v3.26.1
Shareholder Report
6 Months Ended
Jun. 30, 2026
USD ($)
Holding
Shareholder Report [Line Items]  
Document Type N-CSRS
Amendment Flag false
Registrant Name Meeder Funds
Entity Central Index Key 0000702435
Entity Investment Company Type N-1A
Document Period End Date Jun. 30, 2026
Shareholder Report Annual or Semi-Annual Semi-Annual Shareholder Report
C000174346  
Shareholder Report [Line Items]  
Fund Name Balanced Fund
Class Name Adviser Class
Trading Symbol BLNAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Balanced Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$54
1.04%
Expenses Paid, Amount $ 54
Expense Ratio, Percent 1.04%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,278
10,397
10,279
Aug-16
10,287
10,423
10,301
Sep-16
10,297
10,440
10,340
Oct-16
10,086
10,214
10,189
Nov-16
10,259
10,671
10,245
Dec-16
10,365
10,879
10,379
Jan-17
10,491
11,084
10,547
Feb-17
10,799
11,496
10,761
Mar-17
10,799
11,504
10,814
Apr-17
10,915
11,626
10,927
May-17
11,022
11,745
11,053
Jun-17
11,080
11,851
11,095
Jul-17
11,273
12,074
11,284
Aug-17
11,341
12,098
11,341
Sep-17
11,476
12,393
11,472
Oct-17
11,670
12,663
11,615
Nov-17
11,834
13,048
11,773
Dec-17
11,942
13,178
11,901
Jan-18
12,341
13,873
12,224
Feb-18
11,962
13,361
11,873
Mar-18
11,809
13,093
11,797
Apr-18
11,830
13,143
11,809
May-18
11,963
13,514
11,881
Jun-18
11,952
13,602
11,863
Jul-18
12,209
14,054
12,070
Aug-18
12,486
14,547
12,176
Sep-18
12,450
14,571
12,163
Oct-18
11,740
13,498
11,590
Nov-18
11,802
13,769
11,751
Dec-18
11,585
12,487
11,335
Jan-19
11,772
13,559
11,957
Feb-19
11,907
14,036
12,164
Mar-19
12,016
14,241
12,318
Apr-19
12,225
14,810
12,556
May-19
11,725
13,851
12,180
Jun-19
12,282
14,824
12,704
Jul-19
12,386
15,044
12,744
Aug-19
12,251
14,738
12,635
Sep-19
12,386
14,996
12,821
Oct-19
12,533
15,319
13,033
Nov-19
12,774
15,902
13,213
Dec-19
13,043
16,361
13,491
Jan-20
12,959
16,343
13,456
Feb-20
12,283
15,005
12,859
Mar-20
11,290
12,941
11,686
Apr-20
11,691
14,655
12,519
May-20
11,934
15,439
12,919
Jun-20
12,040
15,792
13,174
Jul-20
12,443
16,689
13,642
Aug-20
12,974
17,898
14,051
Sep-20
12,690
17,246
13,807
Oct-20
12,402
16,874
13,622
Nov-20
13,319
18,927
14,769
Dec-20
13,782
19,778
15,221
Jan-21
13,739
19,690
15,128
Feb-21
13,942
20,306
15,311
Mar-21
14,294
21,033
15,551
Apr-21
14,774
22,118
15,999
May-21
14,902
22,219
16,220
Jun-21
15,094
22,767
16,326
Jul-21
15,190
23,152
16,443
Aug-21
15,446
23,812
16,658
Sep-21
15,027
22,743
16,216
Oct-21
15,500
24,281
16,615
Nov-21
15,350
23,912
16,314
Dec-21
15,671
24,853
16,772
Jan-22
15,161
23,391
16,139
Feb-22
14,999
22,802
15,891
Mar-22
14,976
23,542
15,902
Apr-22
14,339
21,429
14,972
May-22
14,362
21,400
15,015
Jun-22
13,806
19,610
14,099
Jul-22
14,132
21,450
14,821
Aug-22
13,853
20,649
14,369
Sep-22
13,469
18,734
13,264
Oct-22
13,797
20,271
13,708
Nov-22
14,243
21,329
14,605
Dec-22
13,984
20,080
14,294
Jan-23
14,381
21,463
15,078
Feb-23
14,056
20,961
14,652
Mar-23
14,284
21,522
14,912
Apr-23
14,453
21,751
15,049
May-23
14,345
21,836
14,784
Jun-23
14,876
23,327
15,282
Jul-23
15,167
24,163
15,647
Aug-23
14,985
23,696
15,300
Sep-23
14,561
22,568
14,780
Oct-23
14,256
21,969
14,359
Nov-23
15,036
24,018
15,417
Dec-23
15,729
25,292
16,184
Jan-24
15,839
25,572
16,164
Feb-24
16,417
26,956
16,426
Mar-24
16,908
27,826
16,817
Apr-24
16,242
26,602
16,289
May-24
16,945
27,858
16,719
Jun-24
17,192
28,721
16,862
Jul-24
17,501
29,255
17,292
Aug-24
17,848
29,892
17,679
Sep-24
17,984
30,510
18,038
Oct-24
17,648
30,286
17,571
Nov-24
18,271
32,301
18,061
Dec-24
17,658
31,313
17,522
Jan-25
18,063
32,302
17,972
Feb-25
18,049
31,683
18,110
Mar-25
17,322
29,835
17,818
Apr-25
17,182
29,635
17,995
May-25
17,771
31,513
18,477
Jun-25
18,360
33,114
19,040
Jul-25
18,515
33,843
19,102
Aug-25
18,938
34,626
19,515
Sep-25
19,445
35,821
19,919
Oct-25
19,699
36,589
20,085
Nov-25
19,855
36,690
20,178
Dec-25
19,889
36,682
20,316
Jan-26
20,383
37,251
20,790
Feb-26
20,717
37,074
21,284
Mar-26
19,701
35,231
20,109
Apr-26
20,896
38,825
21,222
May-26
21,566
40,792
21,870
Jun-26
21,610
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
17.70%
7.44%
8.01%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 489,745,598
Holdings Count | Holding 218
Advisory Fees Paid, Amount $ 1,527,272
InvestmentCompanyPortfolioTurnover 113.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$489,745,598
# of Portfolio Holdings
218
Portfolio Turnover Rate
113%
Advisory Fees and Waivers
1,527,272
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
1.0%Footnote Reference
Utilities
1.0%Footnote Reference
Materials
1.7%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.2%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.0%Footnote Reference
Industrials
11.6%Footnote Reference
Financials
15.7%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
50.9%Footnote Reference
Registered Investment Companies
29.5%Footnote Reference
Money Market Registered Investment Companies
17.7%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
1.7%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Baird Core Plus Bond Fund - Class I
5.3%
Fidelity Total Bond Fund - Class Z
5.3%
Fidelity Advisor Capital & Income Fund - Class Z
4.3%
Apple Inc
4.0%
NVIDIA Corp
3.9%
Alphabet Inc - Class C
3.3%
Microsoft Corp
2.9%
Dodge & Cox Income Fund - Class I
2.8%
State Street SPDR Bloomberg High Yield Bond ETF
2.7%
PGIM Total Return Bond Fund Class R6
2.4%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174345  
Shareholder Report [Line Items]  
Fund Name Balanced Fund
Class Name Institutional Class
Trading Symbol BLNIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Balanced Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$53
1.03%
Expenses Paid, Amount $ 53
Expense Ratio, Percent 1.03%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,278
10,397
10,279
Aug-16
10,287
10,423
10,301
Sep-16
10,297
10,440
10,340
Oct-16
10,086
10,214
10,189
Nov-16
10,259
10,671
10,245
Dec-16
10,371
10,879
10,379
Jan-17
10,487
11,084
10,547
Feb-17
10,796
11,496
10,761
Mar-17
10,796
11,504
10,814
Apr-17
10,912
11,626
10,927
May-17
11,018
11,745
11,053
Jun-17
11,076
11,851
11,095
Jul-17
11,270
12,074
11,284
Aug-17
11,337
12,098
11,341
Sep-17
11,483
12,393
11,472
Oct-17
11,677
12,663
11,615
Nov-17
11,842
13,048
11,773
Dec-17
11,953
13,178
11,901
Jan-18
12,342
13,873
12,224
Feb-18
11,963
13,361
11,873
Mar-18
11,820
13,093
11,797
Apr-18
11,841
13,143
11,809
May-18
11,974
13,514
11,881
Jun-18
11,964
13,602
11,863
Jul-18
12,231
14,054
12,070
Aug-18
12,498
14,547
12,176
Sep-18
12,467
14,571
12,163
Oct-18
11,756
13,498
11,590
Nov-18
11,818
13,769
11,751
Dec-18
11,612
12,487
11,335
Jan-19
11,800
13,559
11,957
Feb-19
11,935
14,036
12,164
Mar-19
12,050
14,241
12,318
Apr-19
12,258
14,810
12,556
May-19
11,768
13,851
12,180
Jun-19
12,321
14,824
12,704
Jul-19
12,426
15,044
12,744
Aug-19
12,290
14,738
12,635
Sep-19
12,436
14,996
12,821
Oct-19
12,584
15,319
13,033
Nov-19
12,815
15,902
13,213
Dec-19
13,096
16,361
13,491
Jan-20
13,021
16,343
13,456
Feb-20
12,333
15,005
12,859
Mar-20
11,337
12,941
11,686
Apr-20
11,739
14,655
12,519
May-20
11,983
15,439
12,919
Jun-20
12,089
15,792
13,174
Jul-20
12,494
16,689
13,642
Aug-20
13,026
17,898
14,051
Sep-20
12,738
17,246
13,807
Oct-20
12,449
16,874
13,622
Nov-20
13,380
18,927
14,769
Dec-20
13,843
19,778
15,221
Jan-21
13,811
19,690
15,128
Feb-21
14,004
20,306
15,311
Mar-21
14,367
21,033
15,551
Apr-21
14,849
22,118
15,999
May-21
14,977
22,219
16,220
Jun-21
15,159
22,767
16,326
Jul-21
15,266
23,152
16,443
Aug-21
15,523
23,812
16,658
Sep-21
15,098
22,743
16,216
Oct-21
15,573
24,281
16,615
Nov-21
15,411
23,912
16,314
Dec-21
15,741
24,853
16,772
Jan-22
15,230
23,391
16,139
Feb-22
15,068
22,802
15,891
Mar-22
15,033
23,542
15,902
Apr-22
14,395
21,429
14,972
May-22
14,418
21,400
15,015
Jun-22
13,861
19,610
14,099
Jul-22
14,187
21,450
14,821
Aug-22
13,907
20,649
14,369
Sep-22
13,522
18,734
13,264
Oct-22
13,852
20,271
13,708
Nov-22
14,299
21,329
14,605
Dec-22
14,041
20,080
14,294
Jan-23
14,439
21,463
15,078
Feb-23
14,126
20,961
14,652
Mar-23
14,343
21,522
14,912
Apr-23
14,512
21,751
15,049
May-23
14,403
21,836
14,784
Jun-23
14,936
23,327
15,282
Jul-23
15,228
24,163
15,647
Aug-23
15,046
23,696
15,300
Sep-23
14,620
22,568
14,780
Oct-23
14,302
21,969
14,359
Nov-23
15,097
24,018
15,417
Dec-23
15,800
25,292
16,184
Jan-24
15,899
25,572
16,164
Feb-24
16,477
26,956
16,426
Mar-24
16,982
27,826
16,817
Apr-24
16,303
26,602
16,289
May-24
17,007
27,858
16,719
Jun-24
17,254
28,721
16,862
Jul-24
17,564
29,255
17,292
Aug-24
17,911
29,892
17,679
Sep-24
18,048
30,510
18,038
Oct-24
17,712
30,286
17,571
Nov-24
18,322
32,301
18,061
Dec-24
17,719
31,313
17,522
Jan-25
18,125
32,302
17,972
Feb-25
18,111
31,683
18,110
Mar-25
17,384
29,835
17,818
Apr-25
17,243
29,635
17,995
May-25
17,833
31,513
18,477
Jun-25
18,423
33,114
19,040
Jul-25
18,578
33,843
19,102
Aug-25
19,001
34,626
19,515
Sep-25
19,508
35,821
19,919
Oct-25
19,763
36,589
20,085
Nov-25
19,933
36,690
20,178
Dec-25
19,966
36,682
20,316
Jan-26
20,461
37,251
20,790
Feb-26
20,795
37,074
21,284
Mar-26
19,764
35,231
20,109
Apr-26
20,960
38,825
21,222
May-26
21,645
40,792
21,870
Jun-26
21,689
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
17.73%
7.43%
8.05%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 489,745,598
Holdings Count | Holding 218
Advisory Fees Paid, Amount $ 1,527,272
InvestmentCompanyPortfolioTurnover 113.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$489,745,598
# of Portfolio Holdings
218
Portfolio Turnover Rate
113%
Advisory Fees and Waivers
1,527,272
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
1.0%Footnote Reference
Utilities
1.0%Footnote Reference
Materials
1.7%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.2%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.0%Footnote Reference
Industrials
11.6%Footnote Reference
Financials
15.7%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
50.9%Footnote Reference
Registered Investment Companies
29.5%Footnote Reference
Money Market Registered Investment Companies
17.7%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
1.7%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Baird Core Plus Bond Fund - Class I
5.3%
Fidelity Total Bond Fund - Class Z
5.3%
Fidelity Advisor Capital & Income Fund - Class Z
4.3%
Apple Inc
4.0%
NVIDIA Corp
3.9%
Alphabet Inc - Class C
3.3%
Microsoft Corp
2.9%
Dodge & Cox Income Fund - Class I
2.8%
State Street SPDR Bloomberg High Yield Bond ETF
2.7%
PGIM Total Return Bond Fund Class R6
2.4%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000010077  
Shareholder Report [Line Items]  
Fund Name Balanced Fund
Class Name Retail Class
Trading Symbol FLDFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Balanced Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$68
1.31%
Expenses Paid, Amount $ 68
Expense Ratio, Percent 1.31%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,278
10,397
10,279
Aug-16
10,287
10,423
10,301
Sep-16
10,297
10,440
10,340
Oct-16
10,086
10,214
10,189
Nov-16
10,259
10,671
10,245
Dec-16
10,364
10,879
10,379
Jan-17
10,479
11,084
10,547
Feb-17
10,779
11,496
10,761
Mar-17
10,779
11,504
10,814
Apr-17
10,895
11,626
10,927
May-17
11,001
11,745
11,053
Jun-17
11,044
11,851
11,095
Jul-17
11,238
12,074
11,284
Aug-17
11,296
12,098
11,341
Sep-17
11,441
12,393
11,472
Oct-17
11,626
12,663
11,615
Nov-17
11,790
13,048
11,773
Dec-17
11,891
13,178
11,901
Jan-18
12,270
13,873
12,224
Feb-18
11,901
13,361
11,873
Mar-18
11,748
13,093
11,797
Apr-18
11,758
13,143
11,809
May-18
11,891
13,514
11,881
Jun-18
11,881
13,602
11,863
Jul-18
12,138
14,054
12,070
Aug-18
12,405
14,547
12,176
Sep-18
12,369
14,571
12,163
Oct-18
11,658
13,498
11,590
Nov-18
11,720
13,769
11,751
Dec-18
11,504
12,487
11,335
Jan-19
11,691
13,559
11,957
Feb-19
11,816
14,036
12,164
Mar-19
11,920
14,241
12,318
Apr-19
12,128
14,810
12,556
May-19
11,639
13,851
12,180
Jun-19
12,190
14,824
12,704
Jul-19
12,284
15,044
12,744
Aug-19
12,148
14,738
12,635
Sep-19
12,284
14,996
12,821
Oct-19
12,420
15,319
13,033
Nov-19
12,650
15,902
13,213
Dec-19
12,918
16,361
13,491
Jan-20
12,834
16,343
13,456
Feb-20
12,160
15,005
12,859
Mar-20
11,169
12,941
11,686
Apr-20
11,570
14,655
12,519
May-20
11,802
15,439
12,919
Jun-20
11,896
15,792
13,174
Jul-20
12,298
16,689
13,642
Aug-20
12,816
17,898
14,051
Sep-20
12,525
17,246
13,807
Oct-20
12,249
16,874
13,622
Nov-20
13,151
18,927
14,769
Dec-20
13,599
19,778
15,221
Jan-21
13,556
19,690
15,128
Feb-21
13,747
20,306
15,311
Mar-21
14,097
21,033
15,551
Apr-21
14,564
22,118
15,999
May-21
14,681
22,219
16,220
Jun-21
14,861
22,767
16,326
Jul-21
14,956
23,152
16,443
Aug-21
15,211
23,812
16,658
Sep-21
14,787
22,743
16,216
Oct-21
15,246
24,281
16,615
Nov-21
15,096
23,912
16,314
Dec-21
15,398
24,853
16,772
Jan-22
14,904
23,391
16,139
Feb-22
14,744
22,802
15,891
Mar-22
14,709
23,542
15,902
Apr-22
14,078
21,429
14,972
May-22
14,101
21,400
15,015
Jun-22
13,550
19,610
14,099
Jul-22
13,861
21,450
14,821
Aug-22
13,585
20,649
14,369
Sep-22
13,205
18,734
13,264
Oct-22
13,530
20,271
13,708
Nov-22
13,948
21,329
14,605
Dec-22
13,690
20,080
14,294
Jan-23
14,071
21,463
15,078
Feb-23
13,762
20,961
14,652
Mar-23
13,976
21,522
14,912
Apr-23
14,131
21,751
15,049
May-23
14,024
21,836
14,784
Jun-23
14,538
23,327
15,282
Jul-23
14,813
24,163
15,647
Aug-23
14,633
23,696
15,300
Sep-23
14,214
22,568
14,780
Oct-23
13,901
21,969
14,359
Nov-23
14,671
24,018
15,417
Dec-23
15,344
25,292
16,184
Jan-24
15,441
25,572
16,164
Feb-24
15,997
26,956
16,426
Mar-24
16,481
27,826
16,817
Apr-24
15,826
26,602
16,289
May-24
16,506
27,858
16,719
Jun-24
16,736
28,721
16,862
Jul-24
17,040
29,255
17,292
Aug-24
17,357
29,892
17,679
Sep-24
17,491
30,510
18,038
Oct-24
17,161
30,286
17,571
Nov-24
17,747
32,301
18,061
Dec-24
17,155
31,313
17,522
Jan-25
17,539
32,302
17,972
Feb-25
17,539
31,683
18,110
Mar-25
16,825
29,835
17,818
Apr-25
16,674
29,635
17,995
May-25
17,238
31,513
18,477
Jun-25
17,803
33,114
19,040
Jul-25
17,955
33,843
19,102
Aug-25
18,369
34,626
19,515
Sep-25
18,839
35,821
19,919
Oct-25
19,088
36,589
20,085
Nov-25
19,241
36,690
20,178
Dec-25
19,273
36,682
20,316
Jan-26
19,742
37,251
20,790
Feb-26
20,069
37,074
21,284
Mar-26
19,074
35,231
20,109
Apr-26
20,229
38,825
21,222
May-26
20,871
40,792
21,870
Jun-26
20,906
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
17.43%
7.07%
7.65%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 489,745,598
Holdings Count | Holding 218
Advisory Fees Paid, Amount $ 1,527,272
InvestmentCompanyPortfolioTurnover 113.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$489,745,598
# of Portfolio Holdings
218
Portfolio Turnover Rate
113%
Advisory Fees and Waivers
1,527,272
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
1.0%Footnote Reference
Utilities
1.0%Footnote Reference
Materials
1.7%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.2%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.0%Footnote Reference
Industrials
11.6%Footnote Reference
Financials
15.7%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
50.9%Footnote Reference
Registered Investment Companies
29.5%Footnote Reference
Money Market Registered Investment Companies
17.7%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
1.7%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Baird Core Plus Bond Fund - Class I
5.3%
Fidelity Total Bond Fund - Class Z
5.3%
Fidelity Advisor Capital & Income Fund - Class Z
4.3%
Apple Inc
4.0%
NVIDIA Corp
3.9%
Alphabet Inc - Class C
3.3%
Microsoft Corp
2.9%
Dodge & Cox Income Fund - Class I
2.8%
State Street SPDR Bloomberg High Yield Bond ETF
2.7%
PGIM Total Return Bond Fund Class R6
2.4%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000176586  
Shareholder Report [Line Items]  
Fund Name Conservative Allocation Fund
Class Name Adviser Class
Trading Symbol IFAAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Conservative Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$48
0.94%
Expenses Paid, Amount $ 48
Expense Ratio, Percent 0.94%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Bloomberg U.S. Aggregate Bond Index
Morningstar Conservative Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,197
10,063
10,122
Aug-16
10,142
10,052
10,115
Sep-16
10,434
10,046
10,144
Oct-16
10,030
9,969
10,042
Nov-16
10,097
9,733
9,908
Dec-16
10,285
9,747
9,957
Jan-17
10,251
9,766
10,033
Feb-17
10,425
9,832
10,135
Mar-17
10,589
9,827
10,155
Apr-17
10,593
9,902
10,240
May-17
10,646
9,979
10,328
Jun-17
10,642
9,969
10,323
Jul-17
10,940
10,011
10,420
Aug-17
10,873
10,101
10,491
Sep-17
10,916
10,053
10,505
Oct-17
10,849
10,059
10,550
Nov-17
11,008
10,046
10,594
Dec-17
11,108
10,092
10,654
Jan-18
11,225
9,976
10,704
Feb-18
11,030
9,881
10,552
Mar-18
10,992
9,945
10,564
Apr-18
10,957
9,871
10,519
May-18
11,030
9,941
10,567
Jun-18
11,001
9,929
10,564
Jul-18
11,134
9,931
10,632
Aug-18
11,242
9,995
10,691
Sep-18
11,227
9,931
10,658
Oct-18
10,862
9,852
10,452
Nov-18
10,872
9,911
10,537
Dec-18
10,831
10,093
10,527
Jan-19
11,043
10,200
10,797
Feb-19
11,129
10,195
10,858
Mar-19
11,255
10,390
11,018
Apr-19
11,367
10,393
11,092
May-19
11,209
10,577
11,082
Jun-19
11,544
10,710
11,322
Jul-19
11,610
10,734
11,352
Aug-19
11,641
11,012
11,442
Sep-19
11,666
10,953
11,483
Oct-19
11,738
10,986
11,572
Nov-19
11,820
10,981
11,612
Dec-19
11,969
10,973
11,708
Jan-20
12,036
11,184
11,828
Feb-20
11,793
11,386
11,759
Mar-20
11,151
11,319
11,314
Apr-20
11,400
11,520
11,716
May-20
11,629
11,573
11,906
Jun-20
11,743
11,646
12,046
Jul-20
12,071
11,820
12,322
Aug-20
12,275
11,725
12,411
Sep-20
12,123
11,718
12,326
Oct-20
11,987
11,666
12,236
Nov-20
12,501
11,781
12,680
Dec-20
12,769
11,797
12,849
Jan-21
12,706
11,712
12,757
Feb-21
12,701
11,543
12,643
Mar-21
12,817
11,399
12,643
Apr-21
13,065
11,489
12,845
May-21
13,129
11,527
12,955
Jun-21
13,267
11,607
13,033
Jul-21
13,314
11,737
13,156
Aug-21
13,410
11,715
13,202
Sep-21
13,208
11,614
12,993
Oct-21
13,374
11,610
13,084
Nov-21
13,288
11,645
13,022
Dec-21
13,413
11,615
13,139
Jan-22
13,132
11,365
12,807
Feb-22
13,037
11,238
12,641
Mar-22
12,902
10,926
12,427
Apr-22
12,560
10,511
11,899
May-22
12,571
10,579
11,950
Jun-22
12,061
10,413
11,560
Jul-22
12,235
10,667
11,936
Aug-22
12,066
10,366
11,599
Sep-22
11,830
9,918
10,945
Oct-22
11,909
9,790
11,010
Nov-22
12,210
10,150
11,518
Dec-22
12,080
10,104
11,412
Jan-23
12,389
10,415
11,819
Feb-23
12,177
10,145
11,520
Mar-23
12,332
10,403
11,769
Apr-23
12,406
10,466
11,854
May-23
12,291
10,352
11,695
Jun-23
12,498
10,315
11,804
Jul-23
12,643
10,308
11,906
Aug-23
12,551
10,242
11,763
Sep-23
12,336
9,982
11,443
Oct-23
12,201
9,824
11,233
Nov-23
12,739
10,269
11,821
Dec-23
13,295
10,662
12,295
Jan-24
13,319
10,633
12,269
Feb-24
13,443
10,483
12,226
Mar-24
13,697
10,580
12,388
Apr-24
13,310
10,312
12,064
May-24
13,679
10,487
12,310
Jun-24
13,828
10,587
12,416
Jul-24
14,109
10,834
12,726
Aug-24
14,343
10,990
12,953
Sep-24
14,511
11,137
13,152
Oct-24
14,239
10,860
12,813
Nov-24
14,541
10,975
13,002
Dec-24
14,209
10,796
12,734
Jan-25
14,410
10,853
12,895
Feb-25
14,587
11,092
13,112
Mar-25
14,295
11,096
13,059
Apr-25
14,196
11,140
13,161
May-25
14,362
11,060
13,214
Jun-25
14,694
11,230
13,479
Jul-25
14,737
11,200
13,459
Aug-25
14,966
11,334
13,686
Sep-25
15,250
11,458
13,867
Oct-25
15,406
11,529
13,956
Nov-25
15,493
11,601
14,033
Dec-25
15,464
11,584
14,058
Jan-26
15,635
11,596
14,197
Feb-26
15,876
11,786
14,453
Mar-26
15,363
11,578
14,004
Apr-26
15,830
11,591
14,281
May-26
16,085
11,628
14,444
Jun-26
16,137
11,656
14,479
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
9.82%
4.00%
4.90%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Morningstar Conservative Target Risk Index
7.42%
2.13%
3.77%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 171,773,166
Holdings Count | Holding 211
Advisory Fees Paid, Amount $ 411,416
InvestmentCompanyPortfolioTurnover 76.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$171,773,166
# of Portfolio Holdings
211
Portfolio Turnover Rate
76%
Advisory Fees and Waivers
411,416
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.9%Footnote Reference
Utilities
1.0%Footnote Reference
Materials
1.6%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
10.9%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
16.1%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
22.0%Footnote Reference
Registered Investment Companies
68.5%Footnote Reference
Money Market Registered Investment Companies
8.5%Footnote Reference
Call/Put Options Purchased
0.1%Footnote Reference
Assets/Other Liabilities (Net)
0.9%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Total Bond Fund - Class Z
14.1%
Baird Core Plus Bond Fund - Class I
14.0%
Fidelity Advisor Capital & Income Fund - Class Z
10.5%
State Street SPDR Bloomberg High Yield Bond ETF
6.6%
Dodge & Cox Income Fund - Class I
6.1%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
4.2%
PGIM Total Return Bond Fund Class R6
4.1%
Guggenheim Total Return Bond Fund - Class I
4.1%
iShares 20+ Year Treasury Bond ETF
3.4%
NVIDIA Corp
1.7%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000169633  
Shareholder Report [Line Items]  
Fund Name Conservative Allocation Fund
Class Name Institutional Class
Trading Symbol IFAIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Conservative Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$47
0.93%
