Shareholder Report | 12 Months Ended |
Oct. 31, 2024 USD ($) Holding |
Shareholder Report [Line Items] | |
Document Type | N-CSR |
Amendment Flag | false |
Registrant Name | First Eagle Funds |
Entity Central Index Key | 0000906352 |
Entity Investment Company Type | N-1A |
Document Period End Date | Oct. 31, 2024 |
C000030894 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Fund |
Class Name | Class A |
Trading Symbol | SGENX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $124 1.10% |
Expenses Paid, Amount | $ 124 |
Expense Ratio, Percent | 1.10% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Fund (Class A) | $19,410 MSCI World Index | $25,431 Oct-2014 10,000 10,000 Nov-2014 9,662.450000 10,200.410000 Dec-2014 9,548.430000 10,035.930000 Jan-2015 9,570.390000 9,854.080000 Feb-2015 9,896.750000 10,431.420000 Mar-2015 9,764.130000 10,268.130000 Apr-2015 9,949.650000 10,508.940000 May-2015 9,936.710000 10,545.140000 Jun-2015 9,718.110000 10,299.940000 Jul-2015 9,612.180000 10,484.830000 Aug-2015 9,327.660000 9,791 Sep-2015 9,050.630000 9,429.860000 Oct-2015 9,667.880000 10,177.120000 Nov-2015 9,631.140000 10,126.490000 Dec-2015 9,458.740000 9,948.490000 Jan-2016 9,136.200000 9,353.330000 Feb-2016 9,313.440000 9,283.720000 Mar-2016 9,788.430000 9,913.700000 Apr-2016 10,122.210000 10,070.570000 May-2016 10,026.050000 10,127.130000 Jun-2016 10,101.250000 10,013.650000 Jul-2016 10,460.850000 10,436.720000 Aug-2016 10,455.620000 10,445.390000 Sep-2016 10,497.440000 10,500.870000 Oct-2016 10,380.920000 10,297.650000 Nov-2016 10,393.380000 10,445.720000 Dec-2016 10,465.090000 10,695.670000 Jan-2017 10,748.700000 10,953.810000 Feb-2017 11,032.120000 11,377.630000 Mar-2017 11,053.080000 11,546.090000 Apr-2017 11,197.870000 11,790.340000 May-2017 11,201.230000 11,835.710000 Jun-2017 11,336.770000 12,118.960000 Jul-2017 11,353.770000 12,136.030000 Aug-2017 11,505.910000 12,408.410000 Oct-2017 11,662.390000 12,642.910000 Nov-2017 11,798.840000 12,916.860000 Dec-2017 11,875.530000 13,091.540000 Jan-2018 12,319.680000 13,782.770000 Feb-2018 11,808.410000 13,211.790000 Mar-2018 11,737.560000 12,923.820000 Apr-2018 11,796.250000 13,072.330000 May-2018 11,836.360000 13,154.240000 Jun-2018 11,719.180000 13,147.970000 Jul-2018 11,907.860000 13,558.630000 Aug-2018 11,829.260000 13,726.380000 Sep-2018 11,871.850000 13,802.820000 Oct-2018 11,330.490000 12,789.300000 Nov-2018 11,408.670000 12,934.590000 Dec-2018 10,863.340000 11,951.070000 Jan-2019 11,644.410000 12,880.930000 Feb-2019 11,885.450000 13,268.260000 Mar-2019 11,936.560000 13,442.530000 Apr-2019 12,180.070000 13,919.190000 May-2019 11,633.180000 13,116.040000 Jun-2019 12,369.560000 13,980.320000 Jul-2019 12,354.720000 14,049.570000 Aug-2019 12,248.470000 13,762.200000 Sep-2019 12,481.190000 14,055.070000 Oct-2019 12,625.970000 14,412.730000 Nov-2019 12,694.150000 14,814.130000 Dec-2019 13,053.390000 15,257.940000 Jan-2020 12,693.120000 15,165.070000 Feb-2020 11,895.990000 13,883.240000 Mar-2020 10,508.920000 12,045.890000 Apr-2020 11,543 13,361.830000 May-2020 11,874.280000 14,007.320000 Jun-2020 12,057.150000 14,377.830000 Jul-2020 12,620.210000 15,065.680000 Aug-2020 13,053.090000 16,072.290000 Sep-2020 12,737.200000 15,517.810000 Oct-2020 12,485.010000 15,041.800000 Nov-2020 13,591.180000 16,965.070000 Dec-2020 14,137.540000 17,684.330000 Jan-2021 13,897.200000 17,508.570000 Feb-2021 14,183.490000 17,957.220000 Mar-2021 14,709.690000 18,554.690000 Apr-2021 15,264.250000 19,418.230000 May-2021 15,876.350000 19,697.960000 Jun-2021 15,585.810000 19,991.550000 Jul-2021 15,685.560000 20,349.660000 Aug-2021 15,759.280000 20,856.130000 Sep-2021 15,286.500000 19,990.170000 Oct-2021 15,794.010000 21,122.420000 Nov-2021 15,228.590000 20,659.570000 Dec-2021 15,869.710000 21,542.560000 Jan-2022 15,803.060000 20,402.720000 Feb-2022 15,684.540000 19,886.710000 Mar-2022 15,913.530000 20,432.470000 Apr-2022 15,066.930000 18,735.080000 May-2022 15,285.400000 18,749.270000 Jun-2022 14,242.940000 17,125.170000 Jul-2022 14,749.990000 18,484.840000 Aug-2022 14,179.160000 17,712.030000 Sep-2022 13,097.290000 16,065.520000 Oct-2022 13,913.250000 17,219.240000 Nov-2022 15,047.180000 18,416.500000 Dec-2022 14,841.040000 17,634.400000 Jan-2023 15,875.460000 18,882.140000 Feb-2023 15,303.940000 18,428.240000 Mar-2023 15,723.270000 18,997.670000 Apr-2023 16,017.290000 19,330.690000 May-2023 15,495.130000 19,137.700000 Jun-2023 16,206.360000 20,295.110000 Jul-2023 16,585.580000 20,976.880000 Aug-2023 16,185.870000 20,475.830000 Sep-2023 15,590.230000 19,592.540000 Oct-2023 15,354.820000 19,024.040000 Nov-2023 16,205.480000 20,807.590000 Dec-2023 16,740.260000 21,829.120000 Jan-2024 16,782.110000 22,091.080000 Feb-2024 17,055.660000 23,027.690000 Mar-2024 17,824.870000 23,767.680000 Apr-2024 17,482.630000 22,884.840000 May-2024 18,071.790000 23,906.690000 Jun-2024 18,019.380000 24,393.140000 Jul-2024 18,756.380000 24,823.010000 Aug-2024 19,324.700000 25,479.090000 Sep-2024 19,800.080000 25,945.710000 Oct-2024 19,410 25,431 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class A - without sales charge 26.43 % 8.98 % 7.41 % Class A - with sales charge 20.08 % 7.87 % 6.86 % MSCI World Index 33.68 % 12.03 % 9.78 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 56,336,120,291 |
Holdings Count | Holding | 197 |
Advisory Fees Paid, Amount | $ 393,022,590 |
InvestmentCompanyPortfolioTurnover | 9.51% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $56,336,120,291 Number of Portfolio Holdings 197 Portfolio Turnover Rate 9.51% Net Investment Advisory Fees (net of waivers and reimbursements) $393,022,590 |
Holdings [Text Block] | Value Value Common Stocks 81.8% Commodities 11.8% Corporate Bonds 0.0% Footnote Reference Short-Term Investments 6.4% Footnote Reference Value Value Short-Term Investments 6.4% Others Footnote Reference 3.2% Materials 4.9% Consumer Discretionary 6.1% Energy 6.5% Communication Services 7.4% Health Care 8.6% Information Technology 9.1% Industrials 10.3% Commodities 11.8% Financials 11.9% Consumer Staples 13.8% United States 55.9% United Kingdom 7.2% Japan 6.3% Canada 5.0% France 3.2% Switzerland 2.9% South Korea 2.5% China 2.2% Mexico 1.4% Hong Kong 1.2% Others Footnote Reference 5.8% Short-Term Investments 6.4% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 11.8% Oracle Corp. (Software, United States) 2.9% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 2.6% HCA Healthcare, Inc. (Health Care Providers & Services, United States) 2.0% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.0% Philip Morris International, Inc. (Tobacco, United States) 1.9% Comcast Corp., Class A (Media, United States) 1.7% Willis Towers Watson plc (Insurance, United States) 1.5% Bank of New York Mellon Corp. (The) (Capital Markets, United States) 1.5% CH Robinson Worldwide, Inc. (Air Freight & Logistics, United States) 1.5% Total 29.4% |
Material Fund Change [Text Block] | |
C000030896 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Fund |
Class Name | Class C |
Trading Symbol | FESGX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class C $209 1.86% |
Expenses Paid, Amount | $ 209 |
Expense Ratio, Percent | 1.86% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Fund (Class C) | $18,962 MSCI World Index | $25,431 Oct-2014 10,000 10,000 Nov-2014 10,164 10,200.410000 Dec-2014 10,038.980000 10,035.930000 Jan-2015 10,057.050000 9,854.080000 Feb-2015 10,391.950000 10,431.420000 Mar-2015 10,247.500000 10,268.130000 Apr-2015 10,435.030000 10,508.940000 May-2015 10,415.210000 10,545.140000 Jun-2015 10,180.870000 10,299.940000 Jul-2015 10,063.790000 10,484.830000 Aug-2015 9,758.850000 9,791 Sep-2015 9,465.110000 9,429.860000 Oct-2015 10,102.110000 10,177.120000 Nov-2015 10,056.650000 10,126.490000 Dec-2015 9,869.600000 9,948.490000 Jan-2016 9,528.110000 9,353.330000 Feb-2016 9,706.290000 9,283.720000 Mar-2016 10,196.450000 9,913.700000 Apr-2016 10,537.020000 10,070.570000 May-2016 10,431.650000 10,127.130000 Jun-2016 10,502.580000 10,013.650000 Jul-2016 10,870.170000 10,436.720000 Aug-2016 10,856.040000 10,445.390000 Sep-2016 10,894.040000 10,500.870000 Oct-2016 10,765.490000 10,297.650000 Nov-2016 10,771.950000 10,445.720000 Dec-2016 10,841.960000 10,695.670000 Jan-2017 11,127.110000 10,953.810000 Feb-2017 11,408.110000 11,377.630000 Mar-2017 11,422.940000 11,546.090000 Apr-2017 11,563.440000 11,790.340000 May-2017 11,561.130000 11,835.710000 Jun-2017 11,694.080000 12,118.960000 Jul-2017 11,704.610000 12,136.030000 Aug-2017 11,853.250000 12,408.410000 Oct-2017 12,008.530000 12,642.910000 Nov-2017 12,140.630000 12,916.860000 Dec-2017 12,213.470000 13,091.540000 Jan-2018 12,662.930000 13,782.770000 Feb-2018 12,132.350000 13,211.790000 Mar-2018 12,051.060000 12,923.820000 Apr-2018 12,104.090000 13,072.330000 May-2018 12,136.770000 13,154.240000 Jun-2018 12,010.550000 13,147.970000 Jul-2018 12,196.710000 13,558.630000 Aug-2018 12,108.890000 13,726.380000 Sep-2018 12,145.220000 13,802.820000 Oct-2018 11,584.110000 12,789.300000 Nov-2018 11,657.090000 12,934.590000 Dec-2018 11,092.890000 11,951.070000 Jan-2019 11,883.810000 12,880.930000 Feb-2019 12,121.490000 13,268.260000 Mar-2019 12,165.120000 13,442.530000 Apr-2019 12,407.210000 13,919.190000 May-2019 11,842.680000 13,116.040000 Jun-2019 12,584.030000 13,980.320000 Jul-2019 12,561.380000 14,049.570000 Aug-2019 12,443.300000 13,762.200000 Sep-2019 12,673.510000 14,055.070000 Oct-2019 12,811.650000 14,412.730000 Nov-2019 12,874.420000 14,814.130000 Dec-2019 13,231.050000 15,257.940000 Jan-2020 12,856.610000 15,165.070000 Feb-2020 12,042.780000 13,883.240000 Mar-2020 10,632.570000 12,045.890000 Apr-2020 11,669.250000 13,361.830000 May-2020 11,995.990000 14,007.320000 Jun-2020 12,173.530000 14,377.830000 Jul-2020 12,734.730000 15,065.680000 Aug-2020 13,162.620000 16,072.290000 Sep-2020 12,836.180000 15,517.810000 Oct-2020 12,573.040000 15,041.800000 Nov-2020 13,678.210000 16,965.070000 Dec-2020 14,218.500000 17,684.330000 Jan-2021 13,968.260000 17,508.570000 Feb-2021 14,247.620000 17,957.220000 Mar-2021 14,767.660000 18,554.690000 Apr-2021 15,314.060000 19,418.230000 May-2021 15,917.440000 19,697.960000 Jun-2021 15,616.600000 19,991.550000 Jul-2021 15,705.610000 20,349.660000 Aug-2021 15,768.430000 20,856.130000 Sep-2021 15,287.500000 19,990.170000 Oct-2021 15,782.810000 21,122.420000 Nov-2021 15,209.900000 20,659.570000 Dec-2021 15,838.060000 21,542.560000 Jan-2022 15,762.040000 20,402.720000 Feb-2022 15,634.370000 19,886.710000 Mar-2022 15,853.250000 20,432.470000 Apr-2022 15,001.930000 18,735.080000 May-2022 15,210.460000 18,749.270000 Jun-2022 14,162.460000 17,125.170000 Jul-2022 14,655.310000 18,484.840000 Aug-2022 14,080.820000 17,712.030000 Sep-2022 12,998.010000 16,065.520000 Oct-2022 13,798.680000 17,219.240000 Nov-2022 14,915 18,416.500000 Dec-2022 14,700.220000 17,634.400000 Jan-2023 15,714.540000 18,882.140000 Feb-2023 15,142.530000 18,428.240000 Mar-2023 15,545.320000 18,997.670000 Apr-2023 15,828.240000 19,330.690000 May-2023 15,301.160000 19,137.700000 Jun-2023 15,992.780000 20,295.110000 Jul-2023 16,359.010000 20,976.880000 Aug-2023 15,953.310000 20,475.830000 Sep-2023 15,356.650000 19,592.540000 Oct-2023 15,112.480000 19,024.040000 Nov-2023 15,942.160000 20,807.590000 Dec-2023 16,455.500000 21,829.120000 Jan-2024 16,488.410000 22,091.080000 Feb-2024 16,747.270000 23,027.690000 Mar-2024 17,489.180000 23,767.680000 Apr-2024 17,142.890000 22,884.840000 May-2024 17,710.320000 23,906.690000 Jun-2024 17,644.790000 24,393.140000 Jul-2024 18,359.410000 24,823.010000 Aug-2024 18,899.180000 25,479.090000 Sep-2024 19,354.650000 25,945.710000 Oct-2024 18,962 25,431 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class C - without sales charge 25.47 % 8.16 % 6.60 % Class C - with sales charge 24.47 % 8.16 % 6.60 % MSCI World Index 33.68 % 12.03 % 9.78 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 56,336,120,291 |
Holdings Count | Holding | 197 |
Advisory Fees Paid, Amount | $ 393,022,590 |
InvestmentCompanyPortfolioTurnover | 9.51% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $56,336,120,291 Number of Portfolio Holdings 197 Portfolio Turnover Rate 9.51% Net Investment Advisory Fees (net of waivers and reimbursements) $393,022,590 |
Holdings [Text Block] | Value Value Common Stocks 81.8% Commodities 11.8% Corporate Bonds 0.0% Footnote Reference Short-Term Investments 6.4% Footnote Reference Value Value Short-Term Investments 6.4% Others Footnote Reference 3.2% Materials 4.9% Consumer Discretionary 6.1% Energy 6.5% Communication Services 7.4% Health Care 8.6% Information Technology 9.1% Industrials 10.3% Commodities 11.8% Financials 11.9% Consumer Staples 13.8% United States 55.9% United Kingdom 7.2% Japan 6.3% Canada 5.0% France 3.2% Switzerland 2.9% South Korea 2.5% China 2.2% Mexico 1.4% Hong Kong 1.2% Others Footnote Reference 5.8% Short-Term Investments 6.4% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 11.8% Oracle Corp. (Software, United States) 2.9% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 2.6% HCA Healthcare, Inc. (Health Care Providers & Services, United States) 2.0% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.0% Philip Morris International, Inc. (Tobacco, United States) 1.9% Comcast Corp., Class A (Media, United States) 1.7% Willis Towers Watson plc (Insurance, United States) 1.5% Bank of New York Mellon Corp. (The) (Capital Markets, United States) 1.5% CH Robinson Worldwide, Inc. (Air Freight & Logistics, United States) 1.5% Total 29.4% |
Material Fund Change [Text Block] | |
C000030895 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Fund |
Class Name | Class I |
Trading Symbol | SGIIX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $98 0.86% |
Expenses Paid, Amount | $ 98 |
Expense Ratio, Percent | 0.86% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Fund (Class I) | $2,096,145 MSCI World Index | $2,543,103 Oct-2014 1,000,000 1,000,000 Nov-2014 1,017,200 1,020,040.930000 Dec-2014 1,005,502.200000 1,003,592.650000 Jan-2015 1,008,217.060000 985,407.900000 Feb-2015 1,042,597.260000 1,043,141.600000 Mar-2015 1,029,043.490000 1,026,812.730000 Apr-2015 1,048,698.220000 1,050,894.140000 May-2015 1,047,544.660000 1,054,514.170000 Jun-2015 1,025,022.450000 1,029,994.290000 Jul-2015 1,014,157.210000 1,048,482.690000 Aug-2015 984,340.990000 979,099.770000 Sep-2015 955,499.800000 942,986.340000 Oct-2015 1,020,664.880000 1,017,712.460000 Nov-2015 1,016,888.420000 1,012,648.690000 Dec-2015 998,889.500000 994,848.970000 Jan-2016 965,027.140000 935,332.940000 Feb-2016 984,038.180000 928,371.650000 Mar-2016 1,034,420.930000 991,370.080000 Apr-2016 1,069,901.570000 1,007,056.990000 May-2016 1,060,272.460000 1,012,713.250000 Jun-2016 1,068,436.550000 1,001,365.380000 Jul-2016 1,106,793.430000 1,043,671.510000 Aug-2016 1,106,350.710000 1,044,538.900000 Sep-2016 1,110,997.380000 1,050,087.410000 Oct-2016 1,098,776.410000 1,029,765.180000 Nov-2016 1,100,314.700000 1,044,572.200000 Dec-2016 1,108,236.960000 1,069,567.120000 Jan-2017 1,138,491.830000 1,095,381.290000 Feb-2017 1,168,972.990000 1,137,762.520000 Mar-2017 1,171,544.730000 1,154,609.230000 Apr-2017 1,187,009.120000 1,179,034.400000 May-2017 1,187,602.630000 1,183,570.740000 Jun-2017 1,202,210.140000 1,211,896.470000 Jul-2017 1,204,253.900000 1,213,603.030000 Aug-2017 1,220,752.180000 1,240,841.420000 Oct-2017 1,237,354.410000 1,264,291.420000 Nov-2017 1,252,202.660000 1,291,685.500000 Dec-2017 1,260,717.640000 1,309,153.590000 Jan-2018 1,308,372.760000 1,378,277.170000 Feb-2018 1,254,206.130000 1,321,178.620000 Mar-2018 1,247,182.580000 1,292,381.630000 Apr-2018 1,253,543.210000 1,307,232.610000 May-2018 1,258,055.960000 1,315,424.290000 Jun-2018 1,246,230.240000 1,314,796.820000 Jul-2018 1,266,419.170000 1,355,862.580000 Aug-2018 1,258,314.080000 1,372,638.460000 Sep-2018 1,263,221.510000 1,380,281.500000 Oct-2018 1,205,997.570000 1,278,930.350000 Nov-2018 1,214,439.560000 1,293,458.880000 Dec-2018 1,156,632.230000 1,195,106.870000 Jan-2019 1,240,141.080000 1,288,093.100000 Feb-2019 1,265,936.020000 1,326,825.840000 Mar-2019 1,271,506.140000 1,344,252.990000 Apr-2019 1,297,826.310000 1,391,919.280000 May-2019 1,240,073.040000 1,311,604.340000 Jun-2019 1,318,693.670000 1,398,032.370000 Jul-2019 1,317,243.110000 1,404,957.310000 Aug-2019 1,306,178.270000 1,376,219.560000 Sep-2019 1,331,256.890000 1,405,506.850000 Oct-2019 1,347,098.850000 1,441,273.460000 Nov-2019 1,354,777.310000 1,481,413.160000 Dec-2019 1,393,388.460000 1,525,793.690000 Jan-2020 1,355,348.960000 1,516,506.700000 Feb-2020 1,270,368.580000 1,388,323.600000 Mar-2020 1,122,624.710000 1,204,589.060000 Apr-2020 1,233,203.250000 1,336,183.490000 May-2020 1,268,596.180000 1,400,732.060000 Jun-2020 1,288,513.140000 1,437,782.890000 Jul-2020 1,349,073.260000 1,506,568.380000 Aug-2020 1,395,751.190000 1,607,228.790000 Sep-2020 1,361,974.010000 1,551,780.800000 Oct-2020 1,335,415.520000 1,504,179.890000 Nov-2020 1,454,133.960000 1,696,506.620000 Dec-2020 1,513,026.390000 1,768,432.920000 Jan-2021 1,487,456.240000 1,750,857.040000 Feb-2021 1,518,692.820000 1,795,721.650000 Mar-2021 1,575,188.190000 1,855,469.100000 Apr-2021 1,634,887.830000 1,941,822.840000 May-2021 1,700,773.810000 1,969,795.650000 Jun-2021 1,669,989.800000 1,999,155.130000 Jul-2021 1,680,844.730000 2,034,965.660000 Aug-2021 1,689,248.960000 2,085,612.620000 Sep-2021 1,638,909.340000 1,999,016.870000 Oct-2021 1,693,648.910000 2,112,242.200000 Nov-2021 1,633,355.010000 2,065,956.720000 Dec-2021 1,702,445.930000 2,154,256.090000 Jan-2022 1,695,636.140000 2,040,272.450000 Feb-2022 1,683,258 1,988,671.480000 Mar-2022 1,708,170.220000 2,043,247.310000 Apr-2022 1,617,637.200000 1,873,507.930000 May-2022 1,641,578.230000 1,874,926.840000 Jun-2022 1,529,950.910000 1,712,516.930000 Jul-2022 1,584,570.150000 1,848,484.450000 Aug-2022 1,523,405.750000 1,771,203.380000 Sep-2022 1,407,626.910000 1,606,552.490000 Oct-2022 1,495,603.590000 1,721,923.720000 Nov-2022 1,617,943.960000 1,841,649.810000 Dec-2022 1,595,939.930000 1,763,439.920000 Jan-2023 1,707,655.720000 1,888,213.980000 Feb-2023 1,646,521.650000 1,842,824.130000 Mar-2023 1,691,636.340000 1,899,766.830000 Apr-2023 1,723,946.590000 1,933,068.960000 May-2023 1,668,090.720000 1,913,770.320000 Jun-2023 1,744,822.900000 2,029,510.920000 Jul-2023 1,786,175.200000 2,097,687.790000 Aug-2023 1,743,485.610000 2,047,583 Sep-2023 1,679,674.040000 1,959,253.580000 Oct-2023 1,654,478.930000 1,902,404.200000 Nov-2023 1,746,467.960000 2,080,758.540000 Dec-2023 1,804,450.690000 2,182,911.810000 Jan-2024 1,809,503.160000 2,209,107.800000 Feb-2024 1,839,359.960000 2,302,768.820000 Mar-2024 1,922,499.030000 2,376,767.870000 Apr-2024 1,886,163.800000 2,288,483.530000 May-2024 1,950,104.750000 2,390,668.870000 Jun-2024 1,944,449.440000 2,439,313.960000 Jul-2024 2,024,560.760000 2,482,300.590000 Aug-2024 2,086,309.870000 2,547,909.010000 Sep-2024 2,138,050.350000 2,594,571.250000 Oct-2024 2,096,145 2,543,103 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class I 26.70 % 9.25 % 7.69 % MSCI World Index 33.68 % 12.03 % 9.78 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 56,336,120,291 |
Holdings Count | Holding | 197 |
Advisory Fees Paid, Amount | $ 393,022,590 |
InvestmentCompanyPortfolioTurnover | 9.51% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $56,336,120,291 Number of Portfolio Holdings 197 Portfolio Turnover Rate 9.51% Net Investment Advisory Fees (net of waivers and reimbursements) $393,022,590 |
Holdings [Text Block] | Value Value Common Stocks 81.8% Commodities 11.8% Corporate Bonds 0.0% Footnote Reference Short-Term Investments 6.4% Footnote Reference Value Value Short-Term Investments 6.4% Others Footnote Reference 3.2% Materials 4.9% Consumer Discretionary 6.1% Energy 6.5% Communication Services 7.4% Health Care 8.6% Information Technology 9.1% Industrials 10.3% Commodities 11.8% Financials 11.9% Consumer Staples 13.8% United States 55.9% United Kingdom 7.2% Japan 6.3% Canada 5.0% France 3.2% Switzerland 2.9% South Korea 2.5% China 2.2% Mexico 1.4% Hong Kong 1.2% Others Footnote Reference 5.8% Short-Term Investments 6.4% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 11.8% Oracle Corp. (Software, United States) 2.9% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 2.6% HCA Healthcare, Inc. (Health Care Providers & Services, United States) 2.0% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.0% Philip Morris International, Inc. (Tobacco, United States) 1.9% Comcast Corp., Class A (Media, United States) 1.7% Willis Towers Watson plc (Insurance, United States) 1.5% Bank of New York Mellon Corp. (The) (Capital Markets, United States) 1.5% CH Robinson Worldwide, Inc. (Air Freight & Logistics, United States) 1.5% Total 29.4% |
Material Fund Change [Text Block] | |
C000179766 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Fund |
Class Name | Class R6 |
Trading Symbol | FEGRX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $89 0.78% |
Expenses Paid, Amount | $ 89 |
Expense Ratio, Percent | 0.78% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Fund (Class R6) | $18,088 MSCI World Index | $22,590 Mar-2017 10,027.910000 10,106.520000 Apr-2017 10,048.840000 10,256.170000 May-2017 10,183.490000 10,473.130000 Jun-2017 10,190.620000 10,513.420000 Jul-2017 10,313.930000 10,765.040000 Aug-2017 10,333.530000 10,780.200000 Sep-2017 10,474.060000 11,022.150000 Oct-2017 10,618.600000 11,230.450000 Nov-2017 10,748.150000 11,473.790000 Dec-2017 10,820.160000 11,628.950000 Jan-2018 11,229.170000 12,242.960000 Feb-2018 10,765.400000 11,735.770000 Mar-2018 10,705.120000 11,479.970000 Apr-2018 10,759.710000 11,611.890000 May-2018 10,799.520000 11,684.650000 Jun-2018 10,695.850000 11,679.080000 Jul-2018 10,871.260000 12,043.860000 Aug-2018 10,803.860000 12,192.880000 Sep-2018 10,845.990000 12,260.770000 Oct-2018 10,355.750000 11,360.480000 Nov-2018 10,430.310000 11,489.540000 Dec-2018 9,934.880000 10,615.900000 Jan-2019 10,652.170000 11,441.880000 Feb-2019 10,875.870000 11,785.930000 Mar-2019 10,924.810000 11,940.730000 Apr-2019 11,150.950000 12,364.140000 May-2019 10,654.740000 11,650.720000 Jun-2019 11,331.310000 12,418.440000 Jul-2019 11,322.250000 12,479.960000 Aug-2019 11,224.870000 12,224.690000 Sep-2019 11,442.640000 12,484.840000 Oct-2019 11,578.800000 12,802.550000 Nov-2019 11,647.120000 13,159.100000 Dec-2019 11,980.230000 13,553.320000 Jan-2020 11,653.170000 13,470.830000 Feb-2020 10,922.510000 12,332.200000 Mar-2020 9,653.320000 10,700.130000 Apr-2020 10,606.100000 11,869.050000 May-2020 10,910.500000 12,442.430000 Jun-2020 11,081.790000 12,771.540000 Jul-2020 11,604.850000 13,382.550000 Aug-2020 12,006.380000 14,276.690000 Sep-2020 11,718.230000 13,784.160000 Oct-2020 11,489.720000 13,361.330000 Nov-2020 12,510.010000 15,069.730000 Dec-2020 13,017.910000 15,708.640000 Jan-2021 12,797.910000 15,552.520000 Feb-2021 13,066.670000 15,951.040000 Mar-2021 13,555.360000 16,481.760000 Apr-2021 14,069.110000 17,248.830000 May-2021 14,636.090000 17,497.300000 Jun-2021 14,371.180000 17,758.100000 Jul-2021 14,468.900000 18,076.200000 Aug-2021 14,541.250000 18,526.080000 Sep-2021 14,107.920000 17,756.870000 Oct-2021 14,581.950000 18,762.630000 Nov-2021 14,064.290000 18,351.480000 Dec-2021 14,659.210000 19,135.830000 Jan-2022 14,602.030000 18,123.340000 Feb-2022 14,495.440000 17,664.970000 Mar-2022 14,712.870000 18,149.760000 Apr-2022 13,933.090000 16,642 May-2022 14,139.300000 16,654.600000 Jun-2022 13,179.240000 15,211.950000 Jul-2022 13,651.060000 16,419.720000 Aug-2022 13,124.130000 15,733.250000 Sep-2022 12,128.010000 14,270.690000 Oct-2022 12,887.220000 15,295.510000 Nov-2022 13,942.680000 16,359.010000 Dec-2022 13,751.670000 15,664.290000 Jan-2023 14,717.030000 16,772.630000 Feb-2023 14,190.160000 16,369.440000 Mar-2023 14,581.810000 16,875.250000 Apr-2023 14,860.330000 17,171.070000 May-2023 14,378.850000 16,999.640000 Jun-2023 15,041.720000 18,027.740000 Jul-2023 15,398.200000 18,633.340000 Aug-2023 15,031.730000 18,188.270000 Sep-2023 14,481.570000 17,403.660000 Oct-2023 14,264.340000 16,898.680000 Nov-2023 15,058.870000 18,482.970000 Dec-2023 15,560.330000 19,390.370000 Jan-2024 15,603.900000 19,623.070000 Feb-2024 15,861.360000 20,455.040000 Mar-2024 16,583.050000 21,112.360000 Apr-2024 16,266.320000 20,328.150000 May-2024 16,821 21,235.840000 Jun-2024 16,773.900000 21,667.940000 Jul-2024 17,464.980000 22,049.780000 Aug-2024 17,997.660000 22,632.570000 Sep-2024 18,445.810000 23,047.060000 Oct-2024 18,088 22,590 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years Since Inception (3/1/17) Class R6 26.82 % 9.33 % 8.03 % MSCI World Index 33.68 % 12.03 % 11.03 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 56,336,120,291 |
Holdings Count | Holding | 197 |
Advisory Fees Paid, Amount | $ 393,022,590 |
InvestmentCompanyPortfolioTurnover | 9.51% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $56,336,120,291 Number of Portfolio Holdings 197 Portfolio Turnover Rate 9.51% Net Investment Advisory Fees (net of waivers and reimbursements) $393,022,590 |
Holdings [Text Block] | Value Value Common Stocks 81.8% Commodities 11.8% Corporate Bonds 0.0% Footnote Reference Short-Term Investments 6.4% Footnote Reference Value Value Short-Term Investments 6.4% Others Footnote Reference 3.2% Materials 4.9% Consumer Discretionary 6.1% Energy 6.5% Communication Services 7.4% Health Care 8.6% Information Technology 9.1% Industrials 10.3% Commodities 11.8% Financials 11.9% Consumer Staples 13.8% United States 55.9% United Kingdom 7.2% Japan 6.3% Canada 5.0% France 3.2% Switzerland 2.9% South Korea 2.5% China 2.2% Mexico 1.4% Hong Kong 1.2% Others Footnote Reference 5.8% Short-Term Investments 6.4% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 11.8% Oracle Corp. (Software, United States) 2.9% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 2.6% HCA Healthcare, Inc. (Health Care Providers & Services, United States) 2.0% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.0% Philip Morris International, Inc. (Tobacco, United States) 1.9% Comcast Corp., Class A (Media, United States) 1.7% Willis Towers Watson plc (Insurance, United States) 1.5% Bank of New York Mellon Corp. (The) (Capital Markets, United States) 1.5% CH Robinson Worldwide, Inc. (Air Freight & Logistics, United States) 1.5% Total 29.4% |
