Form N-CSR Cover
Form N-CSR Cover | 6 Months Ended |
Jun. 30, 2024 | |
Shareholder Report [Line Items] | |
Document Type | N-CSRS |
Amendment Flag | false |
Registrant Name | INVESTMENT MANAGERS SERIES TRUST |
Entity Central Index Key | 0001318342 |
Document Period End Date | Jun. 30, 2024 |
Shareholder Report
Shareholder Report | 6 Months Ended |
Jun. 30, 2024 USD ($) Holding | |
Shareholder Report [Line Items] | |
Document Type | N-CSRS |
Amendment Flag | false |
Registrant Name | INVESTMENT MANAGERS SERIES TRUST |
Entity Central Index Key | 0001318342 |
Document Period End Date | Jun. 30, 2024 |
C000127813 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused Global Growth Fund |
Class Name | Institutional Class |
Trading Symbol | WCMGX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused Global Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-global-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-global-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused Global Growth Fund $ 1.05 % |
Expenses Paid, Amount | $ 56 |
Expense Ratio, Percent | 1.05% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 495,067,431 |
Holdings Count | Holding | 36 |
Advisory Fees Paid, Amount | $ 1,936,205 |
Investment Company Portfolio Turnover | 22% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Novo Nordisk A/S - Class B 5.4 % Amazon.com, Inc. 5.2 % 3i Group PLC 4.3 % General Electric Co. 4.3 % Microsoft Corp. 4.0 % Taiwan Semiconductor Manufacturing Co., Ltd. 3.8 % NVIDIA Corp. 3.6 % AppLovin Corp. - Class A 3.6 % Datadog, Inc. 3.2 % Arthur J. Gallagher & Co. 3.2 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Novo Nordisk A/S - Class B 5.4 % Amazon.com, Inc. 5.2 % 3i Group PLC 4.3 % General Electric Co. 4.3 % Microsoft Corp. 4.0 % Taiwan Semiconductor Manufacturing Co., Ltd. 3.8 % NVIDIA Corp. 3.6 % AppLovin Corp. - Class A 3.6 % Datadog, Inc. 3.2 % Arthur J. Gallagher & Co. 3.2 % |
Material Fund Change [Text Block] | Material Fund Changes On April 29, 2024, based on the recommendation of the Fund’s investment advisor, WCM Investment Management, LLC (“WCM”), the Board of Trustees of Investment Managers Series Trust (the “Board”) has approved the reorganization of the Fund into the First Trust WCM Focused Global Growth Fund, a newly created series of First Trust Series Fund (the “Reorganization”). Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-global-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-global-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000127814 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused Global Growth Fund |
Class Name | Investor Class |
Trading Symbol | WFGGX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused Global Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-global-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-global-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused Global Growth Fund $ 1.30 % |
Expenses Paid, Amount | $ 70 |
Expense Ratio, Percent | 1.30% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 495,067,431 |
Holdings Count | Holding | 36 |
Advisory Fees Paid, Amount | $ 1,936,205 |
Investment Company Portfolio Turnover | 22% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Novo Nordisk A/S - Class B 5.4 % Amazon.com, Inc. 5.2 % 3i Group PLC 4.3 % General Electric Co. 4.3 % Microsoft Corp. 4.0 % Taiwan Semiconductor Manufacturing Co., Ltd. 3.8 % NVIDIA Corp. 3.6 % AppLovin Corp. - Class A 3.6 % Datadog, Inc. 3.2 % Arthur J. Gallagher & Co. 3.2 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Novo Nordisk A/S - Class B 5.4 % Amazon.com, Inc. 5.2 % 3i Group PLC 4.3 % General Electric Co. 4.3 % Microsoft Corp. 4.0 % Taiwan Semiconductor Manufacturing Co., Ltd. 3.8 % NVIDIA Corp. 3.6 % AppLovin Corp. - Class A 3.6 % Datadog, Inc. 3.2 % Arthur J. Gallagher & Co. 3.2 % |
Material Fund Change [Text Block] | Material Fund Changes On April 29, 2024, based on the recommendation of the Fund’s investment advisor, WCM Investment Management, LLC (“WCM”), the Board of Trustees of Investment Managers Series Trust (the “Board”) has approved the reorganization of the Fund into the First Trust WCM Focused Global Growth Fund, a newly created series of First Trust Series Fund (the “Reorganization”). Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-global-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-global-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000215235 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Small Cap Growth Fund |
Class Name | Institutional Class |
Trading Symbol | WCMLX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Small Cap Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/small-cap-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/small-cap-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Small Cap Growth Fund $ 0.99 % |
Expenses Paid, Amount | $ 49 |
Expense Ratio, Percent | 0.99% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 40,637,746 |
Holdings Count | Holding | 69 |
Advisory Fees Paid, Amount | $ 50,813 |
Investment Company Portfolio Turnover | 33% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Sector Allocation exclude short-term holdings, if any. The Sector Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Casey's General Stores, Inc. 2.3 % Applied Industrial Technologies, Inc. 2.3 % Casella Waste Systems, Inc. - Class A 2.2 % Appfolio, Inc. - Class A 2.2 % MACOM Technology Solutions Holdings, Inc. 2.2 % Rambus, Inc. 2.2 % Tetra Tech, Inc. 2.0 % WEX, Inc. 2.0 % ACI Worldwide, Inc. 2.0 % John Bean Technologies Corp. 2.0 % Asset Allocation Sector Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Casey's General Stores, Inc. 2.3 % Applied Industrial Technologies, Inc. 2.3 % Casella Waste Systems, Inc. - Class A 2.2 % Appfolio, Inc. - Class A 2.2 % MACOM Technology Solutions Holdings, Inc. 2.2 % Rambus, Inc. 2.2 % Tetra Tech, Inc. 2.0 % WEX, Inc. 2.0 % ACI Worldwide, Inc. 2.0 % John Bean Technologies Corp. 2.0 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/small-cap-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/small-cap-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000215236 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Small Cap Growth Fund |
Class Name | Investor Class |
Trading Symbol | WCMNX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Small Cap Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/small-cap-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/small-cap-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Small Cap Growth Fund $ 1.24 % |
Expenses Paid, Amount | $ 62 |
Expense Ratio, Percent | 1.24% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 40,637,746 |
Holdings Count | Holding | 69 |
Advisory Fees Paid, Amount | $ 50,813 |
Investment Company Portfolio Turnover | 33% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Sector Allocation exclude short-term holdings, if any. The Sector Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Casey's General Stores, Inc. 2.3 % Applied Industrial Technologies, Inc. 2.3 % Casella Waste Systems, Inc. - Class A 2.2 % Appfolio, Inc. - Class A 2.2 % MACOM Technology Solutions Holdings, Inc. 2.2 % Rambus, Inc. 2.2 % Tetra Tech, Inc. 2.0 % WEX, Inc. 2.0 % ACI Worldwide, Inc. 2.0 % John Bean Technologies Corp. 2.0 % Asset Allocation Sector Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Casey's General Stores, Inc. 2.3 % Applied Industrial Technologies, Inc. 2.3 % Casella Waste Systems, Inc. - Class A 2.2 % Appfolio, Inc. - Class A 2.2 % MACOM Technology Solutions Holdings, Inc. 2.2 % Rambus, Inc. 2.2 % Tetra Tech, Inc. 2.0 % WEX, Inc. 2.0 % ACI Worldwide, Inc. 2.0 % John Bean Technologies Corp. 2.0 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/small-cap-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/small-cap-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000218626 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM International Equity Fund |
Class Name | Institutional Class |
Trading Symbol | WCMMX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM International Equity Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/international-equity-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/international-equity-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM International Equity Fund $ 0.85 % |
Expenses Paid, Amount | $ 42 |
Expense Ratio, Percent | 0.85% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 86,401,080 |
Holdings Count | Holding | 40 |
Advisory Fees Paid, Amount | $ 138,731 |
Investment Company Portfolio Turnover | 22% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings AstraZeneca PLC - ADR 4.9 % United Overseas Bank Ltd. 4.8 % Canadian National Railway Co. 4.0 % Iberdrola S.A. 3.9 % Compass Group PLC 3.8 % London Stock Exchange Group PLC 3.8 % HDFC Bank Ltd. - ADR 3.5 % Baker Hughes Co. 3.4 % Samsung Electronics Co., Ltd. 3.2 % Haleon PLC 3.1 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings AstraZeneca PLC - ADR 4.9 % United Overseas Bank Ltd. 4.8 % Canadian National Railway Co. 4.0 % Iberdrola S.A. 3.9 % Compass Group PLC 3.8 % London Stock Exchange Group PLC 3.8 % HDFC Bank Ltd. - ADR 3.5 % Baker Hughes Co. 3.4 % Samsung Electronics Co., Ltd. 3.2 % Haleon PLC 3.1 % |
Material Fund Change [Text Block] | Material Fund Changes On April 29, 2024, based on the recommendation of the Fund’s investment advisor, WCM Investment Management, LLC (“WCM”), the Board of Trustees of Investment Managers Series Trust (the “Board”) has approved the reorganization of the Fund into the First Trust WCM International Equity ETF, a newly created series of First Trust Exchange-Traded Fund (the “Reorganization”). Effective September 3, 2024, First Trust Portfolios This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/international-equity-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/international-equity-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000218625 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM International Equity Fund |
Class Name | Investor Class |
Trading Symbol | WESGX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM International Equity Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/international-equity-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/international-equity-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM International Equity Fund $ 1.10 % |
Expenses Paid, Amount | $ 55 |
Expense Ratio, Percent | 1.10% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 86,401,080 |
Holdings Count | Holding | 40 |
Advisory Fees Paid, Amount | $ 138,731 |
Investment Company Portfolio Turnover | 22% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings AstraZeneca PLC - ADR 4.9 % United Overseas Bank Ltd. 4.8 % Canadian National Railway Co. 4.0 % Iberdrola S.A. 3.9 % Compass Group PLC 3.8 % London Stock Exchange Group PLC 3.8 % HDFC Bank Ltd. - ADR 3.5 % Baker Hughes Co. 3.4 % Samsung Electronics Co., Ltd. 3.2 % Haleon PLC 3.1 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings AstraZeneca PLC - ADR 4.9 % United Overseas Bank Ltd. 4.8 % Canadian National Railway Co. 4.0 % Iberdrola S.A. 3.9 % Compass Group PLC 3.8 % London Stock Exchange Group PLC 3.8 % HDFC Bank Ltd. - ADR 3.5 % Baker Hughes Co. 3.4 % Samsung Electronics Co., Ltd. 3.2 % Haleon PLC 3.1 % |
Material Fund Change [Text Block] | Material Fund Changes On April 29, 2024, based on the recommendation of the Fund’s investment advisor, WCM Investment Management, LLC (“WCM”), the Board of Trustees of Investment Managers Series Trust (the “Board”) has approved the reorganization of the Fund into the First Trust WCM International Equity ETF, a newly created series of First Trust Exchange-Traded Fund (the “Reorganization”). Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/international-equity-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/international-equity-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000243960 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Quality Dividend Growth Fund |
Class Name | Institutional Class |
Trading Symbol | WCMYX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Quality Dividend Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/quality-dividend-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/quality-dividend-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Quality Dividend Growth Fund $ 0.99 % |
Expenses Paid, Amount | $ 50 |
Expense Ratio, Percent | 0.99% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 7,592,545 |
Holdings Count | Holding | 38 |
Advisory Fees Paid, Amount | $ (96,969) |
Investment Company Portfolio Turnover | 5% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Sector Allocation exclude short-term holdings, if any. The Sector Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Unilever PLC - ADR 3.8 % General Dynamics Corp. 3.7 % Amgen, Inc. 3.3 % Entergy Corp. 3.2 % Microsoft Corp. 3.2 % JPMorgan Chase & Co. 3.2 % Verizon Communications, Inc. 3.2 % Texas Instruments, Inc. 3.1 % Exxon Mobil Corp. 3.0 % Cullen/Frost Bankers, Inc. 3.0 % Asset Allocation Sector Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Unilever PLC - ADR 3.8 % General Dynamics Corp. 3.7 % Amgen, Inc. 3.3 % Entergy Corp. 3.2 % Microsoft Corp. 3.2 % JPMorgan Chase & Co. 3.2 % Verizon Communications, Inc. 3.2 % Texas Instruments, Inc. 3.1 % Exxon Mobil Corp. 3.0 % Cullen/Frost Bankers, Inc. 3.0 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/quality-dividend-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/quality-dividend-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000243961 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Quality Dividend Growth Fund |
Class Name | Investor Class |