Expenses Paid, Amount $ 47
Expense Ratio, Percent 0.93%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Bloomberg U.S. Aggregate Bond Index
Morningstar Conservative Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,197
10,063
10,122
Aug-16
10,142
10,052
10,115
Sep-16
10,434
10,046
10,144
Oct-16
10,030
9,969
10,042
Nov-16
10,097
9,733
9,908
Dec-16
10,284
9,747
9,957
Jan-17
10,250
9,766
10,033
Feb-17
10,428
9,832
10,135
Mar-17
10,587
9,827
10,155
Apr-17
10,592
9,902
10,240
May-17
10,645
9,979
10,328
Jun-17
10,645
9,969
10,323
Jul-17
10,944
10,011
10,420
Aug-17
10,877
10,101
10,491
Sep-17
10,920
10,053
10,505
Oct-17
10,862
10,059
10,550
Nov-17
11,016
10,046
10,594
Dec-17
11,117
10,092
10,654
Jan-18
11,239
9,976
10,704
Feb-18
11,044
9,881
10,552
Mar-18
11,010
9,945
10,564
Apr-18
10,976
9,871
10,519
May-18
11,054
9,941
10,567
Jun-18
11,025
9,929
10,564
Jul-18
11,157
9,931
10,632
Aug-18
11,265
9,995
10,691
Sep-18
11,255
9,931
10,658
Oct-18
10,891
9,852
10,452
Nov-18
10,900
9,911
10,537
Dec-18
10,864
10,093
10,527
Jan-19
11,076
10,200
10,797
Feb-19
11,167
10,195
10,858
Mar-19
11,293
10,390
11,018
Apr-19
11,405
10,393
11,092
May-19
11,248
10,577
11,082
Jun-19
11,588
10,710
11,322
Jul-19
11,654
10,734
11,352
Aug-19
11,690
11,012
11,442
Sep-19
11,716
10,953
11,483
Oct-19
11,788
10,986
11,572
Nov-19
11,870
10,981
11,612
Dec-19
12,017
10,973
11,708
Jan-20
12,079
11,184
11,828
Feb-20
11,841
11,386
11,759
Mar-20
11,198
11,319
11,314
Apr-20
11,442
11,520
11,716
May-20
11,671
11,573
11,906
Jun-20
11,786
11,646
12,046
Jul-20
12,115
11,820
12,322
Aug-20
12,324
11,725
12,411
Sep-20
12,172
11,718
12,326
Oct-20
12,036
11,666
12,236
Nov-20
12,550
11,781
12,680
Dec-20
12,820
11,797
12,849
Jan-21
12,751
11,712
12,757
Feb-21
12,746
11,543
12,643
Mar-21
12,862
11,399
12,643
Apr-21
13,111
11,489
12,845
May-21
13,180
11,527
12,955
Jun-21
13,318
11,607
13,033
Jul-21
13,361
11,737
13,156
Aug-21
13,457
11,715
13,202
Sep-21
13,254
11,614
12,993
Oct-21
13,415
11,610
13,084
Nov-21
13,329
11,645
13,022
Dec-21
13,453
11,615
13,139
Jan-22
13,172
11,365
12,807
Feb-22
13,077
11,238
12,641
Mar-22
12,942
10,926
12,427
Apr-22
12,594
10,511
11,899
May-22
12,605
10,579
11,950
Jun-22
12,094
10,413
11,560
Jul-22
12,269
10,667
11,936
Aug-22
12,094
10,366
11,599
Sep-22
11,858
9,918
10,945
Oct-22
11,937
9,790
11,010
Nov-22
12,244
10,150
11,518
Dec-22
12,108
10,104
11,412
Jan-23
12,417
10,415
11,819
Feb-23
12,205
10,145
11,520
Mar-23
12,365
10,403
11,769
Apr-23
12,434
10,466
11,854
May-23
12,319
10,352
11,695
Jun-23
12,526
10,315
11,804
Jul-23
12,671
10,308
11,906
Aug-23
12,573
10,242
11,763
Sep-23
12,364
9,982
11,443
Oct-23
12,224
9,824
11,233
Nov-23
12,762
10,269
11,821
Dec-23
13,322
10,662
12,295
Jan-24
13,346
10,633
12,269
Feb-24
13,470
10,483
12,226
Mar-24
13,718
10,580
12,388
Apr-24
13,331
10,312
12,064
May-24
13,700
10,487
12,310
Jun-24
13,848
10,587
12,416
Jul-24
14,130
10,834
12,726
Aug-24
14,363
10,990
12,953
Sep-24
14,525
11,137
13,152
Oct-24
14,254
10,860
12,813
Nov-24
14,561
10,975
13,002
Dec-24
14,225
10,796
12,734
Jan-25
14,426
10,853
12,895
Feb-25
14,603
11,092
13,112
Mar-25
14,311
11,096
13,059
Apr-25
14,213
11,140
13,161
May-25
14,378
11,060
13,214
Jun-25
14,709
11,230
13,479
Jul-25
14,753
11,200
13,459
Aug-25
14,981
11,334
13,686
Sep-25
15,265
11,458
13,867
Oct-25
15,420
11,529
13,956
Nov-25
15,508
11,601
14,033
Dec-25
15,482
11,584
14,058
Jan-26
15,653
11,596
14,197
Feb-26
15,894
11,786
14,453
Mar-26
15,382
11,578
14,004
Apr-26
15,847
11,591
14,281
May-26
16,103
11,628
14,444
Jun-26
16,154
11,656
14,479
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
9.82%
3.94%
4.91%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Morningstar Conservative Target Risk Index
7.42%
2.13%
3.77%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 171,773,166
Holdings Count | Holding 211
Advisory Fees Paid, Amount $ 411,416
InvestmentCompanyPortfolioTurnover 76.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$171,773,166
# of Portfolio Holdings
211
Portfolio Turnover Rate
76%
Advisory Fees and Waivers
411,416
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.9%Footnote Reference
Utilities
1.0%Footnote Reference
Materials
1.6%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
10.9%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
16.1%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
22.0%Footnote Reference
Registered Investment Companies
68.5%Footnote Reference
Money Market Registered Investment Companies
8.5%Footnote Reference
Call/Put Options Purchased
0.1%Footnote Reference
Assets/Other Liabilities (Net)
0.9%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Total Bond Fund - Class Z
14.1%
Baird Core Plus Bond Fund - Class I
14.0%
Fidelity Advisor Capital & Income Fund - Class Z
10.5%
State Street SPDR Bloomberg High Yield Bond ETF
6.6%
Dodge & Cox Income Fund - Class I
6.1%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
4.2%
PGIM Total Return Bond Fund Class R6
4.1%
Guggenheim Total Return Bond Fund - Class I
4.1%
iShares 20+ Year Treasury Bond ETF
3.4%
NVIDIA Corp
1.7%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000010070  
Shareholder Report [Line Items]  
Fund Name Conservative Allocation Fund
Class Name Retail Class
Trading Symbol FLRUX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Conservative Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$61
1.19%
Expenses Paid, Amount $ 61
Expense Ratio, Percent 1.19%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Bloomberg U.S. Aggregate Bond Index
Morningstar Conservative Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,197
10,063
10,122
Aug-16
10,142
10,052
10,115
Sep-16
10,434
10,046
10,144
Oct-16
10,030
9,969
10,042
Nov-16
10,102
9,733
9,908
Dec-16
10,287
9,747
9,957
Jan-17
10,248
9,766
10,033
Feb-17
10,422
9,832
10,135
Mar-17
10,581
9,827
10,155
Apr-17
10,581
9,902
10,240
May-17
10,629
9,979
10,328
Jun-17
10,625
9,969
10,323
Jul-17
10,924
10,011
10,420
Aug-17
10,851
10,101
10,491
Sep-17
10,895
10,053
10,505
Oct-17
10,827
10,059
10,550
Nov-17
10,982
10,046
10,594
Dec-17
11,073
10,092
10,654
Jan-18
11,190
9,976
10,704
Feb-18
10,999
9,881
10,552
Mar-18
10,955
9,945
10,564
Apr-18
10,920
9,871
10,519
May-18
10,994
9,941
10,567
Jun-18
10,960
9,929
10,564
Jul-18
11,088
9,931
10,632
Aug-18
11,197
9,995
10,691
Sep-18
11,182
9,931
10,658
Oct-18
10,819
9,852
10,452
Nov-18
10,824
9,911
10,537
Dec-18
10,783
10,093
10,527
Jan-19
10,997
10,200
10,797
Feb-19
11,078
10,195
10,858
Mar-19
11,205
10,390
11,018
Apr-19
11,313
10,393
11,092
May-19
11,149
10,577
11,082
Jun-19
11,486
10,710
11,322
Jul-19
11,548
10,734
11,352
Aug-19
11,574
11,012
11,442
Sep-19
11,599
10,953
11,483
Oct-19
11,666
10,986
11,572
Nov-19
11,744
10,981
11,612
Dec-19
11,888
10,973
11,708
Jan-20
11,950
11,184
11,828
Feb-20
11,706
11,386
11,759
Mar-20
11,066
11,319
11,314
Apr-20
11,306
11,520
11,716
May-20
11,530
11,573
11,906
Jun-20
11,640
11,646
12,046
Jul-20
11,959
11,820
12,322
Aug-20
12,163
11,725
12,411
Sep-20
12,006
11,718
12,326
Oct-20
11,870
11,666
12,236
Nov-20
12,374
11,781
12,680
Dec-20
12,634
11,797
12,849
Jan-21
12,565
11,712
12,757
Feb-21
12,560
11,543
12,643
Mar-21
12,666
11,399
12,643
Apr-21
12,909
11,489
12,845
May-21
12,973
11,527
12,955
Jun-21
13,100
11,607
13,033
Jul-21
13,142
11,737
13,156
Aug-21
13,232
11,715
13,202
Sep-21
13,031
11,614
12,993
Oct-21
13,190
11,610
13,084
Nov-21
13,100
11,645
13,022
Dec-21
13,220
11,615
13,139
Jan-22
12,941
11,365
12,807
Feb-22
12,846
11,238
12,641
Mar-22
12,711
10,926
12,427
Apr-22
12,370
10,511
11,899
May-22
12,381
10,579
11,950
Jun-22
11,878
10,413
11,560
Jul-22
12,046
10,667
11,936
Aug-22
11,873
10,366
11,599
Sep-22
11,637
9,918
10,945
Oct-22
11,710
9,790
11,010
Nov-22
11,998
10,150
11,518
Dec-22
11,866
10,104
11,412
Jan-23
12,168
10,415
11,819
Feb-23
11,957
10,145
11,520
Mar-23
12,105
10,403
11,769
Apr-23
12,174
10,466
11,854
May-23
12,054
10,352
11,695
Jun-23
12,260
10,315
11,804
Jul-23
12,398
10,308
11,906
Aug-23
12,300
10,242
11,763
Sep-23
12,087
9,982
11,443
Oct-23
11,954
9,824
11,233
Nov-23
12,475
10,269
11,821
Dec-23
13,013
10,662
12,295
Jan-24
13,037
10,633
12,269
Feb-24
13,154
10,483
12,226
Mar-24
13,400
10,580
12,388
Apr-24
13,017
10,312
12,064
May-24
13,376
10,487
12,310
Jun-24
13,517
10,587
12,416
Jul-24
13,784
10,834
12,726
Aug-24
14,009
10,990
12,953
Sep-24
14,170
11,137
13,152
Oct-24
13,895
10,860
12,813
Nov-24
14,193
10,975
13,002
Dec-24
13,863
10,796
12,734
Jan-25
14,055
10,853
12,895
Feb-25
14,230
11,092
13,112
Mar-25
13,941
11,096
13,059
Apr-25
13,844
11,140
13,161
May-25
13,996
11,060
13,214
Jun-25
14,317
11,230
13,479
Jul-25
14,359
11,200
13,459
Aug-25
14,578
11,334
13,686
Sep-25
14,853
11,458
13,867
Oct-25
15,000
11,529
13,956
Nov-25
15,080
11,601
14,033
Dec-25
15,048
11,584
14,058
Jan-26
15,211
11,596
14,197
Feb-26
15,442
11,786
14,453
Mar-26
14,943
11,578
14,004
Apr-26
15,389
11,591
14,281
May-26
15,640
11,628
14,444
Jun-26
15,684
11,656
14,479
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
9.55%
3.67%
4.60%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Morningstar Conservative Target Risk Index
7.42%
2.13%
3.77%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 171,773,166
Holdings Count | Holding 211
Advisory Fees Paid, Amount $ 411,416
InvestmentCompanyPortfolioTurnover 76.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$171,773,166
# of Portfolio Holdings
211
Portfolio Turnover Rate
76%
Advisory Fees and Waivers
411,416
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.9%Footnote Reference
Utilities
1.0%Footnote Reference
Materials
1.6%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
10.9%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
16.1%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
22.0%Footnote Reference
Registered Investment Companies
68.5%Footnote Reference
Money Market Registered Investment Companies
8.5%Footnote Reference
Call/Put Options Purchased
0.1%Footnote Reference
Assets/Other Liabilities (Net)
0.9%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Total Bond Fund - Class Z
14.1%
Baird Core Plus Bond Fund - Class I
14.0%
Fidelity Advisor Capital & Income Fund - Class Z
10.5%
State Street SPDR Bloomberg High Yield Bond ETF
6.6%
Dodge & Cox Income Fund - Class I
6.1%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
4.2%
PGIM Total Return Bond Fund Class R6
4.1%
Guggenheim Total Return Bond Fund - Class I
4.1%
iShares 20+ Year Treasury Bond ETF
3.4%
NVIDIA Corp
1.7%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174342  
Shareholder Report [Line Items]  
Fund Name Dynamic Allocation Fund
Class Name Adviser Class
Trading Symbol DYGAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Dynamic Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$52
0.98%
Expenses Paid, Amount $ 52
Expense Ratio, Percent 0.98%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Russell 3000 Index
Morningstar Aggressive Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,377
10,397
10,423
Aug-16
10,366
10,423
10,469
Sep-16
10,399
10,440
10,525
Oct-16
10,111
10,214
10,323
Nov-16
10,425
10,671
10,543
Dec-16
10,606
10,879
10,752
Jan-17
10,769
11,084
11,012
Feb-17
11,183
11,496
11,319
Mar-17
11,162
11,504
11,414
Apr-17
11,293
11,626
11,562
May-17
11,478
11,745
11,735
Jun-17
11,533
11,851
11,823
Jul-17
11,806
12,074
12,106
Aug-17
11,894
12,098
12,141
Sep-17
12,145
12,393
12,398
Oct-17
12,473
12,663
12,637
Nov-17
12,725
13,048
12,918
Dec-17
12,878
13,178
13,112
Jan-18
13,612
13,873
13,746
Feb-18
13,079
13,361
13,198
Mar-18
12,842
13,093
13,024
Apr-18
12,949
13,143
13,100
May-18
13,138
13,514
13,202
Jun-18
12,996
13,602
13,173
Jul-18
13,376
14,054
13,524
Aug-18
13,637
14,547
13,686
Sep-18
13,626
14,571
13,688
Oct-18
12,663
13,498
12,704
Nov-18
12,841
13,769
12,942
Dec-18
11,784
12,487
12,041
Jan-19
12,708
13,559
13,023
Feb-19
13,020
14,036
13,384
Mar-19
13,158
14,241
13,514
Apr-19
13,519
14,810
13,924
May-19
12,701
13,851
13,154
Jun-19
13,525
14,824
13,973
Jul-19
13,585
15,044
14,022
Aug-19
13,320
14,738
13,697
Sep-19
13,561
14,996
14,022
Oct-19
13,850
15,319
14,363
Nov-19
14,236
15,902
14,689
Dec-19
14,647
16,361
15,161
Jan-20
14,401
16,343
14,943
Feb-20
13,331
15,005
13,760
Mar-20
11,720
12,941
11,716
Apr-20
13,036
14,655
12,927
May-20
13,724
15,439
13,513
Jun-20
14,032
15,792
13,860
Jul-20
14,698
16,689
14,511
Aug-20
15,636
17,898
15,232
Sep-20
15,113
17,246
14,832
Oct-20
14,693
16,874
14,571
Nov-20
16,250
18,927
16,419
Dec-20
16,969
19,778
17,171
Jan-21
16,969
19,690
17,099
Feb-21
17,309
20,306
17,629
Mar-21
17,889
21,033
18,137
Apr-21
18,595
22,118
18,862
May-21
18,872
22,219
19,194
Jun-21
19,137
22,767
19,324
Jul-21
19,301
23,152
19,407
Aug-21
19,780
23,812
19,824
Sep-21
18,968
22,743
19,121
Oct-21
20,031
24,281
19,887
Nov-21
19,664
23,912
19,285
Dec-21
20,366
24,853
20,141
Jan-22
19,353
23,391
19,167
Feb-22
18,948
22,802
18,851
Mar-22
19,367
23,542
19,164
Apr-22
17,833
21,429
17,803
May-22
17,920
21,400
17,822
Jun-22
16,458
19,610
16,309
Jul-22
17,616
21,450
17,401
Aug-22
16,878
20,649
16,839
Sep-22
15,503
18,734
15,276
Oct-22
16,749
20,271
16,208
Nov-22
18,039
21,329
17,492
Dec-22
17,265
20,080
16,933
Jan-23
18,299
21,463
18,140
Feb-23
17,744
20,961
17,602
Mar-23
18,314
21,522
17,848
Apr-23
18,644
21,751
18,030
May-23
18,374
21,836
17,653
Jun-23
19,409
23,327
18,632
Jul-23
19,950
24,163
19,338
Aug-23
19,574
23,696
18,753
Sep-23
18,807
22,568
18,025
Oct-23
18,218
21,969
17,381
Nov-23
19,728
24,018
18,948
Dec-23
20,843
25,292
20,032
Jan-24
20,934
25,572
20,003
Feb-24
21,998
26,956
20,685
Mar-24
22,849
27,826
21,347
Apr-24
21,827
26,602
20,598
May-24
22,941
27,858
21,233
Jun-24
23,246
28,721
21,403
Jul-24
23,721
29,255
21,980
Aug-24
24,211
29,892
22,547
Sep-24
24,364
30,510
23,076
Oct-24
23,872
30,286
22,516
Nov-24
24,841
32,301
23,427
Dec-24
23,886
31,313
22,537
Jan-25
24,620
32,302
23,375
Feb-25
24,480
31,683
23,322
Mar-25
23,309
29,835
22,693
Apr-25
23,326
29,635
22,989
May-25
24,589
31,513
24,054
Jun-25
25,571
33,114
24,989
Jul-25
25,747
33,843
25,150
Aug-25
26,522
34,626
25,814
Sep-25
27,296
35,821
26,482
Oct-25
27,721
36,589
26,715
Nov-25
27,968
36,690
26,833
Dec-25
28,069
36,682
27,141
Jan-26
28,956
37,251
28,087
Feb-26
29,390
37,074
28,866
Mar-26
27,713
35,231
26,730
Apr-26
30,153
38,825
29,025
May-26
31,421
40,792
30,344
Jun-26
31,478
40,672
30,636
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
23.10%
10.47%
12.15%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Aggressive Target Risk Index
22.60%
9.66%
11.85%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 591,301,042
Holdings Count | Holding 221
Advisory Fees Paid, Amount $ 1,730,836
InvestmentCompanyPortfolioTurnover 131.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$591,301,042
# of Portfolio Holdings
221
Portfolio Turnover Rate
131%
Advisory Fees and Waivers
1,730,836
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.8%Footnote Reference
Utilities
0.9%Footnote Reference
Materials
1.5%Footnote Reference
Consumer Staples
2.0%Footnote Reference
Real Estate
2.1%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.4%Footnote Reference
Industrials
11.8%Footnote Reference
Financials
15.5%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
59.4%Footnote Reference
Registered Investment Companies
4.8%Footnote Reference
Money Market Registered Investment Companies
32.8%Footnote Reference
Assets/Other Liabilities (Net)
3.0%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
4.4%
Apple Inc
4.4%
Alphabet Inc - Class C
3.7%
Microsoft Corp
3.4%
Mastercard Inc
1.6%
Broadcom Inc
1.5%
Micron Technology Inc
1.3%
Eli Lilly & Co
1.2%
Simon Property Group Inc
1.2%
Meta Platforms Inc
1.2%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174341  
Shareholder Report [Line Items]  
Fund Name Dynamic Allocation Fund
Class Name Institutional Class
Trading Symbol DYGIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Dynamic Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$51
0.96%
Expenses Paid, Amount $ 51
Expense Ratio, Percent 0.96%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Russell 3000 Index
Morningstar Aggressive Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,377
10,397
10,423
Aug-16
10,366
10,423
10,469
Sep-16
10,399
10,440
10,525
Oct-16
10,111
10,214
10,323
Nov-16
10,425
10,671
10,543
Dec-16
10,597
10,879
10,752
Jan-17
10,771
11,084
11,012
Feb-17
11,185
11,496
11,319
Mar-17
11,163
11,504
11,414
Apr-17
11,284
11,626
11,562
May-17
11,469
11,745
11,735
Jun-17
11,535
11,851
11,823
Jul-17
11,808
12,074
12,106
Aug-17
11,896
12,098
12,141
Sep-17
12,159
12,393
12,398
Oct-17
12,487
12,663
12,637
Nov-17
12,739
13,048
12,918
Dec-17
12,886
13,178
13,112
Jan-18
13,634
13,873
13,746
Feb-18
13,088
13,361
13,198
Mar-18
12,862
13,093
13,024
Apr-18
12,969
13,143
13,100
May-18
13,159
13,514
13,202
Jun-18
13,029
13,602
13,173
Jul-18
13,410
14,054
13,524
Aug-18
13,684
14,547
13,686
Sep-18
13,672
14,571
13,688
Oct-18
12,706
13,498
12,704
Nov-18
12,885
13,769
12,942
Dec-18
11,832
12,487
12,041
Jan-19
12,759
13,559
13,023
Feb-19
13,073
14,036
13,384
Mar-19
13,217
14,241
13,514
Apr-19
13,579
14,810
13,924
May-19
12,746
13,851
13,154
Jun-19
13,579
14,824
13,973
Jul-19
13,652
15,044
14,022
Aug-19
13,386
14,738
13,697
Sep-19
13,628
14,996
14,022
Oct-19
13,919
15,319
14,363
Nov-19
14,307
15,902
14,689
Dec-19
14,719
16,361
15,161
Jan-20
14,471
16,343
14,943
Feb-20
13,395
15,005
13,760
Mar-20
11,775
12,941
11,716
Apr-20
13,111
14,655
12,927
May-20
13,803
15,439
13,513
Jun-20
14,116
15,792
13,860
Jul-20
14,787
16,689
14,511
Aug-20
15,730
17,898
15,232
Sep-20
15,198
17,246
14,832
Oct-20
14,775
16,874
14,571
Nov-20
16,342
18,927
16,419
Dec-20
17,065
19,778
17,171
Jan-21
17,053
19,690
17,099
Feb-21
17,408
20,306
17,629
Mar-21
17,979
21,033
18,137
Apr-21
18,689
22,118
18,862
May-21
18,968
22,219
19,194
Jun-21
19,235
22,767
19,324
Jul-21
19,400
23,152
19,407
Aug-21
19,882
23,812
19,824
Sep-21
19,064
22,743
19,121
Oct-21
20,133
24,281
19,887
Nov-21
19,751
23,912
19,285
Dec-21
20,457
24,853
20,141
Jan-22
19,452
23,391
19,167
Feb-22
19,029
22,802
18,851
Mar-22
19,466
23,542
19,164
Apr-22
17,922
21,429
17,803
May-22
18,009
21,400
17,822
Jun-22
16,538
19,610
16,309
Jul-22
17,703
21,450
17,401
Aug-22
16,960
20,649
16,839
Sep-22
15,576
18,734
15,276
Oct-22
16,816
20,271
16,208
Nov-22
18,114
21,329
17,492
Dec-22
17,336
20,080
16,933
Jan-23
18,377
21,463
18,140
Feb-23
17,818
20,961
17,602
Mar-23
18,392
21,522
17,848
Apr-23
18,724
21,751
18,030
May-23
18,452
21,836
17,653
Jun-23
19,479
23,327
18,632
Jul-23
20,024
24,163
19,338
Aug-23
19,661
23,696
18,753
Sep-23
18,873
22,568
18,025
Oct-23
18,280
21,969
17,381
Nov-23
19,800
24,018
18,948
Dec-23
20,932
25,292
20,032
Jan-24
21,008
25,572
20,003
Feb-24
22,078
26,956
20,685
Mar-24
22,935
27,826
21,347
Apr-24
21,907
26,602
20,598
May-24
23,027
27,858
21,233
Jun-24
23,318
28,721
21,403
Jul-24
23,795
29,255
21,980
Aug-24
24,288
29,892
22,547
Sep-24
24,441
30,510
23,076
Oct-24
23,947
30,286
22,516
Nov-24
24,921
32,301
23,427
Dec-24
23,949
31,313
22,537
Jan-25
24,687
32,302
23,375
Feb-25
24,546
31,683
23,322
Mar-25
23,387
29,835
22,693
Apr-25
23,404
29,635
22,989
May-25
24,656
31,513
24,054
Jun-25
25,643
33,114
24,989
Jul-25
25,837
33,843
25,150
Aug-25
26,598
34,626
25,814
Sep-25
27,394
35,821
26,482
Oct-25
27,820
36,589
26,715
Nov-25
28,051
36,690
26,833
Dec-25
28,165
36,682
27,141
Jan-26
29,036
37,251
28,087
Feb-26
29,491
37,074
28,866
Mar-26
27,807
35,231
26,730
Apr-26
30,239
38,825
29,025
May-26
31,532
40,792
30,344
Jun-26
31,590
40,672
30,636
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
23.19%
10.43%
12.19%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Aggressive Target Risk Index
22.60%
9.66%
11.85%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 591,301,042
Holdings Count | Holding 221
Advisory Fees Paid, Amount $ 1,730,836
InvestmentCompanyPortfolioTurnover 131.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$591,301,042
# of Portfolio Holdings
221
Portfolio Turnover Rate
131%
Advisory Fees and Waivers
1,730,836
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.8%Footnote Reference
Utilities
0.9%Footnote Reference
Materials
1.5%Footnote Reference
Consumer Staples
2.0%Footnote Reference
Real Estate
2.1%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.4%Footnote Reference
Industrials
11.8%Footnote Reference
Financials
15.5%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
59.4%Footnote Reference
Registered Investment Companies
4.8%Footnote Reference
Money Market Registered Investment Companies
32.8%Footnote Reference
Assets/Other Liabilities (Net)
3.0%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
4.4%
Apple Inc
4.4%
Alphabet Inc - Class C
3.7%
Microsoft Corp
3.4%
Mastercard Inc
1.6%
Broadcom Inc
1.5%
Micron Technology Inc
1.3%
Eli Lilly & Co
1.2%
Simon Property Group Inc
1.2%
Meta Platforms Inc
1.2%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000010072  
Shareholder Report [Line Items]  
Fund Name Dynamic Allocation Fund
Class Name Retail Class
Trading Symbol FLDGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Dynamic Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$68
1.28%
Expenses Paid, Amount $ 68
Expense Ratio, Percent 1.28%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Russell 3000 Index
Morningstar Aggressive Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,377