Material Fund Change [Text Block] | |
C000030897 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Overseas Fund |
Class Name | Class A |
Trading Symbol | SGOVX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $127 1.15% |
Expenses Paid, Amount | $ 127 |
Expense Ratio, Percent | 1.15% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Overseas Fund (Class A) | $15,487 MSCI EAFE Index | $16,714 Oct-2014 10,000 10,000 Nov-2014 9,631.100000 10,136.020000 Dec-2014 9,379.730000 9,784.890000 Jan-2015 9,650.800000 9,832.730000 Feb-2015 9,965.420000 10,420.530000 Mar-2015 9,870.750000 10,262.230000 Apr-2015 10,172.790000 10,681.230000 May-2015 10,134.140000 10,626.560000 Jun-2015 9,952.730000 10,325.470000 Jul-2015 9,806.430000 10,539.860000 Aug-2015 9,561.270000 9,764.520000 Sep-2015 9,177.860000 9,268.720000 Oct-2015 9,746.890000 9,993.250000 Nov-2015 9,591.910000 9,837.780000 Dec-2015 9,593.830000 9,705.230000 Jan-2016 9,235.980000 9,003.410000 Feb-2016 9,388.380000 8,838.460000 Mar-2016 9,885.960000 9,413.550000 Apr-2016 10,248.770000 9,686.080000 May-2016 10,074.550000 9,598.090000 Jun-2016 10,140.030000 9,275.910000 Jul-2016 10,476.680000 9,746.020000 Aug-2016 10,420.100000 9,752.940000 Sep-2016 10,485.750000 9,872.750000 Oct-2016 10,419.690000 9,670.800000 Nov-2016 10,052.920000 9,478.200000 Dec-2016 10,130.330000 9,802.300000 Jan-2017 10,482.860000 10,086.640000 Feb-2017 10,776.140000 10,512.520000 Mar-2017 10,870.970000 10,780.010000 Apr-2017 11,115.570000 11,175.680000 May-2017 11,065.550000 11,155.910000 Jun-2017 11,219.360000 11,477.710000 Jul-2017 11,273.210000 11,473.390000 Aug-2017 11,331.830000 11,758.850000 Oct-2017 11,458.750000 11,937.410000 Nov-2017 11,504.580000 12,062.620000 Dec-2017 11,552.900000 12,256.240000 Jan-2018 11,908.730000 12,871.010000 Feb-2018 11,413.330000 12,290.060000 Mar-2018 11,436.160000 12,068.550000 Apr-2018 11,511.640000 12,344.110000 May-2018 11,375.800000 12,066.640000 Jun-2018 11,216.540000 11,919.210000 Jul-2018 11,352.260000 12,212.610000 Aug-2018 11,118.400000 11,976.750000 Sep-2018 11,211.800000 12,080.700000 Oct-2018 10,626.540000 11,119.170000 Nov-2018 10,616.980000 11,105.160000 Dec-2018 10,364.290000 10,566.070000 Jan-2019 10,923.960000 11,260.480000 Feb-2019 11,097.650000 11,547.520000 Mar-2019 11,179.780000 11,620.340000 Apr-2019 11,372.070000 11,947.050000 May-2019 11,044.550000 11,373.280000 Jun-2019 11,637.650000 12,048 Jul-2019 11,497.990000 11,895.030000 Aug-2019 11,546.290000 11,586.880000 Sep-2019 11,739.110000 11,918.910000 Oct-2019 11,883.500000 12,347.150000 Nov-2019 11,840.720000 12,486.340000 Dec-2019 12,190.020000 12,892.140000 Jan-2020 11,879.180000 12,622.850000 Feb-2020 11,197.310000 11,481.780000 Mar-2020 10,031.670000 9,949.320000 Apr-2020 10,831.190000 10,592.080000 May-2020 11,126.890000 11,053.310000 Jun-2020 11,336.070000 11,429.670000 Jul-2020 11,697.690000 11,696.080000 Aug-2020 11,983.120000 12,297.390000 Sep-2020 11,845.310000 11,977.860000 Oct-2020 11,606.030000 11,499.600000 Nov-2020 12,604.150000 13,282.190000 Dec-2020 13,039 13,899.760000 Jan-2021 12,921.650000 13,751.670000 Feb-2021 12,829.900000 14,060.110000 Mar-2021 13,181.440000 14,383.400000 Apr-2021 13,472.750000 14,816.190000 May-2021 14,013.010000 15,299.360000 Jun-2021 13,763.580000 15,127.180000 Jul-2021 13,758.070000 15,241.080000 Aug-2021 13,742.940000 15,509.920000 Sep-2021 13,360.880000 15,059.810000 Oct-2021 13,621.420000 15,430.210000 Nov-2021 13,182.810000 14,712.030000 Dec-2021 13,683.760000 15,465.340000 Jan-2022 13,526.400000 14,718 Feb-2022 13,515.570000 14,457.760000 Mar-2022 13,499.360000 14,550.690000 Apr-2022 12,904.030000 13,609.340000 May-2022 13,044.690000 13,711.360000 Jun-2022 12,277.660000 12,439.120000 Jul-2022 12,520.760000 13,058.960000 Aug-2022 12,001.150000 12,438.730000 Sep-2022 11,174.270000 11,275.120000 Oct-2022 11,492.730000 11,881.440000 Nov-2022 12,650.050000 13,219.710000 Dec-2022 12,574.150000 13,230.340000 Jan-2023 13,458.120000 14,301.690000 Feb-2023 12,954.780000 14,003.260000 Mar-2023 13,425.040000 14,350.320000 Apr-2023 13,637.160000 14,755.470000 May-2023 13,139.400000 14,131.050000 Jun-2023 13,513.870000 14,774.150000 Jul-2023 13,749.010000 15,252.190000 Aug-2023 13,384.670000 14,667.840000 Sep-2023 12,920.220000 14,166.820000 Oct-2023 12,769.050000 13,592.470000 Nov-2023 13,440.700000 14,854.090000 Dec-2023 13,882.900000 15,643.280000 Jan-2024 13,745.460000 15,733.300000 Feb-2024 13,906.280000 16,021.290000 Mar-2024 14,363.800000 16,548.230000 Apr-2024 14,260.380000 16,124.450000 May-2024 14,752.360000 16,749.030000 Jun-2024 14,460.270000 16,478.630000 Jul-2024 15,108.090000 16,962.060000 Aug-2024 15,612.700000 17,513.600000 Sep-2024 15,928.070000 17,675.330000 Oct-2024 15,487 16,714 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class A - without sales charge 21.29 % 5.44 % 5.01 % Class A - with sales charge 15.23 % 4.36 % 4.47 % MSCI EAFE Index 22.97 % 6.24 % 5.27 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 12,368,480,904 |
Holdings Count | Holding | 133 |
Advisory Fees Paid, Amount | $ 93,232,514 |
InvestmentCompanyPortfolioTurnover | 6.73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $12,368,480,904 Number of Portfolio Holdings 133 Portfolio Turnover Rate 6.73% Net Investment Advisory Fees (net of waivers and reimbursements) $93,232,514 |
Holdings [Text Block] | Value Value Common Stocks 87.8% Commodities 10.4% Short-Term Investments 1.8% Footnote Reference Value Value Short-Term Investments 1.8% Others Footnote Reference 1.2% Real Estate 2.6% Health Care 4.1% Information Technology 4.9% Energy 6.1% Materials 8.6% Consumer Discretionary 9.5% Commodities 10.4% Industrials 14.5% Financials 14.7% Consumer Staples 21.6% Japan 16.1% United Kingdom 14.5% United States 14.0% Canada 9.2% France 6.1% South Korea 5.2% Switzerland 4.9% China 3.4% Sweden 3.3% Hong Kong 3.3% Others Footnote Reference 18.2% Short-Term Investments 1.8% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 10.3% Imperial Oil Ltd. (Oil, Gas & Consumable Fuels, Canada) 3.9% British American Tobacco plc (Tobacco, United Kingdom) 2.2% Danone SA (Food Products, France) 2.2% Willis Towers Watson plc (Insurance, United States) 2.2% Shell plc (Oil, Gas & Consumable Fuels, United Kingdom) 2.2% Unilever plc (Personal Care Products, United Kingdom) 2.2% Prosus NV (Broadline Retail, China) 2.1% Fomento Economico Mexicano SAB de CV, ADR (Beverages, Mexico) 2.0% Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods, Switzerland) 1.9% Total 31.2% |
Material Fund Change [Text Block] | |
C000030899 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Overseas Fund |
Class Name | Class C |
Trading Symbol | FESOX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class C $207 1.88% |
Expenses Paid, Amount | $ 207 |
Expense Ratio, Percent | 1.88% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Overseas Fund (Class C) | $15,136 MSCI EAFE Index | $16,714 Oct-2014 10,000 10,000 Nov-2014 10,129 10,136.020000 Dec-2014 9,855.520000 9,784.890000 Jan-2015 10,140.340000 9,832.730000 Feb-2015 10,461.790000 10,420.530000 Mar-2015 10,359.260000 10,262.230000 Apr-2015 10,672.110000 10,681.230000 May-2015 10,620.890000 10,626.560000 Jun-2015 10,425.460000 10,325.470000 Jul-2015 10,267 10,539.860000 Aug-2015 10,006.220000 9,764.520000 Sep-2015 9,595.960000 9,268.720000 Oct-2015 10,183.230000 9,993.250000 Nov-2015 10,015.210000 9,837.780000 Dec-2015 10,010.200000 9,705.230000 Jan-2016 9,627.810000 9,003.410000 Feb-2016 9,783.780000 8,838.460000 Mar-2016 10,298.410000 9,413.550000 Apr-2016 10,671.210000 9,686.080000 May-2016 10,478.060000 9,598.090000 Jun-2016 10,544.080000 9,275.910000 Jul-2016 10,883.590000 9,746.020000 Aug-2016 10,817.200000 9,752.940000 Sep-2016 10,878.860000 9,872.750000 Oct-2016 10,808.150000 9,670.800000 Nov-2016 10,416.900000 9,478.200000 Dec-2016 10,489.810000 9,802.300000 Jan-2017 10,849.610000 10,086.640000 Feb-2017 11,141.100000 10,512.520000 Mar-2017 11,233.570000 10,780.010000 Apr-2017 11,481.840000 11,175.680000 May-2017 11,418.690000 11,155.910000 Jun-2017 11,573.980000 11,477.710000 Jul-2017 11,617.960000 11,473.390000 Aug-2017 11,676.050000 11,758.850000 Oct-2017 11,797.480000 11,937.410000 Nov-2017 11,841.130000 12,062.620000 Dec-2017 11,877.840000 12,256.240000 Jan-2018 12,237.740000 12,871.010000 Feb-2018 11,722.530000 12,290.060000 Mar-2018 11,737.770000 12,068.550000 Apr-2018 11,808.200000 12,344.110000 May-2018 11,662.960000 12,066.640000 Jun-2018 11,488.010000 11,919.210000 Jul-2018 11,622.420000 12,212.610000 Aug-2018 11,377.190000 11,976.750000 Sep-2018 11,462.520000 12,080.700000 Oct-2018 10,863.030000 11,119.170000 Nov-2018 10,843.470000 11,105.160000 Dec-2018 10,584.310000 10,566.070000 Jan-2019 11,142.110000 11,260.480000 Feb-2019 11,315.920000 11,547.520000 Mar-2019 11,392.870000 11,620.340000 Apr-2019 11,581.990000 11,947.050000 May-2019 11,239.170000 11,373.280000 Jun-2019 11,832.600000 12,048 Jul-2019 11,684.690000 11,895.030000 Aug-2019 11,730.260000 11,586.880000 Sep-2019 11,914.420000 11,918.910000 Oct-2019 12,057.400000 12,347.150000 Nov-2019 12,000.730000 12,486.340000 Dec-2019 12,349.950000 12,892.140000 Jan-2020 12,028.850000 12,622.850000 Feb-2020 11,327.570000 11,481.780000 Mar-2020 10,149.500000 9,949.320000 Apr-2020 10,947.250000 10,592.080000 May-2020 11,236.260000 11,053.310000 Jun-2020 11,439.630000 11,429.670000 Jul-2020 11,803.420000 11,696.080000 Aug-2020 12,076.070000 12,297.390000 Sep-2020 11,931.160000 11,977.860000 Oct-2020 11,685.380000 11,499.600000 Nov-2020 12,680.970000 13,282.190000 Dec-2020 13,109.590000 13,899.760000 Jan-2021 12,986.360000 13,751.670000 Feb-2021 12,885.070000 14,060.110000 Mar-2021 13,227.810000 14,383.400000 Apr-2021 13,517.500000 14,816.190000 May-2021 14,052.790000 15,299.360000 Jun-2021 13,790 15,127.180000 Jul-2021 13,773.460000 15,241.080000 Aug-2021 13,751.420000 15,509.920000 Sep-2021 13,360.880000 15,059.810000 Oct-2021 13,612.060000 15,430.210000 Nov-2021 13,162.860000 14,712.030000 Dec-2021 13,659.100000 15,465.340000 Jan-2022 13,496.560000 14,718 Feb-2022 13,473.620000 14,457.760000 Mar-2022 13,450.710000 14,550.690000 Apr-2022 12,848.120000 13,609.340000 May-2022 12,977.890000 13,711.360000 Jun-2022 12,207 12,439.120000 Jul-2022 12,443.820000 13,058.960000 Aug-2022 11,919.930000 12,438.730000 Sep-2022 11,086.730000 11,275.120000 Oct-2022 11,401.590000 11,881.440000 Nov-2022 12,538.330000 13,219.710000 Dec-2022 12,455.580000 13,230.340000 Jan-2023 13,324.980000 14,301.690000 Feb-2023 12,822.620000 14,003.260000 Mar-2023 13,277.830000 14,350.320000 Apr-2023 13,475.670000 14,755.470000 May-2023 12,974.370000 14,131.050000 Jun-2023 13,341.550000 14,774.150000 Jul-2023 13,563.020000 15,252.190000 Aug-2023 13,195.460000 14,667.840000 Sep-2023 12,728.340000 14,166.820000 Oct-2023 12,570.510000 13,592.470000 Nov-2023 13,229.200000 14,854.090000 Dec-2023 13,649.890000 15,643.280000 Jan-2024 13,507.930000 15,733.300000 Feb-2024 13,656.520000 16,021.290000 Mar-2024 14,100.360000 16,548.230000 Apr-2024 13,993.190000 16,124.450000 May-2024 14,460.570000 16,749.030000 Jun-2024 14,169.910000 16,478.630000 Jul-2024 14,797.640000 16,962.060000 Aug-2024 15,277.080000 17,513.600000 Sep-2024 15,573.460000 17,675.330000 Oct-2024 15,136 16,714 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class C - without sales charge 20.42 % 4.66 % 4.23 % Class C - with sales charge 19.42 % 4.66 % 4.23 % MSCI EAFE Index 22.97 % 6.24 % 5.27 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 12,368,480,904 |
Holdings Count | Holding | 133 |
Advisory Fees Paid, Amount | $ 93,232,514 |
InvestmentCompanyPortfolioTurnover | 6.73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $12,368,480,904 Number of Portfolio Holdings 133 Portfolio Turnover Rate 6.73% Net Investment Advisory Fees (net of waivers and reimbursements) $93,232,514 |
Holdings [Text Block] | Value Value Common Stocks 87.8% Commodities 10.4% Short-Term Investments 1.8% Footnote Reference Value Value Short-Term Investments 1.8% Others Footnote Reference 1.2% Real Estate 2.6% Health Care 4.1% Information Technology 4.9% Energy 6.1% Materials 8.6% Consumer Discretionary 9.5% Commodities 10.4% Industrials 14.5% Financials 14.7% Consumer Staples 21.6% Japan 16.1% United Kingdom 14.5% United States 14.0% Canada 9.2% France 6.1% South Korea 5.2% Switzerland 4.9% China 3.4% Sweden 3.3% Hong Kong 3.3% Others Footnote Reference 18.2% Short-Term Investments 1.8% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 10.3% Imperial Oil Ltd. (Oil, Gas & Consumable Fuels, Canada) 3.9% British American Tobacco plc (Tobacco, United Kingdom) 2.2% Danone SA (Food Products, France) 2.2% Willis Towers Watson plc (Insurance, United States) 2.2% Shell plc (Oil, Gas & Consumable Fuels, United Kingdom) 2.2% Unilever plc (Personal Care Products, United Kingdom) 2.2% Prosus NV (Broadline Retail, China) 2.1% Fomento Economico Mexicano SAB de CV, ADR (Beverages, Mexico) 2.0% Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods, Switzerland) 1.9% Total 31.2% |
Material Fund Change [Text Block] | |
C000030898 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Overseas Fund |
Class Name | Class I |
Trading Symbol | SGOIX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $98 0.88% |
Expenses Paid, Amount | $ 98 |
Expense Ratio, Percent | 0.88% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Overseas Fund (Class I) | $1,674,574 MSCI EAFE Index | $1,671,413 Oct-2014 1,000,000 1,000,000 Nov-2014 1,014,000 1,013,601.700000 Dec-2014 987,534.600000 978,489.220000 Jan-2015 1,016,864.380000 983,272.500000 Feb-2015 1,050,217.530000 1,042,053.480000 Mar-2015 1,040,450.510000 1,026,223.390000 Apr-2015 1,072,496.380000 1,068,123.160000 May-2015 1,068,957.140000 1,062,655.650000 Jun-2015 1,050,250.390000 1,032,546.910000 Jul-2015 1,034,706.690000 1,053,985.880000 Aug-2015 1,009,356.370000 976,451.650000 Sep-2015 969,284.930000 926,871.730000 Oct-2015 1,028,895.950000 999,324.680000 Nov-2015 1,012,845.170000 983,778.270000 Dec-2015 1,012,743.890000 970,522.860000 Jan-2016 975,171.090000 900,340.490000 Feb-2016 991,944.030000 883,845.640000 Mar-2016 1,044,814.650000 941,355.170000 Apr-2016 1,083,263.830000 968,608.410000 May-2016 1,065,173.320000 959,809.400000 Jun-2016 1,072,416.500000 927,590.950000 Jul-2016 1,108,127.970000 974,601.950000 Aug-2016 1,102,254.890000 975,293.900000 Sep-2016 1,109,529.770000 987,274.800000 Oct-2016 1,103,205.450000 967,080.240000 Nov-2016 1,064,372.620000 947,819.840000 Dec-2016 1,072,568.290000 980,229.950000 Jan-2017 1,110,108.180000 1,008,664.160000 Feb-2017 1,142,069.080000 1,051,251.800000 Mar-2017 1,152,461.910000 1,078,000.770000 Apr-2017 1,178,738.040000 1,117,567.790000 May-2017 1,173,551.600000 1,115,591.220000 Jun-2017 1,190,450.740000 1,147,771.310000 Jul-2017 1,196,045.860000 1,147,338.840000 Aug-2017 1,202,624.110000 1,175,885.230000 Oct-2017 1,216,213.760000 1,193,740.700000 Nov-2017 1,221,808.350000 1,206,262.160000 Dec-2017 1,226,573.400000 1,225,624 Jan-2018 1,264,965.150000 1,287,100.660000 Feb-2018 1,212,469.090000 1,229,006.140000 Mar-2018 1,215,379.020000 1,206,854.900000 Apr-2018 1,223,157.440000 1,234,410.590000 May-2018 1,209,580.400000 1,206,663.640000 Jun-2018 1,192,525.310000 1,191,921.490000 Jul-2018 1,207,074.120000 1,221,261.010000 Aug-2018 1,182,811.930000 1,197,675.480000 Sep-2018 1,192,984.120000 1,208,069.780000 Oct-2018 1,131,187.540000 1,111,917.040000 Nov-2018 1,130,169.470000 1,110,515.920000 Dec-2018 1,103,949.540000 1,056,607.140000 Jan-2019 1,163,231.630000 1,126,047.540000 Feb-2019 1,182,308.630000 1,154,752.020000 Mar-2019 1,191,412.400000 1,162,033.610000 Apr-2019 1,212,023.840000 1,194,704.560000 May-2019 1,177,844.770000 1,137,327.790000 Jun-2019 1,240,623.890000 1,204,800.230000 Jul-2019 1,225,984.530000 1,189,503.100000 Aug-2019 1,231,501.460000 1,158,687.920000 Sep-2019 1,252,560.130000 1,191,891.310000 Oct-2019 1,268,091.880000 1,234,714.900000 Nov-2019 1,263,526.750000 1,248,634.080000 Dec-2019 1,301,432.550000 1,289,214.310000 Jan-2020 1,268,506.310000 1,262,285.440000 Feb-2020 1,195,694.050000 1,148,177.700000 Mar-2020 1,071,939.710000 994,932.400000 Apr-2020 1,157,480.500000 1,059,207.660000 May-2020 1,189,311.220000 1,105,330.700000 Jun-2020 1,211,670.270000 1,142,966.740000 Jul-2020 1,250,928.380000 1,169,608.030000 Aug-2020 1,281,200.850000 1,229,738.620000 Sep-2020 1,267,363.880000 1,197,785.920000 Oct-2020 1,241,889.870000 1,149,959.700000 Nov-2020 1,348,692.400000 1,328,218.850000 Dec-2020 1,395,626.890000 1,389,975.690000 Jan-2021 1,383,903.620000 1,375,167.060000 Feb-2021 1,373,801.130000 1,406,011.110000 Mar-2021 1,411,718.040000 1,438,339.780000 Apr-2021 1,443,764.040000 1,481,618.720000 May-2021 1,501,947.730000 1,529,935.750000 Jun-2021 1,475,213.060000 1,512,718.110000 Jul-2021 1,475,213.060000 1,524,108.120000 Aug-2021 1,474,180.410000 1,550,992.310000 Sep-2021 1,433,640.450000 1,505,981.010000 Oct-2021 1,461,883.170000 1,543,021.200000 Nov-2021 1,414,371.960000 1,471,203.240000 Dec-2021 1,468,966.720000 1,546,534.430000 Jan-2022 1,452,514.290000 1,471,799.780000 Feb-2022 1,451,933.290000 1,445,776.180000 Mar-2022 1,450,190.970000 1,455,068.850000 Apr-2022 1,386,672.600000 1,360,933.590000 May-2022 1,401,926 1,371,136.220000 Jun-2022 1,319,212.370000 1,243,911.790000 Jul-2022 1,345,860.460000 1,305,895.810000 Aug-2022 1,290,411.010000 1,243,872.820000 Sep-2022 1,201,501.690000 1,127,512.240000 Oct-2022 1,236,585.540000 1,188,143.780000 Nov-2022 1,361,233.360000 1,321,971.370000 Dec-2022 1,352,929.840000 1,323,033.660000 Jan-2023 1,448,717.270000 1,430,169.100000 Feb-2023 1,395,259.600000 1,400,326.380000 Mar-2023 1,445,768 1,435,032.160000 Apr-2023 1,469,334.020000 1,475,547.220000 May-2023 1,415,850.260000 1,413,104.870000 Jun-2023 1,457,051.500000 1,477,414.650000 Jul-2023 1,482,258.490000 1,525,218.650000 Aug-2023 1,442,830.420000 1,466,783.840000 Sep-2023 1,393,485.620000 1,416,681.930000 Oct-2023 1,377,042.490000 1,359,247.050000 Nov-2023 1,450,438.850000 1,485,409.430000 Dec-2023 1,498,158.290000 1,564,327.760000 Jan-2024 1,483,626.150000 1,573,330.290000 Feb-2024 1,501,132.940000 1,602,129.190000 Mar-2024 1,551,120.670000 1,654,822.630000 Apr-2024 1,540,262.830000 1,612,444.620000 May-2024 1,593,863.970000 1,674,902.650000 Jun-2024 1,563,102.400000 1,647,863.300000 Jul-2024 1,632,973.070000 1,696,205.870000 Aug-2024 1,687,840.970000 1,751,360.040000 Sep-2024 1,722,104.140000 1,767,532.740000 Oct-2024 1,674,574 1,671,413 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class I 21.62 % 5.72 % 5.30 % MSCI EAFE Index 22.97 % 6.24 % 5.27 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 12,368,480,904 |
Holdings Count | Holding | 133 |
Advisory Fees Paid, Amount | $ 93,232,514 |
InvestmentCompanyPortfolioTurnover | 6.73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $12,368,480,904 Number of Portfolio Holdings 133 Portfolio Turnover Rate 6.73% Net Investment Advisory Fees (net of waivers and reimbursements) $93,232,514 |
Holdings [Text Block] | Value Value Common Stocks 87.8% Commodities 10.4% Short-Term Investments 1.8% Footnote Reference Value Value Short-Term Investments 1.8% Others Footnote Reference 1.2% Real Estate 2.6% Health Care 4.1% Information Technology 4.9% Energy 6.1% Materials 8.6% Consumer Discretionary 9.5% Commodities 10.4% Industrials 14.5% Financials 14.7% Consumer Staples 21.6% Japan 16.1% United Kingdom 14.5% United States 14.0% Canada 9.2% France 6.1% South Korea 5.2% Switzerland 4.9% China 3.4% Sweden 3.3% Hong Kong 3.3% Others Footnote Reference 18.2% Short-Term Investments 1.8% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 10.3% Imperial Oil Ltd. (Oil, Gas & Consumable Fuels, Canada) 3.9% British American Tobacco plc (Tobacco, United Kingdom) 2.2% Danone SA (Food Products, France) 2.2% Willis Towers Watson plc (Insurance, United States) 2.2% Shell plc (Oil, Gas & Consumable Fuels, United Kingdom) 2.2% Unilever plc (Personal Care Products, United Kingdom) 2.2% Prosus NV (Broadline Retail, China) 2.1% Fomento Economico Mexicano SAB de CV, ADR (Beverages, Mexico) 2.0% Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods, Switzerland) 1.9% Total 31.2% |
Material Fund Change [Text Block] | |
C000179770 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Overseas Fund |
Class Name | Class R6 |
Trading Symbol | FEORX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $88 0.80% |
Expenses Paid, Amount | $ 88 |
Expense Ratio, Percent | 0.80% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Overseas Fund (Class R6) | $14,964 MSCI EAFE Index | $16,337 Mar-2017 10,142 10,275.290000 Apr-2017 10,234.290000 10,536.740000 May-2017 10,467.630000 10,923.480000 Jun-2017 10,421.580000 10,904.160000 Jul-2017 10,571.650000 11,218.700000 Aug-2017 10,625.560000 11,214.470000 Sep-2017 10,684 11,493.500000 Oct-2017 10,804.730000 11,668.020000 Nov-2017 10,854.430000 11,790.410000 Dec-2017 10,898.940000 11,979.660000 Jan-2018 11,240.070000 12,580.550000 Feb-2018 10,773.610000 12,012.720000 Mar-2018 10,799.470000 11,796.200000 Apr-2018 10,872.900000 12,065.540000 May-2018 10,747.870000 11,794.330000 Jun-2018 10,600.620000 11,650.240000 Jul-2018 10,729.950000 11,937.010000 Aug-2018 10,514.280000 11,706.480000 Sep-2018 10,604.700000 11,808.080000 Oct-2018 10,056.440000 10,868.250000 Nov-2018 10,047.380000 10,854.550000 Dec-2018 9,818.300000 10,327.630000 Jan-2019 10,345.550000 11,006.370000 Feb-2019 10,515.210000 11,286.930000 Mar-2019 10,590.920000 11,358.110000 Apr-2019 10,778.380000 11,677.440000 May-2019 10,474.430000 11,116.620000 Jun-2019 11,037.960000 11,776.120000 Jul-2019 10,908.810000 11,626.600000 Aug-2019 10,957.900000 11,325.400000 Sep-2019 11,140.900000 11,649.940000 Oct-2019 11,283.500000 12,068.520000 Nov-2019 11,242.880000 12,204.570000 Dec-2019 11,577.920000 12,601.210000 Jan-2020 11,289.630000 12,338 Feb-2020 10,641.610000 11,222.670000 Mar-2020 9,540.200000 9,724.800000 Apr-2020 10,301.510000 10,353.050000 May-2020 10,584.800000 10,803.870000 Jun-2020 10,783.790000 11,171.740000 Jul-2020 11,138.580000 11,432.140000 Aug-2020 11,408.130000 12,019.880000 Sep-2020 11,284.930000 11,707.560000 Oct-2020 11,058.100000 11,240.090000 Nov-2020 12,007.990000 12,982.460000 Dec-2020 12,429.470000 13,586.090000 Jan-2021 12,325.060000 13,441.340000 Feb-2021 12,235.090000 13,742.820000 Mar-2021 12,572.780000 14,058.810000 Apr-2021 12,858.180000 14,481.840000 May-2021 13,381.510000 14,954.100000 Jun-2021 13,143.320000 14,785.810000 Jul-2021 13,143.320000 14,897.140000 Aug-2021 13,134.120000 15,159.920000 Sep-2021 12,772.930000 14,719.960000 Oct-2021 13,024.550000 15,082.010000 Nov-2021 12,606.470000 14,380.030000 Dec-2021 13,090.550000 15,116.340000 Jan-2022 12,949.180000 14,385.860000 Feb-2022 12,938.820000 14,131.500000 Mar-2022 12,928.470000 14,222.330000 Apr-2022 12,362.200000 13,302.220000 May-2022 12,498.180000 13,401.940000 Jun-2022 11,760.790000 12,158.410000 Jul-2022 12,003.060000 12,764.260000 Aug-2022 11,503.740000 12,158.030000 Sep-2022 10,715.730000 11,020.680000 Oct-2022 11,028.630000 11,613.310000 Nov-2022 12,139.210000 12,921.390000 Dec-2022 12,071.230000 12,931.770000 Jan-2023 12,925.880000 13,978.950000 Feb-2023 12,443.740000 13,687.260000 Mar-2023 12,900.430000 14,026.480000 Apr-2023 13,110.700000 14,422.490000 May-2023 12,633.470000 13,812.160000 Jun-2023 13,001.110000 14,440.750000 Jul-2023 13,226.030000 14,908 Aug-2023 12,879.500000 14,336.840000 Sep-2023 12,433.870000 13,847.120000 Oct-2023 12,292.130000 13,285.740000 Nov-2023 12,947.300000 14,518.890000 Dec-2023 13,373.260000 15,290.260000 Jan-2024 13,243.540000 15,378.260000 Feb-2024 13,405.110000 15,659.750000 Mar-2024 13,851.510000 16,174.790000 Apr-2024 13,754.540000 15,760.570000 May-2024 14,233.200000 16,371.060000 Jun-2024 13,958.500000 16,106.770000 Jul-2024 14,588.030000 16,579.280000 Aug-2024 15,078.190000 17,118.380000 Sep-2024 15,384.280000 17,276.460000 Oct-2024 14,964 16,337 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years Since Inception (3/1/17) Class R6 21.72 % 5.81 % 5.40 % MSCI EAFE Index 22.97 % 6.24 % 6.53 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 12,368,480,904 |
Holdings Count | Holding | 133 |
Advisory Fees Paid, Amount | $ 93,232,514 |
InvestmentCompanyPortfolioTurnover | 6.73% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $12,368,480,904 Number of Portfolio Holdings 133 Portfolio Turnover Rate 6.73% Net Investment Advisory Fees (net of waivers and reimbursements) $93,232,514 |
Holdings [Text Block] | Value Value Common Stocks 87.8% Commodities 10.4% Short-Term Investments 1.8% Footnote Reference Value Value Short-Term Investments 1.8% Others Footnote Reference 1.2% Real Estate 2.6% Health Care 4.1% Information Technology 4.9% Energy 6.1% Materials 8.6% Consumer Discretionary 9.5% Commodities 10.4% Industrials 14.5% Financials 14.7% Consumer Staples 21.6% Japan 16.1% United Kingdom 14.5% United States 14.0% Canada 9.2% France 6.1% South Korea 5.2% Switzerland 4.9% China 3.4% Sweden 3.3% Hong Kong 3.3% Others Footnote Reference 18.2% Short-Term Investments 1.8% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 10.3% Imperial Oil Ltd. (Oil, Gas & Consumable Fuels, Canada) 3.9% British American Tobacco plc (Tobacco, United Kingdom) 2.2% Danone SA (Food Products, France) 2.2% Willis Towers Watson plc (Insurance, United States) 2.2% Shell plc (Oil, Gas & Consumable Fuels, United Kingdom) 2.2% Unilever plc (Personal Care Products, United Kingdom) 2.2% Prosus NV (Broadline Retail, China) 2.1% Fomento Economico Mexicano SAB de CV, ADR (Beverages, Mexico) 2.0% Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods, Switzerland) 1.9% Total 31.2% |
Material Fund Change [Text Block] | |
C000030900 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle U.S. Value Fund |
Class Name | Class A |
Trading Symbol | FEVAX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $129 1.12% |
Expenses Paid, Amount | $ 129 |
