v3.26.3
Average Annual Total Returns
12 Months Ended 43 Months Ended 60 Months Ended 91 Months Ended 120 Months Ended 163 Months Ended
Sep. 28, 2026
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Dec. 31, 2025
Russell Midcap® Value Index (reflects no deduction for fees, expenses or taxes)              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Russell Midcap® Value Index (reflects no deduction for fees, expenses or taxes)            
Average Annual Return, Percent   11.05%   9.83%   9.78% 11.19%
Russell 3000® Index (reflects no deduction for fees, expenses, or taxes)              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Russell 3000® Index (reflects no deduction for fees, expenses, or taxes)            
Average Annual Return, Percent   17.15%   13.15% 14.07% 14.29% 14.58%
RRussell 2000® Value Index (reflects no deduction for fees, expenses, or taxes)              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Russell 2000® Value Index (reflects no deduction for fees, expenses, or taxes)            
Average Annual Return, Percent   12.59%   8.88% 6.64%    
Russell 2500® Value Index (reflects no deduction for fees, expenses, or taxes)              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Russell 2500® Value Index (reflects no deduction for fees, expenses, or taxes)            
Average Annual Return, Percent   12.73%   10.02% 7.95%    
Russell 2500® Index (reflects no deduction for fees, expenses, or taxes)              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Russell 2500® Index (reflects no deduction for fees, expenses, or taxes)            
Average Annual Return, Percent   11.91%   7.26% 8.61%    
MSCI AC World Index ex USA Net (reflects no deduction for fees, expenses, or taxes)              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] MSCI AC World Index ex USA Net (reflects no deduction for fees, expenses, or taxes)            
Average Annual Return, Percent   32.39% 12.39%        
Reinhart Mid Cap PMV Fund Investor Class              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return Before Taxes            
Average Annual Return, Percent   (0.92%)   5.80%   6.77% 7.95%
Performance Inception Date May 31, 2012            
Reinhart Mid Cap PMV Fund Advisor Class              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return Before Taxes            
Average Annual Return, Percent   (0.70%)   6.07%   7.02% 8.22%
Performance Inception Date May 31, 2012            
Reinhart Mid Cap PMV Fund Advisor Class | After Taxes on Distributions              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return After Taxes on Distributions            
Average Annual Return, Percent   (2.28%)   4.97%   5.82% 7.03%
Reinhart Mid Cap PMV Fund Advisor Class | After Taxes on Distributions and Sales              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return After Taxes on Distributions and Sale of Fund Shares            
Average Annual Return, Percent   0.60%   4.68%   5.41% 6.49%
Reinhart Mid Cap PMV Fund Institutional Class              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] [1] Return Before Taxes            
Average Annual Return, Percent [1]   (0.55%)   6.19%   7.17% 8.37%
Performance Inception Date Sep. 29, 2017            
Reinhart Genesis PMV Fund Advisor Class              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return Before Taxes            
Average Annual Return, Percent   5.47%   12.46% 10.26%    
Performance Inception Date May 31, 2018            
Reinhart Genesis PMV Fund Advisor Class | After Taxes on Distributions              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return After Taxes on Distributions            
Average Annual Return, Percent   3.68%   11.00% 9.22%    
Reinhart Genesis PMV Fund Advisor Class | After Taxes on Distributions and Sales              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return After Taxes on Distributions and Sale of Fund Shares            
Average Annual Return, Percent   4.52%   9.68% 8.09%    
Reinhart Genesis PMV Fund Investor Class              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return Before Taxes            
Average Annual Return, Percent   5.19%   12.17% 9.97%    
Performance Inception Date May 31, 2018            
Reinhart Genesis PMV Fund Institutional Class              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] [2] Return Before Taxes            
Average Annual Return, Percent [2]   5.63%   12.63% 10.46%    
Reinhart International PMV Fund Advisor Class              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return Before Taxes            
Average Annual Return, Percent   21.05% 11.20%        
Performance Inception Date May 31, 2022            
Reinhart International PMV Fund Advisor Class | After Taxes on Distributions              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return After Taxes on Distributions            
Average Annual Return, Percent   19.39% 9.72%        
Reinhart International PMV Fund Advisor Class | After Taxes on Distributions and Sales              
Prospectus [Line Items]              
Average Annual Return, Label [Optional Text] Return After Taxes on Distributions and Sale of Fund Shares            
Average Annual Return, Percent   14.40% 8.72%        
[1] The Advisor Class and Investor Class commenced operations on May 31, 2012. The Institutional Class commenced
operations on September 29, 2017.  The performance shown for the Institutional Class prior to its inception on September
29, 2017, is based on the performance of the Advisor Class, adjusted for the lower expenses applicable to the Institutional
Class.
[2] Average annual total returns for Institutional Class shares would have been substantially similar to those for other classes
offered by the Fund because each class of shares would have invested in the same portfolio of securities. The
performance figures shown for Institutional Class shares reflect the performance for the Advisor Class shares for the
periods prior to the inception date of Institutional Class shares, adjusted for the difference in expenses attributable to
Advisor Class shares and Institutional Class shares. Since Institutional Class shares have lower expenses and are
therefore less expensive than Advisor Class shares, the returns for Advisor Class shares are lower than the returns shown
for Institutional Class shares.