10,397
10,423
Aug-16
10,366
10,423
10,469
Sep-16
10,399
10,440
10,525
Oct-16
10,111
10,214
10,323
Nov-16
10,425
10,671
10,543
Dec-16
10,594
10,879
10,752
Jan-17
10,757
11,084
11,012
Feb-17
11,171
11,496
11,319
Mar-17
11,150
11,504
11,414
Apr-17
11,270
11,626
11,562
May-17
11,455
11,745
11,735
Jun-17
11,515
11,851
11,823
Jul-17
11,777
12,074
12,106
Aug-17
11,865
12,098
12,141
Sep-17
12,116
12,393
12,398
Oct-17
12,444
12,663
12,637
Nov-17
12,684
13,048
12,918
Dec-17
12,840
13,178
13,112
Jan-18
13,574
13,873
13,746
Feb-18
13,029
13,361
13,198
Mar-18
12,793
13,093
13,024
Apr-18
12,899
13,143
13,100
May-18
13,089
13,514
13,202
Jun-18
12,947
13,602
13,173
Jul-18
13,326
14,054
13,524
Aug-18
13,587
14,547
13,686
Sep-18
13,563
14,571
13,688
Oct-18
12,602
13,498
12,704
Nov-18
12,780
13,769
12,942
Dec-18
11,729
12,487
12,041
Jan-19
12,651
13,559
13,023
Feb-19
12,951
14,036
13,384
Mar-19
13,094
14,241
13,514
Apr-19
13,442
14,810
13,924
May-19
12,627
13,851
13,154
Jun-19
13,442
14,824
13,973
Jul-19
13,502
15,044
14,022
Aug-19
13,238
14,738
13,697
Sep-19
13,466
14,996
14,022
Oct-19
13,755
15,319
14,363
Nov-19
14,140
15,902
14,689
Dec-19
14,543
16,361
15,161
Jan-20
14,286
16,343
14,943
Feb-20
13,220
15,005
13,760
Mar-20
11,615
12,941
11,716
Apr-20
12,926
14,655
12,927
May-20
13,612
15,439
13,513
Jun-20
13,906
15,792
13,860
Jul-20
14,557
16,689
14,511
Aug-20
15,489
17,898
15,232
Sep-20
14,959
17,246
14,832
Oct-20
14,542
16,874
14,571
Nov-20
16,077
18,927
16,419
Dec-20
16,779
19,778
17,171
Jan-21
16,766
19,690
17,099
Feb-21
17,105
20,306
17,629
Mar-21
17,669
21,033
18,137
Apr-21
18,358
22,118
18,862
May-21
18,634
22,219
19,194
Jun-21
18,884
22,767
19,324
Jul-21
19,047
23,152
19,407
Aug-21
19,511
23,812
19,824
Sep-21
18,697
22,743
19,121
Oct-21
19,741
24,281
19,887
Nov-21
19,364
23,912
19,285
Dec-21
20,058
24,853
20,141
Jan-22
19,065
23,391
19,167
Feb-22
18,647
22,802
18,851
Mar-22
19,065
23,542
19,164
Apr-22
17,538
21,429
17,803
May-22
17,625
21,400
17,822
Jun-22
16,185
19,610
16,309
Jul-22
17,308
21,450
17,401
Aug-22
16,588
20,649
16,839
Sep-22
15,234
18,734
15,276
Oct-22
16,445
20,271
16,208
Nov-22
17,700
21,329
17,492
Dec-22
16,943
20,080
16,933
Jan-23
17,943
21,463
18,140
Feb-23
17,406
20,961
17,602
Mar-23
17,958
21,522
17,848
Apr-23
18,286
21,751
18,030
May-23
18,003
21,836
17,653
Jun-23
19,018
23,327
18,632
Jul-23
19,526
24,163
19,338
Aug-23
19,167
23,696
18,753
Sep-23
18,405
22,568
18,025
Oct-23
17,820
21,969
17,381
Nov-23
19,304
24,018
18,948
Dec-23
20,390
25,292
20,032
Jan-24
20,466
25,572
20,003
Feb-24
21,505
26,956
20,685
Mar-24
22,334
27,826
21,347
Apr-24
21,322
26,602
20,598
May-24
22,410
27,858
21,233
Jun-24
22,697
28,721
21,403
Jul-24
23,152
29,255
21,980
Aug-24
23,622
29,892
22,547
Sep-24
23,758
30,510
23,076
Oct-24
23,272
30,286
22,516
Nov-24
24,214
32,301
23,427
Dec-24
23,277
31,313
22,537
Jan-25
23,985
32,302
23,375
Feb-25
23,847
31,683
23,322
Mar-25
22,707
29,835
22,693
Apr-25
22,724
29,635
22,989
May-25
23,936
31,513
24,054
Jun-25
24,889
33,114
24,989
Jul-25
25,063
33,843
25,150
Aug-25
25,810
34,626
25,814
Sep-25
26,557
35,821
26,482
Oct-25
26,957
36,589
26,715
Nov-25
27,184
36,690
26,833
Dec-25
27,285
36,682
27,141
Jan-26
28,122
37,251
28,087
Feb-26
28,549
37,074
28,866
Mar-26
26,915
35,231
26,730
Apr-26
29,262
38,825
29,025
May-26
30,492
40,792
30,344
Jun-26
30,548
40,672
30,636
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
22.74%
10.10%
11.81%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Aggressive Target Risk Index
22.60%
9.66%
11.85%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 591,301,042
Holdings Count | Holding 221
Advisory Fees Paid, Amount $ 1,730,836
InvestmentCompanyPortfolioTurnover 131.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$591,301,042
# of Portfolio Holdings
221
Portfolio Turnover Rate
131%
Advisory Fees and Waivers
1,730,836
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.8%Footnote Reference
Utilities
0.9%Footnote Reference
Materials
1.5%Footnote Reference
Consumer Staples
2.0%Footnote Reference
Real Estate
2.1%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.4%Footnote Reference
Industrials
11.8%Footnote Reference
Financials
15.5%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
59.4%Footnote Reference
Registered Investment Companies
4.8%Footnote Reference
Money Market Registered Investment Companies
32.8%Footnote Reference
Assets/Other Liabilities (Net)
3.0%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
4.4%
Apple Inc
4.4%
Alphabet Inc - Class C
3.7%
Microsoft Corp
3.4%
Mastercard Inc
1.6%
Broadcom Inc
1.5%
Micron Technology Inc
1.3%
Eli Lilly & Co
1.2%
Simon Property Group Inc
1.2%
Meta Platforms Inc
1.2%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174348  
Shareholder Report [Line Items]  
Fund Name Global Allocation Fund
Class Name Adviser Class
Trading Symbol GBPAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Global Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$77
1.45%
Expenses Paid, Amount $ 77
Expense Ratio, Percent 1.45%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Russell 3000 Index
Morningstar Global Allocation Index
Jun-16
10,000
10,000
10,000
Jul-16
10,391
10,397
10,301
Aug-16
10,424
10,423
10,316
Sep-16
10,533
10,440
10,377
Oct-16
10,250
10,214
10,172
Nov-16
10,326
10,671
10,102
Dec-16
10,490
10,879
10,234
Jan-17
10,764
11,084
10,441
Feb-17
11,005
11,496
10,646
Mar-17
11,125
11,504
10,737
Apr-17
11,279
11,626
10,890
May-17
11,443
11,745
11,084
Jun-17
11,509
11,851
11,117
Jul-17
11,882
12,074
11,346
Aug-17
11,992
12,098
11,411
Sep-17
12,245
12,393
11,531
Oct-17
12,563
12,663
11,666
Nov-17
12,739
13,048
11,848
Dec-17
12,886
13,178
11,980
Jan-18
13,556
13,873
12,399
Feb-18
13,064
13,361
12,048
Mar-18
12,875
13,093
11,960
Apr-18
12,953
13,143
11,967
May-18
12,964
13,514
11,985
Jun-18
12,808
13,602
11,941
Jul-18
13,133
14,054
12,146
Aug-18
13,245
14,547
12,250
Sep-18
13,256
14,571
12,234
Oct-18
12,248
13,498
11,622
Nov-18
12,337
13,769
11,757
Dec-18
12,018
12,487
11,320
Jan-19
12,194
13,559
11,911
Feb-19
12,347
14,036
12,083
Mar-19
12,435
14,241
12,234
Apr-19
12,694
14,810
12,466
May-19
12,024
13,851
12,108
Jun-19
12,723
14,824
12,652
Jul-19
12,676
15,044
12,674
Aug-19
12,440
14,738
12,596
Sep-19
12,688
14,996
12,712
Oct-19
12,971
15,319
12,954
Nov-19
13,218
15,902
13,118
Dec-19
13,622
16,361
13,418
Jan-20
13,322
16,343
13,400
Feb-20
12,422
15,005
12,780
Mar-20
10,982
12,941
11,592
Apr-20
11,390
14,655
12,387
May-20
11,678
15,439
12,771
Jun-20
11,810
15,792
13,051
Jul-20
12,206
16,689
13,602
Aug-20
12,866
17,898
14,087
Sep-20
12,542
17,246
13,803
Oct-20
12,217
16,874
13,600
Nov-20
13,483
18,927
14,733
Dec-20
14,089
19,778
15,235
Jan-21
14,064
19,690
15,139
Feb-21
14,335
20,306
15,272
Mar-21
14,693
21,033
15,451
Apr-21
15,174
22,118
15,958
May-21
15,470
22,219
16,155
Jun-21
15,569
22,767
16,253
Jul-21
15,606
23,152
16,377
Aug-21
15,877
23,812
16,611
Sep-21
15,335
22,743
16,101
Oct-21
15,865
24,281
16,551
Nov-21
15,483
23,912
16,270
Dec-21
15,906
24,853
16,653
Jan-22
15,358
23,391
15,976
Feb-22
15,098
22,802
15,668
Mar-22
15,029
23,542
15,684
Apr-22
14,235
21,429
14,623
May-22
14,276
21,400
14,643
Jun-22
13,701
19,610
13,702
Jul-22
14,057
21,450
14,416
Aug-22
13,605
20,649
13,909
Sep-22
12,714
18,734
12,813
Oct-22
13,303
20,271
13,241
Nov-22
14,277
21,329
14,119
Dec-22
13,914
20,080
13,805
Jan-23
14,729
21,463
14,573
Feb-23
14,273
20,961
14,165
Mar-23
14,646
21,522
14,548
Apr-23
14,894
21,751
14,696
May-23
14,563
21,836
14,501
Jun-23
15,198
23,327
15,032
Jul-23
15,630
24,163
15,398
Aug-23
15,184
23,696
15,066
Sep-23
14,614
22,568
14,524
Oct-23
14,194
21,969
14,159
Nov-23
15,299
24,018
15,221
Dec-23
16,115
25,292
15,939
Jan-24
16,073
25,572
15,917
Feb-24
16,680
26,956
16,255
Mar-24
17,244
27,826
16,619
Apr-24
16,592
26,602
16,120
May-24
17,329
27,858
16,618
Jun-24
17,414
28,721
16,842
Jul-24
17,799
29,255
17,230
Aug-24
18,155
29,892
17,626
Sep-24
18,368
30,510
17,985
Oct-24
17,838
30,286
17,499
Nov-24
18,296
32,301
17,936
Dec-24
17,633
31,313
17,498
Jan-25
18,193
32,302
17,889
Feb-25
18,353
31,683
17,927
Mar-25
17,801
29,835
17,544
Apr-25
17,946
29,635
17,801
May-25
18,780
31,513
18,381
Jun-25
19,471
33,114
19,005
Jul-25
19,390
33,843
19,086
Aug-25
20,002
34,626
19,497
Sep-25
20,550
35,821
19,977
Oct-25
20,873
36,589
20,238
Nov-25
21,003
36,690
20,283
Dec-25
21,123
36,682
20,417
Jan-26
21,818
37,251
20,878
Feb-26
22,221
37,074
21,186
Mar-26
20,977
35,231
19,993
Apr-26
22,791
38,825
21,331
May-26
23,688
40,792
22,045
Jun-26
23,798
40,672
21,919
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
22.23%
8.86%
9.06%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Global Allocation Index
15.33%
6.16%
8.16%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 43,178,179
Holdings Count | Holding 222
Advisory Fees Paid, Amount $ 151,151
InvestmentCompanyPortfolioTurnover 172.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$43,178,179
# of Portfolio Holdings
222
Portfolio Turnover Rate
172%
Advisory Fees and Waivers
151,151
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.9%Footnote Reference
Utilities
1.2%Footnote Reference
Materials
1.5%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Real Estate
2.1%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.5%Footnote Reference
Health Care
10.9%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
16.0%Footnote Reference
Information Technology
39.5%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
54.2%Footnote Reference
Registered Investment Companies
24.9%Footnote Reference
Money Market Registered Investment Companies
18.7%Footnote Reference
Call/Put Options Purchased
0.3%Footnote Reference
Assets/Other Liabilities (Net)
1.9%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
iShares MSCI Japan ETF
4.9%
NVIDIA Corp
4.1%
Apple Inc
4.0%
Alphabet Inc - Class C
3.2%
iShares MSCI Taiwan ETF
3.1%
Microsoft Corp
3.1%
iShares MSCI South Korea ETF
2.8%
iShares MSCI Switzerland ETF
2.0%
iShares MSCI Australia ETF
1.7%
iShares MSCI Netherlands ETF
1.6%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174347  
Shareholder Report [Line Items]  
Fund Name Global Allocation Fund
Class Name Institutional Class
Trading Symbol GBPIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Global Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$73
1.38%
Expenses Paid, Amount $ 73
Expense Ratio, Percent 1.38%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Russell 3000 Index
Morningstar Global Allocation Index
Jun-16
10,000
10,000
10,000
Jul-16
10,391
10,397
10,301
Aug-16
10,424
10,423
10,316
Sep-16
10,533
10,440
10,377
Oct-16
10,250
10,214
10,172
Nov-16
10,326
10,671
10,102
Dec-16
10,489
10,879
10,234
Jan-17
10,763
11,084
10,441
Feb-17
11,004
11,496
10,646
Mar-17
11,124
11,504
10,737
Apr-17
11,278
11,626
10,890
May-17
11,442
11,745
11,084
Jun-17
11,508
11,851
11,117
Jul-17
11,881
12,074
11,346
Aug-17
11,990
12,098
11,411
Sep-17
12,243
12,393
11,531
Oct-17
12,572
12,663
11,666
Nov-17
12,747
13,048
11,848
Dec-17
12,909
13,178
11,980
Jan-18
13,579
13,873
12,399
Feb-18
13,088
13,361
12,048
Mar-18
12,909
13,093
11,960
Apr-18
12,976
13,143
11,967
May-18
12,998
13,514
11,985
Jun-18
12,842
13,602
11,941
Jul-18
13,168
14,054
12,146
Aug-18
13,291
14,547
12,250
Sep-18
13,302
14,571
12,234
Oct-18
12,292
13,498
11,622
Nov-18
12,382
13,769
11,757
Dec-18
12,061
12,487
11,320
Jan-19
12,249
13,559
11,911
Feb-19
12,402
14,036
12,083
Mar-19
12,496
14,241
12,234
Apr-19
12,756
14,810
12,466
May-19
12,083
13,851
12,108
Jun-19
12,791
14,824
12,652
Jul-19
12,756
15,044
12,674
Aug-19
12,507
14,738
12,596
Sep-19
12,768
14,996
12,712
Oct-19
13,052
15,319
12,954
Nov-19
13,301
15,902
13,118
Dec-19
13,707
16,361
13,418
Jan-20
13,406
16,343
13,400
Feb-20
12,489
15,005
12,780
Mar-20
11,053
12,941
11,592
Apr-20
11,463
14,655
12,387
May-20
11,753
15,439
12,771
Jun-20
11,885
15,792
13,051
Jul-20
12,284
16,689
13,602
Aug-20
12,947
17,898
14,087
Sep-20
12,623
17,246
13,803
Oct-20
12,294
16,874
13,600
Nov-20
13,573
18,927
14,733
Dec-20
14,178
19,778
15,235
Jan-21
14,165
19,690
15,139
Feb-21
14,439
20,306
15,272
Mar-21
14,800
21,033
15,451
Apr-21
15,286
22,118
15,958
May-21
15,585
22,219
16,155
Jun-21
15,685
22,767
16,253
Jul-21
15,722
23,152
16,377
Aug-21
15,996
23,812
16,611
Sep-21
15,448
22,743
16,101
Oct-21
15,984
24,281
16,551
Nov-21
15,585
23,912
16,270
Dec-21
16,027
24,853
16,653
Jan-22
15,473
23,391
15,976
Feb-22
15,197
22,802
15,668
Mar-22
15,141
23,542
15,684
Apr-22
14,338
21,429
14,623
May-22
14,380
21,400
14,643
Jun-22
13,799
19,610
13,702
Jul-22
14,159
21,450
14,416
Aug-22
13,702
20,649
13,909
Sep-22
12,802
18,734
12,813
Oct-22
13,397
20,271
13,241
Nov-22
14,381
21,329
14,119
Dec-22
14,014
20,080
13,805
Jan-23
14,837
21,463
14,573
Feb-23
14,376
20,961
14,165
Mar-23
14,739
21,522
14,548
Apr-23
15,004
21,751
14,696
May-23
14,669
21,836
14,501
Jun-23
15,297
23,327
15,032
Jul-23
15,733
24,163
15,398
Aug-23
15,297
23,696
15,066
Sep-23
14,721
22,568
14,524
Oct-23
14,284
21,969
14,159
Nov-23
15,399
24,018
15,221
Dec-23
16,238
25,292
15,939
Jan-24
16,181
25,572
15,917
Feb-24
16,808
26,956
16,255
Mar-24
17,349
27,826
16,619
Apr-24
16,706
26,602
16,120
May-24
17,449
27,858
16,618
Jun-24
17,535
28,721
16,842
Jul-24
17,923
29,255
17,230
Aug-24
18,283
29,892
17,626
Sep-24
18,498
30,510
17,985
Oct-24
17,949
30,286
17,499
Nov-24
18,411
32,301
17,936
Dec-24
17,772
31,313
17,498
Jan-25
18,337
32,302
17,889
Feb-25
18,386
31,683
17,927
Mar-25
17,845
29,835
17,544
Apr-25
17,990
29,635
17,801
May-25
18,817
31,513
18,381
Jun-25
19,498
33,114
19,005
Jul-25
19,433
33,843
19,086
Aug-25
20,051
34,626
19,497
Sep-25
20,605
35,821
19,977
Oct-25
20,915
36,589
20,238
Nov-25
21,046
36,690
20,283
Dec-25
21,186
36,682
20,417
Jan-26
21,872
37,251
20,878
Feb-26
22,280
37,074
21,186
Mar-26
21,020
35,231
19,993
Apr-26
22,856
38,825
21,331
May-26
23,747
40,792
22,045
Jun-26
23,858
40,672
21,919
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
22.36%
8.75%
9.08%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Global Allocation Index
15.33%
6.16%
8.16%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 43,178,179
Holdings Count | Holding 222
Advisory Fees Paid, Amount $ 151,151
InvestmentCompanyPortfolioTurnover 172.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$43,178,179
# of Portfolio Holdings
222
Portfolio Turnover Rate
172%
Advisory Fees and Waivers
151,151
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.9%Footnote Reference
Utilities
1.2%Footnote Reference
Materials
1.5%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Real Estate
2.1%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.5%Footnote Reference
Health Care
10.9%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
16.0%Footnote Reference
Information Technology
39.5%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
54.2%Footnote Reference
Registered Investment Companies
24.9%Footnote Reference
Money Market Registered Investment Companies
18.7%Footnote Reference
Call/Put Options Purchased
0.3%Footnote Reference
Assets/Other Liabilities (Net)
1.9%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
iShares MSCI Japan ETF
4.9%
NVIDIA Corp
4.1%
Apple Inc
4.0%
Alphabet Inc - Class C
3.2%
iShares MSCI Taiwan ETF
3.1%
Microsoft Corp
3.1%
iShares MSCI South Korea ETF
2.8%
iShares MSCI Switzerland ETF
2.0%
iShares MSCI Australia ETF
1.7%
iShares MSCI Netherlands ETF
1.6%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000010078  
Shareholder Report [Line Items]  
Fund Name Global Allocation Fund
Class Name Retail Class
Trading Symbol FLFGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Global Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$93
1.76%
Expenses Paid, Amount $ 93
Expense Ratio, Percent 1.76%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Russell 3000 Index
Morningstar Global Allocation Index
Jun-16
10,000
10,000
10,000
Jul-16
10,391
10,397
10,301
Aug-16
10,424
10,423
10,316
Sep-16
10,533
10,440
10,377
Oct-16
10,250
10,214
10,172
Nov-16
10,326
10,671
10,102
Dec-16
10,477
10,879
10,234
Jan-17
10,740
11,084
10,441
Feb-17
10,982
11,496
10,646
Mar-17
11,102
11,504
10,737
Apr-17
11,245
11,626
10,890
May-17
11,409
11,745
11,084
Jun-17
11,469
11,851
11,117
Jul-17
11,842
12,074
11,346
Aug-17
11,941
12,098
11,411
Sep-17
12,193
12,393
11,531
Oct-17
12,511
12,663
11,666
Nov-17
12,675
13,048
11,848
Dec-17
12,817
13,178
11,980
Jan-18
13,484
13,873
12,399
Feb-18
12,995
13,361
12,048
Mar-18
12,806
13,093
11,960
Apr-18
12,873
13,143
11,967
May-18
12,884
13,514
11,985
Jun-18
12,723
13,602
11,941
Jul-18
13,046
14,054
12,146
Aug-18
13,157
14,547
12,250
Sep-18
13,169
14,571
12,234
Oct-18
12,166
13,498
11,622
Nov-18
12,244
13,769
11,757
Dec-18
11,928
12,487
11,320
Jan-19
12,115
13,559
11,911
Feb-19
12,255
14,036
12,083
Mar-19
12,337
14,241
12,234
Apr-19
12,594
14,810
12,466
May-19
11,928
13,851
12,108
Jun-19
12,617
14,824
12,652
Jul-19
12,570
15,044
12,674
Aug-19
12,336
14,738
12,596
Sep-19
12,582
14,996
12,712
Oct-19
12,851
15,319
12,954
Nov-19
13,097
15,902
13,118
Dec-19
13,499
16,361
13,418
Jan-20
13,189
16,343
13,400
Feb-20
12,295
15,005
12,780
Mar-20
10,875
12,941
11,592
Apr-20
11,269
14,655
12,387
May-20
11,543
15,439
12,771
Jun-20
11,686
15,792
13,051
Jul-20
12,068
16,689
13,602
Aug-20
12,712
17,898
14,087
Sep-20
12,390
17,246
13,803
Oct-20
12,068
16,874
13,600
Nov-20
13,320
18,927
14,733
Dec-20
13,899
19,778
15,235
Jan-21
13,887
19,690
15,139
Feb-21
14,143
20,306
15,272
Mar-21
14,497
21,033
15,451
Apr-21
14,972
22,118
15,958
May-21
15,252
22,219
16,155
Jun-21
15,350
22,767
16,253
Jul-21
15,374
23,152
16,377
Aug-21
15,643
23,812
16,611
Sep-21
15,106
22,743
16,101
Oct-21
15,618
24,281
16,551
Nov-21
15,228
23,912
16,270
Dec-21
15,648
24,853
16,653
Jan-22
15,093
23,391
15,976
Feb-22
14,835
22,802
15,668
Mar-22
14,754
23,542
15,684
Apr-22
13,982
21,429
14,623
May-22
14,009
21,400
14,643
Jun-22
13,440
19,610
13,702
Jul-22
13,779
21,450
14,416
Aug-22
13,331
20,649
13,909
Sep-22
12,451
18,734
12,813
Oct-22
13,033
20,271
13,241
Nov-22
13,983
21,329
14,119
Dec-22
13,623
20,080
13,805
Jan-23
14,415
21,463
14,573
Feb-23
13,965
20,961
14,165
Mar-23
14,319
21,522
14,548
Apr-23
14,565
21,751
14,696
May-23
14,237
21,836
14,501
Jun-23
14,839
23,327
15,032
Jul-23
15,264
24,163
15,398
Aug-23
14,825
23,696
15,066
Sep-23
14,262
22,568
14,524
Oct-23
13,849
21,969
14,159
Nov-23
14,910
24,018
15,221
Dec-23
15,717
25,292
15,939
Jan-24
15,662
25,572
15,917
Feb-24
16,259
26,956
16,255
Mar-24
16,786
27,826
16,619
Apr-24
16,160
26,602
16,120
May-24
16,870
27,858
16,618
Jun-24
16,954
28,721
16,842
Jul-24
17,317
29,255
17,230
Aug-24
17,653
29,892
17,626
Sep-24
17,849
30,510
17,985
Oct-24
17,329
30,286
17,499
Nov-24
17,764
32,301
17,936
Dec-24
17,136
31,313
17,498
Jan-25
17,670
32,302
17,889
Feb-25
17,717
31,683
17,927
Mar-25
17,191
29,835
17,544
Apr-25
17,317
29,635
17,801
May-25
18,120
31,513
18,381
Jun-25
18,781
33,114
19,005
Jul-25
18,702
33,843
19,086
Aug-25
19,287
34,626
19,497
Sep-25
19,808
35,821
19,977
Oct-25
20,109
36,589
20,238
Nov-25
20,236
36,690
20,283
Dec-25
20,352
36,682
20,417
Jan-26
21,016
37,251
20,878
Feb-26
21,393
37,074
21,186
Mar-26
20,177
35,231
19,993
Apr-26
21,920
38,825
21,331
May-26
22,783
40,792
22,045
Jun-26
22,882
40,672
21,919
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
21.83%
8.31%
8.63%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Global Allocation Index
15.33%
6.16%
8.16%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 43,178,179
Holdings Count | Holding 222
Advisory Fees Paid, Amount $ 151,151
InvestmentCompanyPortfolioTurnover 172.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$43,178,179
# of Portfolio Holdings
222
Portfolio Turnover Rate
172%
Advisory Fees and Waivers
151,151
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.9%Footnote Reference
Utilities
1.2%Footnote Reference
Materials
1.5%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Real Estate
2.1%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.5%Footnote Reference
Health Care
10.9%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
16.0%Footnote Reference
Information Technology
39.5%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
54.2%Footnote Reference
Registered Investment Companies
24.9%Footnote Reference
Money Market Registered Investment Companies
18.7%Footnote Reference
Call/Put Options Purchased
0.3%Footnote Reference
Assets/Other Liabilities (Net)
1.9%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
iShares MSCI Japan ETF
4.9%
NVIDIA Corp
4.1%
Apple Inc
4.0%
Alphabet Inc - Class C
3.2%
iShares MSCI Taiwan ETF
3.1%
Microsoft Corp
3.1%
iShares MSCI South Korea ETF
2.8%
iShares MSCI Switzerland ETF
2.0%
iShares MSCI Australia ETF
1.7%
iShares MSCI Netherlands ETF
1.6%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000253095  
Shareholder Report [Line Items]  
Fund Name Government Money Market Fund
Class Name Class F
Trading Symbol MDFXX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Government Money Market Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 20px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Class F
$7
0.13%
Expenses Paid, Amount $ 7
Expense Ratio, Percent 0.13%
AssetsNet $ 1,860,618,828
Holdings Count | Holding 95
Advisory Fees Paid, Amount $ 1,137,525
Additional Fund Statistics [Text Block]

