v3.26.3
Average Annual Total Returns
12 Months Ended 27 Months Ended
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Brookstone Dividend Stock ETF | S&P 500 Index      
Prospectus [Line Items]      
Average Annual Return, Percent [1] 17.88% 24.85%  
Brookstone Dividend Stock ETF | Dow Jones US Select Dividend Index      
Prospectus [Line Items]      
Average Annual Return, Percent [2] 12.12% 17.65%  
Brookstone Dividend Stock ETF | Brookstone Dividend Stock ETF      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent (1.49%) 12.62%  
Performance Inception Date Sep. 27, 2023    
Brookstone Dividend Stock ETF | Brookstone Dividend Stock ETF | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent (2.97%) 11.23%  
Brookstone Dividend Stock ETF | Brookstone Dividend Stock ETF | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent (0.86%) 9.35%  
Brookstone Growth Stock ETF | S&P 500 Growth Index      
Prospectus [Line Items]      
Average Annual Return, Percent [3] 22.23%   30.95%
Brookstone Growth Stock ETF | Dow Jones Industrial Average 1 [Member]      
Prospectus [Line Items]      
Average Annual Return, Percent [4] 14.92%   19.25%
Brookstone Growth Stock ETF | Brookstone Growth Stock ETF      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent 17.38%   24.07%
Performance Inception Date Sep. 26, 2023    
Brookstone Growth Stock ETF | Brookstone Growth Stock ETF | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent 17.38%   23.80%
Brookstone Growth Stock ETF | Brookstone Growth Stock ETF | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent 10.29%   18.77%
Brookstone Value Stock ETF | Dow Jones Industrial Average 1 [Member]      
Prospectus [Line Items]      
Average Annual Return, Percent [5] 14.92%   19.25%
Brookstone Value Stock ETF | S&P 500 Value Index      
Prospectus [Line Items]      
Average Annual Return, Percent [6] 13.19%   17.71%
Brookstone Value Stock ETF | Brookstone Value Stock ETF      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent 7.69%   14.74%
Performance Inception Date Sep. 26, 2023    
Brookstone Value Stock ETF | Brookstone Value Stock ETF | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent 7.11%   13.75%
Brookstone Value Stock ETF | Brookstone Value Stock ETF | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent 4.55%   11.04%
Brookstone Intermediate Bond ETF | Bloomberg U.S. Treasury Bills: 1-3 Months Index      
Prospectus [Line Items]      
Average Annual Return, Percent [7] 7.30%   6.72%
Brookstone Intermediate Bond ETF | Brookstone Intermediate Bond ETF      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent 6.19%   5.34%
Performance Inception Date Sep. 26, 2023    
Brookstone Intermediate Bond ETF | Brookstone Intermediate Bond ETF | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent 4.96%   4.13%
Brookstone Intermediate Bond ETF | Brookstone Intermediate Bond ETF | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent 3.65%   3.57%
Brookstone Ultra-Short Bond ETF | Bloomberg U.S. Treasury Bills: 1-3 Months Index      
Prospectus [Line Items]      
Average Annual Return, Percent [8] 4.29%   4.89%
Brookstone Ultra-Short Bond ETF | Bloomberg U.S. Aggregate Bond Index      
Prospectus [Line Items]      
Average Annual Return, Percent [9] 7.30%   6.72%
Brookstone Ultra-Short Bond ETF | Brookstone Ultra-Short Bond ETF      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent 3.19%   3.83%
Performance Inception Date Sep. 26, 2023    
Brookstone Ultra-Short Bond ETF | Brookstone Ultra-Short Bond ETF | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent 1.86%   2.36%
Brookstone Ultra-Short Bond ETF | Brookstone Ultra-Short Bond ETF | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent 1.88%   2.30%
Brookstone Active ETF | S&P 500 Index      
Prospectus [Line Items]      
Average Annual Return, Percent [10] 17.88% 24.85%  
Brookstone Active ETF | Dow Jones US Select Dividend Index      
Prospectus [Line Items]      
Average Annual Return, Percent [11] 13.82% 14.35%  
Brookstone Active ETF | Bloomberg U.S. Aggregate Bond Index      
Prospectus [Line Items]      
Average Annual Return, Percent [12] 7.30% 6.91%  
Brookstone Active ETF | Brookstone Active ETF      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent 12.51% 16.20%  
Performance Inception Date Sep. 27, 2023    
Brookstone Active ETF | Brookstone Active ETF | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent 11.93% 15.59%  
Brookstone Active ETF | Brookstone Active ETF | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent 7.53% 12.40%  
Brookstone Opportunities ETF | S&P 500 Index      
Prospectus [Line Items]      
Average Annual Return, Percent [13] 17.88% 24.85%  
Brookstone Opportunities ETF | Dow Jones Moderate Portfolio Index      
Prospectus [Line Items]      
Average Annual Return, Percent [14] 13.82% 14.35%  
Brookstone Opportunities ETF | Brookstone Opportunities ETF      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent 9.08% 14.22%  
Performance Inception Date Sep. 27, 2023    
Brookstone Opportunities ETF | Brookstone Opportunities ETF | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent 8.39% 13.53%  
