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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $489,745,598 |
|---|
# of Portfolio Holdings | 218 |
|---|
Portfolio Turnover Rate | 113% |
|---|
Advisory Fees and Waivers | 1,527,272 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryBaird 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $489,745,598 |
|---|
# of Portfolio Holdings | 218 |
|---|
Portfolio Turnover Rate | 113% |
|---|
Advisory Fees and Waivers | 1,527,272 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryBaird 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $489,745,598 |
|---|
# of Portfolio Holdings | 218 |
|---|
Portfolio Turnover Rate | 113% |
|---|
Advisory Fees and Waivers | 1,527,272 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryBaird 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $171,773,166 |
|---|
# of Portfolio Holdings | 211 |
|---|
Portfolio Turnover Rate | 76% |
|---|
Advisory Fees and Waivers | 411,416 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryFidelity 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $171,773,166 |
|---|
# of Portfolio Holdings | 211 |
|---|
Portfolio Turnover Rate | 76% |
|---|
Advisory Fees and Waivers | 411,416 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryFidelity 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $171,773,166 |
|---|
# of Portfolio Holdings | 211 |
|---|
Portfolio Turnover Rate | 76% |
|---|
Advisory Fees and Waivers | 411,416 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryFidelity 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $591,301,042 |
|---|
# of Portfolio Holdings | 221 |
|---|
Portfolio Turnover Rate | 131% |
|---|
Advisory Fees and Waivers | 1,730,836 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $591,301,042 |
|---|
# of Portfolio Holdings | 221 |
|---|
Portfolio Turnover Rate | 131% |
|---|
Advisory Fees and Waivers | 1,730,836 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $591,301,042 |
|---|
# of Portfolio Holdings | 221 |
|---|
Portfolio Turnover Rate | 131% |
|---|
Advisory Fees and Waivers | 1,730,836 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $43,178,179 |
|---|
# of Portfolio Holdings | 222 |
|---|
Portfolio Turnover Rate | 172% |
|---|
Advisory Fees and Waivers | 151,151 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryiShares 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $43,178,179 |
|---|
# of Portfolio Holdings | 222 |
|---|
Portfolio Turnover Rate | 172% |
|---|
Advisory Fees and Waivers | 151,151 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryiShares 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $43,178,179 |
|---|
# of Portfolio Holdings | 222 |
|---|
Portfolio Turnover Rate | 172% |
|---|
Advisory Fees and Waivers | 151,151 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryiShares 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 SummaryClass 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] |
- Total Net Assets$1,860,618,828
- # of Portfolio Holdings95
- Portfolio Turnover RateN/A
- Advisory Fees and Waivers1,137,525
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total net assets. Concentrations are subject to change. |
|
| Largest Holdings [Text Block] |
Table SummaryUnited 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 SummaryClass 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] |
- Total Net Assets$1,860,618,828
- # of Portfolio Holdings95
- Portfolio Turnover RateN/A
- Advisory Fees and Waivers1,137,525
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total net assets. Concentrations are subject to change. |
|
| Largest Holdings [Text Block] |
Table SummaryUnited 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 SummaryClass 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] |
- Total Net Assets$1,860,618,828
- # of Portfolio Holdings95
- Portfolio Turnover RateN/A
- Advisory Fees and Waivers1,137,525
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total net assets. Concentrations are subject to change. |
|
| Largest Holdings [Text Block] |
Table SummaryUnited 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 SummaryClass 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] |
- Total Net Assets$1,860,618,828
- # of Portfolio Holdings95
- Portfolio Turnover RateN/A
- Advisory Fees and Waivers1,137,525
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total net assets. Concentrations are subject to change. |
|
| Largest Holdings [Text Block] |
Table SummaryUnited 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $200,026,155 |
|---|
# of Portfolio Holdings | 215 |
|---|
Portfolio Turnover Rate | 94% |
|---|