Fund Statistics 

  • Total Net Assets$1,860,618,828
  • # of Portfolio Holdings95
  • Portfolio Turnover RateN/A
  • Advisory Fees and Waivers1,137,525
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Money Market Registered Investment Companies
7.4%Footnote Reference
U.S. Treasury Notes
10.2%Footnote Reference
U.S. Treasury Bills
28.9%Footnote Reference
U.S. Government Agencies
53.6%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total net assets. Concentrations are subject to change.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
United States Treasury Bill
3.2%
United States Treasury Bill
3.0%
Federal Home Loan Discount
2.7%
United States Treasury Floating Rate Note (U.S. 3 Month Treasury + 0.098%)
2.7%
United States Treasury Floating Rate Note (U.S. 3 Month Treasury + 0.182%)
2.7%
United States Treasury Bill
2.7%
United States Treasury Bill
2.7%
Fannie Mae
2.0%
Federal Farm Credit Banks Funding Corp (Prime Rate - 2.98%)
1.9%
Federal Home Loan Discount
1.9%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

Effective January 1, 2026, the annual investment advisory fee payable to Meeder Asset Management, Inc. for management of the Government Money Market Fund was reduced to 0.15%. Due to an existing contractual waiver of advisory fees for all share classes of the Government Money Market Fund, this change has no effect on the net Total Annual Fund Operating Expenses After Fee Waivers. For more information regarding the Fund's investment advisory fee, please refer to the Fund's prospectus.

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000253096  
Shareholder Report [Line Items]  
Fund Name Government Money Market Fund
Class Name Class X
Trading Symbol MDXXX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Government Money Market Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 20px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Class X
$7
0.13%
Expenses Paid, Amount $ 7
Expense Ratio, Percent 0.13%
AssetsNet $ 1,860,618,828
Holdings Count | Holding 95
Advisory Fees Paid, Amount $ 1,137,525
Additional Fund Statistics [Text Block]

Fund Statistics 

  • Total Net Assets$1,860,618,828
  • # of Portfolio Holdings95
  • Portfolio Turnover RateN/A
  • Advisory Fees and Waivers1,137,525
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Money Market Registered Investment Companies
7.4%Footnote Reference
U.S. Treasury Notes
10.2%Footnote Reference
U.S. Treasury Bills
28.9%Footnote Reference
U.S. Government Agencies
53.6%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total net assets. Concentrations are subject to change.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
United States Treasury Bill
3.2%
United States Treasury Bill
3.0%
Federal Home Loan Discount
2.7%
United States Treasury Floating Rate Note (U.S. 3 Month Treasury + 0.098%)
2.7%
United States Treasury Floating Rate Note (U.S. 3 Month Treasury + 0.182%)
2.7%
United States Treasury Bill
2.7%
United States Treasury Bill
2.7%
Fannie Mae
2.0%
Federal Farm Credit Banks Funding Corp (Prime Rate - 2.98%)
1.9%
Federal Home Loan Discount
1.9%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

Effective January 1, 2026, the annual investment advisory fee payable to Meeder Asset Management, Inc. for management of the Government Money Market Fund was reduced to 0.15%. Due to an existing contractual waiver of advisory fees for all share classes of the Government Money Market Fund, this change has no effect on the net Total Annual Fund Operating Expenses After Fee Waivers. For more information regarding the Fund's investment advisory fee, please refer to the Fund's prospectus.

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000253097  
Shareholder Report [Line Items]  
Fund Name Government Money Market Fund
Class Name Class Y
Trading Symbol MDYXX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Government Money Market Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 20px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Class Y
$8
0.15%
Expenses Paid, Amount $ 8
Expense Ratio, Percent 0.15%
AssetsNet $ 1,860,618,828
Holdings Count | Holding 95
Advisory Fees Paid, Amount $ 1,137,525
Additional Fund Statistics [Text Block]

Fund Statistics 

  • Total Net Assets$1,860,618,828
  • # of Portfolio Holdings95
  • Portfolio Turnover RateN/A
  • Advisory Fees and Waivers1,137,525
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Money Market Registered Investment Companies
7.4%Footnote Reference
U.S. Treasury Notes
10.2%Footnote Reference
U.S. Treasury Bills
28.9%Footnote Reference
U.S. Government Agencies
53.6%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total net assets. Concentrations are subject to change.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
United States Treasury Bill
3.2%
United States Treasury Bill
3.0%
Federal Home Loan Discount
2.7%
United States Treasury Floating Rate Note (U.S. 3 Month Treasury + 0.098%)
2.7%
United States Treasury Floating Rate Note (U.S. 3 Month Treasury + 0.182%)
2.7%
United States Treasury Bill
2.7%
United States Treasury Bill
2.7%
Fannie Mae
2.0%
Federal Farm Credit Banks Funding Corp (Prime Rate - 2.98%)
1.9%
Federal Home Loan Discount
1.9%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

Effective January 1, 2026, the annual investment advisory fee payable to Meeder Asset Management, Inc. for management of the Government Money Market Fund was reduced to 0.15%. Due to an existing contractual waiver of advisory fees for all share classes of the Government Money Market Fund, this change has no effect on the net Total Annual Fund Operating Expenses After Fee Waivers. For more information regarding the Fund's investment advisory fee, please refer to the Fund's prospectus.

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000173654  
Shareholder Report [Line Items]  
Fund Name Government Money Market Fund
Class Name Class E
Trading Symbol FLPXX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Government Money Market Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 20px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Class E
$7
0.13%
Expenses Paid, Amount $ 7
Expense Ratio, Percent 0.13%
AssetsNet $ 1,860,618,828
Holdings Count | Holding 95
Advisory Fees Paid, Amount $ 1,137,525
Additional Fund Statistics [Text Block]

Fund Statistics 

  • Total Net Assets$1,860,618,828
  • # of Portfolio Holdings95
  • Portfolio Turnover RateN/A
  • Advisory Fees and Waivers1,137,525
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Money Market Registered Investment Companies
7.4%Footnote Reference
U.S. Treasury Notes
10.2%Footnote Reference
U.S. Treasury Bills
28.9%Footnote Reference
U.S. Government Agencies
53.6%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total net assets. Concentrations are subject to change.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
United States Treasury Bill
3.2%
United States Treasury Bill
3.0%
Federal Home Loan Discount
2.7%
United States Treasury Floating Rate Note (U.S. 3 Month Treasury + 0.098%)
2.7%
United States Treasury Floating Rate Note (U.S. 3 Month Treasury + 0.182%)
2.7%
United States Treasury Bill
2.7%
United States Treasury Bill
2.7%
Fannie Mae
2.0%
Federal Farm Credit Banks Funding Corp (Prime Rate - 2.98%)
1.9%
Federal Home Loan Discount
1.9%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

Effective January 1, 2026, the annual investment advisory fee payable to Meeder Asset Management, Inc. for management of the Government Money Market Fund was reduced to 0.15%. Due to an existing contractual waiver of advisory fees for all share classes of the Government Money Market Fund, this change has no effect on the net Total Annual Fund Operating Expenses After Fee Waivers. For more information regarding the Fund's investment advisory fee, please refer to the Fund's prospectus.