Trading Symbol | WQDGX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Quality Dividend Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/quality-dividend-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/quality-dividend-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Quality Dividend Growth Fund $ 1.24 % |
Expenses Paid, Amount | $ 63 |
Expense Ratio, Percent | 1.24% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 7,592,545 |
Holdings Count | Holding | 38 |
Advisory Fees Paid, Amount | $ (96,969) |
Investment Company Portfolio Turnover | 5% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Sector Allocation exclude short-term holdings, if any. The Sector Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Unilever PLC - ADR 3.8 % General Dynamics Corp. 3.7 % Amgen, Inc. 3.3 % Entergy Corp. 3.2 % Microsoft Corp. 3.2 % JPMorgan Chase & Co. 3.2 % Verizon Communications, Inc. 3.2 % Texas Instruments, Inc. 3.1 % Exxon Mobil Corp. 3.0 % Cullen/Frost Bankers, Inc. 3.0 % Asset Allocation Sector Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Unilever PLC - ADR 3.8 % General Dynamics Corp. 3.7 % Amgen, Inc. 3.3 % Entergy Corp. 3.2 % Microsoft Corp. 3.2 % JPMorgan Chase & Co. 3.2 % Verizon Communications, Inc. 3.2 % Texas Instruments, Inc. 3.1 % Exxon Mobil Corp. 3.0 % Cullen/Frost Bankers, Inc. 3.0 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/quality-dividend-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/quality-dividend-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000101539 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused International Growth Fund |
Class Name | Institutional Class |
Trading Symbol | WCMIX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused International Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-international-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-international-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused International Growth Fund $ 1.03 % |
Expenses Paid, Amount | $ 54 |
Expense Ratio, Percent | 1.03% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 18,990,906,032 |
Holdings Count | Holding | 36 |
Advisory Fees Paid, Amount | $ 78,523,315 |
Investment Company Portfolio Turnover | 19% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Novo Nordisk A/S - Class B 7.2 % ICON PLC 4.5 % Ferrari N.V. 4.2 % ASM International N.V. 4.1 % Taiwan Semiconductor Manufacturing Co., Ltd. 4.1 % Canadian Pacific Kansas City Ltd. 3.9 % AstraZeneca PLC 3.8 % Safran S.A. 3.7 % ASML Holding N.V. 3.5 % BAE Systems PLC 3.5 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Novo Nordisk A/S - Class B 7.2 % ICON PLC 4.5 % Ferrari N.V. 4.2 % ASM International N.V. 4.1 % Taiwan Semiconductor Manufacturing Co., Ltd. 4.1 % Canadian Pacific Kansas City Ltd. 3.9 % AstraZeneca PLC 3.8 % Safran S.A. 3.7 % ASML Holding N.V. 3.5 % BAE Systems PLC 3.5 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-international-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-international-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000104483 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused International Growth Fund |
Class Name | Investor Class |
Trading Symbol | WCMRX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused International Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-international-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-international-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused International Growth Fund $ 1.28 % |
Expenses Paid, Amount | $ 67 |
Expense Ratio, Percent | 1.28% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 18,990,906,032 |
Holdings Count | Holding | 36 |
Advisory Fees Paid, Amount | $ 78,523,315 |
Investment Company Portfolio Turnover | 19% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Novo Nordisk A/S - Class B 7.2 % ICON PLC 4.5 % Ferrari N.V. 4.2 % ASM International N.V. 4.1 % Taiwan Semiconductor Manufacturing Co., Ltd. 4.1 % Canadian Pacific Kansas City Ltd. 3.9 % AstraZeneca PLC 3.8 % Safran S.A. 3.7 % ASML Holding N.V. 3.5 % BAE Systems PLC 3.5 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Novo Nordisk A/S - Class B 7.2 % ICON PLC 4.5 % Ferrari N.V. 4.2 % ASM International N.V. 4.1 % Taiwan Semiconductor Manufacturing Co., Ltd. 4.1 % Canadian Pacific Kansas City Ltd. 3.9 % AstraZeneca PLC 3.8 % Safran S.A. 3.7 % ASML Holding N.V. 3.5 % BAE Systems PLC 3.5 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-international-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-international-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000160892 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM International Small Cap Growth Fund |
Class Name | Institutional class |
Trading Symbol | WCMSX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM International Small Cap Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/international-small-cap-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/international-small-cap-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM International Small Cap Growth Fund $ 1.25 % |
Expenses Paid, Amount | $ 63 |
Expense Ratio, Percent | 1.25% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 294,904,421 |
Holdings Count | Holding | 67 |
Advisory Fees Paid, Amount | $ 1,450,500 |
Investment Company Portfolio Turnover | 44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Scout24 S.E. 3.0 % Integral Corp. 2.8 % Exosens SAS 2.8 % Celestica, Inc. 2.3 % InPost S.A. 2.1 % Money Forward, Inc. 2.1 % Schibsted A.S.A. - Class A 2.1 % Kyoto Financial Group, Inc. 2.0 % M&A Research Institute Holdings, Inc. 2.0 % Baltic Classifieds Group PLC 2.0 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Scout24 S.E. 3.0 % Integral Corp. 2.8 % Exosens SAS 2.8 % Celestica, Inc. 2.3 % InPost S.A. 2.1 % Money Forward, Inc. 2.1 % Schibsted A.S.A. - Class A 2.1 % Kyoto Financial Group, Inc. 2.0 % M&A Research Institute Holdings, Inc. 2.0 % Baltic Classifieds Group PLC 2.0 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/international-small-cap-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/international-small-cap-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000127811 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused Emerging Markets Fund |
Class Name | Institutional Class |
Trading Symbol | WCMEX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused Emerging Markets Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-emerging-markets-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-emerging-markets-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused Emerging Markets Fund $ 1.26 % |
Expenses Paid, Amount | $ 64 |
Expense Ratio, Percent | 1.26% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 1,003,324,334 |
Holdings Count | Holding | 47 |
Advisory Fees Paid, Amount | $ 5,038,275 |
Investment Company Portfolio Turnover | 34% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 12.5 % Naspers Ltd. - N Shares 5.0 % NU Holdings Ltd. - Class A 4.6 % Celestica, Inc. 4.1 % SK Hynix, Inc. 3.6 % ICICI Bank Ltd. 3.3 % Sea Ltd. - ADR 2.9 % Jentech Precision Industrial Co., Ltd. 2.6 % Bharat Electronics Ltd. 2.5 % MediaTek, Inc. 2.4 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 12.5 % Naspers Ltd. - N Shares 5.0 % NU Holdings Ltd. - Class A 4.6 % Celestica, Inc. 4.1 % SK Hynix, Inc. 3.6 % ICICI Bank Ltd. 3.3 % Sea Ltd. - ADR 2.9 % Jentech Precision Industrial Co., Ltd. 2.6 % Bharat Electronics Ltd. 2.5 % MediaTek, Inc. 2.4 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-emerging-markets-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-emerging-markets-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000127812 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused Emerging Markets Fund |
Class Name | Investor Class |
Trading Symbol | WFEMX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused Emerging Markets Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-emerging-markets-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-emerging-markets-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused Emerging Markets Fund $ 1.51 % |
Expenses Paid, Amount | $ 77 |
Expense Ratio, Percent | 1.51% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 1,003,324,334 |
Holdings Count | Holding | 47 |
Advisory Fees Paid, Amount | $ 5,038,275 |
Investment Company Portfolio Turnover | 34% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 12.5 % Naspers Ltd. - N Shares 5.0 % NU Holdings Ltd. - Class A 4.6 % Celestica, Inc. 4.1 % SK Hynix, Inc. 3.6 % ICICI Bank Ltd. 3.3 % Sea Ltd. - ADR 2.9 % Jentech Precision Industrial Co., Ltd. 2.6 % Bharat Electronics Ltd. 2.5 % MediaTek, Inc. 2.4 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 12.5 % Naspers Ltd. - N Shares 5.0 % NU Holdings Ltd. - Class A 4.6 % Celestica, Inc. 4.1 % SK Hynix, Inc. 3.6 % ICICI Bank Ltd. 3.3 % Sea Ltd. - ADR 2.9 % Jentech Precision Industrial Co., Ltd. 2.6 % Bharat Electronics Ltd. 2.5 % MediaTek, Inc. 2.4 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-emerging-markets-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-emerging-markets-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000215234 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM SMID Quality Value Fund |
Class Name | Institutional Class |
Trading Symbol | WCMFX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM SMID Quality Value Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/smid-quality-value-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/smid-quality-value-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM SMID Quality Value Fund $ 0.94 % |
Expenses Paid, Amount | $ 49 |
Expense Ratio, Percent | 0.94% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 71,485,624 |
Holdings Count | Holding | 38 |
Advisory Fees Paid, Amount | $ 118,682 |
Investment Company Portfolio Turnover | 5% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Sector Allocation exclude short-term holdings, if any. The Sector Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings GoDaddy, Inc. - Class A 5.2 % EMCOR Group, Inc. 4.5 % Brown & Brown, Inc. 4.2 % Element Solutions, Inc. 4.0 % Verra Mobility Corp. 4.0 % Entegris, Inc. 3.8 % API Group Corp. 3.5 % Jones Lang LaSalle, Inc. 3.3 % Booz Allen Hamilton Holding Corp. 2.9 % MKS Instruments, Inc. 2.9 % Asset Allocation Sector Allocation |
Largest Holdings [Text Block] | Top Ten Holdings GoDaddy, Inc. - Class A 5.2 % EMCOR Group, Inc. 4.5 % Brown & Brown, Inc. 4.2 % Element Solutions, Inc. 4.0 % Verra Mobility Corp. 4.0 % Entegris, Inc. 3.8 % API Group Corp. 3.5 % Jones Lang LaSalle, Inc. 3.3 % Booz Allen Hamilton Holding Corp. 2.9 % MKS Instruments, Inc. 2.9 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/smid-quality-value-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/smid-quality-value-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000215233 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM SMID Quality Value Fund |
Class Name | Investor Class |
Trading Symbol | WCMJX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM SMID Quality Value Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/smid-quality-value-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/smid-quality-value-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM SMID Quality Value Fund $ 1.19 % |
Expenses Paid, Amount | $ 61 |
Expense Ratio, Percent | 1.19% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 71,485,624 |
Holdings Count | Holding | 38 |
Advisory Fees Paid, Amount | $ 118,682 |
Investment Company Portfolio Turnover | 5% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Sector Allocation exclude short-term holdings, if any. The Sector Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings GoDaddy, Inc. - Class A 5.2 % EMCOR Group, Inc. 4.5 % Brown & Brown, Inc. 4.2 % Element Solutions, Inc. 4.0 % Verra Mobility Corp. 4.0 % Entegris, Inc. 3.8 % API Group Corp. 3.5 % Jones Lang LaSalle, Inc. 3.3 % Booz Allen Hamilton Holding Corp. 2.9 % MKS Instruments, Inc. 2.9 % Asset Allocation Sector Allocation |
Largest Holdings [Text Block] | Top Ten Holdings GoDaddy, Inc. - Class A 5.2 % EMCOR Group, Inc. 4.5 % Brown & Brown, Inc. 4.2 % Element Solutions, Inc. 4.0 % Verra Mobility Corp. 4.0 % Entegris, Inc. 3.8 % API Group Corp. 3.5 % Jones Lang LaSalle, Inc. 3.3 % Booz Allen Hamilton Holding Corp. 2.9 % MKS Instruments, Inc. 2.9 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/smid-quality-value-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/smid-quality-value-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000220167 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused International Value Fund |
Class Name | Institutional Class |
Trading Symbol | WCMVX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused International Value Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-international-value-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-international-value-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused International Value Fund $ 1.33 % |
Expenses Paid, Amount | $ 69 |
Expense Ratio, Percent | 1.33% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 9,039,707 |
Holdings Count | Holding | 49 |
Advisory Fees Paid, Amount | $ (81,120) |
Investment Company Portfolio Turnover | 24% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. - ADR 5.1 % Rolls-Royce Holdings PLC 4.9 % Celestica, Inc. 3.2 % UBS Group A.G. 3.1 % Muenchener Rueckversicherungs-Gesellschaft A.G. in Muenchen 3.0 % D'ieteren Group 2.9 % Puig Brands S.A. - Class B 2.9 % Canadian Natural Resources Ltd. 2.8 % ICON PLC 2.8 % Deutsche Telekom A.G. 2.7 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. - ADR 5.1 % Rolls-Royce Holdings PLC 4.9 % Celestica, Inc. 3.2 % UBS Group A.G. 3.1 % Muenchener Rueckversicherungs-Gesellschaft A.G. in Muenchen 3.0 % D'ieteren Group 2.9 % Puig Brands S.A. - Class B 2.9 % Canadian Natural Resources Ltd. 2.8 % ICON PLC 2.8 % Deutsche Telekom A.G. 2.7 % |