Advisory Fees and Waivers | 567,116 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryFidelity 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $200,026,155 |
|---|
# of Portfolio Holdings | 215 |
|---|
Portfolio Turnover Rate | 94% |
|---|
Advisory Fees and Waivers | 567,116 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryFidelity 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $200,026,155 |
|---|
# of Portfolio Holdings | 215 |
|---|
Portfolio Turnover Rate | 94% |
|---|
Advisory Fees and Waivers | 567,116 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryFidelity 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $1,283,060,516 |
|---|
# of Portfolio Holdings | 218 |
|---|
Portfolio Turnover Rate | 147% |
|---|
Advisory Fees and Waivers | 3,661,620 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $1,283,060,516 |
|---|
# of Portfolio Holdings | 218 |
|---|
Portfolio Turnover Rate | 147% |
|---|
Advisory Fees and Waivers | 3,661,620 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $1,283,060,516 |
|---|
# of Portfolio Holdings | 218 |
|---|
Portfolio Turnover Rate | 147% |
|---|
Advisory Fees and Waivers | 3,661,620 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $45,104,067 |
|---|
# of Portfolio Holdings | 646 |
|---|
Portfolio Turnover Rate | 90% |
|---|
Advisory Fees and Waivers | 157,569 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $45,104,067 |
|---|
# of Portfolio Holdings | 646 |
|---|
Portfolio Turnover Rate | 90% |
|---|
Advisory Fees and Waivers | 157,569 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $45,104,067 |
|---|
# of Portfolio Holdings | 646 |
|---|
Portfolio Turnover Rate | 90% |
|---|
Advisory Fees and Waivers | 157,569 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $269,120,161 |
|---|
# of Portfolio Holdings | 632 |
|---|
Portfolio Turnover Rate | 106% |
|---|
Advisory Fees and Waivers | 913,461 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $269,120,161 |
|---|
# of Portfolio Holdings | 632 |
|---|
Portfolio Turnover Rate | 106% |
|---|
Advisory Fees and Waivers | 913,461 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $269,120,161 |
|---|
# of Portfolio Holdings | 632 |
|---|
Portfolio Turnover Rate | 106% |
|---|
Advisory Fees and Waivers | 913,461 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total common stocks. Concentrations are subject to change. |
Table SummaryValue | 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% | | Footnote | Description | 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] |
Table SummaryNVIDIA 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $157,016,320 |
|---|
# of Portfolio Holdings | 13 |
|---|
Portfolio Turnover Rate | 70% |
|---|
Advisory Fees and Waivers | 242,794 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total net assets. Concentrations are subject to change. |
Table SummaryValue | Value |
|---|
Registered Investment Companies | 84.6%Footnote Reference | Money Market Registered Investment Companies | 15.0%Footnote Reference | Assets/Other Liabilities (Net) | 0.4% | | Footnote | Description | Footnote | As a percentage of total net assets. |
|
| Largest Holdings [Text Block] |
Table SummaryFidelity 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $157,016,320 |
|---|
# of Portfolio Holdings | 13 |
|---|
Portfolio Turnover Rate | 70% |
|---|
Advisory Fees and Waivers | 242,794 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total net assets. Concentrations are subject to change. |
Table SummaryValue | Value |
|---|
Registered Investment Companies | 84.6%Footnote Reference | Money Market Registered Investment Companies | 15.0%Footnote Reference | Assets/Other Liabilities (Net) | 0.4% | | Footnote | Description | Footnote | As a percentage of total net assets. |
|
| Largest Holdings [Text Block] |
Table SummaryFidelity 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 SummaryClass 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] |
 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] |
Table SummaryTotal Net Assets | $157,016,320 |
|---|
# of Portfolio Holdings | 13 |
|---|
Portfolio Turnover Rate | 70% |
|---|
Advisory Fees and Waivers | 242,794 |
|---|
|
| Holdings [Text Block] |
Table SummaryValue | 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 | | Footnote | Description | Footnote | As a percentage of total net assets. Concentrations are subject to change. |
Table SummaryValue | Value |
|---|
Registered Investment Companies | 84.6%Footnote Reference | Money Market Registered Investment Companies | 15.0%Footnote Reference | Assets/Other Liabilities (Net) | 0.4% | | Footnote | Description | Footnote | As a percentage of total net assets. |
|
| Largest Holdings [Text Block] |
Table SummaryFidelity 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
|