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174353  
Shareholder Report [Line Items]  
Fund Name Moderate Allocation Fund
Class Name Adviser Class
Trading Symbol DVOAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Moderate Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$52
1.02%
Expenses Paid, Amount $ 52
Expense Ratio, Percent 1.02%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Bloomberg U.S. Aggregate Bond Index
Morningstar Moderately Conservative Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,493
10,063
10,200
Aug-16
10,406
10,052
10,210
Sep-16
10,437
10,046
10,245
Oct-16
10,181
9,969
10,119
Nov-16
10,681
9,733
10,080
Dec-16
10,824
9,747
10,172
Jan-17
10,871
9,766
10,293
Feb-17
11,259
9,832
10,450
Mar-17
11,135
9,827
10,488
Apr-17
11,207
9,902
10,586
May-17
11,166
9,979
10,696
Jun-17
11,355
9,969
10,715
Jul-17
11,544
10,011
10,852
Aug-17
11,461
10,101
10,917
Sep-17
11,845
10,053
10,991
Oct-17
12,168
10,059
11,086
Nov-17
12,480
10,046
11,183
Dec-17
12,599
10,092
11,277
Jan-18
12,902
9,976
11,453
Feb-18
12,610
9,881
11,206
Mar-18
12,502
9,945
11,173
Apr-18
12,513
9,871
11,156
May-18
12,643
9,941
11,225
Jun-18
12,610
9,929
11,217
Jul-18
12,816
9,931
11,354
Aug-18
13,023
9,995
11,442
Sep-18
12,996
9,931
11,421
Oct-18
12,407
9,852
11,039
Nov-18
12,429
9,911
11,162
Dec-18
12,288
10,093
10,954
Jan-19
12,515
10,200
11,394
Feb-19
12,628
10,195
11,530
Mar-19
12,747
10,390
11,690
Apr-19
12,929
10,393
11,845
May-19
12,565
10,577
11,657
Jun-19
13,060
10,710
12,033
Jul-19
13,151
10,734
12,073
Aug-19
13,094
11,012
12,073
Sep-19
13,185
10,953
12,180
Oct-19
13,300
10,986
12,326
Nov-19
13,471
10,981
12,441
Dec-19
13,695
10,973
12,624
Jan-20
13,684
11,184
12,683
Feb-20
13,199
11,386
12,372
Mar-20
12,286
11,319
11,594
Apr-20
12,634
11,520
12,223
May-20
12,900
11,573
12,524
Jun-20
13,016
11,646
12,723
Jul-20
13,423
11,820
13,097
Aug-20
13,830
11,725
13,349
Sep-20
13,585
11,718
13,182
Oct-20
13,352
11,666
13,042
Nov-20
14,134
11,781
13,822
Dec-20
14,523
11,797
14,121
Jan-21
14,464
11,712
14,029
Feb-21
14,558
11,543
14,052
Mar-21
14,804
11,399
14,166
Apr-21
15,202
11,489
14,484
May-21
15,296
11,527
14,637
Jun-21
15,484
11,607
14,744
Jul-21
15,554
11,737
14,870
Aug-21
15,742
11,715
14,995
Sep-21
15,413
11,614
14,682
Oct-21
15,744
11,610
14,917
Nov-21
15,614
11,645
14,748
Dec-21
15,851
11,615
15,020
Jan-22
15,438
11,365
14,540
Feb-22
15,301
11,238
14,328
Mar-22
15,225
10,926
14,217
Apr-22
14,700
10,511
13,498
May-22
14,712
10,579
13,545
Jun-22
14,136
10,413
12,923
Jul-22
14,400
10,667
13,473
Aug-22
14,161
10,366
13,084
Sep-22
13,810
9,918
12,235
Oct-22
14,013
9,790
12,475
Nov-22
14,413
10,150
13,152
Dec-22
14,204
10,104
12,940
Jan-23
14,604
10,415
13,526
Feb-23
14,333
10,145
13,175
Mar-23
14,514
10,403
13,444
Apr-23
14,618
10,466
13,553
May-23
14,501
10,352
13,364
Jun-23
14,890
10,315
13,656
Jul-23
15,138
10,308
13,875
Aug-23
14,968
10,242
13,650
Sep-23
14,629
9,982
13,241
Oct-23
14,392
9,824
12,940
Nov-23
15,128
10,269
13,743
Dec-23
15,828
10,662
14,349
Jan-24
15,881
10,633
14,341
Feb-24
16,240
10,483
14,446
Mar-24
16,638
10,580
14,710
Apr-24
16,077
10,312
14,290
May-24
16,651
10,487
14,625
Jun-24
16,864
10,587
14,762
Jul-24
17,199
10,834
15,130
Aug-24
17,508
10,990
15,429
Sep-24
17,682
11,137
15,695
Oct-24
17,345
10,860
15,308
Nov-24
17,844
10,975
15,658
Dec-24
17,356
10,796
15,268
Jan-25
17,683
10,853
15,564
Feb-25
17,782
11,092
15,743
Mar-25
17,243
11,096
15,566
Apr-25
17,129
11,140
15,694
May-25
17,514
11,060
15,942
Jun-25
17,999
11,230
16,338
Jul-25
18,099
11,200
16,359
Aug-25
18,458
11,334
16,669
Sep-25
18,874
11,458
16,946
Oct-25
19,090
11,529
17,067
Nov-25
19,220
11,601
17,163
Dec-25
19,230
11,584
17,232
Jan-26
19,570
11,596
17,504
Feb-26
19,880
11,786
17,853
Mar-26
19,083
11,578
17,107
Apr-26
19,945
11,591
17,746
May-26
20,435
11,628
18,113
Jun-26
20,495
11,656
18,201
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
13.87%
5.77%
7.44%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Morningstar Moderately Conservative Target Risk Index
11.40%
4.30%
6.17%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 200,026,155
Holdings Count | Holding 215
Advisory Fees Paid, Amount $ 567,116
InvestmentCompanyPortfolioTurnover 94.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$200,026,155
# of Portfolio Holdings
215
Portfolio Turnover Rate
94%
Advisory Fees and Waivers
567,116
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Utilities
1.0%Footnote Reference
Energy
1.2%Footnote Reference
Materials
1.6%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.0%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
15.6%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
36.7%Footnote Reference
Registered Investment Companies
48.7%Footnote Reference
Money Market Registered Investment Companies
13.2%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
1.2%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Total Bond Fund - Class Z
10.1%
Baird Core Plus Bond Fund - Class I
9.9%
Fidelity Advisor Capital & Income Fund - Class Z
7.3%
State Street SPDR Bloomberg High Yield Bond ETF
4.6%
Dodge & Cox Income Fund - Class I
4.2%
PGIM Total Return Bond Fund Class R6
3.4%
Guggenheim Total Return Bond Fund - Class I
3.4%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
3.0%
Apple Inc
2.9%
NVIDIA Corp
2.8%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174354  
Shareholder Report [Line Items]  
Fund Name Moderate Allocation Fund
Class Name Institutional Class
Trading Symbol DVOIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Moderate Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$52
1.01%
Expenses Paid, Amount $ 52
Expense Ratio, Percent 1.01%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Bloomberg U.S. Aggregate Bond Index
Morningstar Moderately Conservative Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,493
10,063
10,200
Aug-16
10,406
10,052
10,210
Sep-16
10,437
10,046
10,245
Oct-16
10,181
9,969
10,119
Nov-16
10,681
9,733
10,080
Dec-16
10,824
9,747
10,172
Jan-17
10,880
9,766
10,293
Feb-17
11,258
9,832
10,450
Mar-17
11,144
9,827
10,488
Apr-17
11,206
9,902
10,586
May-17
11,170
9,979
10,696
Jun-17
11,355
9,969
10,715
Jul-17
11,544
10,011
10,852
Aug-17
11,471
10,101
10,917
Sep-17
11,855
10,053
10,991
Oct-17
12,177
10,059
11,086
Nov-17
12,499
10,046
11,183
Dec-17
12,614
10,092
11,277
Jan-18
12,917
9,976
11,453
Feb-18
12,636
9,881
11,206
Mar-18
12,517
9,945
11,173
Apr-18
12,528
9,871
11,156
May-18
12,669
9,941
11,225
Jun-18
12,636
9,929
11,217
Jul-18
12,843
9,931
11,354
Aug-18
13,049
9,995
11,442
Sep-18
13,033
9,931
11,421
Oct-18
12,444
9,852
11,039
Nov-18
12,466
9,911
11,162
Dec-18
12,338
10,093
10,954
Jan-19
12,553
10,200
11,394
Feb-19
12,666
10,195
11,530
Mar-19
12,791
10,390
11,690
Apr-19
12,973
10,393
11,845
May-19
12,620
10,577
11,657
Jun-19
13,110
10,710
12,033
Jul-19
13,201
10,734
12,073
Aug-19
13,144
11,012
12,073
Sep-19
13,236
10,953
12,180
Oct-19
13,362
10,986
12,326
Nov-19
13,534
10,981
12,441
Dec-19
13,759
10,973
12,624
Jan-20
13,747
11,184
12,683
Feb-20
13,250
11,386
12,372
Mar-20
12,336
11,319
11,594
Apr-20
12,684
11,520
12,223
May-20
12,951
11,573
12,524
Jun-20
13,078
11,646
12,723
Jul-20
13,474
11,820
13,097
Aug-20
13,882
11,725
13,349
Sep-20
13,637
11,718
13,182
Oct-20
13,415
11,666
13,042
Nov-20
14,186
11,781
13,822
Dec-20
14,587
11,797
14,121
Jan-21
14,529
11,712
14,029
Feb-21
14,623
11,543
14,052
Mar-21
14,869
11,399
14,166
Apr-21
15,269
11,489
14,484
May-21
15,362
11,527
14,637
Jun-21
15,550
11,607
14,744
Jul-21
15,621
11,737
14,870
Aug-21
15,809
11,715
14,995
Sep-21
15,468
11,614
14,682
Oct-21
15,811
11,610
14,917
Nov-21
15,681
11,645
14,748
Dec-21
15,907
11,615
15,020
Jan-22
15,493
11,365
14,540
Feb-22
15,355
11,238
14,328
Mar-22
15,280
10,926
14,217
Apr-22
14,753
10,511
13,498
May-22
14,765
10,579
13,545
Jun-22
14,188
10,413
12,923
Jul-22
14,453
10,667
13,473
Aug-22
14,214
10,366
13,084
Sep-22
13,861
9,918
12,235
Oct-22
14,064
9,790
12,475
Nov-22
14,465
10,150
13,152
Dec-22
14,255
10,104
12,940
Jan-23
14,655
10,415
13,526
Feb-23
14,371
10,145
13,175
Mar-23
14,552
10,403
13,444
Apr-23
14,669
10,466
13,553
May-23
14,539
10,352
13,364
Jun-23
14,928
10,315
13,656
Jul-23
15,177
10,308
13,875
Aug-23
15,007
10,242
13,650
Sep-23
14,667
9,982
13,241
Oct-23
14,430
9,824
12,940
Nov-23
15,167
10,269
13,743
Dec-23
15,874
10,662
14,349
Jan-24
15,927
10,633
14,341
Feb-24
16,285
10,483
14,446
Mar-24
16,684
10,580
14,710
Apr-24
16,110
10,312
14,290
May-24
16,684
10,487
14,625
Jun-24
16,897
10,587
14,762
Jul-24
17,233
10,834
15,130
Aug-24
17,542
10,990
15,429
Sep-24
17,716
11,137
15,695
Oct-24
17,379
10,860
15,308
Nov-24
17,878
10,975
15,658
Dec-24
17,386
10,796
15,268
Jan-25
17,712
10,853
15,564
Feb-25
17,812
11,092
15,743
Mar-25
17,273
11,096
15,566
Apr-25
17,159
11,140
15,694
May-25
17,529
11,060
15,942
Jun-25
18,029
11,230
16,338
Jul-25
18,143
11,200
16,359
Aug-25
18,488
11,334
16,669
Sep-25
18,904
11,458
16,946
Oct-25
19,120
11,529
17,067
Nov-25
19,250
11,601
17,163
Dec-25
19,259
11,584
17,232
Jan-26
19,599
11,596
17,504
Feb-26
19,924
11,786
17,853
Mar-26
19,112
11,578
17,107
Apr-26
19,974
11,591
17,746
May-26
20,464
11,628
18,113
Jun-26
20,523
11,656
18,201
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
13.84%
5.71%
7.45%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Morningstar Moderately Conservative Target Risk Index
11.40%
4.30%
6.17%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 200,026,155
Holdings Count | Holding 215
Advisory Fees Paid, Amount $ 567,116
InvestmentCompanyPortfolioTurnover 94.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$200,026,155
# of Portfolio Holdings
215
Portfolio Turnover Rate
94%
Advisory Fees and Waivers
567,116
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Utilities
1.0%Footnote Reference
Energy
1.2%Footnote Reference
Materials
1.6%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.0%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
15.6%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
36.7%Footnote Reference
Registered Investment Companies
48.7%Footnote Reference
Money Market Registered Investment Companies
13.2%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
1.2%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Total Bond Fund - Class Z
10.1%
Baird Core Plus Bond Fund - Class I
9.9%
Fidelity Advisor Capital & Income Fund - Class Z
7.3%
State Street SPDR Bloomberg High Yield Bond ETF
4.6%
Dodge & Cox Income Fund - Class I
4.2%
PGIM Total Return Bond Fund Class R6
3.4%
Guggenheim Total Return Bond Fund - Class I
3.4%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
3.0%
Apple Inc
2.9%
NVIDIA Corp
2.8%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000157689  
Shareholder Report [Line Items]  
Fund Name Moderate Allocation Fund
Class Name Retail Class
Trading Symbol FLDOX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Moderate Allocation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$67
1.30%
Expenses Paid, Amount $ 67
Expense Ratio, Percent 1.30%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Bloomberg U.S. Aggregate Bond Index
Morningstar Moderately Conservative Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,493
10,063
10,200
Aug-16
10,406
10,052
10,210
Sep-16
10,437
10,046
10,245
Oct-16
10,181
9,969
10,119
Nov-16
10,681
9,733
10,080
Dec-16
10,816
9,747
10,172
Jan-17
10,863
9,766
10,293
Feb-17
11,240
9,832
10,450
Mar-17
11,121
9,827
10,488
Apr-17
11,183
9,902
10,586
May-17
11,147
9,979
10,696
Jun-17
11,328
9,969
10,715
Jul-17
11,507
10,011
10,852
Aug-17
11,434
10,101
10,917
Sep-17
11,808
10,053
10,991
Oct-17
12,119
10,059
11,086
Nov-17
12,441
10,046
11,183
Dec-17
12,545
10,092
11,277
Jan-18
12,846
9,976
11,453
Feb-18
12,556
9,881
11,206
Mar-18
12,438
9,945
11,173
Apr-18
12,448
9,871
11,156
May-18
12,578
9,941
11,225
Jun-18
12,545
9,929
11,217
Jul-18
12,740
9,931
11,354
Aug-18
12,946
9,995
11,442
Sep-18
12,919
9,931
11,421
Oct-18
12,333
9,852
11,039
Nov-18
12,354
9,911
11,162
Dec-18
12,219
10,093
10,954
Jan-19
12,433
10,200
11,394
Feb-19
12,546
10,195
11,530
Mar-19
12,659
10,390
11,690
Apr-19
12,840
10,393
11,845
May-19
12,478
10,577
11,657
Jun-19
12,964
10,710
12,033
Jul-19
13,055
10,734
12,073
Aug-19
12,987
11,012
12,073
Sep-19
13,077
10,953
12,180
Oct-19
13,191
10,986
12,326
Nov-19
13,351
10,981
12,441
Dec-19
13,579
10,973
12,624
Jan-20
13,556
11,184
12,683
Feb-20
13,063
11,386
12,372
Mar-20
12,169
11,319
11,594
Apr-20
12,502
11,520
12,223
May-20
12,766
11,573
12,524
Jun-20
12,881
11,646
12,723
Jul-20
13,273
11,820
13,097
Aug-20
13,664
11,725
13,349
Sep-20
13,420
11,718
13,182
Oct-20
13,189
11,666
13,042
Nov-20
13,951
11,781
13,822
Dec-20
14,333
11,797
14,121
Jan-21
14,275
11,712
14,029
Feb-21
14,368
11,543
14,052
Mar-21
14,611
11,399
14,166
Apr-21
14,994
11,489
14,484
May-21
15,086
11,527
14,637
Jun-21
15,260
11,607
14,744
Jul-21
15,318
11,737
14,870
Aug-21
15,503
11,715
14,995
Sep-21
15,167
11,614
14,682
Oct-21
15,493
11,610
14,917
Nov-21
15,354
11,645
14,748
Dec-21
15,586
11,615
15,020
Jan-22
15,166
11,365
14,540
Feb-22
15,031
11,238
14,328
Mar-22
14,944
10,926
14,217
Apr-22
14,427
10,511
13,498
May-22
14,439
10,579
13,545
Jun-22
13,872
10,413
12,923
Jul-22
14,131
10,667
13,473
Aug-22
13,884
10,366
13,084
Sep-22
13,538
9,918
12,235
Oct-22
13,725
9,790
12,475
Nov-22
14,118
10,150
13,152
Dec-22
13,911
10,104
12,940
Jan-23
14,291
10,415
13,526
Feb-23
14,025
10,145
13,175
Mar-23
14,190
10,403
13,444
Apr-23
14,292
10,466
13,553
May-23
14,177
10,352
13,364
Jun-23
14,546
10,315
13,656
Jul-23
14,777
10,308
13,875
Aug-23
14,611
10,242
13,650
Sep-23
14,277
9,982
13,241
Oct-23
14,032
9,824
12,940
Nov-23
14,755
10,269
13,743
Dec-23
15,429
10,662
14,349
Jan-24
15,481
10,633
14,341
Feb-24
15,832
10,483
14,446
Mar-24
16,209
10,580
14,710
Apr-24
15,661
10,312
14,290
May-24
16,209
10,487
14,625
Jun-24
16,418
10,587
14,762
Jul-24
16,732
10,834
15,130
Aug-24
17,021
10,990
15,429
Sep-24
17,178
11,137
15,695
Oct-24
16,862
10,860
15,308
Nov-24
17,337
10,975
15,658
Dec-24
16,854
10,796
15,268
Jan-25
17,159
10,853
15,564
Feb-25
17,255
11,092
15,743
Mar-25
16,730
11,096
15,566
Apr-25
16,619
11,140
15,694
May-25
16,980
11,060
15,942
Jun-25
17,452
11,230
16,338
Jul-25
17,550
11,200
16,359
Aug-25
17,884
11,334
16,669
Sep-25
18,289
11,458
16,946
Oct-25
18,499
11,529
17,067
Nov-25
18,611
11,601
17,163
Dec-25
18,621
11,584
17,232
Jan-26
18,937
11,596
17,504
Feb-26
19,252
11,786
17,853
Mar-26
18,464
11,578
17,107
Apr-26
19,285
11,591
17,746
May-26
19,759
11,628
18,113
Jun-26
19,810
11,656
18,201
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
13.51%
5.36%
7.08%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Morningstar Moderately Conservative Target Risk Index
11.40%
4.30%
6.17%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 200,026,155
Holdings Count | Holding 215
Advisory Fees Paid, Amount $ 567,116
InvestmentCompanyPortfolioTurnover 94.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$200,026,155
# of Portfolio Holdings
215
Portfolio Turnover Rate
94%
Advisory Fees and Waivers
567,116
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Utilities
1.0%Footnote Reference
Energy
1.2%Footnote Reference
Materials
1.6%Footnote Reference
Real Estate
1.8%Footnote Reference
Consumer Staples
2.1%Footnote Reference
Consumer Discretionary
4.7%Footnote Reference
Communication Services
9.6%Footnote Reference
Health Care
11.0%Footnote Reference
Industrials
11.7%Footnote Reference
Financials
15.6%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
36.7%Footnote Reference
Registered Investment Companies
48.7%Footnote Reference
Money Market Registered Investment Companies
13.2%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
1.2%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Total Bond Fund - Class Z
10.1%
Baird Core Plus Bond Fund - Class I
9.9%
Fidelity Advisor Capital & Income Fund - Class Z
7.3%
State Street SPDR Bloomberg High Yield Bond ETF
4.6%
Dodge & Cox Income Fund - Class I
4.2%
PGIM Total Return Bond Fund Class R6
3.4%
Guggenheim Total Return Bond Fund - Class I
3.4%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
3.0%
Apple Inc
2.9%
NVIDIA Corp
2.8%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174337  
Shareholder Report [Line Items]  
Fund Name Muirfield Fund
Class Name Adviser Class
Trading Symbol FLMAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Muirfield Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$47
0.90%
Expenses Paid, Amount $ 47
Expense Ratio, Percent 0.90%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,357
10,397
10,279
Aug-16
10,372
10,423
10,301
Sep-16
10,388
10,440
10,340
Oct-16
10,128
10,214
10,189
Nov-16
10,486
10,671
10,245
Dec-16
10,602
10,879
10,379
Jan-17
10,758
11,084
10,547
Feb-17
11,164
11,496
10,761
Mar-17
11,164
11,504
10,814
Apr-17
11,289
11,626
10,927
May-17
11,429
11,745
11,053
Jun-17
11,523
11,851
11,095
Jul-17
11,773
12,074
11,284
Aug-17
11,835
12,098
11,341
Sep-17
12,069
12,393
11,472
Oct-17
12,366
12,663
11,615
Nov-17
12,647
13,048
11,773
Dec-17
12,776
13,178
11,901
Jan-18
13,451
13,873
12,224
Feb-18
12,911
13,361
11,873
Mar-18
12,657
13,093
11,797
Apr-18
12,742
13,143
11,809
May-18
12,944
13,514
11,881
Jun-18
12,894
13,602
11,863
Jul-18
13,265
14,054
12,070
Aug-18
13,687
14,547
12,176
Sep-18
13,645
14,571
12,163
Oct-18
12,613
13,498
11,590
Nov-18
12,715
13,769
11,751
Dec-18
12,342
12,487
11,335
Jan-19
12,513
13,559
11,957
Feb-19
12,685
14,036
12,164
Mar-19
12,770
14,241
12,318
Apr-19
13,079
14,810
12,556
May-19
12,273
13,851
12,180
Jun-19
13,019
14,824
12,704
Jul-19
13,156
15,044
12,744
Aug-19
12,864
14,738
12,635
Sep-19
13,088
14,996
12,821
Oct-19
13,294
15,319
13,033
Nov-19
13,656
15,902
13,213
Dec-19
14,046
16,361
13,491
Jan-20
13,834
16,343
13,456
Feb-20
12,795
15,005
12,859
Mar-20
11,491
12,941
11,686
Apr-20
12,019
14,655
12,519
May-20
12,284
15,439
12,919
Jun-20
12,372
15,792
13,174
Jul-20
12,850
16,689
13,642
Aug-20
13,664
17,898
14,051
Sep-20
13,240
17,246
13,807
Oct-20
12,831
16,874
13,622
Nov-20
14,077
18,927
14,769
Dec-20
14,702
19,778
15,221
Jan-21
14,702
19,690
15,128
Feb-21
15,094
20,306
15,311
Mar-21
15,663
21,033
15,551
Apr-21
16,358
22,118
15,999
May-21
16,536
22,219
16,220
Jun-21
16,767
22,767
16,326
Jul-21
16,927
23,152
16,443
Aug-21
17,337
23,812
16,658
Sep-21
16,701
22,743
16,216
Oct-21
17,471
24,281
16,615
Nov-21
17,220
23,912
16,314
Dec-21
17,733
24,853
16,772
Jan-22
17,015
23,391
16,139
Feb-22
16,812
22,802
15,891
Mar-22
16,886
23,542
15,902
Apr-22
15,984
21,429
14,972
May-22
16,039
21,400
15,015
Jun-22
15,431
19,610
14,099
Jul-22
15,910
21,450
14,821
Aug-22
15,542
20,649
14,369
Sep-22
15,008
18,734
13,264
Oct-22
15,579
20,271
13,708
Nov-22
16,154
21,329
14,605
Dec-22
15,808
20,080
14,294
Jan-23
16,338
21,463
15,078
Feb-23
15,960
20,961
14,652
Mar-23
16,187
21,522
14,912
Apr-23
16,414
21,751
15,049
May-23
16,281
21,836
14,784
Jun-23
17,115
23,327
15,282
Jul-23
17,610
24,163
15,647
Aug-23
17,306
23,696
15,300
Sep-23
16,639
22,568
14,780
Oct-23
16,142
21,969
14,359
Nov-23
17,156
24,018
15,417
Dec-23
17,996
25,292
16,184
Jan-24
18,230
25,572
16,164
Feb-24
19,187
26,956
16,426
Mar-24
19,968
27,826
16,817
Apr-24
19,048
26,602
16,289
May-24
20,105
27,858
16,719
Jun-24
20,418
28,721
16,862
Jul-24
20,810
29,255
17,292
Aug-24
21,223
29,892
17,679
Sep-24
21,341
30,510
18,038
Oct-24
20,986
30,286
17,571
Nov-24
21,991
32,301
18,061
Dec-24
21,106
31,313
17,522
Jan-25
21,740
32,302
17,972
Feb-25
21,514
31,683
18,110
Mar-25
20,358
29,835
17,818
Apr-25
20,108
29,635
17,995
May-25
21,107
31,513
18,477
Jun-25
21,994
33,114
19,040
Jul-25
22,267
33,843
19,102
Aug-25
22,928
34,626
19,515
Sep-25
23,681
35,821
19,919
Oct-25
24,046
36,589
20,085
Nov-25
24,252
36,690
20,178
Dec-25
24,386
36,682
20,316
Jan-26
25,201
37,251
20,790
Feb-26
25,561
37,074
21,284
Mar-26
23,979
35,231
20,109
Apr-26
25,949
38,825
21,222
May-26
27,055
40,792
21,870
Jun-26
27,079
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
23.12%
10.06%
10.47%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 1,283,060,516
Holdings Count | Holding 218
Advisory Fees Paid, Amount $ 3,661,620
InvestmentCompanyPortfolioTurnover 147.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$1,283,060,516
# of Portfolio Holdings
218
Portfolio Turnover Rate
147%
Advisory Fees and Waivers
3,661,620
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.8%Footnote Reference
Utilities
0.8%Footnote Reference
Materials
1.7%Footnote Reference
Consumer Staples
2.0%Footnote Reference
Real Estate
2.2%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.7%Footnote Reference
Industrials
11.3%Footnote Reference
Health Care
11.5%Footnote Reference
Financials
15.7%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
67.2%Footnote Reference
Money Market Registered Investment Companies
29.8%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
2.8%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
5.0%
Apple Inc
4.8%
Alphabet Inc - Class C
4.5%
Microsoft Corp
3.9%
Mastercard Inc
1.8%
Broadcom Inc
1.7%
Micron Technology Inc
1.4%
Simon Property Group Inc
1.4%
Eli Lilly & Co
1.3%
Meta Platforms Inc
1.3%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174338  
Shareholder Report [Line Items]  
Fund Name Muirfield Fund
Class Name Institutional Class
Trading Symbol FLMIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Muirfield Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$47
0.89%
Expenses Paid, Amount $ 47
Expense Ratio, Percent 0.89%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,357
10,397
10,279
Aug-16
10,372
10,423
10,301
Sep-16
10,388
10,440
10,340
Oct-16
10,128
10,214
10,189
Nov-16
10,486
10,671
10,245
Dec-16
10,607
10,879
10,379
Jan-17
10,763
11,084
10,547
Feb-17
11,168
11,496
10,761
Mar-17
11,152
11,504
10,814
Apr-17
11,293
11,626
10,927
May-17
11,434
11,745
11,053
Jun-17
11,512
11,851
11,095
Jul-17
11,777
12,074
11,284
Aug-17
11,840
12,098
11,341
Sep-17
12,074
12,393
11,472
Oct-17
12,371
12,663
11,615
Nov-17
12,652
13,048
11,773
Dec-17
12,792
13,178
11,901
Jan-18
13,451
13,873
12,224
Feb-18
12,927
13,361
11,873
Mar-18
12,673
13,093
11,797
Apr-18
12,758
13,143
11,809
May-18
12,961
13,514
11,881
Jun-18
12,910
13,602
11,863
Jul-18
13,282
14,054
12,070
Aug-18
13,721
14,547
12,176
Sep-18
13,670
14,571
12,163
Oct-18
12,637
13,498
11,590
Nov-18
12,739
13,769
11,751
Dec-18
12,387
12,487
11,335
Jan-19
12,559
13,559
11,957
Feb-19
12,730
14,036
12,164
Mar-19
12,816
14,241
12,318
Apr-19
13,108
14,810
12,556
May-19
12,318
13,851
12,180
Jun-19
13,057
14,824
12,704
Jul-19
13,195
15,044
12,744
Aug-19
12,902
14,738
12,635
Sep-19
13,143
14,996
12,821
Oct-19
13,350
15,319
13,033
Nov-19
13,713
15,902
13,213
Dec-19
14,122
16,361
13,491
Jan-20
13,892
16,343
13,456
Feb-20
12,849
15,005
12,859
Mar-20
11,541
12,941
11,686
Apr-20
12,071
14,655
12,519
May-20
12,337
15,439
12,919
Jun-20
12,425
15,792
13,174
Jul-20
12,904
16,689
13,642
Aug-20
13,721
17,898
14,051
Sep-20
13,295
17,246
13,807
Oct-20
12,885
16,874
13,622
Nov-20
14,152
18,927
14,769
Dec-20
14,779
19,778
15,221
Jan-21
14,779
19,690
15,128
Feb-21
15,154
20,306
15,311
Mar-21
15,743
21,033
15,551
Apr-21
16,439
22,118
15,999
May-21
16,618
22,219
16,220
Jun-21
16,850
22,767
16,326
Jul-21
17,010
23,152
16,443
Aug-21
17,421
23,812
16,658
Sep-21
16,782
22,743
16,216
Oct-21
17,554
24,281
16,615
Nov-21
17,303
23,912
16,314
Dec-21
17,816
24,853
16,772
Jan-22
17,096
23,391
16,139
Feb-22
16,893
22,802
15,891
Mar-22
16,967
23,542
15,902
Apr-22
16,062
21,429
14,972
May-22
16,099
21,400
15,015
Jun-22
15,508
19,610
14,099
Jul-22
15,970
21,450
14,821
Aug-22
15,601
20,649
14,369
Sep-22
15,065
18,734
13,264
Oct-22
15,638
20,271
13,708
Nov-22
16,215
21,329
14,605
Dec-22
15,868
20,080
14,294
Jan-23
16,399
21,463
15,078
Feb-23
16,020
20,961
14,652
Mar-23
16,247
21,522
14,912
Apr-23
16,475
21,751
15,049
May-23
16,342
21,836
14,784
Jun-23
17,178
23,327
15,282
Jul-23
17,656
24,163
15,647
Aug-23
17,369
23,696
15,300
Sep-23
16,701
22,568
14,780
Oct-23
16,203
21,969
14,359
Nov-23
17,219
24,018
15,417
Dec-23
18,043
25,292
16,184
Jan-24
18,278
25,572
16,164
Feb-24
19,235
26,956
16,426
Mar-24
20,037
27,826
16,817
Apr-24
19,096
26,602
16,289
May-24
20,155
27,858
16,719
Jun-24
20,468
28,721
16,862
Jul-24
20,881
29,255
17,292
Aug-24
21,274
29,892
17,679
Sep-24
21,392
30,510
18,038
Oct-24
21,037
30,286
17,571
Nov-24
22,044
32,301
18,061
Dec-24
21,134
31,313
17,522
Jan-25
21,792
32,302
17,972
Feb-25
21,565
31,683
18,110
Mar-25
20,386
29,835
17,818
Apr-25
20,136
29,635
17,995
May-25
21,159
31,513
18,477
Jun-25
22,045
33,114
19,040
Jul-25
22,319
33,843
19,102
Aug-25
23,003
34,626
19,515
Sep-25
23,732
35,821
19,919
Oct-25
24,098
36,589
20,085
Nov-25
24,327
36,690
20,178
Dec-25
24,438
36,682
20,316
Jan-26
25,254
37,251
20,790
Feb-26
25,613
37,074
21,284
Mar-26
24,032
35,231
20,109
Apr-26
26,002
38,825
21,222
May-26
27,108
40,792
21,870
Jun-26
27,156
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
23.19%
10.02%
10.51%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 1,283,060,516
Holdings Count | Holding 218
Advisory Fees Paid, Amount $ 3,661,620
InvestmentCompanyPortfolioTurnover 147.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$1,283,060,516
# of Portfolio Holdings
218
Portfolio Turnover Rate
147%
Advisory Fees and Waivers
3,661,620
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.8%Footnote Reference
Utilities
0.8%Footnote Reference
Materials
1.7%Footnote Reference
Consumer Staples
2.0%Footnote Reference
Real Estate
2.2%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.7%Footnote Reference
Industrials
11.3%Footnote Reference
Health Care
11.5%Footnote Reference
Financials
15.7%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
67.2%Footnote Reference
Money Market Registered Investment Companies