Expense Ratio, Percent | 1.12% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle U.S. Value Fund (Class A) | $21,703 S&P 500 Index | $33,950 Oct-2014 10,000 10,000 Nov-2014 9,707.100000 10,269 Dec-2014 9,733.310000 10,243 Jan-2015 9,522.100000 9,936 Feb-2015 9,862.040000 10,507 Mar-2015 9,636.200000 10,340 Apr-2015 9,755.680000 10,440 May-2015 9,765.440000 10,574 Jun-2015 9,506.660000 10,369 Jul-2015 9,410.640000 10,586 Aug-2015 9,108.560000 9,948 Sep-2015 8,902.700000 9,702 Oct-2015 9,501.860000 10,520 Nov-2015 9,554.120000 10,551 Dec-2015 9,232.140000 10,385 Jan-2016 8,940.410000 9,870 Feb-2016 9,121 9,856 Mar-2016 9,633.600000 10,525 Apr-2016 9,894.670000 10,566 May-2016 9,889.730000 10,755 Jun-2016 9,909.510000 10,783 Jul-2016 10,220.660000 11,181 Aug-2016 10,260.520000 11,196 Sep-2016 10,270.780000 11,199 Oct-2016 10,090.020000 10,994 Nov-2016 10,511.780000 11,401 Dec-2016 10,593.770000 11,627 Jan-2017 10,763.270000 11,847 Feb-2017 11,014.800000 12,332 Mar-2017 10,981.760000 12,459 Apr-2017 11,025.690000 12,634 May-2017 11,090.740000 12,713 Jun-2017 11,216.060000 12,974 Jul-2017 11,204.850000 13,014 Aug-2017 11,439.030000 13,283 Oct-2017 11,596.890000 13,593 Nov-2017 11,776.640000 14,009 Dec-2017 11,948.580000 14,165 Jan-2018 12,459.980000 14,976 Feb-2018 11,977.780000 14,424 Mar-2018 11,859.200000 14,058 Apr-2018 11,918.490000 14,112 May-2018 12,073.430000 14,451 Jun-2018 12,014.270000 14,540 Jul-2018 12,264.170000 15,081 Aug-2018 12,318.130000 15,573 Sep-2018 12,305.810000 15,662 Oct-2018 11,829.580000 14,591 Nov-2018 12,014.120000 14,888 Dec-2018 11,241.610000 13,544 Jan-2019 12,148.810000 14,629 Feb-2019 12,417.300000 15,099 Mar-2019 12,417.300000 15,393 Apr-2019 12,705.380000 16,016 May-2019 11,983.710000 14,998 Jun-2019 12,828.570000 16,055 Jul-2019 12,945.310000 16,286 Aug-2019 12,677.340000 16,028 Sep-2019 12,890.320000 16,328 Oct-2019 12,945.750000 16,681 Nov-2019 13,082.970000 17,287 Dec-2019 13,417.900000 17,809 Jan-2020 13,022.070000 17,802 Feb-2020 12,133.960000 16,336 Mar-2020 10,522.570000 14,319 Apr-2020 11,686.370000 16,154 May-2020 11,946.970000 16,923 Jun-2020 12,050.910000 17,260 Jul-2020 12,752.280000 18,233 Aug-2020 13,312.100000 19,544 Sep-2020 12,842.180000 18,801 Oct-2020 12,655.970000 18,301 Nov-2020 13,707.680000 20,305 Dec-2020 14,288.890000 21,085 Jan-2021 13,947.390000 20,872 Feb-2021 14,668.470000 21,448 Mar-2021 15,283.070000 22,387 Apr-2021 16,056.400000 23,582 May-2021 16,618.370000 23,747 Jun-2021 16,322.560000 24,301 Jul-2021 16,505.380000 24,878 Aug-2021 16,686.940000 25,635 Sep-2021 16,156.290000 24,443 Oct-2021 16,870.400000 26,155 Nov-2021 16,156.780000 25,974 Dec-2021 16,956.540000 27,138 Jan-2022 16,914.150000 25,734 Feb-2022 16,780.530000 24,963 Mar-2022 17,322.540000 25,890 Apr-2022 16,257.200000 23,632 May-2022 16,499.440000 23,676 Jun-2022 15,200.930000 21,721 Jul-2022 15,942.740000 23,724 Aug-2022 15,426.190000 22,757 Sep-2022 14,176.670000 20,661 Oct-2022 15,334.900000 22,334 Nov-2022 16,267.270000 23,582 Dec-2022 15,992.350000 22,223 Jan-2023 16,982.280000 23,619 Feb-2023 16,460.920000 23,043 Mar-2023 16,712.770000 23,889 Apr-2023 17,072.100000 24,262 May-2023 16,568.470000 24,367 Jun-2023 17,504.590000 25,977 Jul-2023 18,017.470000 26,812 Aug-2023 17,630.100000 26,385 Sep-2023 16,981.310000 25,127 Oct-2023 16,684.140000 24,599 Nov-2023 17,646.810000 26,845 Dec-2023 18,297.980000 28,065 Jan-2024 18,442.530000 28,536 Feb-2024 18,721.010000 30,060 Mar-2024 19,750.670000 31,027 Apr-2024 19,241.100000 29,760 May-2024 19,924.160000 31,236 Jun-2024 20,097.500000 32,356 Jul-2024 20,915.470000 32,750 Aug-2024 21,453 33,545 Sep-2024 21,991.470000 34,261 Oct-2024 21,703 33,950 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class A - without sales charge 30.07 % 10.88 % 8.61 % Class A - with sales charge 23.54 % 9.75 % 8.06 % S&P 500 Index 38.02 % 15.27 % 13.00 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,397,774,168 |
Holdings Count | Holding | 81 |
Advisory Fees Paid, Amount | $ 9,508,844 |
InvestmentCompanyPortfolioTurnover | 8.63% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,397,774,168 Number of Portfolio Holdings 81 Portfolio Turnover Rate 8.63% Net Investment Advisory Fees (net of waivers and reimbursements) $9,508,844 |
Holdings [Text Block] | Value Value Common Stocks 77.5% Commodities 12.6% Master Limited Partnerships 1.4% Corporate Bonds 1.3% Convertible Preferred Stocks 0.4% Short-Term Investments 6.8% Footnote Reference Value Value Short-Term Investments 6.8% Others Footnote Reference 0.4% Real Estate 3.9% Materials 4.4% Industrials 7.0% Consumer Staples 7.4% Energy 8.2% Information Technology 11.6% Communication Services 11.7% Financials 12.3% Commodities 12.6% Health Care 13.7% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 12.6% Oracle Corp. (Software, United States) 4.4% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 3.9% HCA Healthcare, Inc. (Health Care Providers & Services, United States) 3.8% Philip Morris International, Inc. (Tobacco, United States) 3.7% Bank of New York Mellon Corp. (The) (Capital Markets, United States) 3.2% Comcast Corp., Class A (Media, United States) 2.9% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.7% CH Robinson Worldwide, Inc. (Air Freight & Logistics, United States) 2.6% Elevance Health, Inc. (Health Care Providers & Services, United States) 2.5% Total 42.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since November 1, 2023. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com Until March 1, 2024, the Adviser contractually agreed to waive its management fee at an annual rate in the amount of 0.05% of the average daily value of the U.S. Value Fund’s net assets. |
C000030902 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle U.S. Value Fund |
Class Name | Class C |
Trading Symbol | FEVCX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class C $216 1.88% |
Expenses Paid, Amount | $ 216 |
Expense Ratio, Percent | 1.88% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle U.S. Value Fund (Class C) | $21,167 S&P 500 Index | $33,950 Oct-2014 10,000 10,000 Nov-2014 10,212 10,269 Dec-2014 10,231.400000 10,243 Jan-2015 10,006.310000 9,936 Feb-2015 10,353.530000 10,507 Mar-2015 10,113.330000 10,340 Apr-2015 10,230.640000 10,440 May-2015 10,235.760000 10,574 Jun-2015 9,959.390000 10,369 Jul-2015 9,846.850000 10,586 Aug-2015 9,529.780000 9,948 Sep-2015 9,304.880000 9,702 Oct-2015 9,928.310000 10,520 Nov-2015 9,973.980000 10,551 Dec-2015 9,632.870000 10,385 Jan-2016 9,322.690000 9,870 Feb-2016 9,504.480000 9,856 Mar-2016 10,033.880000 10,525 Apr-2016 10,301.790000 10,566 May-2016 10,291.480000 10,755 Jun-2016 10,301.780000 10,783 Jul-2016 10,623.190000 11,181 Aug-2016 10,655.060000 11,196 Sep-2016 10,660.390000 11,199 Oct-2016 10,462.110000 10,994 Nov-2016 10,890.010000 11,401 Dec-2016 10,974.950000 11,627 Jan-2017 11,137.380000 11,847 Feb-2017 11,381.840000 12,332 Mar-2017 11,340.870000 12,459 Apr-2017 11,381.700000 12,634 May-2017 11,439.740000 12,713 Jun-2017 11,562.150000 12,974 Jul-2017 11,544.810000 13,014 Aug-2017 11,776.860000 13,283 Oct-2017 11,939.380000 13,593 Nov-2017 12,113.690000 14,009 Dec-2017 12,278.440000 14,165 Jan-2018 12,799.040000 14,976 Feb-2018 12,297.320000 14,424 Mar-2018 12,170.660000 14,058 Apr-2018 12,221.780000 14,112 May-2018 12,367.210000 14,451 Jun-2018 12,304.140000 14,540 Jul-2018 12,545.300000 15,081 Aug-2018 12,595.480000 15,573 Sep-2018 12,576.590000 15,662 Oct-2018 12,081.070000 14,591 Nov-2018 12,258.660000 14,888 Dec-2018 11,467.980000 13,544 Jan-2019 12,377.390000 14,629 Feb-2019 12,648.460000 15,099 Mar-2019 12,640.870000 15,393 Apr-2019 12,918.970000 16,016 May-2019 12,178.710000 14,998 Jun-2019 13,028.780000 16,055 Jul-2019 13,146.040000 16,286 Aug-2019 12,859.460000 16,028 Sep-2019 13,071.640000 16,328 Oct-2019 13,116.080000 16,681 Nov-2019 13,248.560000 17,287 Dec-2019 13,579.770000 17,809 Jan-2020 13,168.300000 17,802 Feb-2020 12,264.960000 16,336 Mar-2020 10,632.490000 14,319 Apr-2020 11,796.750000 16,154 May-2020 12,050.380000 16,923 Jun-2020 12,152.810000 17,260 Jul-2020 12,850.380000 18,233 Aug-2020 13,396.520000 19,544 Sep-2020 12,920.940000 18,801 Oct-2020 12,723.250000 18,301 Nov-2020 13,776.740000 20,305 Dec-2020 14,348.470000 21,085 Jan-2021 13,996.940000 20,872 Feb-2021 14,714.980000 21,448 Mar-2021 15,313.880000 22,387 Apr-2021 16,081.100000 23,582 May-2021 16,632.690000 23,747 Jun-2021 16,329.970000 24,301 Jul-2021 16,498.170000 24,878 Aug-2021 16,666.450000 25,635 Sep-2021 16,123.120000 24,443 Oct-2021 16,834.150000 26,155 Nov-2021 16,115.340000 25,974 Dec-2021 16,892.090000 27,138 Jan-2022 16,839.730000 25,734 Feb-2022 16,699.960000 24,963 Mar-2022 17,224.340000 25,890 Apr-2022 16,159.870000 23,632 May-2022 16,386.110000 23,676 Jun-2022 15,085.060000 21,721 Jul-2022 15,809.140000 23,724 Aug-2022 15,293.760000 22,757 Sep-2022 14,045.790000 20,661 Oct-2022 15,180.690000 22,334 Nov-2022 16,097.600000 23,582 Dec-2022 15,811.070000 22,223 Jan-2023 16,781.860000 23,619 Feb-2023 16,254.910000 23,043 Mar-2023 16,500.360000 23,889 Apr-2023 16,840.270000 24,262 May-2023 16,331.690000 24,367 Jun-2023 17,246.270000 25,977 Jul-2023 17,746.410000 26,812 Aug-2023 17,350.670000 26,385 Sep-2023 16,700.020000 25,127 Oct-2023 16,397.750000 24,599 Nov-2023 17,330.780000 26,845 Dec-2023 17,959.880000 28,065 Jan-2024 18,090.990000 28,536 Feb-2024 18,351.500000 30,060 Mar-2024 19,344.320000 31,027 Apr-2024 18,843.300000 29,760 May-2024 19,495.280000 31,236 Jun-2024 19,645.390000 32,356 Jul-2024 20,437.100000 32,750 Aug-2024 20,948.030000 33,545 Sep-2024 21,459.160000 34,261 Oct-2024 21,167 33,950 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class C - without sales charge 29.10 % 10.04 % 7.79 % Class C - with sales charge 28.10 % 10.04 % 7.79 % S&P 500 Index 38.02 % 15.27 % 13.00 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,397,774,168 |
Holdings Count | Holding | 81 |
Advisory Fees Paid, Amount | $ 9,508,844 |
InvestmentCompanyPortfolioTurnover | 8.63% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,397,774,168 Number of Portfolio Holdings 81 Portfolio Turnover Rate 8.63% Net Investment Advisory Fees (net of waivers and reimbursements) $9,508,844 |
Holdings [Text Block] | Value Value Common Stocks 77.5% Commodities 12.6% Master Limited Partnerships 1.4% Corporate Bonds 1.3% Convertible Preferred Stocks 0.4% Short-Term Investments 6.8% Footnote Reference Value Value Short-Term Investments 6.8% Others Footnote Reference 0.4% Real Estate 3.9% Materials 4.4% Industrials 7.0% Consumer Staples 7.4% Energy 8.2% Information Technology 11.6% Communication Services 11.7% Financials 12.3% Commodities 12.6% Health Care 13.7% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 12.6% Oracle Corp. (Software, United States) 4.4% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 3.9% HCA Healthcare, Inc. (Health Care Providers & Services, United States) 3.8% Philip Morris International, Inc. (Tobacco, United States) 3.7% Bank of New York Mellon Corp. (The) (Capital Markets, United States) 3.2% Comcast Corp., Class A (Media, United States) 2.9% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.7% CH Robinson Worldwide, Inc. (Air Freight & Logistics, United States) 2.6% Elevance Health, Inc. (Health Care Providers & Services, United States) 2.5% Total 42.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since November 1, 2023. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com Until March 1, 2024, the Adviser contractually agreed to waive its management fee at an annual rate in the amount of 0.05% of the average daily value of the U.S. Value Fund’s net assets. |
C000030901 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle U.S. Value Fund |
Class Name | Class I |
Trading Symbol | FEVIX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $99 0.86% |
Expenses Paid, Amount | $ 99 |
Expense Ratio, Percent | 0.86% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle U.S. Value Fund (Class I) | $2,357,780 S&P 500 Index | $3,395,049 Oct-2014 1,000,000 1,000,000 Nov-2014 1,022,000 1,026,895 Dec-2014 1,024,861.600000 1,024,308 Jan-2015 1,002,929.560000 993,559 Feb-2015 1,038,834.440000 1,050,660 Mar-2015 1,015,876.200000 1,034,045 Apr-2015 1,028,371.480000 1,043,964 May-2015 1,029,914.030000 1,057,389 Jun-2015 1,002,930.290000 1,036,920 Jul-2015 993,001.280000 1,058,645 Aug-2015 961,622.440000 994,773 Sep-2015 939,697.440000 970,159 Oct-2015 1,003,033.050000 1,051,995 Nov-2015 1,009,051.250000 1,055,124 Dec-2015 974,945.320000 1,038,483 Jan-2016 945,014.500000 986,949 Feb-2016 963,914.790000 985,617 Mar-2016 1,018,375.970000 1,052,480 Apr-2016 1,046,177.640000 1,056,560 May-2016 1,046,177.640000 1,075,534 Jun-2016 1,048,269.990000 1,078,320 Jul-2016 1,081,814.630000 1,118,077 Aug-2016 1,086,033.710000 1,119,647 Sep-2016 1,087,662.760000 1,119,858 Oct-2016 1,068,302.360000 1,099,431 Nov-2016 1,113,384.720000 1,140,148 Dec-2016 1,122,625.810000 1,162,684 Jan-2017 1,140,251.040000 1,184,736 Feb-2017 1,167,010.450000 1,233,214 Mar-2017 1,164,209.630000 1,245,879 Apr-2017 1,169,332.150000 1,263,412 May-2017 1,176,698.940000 1,271,298 Jun-2017 1,189,760.300000 1,297,439 Jul-2017 1,189,165.420000 1,301,411 Aug-2017 1,214,256.810000 1,328,257 Oct-2017 1,231,377.830000 1,359,252 Nov-2017 1,250,710.460000 1,400,940 Dec-2017 1,268,845.760000 1,416,516 Jan-2018 1,323,659.900000 1,497,618 Feb-2018 1,273,228.460000 1,442,420 Mar-2018 1,260,750.820000 1,405,763 Apr-2018 1,266,928.500000 1,411,157 May-2018 1,283,778.650000 1,445,141 Jun-2018 1,278,130.020000 1,454,035 Jul-2018 1,304,203.870000 1,508,145 Aug-2018 1,310,464.050000 1,557,289 Sep-2018 1,309,808.820000 1,566,153 Oct-2018 1,258,726.280000 1,459,106 Nov-2018 1,278,614.150000 1,488,840 Dec-2018 1,197,038.570000 1,354,411 Jan-2019 1,293,400.170000 1,462,948 Feb-2019 1,322,113.660000 1,509,921 Mar-2019 1,322,774.710000 1,539,261 Apr-2019 1,353,727.640000 1,601,586 May-2019 1,277,512.780000 1,499,808 Jun-2019 1,367,449.680000 1,605,509 Jul-2019 1,381,124.170000 1,628,583 Aug-2019 1,352,396.790000 1,602,786 Sep-2019 1,375,387.540000 1,632,775 Oct-2019 1,381,851.860000 1,668,140 Nov-2019 1,396,223.120000 1,728,692 Dec-2019 1,432,943.780000 1,780,867 Jan-2020 1,390,671.940000 1,780,169 Feb-2020 1,296,106.250000 1,633,627 Mar-2020 1,124,112.950000 1,431,853 Apr-2020 1,249,226.720000 1,615,408 May-2020 1,276,584.790000 1,692,346 Jun-2020 1,288,329.370000 1,726,002 Jul-2020 1,364,211.970000 1,823,323 Aug-2020 1,423,691.610000 1,954,385 Sep-2020 1,374,431.880000 1,880,124 Oct-2020 1,354,090.290000 1,830,125 Nov-2020 1,468,240.100000 2,030,458 Dec-2020 1,530,053.010000 2,108,525 Jan-2021 1,494,249.770000 2,087,238 Feb-2021 1,571,651.900000 2,144,793 Mar-2021 1,637,818.450000 2,238,726 Apr-2021 1,720,692.060000 2,358,204 May-2021 1,781,260.420000 2,374,674 Jun-2021 1,750,088.370000 2,430,111 Jul-2021 1,770,039.370000 2,487,838 Aug-2021 1,790,040.820000 2,563,482 Sep-2021 1,733,475.530000 2,444,255 Oct-2021 1,810,788.540000 2,615,504 Nov-2021 1,734,192.180000 2,597,381 Dec-2021 1,820,554.950000 2,713,786 Jan-2022 1,824,924.290000 2,573,355 Feb-2022 1,811,784.830000 2,496,305 Mar-2022 1,869,943.120000 2,588,992 Apr-2022 1,755,502.600000 2,363,227 May-2022 1,781,835.140000 2,367,563 Jun-2022 1,641,070.170000 2,172,135 Jul-2022 1,721,974.930000 2,372,416 Aug-2022 1,666,527.330000 2,275,664 Sep-2022 1,531,871.930000 2,066,079 Oct-2022 1,657,638.610000 2,233,351 Nov-2022 1,758,754.570000 2,358,160 Dec-2022 1,729,207.490000 2,222,296 Jan-2023 1,837,628.800000 2,361,931 Feb-2023 1,780,478.540000 2,304,303 Mar-2023 1,808,966.200000 2,388,903 Apr-2023 1,848,039.870000 2,426,190 May-2023 1,793,707.500000 2,436,736 Jun-2023 1,895,590.080000 2,597,744 Jul-2023 1,951,699.550000 2,681,197 Aug-2023 1,909,738.010000 2,638,508 Sep-2023 1,840,223.550000 2,512,709 Oct-2023 1,807,835.610000 2,459,876 Nov-2023 1,912,509.290000 2,684,525 Dec-2023 1,983,080.890000 2,806,485 Jan-2024 1,999,342.150000 2,853,645 Feb-2024 2,030,931.750000 3,006,018 Mar-2024 2,141,820.630000 3,102,735 Apr-2024 2,087,846.750000 2,976,005 May-2024 2,162,591.660000 3,123,569 Jun-2024 2,181,838.730000 3,235,650 Jul-2024 2,270,421.380000 3,275,035 Aug-2024 2,330,360.510000 3,354,477 Sep-2024 2,389,318.630000 3,426,119 Oct-2024 2,357,780 3,395,049 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class I 30.41 % 11.17 % 8.91 % S&P 500 Index 38.02 % 15.27 % 13.00 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,397,774,168 |
Holdings Count | Holding | 81 |
Advisory Fees Paid, Amount | $ 9,508,844 |
InvestmentCompanyPortfolioTurnover | 8.63% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,397,774,168 Number of Portfolio Holdings 81 Portfolio Turnover Rate 8.63% Net Investment Advisory Fees (net of waivers and reimbursements) $9,508,844 |
Holdings [Text Block] | Value Value Common Stocks 77.5% Commodities 12.6% Master Limited Partnerships 1.4% Corporate Bonds 1.3% Convertible Preferred Stocks 0.4% Short-Term Investments 6.8% Footnote Reference Value Value Short-Term Investments 6.8% Others Footnote Reference 0.4% Real Estate 3.9% Materials 4.4% Industrials 7.0% Consumer Staples 7.4% Energy 8.2% Information Technology 11.6% Communication Services 11.7% Financials 12.3% Commodities 12.6% Health Care 13.7% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 12.6% Oracle Corp. (Software, United States) 4.4% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 3.9% HCA Healthcare, Inc. (Health Care Providers & Services, United States) 3.8% Philip Morris International, Inc. (Tobacco, United States) 3.7% Bank of New York Mellon Corp. (The) (Capital Markets, United States) 3.2% Comcast Corp., Class A (Media, United States) 2.9% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.7% CH Robinson Worldwide, Inc. (Air Freight & Logistics, United States) 2.6% Elevance Health, Inc. (Health Care Providers & Services, United States) 2.5% Total 42.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since November 1, 2023. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com Until March 1, 2024, the Adviser contractually agreed to waive its management fee at an annual rate in the amount of 0.05% of the average daily value of the U.S. Value Fund’s net assets. |
C000179773 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle U.S. Value Fund |
Class Name | Class R6 |
Trading Symbol | FEVRX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $94 0.81% |
Expenses Paid, Amount | $ 94 |
Expense Ratio, Percent | 0.81% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle U.S. Value Fund (Class R6) | $19,993 S&P 500 Index | $27,562 Mar-2017 9,918 10,012 Apr-2017 9,894.200000 10,114 May-2017 9,932.780000 10,257 Jun-2017 9,995.360000 10,321 Jul-2017 10,111.310000 10,533 Aug-2017 10,106.250000 10,565 Sep-2017 10,319.490000 10,783 Oct-2017 10,465 11,035 Nov-2017 10,625.110000 11,373 Dec-2017 10,783.430000 11,500 Jan-2018 11,249.270000 12,158 Feb-2018 10,820.670000 11,710 Mar-2018 10,714.630000 11,412 Apr-2018 10,767.130000 11,456 May-2018 10,910.340000 11,732 Jun-2018 10,862.330000 11,804 Jul-2018 11,083.920000 12,244 Aug-2018 11,137.120000 12,643 Sep-2018 11,131.560000 12,715 Oct-2018 10,702.990000 11,846 Nov-2018 10,872.100000 12,087 Dec-2018 10,176.280000 10,996 Jan-2019 10,995.470000 11,877 Feb-2019 11,239.570000 12,258 Mar-2019 11,245.190000 12,496 Apr-2019 11,508.330000 13,002 May-2019 10,860.410000 12,176 Jun-2019 11,630.420000 13,034 Jul-2019 11,740.900000 13,221 Aug-2019 11,496.690000 13,012 Sep-2019 11,692.140000 13,255 Oct-2019 11,752.940000 13,543 Nov-2019 11,875.170000 14,034 Dec-2019 12,186.300000 14,458 Jan-2020 11,826.800000 14,452 Feb-2020 11,022.580000 13,262 Mar-2020 9,566.500000 11,624 Apr-2020 10,623.590000 13,114 May-2020 10,862.620000 13,739 Jun-2020 10,962.560000 14,012 Jul-2020 11,600.580000 14,802 Aug-2020 12,106.370000 15,866 Sep-2020 11,687.490000 15,264 Oct-2020 11,514.510000 14,858 Nov-2020 12,485.190000 16,484 Dec-2020 13,009.560000 17,118 Jan-2021 12,703.840000 16,945 Feb-2021 13,368.250000 17,412 Mar-2021 13,931.050000 18,175 Apr-2021 14,635.960000 19,145 May-2021 15,151.150000 19,278 Jun-2021 14,886 19,728 Jul-2021 15,055.700000 20,197 Aug-2021 15,225.830000 20,811 Sep-2021 14,744.700000 19,843 Oct-2021 15,402.310000 21,234 Nov-2021 14,758.490000 21,086 Dec-2021 15,487.560000 22,031 Jan-2022 15,458.140000 20,891 Feb-2022 15,339.110000 20,266 Mar-2022 15,831.500000 21,018 Apr-2022 14,862.610000 19,186 May-2022 15,092.980000 19,221 Jun-2022 13,900.630000 17,634 Jul-2022 14,585.930000 19,260 Aug-2022 14,116.270000 18,475 Sep-2022 12,982.730000 16,773 Oct-2022 14,040.820000 18,131 Nov-2022 14,897.310000 19,144 Dec-2022 14,654.490000 18,041 Jan-2023 15,566 19,175 Feb-2023 15,089.680000 18,707 Mar-2023 15,323.570000 19,394 Apr-2023 15,662.220000 19,697 May-2023 15,193.920000 19,782 Jun-2023 16,064.530000 21,089 Jul-2023 16,540.040000 21,767 Aug-2023 16,184.430000 21,420 Sep-2023 15,595.320000 20,399 Oct-2023 15,320.840000 19,970 Nov-2023 16,207.910000 21,794 Dec-2023 16,817.330000 22,784 Jan-2024 16,946.830000 23,167 Feb-2024 17,214.590000 24,404 Mar-2024 18,154.500000 25,189 Apr-2024 17,697.010000 24,160 May-2024 18,327.020000 25,358 Jun-2024 18,490.130000 26,268 Jul-2024 19,250.080000 26,588 Aug-2024 19,750.580000 27,233 Sep-2024 20,260.140000 27,814 Oct-2024 19,993 27,562 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years Since Inception (3/1/17) Class R6 30.50 % 11.22 % 9.46 % S&P 500 Index 38.02 % 15.27 % 13.88 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,397,774,168 |
Holdings Count | Holding | 81 |
Advisory Fees Paid, Amount | $ 9,508,844 |
InvestmentCompanyPortfolioTurnover | 8.63% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,397,774,168 Number of Portfolio Holdings 81 Portfolio Turnover Rate 8.63% Net Investment Advisory Fees (net of waivers and reimbursements) $9,508,844 |
Holdings [Text Block] | Value Value Common Stocks 77.5% Commodities 12.6% Master Limited Partnerships 1.4% Corporate Bonds 1.3% Convertible Preferred Stocks 0.4% Short-Term Investments 6.8% Footnote Reference Value Value Short-Term Investments 6.8% Others Footnote Reference 0.4% Real Estate 3.9% Materials 4.4% Industrials 7.0% Consumer Staples 7.4% Energy 8.2% Information Technology 11.6% Communication Services 11.7% Financials 12.3% Commodities 12.6% Health Care 13.7% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 12.6% Oracle Corp. (Software, United States) 4.4% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 3.9% HCA Healthcare, Inc. (Health Care Providers & Services, United States) 3.8% Philip Morris International, Inc. (Tobacco, United States) 3.7% Bank of New York Mellon Corp. (The) (Capital Markets, United States) 3.2% Comcast Corp., Class A (Media, United States) 2.9% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.7% CH Robinson Worldwide, Inc. (Air Freight & Logistics, United States) 2.6% Elevance Health, Inc. (Health Care Providers & Services, United States) 2.5% Total 42.3% |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since November 1, 2023. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com Until March 1, 2024, the Adviser contractually agreed to waive its management fee at an annual rate in the amount of 0.05% of the average daily value of the U.S. Value Fund’s net assets. |
C000030903 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Gold Fund |
Class Name | Class A |
Trading Symbol | SGGDX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $138 1.16% |
Expenses Paid, Amount | $ 138 |
Expense Ratio, Percent | 1.16% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Gold Fund (Class A) | $22,207 MSCI World Index | $25,431 FTSE Gold Mines Index | $22,680 Oct-2014 10,000 10,000 10,000 Nov-2014 9,917 10,200.410000 10,483.270000 Dec-2014 10,001 10,035.930000 10,540.670000 Jan-2015 11,513 9,854.080000 12,699.290000 Feb-2015 11,067 10,431.420000 12,388.120000 Mar-2015 9,845 10,268.130000 10,592.610000 Apr-2015 10,559 10,508.940000 11,768.410000 May-2015 10,340 10,545.140000 11,362.110000 Jun-2015 9,697 10,299.940000 10,344.950000 Jul-2015 8,207 10,484.830000 8,086.020000 Aug-2015 8,377 9,791 8,167.410000 Sep-2015 8,165 9,429.860000 8,024.390000 Oct-2015 8,730 10,177.120000 8,865.500000 Nov-2015 8,108 10,126.490000 8,153.770000 Dec-2015 8,073 9,948.490000 8,283.340000 Jan-2016 8,263 9,353.330000 8,968.540000 Feb-2016 10,297 9,283.720000 12,049.760000 Mar-2016 10,700 9,913.700000 12,641.330000 Apr-2016 12,861 10,070.570000 16,050.940000 May-2016 11,597 10,127.130000 14,203.020000 Jun-2016 13,963 10,013.650000 17,429.710000 Jul-2016 15,030 10,436.720000 18,987.470000 Aug-2016 13,165 10,445.390000 15,701.930000 Sep-2016 13,532 10,500.870000 16,345.750000 Oct-2016 12,705 10,297.650000 15,187.930000 Nov-2016 11,088 10,445.720000 12,784.240000 Dec-2016 11,052 10,695.670000 13,219.040000 Jan-2017 12,154 10,953.810000 14,823.620000 Feb-2017 12,083.580000 11,257.710000 14,509.940000 Mar-2017 12,062 11,377.630000 14,329.130000 Apr-2017 11,935 11,546.090000 14,048.990000 May-2017 12,112 11,790.340000 14,162.430000 Jun-2017 11,885 11,835.710000 13,637.410000 Jul-2017 12,083 12,118.960000 14,181.010000 Aug-2017 12,760 12,136.030000 15,234.160000 Sep-2017 11,977 12,408.410000 14,220.240000 Oct-2017 11,652 12,642.910000 13,697.780000 Nov-2017 11,525 12,916.860000 13,755.360000 Dec-2017 11,950 13,091.540000 14,423.760000 Jan-2018 12,069 13,782.770000 14,833.880000 Feb-2018 11,031 13,211.790000 13,128.080000 Mar-2018 11,201 12,923.820000 13,471.820000 Apr-2018 11,244 13,072.330000 13,585.760000 May-2018 11,265 13,154.240000 13,499.400000 Jun-2018 11,053 13,147.970000 13,445.130000 Jul-2018 10,503 13,558.630000 12,768.220000 Aug-2018 9,352 13,726.380000 11,078.810000 Sep-2018 9,267 13,802.820000 11,042.120000 Oct-2018 9,239 12,789.300000 11,428.660000 Nov-2018 9,225 12,934.590000 11,612.910000 Dec-2018 10,051 11,951.070000 12,792.810000 Jan-2019 10,807 12,880.930000 13,787.220000 Feb-2019 10,638 13,268.260000 13,464.230000 Mar-2019 10,765 13,442.530000 13,620.410000 Apr-2019 10,186 13,919.190000 12,617.280000 May-2019 10,384 13,116.040000 13,141.090000 Jun-2019 12,029 13,980.320000 15,940.300000 Jul-2019 12,234 14,049.570000 16,536.740000 Aug-2019 13,859 13,762.200000 18,421.960000 Sep-2019 12,686 14,055.070000 16,635.940000 Oct-2019 13,181 14,412.730000 17,299.750000 Nov-2019 12,912 14,814.130000 16,421.130000 Dec-2019 13,922 15,257.940000 18,065.080000 Jan-2020 14,112 15,165.070000 17,948.900000 Feb-2020 13,180 13,883.240000 16,653.150000 Mar-2020 12,452 12,045.890000 15,091.770000 Apr-2020 16,076 13,361.830000 21,042.850000 May-2020 16,654 14,007.320000 21,418.540000 Jun-2020 17,431 14,377.830000 22,986.820000 Jul-2020 19,953 15,065.680000 26,893.070000 Aug-2020 20,058 16,072.290000 26,480.270000 Sep-2020 19,070 15,517.810000 24,643.370000 Oct-2020 18,560 15,041.800000 23,527.510000 Nov-2020 17,296 16,965.070000 21,350.740000 Dec-2020 18,038 17,684.330000 22,259.010000 Jan-2021 17,380 17,508.570000 21,496.930000 Feb-2021 16,071 17,957.220000 18,863.730000 Mar-2021 16,357 18,554.690000 19,616.980000 Apr-2021 17,187 19,418.230000 20,685.860000 May-2021 19,024 19,697.960000 23,741.620000 Jun-2021 17,065 19,991.550000 20,031.590000 Jul-2021 17,479 20,349.660000 20,620.080000 Aug-2021 16,785 20,856.130000 19,182.100000 Sep-2021 15,677 19,990.170000 17,488.940000 Oct-2021 16,406 21,122.420000 18,551.330000 Nov-2021 16,170 20,659.570000 18,748.830000 Dec-2021 16,636 21,542.560000 19,428.720000 Jan-2022 15,748 20,402.720000 18,168.120000 Feb-2022 17,199 19,886.710000 20,431.070000 Mar-2022 18,651 20,432.470000 22,806.820000 Apr-2022 17,502 18,735.080000 20,967.530000 May-2022 16,585 18,749.270000 18,978.400000 Jun-2022 15,184 17,125.170000 16,134.700000 Jul-2022 14,634 18,484.840000 14,702.920000 Aug-2022 13,645 17,712.030000 13,545.920000 Sep-2022 13,875 16,065.520000 13,662.130000 Oct-2022 13,904 17,219.240000 13,642.090000 Nov-2022 16,064 18,416.500000 15,949.200000 Dec-2022 16,374 17,634.400000 16,422.260000 Jan-2023 17,949 18,882.140000 18,352.570000 Feb-2023 16,036 18,428.240000 15,454.030000 Mar-2023 18,152 18,997.670000 18,254.790000 Apr-2023 18,499 19,330.690000 19,088.610000 May-2023 17,315 19,137.700000 17,332.740000 Jun-2023 16,830 20,295.110000 17,058.710000 Jul-2023 17,379 20,976.880000 17,610.070000 Aug-2023 16,750 20,475.830000 16,229.510000 Sep-2023 15,638 19,592.540000 14,871.700000 Oct-2023 16,107 19,024.040000 15,861.220000 Nov-2023 17,674 20,807.590000 17,591.170000 Dec-2023 17,524 21,829.120000 17,960.130000 Jan-2024 16,096 22,091.080000 15,880.080000 Feb-2024 15,243 23,027.690000 14,667.610000 Mar-2024 17,596 23,767.680000 17,568.280000 Apr-2024 18,259 22,884.840000 18,587.780000 May-2024 19,258 23,906.690000 19,449.310000 Jun-2024 18,522 24,393.140000 18,986.820000 Jul-2024 20,460 24,823.010000 21,533.810000 Aug-2024 20,992 25,479.090000 22,586.930000 Sep-2024 21,508 25,945.710000 23,018.120000 Oct-2024 22,207 25,431 22,680 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class A - without sales charge 37.88 % 11.01 % 8.87 % Class A - with sales charge 31.01 % 9.88 % 8.31 % MSCI World Index 33.68 % 12.03 % 9.78 % FTSE Gold Mines Index 42.99 % 5.57 % 8.53 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 2,831,645,889 |
