6]
C000199642 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 15.40% [7]
C000199642 [Member] | U S Treasury Bills 3 47 01 21 2027 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.10% [7]
C000199642 [Member] | U S Treasury Bills 3 63 09 01 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.70% [7]
C000199642 [Member] | U S Treasury Bills 3 75 04 15 2027 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30% [7]
C000199642 [Member] | U S Treasury Bills 3 59 12 24 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [7]
C000199642 [Member] | U S Treasury Bills 3 60 02 18 2027 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [7]
C000199642 [Member] | U S Treasury Bills 3 61 08 25 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [7]
C000199642 [Member] | U S Treasury Bills 3 61 08 04 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [7]
C000199642 [Member] | U S Treasury Bills 3 60 08 11 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [7]
C000199642 [Member] | U S Treasury Bills 3 61 09 03 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [7]
C000199642 [Member] | FNMA or FHLMC Single Family 30 years TBA 5 50 08 01 2056 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.10% [7]
C000199642 [Member] | Short-Term Investments [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 29.00% [8]
C000199642 [Member] | U S Treasury Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.10% [8]
C000199642 [Member] | Collateralized Mortgage Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 6.30% [8]
C000199642 [Member] | Corporate Bond Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 50.80% [8]
C000199642 [Member] | Certificates of Deposit [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.10% [8]
C000199642 [Member] | US Government Corporations and Agencies Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.10% [8]
C000199642 [Member] | Asset-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 10.20% [8]
C000199642 [Member] | Collateralized Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.10% [8]
C000199642 [Member] | Commercial Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.80% [8]
C000199642 [Member] | Foreign Government Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [8]
C000206545 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 39.00% [9]
C000206545 [Member] | Micron Technology Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10% [9]
C000206545 [Member] | Eli Lilly And Co [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.90% [9]
C000206545 [Member] | Alphabet Inc Class C [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.60% [9]
C000206545 [Member] | Alphabet Inc Class A [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.30% [9]
C000206545 [Member] | Broadcom Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.30% [9]
C000206545 [Member] | Amazon com Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.40% [9]
C000206545 [Member] | Microsoft Corp [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 5.20% [9]
C000206545 [Member] | Apple Inc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 6.60% [9]
C000206545 [Member] | NVIDIA Corp [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 7.60% [9]
C000206545 [Member] | Meta Platforms Inc Class A [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.00% [9]
C000206545 [Member] | Utilities Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.90% [10]
C000206545 [Member] | Materials Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [10]
C000206545 [Member] | Information Technology Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 40.70% [10]
C000206545 [Member] | Industrial Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 9.40% [10]
C000206545 [Member] | Consumer Staples Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 5.20% [10]
C000206545 [Member] | Consumer Discretionary Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 9.40% [10]
C000206545 [Member] | Communications Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 10.00% [10]
C000206545 [Member] | Real Estate Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.30% [10]
C000206545 [Member] | Healthcare Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 10.40% [10]
C000206545 [Member] | Financial Services Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 5.70% [10]
C000206545 [Member] | Energy Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.80% [10]
C000206546 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 23.50% [11]
C000206546 [Member] | Roche Holding AG [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.70% [11]
C000206546 [Member] | Nestle SA [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.60% [11]
C000206546 [Member] | British American Tobacco plc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.40% [11]
C000206546 [Member] | Siemens Energy AG [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.70% [11]
C000206546 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.80% [11]
C000206546 [Member] | Siemens AG Registered [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10% [11]
C000206546 [Member] | Rolls Royce Holdings plc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.60% [11]
C000206546 [Member] | HSBC Holdings plc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.40% [11]
C000206546 [Member] | ASML Holding NV [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.30% [11]
C000206546 [Member] | BAE Systems plc [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.90% [11]
C000206546 [Member] | Utilities Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.20% [12]
C000206546 [Member] | Materials Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 5.90% [12]
C000206546 [Member] | Information Technology Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 11.90% [12]