29.8%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
2.8%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
5.0%
Apple Inc
4.8%
Alphabet Inc - Class C
4.5%
Microsoft Corp
3.9%
Mastercard Inc
1.8%
Broadcom Inc
1.7%
Micron Technology Inc
1.4%
Simon Property Group Inc
1.4%
Eli Lilly & Co
1.3%
Meta Platforms Inc
1.3%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000010069  
Shareholder Report [Line Items]  
Fund Name Muirfield Fund
Class Name Retail Class
Trading Symbol FLMFX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Muirfield Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$59
1.12%
Expenses Paid, Amount $ 59
Expense Ratio, Percent 1.12%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,357
10,397
10,279
Aug-16
10,372
10,423
10,301
Sep-16
10,388
10,440
10,340
Oct-16
10,128
10,214
10,189
Nov-16
10,471
10,671
10,245
Dec-16
10,589
10,879
10,379
Jan-17
10,745
11,084
10,547
Feb-17
11,150
11,496
10,761
Mar-17
11,135
11,504
10,814
Apr-17
11,275
11,626
10,927
May-17
11,400
11,745
11,053
Jun-17
11,478
11,851
11,095
Jul-17
11,744
12,074
11,284
Aug-17
11,806
12,098
11,341
Sep-17
12,025
12,393
11,472
Oct-17
12,322
12,663
11,615
Nov-17
12,603
13,048
11,773
Dec-17
12,737
13,178
11,901
Jan-18
13,396
13,873
12,224
Feb-18
12,855
13,361
11,873
Mar-18
12,602
13,093
11,797
Apr-18
12,687
13,143
11,809
May-18
12,889
13,514
11,881
Jun-18
12,839
13,602
11,863
Jul-18
13,210
14,054
12,070
Aug-18
13,616
14,547
12,176
Sep-18
13,573
14,571
12,163
Oct-18
12,541
13,498
11,590
Nov-18
12,643
13,769
11,751
Dec-18
12,272
12,487
11,335
Jan-19
12,443
13,559
11,957
Feb-19
12,614
14,036
12,164
Mar-19
12,700
14,241
12,318
Apr-19
12,991
14,810
12,556
May-19
12,186
13,851
12,180
Jun-19
12,923
14,824
12,704
Jul-19
13,060
15,044
12,744
Aug-19
12,768
14,738
12,635
Sep-19
12,991
14,996
12,821
Oct-19
13,198
15,319
13,033
Nov-19
13,559
15,902
13,213
Dec-19
13,932
16,361
13,491
Jan-20
13,721
16,343
13,456
Feb-20
12,681
15,005
12,859
Mar-20
11,396
12,941
11,686
Apr-20
11,906
14,655
12,519
May-20
12,171
15,439
12,919
Jun-20
12,259
15,792
13,174
Jul-20
12,718
16,689
13,642
Aug-20
13,513
17,898
14,051
Sep-20
13,101
17,246
13,807
Oct-20
12,693
16,874
13,622
Nov-20
13,934
18,927
14,769
Dec-20
14,539
19,778
15,221
Jan-21
14,539
19,690
15,128
Feb-21
14,911
20,306
15,311
Mar-21
15,461
21,033
15,551
Apr-21
16,152
22,118
15,999
May-21
16,330
22,219
16,220
Jun-21
16,560
22,767
16,326
Jul-21
16,702
23,152
16,443
Aug-21
17,110
23,812
16,658
Sep-21
16,488
22,743
16,216
Oct-21
17,218
24,281
16,615
Nov-21
16,987
23,912
16,314
Dec-21
17,476
24,853
16,772
Jan-22
16,761
23,391
16,139
Feb-22
16,559
22,802
15,891
Mar-22
16,632
23,542
15,902
Apr-22
15,734
21,429
14,972
May-22
15,789
21,400
15,015
Jun-22
15,184
19,610
14,099
Jul-22
15,642
21,450
14,821
Aug-22
15,275
20,649
14,369
Sep-22
14,762
18,734
13,264
Oct-22
15,313
20,271
13,708
Nov-22
15,867
21,329
14,605
Dec-22
15,521
20,080
14,294
Jan-23
16,049
21,463
15,078
Feb-23
15,672
20,961
14,652
Mar-23
15,879
21,522
14,912
Apr-23
16,106
21,751
15,049
May-23
15,955
21,836
14,784
Jun-23
16,785
23,327
15,282
Jul-23
17,259
24,163
15,647
Aug-23
16,956
23,696
15,300
Sep-23
16,293
22,568
14,780
Oct-23
15,818
21,969
14,359
Nov-23
16,806
24,018
15,417
Dec-23
17,623
25,292
16,184
Jan-24
17,837
25,572
16,164
Feb-24
18,787
26,956
16,426
Mar-24
19,543
27,826
16,817
Apr-24
18,630
26,602
16,289
May-24
19,659
27,858
16,719
Jun-24
19,951
28,721
16,862
Jul-24
20,360
29,255
17,292
Aug-24
20,749
29,892
17,679
Sep-24
20,847
30,510
18,038
Oct-24
20,495
30,286
17,571
Nov-24
21,472
32,301
18,061
Dec-24
20,601
31,313
17,522
Jan-25
21,209
32,302
17,972
Feb-25
21,006
31,683
18,110
Mar-25
19,859
29,835
17,818
Apr-25
19,611
29,635
17,995
May-25
20,603
31,513
18,477
Jun-25
21,460
33,114
19,040
Jul-25
21,731
33,843
19,102
Aug-25
22,364
34,626
19,515
Sep-25
23,064
35,821
19,919
Oct-25
23,426
36,589
20,085
Nov-25
23,630
36,690
20,178
Dec-25
23,746
36,682
20,316
Jan-26
24,529
37,251
20,790
Feb-26
24,886
37,074
21,284
Mar-26
23,343
35,231
20,109
Apr-26
25,244
38,825
21,222
May-26
26,314
40,792
21,870
Jun-26
26,350
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
22.79%
9.73%
10.17%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 1,283,060,516
Holdings Count | Holding 218
Advisory Fees Paid, Amount $ 3,661,620
InvestmentCompanyPortfolioTurnover 147.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$1,283,060,516
# of Portfolio Holdings
218
Portfolio Turnover Rate
147%
Advisory Fees and Waivers
3,661,620
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Energy
0.8%Footnote Reference
Utilities
0.8%Footnote Reference
Materials
1.7%Footnote Reference
Consumer Staples
2.0%Footnote Reference
Real Estate
2.2%Footnote Reference
Consumer Discretionary
4.6%Footnote Reference
Communication Services
9.7%Footnote Reference
Industrials
11.3%Footnote Reference
Health Care
11.5%Footnote Reference
Financials
15.7%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
67.2%Footnote Reference
Money Market Registered Investment Companies
29.8%Footnote Reference
Call/Put Options Purchased
0.2%Footnote Reference
Assets/Other Liabilities (Net)
2.8%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
5.0%
Apple Inc
4.8%
Alphabet Inc - Class C
4.5%
Microsoft Corp
3.9%
Mastercard Inc
1.8%
Broadcom Inc
1.7%
Micron Technology Inc
1.4%
Simon Property Group Inc
1.4%
Eli Lilly & Co
1.3%
Meta Platforms Inc
1.3%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174339  
Shareholder Report [Line Items]  
Fund Name Sector Rotation Fund
Class Name Adviser Class
Trading Symbol QNTAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Sector Rotation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$74
1.43%
Expenses Paid, Amount $ 74
Expense Ratio, Percent 1.43%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Russell 3000 Index
S&P MidCap 400
Russell 2000 Index
Jun-16
10,000
10,000
10,000
10,000
Jul-16
10,528
10,397
10,429
10,597
Aug-16
10,640
10,423
10,481
10,784
Sep-16
10,700
10,440
10,414
10,905
Oct-16
10,185
10,214
10,136
10,386
Nov-16
11,135
10,671
10,947
11,544
Dec-16
11,253
10,879
11,187
11,868
Jan-17
11,371
11,084
11,374
11,915
Feb-17
11,408
11,496
11,673
12,145
Mar-17
11,459
11,504
11,628
12,160
Apr-17
11,462
11,626
11,725
12,294
May-17
11,300
11,745
11,668
12,044
Jun-17
11,624
11,851
11,857
12,460
Jul-17
11,779
12,074
11,961
12,553
Aug-17
11,529
12,098
11,778
12,393
Sep-17
12,093
12,393
12,239
13,166
Oct-17
12,140
12,663
12,516
13,279
Nov-17
12,741
13,048
12,976
13,661
Dec-17
12,792
13,178
13,004
13,606
Jan-18
13,116
13,873
13,378
13,962
Feb-18
12,431
13,361
12,785
13,421
Mar-18
12,340
13,093
12,904
13,595
Apr-18
12,500
13,143
12,870
13,712
May-18
12,897
13,514
13,401
14,545
Jun-18
13,189
13,602
13,458
14,649
Jul-18
13,446
14,054
13,695
14,904
Aug-18
13,777
14,547
14,133
15,547
Sep-18
13,690
14,571
13,978
15,173
Oct-18
12,549
13,498
12,643
13,525
Nov-18
12,688
13,769
13,038
13,740
Dec-18
11,229
12,487
11,563
12,108
Jan-19
12,561
13,559
12,772
13,470
Feb-19
12,919
14,036
13,314
14,170
Mar-19
12,797
14,241
13,238
13,873
Apr-19
13,027
14,810
13,770
14,345
May-19
11,458
13,851
12,673
13,229
Jun-19
12,484
14,824
13,641
14,164
Jul-19
12,251
15,044
13,803
14,246
Aug-19
11,269
14,738
13,224
13,542
Sep-19
12,192
14,996
13,629
13,824
Oct-19
12,534
15,319
13,783
14,188
Nov-19
13,041
15,902
14,193
14,772
Dec-19
13,320
16,361
14,592
15,198
Jan-20
12,532
16,343
14,211
14,711
Feb-20
11,200
15,005
12,862
13,472
Mar-20
7,959
12,941
10,258
10,545
Apr-20
9,311
14,655
11,713
11,994
May-20
9,665
15,439
12,570
12,774
Jun-20
9,833
15,792
12,728
13,226
Jul-20
10,354
16,689
13,315
13,592
Aug-20
10,720
17,898
13,782
14,357
Sep-20
10,372
17,246
13,335
13,878
Oct-20
10,545
16,874
13,625
14,169
Nov-20
12,070
18,927
15,570
16,780
Dec-20
12,620
19,778
16,585
18,232
Jan-21
12,776
19,690
16,835
19,149
Feb-21
14,068
20,306
17,980
20,343
Mar-21
15,007
21,033
18,819
20,547
Apr-21
15,769
22,118
19,667
20,978
May-21
16,228
22,219
19,705
21,022
Jun-21
15,815
22,767
19,503
21,429
Jul-21
15,466
23,152
19,571
20,655
Aug-21
15,706
23,812
19,952
21,117
Sep-21
15,226
22,743
19,160
20,495
Oct-21
15,903
24,281
20,288
21,366
Nov-21
15,317
23,912
19,692
20,476
Dec-21
16,113
24,853
20,692
20,933
Jan-22
15,644
23,391
19,200
18,918
Feb-22
15,628
22,802
19,414
19,120
Mar-22
16,015
23,542
19,683
19,358
Apr-22
14,891
21,429
18,284
17,439
May-22
15,014
21,400
18,421
17,466
Jun-22
13,459
19,610
16,648
16,029
Jul-22
14,582
21,450
18,455
17,703
Aug-22
14,047
20,649
17,882
17,341
Sep-22
12,713
18,734
16,238
15,679
Oct-22
13,955
20,271
17,946
17,405
Nov-22
14,729
21,329
19,044
17,811
Dec-22
13,931
20,080
17,989
16,655
Jan-23
15,460
21,463
19,649
18,279
Feb-23
14,846
20,961
19,293
17,970
Mar-23
14,151
21,522
18,674
17,111
Apr-23
14,074
21,751
18,528
16,804
May-23
13,710
21,836
17,937
16,649
Jun-23
15,021
23,327
19,580
18,002
Jul-23
15,557
24,163
20,388
19,103
Aug-23
15,016
23,696
19,798
18,147
Sep-23
14,122
22,568
18,757
17,079
Oct-23
13,382
21,969
17,756
15,914
Nov-23
14,768
24,018
19,267
17,355
Dec-23
15,939
25,292
20,946
19,475
Jan-24
15,677
25,572
20,588
18,718
Feb-24
16,244
26,956
21,811
19,776
Mar-24
16,859
27,826
23,031
20,484
Apr-24
16,148
26,602
21,645
19,042
May-24
16,842
27,858
22,595
19,997
Jun-24
17,118
28,721
22,238
19,812
Jul-24
17,308
29,255
23,529
21,825
Aug-24
17,620
29,892
23,510
21,499
Sep-24
18,018
30,510
23,782
21,650
Oct-24
17,658
30,286
23,614
21,337
Nov-24
18,488
32,301
25,694
23,677
Dec-24
17,926
31,313
23,864
21,722
Jan-25
18,431
32,302
24,782
22,291
Feb-25
18,261
31,683
23,705
21,099
Mar-25
17,442
29,835
22,408
19,663
Apr-25
17,483
29,635
21,903
19,209
May-25
18,506
31,513
23,086
20,234
Jun-25
19,348
33,114
23,912
21,334
Jul-25
19,612
33,843
24,299
21,704
Aug-25
20,036
34,626
25,124
23,255
Sep-25
20,834
35,821
25,239
23,979
Oct-25
21,399
36,589
25,121
24,412
Nov-25
21,352
36,690
25,635
24,647
Dec-25
21,378
36,682
25,654
24,504
Jan-26
21,753
37,251
26,693
25,815
Feb-26
21,781
37,074
27,793
26,023
Mar-26
20,613
35,231
26,296
24,721
Apr-26
22,249
38,825
28,363
27,740
May-26
23,235
40,792
29,059
28,952
Jun-26
23,011
40,672
30,101
30,034
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
18.93%
7.79%
8.69%
Russell 3000 Index
22.82%
12.31%
15.06%
S&P MidCap 400
25.89%
9.07%
11.65%
Russell 2000 Index
40.78%
6.98%
11.62%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 45,104,067
Holdings Count | Holding 646
Advisory Fees Paid, Amount $ 157,569
InvestmentCompanyPortfolioTurnover 90.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$45,104,067
# of Portfolio Holdings
646
Portfolio Turnover Rate
90%
Advisory Fees and Waivers
157,569
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Utilities
0.0%Footnote Reference
Consumer Staples
1.5%Footnote Reference
Real Estate
4.1%Footnote Reference
Materials
4.6%Footnote Reference
Health Care
4.8%Footnote Reference
Consumer Discretionary
5.1%Footnote Reference
Financials
6.1%Footnote Reference
Energy
6.2%Footnote Reference
Industrials
10.3%Footnote Reference
Communication Services
13.9%Footnote Reference
Information Technology
43.4%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
60.8%Footnote Reference
Registered Investment Companies
5.0%Footnote Reference
Money Market Registered Investment Companies
31.4%Footnote Reference
Assets/Other Liabilities (Net)
2.8%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
4.9%
Alphabet Inc - Class C
4.9%
Apple Inc
4.4%
Microsoft Corp
2.9%
Broadcom Inc
1.8%
Meta Platforms Inc
1.6%
Micron Technology Inc
1.4%
Amazon.com Inc
1.1%
Fidelity Total Bond Fund - Class Z
1.0%
Advanced Micro Devices Inc
1.0%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174340  
Shareholder Report [Line Items]  
Fund Name Sector Rotation Fund
Class Name Institutional Class
Trading Symbol QNTIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Sector Rotation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$72
1.39%
Expenses Paid, Amount $ 72
Expense Ratio, Percent 1.39%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Russell 3000 Index
S&P MidCap 400
Russell 2000 Index
Jun-16
10,000
10,000
10,000
10,000
Jul-16
10,528
10,397
10,429
10,597
Aug-16
10,640
10,423
10,481
10,784
Sep-16
10,700
10,440
10,414
10,905
Oct-16
10,185
10,214
10,136
10,386
Nov-16
11,135
10,671
10,947
11,544
Dec-16
11,253
10,879
11,187
11,868
Jan-17
11,374
11,084
11,374
11,915
Feb-17
11,408
11,496
11,673
12,145
Mar-17
11,458
11,504
11,628
12,160
Apr-17
11,465
11,626
11,725
12,294
May-17
11,300
11,745
11,668
12,044
Jun-17
11,627
11,851
11,857
12,460
Jul-17
11,783
12,074
11,961
12,553
Aug-17
11,536
12,098
11,778
12,393
Sep-17
12,100
12,393
12,239
13,166
Oct-17
12,151
12,663
12,516
13,279
Nov-17
12,755
13,048
12,976
13,661
Dec-17
12,810
13,178
13,004
13,606
Jan-18
13,134
13,873
13,378
13,962
Feb-18
12,452
13,361
12,785
13,421
Mar-18
12,361
13,093
12,904
13,595
Apr-18
12,525
13,143
12,870
13,712
May-18
12,925
13,514
13,401
14,545
Jun-18
13,222
13,602
13,458
14,649
Jul-18
13,483
14,054
13,695
14,904
Aug-18
13,814
14,547
14,133
15,547
Sep-18
13,730
14,571
13,978
15,173
Oct-18
12,590
13,498
12,643
13,525
Nov-18
12,733
13,769
13,038
13,740
Dec-18
11,267
12,487
11,563
12,108
Jan-19
12,604
13,559
12,772
13,470
Feb-19
12,967
14,036
13,314
14,170
Mar-19
12,848
14,241
13,238
13,873
Apr-19
13,082
14,810
13,770
14,345
May-19
11,508
13,851
12,673
13,229
Jun-19
12,541
14,824
13,641
14,164
Jul-19
12,310
15,044
13,803
14,246
Aug-19
11,325
14,738
13,224
13,542
Sep-19
12,254
14,996
13,629
13,824
Oct-19
12,598
15,319
13,783
14,188
Nov-19
13,107
15,902
14,193
14,772
Dec-19
13,386
16,361
14,592
15,198
Jan-20
12,598
16,343
14,211
14,711
Feb-20
11,256
15,005
12,862
13,472
Mar-20
8,002
12,941
10,258
10,545
Apr-20
9,358
14,655
11,713
11,994
May-20
9,717
15,439
12,570
12,774
Jun-20
9,886
15,792
12,728
13,226
Jul-20
10,406
16,689
13,315
13,592
Aug-20
10,775
17,898
13,782
14,357
Sep-20
10,427
17,246
13,335
13,878
Oct-20
10,598
16,874
13,625
14,169
Nov-20
12,133
18,927
15,570
16,780
Dec-20
12,688
19,778
16,585
18,232
Jan-21
12,841
19,690
16,835
19,149
Feb-21
14,141
20,306
17,980
20,343
Mar-21
15,087
21,033
18,819
20,547
Apr-21
15,851
22,118
19,667
20,978
May-21
16,313
22,219
19,705
21,022
Jun-21
15,897
22,767
19,503
21,429
Jul-21
15,542
23,152
19,571
20,655
Aug-21
15,783
23,812
19,952
21,117
Sep-21
15,304
22,743
19,160
20,495
Oct-21
15,982
24,281
20,288
21,366
Nov-21
15,392
23,912
19,692
20,476
Dec-21
16,193
24,853
20,692
20,933
Jan-22
15,721
23,391
19,200
18,918
Feb-22
15,708
22,802
19,414
19,120
Mar-22
16,098
23,542
19,683
19,358
Apr-22
14,967
21,429
18,284
17,439
May-22
15,091
21,400
18,421
17,466
Jun-22
13,524
19,610
16,648
16,029
Jul-22
14,656
21,450
18,455
17,703
Aug-22
14,121
20,649
17,882
17,341
Sep-22
12,773
18,734
16,238
15,679
Oct-22
14,024
20,271
17,946
17,405
Nov-22
14,798
21,329
19,044
17,811
Dec-22
13,994
20,080
17,989
16,655
Jan-23
15,534
21,463
19,649
18,279
Feb-23
14,916
20,961
19,293
17,970
Mar-23
14,216
21,522
18,674
17,111
Apr-23
14,139
21,751
18,528
16,804
May-23
13,772
21,836
17,937
16,649
Jun-23
15,088
23,327
19,580
18,002
Jul-23
15,628
24,163
20,388
19,103
Aug-23
15,083
23,696
19,798
18,147
Sep-23
14,183
22,568
18,757
17,079
Oct-23
13,442
21,969
17,756
15,914
Nov-23
14,833
24,018
19,267
17,355
Dec-23
16,008
25,292
20,946
19,475
Jan-24
15,744
25,572
20,588
18,718
Feb-24
16,316
26,956
21,811
19,776
Mar-24
16,930
27,826
23,031
20,484
Apr-24
16,218
26,602
21,645
19,042
May-24
16,913
27,858
22,595
19,997
Jun-24
17,190
28,721
22,238
19,812
Jul-24
17,382
29,255
23,529
21,825
Aug-24
17,691
29,892
23,510
21,499
Sep-24
18,092
30,510
23,782
21,650
Oct-24
17,729
30,286
23,614
21,337
Nov-24
18,564
32,301
25,694
23,677
Dec-24
17,997
31,313
23,864
21,722
Jan-25
18,505
32,302
24,782
22,291
Feb-25
18,339
31,683
23,705
21,099
Mar-25
17,515
29,835
22,408
19,663
Apr-25
17,557
29,635
21,903
19,209
May-25
18,586
31,513
23,086
20,234
Jun-25
19,433
33,114
23,912
21,334
Jul-25
19,699
33,843
24,299
21,704
Aug-25
20,126
34,626
25,124
23,255
Sep-25
20,923
35,821
25,239
23,979
Oct-25
21,497
36,589
25,121
24,412
Nov-25
21,445
36,690
25,635
24,647
Dec-25
21,474
36,682
25,654
24,504
Jan-26
21,851
37,251
26,693
25,815
Feb-26
21,885
37,074
27,793
26,023
Mar-26
20,709
35,231
26,296
24,721
Apr-26
22,356
38,825
28,363
27,740
May-26
23,343
40,792
29,059
28,952
Jun-26
23,123
40,672
30,101
30,034
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
18.98%
7.78%
8.74%
Russell 3000 Index
22.82%
12.31%
15.06%
S&P MidCap 400
25.89%
9.07%
11.65%
Russell 2000 Index
40.78%
6.98%
11.62%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 45,104,067
Holdings Count | Holding 646
Advisory Fees Paid, Amount $ 157,569
InvestmentCompanyPortfolioTurnover 90.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$45,104,067
# of Portfolio Holdings
646
Portfolio Turnover Rate
90%
Advisory Fees and Waivers
157,569
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Utilities
0.0%Footnote Reference
Consumer Staples
1.5%Footnote Reference
Real Estate
4.1%Footnote Reference
Materials
4.6%Footnote Reference
Health Care
4.8%Footnote Reference
Consumer Discretionary
5.1%Footnote Reference
Financials
6.1%Footnote Reference
Energy
6.2%Footnote Reference
Industrials
10.3%Footnote Reference
Communication Services
13.9%Footnote Reference
Information Technology
43.4%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
60.8%Footnote Reference
Registered Investment Companies
5.0%Footnote Reference
Money Market Registered Investment Companies
31.4%Footnote Reference
Assets/Other Liabilities (Net)
2.8%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
4.9%
Alphabet Inc - Class C
4.9%
Apple Inc
4.4%
Microsoft Corp
2.9%
Broadcom Inc
1.8%
Meta Platforms Inc
1.6%
Micron Technology Inc
1.4%
Amazon.com Inc
1.1%
Fidelity Total Bond Fund - Class Z
1.0%
Advanced Micro Devices Inc
1.0%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000010071  
Shareholder Report [Line Items]  
Fund Name Sector Rotation Fund
Class Name Retail Class
Trading Symbol FLCGX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Sector Rotation Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$82
1.58%
Expenses Paid, Amount $ 82
Expense Ratio, Percent 1.58%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Russell 3000 Index
S&P MidCap 400
Russell 2000 Index
Jun-16
10,000
10,000
10,000
10,000
Jul-16
10,528
10,397
10,429
10,597
Aug-16
10,640
10,423
10,481
10,784
Sep-16
10,700
10,440
10,414
10,905
Oct-16
10,185
10,214
10,136
10,386
Nov-16
11,132
10,671
10,947
11,544
Dec-16
11,245
10,879
11,187
11,868
Jan-17
11,363
11,084
11,374
11,915
Feb-17
11,393
11,496
11,673
12,145
Mar-17
11,440
11,504
11,628
12,160
Apr-17
11,444
11,626
11,725
12,294
May-17
11,275
11,745
11,668
12,044
Jun-17
11,595
11,851
11,857
12,460
Jul-17
11,750
12,074
11,961
12,553
Aug-17
11,497
12,098
11,778
12,393
Sep-17
12,060
12,393
12,239
13,166
Oct-17
12,108
12,663
12,516
13,279
Nov-17
12,708
13,048
12,976
13,661
Dec-17
12,753
13,178
13,004
13,606
Jan-18
13,073
13,873
13,378
13,962
Feb-18
12,389
13,361
12,785
13,421
Mar-18
12,296
13,093
12,904
13,595
Apr-18
12,455
13,143
12,870
13,712
May-18
12,847
13,514
13,401
14,545
Jun-18
13,139
13,602
13,458
14,649
Jul-18
13,392
14,054
13,695
14,904
Aug-18
13,721
14,547
14,133
15,547
Sep-18
13,631
14,571
13,978
15,173
Oct-18
12,493
13,498
12,643
13,525
Nov-18
12,632
13,769
13,038
13,740
Dec-18
11,178
12,487
11,563
12,108
Jan-19
12,500
13,559
12,772
13,470
Feb-19
12,858
14,036
13,314
14,170
Mar-19
12,736
14,241
13,238
13,873
Apr-19
12,962
14,810
13,770
14,345
May-19
11,400
13,851
12,673
13,229
Jun-19
12,420
14,824
13,641
14,164
Jul-19
12,188
15,044
13,803
14,246
Aug-19
11,209
14,738
13,224
13,542
Sep-19
12,129
14,996
13,629
13,824
Oct-19
12,467
15,319
13,783
14,188
Nov-19
12,968
15,902
14,193
14,772
Dec-19
13,244
16,361
14,592
15,198
Jan-20
12,462
16,343
14,211
14,711
Feb-20
11,134
15,005
12,862
13,472
Mar-20
7,913
12,941
10,258
10,545
Apr-20
9,255
14,655
11,713
11,994
May-20
9,607
15,439
12,570
12,774
Jun-20
9,772
15,792
12,728
13,226
Jul-20
10,287
16,689
13,315
13,592
Aug-20
10,652
17,898
13,782
14,357
Sep-20
10,305
17,246
13,335
13,878
Oct-20
10,473
16,874
13,625
14,169
Nov-20
11,989
18,927
15,570
16,780
Dec-20
12,534
19,778
16,585
18,232
Jan-21
12,686
19,690
16,835
19,149
Feb-21
13,966
20,306
17,980
20,343
Mar-21
14,901
21,033
18,819
20,547
Apr-21
15,654
22,118
19,667
20,978
May-21
16,108
22,219
19,705
21,022
Jun-21
15,693
22,767
19,503
21,429
Jul-21
15,341
23,152
19,571
20,655
Aug-21
15,573
23,812
19,952
21,117
Sep-21
15,095
22,743
19,160
20,495
Oct-21
15,763
24,281
20,288
21,366
Nov-21
15,176
23,912
19,692
20,476
Dec-21
15,962
24,853
20,692
20,933
Jan-22
15,490
23,391
19,200
18,918
Feb-22
15,469
22,802
19,414
19,120
Mar-22
15,847
23,542
19,683
19,358
Apr-22
14,730
21,429
18,284
17,439
May-22
14,849
21,400
18,421
17,466
Jun-22
13,306
19,610
16,648
16,029
Jul-22
14,414
21,450
18,455
17,703
Aug-22
13,881
20,649
17,882
17,341
Sep-22
12,562
18,734
16,238
15,679
Oct-22
13,792
20,271
17,946
17,405
Nov-22
14,555
21,329
19,044
17,811
Dec-22
13,768
20,080
17,989
16,655
Jan-23
15,276
21,463
19,649
18,279
Feb-23
14,668
20,961
19,293
17,970
Mar-23
13,979
21,522
18,674
17,111
Apr-23
13,903
21,751
18,528
16,804
May-23
13,534
21,836
17,937
16,649
Jun-23
14,825
23,327
19,580
18,002
Jul-23
15,356
24,163
20,388
19,103
Aug-23
14,817
23,696
19,798
18,147
Sep-23
13,930
22,568
18,757
17,079
Oct-23
13,197
21,969
17,756
15,914
Nov-23
14,564
24,018
19,267
17,355
Dec-23
15,716
25,292
20,946
19,475
Jan-24
15,455
25,572
20,588
18,718
Feb-24
16,011
26,956
21,811
19,776
Mar-24
16,615
27,826
23,031
20,484
Apr-24
15,911
26,602
21,645
19,042
May-24
16,589
27,858
22,595
19,997
Jun-24
16,859
28,721
22,238
19,812
Jul-24
17,044
29,255
23,529
21,825
Aug-24
17,345
29,892
23,510
21,499
Sep-24
17,737
30,510
23,782
21,650
Oct-24
17,374
30,286
23,614
21,337
Nov-24
18,190
32,301
25,694
23,677
Dec-24
17,633
31,313
23,864
21,722
Jan-25
18,130
32,302
24,782
22,291
Feb-25
17,961
31,683
23,705
21,099
Mar-25
17,151
29,835
22,408
19,663
Apr-25
17,187
29,635
21,903
19,209
May-25
18,193
31,513
23,086
20,234
Jun-25
19,025
33,114
23,912
21,334
Jul-25
19,277
33,843
24,299
21,704
Aug-25
19,694
34,626
25,124
23,255
Sep-25
20,471
35,821
25,239
23,979
Oct-25
21,028
36,589
25,121
24,412
Nov-25
20,976
36,690
25,635
24,647
Dec-25
20,999
36,682
25,654
24,504
Jan-26
21,366
37,251
26,693
25,815
Feb-26
21,394
37,074
27,793
26,023
Mar-26
20,244
35,231
26,296
24,721
Apr-26
21,847
38,825
28,363
27,740
May-26
22,815
40,792
29,059
28,952
Jun-26
22,587
40,672
30,101
30,034
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
18.73%
7.56%
8.49%
Russell 3000 Index
22.82%
12.31%
15.06%
S&P MidCap 400
25.89%
9.07%
11.65%
Russell 2000 Index
40.78%
6.98%
11.62%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 45,104,067
Holdings Count | Holding 646
Advisory Fees Paid, Amount $ 157,569
InvestmentCompanyPortfolioTurnover 90.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$45,104,067
# of Portfolio Holdings
646
Portfolio Turnover Rate
90%
Advisory Fees and Waivers
157,569
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Utilities
0.0%Footnote Reference
Consumer Staples
1.5%Footnote Reference
Real Estate
4.1%Footnote Reference
Materials
4.6%Footnote Reference
Health Care
4.8%Footnote Reference
Consumer Discretionary
5.1%Footnote Reference
Financials
6.1%Footnote Reference
Energy
6.2%Footnote Reference
Industrials
10.3%Footnote Reference
Communication Services
13.9%Footnote Reference
Information Technology
43.4%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks (United States)
60.8%Footnote Reference
Registered Investment Companies
5.0%Footnote Reference
Money Market Registered Investment Companies
31.4%Footnote Reference
Assets/Other Liabilities (Net)
2.8%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
4.9%
Alphabet Inc - Class C
4.9%
Apple Inc
4.4%
Microsoft Corp
2.9%
Broadcom Inc
1.8%
Meta Platforms Inc
1.6%
Micron Technology Inc
1.4%
Amazon.com Inc
1.1%
Fidelity Total Bond Fund - Class Z
1.0%
Advanced Micro Devices Inc
1.0%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174352  
Shareholder Report [Line Items]  
Fund Name Spectrum Fund
Class Name Adviser Class
Trading Symbol SRUAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Spectrum Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$77
1.46%
Expenses Paid, Amount $ 77
Expense Ratio, Percent 1.46%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,350
10,397
10,279
Aug-16
10,360
10,423
10,301
Sep-16
10,370
10,440
10,340
Oct-16
10,257
10,214
10,189
Nov-16
10,556
10,671
10,245
Dec-16
10,717
10,879
10,379
Jan-17
10,853
11,084
10,547
Feb-17
11,269
11,496
10,761
Mar-17
11,280
11,504
10,814
Apr-17
11,353
11,626
10,927
May-17
11,446
11,745
11,053
Jun-17
11,488
11,851
11,095
Jul-17
11,717
12,074
11,284
Aug-17
11,780
12,098
11,341
Sep-17
12,051
12,393
11,472
Oct-17
12,353
12,663
11,615
Nov-17
12,655
13,048
11,773
Dec-17
12,823
13,178
11,901
Jan-18
13,480
13,873
12,224
Feb-18
12,979
13,361
11,873
Mar-18
12,723
13,093
11,797
Apr-18
12,823
13,143
11,809
May-18
13,001
13,514
11,881
Jun-18
12,946
13,602
11,863
Jul-18
13,324
14,054
12,070
Aug-18
13,758
14,547
12,176
Sep-18
13,758
14,571
12,163
Oct-18
12,634
13,498
11,590
Nov-18
12,723
13,769
11,751
Dec-18
12,352
12,487
11,335
Jan-19
12,521
13,559
11,957
Feb-19
12,679
14,036
12,164
Mar-19
12,736
14,241
12,318
Apr-19
13,085
14,810
12,556
May-19
12,273
13,851
12,180
Jun-19
13,006
14,824
12,704
Jul-19
13,119
15,044
12,744
Aug-19
12,860
14,738
12,635
Sep-19
13,097
14,996
12,821
Oct-19
13,221
15,319
13,033
Nov-19
13,627
15,902
13,213
Dec-19
13,979
16,361
13,491
Jan-20
13,683
16,343
13,456
Feb-20
12,578
15,005
12,859
Mar-20
11,028
12,941
11,686
Apr-20
11,450
14,655
12,519
May-20
11,621
15,439
12,919
Jun-20
11,746
15,792
13,174
Jul-20
12,224
16,689
13,642
Aug-20
13,022
17,898
14,051
Sep-20
12,626
17,246
13,807
Oct-20
12,224
16,874