Material Fund Change [Text Block] | Material Fund Changes Effective July 1, 2024, WCM Investment Management, LLC (the “Advisor”) has contractually agreed to reduce the limit on the total annual fund operating expenses of the WCM Focused International Value Fund (the “Fund”) from 1.25% to 0.85% of the average daily net assets of the Fund’s Institutional Class shares. Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-international-value-fund |
Material Fund Change Expenses [Text Block] | Effective July 1, 2024, WCM Investment Management, LLC (the “Advisor”) has contractually agreed to reduce the limit on the total annual fund operating expenses of the WCM Focused International Value Fund (the “Fund”) from 1.25% to 0.85% of the average daily net assets of the Fund’s Institutional Class shares. |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-international-value-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000220168 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused International Value Fund |
Class Name | Investor Class |
Trading Symbol | WLIVX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused International Value Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-international-value-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-international-value-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused International Value Fund $ 1.58 % |
Expenses Paid, Amount | $ 82 |
Expense Ratio, Percent | 1.58% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 9,039,707 |
Holdings Count | Holding | 49 |
Advisory Fees Paid, Amount | $ (81,120) |
Investment Company Portfolio Turnover | 24% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. - ADR 5.1 % Rolls-Royce Holdings PLC 4.9 % Celestica, Inc. 3.2 % UBS Group A.G. 3.1 % Muenchener Rueckversicherungs-Gesellschaft A.G. in Muenchen 3.0 % D'ieteren Group 2.9 % Puig Brands S.A. - Class B 2.9 % Canadian Natural Resources Ltd. 2.8 % ICON PLC 2.8 % Deutsche Telekom A.G. 2.7 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. - ADR 5.1 % Rolls-Royce Holdings PLC 4.9 % Celestica, Inc. 3.2 % UBS Group A.G. 3.1 % Muenchener Rueckversicherungs-Gesellschaft A.G. in Muenchen 3.0 % D'ieteren Group 2.9 % Puig Brands S.A. - Class B 2.9 % Canadian Natural Resources Ltd. 2.8 % ICON PLC 2.8 % Deutsche Telekom A.G. 2.7 % |
Material Fund Change [Text Block] | Material Fund Changes Effective July 1, 2024, WCM Investment Management, LLC (the “Advisor”) has contractually agreed to reduce the limit on the total annual fund operating expenses of the WCM Focused International Value Fund (the “Fund”) from 1.50% to 1.10% of the average daily net assets of the Fund’s Investor Class shares. Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-international-value-fund |
Material Fund Change Expenses [Text Block] | Effective July 1, 2024, WCM Investment Management, LLC (the “Advisor”) has contractually agreed to reduce the limit on the total annual fund operating expenses of the WCM Focused International Value Fund (the “Fund”) from 1.50% to 1.10% of the average daily net assets of the Fund’s Investor Class shares. |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-international-value-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000238735 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused Emerging Markets ex China Fund |
Class Name | Institutional Class |
Trading Symbol | WCMWX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused Emerging Markets ex China Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-emerging-markets-ex-china-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-emerging-markets-ex-china-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused Emerging Markets ex China Fund $ 1.25 % |
Expenses Paid, Amount | $ 65 |
Expense Ratio, Percent | 1.25% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 7,443,273 |
Holdings Count | Holding | 45 |
Advisory Fees Paid, Amount | $ (117,094) |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 11.0 % SK Hynix, Inc. 5.6 % Celestica, Inc. 4.3 % NU Holdings Ltd. - Class A 3.7 % Sea Ltd. - ADR 2.8 % Bupa Arabia for Cooperative Insurance Co. 2.8 % Aldrees Petroleum and Transport Services Co. 2.8 % ICICI Bank Ltd. 2.8 % InPost S.A. 2.6 % Coupang, Inc. 2.6 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 11.0 % SK Hynix, Inc. 5.6 % Celestica, Inc. 4.3 % NU Holdings Ltd. - Class A 3.7 % Sea Ltd. - ADR 2.8 % Bupa Arabia for Cooperative Insurance Co. 2.8 % Aldrees Petroleum and Transport Services Co. 2.8 % ICICI Bank Ltd. 2.8 % InPost S.A. 2.6 % Coupang, Inc. 2.6 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-emerging-markets-ex-china-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-emerging-markets-ex-china-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000238736 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused Emerging Markets ex China Fund |
Class Name | Investor Class |
Trading Symbol | WCFEX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused Emerging Markets ex China Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-emerging-markets-ex-china-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-emerging-markets-ex-china-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused Emerging Markets ex China Fund $ 1.50 % |
Expenses Paid, Amount | $ 78 |
Expense Ratio, Percent | 1.50% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 7,443,273 |
Holdings Count | Holding | 45 |
Advisory Fees Paid, Amount | $ (117,094) |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 11.0 % SK Hynix, Inc. 5.6 % Celestica, Inc. 4.3 % NU Holdings Ltd. - Class A 3.7 % Sea Ltd. - ADR 2.8 % Bupa Arabia for Cooperative Insurance Co. 2.8 % Aldrees Petroleum and Transport Services Co. 2.8 % ICICI Bank Ltd. 2.8 % InPost S.A. 2.6 % Coupang, Inc. 2.6 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 11.0 % SK Hynix, Inc. 5.6 % Celestica, Inc. 4.3 % NU Holdings Ltd. - Class A 3.7 % Sea Ltd. - ADR 2.8 % Bupa Arabia for Cooperative Insurance Co. 2.8 % Aldrees Petroleum and Transport Services Co. 2.8 % ICICI Bank Ltd. 2.8 % InPost S.A. 2.6 % Coupang, Inc. 2.6 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-emerging-markets-ex-china-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-emerging-markets-ex-china-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000237215 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Mid Cap Quality Value Fund |
Class Name | Institutional Class |
Trading Symbol | WCMAX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Mid Cap Quality Value Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/mid-cap-quality-value-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/mid-cap-quality-value-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Mid Cap Quality Value Fund $ 1.00 % |
Expenses Paid, Amount | $ 51 |
Expense Ratio, Percent | 1% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 1,033,722 |
Holdings Count | Holding | 34 |
Advisory Fees Paid, Amount | $ (126,900) |
Investment Company Portfolio Turnover | 8% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Sector Allocation exclude short-term holdings, if any. The Sector Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings GoDaddy, Inc. - Class A 5.8 % Brown & Brown, Inc. 5.4 % Entegris, Inc. 4.6 % Element Solutions, Inc. 4.2 % CDW Corp. 4.2 % Booz Allen Hamilton Holding Corp. 3.9 % Molina Healthcare, Inc. 3.7 % PTC, Inc. 3.7 % Jones Lang LaSalle, Inc. 3.3 % Masco Corp. 3.2 % Asset Allocation Sector Allocation |
Largest Holdings [Text Block] | Top Ten Holdings GoDaddy, Inc. - Class A 5.8 % Brown & Brown, Inc. 5.4 % Entegris, Inc. 4.6 % Element Solutions, Inc. 4.2 % CDW Corp. 4.2 % Booz Allen Hamilton Holding Corp. 3.9 % Molina Healthcare, Inc. 3.7 % PTC, Inc. 3.7 % Jones Lang LaSalle, Inc. 3.3 % Masco Corp. 3.2 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/mid-cap-quality-value-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/mid-cap-quality-value-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000237216 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Mid Cap Quality Value Fund |
Class Name | Investor Class |
Trading Symbol | WMIDX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Mid Cap Quality Value Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/mid-cap-quality-value-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/mid-cap-quality-value-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Mid Cap Quality Value Fund $ 1.25 % |
Expenses Paid, Amount | $ 64 |
Expense Ratio, Percent | 1.25% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 1,033,722 |
Holdings Count | Holding | 34 |
Advisory Fees Paid, Amount | $ (126,900) |
Investment Company Portfolio Turnover | 8% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Sector Allocation exclude short-term holdings, if any. The Sector Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings GoDaddy, Inc. - Class A 5.8 % Brown & Brown, Inc. 5.4 % Entegris, Inc. 4.6 % Element Solutions, Inc. 4.2 % CDW Corp. 4.2 % Booz Allen Hamilton Holding Corp. 3.9 % Molina Healthcare, Inc. 3.7 % PTC, Inc. 3.7 % Jones Lang LaSalle, Inc. 3.3 % Masco Corp. 3.2 % Asset Allocation Sector Allocation |
Largest Holdings [Text Block] | Top Ten Holdings GoDaddy, Inc. - Class A 5.8 % Brown & Brown, Inc. 5.4 % Entegris, Inc. 4.6 % Element Solutions, Inc. 4.2 % CDW Corp. 4.2 % Booz Allen Hamilton Holding Corp. 3.9 % Molina Healthcare, Inc. 3.7 % PTC, Inc. 3.7 % Jones Lang LaSalle, Inc. 3.3 % Masco Corp. 3.2 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/mid-cap-quality-value-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/mid-cap-quality-value-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000218622 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM China Quality Growth Fund |
Class Name | Institutional Class |
Trading Symbol | WCMCX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM China Quality Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/china-quality-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/china-quality-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM China Quality Growth Fund $ 1.39 % |
Expenses Paid, Amount | $ 66 |
Expense Ratio, Percent | 1.39% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 2,574,782 |
Holdings Count | Holding | 31 |
Advisory Fees Paid, Amount | $ (127,954) |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Tencent Holdings Ltd. 11.2 % Prosus N.V. - ADR 5.7 % Shenzhou International Group Holdings Ltd. 5.1 % Fuyao Glass Industry Group Co., Ltd. - Class H 4.2 % Kweichow Moutai Co., Ltd. - Class A 3.9 % Warom Technology, Inc. Co. - Class A 3.8 % Qingdao Haier Biomedical Co., Ltd. - Class A 3.4 % AIA Group Ltd. 3.2 % MediaTek, Inc. 3.2 % NARI Technology Co., Ltd. - Class A 3.2 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Tencent Holdings Ltd. 11.2 % Prosus N.V. - ADR 5.7 % Shenzhou International Group Holdings Ltd. 5.1 % Fuyao Glass Industry Group Co., Ltd. - Class H 4.2 % Kweichow Moutai Co., Ltd. - Class A 3.9 % Warom Technology, Inc. Co. - Class A 3.8 % Qingdao Haier Biomedical Co., Ltd. - Class A 3.4 % AIA Group Ltd. 3.2 % MediaTek, Inc. 3.2 % NARI Technology Co., Ltd. - Class A 3.2 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/china-quality-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/china-quality-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000218621 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM China Quality Growth Fund |
Class Name | Investor Class |
Trading Symbol | WCQGX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM China Quality Growth Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/china-quality-growth-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/china-quality-growth-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM China Quality Growth Fund $ 1.64 % |
Expenses Paid, Amount | $ 78 |
Expense Ratio, Percent | 1.64% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 2,574,782 |
Holdings Count | Holding | 31 |
Advisory Fees Paid, Amount | $ (127,954) |
Investment Company Portfolio Turnover | 31% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Tencent Holdings Ltd. 11.2 % Prosus N.V. - ADR 5.7 % Shenzhou International Group Holdings Ltd. 5.1 % Fuyao Glass Industry Group Co., Ltd. - Class H 4.2 % Kweichow Moutai Co., Ltd. - Class A 3.9 % Warom Technology, Inc. Co. - Class A 3.8 % Qingdao Haier Biomedical Co., Ltd. - Class A 3.4 % AIA Group Ltd. 3.2 % MediaTek, Inc. 3.2 % NARI Technology Co., Ltd. - Class A 3.2 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Tencent Holdings Ltd. 11.2 % Prosus N.V. - ADR 5.7 % Shenzhou International Group Holdings Ltd. 5.1 % Fuyao Glass Industry Group Co., Ltd. - Class H 4.2 % Kweichow Moutai Co., Ltd. - Class A 3.9 % Warom Technology, Inc. Co. - Class A 3.8 % Qingdao Haier Biomedical Co., Ltd. - Class A 3.4 % AIA Group Ltd. 3.2 % MediaTek, Inc. 3.2 % NARI Technology Co., Ltd. - Class A 3.2 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/china-quality-growth-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/china-quality-growth-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000218624 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Developing World Equity Fund |
Class Name | Institutional Class |
Trading Symbol | WCMDX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Developing World Equity Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/developing-world-equity-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/developing-world-equity-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Developing World Equity Fund $ 0.96 % |
Expenses Paid, Amount | $ 48 |
Expense Ratio, Percent | 0.96% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 1,770,223 |