Holdings Count | Holding | 31 |
Advisory Fees Paid, Amount | $ 17,964,886 |
InvestmentCompanyPortfolioTurnover | 60.97% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $2,831,645,889 Number of Portfolio Holdings 31 Portfolio Turnover Rate 60.97% Net Investment Advisory Fees (net of waivers and reimbursements) $17,964,886 |
Holdings [Text Block] | Value Value Common Stocks 81.3% Commodities 16.7% Rights 0.1% Short-Term Investments 1.9% Footnote Reference Value Value Short-Term Investments 1.9% Commodities 16.7% Materials 81.4% Canada 53.4% United States 27.8% Australia 9.2% South Africa 4.0% United Kingdom 2.4% Mexico 1.3% Short-Term Investments 1.9% |
Largest Holdings [Text Block] | Wheaton Precious Metals Corp. (Metals & Mining, Canada) 11.1% Gold bullion (Precious Metal ) Footnote Reference 9.1% Northern Star Resources Ltd. (Metals & Mining, Australia) 8.0% Silver bullion (Precious Metal ) Footnote Reference 7.6% Newmont Corp. (Metals & Mining, United States) 6.5% Agnico Eagle Mines Ltd. (Metals & Mining, Canada) 6.5% Dundee Precious Metals, Inc. (Metals & Mining, Canada) 4.9% Franco-Nevada Corp. (Metals & Mining, Canada) 4.9% Barrick Gold Corp. (Metals & Mining, Canada) 4.7% Alamos Gold, Inc., Class A (Metals & Mining, Canada) 4.7% Total 68.0% |
Material Fund Change [Text Block] | |
C000030905 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Gold Fund |
Class Name | Class C |
Trading Symbol | FEGOX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class C $225 1.90% |
Expenses Paid, Amount | $ 225 |
Expense Ratio, Percent | 1.90% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Gold Fund (Class C) | $21,660 MSCI World Index | $25,431 FTSE Gold Mines Index | $22,680 Oct-2014 10,000 10,000 10,000 Nov-2014 10,428 10,200.410000 10,483.270000 Dec-2014 10,506 10,035.930000 10,540.670000 Jan-2015 12,087 9,854.080000 12,699.290000 Feb-2015 11,612 10,431.420000 12,388.120000 Mar-2015 10,327 10,268.130000 10,592.610000 Apr-2015 11,066 10,508.940000 11,768.410000 May-2015 10,833 10,545.140000 11,362.110000 Jun-2015 10,147 10,299.940000 10,344.950000 Jul-2015 8,581 10,484.830000 8,086.020000 Aug-2015 8,753 9,791 8,167.410000 Sep-2015 8,527 9,429.860000 8,024.390000 Oct-2015 9,111 10,177.120000 8,865.500000 Nov-2015 8,457 10,126.490000 8,153.770000 Dec-2015 8,411 9,948.490000 8,283.340000 Jan-2016 8,597 9,353.330000 8,968.540000 Feb-2016 10,708 9,283.720000 12,049.760000 Mar-2016 11,120 9,913.700000 12,641.330000 Apr-2016 13,363 10,070.570000 16,050.940000 May-2016 12,039 10,127.130000 14,203.020000 Jun-2016 14,484 10,013.650000 17,429.710000 Jul-2016 15,582 10,436.720000 18,987.470000 Aug-2016 13,636 10,445.390000 15,701.930000 Sep-2016 14,017 10,500.870000 16,345.750000 Oct-2016 13,153 10,297.650000 15,187.930000 Nov-2016 11,462 10,445.720000 12,784.240000 Dec-2016 11,415 10,695.670000 13,219.040000 Jan-2017 12,552 10,953.810000 14,823.620000 Feb-2017 12,474.620000 11,257.710000 14,509.940000 Mar-2017 12,443 11,377.630000 14,329.130000 Apr-2017 12,303 11,546.090000 14,048.990000 May-2017 12,474 11,790.340000 14,162.430000 Jun-2017 12,241 11,835.710000 13,637.410000 Jul-2017 12,428 12,118.960000 14,181.010000 Aug-2017 13,121 12,136.030000 15,234.160000 Sep-2017 12,304 12,408.410000 14,220.240000 Oct-2017 11,961 12,642.910000 13,697.780000 Nov-2017 11,828 12,916.860000 13,755.360000 Dec-2017 12,256 13,091.540000 14,423.760000 Jan-2018 12,365 13,782.770000 14,833.880000 Feb-2018 11,291 13,211.790000 13,128.080000 Mar-2018 11,470 12,923.820000 13,471.820000 Apr-2018 11,501 13,072.330000 13,585.760000 May-2018 11,517 13,154.240000 13,499.400000 Jun-2018 11,283 13,147.970000 13,445.130000 Jul-2018 10,715 13,558.630000 12,768.220000 Aug-2018 9,539 13,726.380000 11,078.810000 Sep-2018 9,446 13,802.820000 11,042.120000 Oct-2018 9,415 12,789.300000 11,428.660000 Nov-2018 9,391 12,934.590000 11,612.910000 Dec-2018 10,224 11,951.070000 12,792.810000 Jan-2019 10,987 12,880.930000 13,787.220000 Feb-2019 10,808 13,268.260000 13,464.230000 Mar-2019 10,932 13,442.530000 13,620.410000 Apr-2019 10,341 13,919.190000 12,617.280000 May-2019 10,528 13,116.040000 13,141.090000 Jun-2019 12,194 13,980.320000 15,940.300000 Jul-2019 12,389 14,049.570000 16,536.740000 Aug-2019 14,032 13,762.200000 18,421.960000 Sep-2019 12,825 14,055.070000 16,635.940000 Oct-2019 13,324 14,412.730000 17,299.750000 Nov-2019 13,045 14,814.130000 16,421.130000 Dec-2019 14,057 15,257.940000 18,065.080000 Jan-2020 14,235 15,165.070000 17,948.900000 Feb-2020 13,293 13,883.240000 16,653.150000 Mar-2020 12,546 12,045.890000 15,091.770000 Apr-2020 16,190 13,361.830000 21,042.850000 May-2020 16,767 14,007.320000 21,418.540000 Jun-2020 17,530 14,377.830000 22,986.820000 Jul-2020 20,061 15,065.680000 26,893.070000 Aug-2020 20,147 16,072.290000 26,480.270000 Sep-2020 19,150 15,517.810000 24,643.370000 Oct-2020 18,629 15,041.800000 23,527.510000 Nov-2020 17,351 16,965.070000 21,350.740000 Dec-2020 18,080 17,684.330000 22,259.010000 Jan-2021 17,405 17,508.570000 21,496.930000 Feb-2021 16,088 17,957.220000 18,863.730000 Mar-2021 16,371 18,554.690000 19,616.980000 Apr-2021 17,188 19,418.230000 20,685.860000 May-2021 19,008 19,697.960000 23,741.620000 Jun-2021 17,047 19,991.550000 20,031.590000 Jul-2021 17,454 20,349.660000 20,620.080000 Aug-2021 16,747 20,856.130000 19,182.100000 Sep-2021 15,633 19,990.170000 17,488.940000 Oct-2021 16,348 21,122.420000 18,551.330000 Nov-2021 16,104 20,659.570000 18,748.830000 Dec-2021 16,562 21,542.560000 19,428.720000 Jan-2022 15,664 20,402.720000 18,168.120000 Feb-2022 17,096 19,886.710000 20,431.070000 Mar-2022 18,528 20,432.470000 22,806.820000 Apr-2022 17,380 18,735.080000 20,967.530000 May-2022 16,451 18,749.270000 18,978.400000 Jun-2022 15,051 17,125.170000 16,134.700000 Jul-2022 14,501 18,484.840000 14,702.920000 Aug-2022 13,509 17,712.030000 13,545.920000 Sep-2022 13,737 16,065.520000 13,662.130000 Oct-2022 13,752 17,219.240000 13,642.090000 Nov-2022 15,877 18,416.500000 15,949.200000 Dec-2022 16,175 17,634.400000 16,422.260000 Jan-2023 17,717 18,882.140000 18,352.570000 Feb-2023 15,821 18,428.240000 15,454.030000 Mar-2023 17,898 18,997.670000 18,254.790000 Apr-2023 18,230 19,330.690000 19,088.610000 May-2023 17,050 19,137.700000 17,332.740000 Jun-2023 16,569 20,295.110000 17,058.710000 Jul-2023 17,096 20,976.880000 17,610.070000 Aug-2023 16,467 20,475.830000 16,229.510000 Sep-2023 15,365 19,592.540000 14,871.700000 Oct-2023 15,825 19,024.040000 15,861.220000 Nov-2023 17,352 20,807.590000 17,591.170000 Dec-2023 17,201 21,829.120000 17,960.130000 Jan-2024 15,780 22,091.080000 15,880.080000 Feb-2024 14,936 23,027.690000 14,667.610000 Mar-2024 17,241 23,767.680000 17,568.280000 Apr-2024 17,880 22,884.840000 18,587.780000 May-2024 18,842 23,906.690000 19,449.310000 Jun-2024 18,109 24,393.140000 18,986.820000 Jul-2024 19,994 24,823.010000 21,533.810000 Aug-2024 20,500 25,479.090000 22,586.930000 Sep-2024 20,996 25,945.710000 23,018.120000 Oct-2024 21,660 25,431 22,680 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class C - without sales charge 36.87 % 10.19 % 8.03 % Class C - with sales charge 35.87 % 10.19 % 8.03 % MSCI World Index 33.68 % 12.03 % 9.78 % FTSE Gold Mines Index 42.99 % 5.57 % 8.53 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 2,831,645,889 |
Holdings Count | Holding | 31 |
Advisory Fees Paid, Amount | $ 17,964,886 |
InvestmentCompanyPortfolioTurnover | 60.97% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $2,831,645,889 Number of Portfolio Holdings 31 Portfolio Turnover Rate 60.97% Net Investment Advisory Fees (net of waivers and reimbursements) $17,964,886 |
Holdings [Text Block] | Value Value Common Stocks 81.3% Commodities 16.7% Rights 0.1% Short-Term Investments 1.9% Footnote Reference Value Value Short-Term Investments 1.9% Commodities 16.7% Materials 81.4% Canada 53.4% United States 27.8% Australia 9.2% South Africa 4.0% United Kingdom 2.4% Mexico 1.3% Short-Term Investments 1.9% |
Largest Holdings [Text Block] | Wheaton Precious Metals Corp. (Metals & Mining, Canada) 11.1% Gold bullion (Precious Metal ) Footnote Reference 9.1% Northern Star Resources Ltd. (Metals & Mining, Australia) 8.0% Silver bullion (Precious Metal ) Footnote Reference 7.6% Newmont Corp. (Metals & Mining, United States) 6.5% Agnico Eagle Mines Ltd. (Metals & Mining, Canada) 6.5% Dundee Precious Metals, Inc. (Metals & Mining, Canada) 4.9% Franco-Nevada Corp. (Metals & Mining, Canada) 4.9% Barrick Gold Corp. (Metals & Mining, Canada) 4.7% Alamos Gold, Inc., Class A (Metals & Mining, Canada) 4.7% Total 68.0% |
Material Fund Change [Text Block] | |
C000030904 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Gold Fund |
Class Name | Class I |
Trading Symbol | FEGIX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $110 0.92% |
Expenses Paid, Amount | $ 110 |
Expense Ratio, Percent | 0.92% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Gold Fund (Class I) | $2,403,729 MSCI World Index | $2,543,103 FTSE Gold Mines Index | $2,268,013 Oct-2014 1,000,000 1,000,000 1,000,000 Nov-2014 1,043,900 1,020,040.930000 1,048,327 Dec-2014 1,053,399 1,003,592.650000 1,054,066.770000 Jan-2015 1,212,990 985,407.900000 1,269,929.240000 Feb-2015 1,166,168 1,043,141.600000 1,238,812.150000 Mar-2015 1,038,006 1,026,812.730000 1,059,260.790000 Apr-2015 1,112,639 1,050,894.140000 1,176,841.430000 May-2015 1,090,720 1,054,514.170000 1,136,211.370000 Jun-2015 1,023,422 1,029,994.290000 1,034,495.090000 Jul-2015 866,020 1,048,482.690000 808,602.130000 Aug-2015 884,293 979,099.770000 816,741.320000 Sep-2015 862,363 942,986.340000 802,438.930000 Oct-2015 921,693 1,017,712.460000 886,550.110000 Nov-2015 856,530 1,012,648.690000 815,376.940000 Dec-2015 852,846 994,848.970000 828,333.770000 Jan-2016 872,632 935,332.940000 896,853.480000 Feb-2016 1,087,824 928,371.650000 1,204,975.720000 Mar-2016 1,131,010 991,370.080000 1,264,133.010000 Apr-2016 1,359,361 1,007,056.990000 1,605,094.280000 May-2016 1,226,144 1,012,713.250000 1,420,301.860000 Jun-2016 1,477,258 1,001,365.380000 1,742,971.130000 Jul-2016 1,589,973 1,043,671.510000 1,898,746.860000 Aug-2016 1,393,134 1,044,538.900000 1,570,193.430000 Sep-2016 1,432,699 1,050,087.410000 1,634,575.210000 Oct-2016 1,345,591 1,029,765.180000 1,518,793.210000 Nov-2016 1,174,297 1,044,572.200000 1,278,424.250000 Dec-2016 1,170,657 1,069,567.120000 1,321,904.330000 Jan-2017 1,287,840 1,095,381.290000 1,482,362.220000 Feb-2017 1,450,994.070000 1,125,770.920000 1,450,994.070000 Mar-2017 1,279,091 1,137,762.520000 1,432,912.790000 Apr-2017 1,265,916 1,154,609.230000 1,404,898.700000 May-2017 1,284,905 1,179,034.400000 1,416,243.350000 Jun-2017 1,261,519 1,183,570.740000 1,363,741.380000 Jul-2017 1,281,956 1,211,896.470000 1,418,100.860000 Aug-2017 1,355,156 1,213,603.030000 1,523,416.370000 Sep-2017 1,271,678 1,240,841.420000 1,422,024.360000 Oct-2017 1,237,216 1,264,291.420000 1,369,778.470000 Nov-2017 1,224,101 1,291,685.500000 1,375,536.140000 Dec-2017 1,269,515 1,309,153.590000 1,442,375.530000 Jan-2018 1,282,718 1,378,277.170000 1,483,388.440000 Feb-2018 1,172,148 1,321,178.620000 1,312,808.340000 Mar-2018 1,191,137 1,292,381.630000 1,347,182.100000 Apr-2018 1,195,544 1,307,232.610000 1,358,575.900000 May-2018 1,198,413 1,315,424.290000 1,349,939.840000 Jun-2018 1,175,763 1,314,796.820000 1,344,513.400000 Jul-2018 1,117,210 1,355,862.580000 1,276,822.360000 Aug-2018 994,987 1,372,638.460000 1,107,881.170000 Sep-2018 986,928 1,380,281.500000 1,104,211.810000 Oct-2018 983,967 1,278,930.350000 1,142,866.320000 Nov-2018 982,491 1,293,458.880000 1,161,290.690000 Dec-2018 1,070,326 1,195,106.870000 1,279,280.570000 Jan-2019 1,151,564 1,288,093.100000 1,378,722.410000 Feb-2019 1,133,254 1,326,825.840000 1,346,423.380000 Mar-2019 1,147,193 1,344,252.990000 1,362,041.260000 Apr-2019 1,086,392 1,391,919.280000 1,261,728.250000 May-2019 1,106,925 1,311,604.340000 1,314,109.170000 Jun-2019 1,283,368 1,398,032.370000 1,594,030.370000 Jul-2019 1,305,314 1,404,957.310000 1,653,673.590000 Aug-2019 1,479,573 1,376,219.560000 1,842,195.550000 Sep-2019 1,353,662 1,405,506.850000 1,663,593.710000 Oct-2019 1,407,131 1,441,273.460000 1,729,974.740000 Nov-2019 1,378,566 1,481,413.160000 1,642,112.950000 Dec-2019 1,487,611 1,525,793.690000 1,806,508.380000 Jan-2020 1,508,140 1,516,506.700000 1,794,890 Feb-2020 1,409,206 1,388,323.600000 1,665,314.750000 Mar-2020 1,330,854 1,204,589.060000 1,509,176.710000 Apr-2020 1,719,331 1,336,183.490000 2,104,285.470000 May-2020 1,781,570 1,400,732.060000 2,141,854.310000 Jun-2020 1,865,126 1,437,782.890000 2,298,682.310000 Jul-2020 2,135,569 1,506,568.380000 2,689,307.220000 Aug-2020 2,147,315 1,607,228.790000 2,648,027.440000 Sep-2020 2,041,882 1,551,780.800000 2,464,337.170000 Oct-2020 1,988,384 1,504,179.890000 2,352,750.620000 Nov-2020 1,853,572 1,696,506.620000 2,135,074.370000 Dec-2020 1,933,461 1,768,432.920000 2,225,901.140000 Jan-2021 1,862,696 1,750,857.040000 2,149,693.160000 Feb-2021 1,722,808 1,795,721.650000 1,886,372.870000 Mar-2021 1,753,991 1,855,469.100000 1,961,697.780000 Apr-2021 1,843,269 1,941,822.840000 2,068,586.390000 May-2021 2,040,314 1,969,795.650000 2,374,161.770000 Jun-2021 1,831,386 1,999,155.130000 2,003,158.590000 Jul-2021 1,876,804 2,034,965.660000 2,062,008.290000 Aug-2021 1,802,483 2,085,612.620000 1,918,210.370000 Sep-2021 1,683,519 1,999,016.870000 1,748,894.100000 Oct-2021 1,761,634 2,112,242.200000 1,855,133.390000 Nov-2021 1,737,148 2,065,956.720000 1,874,882.600000 Dec-2021 1,788,220 2,154,256.090000 1,942,871.510000 Jan-2022 1,692,550 2,040,272.450000 1,816,812.390000 Feb-2022 1,849,280 1,988,671.480000 2,043,107.440000 Mar-2022 2,005,174 2,043,247.310000 2,280,681.610000 Apr-2022 1,883,059 1,873,507.930000 2,096,752.890000 May-2022 1,784,387 1,874,926.840000 1,897,839.640000 Jun-2022 1,633,785 1,712,516.930000 1,613,469.760000 Jul-2022 1,574,968 1,848,484.450000 1,470,292.410000 Aug-2022 1,468,816 1,771,203.380000 1,354,592.360000 Sep-2022 1,494,373 1,606,552.490000 1,366,212.750000 Oct-2022 1,497,362 1,721,923.720000 1,364,209.450000 Nov-2022 1,730,052 1,841,649.810000 1,594,920.160000 Dec-2022 1,764,653 1,763,439.920000 1,642,225.600000 Jan-2023 1,934,059 1,888,213.980000 1,835,256.780000 Feb-2023 1,727,695 1,842,824.130000 1,545,403.420000 Mar-2023 1,956,615 1,899,766.830000 1,825,479.090000 Apr-2023 1,994,182 1,933,068.960000 1,908,861.060000 May-2023 1,866,953 1,913,770.320000 1,733,274.480000 Jun-2023 1,815,799 2,029,510.920000 1,705,870.770000 Jul-2023 1,875,357 2,097,687.790000 1,761,006.740000 Aug-2023 1,807,656 2,047,583 1,622,951.040000 Sep-2023 1,687,990 1,959,253.580000 1,487,169.660000 Oct-2023 1,738,460 1,902,404.200000 1,586,121.900000 Nov-2023 1,907,960 2,080,758.540000 1,759,116.510000 Dec-2023 1,893,078 2,182,911.810000 1,796,012.780000 Jan-2024 1,738,414 2,209,107.800000 1,588,008.360000 Feb-2024 1,646,973 2,302,768.820000 1,466,760.510000 Mar-2024 1,902,089 2,376,767.870000 1,756,828.500000 Apr-2024 1,973,608 2,288,483.530000 1,858,778.120000 May-2024 2,082,551 2,390,668.870000 1,944,930.660000 Jun-2024 2,002,581 2,439,313.960000 1,898,682.090000 Jul-2024 2,212,652 2,482,300.590000 2,153,381.290000 Aug-2024 2,270,623 2,547,909.010000 2,258,693.400000 Sep-2024 2,327,616 2,594,571.250000 2,301,811.520000 Oct-2024 2,403,729 2,543,103 2,268,013 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class I 38.28 % 11.30 % 9.16 % MSCI World Index 33.68 % 12.03 % 9.78 % FTSE Gold Mines Index 42.99 % 5.57 % 8.53 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 2,831,645,889 |
Holdings Count | Holding | 31 |
Advisory Fees Paid, Amount | $ 17,964,886 |
InvestmentCompanyPortfolioTurnover | 60.97% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $2,831,645,889 Number of Portfolio Holdings 31 Portfolio Turnover Rate 60.97% Net Investment Advisory Fees (net of waivers and reimbursements) $17,964,886 |
Holdings [Text Block] | Value Value Common Stocks 81.3% Commodities 16.7% Rights 0.1% Short-Term Investments 1.9% Footnote Reference Value Value Short-Term Investments 1.9% Commodities 16.7% Materials 81.4% Canada 53.4% United States 27.8% Australia 9.2% South Africa 4.0% United Kingdom 2.4% Mexico 1.3% Short-Term Investments 1.9% |
Largest Holdings [Text Block] | Wheaton Precious Metals Corp. (Metals & Mining, Canada) 11.1% Gold bullion (Precious Metal ) Footnote Reference 9.1% Northern Star Resources Ltd. (Metals & Mining, Australia) 8.0% Silver bullion (Precious Metal ) Footnote Reference 7.6% Newmont Corp. (Metals & Mining, United States) 6.5% Agnico Eagle Mines Ltd. (Metals & Mining, Canada) 6.5% Dundee Precious Metals, Inc. (Metals & Mining, Canada) 4.9% Franco-Nevada Corp. (Metals & Mining, Canada) 4.9% Barrick Gold Corp. (Metals & Mining, Canada) 4.7% Alamos Gold, Inc., Class A (Metals & Mining, Canada) 4.7% Total 68.0% |
Material Fund Change [Text Block] | |
C000179778 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Gold Fund |
Class Name | Class R6 |
Trading Symbol | FEURX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $99 0.83% |
Expenses Paid, Amount | $ 99 |
Expense Ratio, Percent | 0.83% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Gold Fund (Class R6) | $18,772 MSCI World Index | $22,590 FTSE Gold Mines Index | $15,631 Mar-2017 9,920 10,106.520000 9,875.390000 Apr-2017 9,824 10,256.170000 9,682.320000 May-2017 9,971 10,473.130000 9,760.500000 Jun-2017 9,795 10,513.420000 9,398.670000 Jul-2017 9,953 10,765.040000 9,773.310000 Aug-2017 10,522 10,780.200000 10,499.120000 Sep-2017 9,875 11,022.150000 9,800.350000 Oct-2017 9,608 11,230.450000 9,440.280000 Nov-2017 9,512 11,473.790000 9,479.960000 Dec-2017 9,864 11,628.950000 9,940.600000 Jan-2018 9,961 12,242.960000 10,223.260000 Feb-2018 9,108 11,735.770000 9,047.650000 Mar-2018 9,255 11,479.970000 9,284.550000 Apr-2018 9,290 11,611.890000 9,363.070000 May-2018 9,312 11,684.650000 9,303.550000 Jun-2018 9,136 11,679.080000 9,266.150000 Jul-2018 8,681 12,043.860000 8,799.640000 Aug-2018 7,738 12,192.880000 7,635.330000 Sep-2018 7,670 12,260.770000 7,610.040000 Oct-2018 7,647 11,360.480000 7,876.440000 Nov-2018 7,642 11,489.540000 8,003.410000 Dec-2018 8,330 10,615.900000 8,816.580000 Jan-2019 8,954 11,441.880000 9,501.920000 Feb-2019 8,818 11,785.930000 9,279.320000 Mar-2019 8,926 11,940.730000 9,386.950000 Apr-2019 8,448 12,364.140000 8,695.610000 May-2019 8,624 11,650.720000 9,056.610000 Jun-2019 9,999 12,418.440000 10,985.780000 Jul-2019 10,169 12,479.960000 11,396.830000 Aug-2019 11,515 12,224.690000 12,696.090000 Sep-2019 10,527 12,484.840000 11,465.200000 Oct-2019 10,942 12,802.550000 11,922.690000 Nov-2019 10,721 13,159.100000 11,317.160000 Dec-2019 11,570 13,553.320000 12,450.140000 Jan-2020 11,729 13,470.830000 12,370.070000 Feb-2020 10,961 12,332.200000 11,477.060000 Mar-2020 10,352 10,700.130000 10,400.980000 Apr-2020 13,373 11,869.050000 14,502.370000 May-2020 13,863 12,442.430000 14,761.290000 Jun-2020 14,506 12,771.540000 15,842.120000 Jul-2020 16,612 13,382.550000 18,534.240000 Aug-2020 16,704 14,276.690000 18,249.750000 Sep-2020 15,890 13,784.160000 16,983.790000 Oct-2020 15,475 13,361.330000 16,214.750000 Nov-2020 14,423 15,069.730000 14,714.560000 Dec-2020 15,046 15,708.640000 15,340.530000 Jan-2021 14,503 15,552.520000 14,815.310000 Feb-2021 13,411 15,951.040000 13,000.560000 Mar-2021 13,659 16,481.760000 13,519.680000 Apr-2021 14,353 17,248.830000 14,256.340000 May-2021 15,890 17,497.300000 16,362.310000 Jun-2021 14,260 17,758.100000 13,805.420000 Jul-2021 14,612 18,076.200000 14,211 Aug-2021 14,033 18,526.080000 13,219.970000 Sep-2021 13,114 17,756.870000 12,053.080000 Oct-2021 13,721 18,762.630000 12,785.260000 Nov-2021 13,536 18,351.480000 12,921.370000 Dec-2021 13,931 19,135.830000 13,389.930000 Jan-2022 13,187 18,123.340000 12,521.160000 Feb-2022 14,406 17,664.970000 14,080.740000 Mar-2022 15,625 18,149.760000 15,718.060000 Apr-2022 14,670 16,642 14,450.460000 May-2022 13,903 16,654.600000 13,079.580000 Jun-2022 12,731 15,211.950000 11,119.750000 Jul-2022 12,274 16,419.720000 10,133 Aug-2022 11,448 15,733.250000 9,335.620000 Sep-2022 11,647 14,270.690000 9,415.700000 Oct-2022 11,676 15,295.510000 9,401.900000 Nov-2022 13,486 16,359.010000 10,991.910000 Dec-2022 13,756 15,664.290000 11,317.930000 Jan-2023 15,080 16,772.630000 12,648.270000 Feb-2023 13,474 16,369.440000 10,650.650000 Mar-2023 15,255 16,875.250000 12,580.890000 Apr-2023 15,554 17,171.070000 13,155.540000 May-2023 14,564 16,999.640000 11,945.430000 Jun-2023 14,165 18,027.740000 11,756.570000 Jul-2023 14,628 18,633.340000 12,136.550000 Aug-2023 14,101 18,188.270000 11,185.100000 Sep-2023 13,169 17,403.660000 10,249.320000 Oct-2023 13,567 16,898.680000 10,931.280000 Nov-2023 14,891 18,482.970000 12,123.530000 Dec-2023 14,772 19,390.370000 12,377.810000 Jan-2024 13,568 19,623.070000 10,944.280000 Feb-2024 12,857 20,455.040000 10,108.660000 Mar-2024 14,848 21,112.360000 12,107.760000 Apr-2024 15,411 20,328.150000 12,810.380000 May-2024 16,253 21,235.840000 13,404.130000 Jun-2024 15,637 21,667.940000 13,085.390000 Jul-2024 17,279 22,049.780000 14,840.730000 Aug-2024 17,730 22,632.570000 15,566.520000 Sep-2024 18,175 23,047.060000 15,863.690000 Oct-2024 18,772 22,590 15,631 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years Since Inception (3/1/17) Class R6 38.37 % 11.40 % 8.56 % MSCI World Index 33.68 % 12.03 % 11.03 % FTSE Gold Mines Index 42.99 % 5.57 % 6.03 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 2,831,645,889 |
Holdings Count | Holding | 31 |
Advisory Fees Paid, Amount | $ 17,964,886 |
InvestmentCompanyPortfolioTurnover | 60.97% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $2,831,645,889 Number of Portfolio Holdings 31 Portfolio Turnover Rate 60.97% Net Investment Advisory Fees (net of waivers and reimbursements) $17,964,886 |
Holdings [Text Block] | Value Value Common Stocks 81.3% Commodities 16.7% Rights 0.1% Short-Term Investments 1.9% Footnote Reference Value Value Short-Term Investments 1.9% Commodities 16.7% Materials 81.4% Canada 53.4% United States 27.8% Australia 9.2% South Africa 4.0% United Kingdom 2.4% Mexico 1.3% Short-Term Investments 1.9% |
Largest Holdings [Text Block] | Wheaton Precious Metals Corp. (Metals & Mining, Canada) 11.1% Gold bullion (Precious Metal ) Footnote Reference 9.1% Northern Star Resources Ltd. (Metals & Mining, Australia) 8.0% Silver bullion (Precious Metal ) Footnote Reference 7.6% Newmont Corp. (Metals & Mining, United States) 6.5% Agnico Eagle Mines Ltd. (Metals & Mining, Canada) 6.5% Dundee Precious Metals, Inc. (Metals & Mining, Canada) 4.9% Franco-Nevada Corp. (Metals & Mining, Canada) 4.9% Barrick Gold Corp. (Metals & Mining, Canada) 4.7% Alamos Gold, Inc., Class A (Metals & Mining, Canada) 4.7% Total 68.0% |
Material Fund Change [Text Block] | |
C000109583 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Income Builder Fund |
Class Name | Class A |
Trading Symbol | FEBAX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $128 1.17% |
Expenses Paid, Amount | $ 128 |