13,622
Nov-20
13,396
18,927
14,769
Dec-20
14,004
19,778
15,221
Jan-21
14,015
19,690
15,128
Feb-21
14,337
20,306
15,311
Mar-21
14,878
21,033
15,551
Apr-21
15,557
22,118
15,999
May-21
15,730
22,219
16,220
Jun-21
16,006
22,767
16,326
Jul-21
16,167
23,152
16,443
Aug-21
16,593
23,812
16,658
Sep-21
15,988
22,743
16,216
Oct-21
16,783
24,281
16,615
Nov-21
16,529
23,912
16,314
Dec-21
16,954
24,853
16,772
Jan-22
16,286
23,391
16,139
Feb-22
16,128
22,802
15,891
Mar-22
16,225
23,542
15,902
Apr-22
15,375
21,429
14,972
May-22
15,399
21,400
15,015
Jun-22
14,841
19,610
14,099
Jul-22
15,290
21,450
14,821
Aug-22
14,938
20,649
14,369
Sep-22
14,406
18,734
13,264
Oct-22
14,905
20,271
13,708
Nov-22
15,456
21,329
14,605
Dec-22
15,075
20,080
14,294
Jan-23
15,686
21,463
15,078
Feb-23
15,324
20,961
14,652
Mar-23
15,499
21,522
14,912
Apr-23
15,699
21,751
15,049
May-23
15,586
21,836
14,784
Jun-23
16,374
23,327
15,282
Jul-23
16,826
24,163
15,647
Aug-23
16,537
23,696
15,300
Sep-23
15,896
22,568
14,780
Oct-23
15,442
21,969
14,359
Nov-23
16,401
24,018
15,417
Dec-23
17,196
25,292
16,184
Jan-24
17,332
25,572
16,164
Feb-24
18,230
26,956
16,426
Mar-24
18,896
27,826
16,817
Apr-24
18,080
26,602
16,289
May-24
19,155
27,858
16,719
Jun-24
19,413
28,721
16,862
Jul-24
19,919
29,255
17,292
Aug-24
20,246
29,892
17,679
Sep-24
20,424
30,510
18,038
Oct-24
20,122
30,286
17,571
Nov-24
21,027
32,301
18,061
Dec-24
20,433
31,313
17,522
Jan-25
20,938
32,302
17,972
Feb-25
20,745
31,683
18,110
Mar-25
19,512
29,835
17,818
Apr-25
19,393
29,635
17,995
May-25
20,286
31,513
18,477
Jun-25
21,252
33,114
19,040
Jul-25
21,565
33,843
19,102
Aug-25
22,280
34,626
19,515
Sep-25
22,980
35,821
19,919
Oct-25
23,383
36,589
20,085
Nov-25
23,637
36,690
20,178
Dec-25
23,805
36,682
20,316
Jan-26
24,551
37,251
20,790
Feb-26
24,877
37,074
21,284
Mar-26
23,419
35,231
20,109
Apr-26
25,369
38,825
21,222
May-26
26,493
40,792
21,870
Jun-26
26,376
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
24.11%
10.51%
10.18%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 269,120,161
Holdings Count | Holding 632
Advisory Fees Paid, Amount $ 913,461
InvestmentCompanyPortfolioTurnover 106.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$269,120,161
# of Portfolio Holdings
632
Portfolio Turnover Rate
106%
Advisory Fees and Waivers
913,461
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Real Estate
0.3%Footnote Reference
Consumer Staples
0.4%Footnote Reference
Utilities
0.8%Footnote Reference
Materials
1.7%Footnote Reference
Energy
2.2%Footnote Reference
Consumer Discretionary
8.0%Footnote Reference
Communication Services
9.5%Footnote Reference
Industrials
10.3%Footnote Reference
Health Care
11.2%Footnote Reference
Financials
15.9%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks - Long
89.0%Footnote Reference
Money Market Registered Investment Companies
12.3%Footnote Reference
Call/Put Options Purchased
0.3%Footnote Reference
Assets/Other Liabilities (Net)
-1.6%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
5.2%
Apple Inc
4.9%
Alphabet Inc - Class C
4.2%
Microsoft Corp
3.6%
Berkshire Hathaway Inc
2.1%
Mastercard Inc
1.9%
Broadcom Inc
1.8%
Amazon.com Inc
1.7%
Meta Platforms Inc
1.5%
Micron Technology Inc
1.3%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174351  
Shareholder Report [Line Items]  
Fund Name Spectrum Fund
Class Name Institutional Class
Trading Symbol SRUIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Spectrum Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$77
1.46%
Expenses Paid, Amount $ 77
Expense Ratio, Percent 1.46%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,350
10,397
10,279
Aug-16
10,360
10,423
10,301
Sep-16
10,370
10,440
10,340
Oct-16
10,257
10,214
10,189
Nov-16
10,556
10,671
10,245
Dec-16
10,721
10,879
10,379
Jan-17
10,846
11,084
10,547
Feb-17
11,274
11,496
10,761
Mar-17
11,284
11,504
10,814
Apr-17
11,357
11,626
10,927
May-17
11,440
11,745
11,053
Jun-17
11,492
11,851
11,095
Jul-17
11,732
12,074
11,284
Aug-17
11,784
12,098
11,341
Sep-17
12,065
12,393
11,472
Oct-17
12,368
12,663
11,615
Nov-17
12,680
13,048
11,773
Dec-17
12,839
13,178
11,901
Jan-18
13,506
13,873
12,224
Feb-18
13,005
13,361
11,873
Mar-18
12,750
13,093
11,797
Apr-18
12,850
13,143
11,809
May-18
13,039
13,514
11,881
Jun-18
12,983
13,602
11,863
Jul-18
13,361
14,054
12,070
Aug-18
13,795
14,547
12,176
Sep-18
13,795
14,571
12,163
Oct-18
12,672
13,498
11,590
Nov-18
12,772
13,769
11,751
Dec-18
12,388
12,487
11,335
Jan-19
12,569
13,559
11,957
Feb-19
12,739
14,036
12,164
Mar-19
12,784
14,241
12,318
Apr-19
13,135
14,810
12,556
May-19
12,332
13,851
12,180
Jun-19
13,067
14,824
12,704
Jul-19
13,180
15,044
12,744
Aug-19
12,931
14,738
12,635
Sep-19
13,168
14,996
12,821
Oct-19
13,281
15,319
13,033
Nov-19
13,700
15,902
13,213
Dec-19
14,054
16,361
13,491
Jan-20
13,745
16,343
13,456
Feb-20
12,638
15,005
12,859
Mar-20
11,085
12,941
11,686
Apr-20
11,508
14,655
12,519
May-20
11,679
15,439
12,919
Jun-20
11,805
15,792
13,174
Jul-20
12,284
16,689
13,642
Aug-20
13,095
17,898
14,051
Sep-20
12,686
17,246
13,807
Oct-20
12,282
16,874
13,622
Nov-20
13,469
18,927
14,769
Dec-20
14,089
19,778
15,221
Jan-21
14,100
19,690
15,128
Feb-21
14,423
20,306
15,311
Mar-21
14,965
21,033
15,551
Apr-21
15,645
22,118
15,999
May-21
15,818
22,219
16,220
Jun-21
16,095
22,767
16,326
Jul-21
16,256
23,152
16,443
Aug-21
16,683
23,812
16,658
Sep-21
16,076
22,743
16,216
Oct-21
16,873
24,281
16,615
Nov-21
16,619
23,912
16,314
Dec-21
17,045
24,853
16,772
Jan-22
16,375
23,391
16,139
Feb-22
16,205
22,802
15,891
Mar-22
16,315
23,542
15,902
Apr-22
15,451
21,429
14,972
May-22
15,475
21,400
15,015
Jun-22
14,903
19,610
14,099
Jul-22
15,353
21,450
14,821
Aug-22
15,001
20,649
14,369
Sep-22
14,468
18,734
13,264
Oct-22
14,980
20,271
13,708
Nov-22
15,520
21,329
14,605
Dec-22
15,138
20,080
14,294
Jan-23
15,763
21,463
15,078
Feb-23
15,388
20,961
14,652
Mar-23
15,563
21,522
14,912
Apr-23
15,763
21,751
15,049
May-23
15,638
21,836
14,784
Jun-23
16,439
23,327
15,282
Jul-23
16,892
24,163
15,647
Aug-23
16,603
23,696
15,300
Sep-23
15,962
22,568
14,780
Oct-23
15,507
21,969
14,359
Nov-23
16,454
24,018
15,417
Dec-23
17,267
25,292
16,184
Jan-24
17,389
25,572
16,164
Feb-24
18,288
26,956
16,426
Mar-24
18,955
27,826
16,817
Apr-24
18,138
26,602
16,289
May-24
19,214
27,858
16,719
Jun-24
19,473
28,721
16,862
Jul-24
19,978
29,255
17,292
Aug-24
20,306
29,892
17,679
Sep-24
20,483
30,510
18,038
Oct-24
20,168
30,286
17,571
Nov-24
21,073
32,301
18,061
Dec-24
20,489
31,313
17,522
Jan-25
20,994
32,302
17,972
Feb-25
20,801
31,683
18,110
Mar-25
19,569
29,835
17,818
Apr-25
19,450
29,635
17,995
May-25
20,342
31,513
18,477
Jun-25
21,323
33,114
19,040
Jul-25
21,636
33,843
19,102
Aug-25
22,336
34,626
19,515
Sep-25
23,036
35,821
19,919
Oct-25
23,454
36,589
20,085
Nov-25
23,692
36,690
20,178
Dec-25
23,863
36,682
20,316
Jan-26
24,624
37,251
20,790
Feb-26
24,951
37,074
21,284
Mar-26
23,493
35,231
20,109
Apr-26
25,442
38,825
21,222
May-26
26,566
40,792
21,870
Jun-26
26,449
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
24.04%
10.44%
10.22%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 269,120,161
Holdings Count | Holding 632
Advisory Fees Paid, Amount $ 913,461
InvestmentCompanyPortfolioTurnover 106.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$269,120,161
# of Portfolio Holdings
632
Portfolio Turnover Rate
106%
Advisory Fees and Waivers
913,461
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Real Estate
0.3%Footnote Reference
Consumer Staples
0.4%Footnote Reference
Utilities
0.8%Footnote Reference
Materials
1.7%Footnote Reference
Energy
2.2%Footnote Reference
Consumer Discretionary
8.0%Footnote Reference
Communication Services
9.5%Footnote Reference
Industrials
10.3%Footnote Reference
Health Care
11.2%Footnote Reference
Financials
15.9%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks - Long
89.0%Footnote Reference
Money Market Registered Investment Companies
12.3%Footnote Reference
Call/Put Options Purchased
0.3%Footnote Reference
Assets/Other Liabilities (Net)
-1.6%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
5.2%
Apple Inc
4.9%
Alphabet Inc - Class C
4.2%
Microsoft Corp
3.6%
Berkshire Hathaway Inc
2.1%
Mastercard Inc
1.9%
Broadcom Inc
1.8%
Amazon.com Inc
1.7%
Meta Platforms Inc
1.5%
Micron Technology Inc
1.3%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000112985  
Shareholder Report [Line Items]  
Fund Name Spectrum Fund
Class Name Retail Class
Trading Symbol FLSPX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Spectrum Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$93
1.77%
Expenses Paid, Amount $ 93
Expense Ratio, Percent 1.77%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Russell 3000 Index
Morningstar Moderate Target Risk Index
Jun-16
10,000
10,000
10,000
Jul-16
10,350
10,397
10,279
Aug-16
10,360
10,423
10,301
Sep-16
10,370
10,440
10,340
Oct-16
10,257
10,214
10,189
Nov-16
10,556
10,671
10,245
Dec-16
10,708
10,879
10,379
Jan-17
10,844
11,084
10,547
Feb-17
11,260
11,496
10,761
Mar-17
11,260
11,504
10,814
Apr-17
11,333
11,626
10,927
May-17
11,416
11,745
11,053
Jun-17
11,469
11,851
11,095
Jul-17
11,687
12,074
11,284
Aug-17
11,739
12,098
11,341
Sep-17
12,010
12,393
11,472
Oct-17
12,312
12,663
11,615
Nov-17
12,614
13,048
11,773
Dec-17
12,773
13,178
11,901
Jan-18
13,418
13,873
12,224
Feb-18
12,929
13,361
11,873
Mar-18
12,662
13,093
11,797
Apr-18
12,762
13,143
11,809
May-18
12,940
13,514
11,881
Jun-18
12,884
13,602
11,863
Jul-18
13,262
14,054
12,070
Aug-18
13,674
14,547
12,176
Sep-18
13,674
14,571
12,163
Oct-18
12,550
13,498
11,590
Nov-18
12,650
13,769
11,751
Dec-18
12,266
12,487
11,335
Jan-19
12,446
13,559
11,957
Feb-19
12,604
14,036
12,164
Mar-19
12,649
14,241
12,318
Apr-19
12,998
14,810
12,556
May-19
12,187
13,851
12,180
Jun-19
12,920
14,824
12,704
Jul-19
13,021
15,044
12,744
Aug-19
12,773
14,738
12,635
Sep-19
12,998
14,996
12,821
Oct-19
13,111
15,319
13,033
Nov-19
13,517
15,902
13,213
Dec-19
13,865
16,361
13,491
Jan-20
13,558
16,343
13,456
Feb-20
12,466
15,005
12,859
Mar-20
10,930
12,941
11,686
Apr-20
11,340
14,655
12,519
May-20
11,499
15,439
12,919
Jun-20
11,624
15,792
13,174
Jul-20
12,091
16,689
13,642
Aug-20
12,875
17,898
14,051
Sep-20
12,477
17,246
13,807
Oct-20
12,079
16,874
13,622
Nov-20
13,240
18,927
14,769
Dec-20
13,833
19,778
15,221
Jan-21
13,844
19,690
15,128
Feb-21
14,163
20,306
15,311
Mar-21
14,687
21,033
15,551
Apr-21
15,347
22,118
15,999
May-21
15,518
22,219
16,220
Jun-21
15,780
22,767
16,326
Jul-21
15,939
23,152
16,443
Aug-21
16,349
23,812
16,658
Sep-21
15,748
22,743
16,216
Oct-21
16,523
24,281
16,615
Nov-21
16,272
23,912
16,314
Dec-21
16,680
24,853
16,772
Jan-22
16,019
23,391
16,139
Feb-22
15,851
22,802
15,891
Mar-22
15,947
23,542
15,902
Apr-22
15,106
21,429
14,972
May-22
15,118
21,400
15,015
Jun-22
14,565
19,610
14,099
Jul-22
14,997
21,450
14,821
Aug-22
14,649
20,649
14,369
Sep-22
14,122
18,734
13,264
Oct-22
14,616
20,271
13,708
Nov-22
15,137
21,329
14,605
Dec-22
14,758
20,080
14,294
Jan-23
15,363
21,463
15,078
Feb-23
14,992
20,961
14,652
Mar-23
15,165
21,522
14,912
Apr-23
15,351
21,751
15,049
May-23
15,227
21,836
14,784
Jun-23
15,994
23,327
15,282
Jul-23
16,441
24,163
15,647
Aug-23
16,143
23,696
15,300
Sep-23
15,522
22,568
14,780
Oct-23
15,062
21,969
14,359
Nov-23
15,995
24,018
15,417
Dec-23
16,774
25,292
16,184
Jan-24
16,881
25,572
16,164
Feb-24
17,753
26,956
16,426
Mar-24
18,410
27,826
16,817
Apr-24
17,592
26,602
16,289
May-24
18,638
27,858
16,719
Jun-24
18,879
28,721
16,862
Jul-24
19,363
29,255
17,292
Aug-24
19,672
29,892
17,679
Sep-24
19,847
30,510
18,038
Oct-24
19,536
30,286
17,571
Nov-24
20,413
32,301
18,061
Dec-24
19,827
31,313
17,522
Jan-25
20,324
32,302
17,972
Feb-25
20,134
31,683
18,110
Mar-25
18,923
29,835
17,818
Apr-25
18,806
29,635
17,995
May-25
19,653
31,513
18,477
Jun-25
20,602
33,114
19,040
Jul-25
20,894
33,843
19,102
Aug-25
21,581
34,626
19,515
Sep-25
22,239
35,821
19,919
Oct-25
22,633
36,589
20,085
Nov-25
22,867
36,690
20,178
Dec-25
23,026
36,682
20,316
Jan-26
23,742
37,251
20,790
Feb-26
24,046
37,074
21,284
Mar-26
22,632
35,231
20,109
Apr-26
24,509
38,825
21,222
May-26
25,593
40,792
21,870
Jun-26
25,471
40,672
22,006
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
23.63%
10.05%
9.80%
Russell 3000 Index
22.82%
12.31%
15.06%
Morningstar Moderate Target Risk Index
15.58%
6.15%
8.21%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 269,120,161
Holdings Count | Holding 632
Advisory Fees Paid, Amount $ 913,461
InvestmentCompanyPortfolioTurnover 106.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$269,120,161
# of Portfolio Holdings
632
Portfolio Turnover Rate
106%
Advisory Fees and Waivers
913,461
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
Real Estate
0.3%Footnote Reference
Consumer Staples
0.4%Footnote Reference
Utilities
0.8%Footnote Reference
Materials
1.7%Footnote Reference
Energy
2.2%Footnote Reference
Consumer Discretionary
8.0%Footnote Reference
Communication Services
9.5%Footnote Reference
Industrials
10.3%Footnote Reference
Health Care
11.2%Footnote Reference
Financials
15.9%Footnote Reference
Information Technology
39.7%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total common stocks. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Common Stocks - Long
89.0%Footnote Reference
Money Market Registered Investment Companies
12.3%Footnote Reference
Call/Put Options Purchased
0.3%Footnote Reference
Assets/Other Liabilities (Net)
-1.6%
FootnoteDescription
Footnote
As a percentage of total net assets. The Fund has invested in stock index futures contracts in order to equitize cash balances it holds in a proprietary money market fund.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
NVIDIA Corp
5.2%
Apple Inc
4.9%
Alphabet Inc - Class C
4.2%
Microsoft Corp
3.6%
Berkshire Hathaway Inc
2.1%
Mastercard Inc
1.9%
Broadcom Inc
1.8%
Amazon.com Inc
1.7%
Meta Platforms Inc
1.5%
Micron Technology Inc
1.3%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174350  
Shareholder Report [Line Items]  
Fund Name Tactical Income Fund
Class Name Adviser Class
Trading Symbol BNDAX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Tactical Income Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Adviser Class
$33
0.66%
Expenses Paid, Amount $ 33
Expense Ratio, Percent 0.66%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Adviser Class
Bloomberg U.S. Aggregate Bond Index
Bloomberg U.S. Treasury Bill 1-3 Month Total Return Index
Jun-16
10,000
10,000
10,000
Jul-16
10,069
10,063
10,002
Aug-16
10,136
10,052
10,005
Sep-16
10,169
10,046
10,008
Oct-16
10,090
9,969
10,010
Nov-16
9,914
9,733
10,011
Dec-16
9,984
9,747
10,015
Jan-17
10,062
9,766
10,019
Feb-17
10,169
9,832
10,023
Mar-17
10,153
9,827
10,025
Apr-17
10,240
9,902
10,031
May-17
10,300
9,979
10,037
Jun-17
10,283
9,969
10,045
Jul-17
10,354
10,011
10,052
Aug-17
10,442
10,101
10,061
Sep-17
10,409
10,053
10,070
Oct-17
10,420
10,059
10,078
Nov-17
10,354
10,046
10,087
Dec-17
10,391
10,092
10,096
Jan-18
10,302
9,976
10,108
Feb-18
10,197
9,881
10,117
Mar-18
10,247
9,945
10,130
Apr-18
10,155
9,871
10,144
May-18
10,197
9,941
10,158
Jun-18
10,185
9,929
10,175
Jul-18
10,197
9,931
10,191
Aug-18
10,236
9,995
10,207
Sep-18
10,197
9,931
10,223
Oct-18
10,107
9,852
10,242
Nov-18
10,127
9,911
10,261
Dec-18
10,240
10,093
10,281
Jan-19
10,382
10,200
10,301
Feb-19
10,404
10,195
10,320
Mar-19
10,552
10,390
10,341
Apr-19
10,577
10,393
10,362
May-19
10,697
10,577
10,383
Jun-19
10,834
10,710
10,405
Jul-19
10,860
10,734
10,425
Aug-19
11,049
11,012
10,443
Sep-19
10,980
10,953
10,461
Oct-19
11,000
10,986
10,480
Nov-19
10,985
10,981
10,493
Dec-19
11,012
10,973
10,508
Jan-20
11,190
11,184
10,521
Feb-20
11,301
11,386
10,535
Mar-20
11,027
11,319
10,557
Apr-20
11,208
11,520
10,557
May-20
11,367
11,573
10,558
Jun-20
11,495
11,646
10,559
Jul-20
11,712
11,820
10,560
Aug-20
11,680
11,725
10,561
Sep-20
11,630
11,718
10,562
Oct-20
11,588
11,666
10,563
Nov-20
11,783
11,781
10,564
Dec-20
11,878
11,797
10,564
Jan-21
11,788
11,712
10,565
Feb-21
11,649
11,543
10,566
Mar-21
11,590
11,399
10,566
Apr-21
11,679
11,489
10,566
May-21
11,695
11,527
10,566
Jun-21
11,787
11,607
10,566
Jul-21
11,796
11,737
10,567
Aug-21
11,809
11,715
10,567
Sep-21
11,740
11,614
10,567
Oct-21
11,717
11,610
10,568
Nov-21
11,682
11,645
10,568
Dec-21
11,688
11,615
10,569
Jan-22
11,532
11,365
10,569
Feb-22
11,485
11,238
10,570
Mar-22
11,358
10,926
10,572
Apr-22
11,316
10,511
10,575
May-22
11,303
10,579
10,580
Jun-22
10,999
10,413
10,585
Jul-22
11,036
10,667
10,594
Aug-22
10,975
10,366
10,614
Sep-22
10,909
9,918
10,635
Oct-22
10,917
9,790
10,658
Nov-22
11,077
10,150
10,692
Dec-22
11,027
10,104
10,730
Jan-23
11,212
10,415
10,766
Feb-23
11,101
10,145
10,804
Mar-23
11,200
10,403
10,847
Apr-23
11,244
10,466
10,889
May-23
11,205
10,352
10,933
Jun-23
11,268
10,315
10,979
Jul-23
11,349
10,308
11,028
Aug-23
11,327
10,242
11,078
Sep-23
11,291
9,982
11,127
Oct-23
11,266
9,824
11,178
Nov-23
11,559
10,269
11,228
Dec-23
11,858
10,662
11,281
Jan-24
11,903
10,633
11,330
Feb-24
11,897
10,483
11,378
Mar-24
12,013
10,580
11,430
Apr-24
11,905
10,312
11,479
May-24
12,045
10,487
11,535
Jun-24
12,123
10,587
11,583
Jul-24
12,314
10,834
11,635
Aug-24
12,545
10,990
11,691
Sep-24
12,671
11,137
11,741
Oct-24
12,625
10,860
11,787
Nov-24
12,731
10,975
11,834
Dec-24
12,683
10,796
11,881
Jan-25
12,831
10,853
11,925
Feb-25
13,034
11,092
11,964
Mar-25
12,966
11,096
12,005
Apr-25
12,877
11,140
12,047
May-25
12,898
11,060
12,092
Jun-25
13,070
11,230
12,134
Jul-25
13,146
11,200
12,178
Aug-25
13,250
11,334
12,225
Sep-25
13,445
11,458
12,267
Oct-25
13,563
11,529
12,311
Nov-25
13,613
11,601
12,348
Dec-25
13,647
11,584
12,391
Jan-26
13,721
11,596
12,428
Feb-26
13,853
11,786
12,462
Mar-26
13,676
11,578
12,500
Apr-26
13,851
11,591
12,538
May-26
13,927
11,628
12,577
Jun-26
13,985
11,656
12,614
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Adviser Class
7.00%
3.48%
3.41%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Bloomberg U.S. Treasury Bill 1-3 Month Total Return Index
3.96%
3.61%
2.35%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 157,016,320
Holdings Count | Holding 13
Advisory Fees Paid, Amount $ 242,794
InvestmentCompanyPortfolioTurnover 70.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$157,016,320
# of Portfolio Holdings
13
Portfolio Turnover Rate
70%
Advisory Fees and Waivers
242,794
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
International Fixed Income
9.7%Footnote Reference
Money Market Registered Investment Companies
15.0%Footnote Reference
U.S. Fixed Income
74.9%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total net assets. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Registered Investment Companies
84.6%Footnote Reference
Money Market Registered Investment Companies
15.0%Footnote Reference
Assets/Other Liabilities (Net)
0.4%
FootnoteDescription
Footnote
As a percentage of total net assets.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Advisor Capital & Income Fund - Class Z
16.2%
PIMCO Low Duration Income Fund - Class I
13.9%
Diamond Hill Short Duration Securitized Bond Fund - Class Y
10.6%
Guggenheim Total Return Bond Fund - Class I
10.4%
PGIM Total Return Bond Fund Class R6
10.4%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
9.7%
State Street SPDR Bloomberg High Yield Bond ETF
8.5%
iShares 20+ Year Treasury Bond ETF
5.0%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000174349  
Shareholder Report [Line Items]  
Fund Name Tactical Income Fund
Class Name Institutional Class
Trading Symbol BNDIX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Tactical Income Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Institutional Class
$33
0.65%
Expenses Paid, Amount $ 33
Expense Ratio, Percent 0.65%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Institutional Class
Bloomberg U.S. Aggregate Bond Index
Bloomberg U.S. Treasury Bill 1-3 Month Total Return Index
Jun-16
10,000
10,000
10,000
Jul-16
10,069
10,063
10,002
Aug-16
10,136
10,052
10,005
Sep-16
10,169
10,046
10,008
Oct-16
10,090
9,969
10,010
Nov-16
9,914
9,733
10,011
Dec-16
9,981
9,747
10,015
Jan-17
10,059
9,766
10,019
Feb-17
10,177
9,832
10,023
Mar-17
10,161
9,827
10,025
Apr-17
10,248
9,902
10,031
May-17
10,307
9,979
10,037
Jun-17
10,280
9,969
10,045
Jul-17
10,362
10,011
10,052
Aug-17
10,444
10,101
10,061
Sep-17
10,411
10,053
10,070
Oct-17
10,433
10,059
10,078
Nov-17
10,362
10,046
10,087
Dec-17
10,400
10,092
10,096
Jan-18
10,312
9,976
10,108
Feb-18
10,209
9,881
10,117
Mar-18
10,263
9,945
10,130
Apr-18
10,171
9,871
10,144
May-18
10,216
9,941
10,158
Jun-18
10,205
9,929
10,175
Jul-18
10,221
9,931
10,191
Aug-18
10,260
9,995
10,207
Sep-18
10,221
9,931
10,223
Oct-18
10,136
9,852
10,242
Nov-18
10,147
9,911
10,261
Dec-18
10,273
10,093
10,281
Jan-19
10,415
10,200
10,301
Feb-19
10,438
10,195
10,320
Mar-19
10,586
10,390
10,341
Apr-19
10,615
10,393
10,362
May-19
10,741
10,577
10,383
Jun-19
10,879
10,710
10,405
Jul-19
10,896
10,734
10,425
Aug-19
11,089
11,012
10,443
Sep-19
11,031
10,953
10,461
Oct-19
11,053
10,986
10,480
Nov-19
11,026
10,981
10,493
Dec-19
11,061
10,973
10,508
Jan-20
11,241
11,184
10,521
Feb-20
11,340
11,386
10,535
Mar-20
11,077
11,319
10,557
Apr-20
11,247
11,520
10,557
May-20
11,417
11,573
10,558
Jun-20
11,546
11,646
10,559
Jul-20
11,766
11,820
10,560
Aug-20
11,734
11,725
10,561
Sep-20
11,683
11,718
10,562
Oct-20
11,642
11,666
10,563
Nov-20
11,838
11,781
10,564
Dec-20
11,931
11,797
10,564
Jan-21
11,841
11,712
10,565
Feb-21
11,702
11,543
10,566
Mar-21
11,643
11,399
10,566
Apr-21
11,721
11,489
10,566
May-21
11,748
11,527
10,566
Jun-21
11,840
11,607
10,566
Jul-21
11,847
11,737
10,567
Aug-21
11,861
11,715
10,567
Sep-21
11,778
11,614
10,567
Oct-21
11,767
11,610
10,568
Nov-21
11,720
11,645
10,568
Dec-21
11,738
11,615
10,569
Jan-22
11,581
11,365
10,569
Feb-22
11,522
11,238
10,570
Mar-22
11,404
10,926
10,572
Apr-22
11,349
10,511
10,575
May-22
11,337
10,579
10,580
Jun-22
11,044
10,413
10,585
Jul-22
11,080
10,667
10,594
Aug-22
11,007
10,366
10,614
Sep-22
10,938
9,918
10,635
Oct-22
10,947
9,790
10,658
Nov-22
11,107
10,150
10,692
Dec-22
11,068
10,104
10,730
Jan-23
11,242
10,415
10,766
Feb-23
11,130
10,145
10,804
Mar-23
11,242
10,403
10,847
Apr-23
11,286
10,466
10,889
May-23
11,229
10,352
10,933
Jun-23
11,292
10,315
10,979
Jul-23
11,374
10,308
11,028
Aug-23
11,351
10,242
11,078
Sep-23
11,316
9,982
11,127
Oct-23
11,299
9,824
11,178
Nov-23
11,581
10,269
11,228
Dec-23
11,892
10,662
11,281
Jan-24
11,924
10,633
11,330
Feb-24
11,930
10,483
11,378
Mar-24
12,043
10,580
11,430
Apr-24
11,935
10,312
11,479
May-24
12,075
10,487
11,535
Jun-24
12,140
10,587
11,583
Jul-24
12,332
10,834
11,635
Aug-24
12,563
10,990
11,691
Sep-24
12,703
11,137
11,741
Oct-24
12,643
10,860
11,787
Nov-24
12,757
10,975
11,834
Dec-24
12,696
10,796
11,881
Jan-25
12,858
10,853
11,925
Feb-25
13,061
11,092
11,964
Mar-25
12,993
11,096
12,005
Apr-25
12,904
11,140
12,047
May-25
12,925
11,060
12,092
Jun-25
13,097
11,230
12,134
Jul-25
13,159
11,200
12,178
Aug-25
13,277
11,334
12,225
Sep-25
13,473
11,458
12,267
Oct-25
13,578
11,529
12,311
Nov-25
13,641
11,601
12,348
Dec-25
13,664
11,584
12,391
Jan-26
13,752
11,596
12,428
Feb-26
13,873
11,786
12,462
Mar-26
13,696
11,578
12,500
Apr-26
13,869
11,591
12,538
May-26
13,960
11,628
12,577
Jun-26
14,004
11,656
12,614
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Institutional Class
6.92%
3.41%
3.42%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Bloomberg U.S. Treasury Bill 1-3 Month Total Return Index
3.96%
3.61%
2.35%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 157,016,320
Holdings Count | Holding 13
Advisory Fees Paid, Amount $ 242,794
InvestmentCompanyPortfolioTurnover 70.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$157,016,320
# of Portfolio Holdings
13
Portfolio Turnover Rate
70%
Advisory Fees and Waivers
242,794
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
International Fixed Income
9.7%Footnote Reference
Money Market Registered Investment Companies
15.0%Footnote Reference
U.S. Fixed Income
74.9%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total net assets. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Registered Investment Companies
84.6%Footnote Reference
Money Market Registered Investment Companies
15.0%Footnote Reference
Assets/Other Liabilities (Net)
0.4%
FootnoteDescription
Footnote
As a percentage of total net assets.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Advisor Capital & Income Fund - Class Z
16.2%
PIMCO Low Duration Income Fund - Class I
13.9%
Diamond Hill Short Duration Securitized Bond Fund - Class Y
10.6%
Guggenheim Total Return Bond Fund - Class I
10.4%
PGIM Total Return Bond Fund Class R6
10.4%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
9.7%
State Street SPDR Bloomberg High Yield Bond ETF
8.5%
iShares 20+ Year Treasury Bond ETF
5.0%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources
C000099971  
Shareholder Report [Line Items]  
Fund Name Tactical Income Fund
Class Name Retail Class
Trading Symbol FLBDX
Annual or Semi-Annual Statement [Text Block] This semi-annual shareholder report contains important information about the Tactical Income Fund for the period of January 01, 2026, to June 30, 2026, as well as certain changes to the Fund.
Additional Information [Text Block] You can find additional information about the Fund at meederinvestment.com/mutual-funds . You can also request this information by contacting us at 866.633.3371 .
Additional Information Phone Number 866.633.3371 
Additional Information Website <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 13.3333px; font-weight: 400; grid-area: auto; line-height: 13.3333px; margin: 0px; overflow: visible; text-align: left; text-align-last: auto; white-space-collapse: preserve-breaks;">meederinvestment.com/mutual-funds</span> 
Expenses [Text Block]