C000206546 [Member] | Industrial Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 19.60% [12]
C000206546 [Member] | Consumer Staples Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 8.40% [12]
C000206546 [Member] | Consumer Discretionary Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 5.10% [12]
C000206546 [Member] | Communications Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.60% [12]
C000206546 [Member] | Real Estate Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.50% [12]
C000206546 [Member] | Healthcare Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 9.60% [12]
C000206546 [Member] | Financial Services Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 26.40% [12]
C000206546 [Member] | Energy Sector [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.80% [12]
C000218339 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 7.60% [13]
C000218339 [Member] | FNMA or FHLMC Single Family 30 years TBA 6 00 09 01 2056 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.10% [13]
C000218339 [Member] | China Government Bond China 1 91 07 15 2029 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80% [13]
C000218339 [Member] | U S Treasury Notes 4 00 02 15 2034 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [13]
C000218339 [Member] | U S Treasury Notes 4 13 02 15 2036 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [13]
C000218339 [Member] | U S Treasury Notes 4 25 08 15 2035 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [13]
C000218339 [Member] | China Government Bond China 1 49 12 25 2031 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [13]
C000218339 [Member] | U S Treasury Notes 4 25 11 15 2034 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [13]
C000218339 [Member] | U S Treasury Notes 4 25 05 15 2035 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [13]
C000218339 [Member] | U S Treasury Notes 4 38 05 15 2034 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.70% [13]
C000218339 [Member] | U S Treasury Notes 4 63 02 15 2035 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80% [13]
C000218339 [Member] | Municipal Bonds [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.00% [14]
C000218339 [Member] | Short-Term Investments [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.40% [14]
C000218339 [Member] | U S Treasury Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 13.60% [14]
C000218339 [Member] | Collateralized Mortgage Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.90% [14]
C000218339 [Member] | Corporate Bond Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 13.90% [14]
C000218339 [Member] | US Government Corporations and Agencies Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.10% [14]
C000218339 [Member] | Asset-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.40% [14]
C000218339 [Member] | Collateralized Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 14.00% [14]
C000218339 [Member] | Commercial Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [14]
C000218339 [Member] | Foreign Government Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 59.90% [14]
C000218340 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.30% [15]
C000218340 [Member] | Black Belt Energy Gas District Series B Rev 5 00 10 01 2035 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [15]
C000218340 [Member] | Black Belt Energy Gas District Gas Project Series C Rev 5.25 06 01 2036 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [15]
C000218340 [Member] | California Community Choice Financing Authority Rev 5.00 12 01 2055 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [15]
C000218340 [Member] | Southeast Energy Authority A Cooperative District Series F Rev 5 25 11 01 2055 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [15]
C000218340 [Member] | Texas Transportation Finance Corp Rev 5 25 10 01 2050 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [15]
C000218340 [Member] | County of Fairfax Series B GO 5 00 10 01 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [15]
C000218340 [Member] | New York Liberty Development Corp World Trade Center Project Series 1 Rev 5 00 11 15 2044 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [15]
C000218340 [Member] | Commonwealth Financing Authority Tobacco Master Settlement Payment Rev 4 00 06 01 2039 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [15]
C000218340 [Member] | State of Washington Bidding Group 1 Series A GO 5 00 08 01 2034 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [15]
C000218340 [Member] | Black Belt Energy Gas District Gas Project Series E Rev 5 00 07 01 2033 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [15]
C000218340 [Member] | Municipal Bonds [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 96.40% [16]
C000218340 [Member] | Short-Term Investments [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.30% [16]
C000218340 [Member] | Commercial Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.40% [16]
C000218340 [Member] | Warrant [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.00% [16]
C000220641 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.40% [17]
C000220641 [Member] | Oman Government International Bond Oman Reg S 6 25 01 25 2031 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [17]
C000220641 [Member] | Schaeffler AG Germany Reg S 4 50 05 12 2032 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [17]
C000220641 [Member] | Digicel Holdings Bermuda Ltd Digicel International Finance Ltd Jamaica [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [17]
C000220641 [Member] | ZF Europe Finance BV Netherlands Reg S 7 00 06 12 2030 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [17]
C000220641 [Member] | Egypt Government International Bond Egypt Reg S 6 38 04 11 2031 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [17]