Expense Ratio, Percent | 1.17% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Income Builder Fund (Class A) | $15,981 Bloomberg U.S. Aggregate Bond Index | $11,593 MSCI World Index | $25,431 Composite Index | $19,014 Oct-2014 10,000 10,000 10,000 10,000 Nov-2014 9,537.050000 10,070.940000 10,200.410000 10,148.620000 Dec-2014 9,270.970000 10,080.360000 10,035.930000 10,054.230000 Jan-2015 9,355.330000 10,291.740000 9,854.080000 10,029.250000 Feb-2015 9,644.410000 10,194.970000 10,431.420000 10,344.090000 Mar-2015 9,493.960000 10,242.310000 10,268.130000 10,266.150000 Apr-2015 9,723.710000 10,205.560000 10,508.940000 10,395.880000 May-2015 9,737.330000 10,180.980000 10,545.140000 10,407.350000 Jun-2015 9,546.470000 10,069.970000 10,299.940000 10,216.760000 Jul-2015 9,494.920000 10,139.970000 10,484.830000 10,355.210000 Aug-2015 9,209.130000 10,125.410000 9,791 9,938.110000 Sep-2015 8,964.160000 10,193.900000 9,429.860000 9,745.060000 Oct-2015 9,364.860000 10,195.590000 10,177.120000 10,209.050000 Nov-2015 9,280.580000 10,168.660000 10,126.490000 10,167.790000 Dec-2015 9,054.130000 10,135.800000 9,948.490000 10,047.410000 Jan-2016 8,782.510000 10,275.280000 9,353.330000 9,742.070000 Feb-2016 8,841.350000 10,348.170000 9,283.720000 9,726.210000 Mar-2016 9,347.960000 10,443.110000 9,913.700000 10,157.910000 Apr-2016 9,643.360000 10,483.200000 10,070.570000 10,269.940000 May-2016 9,582.600000 10,485.890000 10,127.130000 10,305.610000 Jun-2016 9,596.980000 10,674.300000 10,013.650000 10,310.390000 Jul-2016 9,892.560000 10,741.780000 10,436.720000 10,597.820000 Aug-2016 9,958.840000 10,729.500000 10,445.390000 10,598.260000 Sep-2016 10,002.660000 10,723.210000 10,500.870000 10,629.550000 Oct-2016 9,904.640000 10,641.190000 10,297.650000 10,473.600000 Nov-2016 9,810.540000 10,389.490000 10,445.720000 10,464.870000 Dec-2016 9,971.440000 10,404.140000 10,695.670000 10,621.020000 Jan-2017 10,165.880000 10,424.550000 10,953.810000 10,783.160000 Feb-2017 10,304.130000 10,494.620000 11,257.710000 10,991.640000 Mar-2017 10,424.690000 10,489.110000 11,377.630000 11,059.590000 Apr-2017 10,556.040000 10,570.060000 11,546.090000 11,191.980000 May-2017 10,727.050000 10,651.420000 11,790.340000 11,368.490000 Jun-2017 10,781.760000 10,640.700000 11,835.710000 11,390.160000 Jul-2017 10,869.090000 10,686.490000 12,118.960000 11,573.320000 Aug-2017 10,879.960000 10,782.340000 12,136.030000 11,624.630000 Sep-2017 11,023.580000 10,730.990000 12,408.410000 11,759.020000 Oct-2017 11,131.610000 10,737.200000 12,642.910000 11,895.080000 Nov-2017 11,206.190000 10,723.420000 12,916.860000 12,043.620000 Dec-2017 11,263.340000 10,772.640000 13,091.540000 12,163.450000 Jan-2018 11,549.430000 10,648.570000 13,782.770000 12,492.760000 Feb-2018 11,205.260000 10,547.630000 13,211.790000 12,134.860000 Mar-2018 11,186.210000 10,615.270000 12,923.820000 12,007.290000 Apr-2018 11,196.280000 10,536.320000 13,072.330000 12,054.360000 May-2018 11,228.740000 10,611.510000 13,154.240000 12,134.090000 Jun-2018 11,146.770000 10,598.460000 13,147.970000 12,124.650000 Jul-2018 11,336.270000 10,600.980000 13,558.630000 12,353.020000 Aug-2018 11,225.170000 10,669.200000 13,726.380000 12,476.520000 Sep-2018 11,261.090000 10,600.490000 13,802.820000 12,486.070000 Oct-2018 10,837.680000 10,516.720000 12,789.300000 11,896.500000 Nov-2018 10,853.930000 10,579.500000 12,934.590000 12,006 Dec-2018 10,531.570000 10,773.860000 11,951.070000 11,546.470000 Jan-2019 11,045.510000 10,888.270000 12,880.930000 12,134.550000 Feb-2019 11,243.230000 10,881.960000 13,268.260000 12,350.670000 Mar-2019 11,310.690000 11,090.920000 13,442.530000 12,542.860000 Apr-2019 11,458.860000 11,093.760000 13,919.190000 12,811 May-2019 11,119.670000 11,290.690000 13,116.040000 12,458.450000 Jun-2019 11,583.370000 11,432.480000 13,980.320000 13,013.600000 Jul-2019 11,524.290000 11,457.630000 14,049.570000 13,063.720000 Aug-2019 11,444.770000 11,754.510000 13,762.200000 13,038.800000 Sep-2019 11,603.850000 11,691.910000 14,055.070000 13,177.510000 Oct-2019 11,747.740000 11,727.130000 14,412.730000 13,394.580000 Nov-2019 11,805.310000 11,721.160000 14,814.130000 13,615.680000 Dec-2019 12,074.470000 11,712.990000 15,257.940000 13,856.630000 Jan-2020 11,818.490000 11,938.400000 15,165.070000 13,912.690000 Feb-2020 11,253.570000 12,153.270000 13,883.240000 13,307.270000 Mar-2020 10,168.720000 12,081.750000 12,045.890000 12,219.270000 Apr-2020 10,877.480000 12,296.520000 13,361.830000 13,107.090000 May-2020 11,052.610000 12,353.770000 14,007.320000 13,511.400000 Jun-2020 11,219.500000 12,431.590000 14,377.830000 13,759.880000 Jul-2020 11,588.620000 12,617.280000 15,065.680000 14,237.070000 Aug-2020 11,783.310000 12,515.430000 16,072.290000 14,761.850000 Sep-2020 11,578.280000 12,508.570000 15,517.810000 14,453.050000 Oct-2020 11,352.510000 12,452.720000 15,041.800000 14,161.220000 Nov-2020 12,261.840000 12,574.910000 16,965.070000 15,303.210000 Dec-2020 12,637.060000 12,592.240000 17,684.330000 15,700.930000 Jan-2021 12,510.690000 12,501.950000 17,508.570000 15,562.270000 Feb-2021 12,576.990000 12,321.420000 17,957.220000 15,711.650000 Mar-2021 13,033.540000 12,167.560000 18,554.690000 15,946.830000 Apr-2021 13,449.310000 12,263.690000 19,418.230000 16,442.520000 May-2021 13,909.270000 12,303.750000 19,697.960000 16,606.120000 Jun-2021 13,786.870000 12,390.200000 19,991.550000 16,801.300000 Jul-2021 13,797.900000 12,528.740000 20,349.660000 17,057.020000 Aug-2021 13,735.810000 12,504.880000 20,856.130000 17,298.740000 Sep-2021 13,378.680000 12,396.620000 19,990.170000 16,807.880000 Oct-2021 13,780.040000 12,393.200000 21,122.420000 17,377.230000 Nov-2021 13,323.920000 12,429.860000 20,659.570000 17,169.320000 Dec-2021 13,879.530000 12,398.060000 21,542.560000 17,592.040000 Jan-2022 13,957.250000 12,130.950000 20,402.720000 16,881.950000 Feb-2022 13,888.860000 11,995.620000 19,886.710000 16,550.440000 Mar-2022 13,831.920000 11,662.360000 20,432.470000 16,639.040000 Apr-2022 13,463.990000 11,219.790000 18,735.080000 15,557.110000 May-2022 13,746.730000 11,292.130000 18,749.270000 15,604.310000 Jun-2022 12,887.560000 11,114.980000 17,125.170000 14,695.380000 Jul-2022 13,350.230000 11,386.570000 18,484.840000 15,539.070000 Aug-2022 12,866.950000 11,064.830000 17,712.030000 14,973.640000 Sep-2022 12,049.900000 10,586.760000 16,065.520000 13,879.690000 Oct-2022 12,646.370000 10,449.630000 17,219.240000 14,405.820000 Nov-2022 13,481.030000 10,833.930000 18,416.500000 15,218.720000 Dec-2022 13,388.010000 10,785.060000 17,634.400000 14,803.490000 Jan-2023 14,110.960000 11,116.850000 18,882.140000 15,614.110000 Feb-2023 13,708.800000 10,829.420000 18,428.240000 15,227.430000 Mar-2023 13,934.990000 11,104.510000 18,997.670000 15,664.470000 Apr-2023 14,229.020000 11,171.810000 19,330.690000 15,867.200000 May-2023 13,743.810000 11,050.170000 19,137.700000 15,703.040000 Jun-2023 14,134.140000 11,010.750000 20,295.110000 16,250.450000 Jul-2023 14,371.590000 11,003.080000 20,976.880000 16,573.460000 Aug-2023 14,117.210000 10,932.800000 20,475.830000 16,293.590000 Sep-2023 13,748.750000 10,654.980000 19,592.540000 15,706.240000 Oct-2023 13,450.400000 10,486.830000 19,024.040000 15,333.660000 Nov-2023 14,024.740000 10,961.740000 20,807.590000 16,473.960000 Dec-2023 14,480.540000 11,381.340000 21,829.120000 17,211.470000 Jan-2024 14,474.750000 11,350.090000 22,091.080000 17,316.490000 Feb-2024 14,470.410000 11,189.730000 23,027.690000 17,659.140000 Mar-2024 14,868.340000 11,293.060000 23,767.680000 18,064.850000 Apr-2024 14,706.280000 11,007.810000 22,884.840000 17,479.720000 May-2024 15,100.410000 11,194.430000 23,906.690000 18,066.560000 Jun-2024 14,943.360000 11,300.410000 24,393.140000 18,355.550000 Jul-2024 15,535.120000 11,564.350000 24,823.010000 18,721.120000 Aug-2024 16,038.460000 11,730.530000 25,479.090000 19,125.610000 Sep-2024 16,282.240000 11,887.600000 25,945.710000 19,438.200000 Oct-2024 15,981 11,593 25,431 19,014 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class A - without sales charge 18.89 % 6.34 % 5.33 % Class A - with sales charge 12.83 % 5.25 % 4.80 % Bloomberg U.S. Aggregate Bond Index 10.55 % - % 1.49 % MSCI World Index 33.68 % 12.03 % 9.78 % Composite Index 24.00 % 7.26 % 6.64 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,758,899,230 |
Holdings Count | Holding | 289 |
Advisory Fees Paid, Amount | $ 12,900,132 |
InvestmentCompanyPortfolioTurnover | 14.66% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,758,899,230 Number of Portfolio Holdings 289 Portfolio Turnover Rate 14.66% Net Investment Advisory Fees (net of waivers and reimbursements) $12,900,132 |
Holdings [Text Block] | Value Value Common Stocks 63.8% Corporate Bonds 11.7% U.S. Treasury Obligations 9.6% Commodities 7.6% Preferred Stocks 1.8% Convertible Preferred Stocks 1.5% Master Limited Partnerships 1.0% Foreign Government Securities 0.9% Asset-Backed Securities 0.2% Municipal Bonds 0.2% Loan Assignments 0.1% Short-Term Investments 1.6% Footnote Reference Value Value Short-Term Investments 1.6% Others Footnote Reference 7.1% Information Technology 4.3% Real Estate 4.6% Materials 5.0% Energy 7.3% Commodities 7.6% Industrials 7.6% Health Care 7.8% U.S. Treasury Obligations 9.6% Financials 13.9% Consumer Staples 23.6% United States 55.4% United Kingdom 9.9% Canada 5.1% Switzerland 4.6% Mexico 3.3% Hong Kong 3.2% South Korea 3.1% Japan 2.7% Brazil 1.9% France 1.6% Others Footnote Reference 7.6% Short-Term Investments 1.6% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal) 7.5% Unilever plc (Personal Care Products, United Kingdom) 3.0% Philip Morris International, Inc. (Tobacco, United States) 3.0% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.6% British American Tobacco plc (Tobacco, United Kingdom) 2.4% Nestle SA (Registered) (Food Products, Switzerland) 2.1% KT&G Corp. (Tobacco, South Korea) 1.9% Jardine Matheson Holdings Ltd. (Industrial Conglomerates, Hong Kong) 1.7% Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods, Switzerland) 1.4% Power Corp. of Canada (Insurance, Canada) 1.4% Total 27.0% |
Material Fund Change [Text Block] | |
C000109584 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Income Builder Fund |
Class Name | Class C |
Trading Symbol | FEBCX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class C $211 1.94% |
Expenses Paid, Amount | $ 211 |
Expense Ratio, Percent | 1.94% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Income Builder Fund (Class C) | $15,577 Bloomberg U.S. Aggregate Bond Index | $11,593 MSCI World Index | $25,431 Composite Index | $19,014 Oct-2014 10,000 10,000 10,000 10,000 Nov-2014 10,033 10,070.940000 10,200.410000 10,148.620000 Dec-2014 9,746.060000 10,080.360000 10,035.930000 10,054.230000 Jan-2015 9,828.900000 10,291.740000 9,854.080000 10,029.250000 Feb-2015 10,127.700000 10,194.970000 10,431.420000 10,344.090000 Mar-2015 9,962.620000 10,242.310000 10,268.130000 10,266.150000 Apr-2015 10,198.730000 10,205.560000 10,508.940000 10,395.880000 May-2015 10,205.870000 10,180.980000 10,545.140000 10,407.350000 Jun-2015 9,998.690000 10,069.970000 10,299.940000 10,216.760000 Jul-2015 9,938.700000 10,139.970000 10,484.830000 10,355.210000 Aug-2015 9,632.590000 10,125.410000 9,791 9,938.110000 Sep-2015 9,378.280000 10,193.900000 9,429.860000 9,745.060000 Oct-2015 9,789.990000 10,195.590000 10,177.120000 10,209.050000 Nov-2015 9,686.220000 10,168.660000 10,126.490000 10,167.790000 Dec-2015 9,443.090000 10,135.800000 9,948.490000 10,047.410000 Jan-2016 9,153.190000 10,275.280000 9,353.330000 9,742.070000 Feb-2016 9,209.030000 10,348.170000 9,283.720000 9,726.210000 Mar-2016 9,732.100000 10,443.110000 9,913.700000 10,157.910000 Apr-2016 10,034.770000 10,483.200000 10,070.570000 10,269.940000 May-2016 9,964.520000 10,485.890000 10,127.130000 10,305.610000 Jun-2016 9,973.490000 10,674.300000 10,013.650000 10,310.390000 Jul-2016 10,274.690000 10,741.780000 10,436.720000 10,597.820000 Aug-2016 10,337.370000 10,729.500000 10,445.390000 10,598.260000 Sep-2016 10,376.650000 10,723.210000 10,500.870000 10,629.550000 Oct-2016 10,267.690000 10,641.190000 10,297.650000 10,473.600000 Nov-2016 10,162.960000 10,389.490000 10,445.720000 10,464.870000 Dec-2016 10,323.540000 10,404.140000 10,695.670000 10,621.020000 Jan-2017 10,518.650000 10,424.550000 10,953.810000 10,783.160000 Feb-2017 10,655.390000 10,494.620000 11,257.710000 10,991.640000 Mar-2017 10,773.670000 10,489.110000 11,377.630000 11,059.590000 Apr-2017 10,902.950000 10,570.060000 11,546.090000 11,191.980000 May-2017 11,073.040000 10,651.420000 11,790.340000 11,368.490000 Jun-2017 11,122.870000 10,640.700000 11,835.710000 11,390.160000 Jul-2017 11,206.290000 10,686.490000 12,118.960000 11,573.320000 Aug-2017 11,200.690000 10,782.340000 12,136.030000 11,624.630000 Sep-2017 11,342.930000 10,730.990000 12,408.410000 11,759.020000 Oct-2017 11,457.500000 10,737.200000 12,642.910000 11,895.080000 Nov-2017 11,518.220000 10,723.420000 12,916.860000 12,043.620000 Dec-2017 11,579.270000 10,772.640000 13,091.540000 12,163.450000 Jan-2018 11,857.170000 10,648.570000 13,782.770000 12,492.760000 Feb-2018 11,496.710000 10,547.630000 13,211.790000 12,134.860000 Mar-2018 11,479.470000 10,615.270000 12,923.820000 12,007.290000 Apr-2018 11,482.910000 10,536.320000 13,072.330000 12,054.360000 May-2018 11,508.180000 10,611.510000 13,154.240000 12,134.090000 Jun-2018 11,417.260000 10,598.460000 13,147.970000 12,124.650000 Jul-2018 11,594.230000 10,600.980000 13,558.630000 12,353.020000 Aug-2018 11,482.920000 10,669.200000 13,726.380000 12,476.520000 Sep-2018 11,512.780000 10,600.490000 13,802.820000 12,486.070000 Oct-2018 11,071.840000 10,516.720000 12,789.300000 11,896.500000 Nov-2018 11,081.800000 10,579.500000 12,934.590000 12,006 Dec-2018 10,744.920000 10,773.860000 11,951.070000 11,546.470000 Jan-2019 11,263.900000 10,888.270000 12,880.930000 12,134.550000 Feb-2019 11,459.890000 10,881.960000 13,268.260000 12,350.670000 Mar-2019 11,521.770000 11,090.920000 13,442.530000 12,542.860000 Apr-2019 11,664.640000 11,093.760000 13,919.190000 12,811 May-2019 11,310.040000 11,290.690000 13,116.040000 12,458.450000 Jun-2019 11,766.960000 11,432.480000 13,980.320000 13,013.600000 Jul-2019 11,709.300000 11,457.630000 14,049.570000 13,063.720000 Aug-2019 11,619.140000 11,754.510000 13,762.200000 13,038.800000 Sep-2019 11,763.220000 11,691.910000 14,055.070000 13,177.510000 Oct-2019 11,904.380000 11,727.130000 14,412.730000 13,394.580000 Nov-2019 11,955.570000 11,721.160000 14,814.130000 13,615.680000 Dec-2019 12,218.590000 11,712.990000 15,257.940000 13,856.630000 Jan-2020 11,962 11,938.400000 15,165.070000 13,912.690000 Feb-2020 11,381.840000 12,153.270000 13,883.240000 13,307.270000 Mar-2020 10,283.500000 12,081.750000 12,045.890000 12,219.270000 Apr-2020 10,984.830000 12,296.520000 13,361.830000 13,107.090000 May-2020 11,155.090000 12,353.770000 14,007.320000 13,511.400000 Jun-2020 11,316.840000 12,431.590000 14,377.830000 13,759.880000 Jul-2020 11,683.510000 12,617.280000 15,065.680000 14,237.070000 Aug-2020 11,872.780000 12,515.430000 16,072.290000 14,761.850000 Sep-2020 11,655.510000 12,508.570000 15,517.810000 14,453.050000 Oct-2020 11,410.740000 12,452.720000 15,041.800000 14,161.220000 Nov-2020 12,322.460000 12,574.910000 16,965.070000 15,303.210000 Dec-2020 12,699.530000 12,592.240000 17,684.330000 15,700.930000 Jan-2021 12,558.570000 12,501.950000 17,508.570000 15,562.270000 Feb-2021 12,625.130000 12,321.420000 17,957.220000 15,711.650000 Mar-2021 13,074.580000 12,167.560000 18,554.690000 15,946.830000 Apr-2021 13,473.350000 12,263.690000 19,418.230000 16,442.520000 May-2021 13,927.410000 12,303.750000 19,697.960000 16,606.120000 Jun-2021 13,803.450000 12,390.200000 19,991.550000 16,801.300000 Jul-2021 13,796.550000 12,528.740000 20,349.660000 17,057.020000 Aug-2021 13,723.430000 12,504.880000 20,856.130000 17,298.740000 Sep-2021 13,363.880000 12,396.620000 19,990.170000 16,807.880000 Oct-2021 13,747.420000 12,393.200000 21,122.420000 17,377.230000 Nov-2021 13,292.380000 12,429.860000 20,659.570000 17,169.320000 Dec-2021 13,833.380000 12,398.060000 21,542.560000 17,592.040000 Jan-2022 13,908.080000 12,130.950000 20,402.720000 16,881.950000 Feb-2022 13,837.150000 11,995.620000 19,886.710000 16,550.440000 Mar-2022 13,758.280000 11,662.360000 20,432.470000 16,639.040000 Apr-2022 13,385.430000 11,219.790000 18,735.080000 15,557.110000 May-2022 13,657.150000 11,292.130000 18,749.270000 15,604.310000 Jun-2022 12,789.920000 11,114.980000 17,125.170000 14,695.380000 Jul-2022 13,250.360000 11,386.570000 18,484.840000 15,539.070000 Aug-2022 12,752.150000 11,064.830000 17,712.030000 14,973.640000 Sep-2022 11,938.560000 10,586.760000 16,065.520000 13,879.690000 Oct-2022 12,516.390000 10,449.630000 17,219.240000 14,405.820000 Nov-2022 13,339.960000 10,833.930000 18,416.500000 15,218.720000 Dec-2022 13,238.580000 10,785.060000 17,634.400000 14,803.490000 Jan-2023 13,952.140000 11,116.850000 18,882.140000 15,614.110000 Feb-2023 13,536.370000 10,829.420000 18,428.240000 15,227.430000 Mar-2023 13,751.590000 11,104.510000 18,997.670000 15,664.470000 Apr-2023 14,032.130000 11,171.810000 19,330.690000 15,867.200000 May-2023 13,549.420000 11,050.170000 19,137.700000 15,703.040000 Jun-2023 13,923.380000 11,010.750000 20,295.110000 16,250.450000 Jul-2023 14,148.940000 11,003.080000 20,976.880000 16,573.460000 Aug-2023 13,881.530000 10,932.800000 20,475.830000 16,293.590000 Sep-2023 13,513.670000 10,654.980000 19,592.540000 15,706.240000 Oct-2023 13,224.480000 10,486.830000 19,024.040000 15,333.660000 Nov-2023 13,775.940000 10,961.740000 20,807.590000 16,473.960000 Dec-2023 14,209.880000 11,381.340000 21,829.120000 17,211.470000 Jan-2024 14,188.560000 11,350.090000 22,091.080000 17,316.490000 Feb-2024 14,174.370000 11,189.730000 23,027.690000 17,659.140000 Mar-2024 14,562.750000 11,293.060000 23,767.680000 18,064.850000 Apr-2024 14,395.280000 11,007.810000 22,884.840000 17,479.720000 May-2024 14,769.560000 11,194.430000 23,906.690000 18,066.560000 Jun-2024 14,596.750000 11,300.410000 24,393.140000 18,355.550000 Jul-2024 15,161.650000 11,564.350000 24,823.010000 18,721.120000 Aug-2024 15,651.370000 11,730.530000 25,479.090000 19,125.610000 Sep-2024 15,878.320000 11,887.600000 25,945.710000 19,438.200000 Oct-2024 15,577 11,593 25,431 19,014 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class C - without sales charge 17.79 % 5.52 % 4.53 % Class C - with sales charge 16.79 % 5.52 % 4.53 % Bloomberg U.S. Aggregate Bond Index 10.55 % - % 1.49 % MSCI World Index 33.68 % 12.03 % 9.78 % Composite Index 24.00 % 7.26 % 6.64 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,758,899,230 |
Holdings Count | Holding | 289 |
Advisory Fees Paid, Amount | $ 12,900,132 |
InvestmentCompanyPortfolioTurnover | 14.66% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,758,899,230 Number of Portfolio Holdings 289 Portfolio Turnover Rate 14.66% Net Investment Advisory Fees (net of waivers and reimbursements) $12,900,132 |
Holdings [Text Block] | Value Value Common Stocks 63.8% Corporate Bonds 11.7% U.S. Treasury Obligations 9.6% Commodities 7.6% Preferred Stocks 1.8% Convertible Preferred Stocks 1.5% Master Limited Partnerships 1.0% Foreign Government Securities 0.9% Asset-Backed Securities 0.2% Municipal Bonds 0.2% Loan Assignments 0.1% Short-Term Investments 1.6% Footnote Reference Value Value Short-Term Investments 1.6% Others Footnote Reference 7.1% Information Technology 4.3% Real Estate 4.6% Materials 5.0% Energy 7.3% Commodities 7.6% Industrials 7.6% Health Care 7.8% U.S. Treasury Obligations 9.6% Financials 13.9% Consumer Staples 23.6% United States 55.4% United Kingdom 9.9% Canada 5.1% Switzerland 4.6% Mexico 3.3% Hong Kong 3.2% South Korea 3.1% Japan 2.7% Brazil 1.9% France 1.6% Others Footnote Reference 7.6% Short-Term Investments 1.6% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal) 7.5% Unilever plc (Personal Care Products, United Kingdom) 3.0% Philip Morris International, Inc. (Tobacco, United States) 3.0% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.6% British American Tobacco plc (Tobacco, United Kingdom) 2.4% Nestle SA (Registered) (Food Products, Switzerland) 2.1% KT&G Corp. (Tobacco, South Korea) 1.9% Jardine Matheson Holdings Ltd. (Industrial Conglomerates, Hong Kong) 1.7% Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods, Switzerland) 1.4% Power Corp. of Canada (Insurance, Canada) 1.4% Total 27.0% |
Material Fund Change [Text Block] | |
C000109585 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Income Builder Fund |
Class Name | Class I |
Trading Symbol | FEBIX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $105 0.96% |
Expenses Paid, Amount | $ 105 |
Expense Ratio, Percent | 0.96% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Income Builder Fund (Class I) | $1,722,497 Bloomberg U.S. Aggregate Bond Index | $1,159,280 MSCI World Index | $2,543,103 Composite Index | $1,901,403 Oct-2014 1,000,000 1,000,000 1,000,000 1,000,000 Nov-2014 1,004,100 1,007,093.990000 1,020,040.930000 1,014,862.150000 Dec-2014 976,186.020000 1,008,035.880000 1,003,592.650000 1,005,422.960000 Jan-2015 984,385.980000 1,029,173.600000 985,407.900000 1,002,925.370000 Feb-2015 1,015,984.770000 1,019,496.910000 1,043,141.600000 1,034,409.430000 Mar-2015 999,424.220000 1,024,230.990000 1,026,812.730000 1,026,615.450000 Apr-2015 1,023,910.110000 1,020,555.920000 1,050,894.140000 1,039,588.080000 May-2015 1,025,548.370000 1,018,098.110000 1,054,514.170000 1,040,735.270000 Jun-2015 1,005,550.180000 1,006,997.170000 1,029,994.290000 1,021,676.470000 Jul-2015 1,000,421.870000 1,013,996.950000 1,048,482.690000 1,035,520.650000 Aug-2015 970,409.220000 1,012,540.820000 979,099.770000 993,810.740000 Sep-2015 945,663.780000 1,019,389.910000 942,986.340000 974,506.080000 Oct-2015 987,934.950000 1,019,559.190000 1,017,712.460000 1,020,905.130000 Nov-2015 979,241.120000 1,016,865.760000 1,012,648.690000 1,016,778.540000 Dec-2015 955,445.560000 1,013,579.630000 994,848.970000 1,004,740.810000 Jan-2016 926,954.660000 1,027,527.660000 935,332.940000 974,206.690000 Feb-2016 932,449.270000 1,034,816.800000 928,371.650000 972,620.680000 Mar-2016 986,291.690000 1,044,311.240000 991,370.080000 1,015,790.880000 Apr-2016 1,018,712.080000 1,048,319.750000 1,007,056.990000 1,026,994.490000 May-2016 1,012,520.450000 1,048,588.640000 1,012,713.250000 1,030,560.800000 Jun-2016 1,014,312.110000 1,067,429.510000 1,001,365.380000 1,031,038.870000 Jul-2016 1,045,816.640000 1,074,178.010000 1,043,671.510000 1,059,782.110000 Aug-2016 1,052,148.020000 1,072,949.670000 1,044,538.900000 1,059,825.830000 Sep-2016 1,056,977.380000 1,072,321.060000 1,050,087.410000 1,062,955.290000 Oct-2016 1,046,724.700000 1,064,118.980000 1,029,765.180000 1,047,360.360000 Nov-2016 1,036,990.160000 1,038,948.610000 1,044,572.200000 1,046,486.780000 Dec-2016 1,054,307.890000 1,040,413.930000 1,069,567.120000 1,062,101.600000 Jan-2017 1,076,132.070000 1,042,455.370000 1,095,381.290000 1,078,315.590000 Feb-2017 1,090,014.170000 1,049,461.730000 1,125,770.920000 1,099,164.250000 Mar-2017 1,104,075.350000 1,048,911.390000 1,137,762.520000 1,105,958.600000 Apr-2017 1,117,324.260000 1,057,005.870000 1,154,609.230000 1,119,197.960000 May-2017 1,136,653.970000 1,065,141.800000 1,179,034.400000 1,136,849.450000 Jun-2017 1,141,768.910000 1,064,069.770000 1,183,570.740000 1,139,016.190000 Jul-2017 1,151,245.590000 1,068,648.640000 1,211,896.470000 1,157,332.400000 Aug-2017 1,152,627.080000 1,078,234.170000 1,213,603.030000 1,162,462.630000 Sep-2017 1,168,187.550000 1,073,098.670000 1,240,841.420000 1,175,902.320000 Oct-2017 1,179,869.430000 1,073,720.340000 1,264,291.420000 1,189,508.460000 Nov-2017 1,188,010.530000 1,072,342.100000 1,291,685.500000 1,204,361.940000 Dec-2017 1,194,306.980000 1,077,263.670000 1,309,153.590000 1,216,345.240000 Jan-2018 1,225,120.100000 1,064,856.980000 1,378,277.170000 1,249,275.820000 Feb-2018 1,188,734.030000 1,054,762.710000 1,321,178.620000 1,213,486.220000 Mar-2018 1,186,950.930000 1,061,526.900000 1,292,381.630000 1,200,729.240000 Apr-2018 1,188,256.580000 1,053,631.830000 1,307,232.610000 1,205,435.760000 May-2018 1,191,940.170000 1,061,151.430000 1,315,424.290000 1,213,409.230000 Jun-2018 1,184,430.950000 1,059,846.270000 1,314,796.820000 1,212,464.970000 Jul-2018 1,203,737.180000 1,060,098.330000 1,355,862.580000 1,235,302.060000 Aug-2018 1,192,181.300000 1,066,919.560000 1,372,638.460000 1,247,652.020000 Sep-2018 1,196,234.720000 1,060,049.090000 1,380,281.500000 1,248,606.560000 Oct-2018 1,152,332.900000 1,051,672.150000 1,278,930.350000 1,189,650.230000 Nov-2018 1,154,291.870000 1,057,950.170000 1,293,458.880000 1,200,599.500000 Dec-2018 1,120,240.260000 1,077,386.110000 1,195,106.870000 1,154,647.430000 Jan-2019 1,174,235.840000 1,088,827.360000 1,288,093.100000 1,213,455.070000 Feb-2019 1,195,489.510000 1,088,196.430000 1,326,825.840000 1,235,066.850000 Mar-2019 1,202,901.540000 1,109,091.890000 1,344,252.990000 1,254,286.280000 Apr-2019 1,219,862.450000 1,109,375.810000 1,391,919.280000 1,281,100.390000 May-2019 1,183,876.510000 1,129,068.970000 1,311,604.340000 1,245,844.650000 Jun-2019 1,232,533.830000 1,143,248.010000 1,398,032.370000 1,301,359.750000 Jul-2019 1,226,494.420000 1,145,762.690000 1,404,957.310000 1,306,372.380000 Aug-2019 1,219,258.100000 1,175,451.340000 1,376,219.560000 1,303,879.760000 Sep-2019 1,235,474.230000 1,169,190.960000 1,405,506.850000 1,317,750.710000 Oct-2019 1,251,041.210000 1,172,712.680000 1,441,273.460000 1,339,458.450000 Nov-2019 1,257,546.620000 1,172,115.590000 1,481,413.160000 1,361,568.130000 Dec-2019 1,286,470.200000 1,171,298.630000 1,525,793.690000 1,385,662.650000 Jan-2020 1,259,454.320000 1,193,839.740000 1,516,506.700000 1,391,268.790000 Feb-2020 1,200,385.910000 1,215,327.140000 1,388,323.600000 1,330,726.720000 Mar-2020 1,084,668.710000 1,208,175.170000 1,204,589.060000 1,221,927.080000 Apr-2020 1,160,595.520000 1,229,651.880000 1,336,183.490000 1,310,708.660000 May-2020 1,179,513.230000 1,235,377.020000 1,400,732.060000 1,351,140.430000 Jun-2020 1,196,498.220000 1,243,158.890000 1,437,782.890000 1,375,988.310000 Jul-2020 1,236,221.960000 1,261,727.970000 1,506,568.380000 1,423,707.060000 Aug-2020 1,258,350.330000 1,251,543.490000 1,607,228.790000 1,476,184.730000 Sep-2020 1,236,580.870000 1,250,857.400000 1,551,780.800000 1,445,304.780000 Oct-2020 1,211,601.940000 1,245,272.050000 1,504,179.890000 1,416,122.490000 Nov-2020 1,309,135.900000 1,257,490.960000 1,696,506.620000 1,530,321.170000 Dec-2020 1,349,719.110000 1,259,223.740000 1,768,432.920000 1,570,093.020000 Jan-2021 1,336,491.860000 1,250,195.260000 1,750,857.040000 1,556,227.280000 Feb-2021 1,344,911.760000 1,232,141.810000 1,795,721.650000 1,571,164.600000 Mar-2021 1,392,925.110000 1,216,756.490000 1,855,469.100000 1,594,682.750000 Apr-2021 1,437,777.300000 1,226,368.740000 1,941,822.840000 1,644,251.910000 May-2021 1,486,230.390000 1,230,375.460000 1,969,795.650000 1,660,612.420000 Jun-2021 1,474,489.170000 1,239,020.040000 1,999,155.130000 1,680,130.070000 Jul-2021 1,475,816.210000 1,252,873.640000 2,034,965.660000 1,705,701.880000 Aug-2021 1,469,470.200000 1,250,488.200000 2,085,612.620000 1,729,874.110000 Sep-2021 1,430,382.300000 1,239,661.630000 1,999,016.870000 1,680,788.120000 Oct-2021 1,473,722.880000 1,239,319.760000 2,112,242.200000 1,737,723.130000 Nov-2021 1,426,121.630000 1,242,986.380000 2,065,956.720000 1,716,932.400000 Dec-2021 1,486,018.740000 1,239,805.860000 2,154,256.090000 1,759,204.310000 Jan-2022 1,494,637.650000 1,213,095.320000 2,040,272.450000 1,688,195.450000 Feb-2022 1,487,463.390000 1,199,561.720000 1,988,671.480000 1,655,043.960000 Mar-2022 1,481,662.280000 1,166,235.700000 2,043,247.310000 1,663,903.880000 Apr-2022 1,442,250.060000 1,121,979.340000 1,873,507.930000 1,555,711.490000 May-2022 1,472,969.990000 1,129,213.490000 1,874,926.840000 1,560,430.710000 Jun-2022 1,380,762.070000 1,111,498.310000 1,712,516.930000 1,469,538.080000 Jul-2022 1,430,883.730000 1,138,657.370000 1,848,484.450000 1,553,906.670000 Aug-2022 1,379,228.830000 1,106,482.790000 1,771,203.380000 1,497,364.170000 Sep-2022 1,291,371.950000 1,058,675.630000 1,606,552.490000 1,387,968.980000 Oct-2022 1,355,940.550000 1,044,963.290000 1,721,923.720000 1,440,582.460000 Nov-2022 1,446,110.600000 1,083,392.540000 1,841,649.810000 1,521,872.410000 Dec-2022 1,436,277.040000 1,078,505.560000 1,763,439.920000 1,480,348.580000 Jan-2023 1,514,410.520000 1,111,684.770000 1,888,213.980000 1,561,411.370000 Feb-2023 1,471,401.260000 1,082,941.720000 1,842,824.130000 1,522,742.610000 Mar-2023 1,496,120.800000 1,110,451.140000 1,899,766.830000 1,566,446.550000 Apr-2023 1,528,137.780000 1,117,181.250000 1,933,068.960000 1,586,719.560000 May-2023 1,476,028.290000 1,105,016.630000 1,913,770.320000 1,570,304.120000 Jun-2023 1,518,242.690000 1,101,075.450000 2,029,510.920000 1,625,044.950000 Jul-2023 1,544,204.640000 1,100,307.930000 2,097,687.790000 1,657,345.700000 Aug-2023 1,517,026.640000 1,093,279.910000 2,047,583 1,629,359.160000 Sep-2023 1,477,432.250000 1,065,497.770000 1,959,253.580000 1,570,624.470000 Oct-2023 1,446,553.910000 1,048,682.970000 1,902,404.200000 1,533,366.160000 Nov-2023 1,508,900.390000 1,096,173.920000 2,080,758.540000 1,647,396.100000 Dec-2023 1,557,185.200000 1,138,134.360000 2,182,911.810000 1,721,146.970000 Jan-2024 1,556,873.760000 1,135,008.880000 2,209,107.800000 1,731,649.110000 Feb-2024 1,556,718.070000 1,118,973.200000 2,302,768.820000 1,765,913.780000 Mar-2024 1,599,994.840000 1,129,305.700000 2,376,767.870000 1,806,484.690000 Apr-2024 1,582,714.890000 1,100,781.140000 2,288,483.530000 1,747,972.250000 May-2024 1,625,606.470000 1,119,442.970000 2,390,668.870000 1,806,656.040000 Jun-2024 1,608,862.720000 1,130,041.050000 2,439,313.960000 1,835,554.690000 Jul-2024 1,671,930.140000 1,156,435.440000 2,482,300.590000 1,872,112.080000 Aug-2024 1,726,769.450000 1,173,053.280000 2,547,909.010000 1,912,561.390000 Sep-2024 1,753,534.370000 1,188,759.700000 2,594,571.250000 1,943,820.490000 Oct-2024 1,722,497 1,159,280 2,543,103 1,901,403 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class I 19.06 % 6.61 % 5.60 % Bloomberg U.S. Aggregate Bond Index 10.55 % - % 1.49 % MSCI World Index 33.68 % 12.03 % 9.78 % Composite Index 24.00 % 7.26 % 6.64 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,758,899,230 |