What were the Fund's costs for the period?

(based on a hypothetical $10,000 investment) 

Table Summary
Class Name
Cost of $10K Investment
Cost Paid as % of $10K Investment
Retail Class
$46
0.92%
Expenses Paid, Amount $ 46
Expense Ratio, Percent 0.92%
Factors Affecting Performance [Text Block]
Performance Past Does Not Indicate Future [Text] The performance data shown represents past performance, which does not guarantee future results.
Line Graph [Table Text Block]
Growth of 10k Investment
Table Summary
Retail Class
Bloomberg U.S. Aggregate Bond Index
Bloomberg U.S. Treasury Bill 1-3 Month Total Return Index
Jun-16
10,000
10,000
10,000
Jul-16
10,069
10,063
10,002
Aug-16
10,136
10,052
10,005
Sep-16
10,169
10,046
10,008
Oct-16
10,090
9,969
10,010
Nov-16
9,903
9,733
10,011
Dec-16
9,975
9,747
10,015
Jan-17
10,042
9,766
10,019
Feb-17
10,155
9,832
10,023
Mar-17
10,133
9,827
10,025
Apr-17
10,214
9,902
10,031
May-17
10,274
9,979
10,037
Jun-17
10,247
9,969
10,045
Jul-17
10,318
10,011
10,052
Aug-17
10,400
10,101
10,061
Sep-17
10,367
10,053
10,070
Oct-17
10,378
10,059
10,078
Nov-17
10,312
10,046
10,087
Dec-17
10,347
10,092
10,096
Jan-18
10,258
9,976
10,108
Feb-18
10,150
9,881
10,117
Mar-18
10,196
9,945
10,130
Apr-18
10,105
9,871
10,144
May-18
10,143
9,941
10,158
Jun-18
10,132
9,929
10,175
Jul-18
10,138
9,931
10,191
Aug-18
10,177
9,995
10,207
Sep-18
10,138
9,931
10,223
Oct-18
10,048
9,852
10,242
Nov-18
10,065
9,911
10,261
Dec-18
10,174
10,093
10,281
Jan-19
10,304
10,200
10,301
Feb-19
10,332
10,195
10,320
Mar-19
10,479
10,390
10,341
Apr-19
10,501
10,393
10,362
May-19
10,621
10,577
10,383
Jun-19
10,746
10,710
10,405
Jul-19
10,768
10,734
10,425
Aug-19
10,953
11,012
10,443
Sep-19
10,896
10,953
10,461
Oct-19
10,911
10,986
10,480
Nov-19
10,893
10,981
10,493
Dec-19
10,910
10,973
10,508
Jan-20
11,084
11,184
10,521
Feb-20
11,190
11,386
10,535
Mar-20
10,914
11,319
10,557
Apr-20
11,092
11,520
10,557
May-20
11,246
11,573
10,558
Jun-20
11,369
11,646
10,559
Jul-20
11,580
11,820
10,560
Aug-20
11,546
11,725
10,561
Sep-20
11,492
11,718
10,562
Oct-20
11,447
11,666
10,563
Nov-20
11,634
11,781
10,564
Dec-20
11,725
11,797
10,564
Jan-21
11,636
11,712
10,565
Feb-21
11,493
11,543
10,566
Mar-21
11,432
11,399
10,566
Apr-21
11,504
11,489
10,566
May-21
11,527
11,527
10,566
Jun-21
11,614
11,607
10,566
Jul-21
11,617
11,737
10,567
Aug-21
11,627
11,715
10,567
Sep-21
11,554
11,614
10,567
Oct-21
11,532
11,610
10,568
Nov-21
11,485
11,645
10,568
Dec-21
11,488
11,615
10,569
Jan-22
11,334
11,365
10,569
Feb-22
11,277
11,238
10,570
Mar-22
11,165
10,926
10,572
Apr-22
11,108
10,511
10,575
May-22
11,090
10,579
10,580
Jun-22
10,789
10,413
10,585
Jul-22
10,830
10,667
10,594
Aug-22
10,759
10,366
10,614
Sep-22
10,689
9,918
10,635
Oct-22
10,695
9,790
10,658
Nov-22
10,851
10,150
10,692
Dec-22
10,801
10,104
10,730
Jan-23
10,970
10,415
10,766
Feb-23
10,861
10,145
10,804
Mar-23
10,959
10,403
10,847
Apr-23
11,001
10,466
10,889
May-23
10,955
10,352
10,933
Jun-23
11,004
10,315
10,979
Jul-23
11,090
10,308
11,028
Aug-23
11,068
10,242
11,078
Sep-23
11,021
9,982
11,127
Oct-23
10,998
9,824
11,178
Nov-23
11,273
10,269
11,228
Dec-23
11,568
10,662
11,281
Jan-24
11,612
10,633
11,330
Feb-24
11,599
10,483
11,378
Mar-24
11,706
10,580
11,430
Apr-24
11,611
10,312
11,479
May-24
11,732
10,487
11,535
Jun-24
11,796
10,587
11,583
Jul-24
11,976
10,834
11,635
Aug-24
12,207
10,990
11,691
Sep-24
12,336
11,137
11,741
Oct-24
12,278
10,860
11,787
Nov-24
12,388
10,975
11,834
Dec-24
12,336
10,796
11,881
Jan-25
12,467
10,853
11,925
Feb-25
12,671
11,092
11,964
Mar-25
12,605
11,096
12,005
Apr-25
12,512
11,140
12,047
May-25
12,525
11,060
12,092
Jun-25
12,692
11,230
12,134
Jul-25
12,752
11,200
12,178
Aug-25
12,867
11,334
12,225
Sep-25
13,056
11,458
12,267
Oct-25
13,151
11,529
12,311
Nov-25
13,206
11,601
12,348
Dec-25
13,233
11,584
12,391
Jan-26
13,302
11,596
12,428
Feb-26
13,426
11,786
12,462
Mar-26
13,254
11,578
12,500
Apr-26
13,421
11,591
12,538
May-26
13,493
11,628
12,577
Jun-26
13,542
11,656
12,614
Average Annual Return [Table Text Block]

Average Annual Total Returns 

Table Summary
.
1 Year
5 Year
Since Inception
Retail Class
6.70%
3.12%
3.08%
Bloomberg U.S. Aggregate Bond Index
3.79%
0.08%
1.54%
Bloomberg U.S. Treasury Bill 1-3 Month Total Return Index
3.96%
3.61%
2.35%
No Deduction of Taxes [Text Block] The results do not reflect the effect of taxes a shareholder would pay on Fund distributions or on the redemption of Fund shares
AssetsNet $ 157,016,320
Holdings Count | Holding 13
Advisory Fees Paid, Amount $ 242,794
InvestmentCompanyPortfolioTurnover 70.00%
Additional Fund Statistics [Text Block]

Fund Statistics 

Table Summary
Total Net Assets
$157,016,320
# of Portfolio Holdings
13
Portfolio Turnover Rate
70%
Advisory Fees and Waivers
242,794
Holdings [Text Block]

Sector Weighting

Sector Chart
Table Summary
Value
Value
International Fixed Income
9.7%Footnote Reference
Money Market Registered Investment Companies
15.0%Footnote Reference
U.S. Fixed Income
74.9%Footnote Reference
FootnoteDescription
Footnote
As a percentage of total net assets. Concentrations are subject to change.

Asset Weighting

Asset Type Chart
Table Summary
Value
Value
Registered Investment Companies
84.6%Footnote Reference
Money Market Registered Investment Companies
15.0%Footnote Reference
Assets/Other Liabilities (Net)
0.4%
FootnoteDescription
Footnote
As a percentage of total net assets.
Largest Holdings [Text Block]

Top 10 Holdings

Table Summary
Fidelity Advisor Capital & Income Fund - Class Z
16.2%
PIMCO Low Duration Income Fund - Class I
13.9%
Diamond Hill Short Duration Securitized Bond Fund - Class Y
10.6%
Guggenheim Total Return Bond Fund - Class I
10.4%
PGIM Total Return Bond Fund Class R6
10.4%
Eaton Vance Emerging Markets Debt Opportunities Fund - Class R6
9.7%
State Street SPDR Bloomberg High Yield Bond ETF
8.5%
iShares 20+ Year Treasury Bond ETF
5.0%
As a percentage of total net assets. Holdings exclude short-term investments and derivatives.
Material Fund Change Name [Text Block]

 

Material Fund Change Objectives [Text Block]

 

Material Fund Change Expenses [Text Block]

 

Material Fund Change Strategies [Text Block]

 

Material Fund Change Risks Change [Text Block]

 

Material Fund Change Adviser [Text Block]

 

Updated Prospectus Email Address www.meederinvestment.com/meeder-funds-resources