Holdings Count | Holding | 34 |
Advisory Fees Paid, Amount | $ (125,336) |
Investment Company Portfolio Turnover | 25% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 5.6 % Samsung Electronics Co., Ltd. 5.0 % United Overseas Bank Ltd. 4.7 % HDFC Bank Ltd. - ADR 4.6 % AIA Group Ltd. 4.6 % Bid Corp. Ltd. 3.7 % Tencent Holdings Ltd. 3.3 % MercadoLibre, Inc. 3.3 % TOTVS S.A. 3.3 % Baker Hughes Co. 3.2 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 5.6 % Samsung Electronics Co., Ltd. 5.0 % United Overseas Bank Ltd. 4.7 % HDFC Bank Ltd. - ADR 4.6 % AIA Group Ltd. 4.6 % Bid Corp. Ltd. 3.7 % Tencent Holdings Ltd. 3.3 % MercadoLibre, Inc. 3.3 % TOTVS S.A. 3.3 % Baker Hughes Co. 3.2 % |
Material Fund Change [Text Block] | Material Fund Changes On April 29, 2024, based on the recommendation of the Fund’s investment advisor, WCM Investment Management, LLC (“WCM”), the Board of Trustees of Investment Managers Series Trust (the “Board”) has approved the reorganization of the Fund into the First Trust WCM Developing World Equity ETF, a newly created series of First Trust Exchange-Traded Fund (the “Reorganization”). Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/developing-world-equity-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/developing-world-equity-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000218623 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Developing World Equity Fund |
Class Name | Investor Class |
Trading Symbol | WCMUX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Developing World Equity Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/developing-world-equity-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/developing-world-equity-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Developing World Equity Fund $ 1.21 % |
Expenses Paid, Amount | $ 61 |
Expense Ratio, Percent | 1.21% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 1,770,223 |
Holdings Count | Holding | 34 |
Advisory Fees Paid, Amount | $ (125,336) |
Investment Company Portfolio Turnover | 25% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ ) % Total number of portfolio holdings $ ) % Total advisory fee paid/(reimbursed) $ ) % Portfolio turnover rate as of the end of the reporting period $ ) % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 5.6 % Samsung Electronics Co., Ltd. 5.0 % United Overseas Bank Ltd. 4.7 % HDFC Bank Ltd. - ADR 4.6 % AIA Group Ltd. 4.6 % Bid Corp. Ltd. 3.7 % Tencent Holdings Ltd. 3.3 % MercadoLibre, Inc. 3.3 % TOTVS S.A. 3.3 % Baker Hughes Co. 3.2 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings Taiwan Semiconductor Manufacturing Co., Ltd. 5.6 % Samsung Electronics Co., Ltd. 5.0 % United Overseas Bank Ltd. 4.7 % HDFC Bank Ltd. - ADR 4.6 % AIA Group Ltd. 4.6 % Bid Corp. Ltd. 3.7 % Tencent Holdings Ltd. 3.3 % MercadoLibre, Inc. 3.3 % TOTVS S.A. 3.3 % Baker Hughes Co. 3.2 % |
Material Fund Change [Text Block] | Material Fund Changes On April 29, 2024, based on the recommendation of the Fund’s investment advisor, WCM Investment Management, LLC (“WCM”), the Board of Trustees of Investment Managers Series Trust (the “Board”) has approved the reorganization of the Fund into the First Trust WCM Developing World Equity ETF, a newly created series of First Trust Exchange-Traded Fund (the “Reorganization”). Effective September 3, 2024, First Trust Portfolios This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/developing-world-equity-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/developing-world-equity-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000225977 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused International Opportunities Fund |
Class Name | Institutional Class |
Trading Symbol | WCMOX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused International Opportunities Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-international-opportunities-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-international-opportunities-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused International Opportunities Fund $ 1.25 % |
Expenses Paid, Amount | $ 63 |
Expense Ratio, Percent | 1.25% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 40,631,622 |
Holdings Count | Holding | 44 |
Advisory Fees Paid, Amount | $ 71,085 |
Investment Company Portfolio Turnover | 28% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings 3i Group PLC 3.8 % Saab A.B. - Class B 3.5 % ASM International N.V. 3.4 % Scout24 S.E. 3.3 % Novo Nordisk A/S - Class B 3.2 % Puig Brands S.A. - Class B 3.1 % NU Holdings Ltd. - Class A 3.1 % Celestica, Inc. 2.9 % Elastic N.V. 2.8 % D'ieteren Group 2.8 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings 3i Group PLC 3.8 % Saab A.B. - Class B 3.5 % ASM International N.V. 3.4 % Scout24 S.E. 3.3 % Novo Nordisk A/S - Class B 3.2 % Puig Brands S.A. - Class B 3.1 % NU Holdings Ltd. - Class A 3.1 % Celestica, Inc. 2.9 % Elastic N.V. 2.8 % D'ieteren Group 2.8 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-international-opportunities-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-international-opportunities-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
C000225976 [Member] | |
Shareholder Report [Line Items] | |
Fund Name | WCM Focused International Opportunities Fund |
Class Name | Investor Class |
Trading Symbol | WCFOX |
Annual or Semi-Annual Statement [Text Block] | This semi-annual shareholder report contains important information about the WCM Focused International Opportunities Fund (“Fund”) for the period of January 1, 2024 to June 30, 2024. |
Shareholder Report Annual or Semi-Annual | semi-annual shareholder report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.wcminvestfunds.com/focused-international-opportunities-fund |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | (888) 988-9801 |
Additional Information Website | https://www.wcminvestfunds.com/focused-international-opportunities-fund |
Expenses [Text Block] | Fund Expenses (Based on a hypothetical $10,000 investment) Fund (Class) Costs of a $10,000 investment Costs paid as a percentage WCM Focused International Opportunities Fund $ 1.50 % |
Expenses Paid, Amount | $ 75 |
Expense Ratio, Percent | 1.50% |
Material Change Date | Sep. 03, 2024 |
Net Assets | $ 40,631,622 |
Holdings Count | Holding | 44 |
Advisory Fees Paid, Amount | $ 71,085 |
Investment Company Portfolio Turnover | 28% |
Additional Fund Statistics [Text Block] | Key Fund Statistics The following table outlines key fund statistics that you should pay attention to. Fund net assets $ % Total number of portfolio holdings $ % Total advisory fee paid/(reimbursed) $ % Portfolio turnover rate as of the end of the reporting period $ % |
Holdings [Text Block] | Graphical Representation of Holdings The tables below show the investment makeup of the Fund, representing percentage of the total net assets of the Fund. The Top Ten Holdings and Country Allocation exclude short-term holdings, if any. The Country Allocation chart represents Common Stocks held by the Fund. Top Ten Holdings 3i Group PLC 3.8 % Saab A.B. - Class B 3.5 % ASM International N.V. 3.4 % Scout24 S.E. 3.3 % Novo Nordisk A/S - Class B 3.2 % Puig Brands S.A. - Class B 3.1 % NU Holdings Ltd. - Class A 3.1 % Celestica, Inc. 2.9 % Elastic N.V. 2.8 % D'ieteren Group 2.8 % Asset Allocation Country Allocation |
Largest Holdings [Text Block] | Top Ten Holdings 3i Group PLC 3.8 % Saab A.B. - Class B 3.5 % ASM International N.V. 3.4 % Scout24 S.E. 3.3 % Novo Nordisk A/S - Class B 3.2 % Puig Brands S.A. - Class B 3.1 % NU Holdings Ltd. - Class A 3.1 % Celestica, Inc. 2.9 % Elastic N.V. 2.8 % D'ieteren Group 2.8 % |
Material Fund Change [Text Block] | Material Fund Changes Effective September 3, 2024, First Trust Portfolios L.P. will serve as the Fund's distributor. This is a summary of certain planned changes to the Fund since the beginning of the reporting period. https://www.wcminvestfunds.com/focused-international-opportunities-fund |
Updated Prospectus Phone Number | (888) 988-9801 |
Updated Prospectus Web Address | https://www.wcminvestfunds.com/focused-international-opportunities-fund |
Accountant Change Disagreements [Text Block] | Changes in and Disagreements with Accountants There were no changes in or disagreements with the Fund's accountants during the reporting period. |
Shareholder Report, Holdings (D
Shareholder Report, Holdings (Details) | Jun. 30, 2024 |
C000127813 [Member] | Novo Nordisk A S Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000127813 [Member] | Amazon com Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
C000127813 [Member] | General Electric Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000127813 [Member] | Microsoft Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000127813 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000127813 [Member] | NVIDIA Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000127813 [Member] | AppLovin Corp Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000127813 [Member] | Datadog Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000127813 [Member] | Arthur J Gallagher And Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000127813 [Member] | Threei Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000127813 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
C000127813 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000127813 [Member] | SPAIN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000127813 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000127813 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
C000127813 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000127813 [Member] | ITALY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000127813 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000127813 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000127813 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000127813 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 60.10% |
C000127813 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98% |
C000127813 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000127813 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000127814 [Member] | Novo Nordisk A S Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000127814 [Member] | Amazon com Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
C000127814 [Member] | General Electric Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000127814 [Member] | Microsoft Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000127814 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000127814 [Member] | NVIDIA Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000127814 [Member] | AppLovin Corp Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000127814 [Member] | Datadog Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000127814 [Member] | Arthur J Gallagher And Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000127814 [Member] | Threei Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000127814 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
C000127814 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000127814 [Member] | SPAIN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000127814 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000127814 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
C000127814 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000127814 [Member] | ITALY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000127814 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000127814 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000127814 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000127814 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 60.10% |
C000127814 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98% |
C000127814 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000127814 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000215235 [Member] | Casey s General Stores Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000215235 [Member] | Applied Industrial Technologies Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000215235 [Member] | Casella Waste Systems Inc Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000215235 [Member] | Appfolio Inc Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000215235 [Member] | MACOM Technology Solutions Holdings Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000215235 [Member] | Rambus Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000215235 [Member] | Tetra Tech Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000215235 [Member] | WEX Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000215235 [Member] | ACI Worldwide Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000215235 [Member] | John Bean Technologies Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000215235 [Member] | Energy Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000215235 [Member] | Healthcare Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.80% |
C000215235 [Member] | Real Estate Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000215235 [Member] | Technology Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.50% |
C000215235 [Member] | Communications Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000215235 [Member] | Consumer Discretionary Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.70% |
C000215235 [Member] | Consumer Staples Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
C000215235 [Member] | Materials Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000215235 [Member] | Financials [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
C000215235 [Member] | Industrial Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.80% |