Holdings Count | Holding | 289 |
Advisory Fees Paid, Amount | $ 12,900,132 |
InvestmentCompanyPortfolioTurnover | 14.66% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,758,899,230 Number of Portfolio Holdings 289 Portfolio Turnover Rate 14.66% Net Investment Advisory Fees (net of waivers and reimbursements) $12,900,132 |
Holdings [Text Block] | Value Value Common Stocks 63.8% Corporate Bonds 11.7% U.S. Treasury Obligations 9.6% Commodities 7.6% Preferred Stocks 1.8% Convertible Preferred Stocks 1.5% Master Limited Partnerships 1.0% Foreign Government Securities 0.9% Asset-Backed Securities 0.2% Municipal Bonds 0.2% Loan Assignments 0.1% Short-Term Investments 1.6% Footnote Reference Value Value Short-Term Investments 1.6% Others Footnote Reference 7.1% Information Technology 4.3% Real Estate 4.6% Materials 5.0% Energy 7.3% Commodities 7.6% Industrials 7.6% Health Care 7.8% U.S. Treasury Obligations 9.6% Financials 13.9% Consumer Staples 23.6% United States 55.4% United Kingdom 9.9% Canada 5.1% Switzerland 4.6% Mexico 3.3% Hong Kong 3.2% South Korea 3.1% Japan 2.7% Brazil 1.9% France 1.6% Others Footnote Reference 7.6% Short-Term Investments 1.6% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal) 7.5% Unilever plc (Personal Care Products, United Kingdom) 3.0% Philip Morris International, Inc. (Tobacco, United States) 3.0% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.6% British American Tobacco plc (Tobacco, United Kingdom) 2.4% Nestle SA (Registered) (Food Products, Switzerland) 2.1% KT&G Corp. (Tobacco, South Korea) 1.9% Jardine Matheson Holdings Ltd. (Industrial Conglomerates, Hong Kong) 1.7% Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods, Switzerland) 1.4% Power Corp. of Canada (Insurance, Canada) 1.4% Total 27.0% |
Material Fund Change [Text Block] | |
C000179790 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Income Builder Fund |
Class Name | Class R6 |
Trading Symbol | FEBRX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $97 0.89% |
Expenses Paid, Amount | $ 97 |
Expense Ratio, Percent | 0.89% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Income Builder Fund (Class R6) | $15,795 Bloomberg U.S. Aggregate Bond Index | $11,046 MSCI World Index | $22,590 Composite Index | $17,299 Mar-2017 10,074 9,994.760000 10,106.520000 10,061.810000 Apr-2017 10,203.950000 10,071.890000 10,256.170000 10,182.260000 May-2017 10,372.320000 10,149.410000 10,473.130000 10,342.850000 Jun-2017 10,428.330000 10,139.200000 10,513.420000 10,362.570000 Jul-2017 10,514.890000 10,182.830000 10,765.040000 10,529.200000 Aug-2017 10,519.090000 10,274.160000 10,780.200000 10,575.880000 Sep-2017 10,661.100000 10,225.230000 11,022.150000 10,698.150000 Oct-2017 10,768.780000 10,231.150000 11,230.450000 10,821.940000 Nov-2017 10,844.160000 10,218.020000 11,473.790000 10,957.070000 Dec-2017 10,911.390000 10,264.920000 11,628.950000 11,066.090000 Jan-2018 11,184.180000 10,146.700000 12,242.960000 11,365.690000 Feb-2018 10,852.010000 10,050.510000 11,735.770000 11,040.080000 Mar-2018 10,845.500000 10,114.970000 11,479.970000 10,924.020000 Apr-2018 10,848.750000 10,039.740000 11,611.890000 10,966.840000 May-2018 10,892.140000 10,111.390000 11,684.650000 11,039.380000 Jun-2018 10,814.810000 10,098.950000 11,679.080000 11,030.790000 Jul-2018 10,992.170000 10,101.350000 12,043.860000 11,238.560000 Aug-2018 10,896.540000 10,166.350000 12,192.880000 11,350.920000 Sep-2018 10,924.870000 10,100.880000 12,260.770000 11,359.600000 Oct-2018 10,523.930000 10,021.060000 11,360.480000 10,823.230000 Nov-2018 10,542.870000 10,080.880000 11,489.540000 10,922.840000 Dec-2018 10,231.860000 10,266.080000 10,615.900000 10,504.780000 Jan-2019 10,726.060000 10,375.100000 11,441.880000 11,039.800000 Feb-2019 10,929.850000 10,369.090000 11,785.930000 11,236.420000 Mar-2019 10,988.870000 10,568.200000 11,940.730000 11,411.270000 Apr-2019 11,144.910000 10,570.900000 12,364.140000 11,655.220000 May-2019 10,816.140000 10,758.550000 11,650.720000 11,334.470000 Jun-2019 11,261.760000 10,893.660000 12,418.440000 11,839.540000 Jul-2019 11,215.590000 10,917.620000 12,479.960000 11,885.140000 Aug-2019 11,140.450000 11,200.520000 12,224.690000 11,862.470000 Sep-2019 11,289.730000 11,140.860000 12,484.840000 11,988.660000 Oct-2019 11,431.980000 11,174.420000 12,802.550000 12,186.150000 Nov-2019 11,490.280000 11,168.730000 13,159.100000 12,387.300000 Dec-2019 11,755.710000 11,160.950000 13,553.320000 12,606.510000 Jan-2020 11,518.240000 11,375.730000 13,470.830000 12,657.510000 Feb-2020 10,968.820000 11,580.480000 12,332.200000 12,106.710000 Mar-2020 9,910.330000 11,512.330000 10,700.130000 11,116.870000 Apr-2020 10,604.050000 11,716.980000 11,869.050000 11,924.590000 May-2020 10,776.900000 11,771.530000 12,442.430000 12,292.430000 Jun-2020 10,942.860000 11,845.680000 12,771.540000 12,518.500000 Jul-2020 11,297.410000 12,022.620000 13,382.550000 12,952.630000 Aug-2020 11,499.640000 11,925.580000 14,276.690000 13,430.070000 Sep-2020 11,301.840000 11,919.040000 13,784.160000 13,149.120000 Oct-2020 11,073.550000 11,865.820000 13,361.330000 12,883.630000 Nov-2020 11,966.070000 11,982.250000 15,069.730000 13,922.590000 Dec-2020 12,346.590000 11,998.760000 15,708.640000 14,284.430000 Jan-2021 12,215.720000 11,912.730000 15,552.520000 14,158.280000 Feb-2021 12,292.680000 11,740.700000 15,951.040000 14,294.170000 Mar-2021 12,732.760000 11,594.100000 16,481.760000 14,508.140000 Apr-2021 13,142.750000 11,685.690000 17,248.830000 14,959.110000 May-2021 13,596.180000 11,723.870000 17,497.300000 15,107.960000 Jun-2021 13,479.250000 11,806.240000 17,758.100000 15,285.520000 Jul-2021 13,492.730000 11,938.250000 18,076.200000 15,518.170000 Aug-2021 13,436.060000 11,915.520000 18,526.080000 15,738.090000 Sep-2021 13,081.350000 11,812.360000 17,756.870000 15,291.510000 Oct-2021 13,477.710000 11,809.100000 18,762.630000 15,809.490000 Nov-2021 13,043.730000 11,844.040000 18,351.480000 15,620.340000 Dec-2021 13,594.180000 11,813.730000 19,135.830000 16,004.930000 Jan-2022 13,674.380000 11,559.210000 18,123.340000 15,358.900000 Feb-2022 13,610.110000 11,430.260000 17,664.970000 15,057.290000 Mar-2022 13,558.390000 11,112.700000 18,149.760000 15,137.900000 Apr-2022 13,199.100000 10,691 16,642 14,153.590000 May-2022 13,481.560000 10,759.930000 16,654.600000 14,196.520000 Jun-2022 12,636.260000 10,591.130000 15,211.950000 13,369.590000 Jul-2022 13,107.600000 10,849.920000 16,419.720000 14,137.170000 Aug-2022 12,623.930000 10,543.340000 15,733.250000 13,622.750000 Sep-2022 11,829.880000 10,087.800000 14,270.690000 12,627.490000 Oct-2022 12,422.560000 9,957.140000 15,295.510000 13,106.160000 Nov-2022 13,239.960000 10,323.320000 16,359.010000 13,845.720000 Dec-2022 13,151.250000 10,276.750000 15,664.290000 13,467.950000 Jan-2023 13,869.310000 10,592.900000 16,772.630000 14,205.440000 Feb-2023 13,475.420000 10,319.020000 16,369.440000 13,853.640000 Mar-2023 13,703.160000 10,581.150000 16,875.250000 14,251.250000 Apr-2023 13,996.410000 10,645.280000 17,171.070000 14,435.690000 May-2023 13,519.130000 10,529.370000 16,999.640000 14,286.350000 Jun-2023 13,908.480000 10,491.810000 18,027.740000 14,784.370000 Jul-2023 14,147.710000 10,484.500000 18,633.340000 15,078.240000 Aug-2023 13,898.710000 10,417.530000 18,188.270000 14,823.620000 Sep-2023 13,535.950000 10,152.800000 17,403.660000 14,289.260000 Oct-2023 13,254.400000 9,992.580000 16,898.680000 13,950.290000 Nov-2023 13,826.990000 10,445.110000 18,482.970000 14,987.720000 Dec-2023 14,270.840000 10,844.930000 19,390.370000 15,658.690000 Jan-2024 14,269.410000 10,815.150000 19,623.070000 15,754.230000 Feb-2024 14,267.980000 10,662.350000 20,455.040000 16,065.970000 Mar-2024 14,666.060000 10,760.810000 21,112.360000 16,435.080000 Apr-2024 14,507.670000 10,489.010000 20,328.150000 15,902.740000 May-2024 14,902.280000 10,666.830000 21,235.840000 16,436.630000 Jun-2024 14,750.270000 10,767.820000 21,667.940000 16,699.550000 Jul-2024 15,329.960000 11,019.320000 22,049.780000 17,032.140000 Aug-2024 15,834.310000 11,177.670000 22,632.570000 17,400.140000 Sep-2024 16,079.750000 11,327.330000 23,047.060000 17,684.530000 Oct-2024 15,795 11,046 22,590 17,299 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years Since Inception (3/1/17) Class R6 19.18 % 6.67 % 6.14 % Bloomberg U.S. Aggregate Bond Index 10.55 % - % 1.38 % MSCI World Index 33.68 % 12.03 % 11.03 % Composite Index 24.00 % 7.26 % 7.42 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,758,899,230 |
Holdings Count | Holding | 289 |
Advisory Fees Paid, Amount | $ 12,900,132 |
InvestmentCompanyPortfolioTurnover | 14.66% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,758,899,230 Number of Portfolio Holdings 289 Portfolio Turnover Rate 14.66% Net Investment Advisory Fees (net of waivers and reimbursements) $12,900,132 |
Holdings [Text Block] | Value Value Common Stocks 63.8% Corporate Bonds 11.7% U.S. Treasury Obligations 9.6% Commodities 7.6% Preferred Stocks 1.8% Convertible Preferred Stocks 1.5% Master Limited Partnerships 1.0% Foreign Government Securities 0.9% Asset-Backed Securities 0.2% Municipal Bonds 0.2% Loan Assignments 0.1% Short-Term Investments 1.6% Footnote Reference Value Value Short-Term Investments 1.6% Others Footnote Reference 7.1% Information Technology 4.3% Real Estate 4.6% Materials 5.0% Energy 7.3% Commodities 7.6% Industrials 7.6% Health Care 7.8% U.S. Treasury Obligations 9.6% Financials 13.9% Consumer Staples 23.6% United States 55.4% United Kingdom 9.9% Canada 5.1% Switzerland 4.6% Mexico 3.3% Hong Kong 3.2% South Korea 3.1% Japan 2.7% Brazil 1.9% France 1.6% Others Footnote Reference 7.6% Short-Term Investments 1.6% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal) 7.5% Unilever plc (Personal Care Products, United Kingdom) 3.0% Philip Morris International, Inc. (Tobacco, United States) 3.0% Exxon Mobil Corp. (Oil, Gas & Consumable Fuels, United States) 2.6% British American Tobacco plc (Tobacco, United Kingdom) 2.4% Nestle SA (Registered) (Food Products, Switzerland) 2.1% KT&G Corp. (Tobacco, South Korea) 1.9% Jardine Matheson Holdings Ltd. (Industrial Conglomerates, Hong Kong) 1.7% Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods, Switzerland) 1.4% Power Corp. of Canada (Insurance, Canada) 1.4% Total 27.0% |
Material Fund Change [Text Block] | |
C000030908 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Rising Dividend Fund |
Class Name | Class A |
Trading Symbol | FEFAX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $105 0.90% |
Expenses Paid, Amount | $ 105 |
Expense Ratio, Percent | 0.90% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Rising Dividend Fund (Class A) | $16,850 S&P 500 Index | $17,737 Oct-2014 10,000 10,000 Nov-2014 9,812.550000 10,329 Dec-2014 9,886.140000 10,406.470000 Jan-2015 9,548.040000 10,050.570000 Feb-2015 10,194.440000 10,730.990000 Mar-2015 9,959.970000 10,484.180000 Apr-2015 10,060.560000 10,590.070000 May-2015 10,332.200000 10,876 Jun-2015 10,034.630000 10,562.770000 Jul-2015 10,334.670000 10,878.600000 Aug-2015 9,786.930000 10,302.030000 Sep-2015 9,052.910000 9,529.380000 Oct-2015 9,518.230000 10,019.190000 Nov-2015 9,645.770000 10,153.450000 Dec-2015 9,536.780000 10,038.710000 Jan-2016 8,724.240000 9,183.410000 Feb-2016 8,814.100000 9,278 Mar-2016 9,238.060000 9,724.280000 Apr-2016 9,087.480000 9,565.770000 May-2016 9,133.830000 9,614.560000 Jun-2016 8,870.770000 9,337.660000 Jul-2016 9,333.830000 9,825.080000 Aug-2016 9,443.030000 9,940.040000 Sep-2016 9,476.080000 9,974.830000 Oct-2016 9,013.650000 9,488.050000 Nov-2016 9,352.560000 9,844.800000 Dec-2016 9,348.820000 9,840.870000 Jan-2017 9,669.490000 10,178.410000 Feb-2017 10,052.390000 10,581.460000 Mar-2017 10,332.850000 10,876.680000 Apr-2017 10,163.390000 10,698.300000 May-2017 10,291.450000 10,833.100000 Jun-2017 10,385.100000 10,931.680000 Jul-2017 10,417.290000 10,965.570000 Aug-2017 11,006.910000 11,586.220000 Oct-2017 11,137.900000 11,724.100000 Nov-2017 11,216.970000 11,807.340000 Dec-2017 11,386.350000 11,985.630000 Jan-2018 11,747.300000 12,365.580000 Feb-2018 11,310.300000 11,905.580000 Mar-2018 11,049.030000 11,630.560000 Apr-2018 11,013.670000 11,593.340000 May-2018 11,348.490000 11,945.780000 Jun-2018 11,143.080000 11,729.560000 Jul-2018 11,204.370000 11,794.070000 Aug-2018 11,259.270000 11,851.860000 Sep-2018 11,068.990000 11,651.570000 Oct-2018 9,820.410000 10,337.270000 Nov-2018 9,868.530000 10,387.920000 Dec-2018 8,671.470000 9,127.870000 Jan-2019 9,773.620000 10,288.020000 Feb-2019 10,296.510000 10,838.430000 Mar-2019 10,288.270000 10,829.760000 Apr-2019 10,483.750000 11,035.520000 May-2019 9,673.350000 10,182.480000 Jun-2019 10,504.290000 11,057.150000 Jul-2019 10,756.400000 11,322.520000 Aug-2019 10,436.930000 10,986.240000 Sep-2019 10,604.970000 11,163.120000 Oct-2019 10,564.670000 11,120.700000 Nov-2019 10,948.170000 11,524.390000 Dec-2019 11,126.620000 11,712.230000 Jan-2020 11,062.090000 11,644.300000 Feb-2020 10,594.160000 11,151.750000 Mar-2020 8,486.980000 8,933.670000 Apr-2020 9,369.630000 9,862.770000 May-2020 9,881.210000 10,401.270000 Jun-2020 10,066.980000 10,596.820000 Jul-2020 10,513.950000 11,067.320000 Aug-2020 10,711.610000 11,275.380000 Sep-2020 10,606.640000 11,164.880000 Oct-2020 10,413.600000 10,961.680000 Nov-2020 11,461.210000 12,064.430000 Dec-2020 11,956.330000 12,585.610000 Jan-2021 11,622.750000 12,234.470000 Feb-2021 11,931.910000 12,559.910000 Mar-2021 12,503.450000 13,161.530000 Apr-2021 13,241.160000 13,938.060000 May-2021 13,398.730000 14,103.920000 Jun-2021 13,594.350000 14,309.840000 Jul-2021 13,976.350000 14,711.950000 Aug-2021 14,185.990000 14,932.620000 Sep-2021 13,479.530000 14,188.980000 Oct-2021 14,222.250000 14,970.790000 Nov-2021 13,916.470000 14,648.920000 Dec-2021 14,381.280000 15,138.190000 Jan-2022 13,570.180000 14,284.400000 Feb-2022 12,671.830000 13,338.770000 Mar-2022 13,011.440000 13,696.250000 Apr-2022 12,079.820000 12,715.600000 May-2022 12,129.350000 12,767.730000 Jun-2022 11,254.820000 11,847.180000 Jul-2022 12,101.180000 12,738.090000 Aug-2022 11,637.710000 12,250.220000 Sep-2022 10,457.650000 11,008.050000 Oct-2022 11,102.880000 11,687.240000 Nov-2022 12,027.750000 12,660.790000 Dec-2022 11,605.580000 12,216.400000 Jan-2023 12,312.360000 12,960.380000 Feb-2023 12,003.320000 12,635.070000 Mar-2023 12,422.230000 13,076.030000 Apr-2023 12,832.170000 13,507.540000 May-2023 12,657.650000 13,323.840000 Jun-2023 13,476.600000 14,185.890000 Jul-2023 14,091.130000 14,832.770000 Aug-2023 13,747.310000 14,470.850000 Sep-2023 13,132.800000 13,824 Oct-2023 12,674.470000 13,341.550000 Nov-2023 13,613.650000 14,330.150000 Dec-2023 14,204.480000 14,952.080000 Jan-2024 14,436.010000 15,195.800000 Feb-2024 14,600.580000 15,369.030000 Mar-2024 15,153.950000 15,951.520000 Apr-2024 14,523.540000 15,287.940000 May-2024 15,214.860000 16,015.640000 Jun-2024 15,625.660000 16,448.070000 Jul-2024 16,141.310000 16,990.850000 Aug-2024 16,699.800000 17,578.740000 Sep-2024 17,200.790000 18,106.100000 Oct-2024 16,850 17,737 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class A - without sales charge 32.95 % 9.79 % 5.90 % Class A - with sales charge 26.30 % 8.67 % 5.36 % S&P 500 Index 38.02 % 15.27 % 13.00 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 432,924,939 |
Holdings Count | Holding | 41 |
Advisory Fees Paid, Amount | $ 1,497,303 |
InvestmentCompanyPortfolioTurnover | 15.44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $432,924,939 Number of Portfolio Holdings 41 Portfolio Turnover Rate 15.44% Net Investment Advisory Fees (net of waivers and reimbursements) $1,497,303 |
Holdings [Text Block] | Value Value Common Stocks 96.6% Master Limited Partnerships 2.3% Short-Term Investments 1.1% Footnote Reference Value Value Short-Term Investments 1.1% Real Estate 2.6% Financials 3.1% Energy 7.3% Industrials 9.7% Consumer Staples 10.5% Consumer Discretionary 11.1% Communication Services 16.1% Health Care 17.4% Information Technology 21.1% |
Largest Holdings [Text Block] | Oracle Corp. (Software, United States) 6.7% Alphabet, Inc., Class A (Interactive Media & Services, United States) 5.8% Texas Instruments, Inc. (Semiconductors & Semiconductor Equipment, United States) 5.7% Comcast Corp., Class A (Media, United States) 5.6% UnitedHealth Group, Inc. (Health Care Providers & Services, United States) 5.2% Home Depot, Inc. (The) (Specialty Retail, United States) 5.0% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 4.7% Philip Morris International, Inc. (Tobacco, United States) 4.6% Schindler Holding AG (Machinery, Switzerland) 4.5% TE Connectivity plc (Electronic Equipment, Instruments & Components, Ireland) 4.3% Total 52.1% |
Material Fund Change [Text Block] | |
C000030907 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Rising Dividend Fund |
Class Name | Class C |
Trading Symbol | FEAMX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class C $191 1.65% |
Expenses Paid, Amount | $ 191 |
Expense Ratio, Percent | 1.65% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Rising Dividend Fund (Class C) | $16,451 S&P 500 Index | $17,737 Oct-2014 10,000 10,000 Nov-2014 10,324 10,329 Dec-2014 10,394.200000 10,406.470000 Jan-2015 10,033.520000 10,050.570000 Feb-2015 10,704.770000 10,730.990000 Mar-2015 10,453.210000 10,484.180000 Apr-2015 10,552.510000 10,590.070000 May-2015 10,830.040000 10,876 Jun-2015 10,512.720000 10,562.770000 Jul-2015 10,819.690000 10,878.600000 Aug-2015 10,237.590000 10,302.030000 Sep-2015 9,466.700000 9,529.380000 Oct-2015 9,942.880000 10,019.190000 Nov-2015 10,072.140000 10,153.450000 Dec-2015 9,953.280000 10,038.710000 Jan-2016 9,098.300000 9,183.410000 Feb-2016 9,187.460000 9,278 Mar-2016 9,625.700000 9,724.280000 Apr-2016 9,458.220000 9,565.770000 May-2016 9,502.670000 9,614.560000 Jun-2016 9,225.190000 9,337.660000 Jul-2016 9,701.210000 9,825.080000 Aug-2016 9,806.950000 9,940.040000 Sep-2016 9,834.410000 9,974.830000 Oct-2016 9,348.590000 9,488.050000 Nov-2016 9,694.490000 9,844.800000 Dec-2016 9,684.800000 9,840.870000 Jan-2017 10,009.240000 10,178.410000 Feb-2017 10,389.230000 10,581.460000 Mar-2017 10,672.850000 10,876.680000 Apr-2017 10,492.480000 10,698.300000 May-2017 10,617.340000 10,833.100000 Jun-2017 10,709.720000 10,931.680000 Jul-2017 10,732.210000 10,965.570000 Aug-2017 11,333.210000 11,586.220000 Oct-2017 11,462.410000 11,724.100000 Nov-2017 11,535.770000 11,807.340000 Dec-2017 11,701.880000 11,985.630000 Jan-2018 12,064.640000 12,365.580000 Feb-2018 11,611.010000 11,905.580000 Mar-2018 11,335.830000 11,630.560000 Apr-2018 11,293.890000 11,593.340000 May-2018 11,631.570000 11,945.780000 Jun-2018 11,410.570000 11,729.560000 Jul-2018 11,464.200000 11,794.070000 Aug-2018 11,514.650000 11,851.860000 Sep-2018 11,314.290000 11,651.570000 Oct-2018 10,031.250000 10,337.270000 Nov-2018 10,073.380000 10,387.920000 Dec-2018 8,847.450000 9,127.870000 Jan-2019 9,964.880000 10,288.020000 Feb-2019 10,496.010000 10,838.430000 Mar-2019 10,479.220000 10,829.760000 Apr-2019 10,666.800000 11,035.520000 May-2019 9,836.920000 10,182.480000 Jun-2019 10,676.990000 11,057.150000 Jul-2019 10,925.770000 11,322.520000 Aug-2019 10,593.620000 10,986.240000 Sep-2019 10,759.940000 11,163.120000 Oct-2019 10,710.450000 11,120.700000 Nov-2019 11,097.100000 11,524.390000 Dec-2019 11,271.320000 11,712.230000 Jan-2020 11,193.550000 11,644.300000 Feb-2020 10,717.820000 11,151.750000 Mar-2020 8,575.330000 8,933.670000 Apr-2020 9,464.590000 9,862.770000 May-2020 9,973.790000 10,401.270000 Jun-2020 10,158.300000 10,596.820000 Jul-2020 10,600.190000 11,067.320000 Aug-2020 10,796.290000 11,275.380000 Sep-2020 10,684.010000 11,164.880000 Oct-2020 10,483.150000 10,961.680000 Nov-2020 11,529.370000 12,064.430000 Dec-2020 12,019.370000 12,585.610000 Jan-2021 11,670.800000 12,234.470000 Feb-2021 11,976.580000 12,559.910000 Mar-2021 12,544.270000 13,161.530000 Apr-2021 13,275.600000 13,938.060000 May-2021 13,424.290000 14,103.920000 Jun-2021 13,609.540000 14,309.840000 Jul-2021 13,986.530000 14,711.950000 Aug-2021 14,185.140000 14,932.620000 Sep-2021 13,474.460000 14,188.980000 Oct-2021 14,206.120000 14,970.790000 Nov-2021 13,893.590000 14,648.920000 Dec-2021 14,349.300000 15,138.190000 Jan-2022 13,532.820000 14,284.400000 Feb-2022 12,628.830000 13,338.770000 Mar-2022 12,959.710000 13,696.250000 Apr-2022 12,021.420000 12,715.600000 May-2022 12,064.700000 12,767.730000 Jun-2022 11,188.800000 11,847.180000 Jul-2022 12,024.610000 12,738.090000 Aug-2022 11,554.440000 12,250.220000 Sep-2022 10,374.740000 11,008.050000 Oct-2022 11,010.710000 11,687.240000 Nov-2022 11,916.890000 12,660.790000 Dec-2022 11,495.030000 12,216.400000 Jan-2023 12,183.580000 12,960.380000 Feb-2023 11,875.340000 12,635.070000 Mar-2023 12,275.540000 13,076.030000 Apr-2023 12,675.720000 13,507.540000 May-2023 12,494.460000 13,323.840000 Jun-2023 13,295.350000 14,185.890000 Jul-2023 13,897.630000 14,832.770000 Aug-2023 13,550.190000 14,470.850000 Sep-2023 12,932.300000 13,824 Oct-2023 12,474.500000 13,341.550000 Nov-2023 13,390.130000 14,330.150000 Dec-2023 13,953.850000 14,952.080000 Jan-2024 14,171.530000 15,195.800000 Feb-2024 14,327.420000 15,369.030000 Mar-2024 14,870.430000 15,951.520000 Apr-2024 14,235.460000 15,287.940000 May-2024 14,911.640000 16,015.640000 Jun-2024 15,293.380000 16,448.070000 Jul-2024 15,795 16,990.850000 Aug-2024 16,338.350000 17,578.740000 Sep-2024 16,807.260000 18,106.100000 Oct-2024 16,451 17,737 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class C - without sales charge 31.86 % 8.96 % 5.11 % Class C - with sales charge 30.86 % 8.96 % 5.11 % S&P 500 Index 38.02 % 15.27 % 13.00 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 432,924,939 |
Holdings Count | Holding | 41 |
Advisory Fees Paid, Amount | $ 1,497,303 |
InvestmentCompanyPortfolioTurnover | 15.44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $432,924,939 Number of Portfolio Holdings 41 Portfolio Turnover Rate 15.44% Net Investment Advisory Fees (net of waivers and reimbursements) $1,497,303 |
Holdings [Text Block] | Value Value Common Stocks 96.6% Master Limited Partnerships 2.3% Short-Term Investments 1.1% Footnote Reference Value Value Short-Term Investments 1.1% Real Estate 2.6% Financials 3.1% Energy 7.3% Industrials 9.7% Consumer Staples 10.5% Consumer Discretionary 11.1% Communication Services 16.1% Health Care 17.4% Information Technology 21.1% |
Largest Holdings [Text Block] | Oracle Corp. (Software, United States) 6.7% Alphabet, Inc., Class A (Interactive Media & Services, United States) 5.8% Texas Instruments, Inc. (Semiconductors & Semiconductor Equipment, United States) 5.7% Comcast Corp., Class A (Media, United States) 5.6% UnitedHealth Group, Inc. (Health Care Providers & Services, United States) 5.2% Home Depot, Inc. (The) (Specialty Retail, United States) 5.0% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 4.7% Philip Morris International, Inc. (Tobacco, United States) 4.6% Schindler Holding AG (Machinery, Switzerland) 4.5% TE Connectivity plc (Electronic Equipment, Instruments & Components, Ireland) 4.3% Total 52.1% |