Brookstone Opportunities ETF | Brookstone Opportunities ETF | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent 5.37% 10.76%  
Brookstone Yield ETF | Bloomberg U.S. Aggregate Bond Index      
Prospectus [Line Items]      
Average Annual Return, Percent [15] 7.30% 6.91%  
Brookstone Yield ETF | Bloomberg U.S. Corporate High Yield Index      
Prospectus [Line Items]      
Average Annual Return, Percent [16] 8.62% 10.85%  
Brookstone Yield ETF | Brookstone Yield ETF      
Prospectus [Line Items]      
Average Annual Return, Label [Optional Text] Return before taxes    
Average Annual Return, Percent 12.85% 13.13%  
Performance Inception Date Sep. 27, 2023    
Brookstone Yield ETF | Brookstone Yield ETF | After Taxes on Distributions      
Prospectus [Line Items]      
Average Annual Return, Percent 9.75% 9.74%  
Brookstone Yield ETF | Brookstone Yield ETF | After Taxes on Distributions and Sales      
Prospectus [Line Items]      
Average Annual Return, Percent 7.69% 8.64%  
[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 Dow Jones US Select Dividend Index is one hundred stocks that are selected to the index by dividend yield, subject to screens for dividend-per-share growth rate, dividend payout ratio and average daily dollar trading volume. Components are weighted by indicated annual dividend. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[3] The S&P 500® Growth Index measures constituents from the S&P 500 that are classified as growth stocks based on three factors: sales growth, the ratio of earnings change to price, and momentum. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[4] The Dow Jones Industrial Average is a stock market index of 30 prominent companies listed on stock exchanges in the United States. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[5] The Dow Jones Industrial Average is a stock market index of 30 prominent companies listed on stock exchanges in the United States. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[6] The S&P 500® Value Index measures constituents from the S&P 500 Index that are classified as value stocks based on three factors: the ratios of book value, earnings and sales to price. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[7] The Bloomberg U.S. Aggregate Bond Index is a broad-based, market capitalization-weighted bond market index representing intermediate term investment grade bonds traded in the United States. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[8] The Bloomberg U.S. Treasury Bills: 1-3 Months Index tracks the market for treasury bills issued by the U.S. government with time to maturity between 1 and 3 months. US Treasury bills are issued in fixed maturity terms of 4, 8, 13, 17, 26 and 52 weeks. The Bloomberg U.S. Treasury Bills: 1-3 Months Index is a component of the U.S. Short Treasury Index. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[9] The Bloomberg U.S. Aggregate Bond Index is a broad-based, market capitalization-weighted bond market index representing intermediate term investment grade bonds traded in the United States. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[10] 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.
[11] The Dow Jones Moderate Portfolio Index is a member of the Dow Jones Relative Risk Index Series and is designed to measure a total portfolio of U.S. stocks, bonds, and cash, allocated to represent an investor’s desired risk profile. The Dow Jones Moderate U.S. Portfolio Index risk level is set to 60% of the Dow Jones U.S. Stock CMAC Index’s downside risk (past 36 months). Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[12] The Bloomberg U.S. Aggregate Bond Index, is a broad-based, market capitalization-weighted bond market index representing intermediate term investment grade bonds traded in the United States.
[13] 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.
[14] The Dow Jones Moderate Portfolio Index is a member of the Dow Jones Relative Risk Index Series and is designed to measure a total portfolio of U.S. stocks, bonds, and cash, allocated to represent an investor’s desired risk profile. The Dow Jones Moderate U.S. Portfolio Index risk level is set to 60% of the Dow Jones U.S. Stock CMAC Index’s downside risk (past 36 months). Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[15] The Bloomberg U.S. Aggregate Bond Index is a broad-based, market capitalization-weighted bond market index representing intermediate term investment grade bonds traded in the United States. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.
[16] The Bloomberg U.S. Corporate High Yield Index measures the USD-denominated, high yield, fixed-rate corporate bond market. Securities are classified as high yield if the middle rating of Moody’s, Fitch and S&P is Ba1/BB+/BB+ or below. Bonds from issuers with an emerging markets country of risk, based on the indices’ EM country definition, are excluded. The Bloomberg U.S Corporate High Yield Index is a component of the U.S. Universal and Global High Yield Indices. Investors may not invest in the index directly; unlike the Fund’s returns, the index does not reflect any fees or expenses.