C000215235 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.60% |
C000215235 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000215235 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000215236 [Member] | Casey s General Stores Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000215236 [Member] | Applied Industrial Technologies Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000215236 [Member] | Casella Waste Systems Inc Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000215236 [Member] | Appfolio Inc Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000215236 [Member] | MACOM Technology Solutions Holdings Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000215236 [Member] | Rambus Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000215236 [Member] | Tetra Tech Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000215236 [Member] | WEX Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000215236 [Member] | ACI Worldwide Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000215236 [Member] | John Bean Technologies Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000215236 [Member] | Energy Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000215236 [Member] | Healthcare Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.80% |
C000215236 [Member] | Real Estate Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000215236 [Member] | Technology Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21.50% |
C000215236 [Member] | Communications Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000215236 [Member] | Consumer Discretionary Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.70% |
C000215236 [Member] | Consumer Staples Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
C000215236 [Member] | Materials Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000215236 [Member] | Financials [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
C000215236 [Member] | Industrial Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 20.80% |
C000215236 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.60% |
C000215236 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000215236 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000218626 [Member] | AstraZeneca PLC ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
C000218626 [Member] | United Overseas Bank Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
C000218626 [Member] | Canadian National Railway Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000218626 [Member] | Iberdrola S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000218626 [Member] | Compass Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000218626 [Member] | London Stock Exchange Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000218626 [Member] | HDFC Bank Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000218626 [Member] | Baker Hughes Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000218626 [Member] | Samsung Electronics Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218626 [Member] | Haleon PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000218626 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000218626 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000218626 [Member] | SPAIN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000218626 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218626 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.90% |
C000218626 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000218626 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000218626 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000218626 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000218626 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.10% |
C000218626 [Member] | GERMANY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000218626 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
C000218626 [Member] | HONG KONG | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000218626 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
C000218626 [Member] | IRELAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000218626 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
C000218626 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218626 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218626 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000218626 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000218626 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000218626 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.90% |
C000218626 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000218626 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (1.60%) |
C000218625 [Member] | AstraZeneca PLC ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
C000218625 [Member] | United Overseas Bank Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
C000218625 [Member] | Canadian National Railway Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000218625 [Member] | Iberdrola S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000218625 [Member] | Compass Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000218625 [Member] | London Stock Exchange Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000218625 [Member] | HDFC Bank Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000218625 [Member] | Baker Hughes Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000218625 [Member] | Samsung Electronics Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218625 [Member] | Haleon PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000218625 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000218625 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000218625 [Member] | SPAIN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000218625 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218625 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.90% |
C000218625 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000218625 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000218625 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000218625 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000218625 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.10% |
C000218625 [Member] | GERMANY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000218625 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
C000218625 [Member] | HONG KONG | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000218625 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
C000218625 [Member] | IRELAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000218625 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
C000218625 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218625 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218625 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000218625 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000218625 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000218625 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.90% |
C000218625 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000218625 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (1.60%) |
C000243960 [Member] | Microsoft Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000243960 [Member] | Unilever PLC ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000243960 [Member] | General Dynamics Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000243960 [Member] | Amgen Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000243960 [Member] | Entergy Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000243960 [Member] | JPMorgan Chase And Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000243960 [Member] | Verizon Communications Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000243960 [Member] | Texas Instruments Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000243960 [Member] | Exxon Mobil Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000243960 [Member] | Cullen Frost Bankers Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000243960 [Member] | Energy Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.50% |
C000243960 [Member] | Healthcare Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.80% |
C000243960 [Member] | Real Estate Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000243960 [Member] | Technology Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.60% |
C000243960 [Member] | Communications Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000243960 [Member] | Consumer Discretionary Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000243960 [Member] | Consumer Staples Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 15.10% |
C000243960 [Member] | Financials [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.80% |
C000243960 [Member] | Industrial Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.80% |
C000243960 [Member] | Utilities Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000243960 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.60% |
C000243960 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
C000243960 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000243961 [Member] | Microsoft Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000243961 [Member] | Unilever PLC ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000243961 [Member] | General Dynamics Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000243961 [Member] | Amgen Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000243961 [Member] | Entergy Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000243961 [Member] | JPMorgan Chase And Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000243961 [Member] | Verizon Communications Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000243961 [Member] | Texas Instruments Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000243961 [Member] | Exxon Mobil Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000243961 [Member] | Cullen Frost Bankers Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000243961 [Member] | Energy Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.50% |
C000243961 [Member] | Healthcare Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.80% |
C000243961 [Member] | Real Estate Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000243961 [Member] | Technology Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.60% |
C000243961 [Member] | Communications Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000243961 [Member] | Consumer Discretionary Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000243961 [Member] | Consumer Staples Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 15.10% |
C000243961 [Member] | Financials [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.80% |
C000243961 [Member] | Industrial Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.80% |
C000243961 [Member] | Utilities Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000243961 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 91.60% |
C000243961 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
C000243961 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000101539 [Member] | Novo Nordisk A S Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000101539 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000101539 [Member] | ICON PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
C000101539 [Member] | Ferrari N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000101539 [Member] | ASM International N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000101539 [Member] | Canadian Pacific Kansas City Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000101539 [Member] | AstraZeneca PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000101539 [Member] | Safran S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000101539 [Member] | ASML Holding N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000101539 [Member] | BAE Systems PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000101539 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.80% |
C000101539 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000101539 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.20% |
C000101539 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.10% |
C000101539 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000101539 [Member] | ITALY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000101539 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
C000101539 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000101539 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000101539 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000101539 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000101539 [Member] | IRELAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.30% |
C000101539 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000101539 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000101539 [Member] | AUSTRALIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000101539 [Member] | BERMUDA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000101539 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000101539 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000101539 [Member] | ISRAEL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000101539 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.10% |
C000101539 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.20%) |
C000101539 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000104483 [Member] | Novo Nordisk A S Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000104483 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000104483 [Member] | ICON PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