Material Fund Change [Text Block] | |
C000124490 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Rising Dividend Fund |
Class Name | Class I |
Trading Symbol | FEAIX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $76 0.65% |
Expenses Paid, Amount | $ 76 |
Expense Ratio, Percent | 0.65% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Rising Dividend Fund (Class I) | $1,824,890 S&P 500 Index | $3,395,049 Oct-2014 1,000,000 1,000,000 Nov-2014 1,033,300 1,026,894.730000 Dec-2014 1,041,153.080000 1,024,307.880000 Jan-2015 1,005,962.110000 993,558.940000 Feb-2015 1,074,065.740000 1,050,660.270000 Mar-2015 1,049,899.260000 1,034,044.630000 Apr-2015 1,060,923.200000 1,043,964.430000 May-2015 1,089,780.310000 1,057,389.040000 Jun-2015 1,058,503.620000 1,036,920.050000 Jul-2015 1,090,682.130000 1,058,644.800000 Aug-2015 1,033,312.250000 994,772.700000 Sep-2015 956,123.820000 970,158.550000 Oct-2015 1,004,981.750000 1,051,995.370000 Nov-2015 1,018,951 1,055,123.850000 Dec-2015 1,007,844.430000 1,038,482.590000 Jan-2016 921,774.520000 986,948.680000 Feb-2016 931,729.680000 985,617.100000 Mar-2016 977,011.750000 1,052,479.580000 Apr-2016 961,184.160000 1,056,559.770000 May-2016 966,566.790000 1,075,533.630000 Jun-2016 938,826.320000 1,078,320.410000 Jul-2016 988,396.350000 1,118,076.730000 Aug-2016 999,960.590000 1,119,646.560000 Sep-2016 1,003,660.440000 1,119,858.250000 Oct-2016 954,681.810000 1,099,430.710000 Nov-2016 990,959.720000 1,140,148.010000 Dec-2016 990,761.530000 1,162,684.290000 Jan-2017 1,025,240.030000 1,184,736.280000 Feb-2017 1,066,051.080000 1,233,214.160000 Mar-2017 1,096,007.120000 1,245,879.170000 Apr-2017 1,078,471 1,263,412.180000 May-2017 1,092,383.280000 1,271,297.810000 Jun-2017 1,102,651.680000 1,297,439.100000 Jul-2017 1,106,290.430000 1,301,410.840000 Aug-2017 1,169,127.730000 1,328,256.540000 Oct-2017 1,183,040.350000 1,359,251.930000 Nov-2017 1,192,149.760000 1,400,939.900000 Dec-2017 1,210,270.440000 1,416,516.470000 Jan-2018 1,248,878.060000 1,497,617.640000 Feb-2018 1,202,669.580000 1,442,419.760000 Mar-2018 1,175,368.980000 1,405,763.160000 Apr-2018 1,171,725.330000 1,411,157.170000 May-2018 1,207,697.300000 1,445,140.610000 Jun-2018 1,186,079.520000 1,454,035.350000 Jul-2018 1,192,721.560000 1,508,145.270000 Aug-2018 1,199,400.800000 1,557,288.640000 Sep-2018 1,179,130.930000 1,566,152.630000 Oct-2018 1,046,714.530000 1,459,105.840000 Nov-2018 1,052,052.770000 1,488,840.070000 Dec-2018 924,649.180000 1,354,411.440000 Jan-2019 1,042,357.020000 1,462,948.300000 Feb-2019 1,098,540.060000 1,509,920.990000 Mar-2019 1,097,661.230000 1,539,261.370000 Apr-2019 1,118,516.800000 1,601,585.520000 May-2019 1,032,391 1,499,807.690000 Jun-2019 1,121,383.110000 1,605,508.550000 Jul-2019 1,148,856.990000 1,628,583.090000 Aug-2019 1,114,850.830000 1,602,785.820000 Sep-2019 1,133,245.870000 1,632,774.640000 Oct-2019 1,129,166.180000 1,668,140.100000 Nov-2019 1,170,606.580000 1,728,691.720000 Dec-2019 1,190,389.830000 1,780,867.110000 Jan-2020 1,183,723.650000 1,780,168.870000 Feb-2020 1,133,888.880000 1,633,626.820000 Mar-2020 908,471.770000 1,431,852.910000 Apr-2020 1,003,134.530000 1,615,407.510000 May-2020 1,058,306.930000 1,692,346.240000 Jun-2020 1,078,626.420000 1,726,002.270000 Jul-2020 1,126,733.160000 1,823,323.150000 Aug-2020 1,148,366.440000 1,954,384.570000 Sep-2020 1,137,112.450000 1,880,124.470000 Oct-2020 1,116,758.130000 1,830,124.830000 Nov-2020 1,229,215.680000 2,030,457.540000 Dec-2020 1,282,686.560000 2,108,524.920000 Jan-2021 1,247,027.870000 2,087,237.700000 Feb-2021 1,280,198.820000 2,144,793.100000 Mar-2021 1,342,288.460000 2,238,725.750000 Apr-2021 1,421,617.710000 2,358,203.770000 May-2021 1,438,677.120000 2,374,674.350000 Jun-2021 1,459,681.800000 2,430,110.630000 Jul-2021 1,501,136.770000 2,487,837.680000 Aug-2021 1,524,104.160000 2,563,482.020000 Sep-2021 1,448,203.770000 2,444,255.040000 Oct-2021 1,528,434.260000 2,615,503.920000 Nov-2021 1,496,031.460000 2,597,381.210000 Dec-2021 1,546,298.110000 2,713,785.790000 Jan-2022 1,459,396.160000 2,573,355.400000 Feb-2022 1,363,221.950000 2,496,305.410000 Mar-2022 1,399,756.300000 2,588,992.060000 Apr-2022 1,300,093.650000 2,363,227.200000 May-2022 1,305,164.020000 2,367,562.820000 Jun-2022 1,211,453.240000 2,172,135.270000 Jul-2022 1,303,523.690000 2,372,415.830000 Aug-2022 1,253,338.020000 2,275,664.250000 Sep-2022 1,126,625.550000 2,066,078.690000 Oct-2022 1,196,589 2,233,351.220000 Nov-2022 1,296,264.860000 2,358,159.870000 Dec-2022 1,251,025.220000 2,222,295.700000 Jan-2023 1,327,337.750000 2,361,931.250000 Feb-2023 1,294,685.250000 2,304,302.600000 Mar-2023 1,339,999.230000 2,388,903.290000 Apr-2023 1,384,889.200000 2,426,190.370000 May-2023 1,365,916.220000 2,436,736.200000 Jun-2023 1,454,564.180000 2,597,744.210000 Jul-2023 1,521,619.590000 2,681,196.620000 Aug-2023 1,484,644.240000 2,638,507.870000 Sep-2023 1,418,577.570000 2,512,709.330000 Oct-2023 1,369,352.930000 2,459,875.750000 Nov-2023 1,471,369.720000 2,684,524.910000 Dec-2023 1,534,932.890000 2,806,484.520000 Jan-2024 1,560,412.780000 2,853,645.430000 Feb-2024 1,579,137.730000 3,006,017.560000 Mar-2024 1,638,987.050000 3,102,734.960000 Apr-2024 1,570,805.190000 2,976,005.130000 May-2024 1,646,360.920000 3,123,569.360000 Jun-2024 1,690,648.030000 3,235,649.580000 Jul-2024 1,747,622.870000 3,275,035.130000 Aug-2024 1,808,440.140000 3,354,476.670000 Sep-2024 1,862,512.500000 3,426,118.580000 Oct-2024 1,824,890 3,395,049 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class I 33.28 % 10.08 % 6.20 % S&P 500 Index 38.02 % 15.27 % 13.00 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 432,924,939 |
Holdings Count | Holding | 41 |
Advisory Fees Paid, Amount | $ 1,497,303 |
InvestmentCompanyPortfolioTurnover | 15.44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $432,924,939 Number of Portfolio Holdings 41 Portfolio Turnover Rate 15.44% Net Investment Advisory Fees (net of waivers and reimbursements) $1,497,303 |
Holdings [Text Block] | Value Value Common Stocks 96.6% Master Limited Partnerships 2.3% Short-Term Investments 1.1% Footnote Reference Value Value Short-Term Investments 1.1% Real Estate 2.6% Financials 3.1% Energy 7.3% Industrials 9.7% Consumer Staples 10.5% Consumer Discretionary 11.1% Communication Services 16.1% Health Care 17.4% Information Technology 21.1% |
Largest Holdings [Text Block] | Oracle Corp. (Software, United States) 6.7% Alphabet, Inc., Class A (Interactive Media & Services, United States) 5.8% Texas Instruments, Inc. (Semiconductors & Semiconductor Equipment, United States) 5.7% Comcast Corp., Class A (Media, United States) 5.6% UnitedHealth Group, Inc. (Health Care Providers & Services, United States) 5.2% Home Depot, Inc. (The) (Specialty Retail, United States) 5.0% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 4.7% Philip Morris International, Inc. (Tobacco, United States) 4.6% Schindler Holding AG (Machinery, Switzerland) 4.5% TE Connectivity plc (Electronic Equipment, Instruments & Components, Ireland) 4.3% Total 52.1% |
Material Fund Change [Text Block] | |
C000179782 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Rising Dividend Fund |
Class Name | Class R6 |
Trading Symbol | FEFRX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $76 0.65% |
Expenses Paid, Amount | $ 76 |
Expense Ratio, Percent | 0.65% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Rising Dividend Fund (Class R6) | $17,051 S&P 500 Index | $27,562 Mar-2017 9,952 10,011.660000 Apr-2017 10,234.640000 10,114.480000 May-2017 10,070.880000 10,256.820000 Jun-2017 10,200.800000 10,320.840000 Jul-2017 10,296.680000 10,533.070000 Aug-2017 10,327.570000 10,565.310000 Sep-2017 10,914.180000 10,783.250000 Oct-2017 11,046.240000 11,034.880000 Nov-2017 11,127.980000 11,373.320000 Dec-2017 11,297.130000 11,499.780000 Jan-2018 11,657.510000 12,158.180000 Feb-2018 11,228.510000 11,710.070000 Mar-2018 10,973.620000 11,412.480000 Apr-2018 10,939.610000 11,456.270000 May-2018 11,275.450000 11,732.160000 Jun-2018 11,073.620000 11,804.370000 Jul-2018 11,135.630000 12,243.650000 Aug-2018 11,194.650000 12,642.610000 Sep-2018 11,007.700000 12,714.580000 Oct-2018 9,771.540000 11,845.530000 Nov-2018 9,821.370000 12,086.930000 Dec-2018 8,635.930000 10,995.590000 Jan-2019 9,738.740000 11,876.730000 Feb-2019 10,259.760000 12,258.070000 Mar-2019 10,255.660000 12,496.260000 Apr-2019 10,454.620000 13,002.230000 May-2019 9,650.660000 12,175.960000 Jun-2019 10,481.580000 13,034.080000 Jul-2019 10,738.380000 13,221.410000 Aug-2019 10,420.520000 13,011.980000 Sep-2019 10,589.340000 13,255.440000 Oct-2019 10,554.390000 13,542.550000 Nov-2019 10,940.680000 14,034.130000 Dec-2019 11,120.110000 14,457.700000 Jan-2020 11,057.840000 14,452.030000 Feb-2020 10,596.730000 13,262.360000 Mar-2020 8,487.980000 11,624.280000 Apr-2020 9,375.820000 13,114.440000 May-2020 9,891.490000 13,739.060000 Jun-2020 10,077.450000 14,012.290000 Jul-2020 10,530.930000 14,802.380000 Aug-2020 10,732.080000 15,866.380000 Sep-2020 10,626.900000 15,263.510000 Oct-2020 10,433.490000 14,857.590000 Nov-2020 11,487.270000 16,483.970000 Dec-2020 11,986.970000 17,117.740000 Jan-2021 11,653.730000 16,944.930000 Feb-2021 11,963.720000 17,412.180000 Mar-2021 12,543.960000 18,174.760000 Apr-2021 13,285.310000 19,144.720000 May-2021 13,440.750000 19,278.440000 Jun-2021 13,642.360000 19,728.490000 Jul-2021 14,029.800000 20,197.140000 Aug-2021 14,244.460000 20,811.250000 Sep-2021 13,535.080000 19,843.320000 Oct-2021 14,284.930000 21,233.580000 Nov-2021 13,982.090000 21,086.450000 Dec-2021 14,451.890000 22,031.460000 Jan-2022 13,639.690000 20,891.400000 Feb-2022 12,740.830000 20,265.880000 Mar-2022 13,082.290000 21,018.340000 Apr-2022 12,145.600000 19,185.510000 May-2022 12,197.820000 19,220.700000 Jun-2022 11,322.020000 17,634.160000 Jul-2022 12,182.490000 19,260.100000 Aug-2022 11,713.470000 18,474.640000 Sep-2022 10,529.240000 16,773.150000 Oct-2022 11,177.840000 18,131.130000 Nov-2022 12,114.540000 19,144.370000 Dec-2022 11,691.740000 18,041.380000 Jan-2023 12,404.940000 19,174.990000 Feb-2023 12,099.780000 18,707.140000 Mar-2023 12,523.270000 19,393.950000 Apr-2023 12,942.800000 19,696.660000 May-2023 12,765.480000 19,782.280000 Jun-2023 13,593.960000 21,089.400000 Jul-2023 14,220.640000 21,766.890000 Aug-2023 13,875.080000 21,420.330000 Sep-2023 13,257.640000 20,399.050000 Oct-2023 12,797.600000 19,970.130000 Nov-2023 13,751.020000 21,793.910000 Dec-2023 14,346.440000 22,784.020000 Jan-2024 14,584.590000 23,166.890000 Feb-2024 14,753.770000 24,403.900000 Mar-2024 15,320.320000 25,189.090000 Apr-2024 14,682.990000 24,160.250000 May-2024 15,383.370000 25,358.230000 Jun-2024 15,803.340000 26,268.140000 Jul-2024 16,331.170000 26,587.880000 Aug-2024 16,899.490000 27,232.820000 Sep-2024 17,409.860000 27,814.430000 Oct-2024 17,051 27,562 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years Since Inception (3/1/17) Class R6 33.24 % 10.07 % 7.21 % S&P 500 Index 38.02 % 15.27 % 13.88 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 432,924,939 |
Holdings Count | Holding | 41 |
Advisory Fees Paid, Amount | $ 1,497,303 |
InvestmentCompanyPortfolioTurnover | 15.44% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $432,924,939 Number of Portfolio Holdings 41 Portfolio Turnover Rate 15.44% Net Investment Advisory Fees (net of waivers and reimbursements) $1,497,303 |
Holdings [Text Block] | Value Value Common Stocks 96.6% Master Limited Partnerships 2.3% Short-Term Investments 1.1% Footnote Reference Value Value Short-Term Investments 1.1% Real Estate 2.6% Financials 3.1% Energy 7.3% Industrials 9.7% Consumer Staples 10.5% Consumer Discretionary 11.1% Communication Services 16.1% Health Care 17.4% Information Technology 21.1% |
Largest Holdings [Text Block] | Oracle Corp. (Software, United States) 6.7% Alphabet, Inc., Class A (Interactive Media & Services, United States) 5.8% Texas Instruments, Inc. (Semiconductors & Semiconductor Equipment, United States) 5.7% Comcast Corp., Class A (Media, United States) 5.6% UnitedHealth Group, Inc. (Health Care Providers & Services, United States) 5.2% Home Depot, Inc. (The) (Specialty Retail, United States) 5.0% Meta Platforms, Inc., Class A (Interactive Media & Services, United States) 4.7% Philip Morris International, Inc. (Tobacco, United States) 4.6% Schindler Holding AG (Machinery, Switzerland) 4.5% TE Connectivity plc (Electronic Equipment, Instruments & Components, Ireland) 4.3% Total 52.1% |
Material Fund Change [Text Block] | |
C000228686 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Small Cap Opportunity Fund |
Class Name | Class A |
Trading Symbol | FESAX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $142 1.25% |
Expenses Paid, Amount | $ 142 |
Expense Ratio, Percent | 1.25% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Small Cap Opportunity Fund (Class A) | $9,740 S&P 500 Index | $13,971 Russell 2000 ® Russell 2000 ® Jul-2021 9,209.300000 10,237.550000 9,642.060000 9,638.910000 Aug-2021 9,180.750000 10,548.830000 9,900.230000 9,854.520000 Sep-2021 8,898.900000 10,058.200000 9,701.890000 9,563.960000 Oct-2021 9,161.420000 10,762.900000 10,071.810000 9,970.810000 Nov-2021 8,880.160000 10,688.320000 9,727.780000 9,555.320000 Dec-2021 9,284.210000 11,167.330000 10,124.490000 9,768.770000 Jan-2022 8,786.580000 10,589.460000 9,534.180000 8,828.300000 Feb-2022 9,133.650000 10,272.390000 9,691.950000 8,922.540000 Mar-2022 9,208.540000 10,653.800000 9,881.590000 9,033.590000 Apr-2022 8,438.710000 9,724.770000 9,114.720000 8,138.280000 May-2022 8,579.640000 9,742.610000 9,289.650000 8,150.580000 Jun-2022 7,538.070000 8,938.420000 8,371.950000 7,480.250000 Jul-2022 8,401.930000 9,762.580000 9,182.500000 8,261.210000 Aug-2022 8,101.140000 9,364.450000 8,892.130000 8,092.160000 Sep-2022 7,115.230000 8,501.990000 7,986 7,316.640000 Oct-2022 7,950.560000 9,190.330000 8,991.370000 8,122.130000 Nov-2022 8,344.910000 9,703.920000 9,266.080000 8,311.840000 Dec-2022 7,960.210000 9,144.830000 8,658.120000 7,772.380000 Jan-2023 8,955.230000 9,719.440000 9,484.340000 8,529.930000 Feb-2023 8,880.010000 9,482.300000 9,265.680000 8,385.850000 Mar-2023 8,457.320000 9,830.430000 8,601.250000 7,985.170000 Apr-2023 8,212.910000 9,983.870000 8,386.760000 7,841.610000 May-2023 8,043.720000 10,027.260000 8,221.790000 7,769.180000 Jun-2023 9,010.580000 10,689.820000 8,874.900000 8,400.830000 Jul-2023 9,386.320000 11,033.230000 9,544.620000 8,914.570000 Aug-2023 8,879.460000 10,857.560000 9,085.490000 8,468.590000 Sep-2023 8,297.850000 10,339.900000 8,612.290000 7,970.020000 Oct-2023 7,687.960000 10,122.480000 8,098.560000 7,426.470000 Nov-2023 8,354.500000 11,046.920000 8,827.550000 8,098.640000 Dec-2023 9,277.680000 11,548.790000 9,926.240000 9,088.160000 Jan-2024 8,976.150000 11,742.860000 9,475.340000 8,734.690000 Feb-2024 9,249.930000 12,369.880000 9,785.320000 9,228.570000 Mar-2024 9,749.420000 12,767.880000 10,214.180000 9,558.940000 Apr-2024 9,145.930000 12,246.380000 9,563.350000 8,886.160000 May-2024 9,683.710000 12,853.610000 10,010.600000 9,331.950000 Jun-2024 9,522.960000 13,314.820000 9,841.890000 9,245.630000 Jul-2024 10,305.750000 13,476.900000 11,041.340000 10,184.970000 Aug-2024 10,041.920000 13,803.800000 10,834.090000 10,032.830000 Sep-2024 10,022.840000 14,098.610000 10,841.010000 10,102.950000 Oct-2024 9,740 13,971 10,671 9,957 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (7/1/21) Class A - without sales charge 26.69 % 0.75 % Class A - with sales charge 20.37 % - % S&P 500 Index 38.02 % 10.34 % Russell 2000 ® 31.77 % 1.70 % Russell 2000 ® 34.07 % - % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,868,520,245 |
Holdings Count | Holding | 245 |
Advisory Fees Paid, Amount | $ 14,244,221 |
InvestmentCompanyPortfolioTurnover | 45.67% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,868,520,245 Number of Portfolio Holdings 245 Portfolio Turnover Rate 45.67% Net Investment Advisory Fees (net of waivers and reimbursements) $14,244,221 |
Holdings [Text Block] | Value Value Common Stocks 93.3% Exchange Traded Funds 0.0% Footnote Reference Rights 0.0% Footnote Reference Short-Term Investments 6.7% Footnote Reference Value Value Short-Term Investments 6.7% Others Footnote Reference 1.4% Utilities 1.6% Real Estate 3.4% Consumer Staples 3.4% Energy 6.6% Health Care 8.0% Consumer Discretionary 10.3% Materials 11.4% Information Technology 12.7% Financials 14.1% Industrials 20.4% |
Largest Holdings [Text Block] | TTM Technologies, Inc. (Electronic Equipment, Instruments & Components, United States) 0.9% Black Hills Corp. (Multi-Utilities, United States) 0.9% Lincoln National Corp. (Insurance, United States) 0.9% Ameris Bancorp (Banks, United States) 0.9% MGIC Investment Corp. (Financial Services, United States) 0.9% Seacoast Banking Corp. of Florida (Banks, United States) 0.8% GXO Logistics, Inc. (Air Freight & Logistics, United States) 0.8% Kemper Corp. (Insurance, United States) 0.8% Beazer Homes USA, Inc. (Household Durables, United States) 0.8% Evercore, Inc., Class A (Capital Markets, United States) 0.8% Total 8.5% |
Material Fund Change [Text Block] | |
C000228687 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Small Cap Opportunity Fund |
Class Name | Class I |
Trading Symbol | FESCX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $114 1.00% |
Expenses Paid, Amount | $ 114 |
Expense Ratio, Percent | 1% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Small Cap Opportunity Fund (Class I) | $1,065,272 S&P 500 Index | $1,437,948 Russell 2000 ® Russell 2000 ® Apr-2021 984,000 998,800 990,000 984,900 May-2021 1,020,998.400000 1,005,775.990000 1,020,807.380000 986,930.520000 Jun-2021 1,020,794.200000 1,029,255.630000 1,014,622.050000 1,006,051.800000 Jul-2021 999,357.520000 1,053,705.500000 978,304.150000 969,724.550000 Aug-2021 996,259.510000 1,085,744.100000 1,004,499.210000 991,415.670000 Sep-2021 966,718.080000 1,035,246.390000 984,375.490000 962,183.930000 Oct-2021 995,236.260000 1,107,777.600000 1,021,908.490000 1,003,114.640000 Nov-2021 964,682.510000 1,100,101.860000 987,002.180000 961,315.090000 Dec-2021 1,008,479.090000 1,149,404.170000 1,027,252.740000 982,789.310000 Jan-2022 954,525.460000 1,089,925.900000 967,359.380000 888,172.560000 Feb-2022 992,229.220000 1,057,291.940000 983,366.060000 897,653.800000 Mar-2022 1,001,357.720000 1,096,548.690000 1,002,607.820000 908,826.070000 Apr-2022 917,844.490000 1,000,927.640000 924,799.720000 818,752.960000 May-2022 932,071.080000 1,002,763.960000 942,548.440000 819,990.270000 Jun-2022 819,010.860000 919,992.050000 849,436.480000 752,551.730000 Jul-2022 913,770.410000 1,004,819.410000 931,676.450000 831,120.260000 Aug-2022 881,148.810000 963,840.990000 902,214.940000 814,113.230000 Sep-2022 774,177.350000 875,072.550000 810,276.820000 736,092.290000 Oct-2022 865,839.940000 945,919.610000 912,284.300000 817,127.960000 Nov-2022 907,573.430000 998,781.410000 940,156.930000 836,214.240000 Dec-2022 866,641.870000 941,237.130000 878,472.250000 781,941.950000 Jan-2023 974,712.110000 1,000,378.750000 962,302.320000 858,154.760000 Feb-2023 967,596.710000 975,970.550000 940,116.160000 843,659.770000 Mar-2023 920,668.270000 1,011,802.560000 872,701.480000 803,349.910000 Apr-2023 895,165.760000 1,027,595.230000 850,939.130000 788,906.960000 May-2023 876,814.860000 1,032,061.840000 834,200.910000 781,619.490000 Jun-2023 982,821.780000 1,100,255.600000 900,467.160000 845,166.480000 Jul-2023 1,023,608.880000 1,135,601.270000 968,417.940000 896,851.400000 Aug-2023 968,538.720000 1,117,520.760000 921,833.570000 851,983.530000 Sep-2023 905,293.140000 1,064,239.700000 873,821.500000 801,825.400000 Oct-2023 839,025.690000 1,041,862.420000 821,697.340000 747,141.790000 Nov-2023 911,433.600000 1,137,010.930000 895,662.220000 814,765.250000 Dec-2023 1,011,782.440000 1,188,666.040000 1,007,137.820000 914,316.210000 Jan-2024 980,012.470000 1,208,640.700000 961,388.970000 878,755.210000 Feb-2024 1,009,804.850000 1,273,176.800000 992,840.470000 928,441.530000 Mar-2024 1,064,233.330000 1,314,140.750000 1,036,352.900000 961,678.740000 Apr-2024 998,570.140000 1,260,465.260000 970,318.590000 893,993.300000 May-2024 1,058,084.920000 1,322,965.010000 1,015,697.510000 938,842.460000 Jun-2024 1,040,626.520000 1,370,435.770000 998,579.730000 930,157.880000 Jul-2024 1,125,853.830000 1,387,117.230000 1,120,278.360000 1,024,661.130000 Aug-2024 1,098,157.820000 1,420,764.120000 1,099,250.870000 1,009,354.900000 Sep-2024 1,096,071.320000 1,451,107.520000 1,099,952.350000 1,016,409.280000 Oct-2024 1,065,272 1,437,948 1,082,746 1,001,729 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (4/27/21) Class I 26.95 % 1.82 % S&P 500 Index 38.02 % 10.85 % Russell 2000 ® 31.77 % 2.38 % Russell 2000 ® 34.07 % 0.09 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,868,520,245 |
Holdings Count | Holding | 245 |
Advisory Fees Paid, Amount | $ 14,244,221 |
InvestmentCompanyPortfolioTurnover | 45.67% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,868,520,245 Number of Portfolio Holdings 245 Portfolio Turnover Rate 45.67% Net Investment Advisory Fees (net of waivers and reimbursements) $14,244,221 |
Holdings [Text Block] | Value Value Common Stocks 93.3% Exchange Traded Funds 0.0% Footnote Reference Rights 0.0% Footnote Reference Short-Term Investments 6.7% Footnote Reference Value Value Short-Term Investments 6.7% Others Footnote Reference 1.4% Utilities 1.6% Real Estate 3.4% Consumer Staples 3.4% Energy 6.6% Health Care 8.0% Consumer Discretionary 10.3% Materials 11.4% Information Technology 12.7% Financials 14.1% Industrials 20.4% |
Largest Holdings [Text Block] | TTM Technologies, Inc. (Electronic Equipment, Instruments & Components, United States) 0.9% Black Hills Corp. (Multi-Utilities, United States) 0.9% Lincoln National Corp. (Insurance, United States) 0.9% Ameris Bancorp (Banks, United States) 0.9% MGIC Investment Corp. (Financial Services, United States) 0.9% Seacoast Banking Corp. of Florida (Banks, United States) 0.8% GXO Logistics, Inc. (Air Freight & Logistics, United States) 0.8% Kemper Corp. (Insurance, United States) 0.8% Beazer Homes USA, Inc. (Household Durables, United States) 0.8% Evercore, Inc., Class A (Capital Markets, United States) 0.8% Total 8.5% |
Material Fund Change [Text Block] | |
C000228685 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Small Cap Opportunity Fund |
Class Name | Class R6 |
Trading Symbol | FESRX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $113 1.00% |
Expenses Paid, Amount | $ 113 |
Expense Ratio, Percent | 1% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Small Cap Opportunity Fund (Class R6) | $10,344 S&P 500 Index | $13,971 Russell 2000 ® Russell 2000 ® Jul-2021 9,694 10,237.550000 9,642.060000 9,638.910000 Aug-2021 9,674.610000 10,548.830000 9,900.230000 9,854.520000 Sep-2021 9,378.570000 10,058.200000 9,701.890000 9,563.960000 Oct-2021 9,655.240000 10,762.900000 10,071.810000 9,970.810000 Nov-2021 9,358.820000 10,688.320000 9,727.780000 9,555.320000 Dec-2021 9,794.010000 11,167.330000 10,124.490000 9,768.770000 Jan-2022 9,260.230000 10,589.460000 9,534.180000 8,828.300000 Feb-2022 9,636.200000 10,272.390000 9,691.950000 8,922.540000 Mar-2022 9,715.220000 10,653.800000 9,881.590000 9,033.590000 Apr-2022 8,904.970000 9,724.770000 9,114.720000 8,138.280000 May-2022 9,052.790000 9,742.610000 9,289.650000 8,150.580000 Jun-2022 7,955.590000 8,938.420000 8,371.950000 7,480.250000 Jul-2022 8,874.460000 9,762.580000 9,182.500000 8,261.210000 Aug-2022 8,548.770000 9,364.450000 8,892.130000 8,092.160000 Sep-2022 7,510.950000 8,501.990000 7,986 7,316.640000 Oct-2022 8,400.240000 9,190.330000 8,991.370000 8,122.130000 Nov-2022 8,815.220000 9,703.920000 9,266.080000 8,311.840000 Dec-2022 8,408.840000 9,144.830000 8,658.120000 7,772.380000 Jan-2023 9,467.510000 9,719.440000 9,484.340000 8,529.930000 Feb-2023 9,387.980000 9,482.300000 9,265.680000 8,385.850000 Mar-2023 8,942.990000 9,830.430000 8,601.250000 7,985.170000 Apr-2023 8,685.430000 9,983.870000 8,386.760000 7,841.610000 May-2023 8,507.380000 10,027.260000 8,221.790000 7,769.180000 Jun-2023 9,535.920000 10,689.820000 8,874.900000 8,400.830000 Jul-2023 9,941.200000 11,033.230000 9,544.620000 8,914.570000 Aug-2023 9,407.360000 10,857.560000 9,085.490000 8,468.590000 Sep-2023 8,784.590000 10,339.900000 8,612.290000 7,970.020000 Oct-2023 8,141.560000 10,122.480000 8,098.560000 7,426.470000 Nov-2023 8,844.170000 11,046.920000 8,827.550000 8,098.640000 Dec-2023 9,827.650000 11,548.790000 9,926.240000 9,088.160000 Jan-2024 9,519.060000 11,742.860000 9,475.340000 8,734.690000 Feb-2024 9,807.490000 12,369.880000 9,785.320000 9,228.570000 Mar-2024 10,335.130000 12,767.880000 10,214.180000 9,558.940000 Apr-2024 9,697.450000 12,246.380000 9,563.350000 8,886.160000 May-2024 10,274.450000 12,853.610000 10,010.600000 9,331.950000 Jun-2024 10,104.920000 13,314.820000 9,841.890000 9,245.630000 Jul-2024 10,931.500000 13,476.900000 11,041.340000 10,184.970000 Aug-2024 10,662.590000 13,803.800000 10,834.090000 10,032.830000 Sep-2024 10,632.730000 14,098.610000 10,841.010000 10,102.950000 Oct-2024 10,344 13,971 10,671 9,957 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (7/1/21) Class R6 27.07 % 1.02 % S&P 500 Index 38.02 % 10.34 % Russell 2000 ® 31.77 % 1.70 % Russell 2000 ® 34.07 % - % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 1,868,520,245 |
Holdings Count | Holding | 245 |
Advisory Fees Paid, Amount | $ 14,244,221 |
InvestmentCompanyPortfolioTurnover | 45.67% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $1,868,520,245 Number of Portfolio Holdings 245 Portfolio Turnover Rate 45.67% Net Investment Advisory Fees (net of waivers and reimbursements) $14,244,221 |
Holdings [Text Block] | Value Value Common Stocks 93.3% Exchange Traded Funds 0.0% Footnote Reference Rights 0.0% Footnote Reference Short-Term Investments 6.7% Footnote Reference Value Value Short-Term Investments 6.7% Others Footnote Reference 1.4% Utilities 1.6% Real Estate 3.4% Consumer Staples 3.4% Energy 6.6% Health Care 8.0% Consumer Discretionary 10.3% Materials 11.4% Information Technology 12.7% Financials 14.1% Industrials 20.4% |