C000220641 [Member] | Grifols SA Spain Reg S 3 88 10 15 2028 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [17]
C000220641 [Member] | Meridian Arc Holdco LLC 6 25 04 30 2031 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.30% [17]
C000220641 [Member] | Beignet Investor LLC 6 58 05 30 2049 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.40% [17]
C000220641 [Member] | Gaci First Investment Co Cayman Islands Reg S 5 25 10 13 2032 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.40% [17]
C000220641 [Member] | Argentine Republic Government International Bond Argentina SUB 3 50 07 09 2041 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.50% [17]
C000220641 [Member] | Short-Term Investments [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.10% [18]
C000220641 [Member] | U S Treasury Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.20% [18]
C000220641 [Member] | Collateralized Mortgage Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.20% [18]
C000220641 [Member] | Corporate Bond Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 70.40% [18]
C000220641 [Member] | Asset-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.40% [18]
C000220641 [Member] | Collateralized Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.40% [18]
C000220641 [Member] | Commercial Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.80% [18]
C000220641 [Member] | Foreign Government Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 16.70% [18]
C000220641 [Member] | Warrant [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.00% [18]
C000220641 [Member] | Preferred Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.10% [18]
C000220641 [Member] | Common Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.50% [18]
C000220641 [Member] | Loan Participations and Assignments [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.70% [18]
C000220641 [Member] | Convertible Bonds [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.10% [18]
C000252360 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 33.30% [19]
C000252360 [Member] | FNMA or FHLMC Single Family 30 years TBA 5 50 08 01 2056 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.60% [19]
C000252360 [Member] | U S Treasury Bills 3 59 07 16 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 11.20% [19]
C000252360 [Member] | U S Treasury Bills 3 60 08 06 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 4.40% [19]
C000252360 [Member] | FNMA or FHLMC Single Family 30 years TBA 5 00 08 01 2056 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 3.60% [19]
C000252360 [Member] | FNMA or FHLMC Single Family 30 years TBA 6 00 07 01 2056 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.10% [19]
C000252360 [Member] | FNMA or FHLMC Single Family 30 years TBA 6 50 08 01 2056 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.90% [19]
C000252360 [Member] | U S Treasury Bills 3 61 07 09 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.80% [19]
C000252360 [Member] | FNMA or FHLMC Single Family 30 years TBA 6 00 08 01 2056 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.60% [19]
C000252360 [Member] | U S Treasury Bills 3 66 09 10 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.60% [19]
C000252360 [Member] | U S Treasury Bills 3 64 09 03 2026 [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.50% [19]
C000252360 [Member] | Short-Term Investments [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 50.80% [20]
C000252360 [Member] | U S Treasury Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.00% [20]
C000252360 [Member] | Collateralized Mortgage Obligations [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 20.30% [20]
C000252360 [Member] | Corporate Bond Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 1.00% [20]
C000252360 [Member] | Asset-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 8.80% [20]
C000252360 [Member] | Collateralized Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 32.70% [20]
C000252360 [Member] | Commercial Mortgage-Backed Securities [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 2.50% [20]
C000252360 [Member] | Preferred Stock [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.00% [20]
C000252360 [Member] | Loan Participations and Assignments [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 8.70% [20]
C000252360 [Member] | Convertible Bonds [Member]  
Holdings [Line Items]  
Percent of Net Asset Value 0.00% [20]
[1] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[2] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[3] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[4] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[5] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[6] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[7] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[8] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[9] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[10] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[11] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[12] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[13] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[14] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[15] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[16] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[17] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[18] Presented percentages may not sum to 100% due to rounding to the nearest percent.
[19] Holdings are subject to change. The holdings listed should not be considered recommendations to purchase or sell a particular security. Each individual security is calculated as a percentage of the aggregate market value of the securities held in the Fund and may include the use of derivative positions.
[20] Presented percentages may not sum to 100% due to rounding to the nearest percent.