C000104483 [Member] | Ferrari N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000104483 [Member] | ASM International N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000104483 [Member] | Canadian Pacific Kansas City Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000104483 [Member] | AstraZeneca PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000104483 [Member] | Safran S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000104483 [Member] | ASML Holding N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000104483 [Member] | BAE Systems PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000104483 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.80% |
C000104483 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000104483 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.20% |
C000104483 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.10% |
C000104483 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000104483 [Member] | ITALY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000104483 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
C000104483 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000104483 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000104483 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000104483 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000104483 [Member] | IRELAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.30% |
C000104483 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000104483 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000104483 [Member] | AUSTRALIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000104483 [Member] | BERMUDA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000104483 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000104483 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000104483 [Member] | ISRAEL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000104483 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.10% |
C000104483 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.20%) |
C000104483 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000160892 [Member] | Scout24 S E [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000160892 [Member] | Integral Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000160892 [Member] | Exosens SAS [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000160892 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000160892 [Member] | InPost S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000160892 [Member] | Money Forward Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000160892 [Member] | Schibsted A S A Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000160892 [Member] | Kyoto Financial Group Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000160892 [Member] | M And A Research Institute Holdings Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000160892 [Member] | Baltic Classifieds Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000160892 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.40% |
C000160892 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000160892 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000160892 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.30% |
C000160892 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000160892 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000160892 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.90% |
C000160892 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000160892 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000160892 [Member] | GERMANY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000160892 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000160892 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 15.80% |
C000160892 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
C000160892 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000160892 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000160892 [Member] | AUSTRALIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000160892 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000160892 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000160892 [Member] | VIET NAM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
C000160892 [Member] | NORWAY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000160892 [Member] | POLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000160892 [Member] | SAUDI ARABIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000160892 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000160892 [Member] | BELGIUM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000160892 [Member] | CYPRUS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
C000160892 [Member] | FINLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
C000160892 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.80% |
C000160892 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000160892 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.40%) |
C000127811 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
C000127811 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000127811 [Member] | Naspers Ltd N Shares [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000127811 [Member] | NU Holdings Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000127811 [Member] | SK Hynix Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000127811 [Member] | ICICI Bank Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000127811 [Member] | Sea Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000127811 [Member] | Jentech Precision Industrial Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000127811 [Member] | Bharat Electronics Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000127811 [Member] | MediaTek Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
C000127811 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000127811 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.70% |
C000127811 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.60% |
C000127811 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
C000127811 [Member] | HONG KONG | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000127811 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000127811 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000127811 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
C000127811 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000127811 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000127811 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.60% |
C000127811 [Member] | POLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000127811 [Member] | SAUDI ARABIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000127811 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
C000127811 [Member] | KAZAKHSTAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000127811 [Member] | RUSSIAN FEDERATION | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000127811 [Member] | SOUTH AFRICA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
C000127811 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.60% |
C000127811 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.20%) |
C000127811 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000127811 [Member] | Rights [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000127812 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.50% |
C000127812 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000127812 [Member] | Naspers Ltd N Shares [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000127812 [Member] | NU Holdings Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000127812 [Member] | SK Hynix Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000127812 [Member] | ICICI Bank Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000127812 [Member] | Sea Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000127812 [Member] | Jentech Precision Industrial Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000127812 [Member] | Bharat Electronics Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000127812 [Member] | MediaTek Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
C000127812 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000127812 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.70% |
C000127812 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.60% |
C000127812 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
C000127812 [Member] | HONG KONG | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000127812 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000127812 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000127812 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
C000127812 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000127812 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000127812 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.60% |
C000127812 [Member] | POLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000127812 [Member] | SAUDI ARABIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000127812 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.60% |
C000127812 [Member] | KAZAKHSTAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000127812 [Member] | RUSSIAN FEDERATION | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000127812 [Member] | SOUTH AFRICA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
C000127812 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.60% |
C000127812 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.20%) |
C000127812 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000127812 [Member] | Rights [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000215234 [Member] | GoDaddy Inc Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
C000215234 [Member] | EMCOR Group Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
C000215234 [Member] | Brown And Brown Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000215234 [Member] | Element Solutions Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000215234 [Member] | Verra Mobility Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000215234 [Member] | Entegris Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000215234 [Member] | API Group Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000215234 [Member] | Jones Lang LaSalle Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000215234 [Member] | Booz Allen Hamilton Holding Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000215234 [Member] | MKS Instruments Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000215234 [Member] | Healthcare Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.10% |
C000215234 [Member] | Real Estate Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000215234 [Member] | Technology Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.80% |
C000215234 [Member] | Communications Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
C000215234 [Member] | Consumer Discretionary Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 15.30% |
C000215234 [Member] | Consumer Staples Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000215234 [Member] | Materials Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.70% |
C000215234 [Member] | Financials [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.10% |
C000215234 [Member] | Industrial Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 26.10% |
C000215234 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.50% |
C000215234 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000215234 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.10%) |
C000215233 [Member] | GoDaddy Inc Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
C000215233 [Member] | EMCOR Group Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
C000215233 [Member] | Brown And Brown Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000215233 [Member] | Element Solutions Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000215233 [Member] | Verra Mobility Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000215233 [Member] | Entegris Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000215233 [Member] | API Group Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000215233 [Member] | Jones Lang LaSalle Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000215233 [Member] | Booz Allen Hamilton Holding Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000215233 [Member] | MKS Instruments Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000215233 [Member] | Healthcare Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.10% |
C000215233 [Member] | Real Estate Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000215233 [Member] | Technology Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.80% |
C000215233 [Member] | Communications Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.20% |
C000215233 [Member] | Consumer Discretionary Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 15.30% |
C000215233 [Member] | Consumer Staples Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000215233 [Member] | Materials Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.70% |
C000215233 [Member] | Financials [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.10% |
C000215233 [Member] | Industrial Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 26.10% |
C000215233 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.50% |
C000215233 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000215233 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.10%) |
C000220167 [Member] | ICON PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000220167 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000220167 [Member] | Rolls Royce Holdings PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
