v3.26.3
Average Annual Total Returns - LGM Risk Managed Total Return Fund
12 Months Ended 60 Months Ended 103 Months Ended
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
S&P 500 Index      
Prospectus [Line Items]      
Average Annual Return, Percent [1] 17.88% 14.42% 14.77%
Bloomberg Global Aggregate Index      
Prospectus [Line Items]      
Average Annual Return, Percent [2] 8.17% (2.15%) 0.71%
LGM Risk Managed Total Return Fund Institutional Class      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent 2.15% 5.04% 3.84%
Performance Inception Date Jun. 12, 2017    
LGM Risk Managed Total Return Fund Institutional Class | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent 2.00% 4.95% 2.98%
LGM Risk Managed Total Return Fund Institutional Class | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent 1.27% 3.90% 2.60%
[1] The S&P 500 Index is an unmanaged free-float capitalization-weighted index which measures the performance of 500 large-cap common stocks actively traded in the United States. Index returns assume reinvestment of dividends. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[2] The Bloomberg Global Aggregate Index is a multi-currency benchmark that includes investment grade debt from local currency markets worldwide. Index returns assume reinvestment of dividends. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.