C000220167 [Member] | UBS Group A G [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000220167 [Member] | Muenchener Rueckversicherungs Gesellschaft A G in Muenchen [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000220167 [Member] | D ieteren Group [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000220167 [Member] | Puig Brands S A Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000220167 [Member] | Canadian Natural Resources Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000220167 [Member] | Deutsche Telekom A G [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000220167 [Member] | Taiwan Semiconductor Manufacturing Co Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000220167 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.40% |
C000220167 [Member] | SPAIN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000220167 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000220167 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.30% |
C000220167 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000220167 [Member] | ITALY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000220167 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000220167 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000220167 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000220167 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000220167 [Member] | GERMANY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.30% |
C000220167 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000220167 [Member] | IRELAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
C000220167 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
C000220167 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000220167 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000220167 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.80% |
C000220167 [Member] | ISRAEL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000220167 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000220167 [Member] | KAZAKHSTAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000220167 [Member] | RUSSIAN FEDERATION | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000220167 [Member] | BELGIUM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000220167 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.30% |
C000220167 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
C000220167 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
C000220168 [Member] | ICON PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000220168 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000220168 [Member] | Rolls Royce Holdings PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.90% |
C000220168 [Member] | UBS Group A G [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000220168 [Member] | Muenchener Rueckversicherungs Gesellschaft A G in Muenchen [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000220168 [Member] | D ieteren Group [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000220168 [Member] | Puig Brands S A Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000220168 [Member] | Canadian Natural Resources Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000220168 [Member] | Deutsche Telekom A G [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000220168 [Member] | Taiwan Semiconductor Manufacturing Co Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000220168 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.40% |
C000220168 [Member] | SPAIN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000220168 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000220168 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.30% |
C000220168 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000220168 [Member] | ITALY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000220168 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000220168 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000220168 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000220168 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000220168 [Member] | GERMANY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.30% |
C000220168 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000220168 [Member] | IRELAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
C000220168 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
C000220168 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000220168 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000220168 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.80% |
C000220168 [Member] | ISRAEL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000220168 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000220168 [Member] | KAZAKHSTAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000220168 [Member] | RUSSIAN FEDERATION | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000220168 [Member] | BELGIUM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000220168 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 97.30% |
C000220168 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
C000220168 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
C000238735 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11% |
C000238735 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000238735 [Member] | InPost S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000238735 [Member] | NU Holdings Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000238735 [Member] | SK Hynix Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
C000238735 [Member] | ICICI Bank Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000238735 [Member] | Sea Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000238735 [Member] | Bupa Arabia for Cooperative Insurance Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000238735 [Member] | Aldrees Petroleum and Transport Services Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000238735 [Member] | Coupang Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000238735 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000238735 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000238735 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 15.20% |
C000238735 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.20% |
C000238735 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000238735 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000238735 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
C000238735 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000238735 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000238735 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000238735 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.70% |
C000238735 [Member] | POLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000238735 [Member] | SAUDI ARABIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
C000238735 [Member] | KAZAKHSTAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000238735 [Member] | SOUTH AFRICA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000238735 [Member] | CYPRUS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000238735 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.40% |
C000238735 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.80%) |
C000238735 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
C000238735 [Member] | Rights [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000238736 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11% |
C000238736 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000238736 [Member] | InPost S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000238736 [Member] | NU Holdings Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000238736 [Member] | SK Hynix Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
C000238736 [Member] | ICICI Bank Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000238736 [Member] | Sea Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000238736 [Member] | Bupa Arabia for Cooperative Insurance Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000238736 [Member] | Aldrees Petroleum and Transport Services Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000238736 [Member] | Coupang Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000238736 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000238736 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000238736 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 15.20% |
C000238736 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.20% |
C000238736 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000238736 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000238736 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.10% |
C000238736 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000238736 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000238736 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000238736 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.70% |
C000238736 [Member] | POLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000238736 [Member] | SAUDI ARABIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
C000238736 [Member] | KAZAKHSTAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000238736 [Member] | SOUTH AFRICA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000238736 [Member] | CYPRUS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000238736 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.40% |
C000238736 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.80%) |
C000238736 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
C000238736 [Member] | Rights [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000237215 [Member] | GoDaddy Inc Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
C000237215 [Member] | Brown And Brown Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000237215 [Member] | Element Solutions Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000237215 [Member] | Entegris Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000237215 [Member] | Jones Lang LaSalle Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000237215 [Member] | Booz Allen Hamilton Holding Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000237215 [Member] | CDW Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000237215 [Member] | Molina Healthcare Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000237215 [Member] | PTC Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000237215 [Member] | Masco Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000237215 [Member] | Healthcare Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.10% |
C000237215 [Member] | Real Estate Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
C000237215 [Member] | Technology Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 22.10% |
C000237215 [Member] | Communications Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
C000237215 [Member] | Consumer Discretionary Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.80% |
C000237215 [Member] | Materials Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.20% |
C000237215 [Member] | Financials [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.10% |
C000237215 [Member] | Industrial Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.90% |
C000237215 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.50% |
C000237215 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000237215 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000237216 [Member] | GoDaddy Inc Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
C000237216 [Member] | Brown And Brown Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000237216 [Member] | Element Solutions Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000237216 [Member] | Entegris Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000237216 [Member] | Jones Lang LaSalle Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000237216 [Member] | Booz Allen Hamilton Holding Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000237216 [Member] | CDW Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000237216 [Member] | Molina Healthcare Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000237216 [Member] | PTC Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000237216 [Member] | Masco Corp [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000237216 [Member] | Healthcare Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.10% |
C000237216 [Member] | Real Estate Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
C000237216 [Member] | Technology Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 22.10% |
C000237216 [Member] | Communications Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
C000237216 [Member] | Consumer Discretionary Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.80% |
C000237216 [Member] | Materials Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14.20% |
C000237216 [Member] | Financials [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.10% |
C000237216 [Member] | Industrial Sector [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 19.90% |
C000237216 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.50% |
C000237216 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000237216 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000218622 [Member] | MediaTek Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218622 [Member] | Tencent Holdings Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.20% |
C000218622 [Member] | Prosus N V ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
C000218622 [Member] | Shenzhou International Group Holdings Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000218622 [Member] | Fuyao Glass Industry Group Co Ltd Class H [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000218622 [Member] | Kweichow Moutai Co Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000218622 [Member] | Warom Technology Inc Co Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000218622 [Member] | Qingdao Haier Biomedical Co Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000218622 [Member] | AIA Group Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218622 [Member] | NARI Technology Co Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218622 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
C000218622 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
C000218622 [Member] | HONG KONG | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
C000218622 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 74.20% |
C000218622 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.30% |
C000218622 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.60%) |
C000218622 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000218621 [Member] | MediaTek Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218621 [Member] | Tencent Holdings Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11.20% |
C000218621 [Member] | Prosus N V ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
C000218621 [Member] | Shenzhou International Group Holdings Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000218621 [Member] | Fuyao Glass Industry Group Co Ltd Class H [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000218621 [Member] | Kweichow Moutai Co Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000218621 [Member] | Warom Technology Inc Co Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000218621 [Member] | Qingdao Haier Biomedical Co Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000218621 [Member] | AIA Group Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218621 [Member] | NARI Technology Co Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218621 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
C000218621 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
C000218621 [Member] | HONG KONG | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
C000218621 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 74.20% |
C000218621 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.30% |
C000218621 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (0.60%) |
C000218621 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000218624 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
C000218624 [Member] | United Overseas Bank Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000218624 [Member] | HDFC Bank Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000218624 [Member] | Baker Hughes Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218624 [Member] | Samsung Electronics Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000218624 [Member] | Tencent Holdings Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000218624 [Member] | AIA Group Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000218624 [Member] | Bid Corp Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000218624 [Member] | MercadoLibre Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000218624 [Member] | TOTVS S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000218624 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000218624 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000218624 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.90% |
C000218624 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
C000218624 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000218624 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.40% |
C000218624 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
C000218624 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000218624 [Member] | HONG KONG | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
C000218624 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000218624 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000218624 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
C000218624 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
C000218624 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218624 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000218624 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
C000218624 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6% |
C000218624 [Member] | SOUTH AFRICA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000218624 [Member] | HUNGARY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000218624 [Member] | MALAYSIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000218624 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.30% |
C000218624 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (1.00%) |
C000218624 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000218623 [Member] | Taiwan Semiconductor Manufacturing Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
C000218623 [Member] | United Overseas Bank Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000218623 [Member] | HDFC Bank Ltd ADR [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000218623 [Member] | Baker Hughes Co [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218623 [Member] | Samsung Electronics Co Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000218623 [Member] | Tencent Holdings Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000218623 [Member] | AIA Group Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000218623 [Member] | Bid Corp Ltd [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000218623 [Member] | MercadoLibre Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000218623 [Member] | TOTVS S A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000218623 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000218623 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000218623 [Member] | INDIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.90% |
C000218623 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
C000218623 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000218623 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.40% |
C000218623 [Member] | UNITED STATES | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.60% |
C000218623 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000218623 [Member] | HONG KONG | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.30% |
C000218623 [Member] | INDONESIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000218623 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000218623 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
C000218623 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
C000218623 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000218623 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000218623 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.10% |
C000218623 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6% |
C000218623 [Member] | SOUTH AFRICA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000218623 [Member] | HUNGARY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000218623 [Member] | MALAYSIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000218623 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 98.30% |
C000218623 [Member] | Liabilities in Excess of Other Assets [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | (1.00%) |
C000218623 [Member] | Bank Deposit Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000225977 [Member] | Novo Nordisk A S Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000225977 [Member] | Threei Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000225977 [Member] | ASM International N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000225977 [Member] | Scout24 S E [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000225977 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000225977 [Member] | NU Holdings Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000225977 [Member] | D ieteren Group [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000225977 [Member] | Puig Brands S A Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000225977 [Member] | Saab A B Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000225977 [Member] | Elastic N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000225977 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11% |
C000225977 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000225977 [Member] | SPAIN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000225977 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
C000225977 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
C000225977 [Member] | ITALY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000225977 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
C000225977 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000225977 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000225977 [Member] | GERMANY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000225977 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000225977 [Member] | IRELAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.10% |
C000225977 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
C000225977 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
C000225977 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000225977 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000225977 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000225977 [Member] | AUSTRALIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000225977 [Member] | BERMUDA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000225977 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000225977 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000225977 [Member] | ISRAEL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000225977 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000225977 [Member] | SOUTH AFRICA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000225977 [Member] | BELGIUM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000225977 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.40% |
C000225977 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000225977 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000225977 [Member] | Warrant [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000225976 [Member] | Novo Nordisk A S Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000225976 [Member] | Threei Group PLC [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000225976 [Member] | ASM International N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000225976 [Member] | Scout24 S E [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000225976 [Member] | Celestica Inc [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000225976 [Member] | NU Holdings Ltd Class A [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000225976 [Member] | D ieteren Group [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000225976 [Member] | Puig Brands S A Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000225976 [Member] | Saab A B Class B [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000225976 [Member] | Elastic N V [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000225976 [Member] | CANADA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11% |
C000225976 [Member] | DENMARK | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000225976 [Member] | SPAIN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000225976 [Member] | FRANCE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
C000225976 [Member] | UNITED KINGDOM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.80% |
C000225976 [Member] | ITALY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000225976 [Member] | NETHERLANDS | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.10% |
C000225976 [Member] | SWEDEN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.40% |
C000225976 [Member] | TAIWAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000225976 [Member] | GERMANY | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000225976 [Member] | SINGAPORE | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000225976 [Member] | IRELAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.10% |
C000225976 [Member] | JAPAN | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
C000225976 [Member] | KOREA, REPUBLIC OF | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
C000225976 [Member] | MEXICO | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000225976 [Member] | PERU | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000225976 [Member] | ARGENTINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000225976 [Member] | AUSTRALIA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000225976 [Member] | BERMUDA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.60% |
C000225976 [Member] | BRAZIL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000225976 [Member] | SWITZERLAND | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000225976 [Member] | ISRAEL | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.30% |
C000225976 [Member] | CHINA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000225976 [Member] | SOUTH AFRICA | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000225976 [Member] | BELGIUM | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.80% |
C000225976 [Member] | Common Stock [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 96.40% |
C000225976 [Member] | Short-Term Investments [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000225976 [Member] | Other Assets in Excess of Liabilities [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |
C000225976 [Member] | Warrant [Member] | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0% |