Largest Holdings [Text Block] | TTM Technologies, Inc. (Electronic Equipment, Instruments & Components, United States) 0.9% Black Hills Corp. (Multi-Utilities, United States) 0.9% Lincoln National Corp. (Insurance, United States) 0.9% Ameris Bancorp (Banks, United States) 0.9% MGIC Investment Corp. (Financial Services, United States) 0.9% Seacoast Banking Corp. of Florida (Banks, United States) 0.8% GXO Logistics, Inc. (Air Freight & Logistics, United States) 0.8% Kemper Corp. (Insurance, United States) 0.8% Beazer Homes USA, Inc. (Household Durables, United States) 0.8% Evercore, Inc., Class A (Capital Markets, United States) 0.8% Total 8.5% |
Material Fund Change [Text Block] | |
C000237506 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle U.S. Smid Cap Opportunity Fund |
Class Name | Class A |
Trading Symbol | FEMAX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $141 1.20% |
Expenses Paid, Amount | $ 141 |
Expense Ratio, Percent | 1.20% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle U.S. Smid Cap Opportunity Fund (Class A) | $11,113 S&P 500 Index | $13,743 Russell 2500™ Value Index | $11,519 Russell 2500™ Index | $11,566 Aug-2022 8,759 9,212 9,208 9,190 Sep-2022 7,770.990000 8,363.590000 8,276.830000 8,314.640000 Oct-2022 8,521.660000 9,040.720000 9,150.710000 9,112.370000 Nov-2022 9,006.540000 9,545.950000 9,610.380000 9,497.060000 Dec-2022 8,408.510000 8,995.960000 9,039.160000 8,932.230000 Jan-2023 9,416.690000 9,561.210000 9,942.330000 9,825.320000 Feb-2023 9,083.340000 9,327.930000 9,660.850000 9,594.720000 Mar-2023 8,664.600000 9,670.400000 9,165.260000 9,235.060000 Apr-2023 8,664.600000 9,821.340000 9,043.130000 9,114.580000 May-2023 8,464.450000 9,864.030000 8,785.050000 8,954.760000 Jun-2023 9,501.340000 10,515.800000 9,565.980000 9,717.580000 Jul-2023 9,805.380000 10,853.610000 10,126.730000 10,200.710000 Aug-2023 9,453.370000 10,680.810000 9,736.870000 9,800.210000 Sep-2023 8,854.030000 10,171.570000 9,215.760000 9,252.880000 Oct-2023 8,274.090000 9,957.700000 8,698.670000 8,690.890000 Nov-2023 9,054.330000 10,867.090000 9,488.090000 9,473.230000 Dec-2023 9,852.930000 11,360.790000 10,483.720000 10,488.510000 Jan-2024 9,630.250000 11,551.700000 10,189.570000 10,214.180000 Feb-2024 10,173.400000 12,168.510000 10,598.010000 10,769.780000 Mar-2024 10,687.150000 12,560.020000 11,120.120000 11,214.260000 Apr-2024 10,037.370000 12,047.010000 10,420.950000 10,462.990000 May-2024 10,570.360000 12,644.360000 10,860.150000 10,898.210000 Jun-2024 10,395.950000 13,098.070000 10,641.370000 10,734.900000 Jul-2024 10,929.260000 13,257.500000 11,503.130000 11,532.450000 Aug-2024 11,122.710000 13,579.090000 11,502.680000 11,502.800000 Sep-2024 11,258.400000 13,869.100000 11,665.840000 11,674.060000 Oct-2024 11,113 13,743 11,519 11,566 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (8/15/22) Class A - without sales charge 34.32 % 7.36 % Class A - with sales charge 27.57 % 4.88 % S&P 500 Index 38.02 % 15.38 % Russell 2500™ Value Index 32.42 % 6.59 % Russell 2500™ Index 33.08 % 6.82 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 49,943,437 |
Holdings Count | Holding | 76 |
Advisory Fees Paid, Amount | $ 5,249 |
InvestmentCompanyPortfolioTurnover | 26.23% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $49,943,437 Number of Portfolio Holdings 76 Portfolio Turnover Rate 26.23% Net Investment Advisory Fees (net of waivers and reimbursements) $5,249 |
Holdings [Text Block] | Value Value Common Stocks 95.0% Short-Term Investments 5.0% Footnote Reference Value Value Short-Term Investments 5.0% Utilities 1.0% Materials 4.3% Energy 5.4% Consumer Staples 6.0% Information Technology 11.2% Consumer Discretionary 13.6% Financials 15.4% Health Care 16.2% Industrials 21.9% |
Largest Holdings [Text Block] | Curtiss-Wright Corp. (Aerospace & Defense, United States) 3.3% Tenet Healthcare Corp. (Health Care Providers & Services, United States) 3.1% Evercore, Inc., Class A (Capital Markets, United States) 2.6% Bio-Rad Laboratories, Inc., Class A (Life Sciences Tools & Services, United States) 2.3% Quanta Services, Inc. (Construction & Engineering, United States) 2.3% Cardinal Health, Inc. (Health Care Providers & Services, United States) 2.2% Lennox International, Inc. (Building Products, United States) 2.1% XPO, Inc. (Ground Transportation, United States) 2.0% Onto Innovation, Inc. (Semiconductors & Semiconductor Equipment, United States) 1.9% Radian Group, Inc. (Financial Services, United States) 1.8% Total 23.6% |
Material Fund Change [Text Block] | |
C000237507 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle U.S. Smid Cap Opportunity Fund |
Class Name | Class I |
Trading Symbol | FESMX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $111 0.95% |
Expenses Paid, Amount | $ 111 |
Expense Ratio, Percent | 0.95% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle U.S. Smid Cap Opportunity Fund (Class I) | $1,176,948 S&P 500 Index | $1,374,332 Russell 2500™ Value Index | $1,151,881 Russell 2500™ Index | $1,156,574 Aug-2022 922,000 921,200 920,800 919,000 Sep-2022 819,012.600000 836,358.740000 827,682.590000 831,464.040000 Oct-2022 898,047.320000 904,071.480000 915,071.350000 911,236.980000 Nov-2022 949,056.400000 954,594.630000 961,037.520000 949,706.370000 Dec-2022 886,798.300000 899,596.150000 903,915.780000 893,222.560000 Jan-2023 993,125.420000 956,121.300000 994,232.700000 982,531.600000 Feb-2023 957,968.780000 932,792.940000 966,084.640000 959,471.950000 Mar-2023 913,806.420000 967,039.720000 916,525.620000 923,505.660000 Apr-2023 913,806.420000 982,133.710000 904,312.870000 911,457.520000 May-2023 893,702.680000 986,402.710000 878,505.360000 895,475.890000 Jun-2023 1,003,002.520000 1,051,579.540000 956,598.390000 971,758.300000 Jul-2023 1,035,098.600000 1,085,361.490000 1,012,673.230000 1,020,070.650000 Aug-2023 997,938.560000 1,068,080.870000 973,686.640000 980,020.570000 Sep-2023 934,769.050000 1,017,157.010000 921,575.890000 925,288.120000 Oct-2023 874,569.920000 995,769.720000 869,866.840000 869,088.490000 Nov-2023 955,817.460000 1,086,708.790000 948,809.070000 947,323.150000 Dec-2023 1,042,032.200000 1,136,078.640000 1,048,372.220000 1,048,851.190000 Jan-2024 1,017,857.050000 1,155,169.600000 1,018,956.840000 1,021,417.720000 Feb-2024 1,075,264.190000 1,216,850.590000 1,059,801.380000 1,076,978.400000 Mar-2024 1,129,672.560000 1,256,002.260000 1,112,012.450000 1,121,426.200000 Apr-2024 1,062,231.110000 1,204,701.410000 1,042,095.040000 1,046,299.030000 May-2024 1,118,635.580000 1,264,436.130000 1,086,015.460000 1,089,821.160000 Jun-2024 1,100,513.680000 1,309,806.750000 1,064,136.530000 1,073,489.780000 Jul-2024 1,155,869.520000 1,325,750.210000 1,150,312.560000 1,153,245.110000 Aug-2024 1,177,021.930000 1,357,908.540000 1,150,268.050000 1,150,280.420000 Sep-2024 1,192,087.810000 1,386,909.530000 1,166,583.820000 1,167,405.750000 Oct-2024 1,176,948 1,374,332 1,151,881 1,156,574 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (8/15/22) Class I 34.58 % 7.65 % S&P 500 Index 38.02 % 15.38 % Russell 2500™ Value Index 32.42 % 6.59 % Russell 2500™ Index 33.08 % 6.82 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 49,943,437 |
Holdings Count | Holding | 76 |
Advisory Fees Paid, Amount | $ 5,249 |
InvestmentCompanyPortfolioTurnover | 26.23% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $49,943,437 Number of Portfolio Holdings 76 Portfolio Turnover Rate 26.23% Net Investment Advisory Fees (net of waivers and reimbursements) $5,249 |
Holdings [Text Block] | Value Value Common Stocks 95.0% Short-Term Investments 5.0% Footnote Reference Value Value Short-Term Investments 5.0% Utilities 1.0% Materials 4.3% Energy 5.4% Consumer Staples 6.0% Information Technology 11.2% Consumer Discretionary 13.6% Financials 15.4% Health Care 16.2% Industrials 21.9% |
Largest Holdings [Text Block] | Curtiss-Wright Corp. (Aerospace & Defense, United States) 3.3% Tenet Healthcare Corp. (Health Care Providers & Services, United States) 3.1% Evercore, Inc., Class A (Capital Markets, United States) 2.6% Bio-Rad Laboratories, Inc., Class A (Life Sciences Tools & Services, United States) 2.3% Quanta Services, Inc. (Construction & Engineering, United States) 2.3% Cardinal Health, Inc. (Health Care Providers & Services, United States) 2.2% Lennox International, Inc. (Building Products, United States) 2.1% XPO, Inc. (Ground Transportation, United States) 2.0% Onto Innovation, Inc. (Semiconductors & Semiconductor Equipment, United States) 1.9% Radian Group, Inc. (Financial Services, United States) 1.8% Total 23.6% |
Material Fund Change [Text Block] | |
C000237508 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle U.S. Smid Cap Opportunity Fund |
Class Name | Class R6 |
Trading Symbol | FEXRX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $111 0.95% |
Expenses Paid, Amount | $ 111 |
Expense Ratio, Percent | 0.95% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle U.S. Smid Cap Opportunity Fund (Class R6) | $11,774 S&P 500 Index | $13,743 Russell 2500™ Value Index | $11,519 Russell 2500™ Index | $11,566 Aug-2022 9,220 9,212 9,208 9,190 Sep-2022 8,190.130000 8,363.590000 8,276.830000 8,314.640000 Oct-2022 8,980.470000 9,040.720000 9,150.710000 9,112.370000 Nov-2022 9,490.560000 9,545.950000 9,610.380000 9,497.060000 Dec-2022 8,864.190000 8,995.960000 9,039.160000 8,932.230000 Jan-2023 9,927.890000 9,561.210000 9,942.330000 9,825.320000 Feb-2023 9,576.440000 9,327.930000 9,660.850000 9,594.720000 Mar-2023 9,134.970000 9,670.400000 9,165.260000 9,235.060000 Apr-2023 9,134.970000 9,821.340000 9,043.130000 9,114.580000 May-2023 8,934 9,864.030000 8,785.050000 8,954.760000 Jun-2023 10,028.410000 10,515.800000 9,565.980000 9,717.580000 Jul-2023 10,349.320000 10,853.610000 10,126.730000 10,200.710000 Aug-2023 9,977.780000 10,680.810000 9,736.870000 9,800.210000 Sep-2023 9,345.190000 10,171.570000 9,215.760000 9,252.880000 Oct-2023 8,743.360000 9,957.700000 8,698.670000 8,690.890000 Nov-2023 9,556.490000 10,867.090000 9,488.090000 9,473.230000 Dec-2023 10,410.840000 11,360.790000 10,483.720000 10,488.510000 Jan-2024 10,171.390000 11,551.700000 10,189.570000 10,214.180000 Feb-2024 10,754.210000 12,168.510000 10,598.010000 10,769.780000 Mar-2024 11,295.150000 12,560.020000 11,120.120000 11,214.260000 Apr-2024 10,618.570000 12,047.010000 10,420.950000 10,462.990000 May-2024 11,180.290000 12,644.360000 10,860.150000 10,898.210000 Jun-2024 11,003.650000 13,098.070000 10,641.370000 10,734.900000 Jul-2024 11,554.930000 13,257.500000 11,503.130000 11,532.450000 Aug-2024 11,762.920000 13,579.090000 11,502.680000 11,502.800000 Sep-2024 11,919.360000 13,869.100000 11,665.840000 11,674.060000 Oct-2024 11,774 13,743 11,519 11,566 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (8/15/22) Class R6 34.65 % 7.66 % S&P 500 Index 38.02 % 15.38 % Russell 2500™ Value Index 32.42 % 6.59 % Russell 2500™ Index 33.08 % 6.82 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 49,943,437 |
Holdings Count | Holding | 76 |
Advisory Fees Paid, Amount | $ 5,249 |
InvestmentCompanyPortfolioTurnover | 26.23% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $49,943,437 Number of Portfolio Holdings 76 Portfolio Turnover Rate 26.23% Net Investment Advisory Fees (net of waivers and reimbursements) $5,249 |
Holdings [Text Block] | Value Value Common Stocks 95.0% Short-Term Investments 5.0% Footnote Reference Value Value Short-Term Investments 5.0% Utilities 1.0% Materials 4.3% Energy 5.4% Consumer Staples 6.0% Information Technology 11.2% Consumer Discretionary 13.6% Financials 15.4% Health Care 16.2% Industrials 21.9% |
Largest Holdings [Text Block] | Curtiss-Wright Corp. (Aerospace & Defense, United States) 3.3% Tenet Healthcare Corp. (Health Care Providers & Services, United States) 3.1% Evercore, Inc., Class A (Capital Markets, United States) 2.6% Bio-Rad Laboratories, Inc., Class A (Life Sciences Tools & Services, United States) 2.3% Quanta Services, Inc. (Construction & Engineering, United States) 2.3% Cardinal Health, Inc. (Health Care Providers & Services, United States) 2.2% Lennox International, Inc. (Building Products, United States) 2.1% XPO, Inc. (Ground Transportation, United States) 2.0% Onto Innovation, Inc. (Semiconductors & Semiconductor Equipment, United States) 1.9% Radian Group, Inc. (Financial Services, United States) 1.8% Total 23.6% |
Material Fund Change [Text Block] | |
C000232393 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Real Assets Fund |
Class Name | Class A |
Trading Symbol | FERAX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $120 1.10% |
Expenses Paid, Amount | $ 120 |
Expense Ratio, Percent | 1.10% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Real Assets Fund (Class A) | $11,129 MSCI World Index | $12,310 Consumer Price Index for Urban Consumers (CPI-U) | $11,315 Nov-2021 9,500 10,000 10,000 Dec-2021 9,908.500000 10,427.400000 10,072.060000 Jan-2022 9,879.770000 9,875.680000 10,128.800000 Feb-2022 9,955.840000 9,625.910000 10,205.740000 Mar-2022 10,401.860000 9,890.080000 10,313.990000 Apr-2022 9,859.920000 9,068.480000 10,357.430000 May-2022 10,059.090000 9,075.340000 10,450.500000 Jun-2022 9,099.460000 8,289.220000 10,580.960000 Jul-2022 9,564.440000 8,947.350000 10,580.270000 Aug-2022 9,146.470000 8,573.280000 10,588.600000 Sep-2022 8,320.550000 7,776.310000 10,629.200000 Oct-2022 9,090.200000 8,334.750000 10,683.790000 Nov-2022 9,773.780000 8,914.270000 10,711.950000 Dec-2022 9,512.820000 8,535.710000 10,717.830000 Jan-2023 10,212.960000 9,139.660000 10,773.210000 Feb-2023 9,714.570000 8,919.960000 10,814.570000 Mar-2023 9,829.200000 9,195.580000 10,822.990000 Apr-2023 9,963.860000 9,356.770000 10,869.190000 May-2023 9,312.230000 9,263.360000 10,881.140000 Jun-2023 9,743.380000 9,823.590000 10,904.020000 Jul-2023 10,203.270000 10,153.590000 10,926.440000 Aug-2023 9,982.880000 9,911.060000 10,982.360000 Sep-2023 9,656.440000 9,483.520000 11,021.850000 Oct-2023 9,378.330000 9,208.350000 11,030.560000 Nov-2023 9,896.020000 10,071.650000 11,048.250000 Dec-2023 10,425.460000 10,566.110000 11,074 Jan-2024 10,113.730000 10,692.900000 11,107.820000 Feb-2024 10,153.180000 11,146.260000 11,156.930000 Mar-2024 10,777.600000 11,504.440000 11,199.110000 Apr-2024 10,387.450000 11,077.110000 11,234.150000 May-2024 10,747.890000 11,571.730000 11,234.800000 Jun-2024 10,465.220000 11,807.190000 11,228.480000 Jul-2024 10,972.790000 12,015.260000 11,245.880000 Aug-2024 11,158.230000 12,332.830000 11,266.930000 Sep-2024 11,402.590000 12,558.690000 11,287.200000 Oct-2024 11,129 12,310 11,315 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (11/30/21) Class A - without sales charge 18.66 % 5.58 % Class A - with sales charge 12.78 % 3.73 % MSCI World Index 33.68 % 7.38 % Consumer Price Index for Urban Consumers (CPI-U) 2.58 % 4.33 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 14,297,966 |
Holdings Count | Holding | 72 |
Advisory Fees Paid, Amount | $ 0 |
InvestmentCompanyPortfolioTurnover | 40.98% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $14,297,966 Number of Portfolio Holdings 72 Portfolio Turnover Rate 40.98% Net Investment Advisory Fees (net of waivers and reimbursements) $- |
Holdings [Text Block] | Value Value Common Stocks 90.7% Commodities 3.8% Master Limited Partnerships 3.1% Exchange Traded Funds 1.2% Short-Term Investments 1.2% Footnote Reference Value Value Short-Term Investments 1.2% Others Footnote Reference 1.0% Investment Funds 1.2% Communication Services 2.2% Health Care 3.1% Commodities 3.8% Consumer Staples 4.8% Utilities 7.6% Industrials 10.6% Energy 15.7% Materials 24.0% Real Estate 24.8% United States 48.3% Canada 12.9% United Kingdom 10.7% Mexico 6.2% Japan 4.0% Hong Kong 3.6% Germany 2.2% Australia 2.0% Singapore 2.0% Faroe Islands 1.5% Others Footnote Reference 5.4% Short-Term Investments 1.2% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 3.9% CRH plc (Construction Materials, United States) 2.8% Wheaton Precious Metals Corp. (Metals & Mining, Canada) 2.7% Extra Space Storage, Inc., REIT (Specialized REITs, United States) 2.6% ONEOK, Inc. (Oil, Gas & Consumable Fuels, United States) 2.6% Imperial Oil Ltd. (Oil, Gas & Consumable Fuels, Canada) 2.5% Enterprise Products Partners LP (Oil, Gas & Consumable Fuels, United States) 2.5% Shell plc (Oil, Gas & Consumable Fuels, United Kingdom) 2.3% Grupo Mexico SAB de CV, Series B (Metals & Mining, Mexico) 2.2% FUCHS SE (Preference) (Chemicals, Germany) 2.2% Total 26.3% |
Material Fund Change [Text Block] | |
C000232392 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Real Assets Fund |
Class Name | Class I |
Trading Symbol | FEREX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $93 0.85% |
Expenses Paid, Amount | $ 93 |
Expense Ratio, Percent | 0.85% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Real Assets Fund (Class I) | $1,180,857 MSCI World Index | $1,230,957 Consumer Price Index for Urban Consumers (CPI-U) | $1,131,475 Nov-2021 1,000,000 1,000,000 1,000,000 Dec-2021 1,044,000 1,042,740.190000 1,007,205.910000 Jan-2022 1,040,032.800000 987,567.860000 1,012,880.250000 Feb-2022 1,049,081.090000 962,591.070000 1,020,573.960000 Mar-2022 1,096,079.920000 989,007.800000 1,031,398.960000 Apr-2022 1,039,083.760000 906,847.620000 1,035,742.600000 May-2022 1,060,073.250000 907,534.420000 1,045,050.380000 Jun-2022 959,048.270000 828,921.980000 1,058,095.620000 Jul-2022 1,009,014.690000 894,735.320000 1,058,027.470000 Aug-2022 965,021.650000 857,328.400000 1,058,859.610000 Sep-2022 877,976.700000 777,631.240000 1,062,919.880000 Oct-2022 959,013.940000 833,475.220000 1,068,379.010000 Nov-2022 1,031,035.890000 891,427.100000 1,071,194.660000 Dec-2022 1,004,125.850000 853,570.600000 1,071,782.900000 Jan-2023 1,078,531.580000 913,965.900000 1,077,320.940000 Feb-2023 1,025,575.680000 891,995.520000 1,081,456.530000 Mar-2023 1,038,805.610000 919,557.900000 1,082,299.430000 Apr-2023 1,053,037.240000 935,677.370000 1,086,919.250000 May-2023 983,747.390000 926,336.120000 1,088,113.660000 Jun-2023 1,030,672.140000 982,358.880000 1,090,402.050000 Jul-2023 1,078,598.400000 1,015,359.020000 1,092,643.800000 Aug-2023 1,056,163.550000 991,106.440000 1,098,235.650000 Sep-2023 1,021,521.390000 948,351.710000 1,102,184.730000 Oct-2023 993,020.940000 920,834.490000 1,103,056.320000 Nov-2023 1,048,034.300000 1,007,164.630000 1,104,824.620000 Dec-2023 1,102,741.690000 1,056,610.620000 1,107,399.950000 Jan-2024 1,071,534.100000 1,069,290.460000 1,110,782.320000 Feb-2024 1,075,713.080000 1,114,625.880000 1,115,692.670000 Mar-2024 1,141,331.580000 1,150,444.180000 1,119,910.760000 Apr-2024 1,100,700.180000 1,107,711.270000 1,123,415.080000 May-2024 1,139,224.680000 1,157,172.770000 1,123,479.640000 Jun-2024 1,109,035.230000 1,180,718.810000 1,122,848.360000 Jul-2024 1,163,156.150000 1,201,525.940000 1,124,587.960000 Aug-2024 1,182,929.800000 1,233,282.860000 1,126,693.420000 Sep-2024 1,210,018.900000 1,255,869.130000 1,128,719.970000 Oct-2024 1,180,857 1,230,957 1,131,475 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (11/30/21) Class I 19.04 % 5.86 % MSCI World Index 33.68 % 7.38 % Consumer Price Index for Urban Consumers (CPI-U) 2.58 % 4.33 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 14,297,966 |
Holdings Count | Holding | 72 |
Advisory Fees Paid, Amount | $ 0 |
InvestmentCompanyPortfolioTurnover | 40.98% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $14,297,966 Number of Portfolio Holdings 72 Portfolio Turnover Rate 40.98% Net Investment Advisory Fees (net of waivers and reimbursements) $- |
Holdings [Text Block] | Value Value Common Stocks 90.7% Commodities 3.8% Master Limited Partnerships 3.1% Exchange Traded Funds 1.2% Short-Term Investments 1.2% Footnote Reference Value Value Short-Term Investments 1.2% Others Footnote Reference 1.0% Investment Funds 1.2% Communication Services 2.2% Health Care 3.1% Commodities 3.8% Consumer Staples 4.8% Utilities 7.6% Industrials 10.6% Energy 15.7% Materials 24.0% Real Estate 24.8% United States 48.3% Canada 12.9% United Kingdom 10.7% Mexico 6.2% Japan 4.0% Hong Kong 3.6% Germany 2.2% Australia 2.0% Singapore 2.0% Faroe Islands 1.5% Others Footnote Reference 5.4% Short-Term Investments 1.2% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 3.9% CRH plc (Construction Materials, United States) 2.8% Wheaton Precious Metals Corp. (Metals & Mining, Canada) 2.7% Extra Space Storage, Inc., REIT (Specialized REITs, United States) 2.6% ONEOK, Inc. (Oil, Gas & Consumable Fuels, United States) 2.6% Imperial Oil Ltd. (Oil, Gas & Consumable Fuels, Canada) 2.5% Enterprise Products Partners LP (Oil, Gas & Consumable Fuels, United States) 2.5% Shell plc (Oil, Gas & Consumable Fuels, United Kingdom) 2.3% Grupo Mexico SAB de CV, Series B (Metals & Mining, Mexico) 2.2% FUCHS SE (Preference) (Chemicals, Germany) 2.2% Total 26.3% |
Material Fund Change [Text Block] | |
C000232391 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Global Real Assets Fund |
Class Name | Class R6 |
Trading Symbol | FERRX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $93 0.85% |
Expenses Paid, Amount | $ 93 |
Expense Ratio, Percent | 0.85% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Global Real Assets Fund (Class R6) | $11,802 MSCI World Index | $12,310 Consumer Price Index for Urban Consumers (CPI-U) | $11,315 Nov-2021 10,000 10,000 10,000 Dec-2021 10,440 10,427.400000 10,072.060000 Jan-2022 10,400.330000 9,875.680000 10,128.800000 Feb-2022 10,490.810000 9,625.910000 10,205.740000 Mar-2022 10,960.800000 9,890.080000 10,313.990000 Apr-2022 10,390.840000 9,068.480000 10,357.430000 May-2022 10,600.730000 9,075.340000 10,450.500000 Jun-2022 9,590.480000 8,289.220000 10,580.960000 Jul-2022 10,090.150000 8,947.350000 10,580.270000 Aug-2022 9,650.220000 8,573.280000 10,588.600000 Sep-2022 8,779.770000 7,776.310000 10,629.200000 Oct-2022 9,590.140000 8,334.750000 10,683.790000 Nov-2022 10,310.360000 8,914.270000 10,711.950000 Dec-2022 10,043.320000 8,535.710000 10,717.830000 Jan-2023 10,787.530000 9,139.660000 10,773.210000 Feb-2023 10,257.860000 8,919.960000 10,814.570000 Mar-2023 10,390.190000 9,195.580000 10,822.990000 Apr-2023 10,523.180000 9,356.770000 10,869.190000 May-2023 9,840.230000 9,263.360000 10,881.140000 Jun-2023 10,298.780000 9,823.590000 10,904.020000 Jul-2023 10,787.980000 10,153.590000 10,926.440000 Aug-2023 10,553.880000 9,911.060000 10,982.360000 Sep-2023 10,207.710000 9,483.520000 11,021.850000 Oct-2023 9,932.100000 9,208.350000 11,030.560000 Nov-2023 10,472.410000 10,071.650000 11,048.250000 Dec-2023 11,031.630000 10,566.110000 11,074 Jan-2024 10,708.410000 10,692.900000 11,107.820000 Feb-2024 10,750.170000 11,146.260000 11,156.930000 Mar-2024 11,405.930000 11,504.440000 11,199.110000 Apr-2024 11,010.150000 11,077.110000 11,234.150000 May-2024 11,395.500000 11,571.730000 11,234.800000 Jun-2024 11,093.520000 11,807.190000 11,228.480000 Jul-2024 11,634.880000 12,015.260000 11,245.880000 Aug-2024 11,832.680000 12,332.830000 11,266.930000 Sep-2024 12,093 12,558.690000 11,287.200000 Oct-2024 11,802 12,310 11,315 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year Since Inception (11/30/21) Class R6 18.96 % 5.84 % MSCI World Index 33.68 % 7.38 % Consumer Price Index for Urban Consumers (CPI-U) 2.58 % 4.33 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 14,297,966 |
Holdings Count | Holding | 72 |
Advisory Fees Paid, Amount | $ 0 |
InvestmentCompanyPortfolioTurnover | 40.98% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $14,297,966 Number of Portfolio Holdings 72 Portfolio Turnover Rate 40.98% Net Investment Advisory Fees (net of waivers and reimbursements) $- |
Holdings [Text Block] | Value Value Common Stocks 90.7% Commodities 3.8% Master Limited Partnerships 3.1% Exchange Traded Funds 1.2% Short-Term Investments 1.2% Footnote Reference Value Value Short-Term Investments 1.2% Others Footnote Reference 1.0% Investment Funds 1.2% Communication Services 2.2% Health Care 3.1% Commodities 3.8% Consumer Staples 4.8% Utilities 7.6% Industrials 10.6% Energy 15.7% Materials 24.0% Real Estate 24.8% United States 48.3% Canada 12.9% United Kingdom 10.7% Mexico 6.2% Japan 4.0% Hong Kong 3.6% Germany 2.2% Australia 2.0% Singapore 2.0% Faroe Islands 1.5% Others Footnote Reference 5.4% Short-Term Investments 1.2% |
Largest Holdings [Text Block] | Gold bullion (Precious Metal ) Footnote Reference 3.9% CRH plc (Construction Materials, United States) 2.8% Wheaton Precious Metals Corp. (Metals & Mining, Canada) 2.7% Extra Space Storage, Inc., REIT (Specialized REITs, United States) 2.6% ONEOK, Inc. (Oil, Gas & Consumable Fuels, United States) 2.6% Imperial Oil Ltd. (Oil, Gas & Consumable Fuels, Canada) 2.5% Enterprise Products Partners LP (Oil, Gas & Consumable Fuels, United States) 2.5% Shell plc (Oil, Gas & Consumable Fuels, United Kingdom) 2.3% Grupo Mexico SAB de CV, Series B (Metals & Mining, Mexico) 2.2% FUCHS SE (Preference) (Chemicals, Germany) 2.2% Total 26.3% |
Material Fund Change [Text Block] | |
C000108220 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle High Yield Municipal Fund |
Class Name | Class A |
Trading Symbol | FEHAX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $87 0.80% |
Expenses Paid, Amount | $ 87 |
Expense Ratio, Percent | 0.80% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle High Yield Municipal Fund (Class A) | $13,830 Bloomberg U.S. Corporate High Yield Index | $16,078 S&P Municipal Yield Index | $15,093 S&P Municipal Bond Index | $12,651 Oct-2014 10,000 10,000 10,000 10,000 Nov-2014 9,459.280000 9,927.160000 10,065.350000 10,016.890000 Dec-2014 9,266.310000 9,783.450000 10,135.980000 10,070.750000 Jan-2015 9,254.260000 9,848.090000 10,309.570000 10,241.910000 Feb-2015 9,487.470000 10,085.420000 10,257.140000 10,147.880000 Mar-2015 9,462.800000 10,030.230000 10,262 10,172.990000 Apr-2015 9,655.840000 10,151.260000 10,218.590000 10,126.890000 May-2015 9,718.600000 10,182.070000 10,253.580000 10,105.440000 Jun-2015 9,593.230000 10,030.500000 10,092.100000 10,071.660000 Jul-2015 9,436.860000 9,972.090000 10,138.950000 10,142.860000 Aug-2015 9,231.140000 9,798.380000 10,188.410000 10,168.880000 Sep-2015 9,023.440000 9,543.410000 10,329.260000 10,244.190000 Oct-2015 9,146.160000 9,805.770000 10,415.900000 10,287.550000 Nov-2015 8,999.820000 9,587.810000 10,465.240000 10,331.830000 Dec-2015 8,582.230000 9,346.330000 10,537.890000 10,404.860000 Jan-2016 8,250.950000 9,196.120000 10,609.580000 10,514.860000 Feb-2016 8,200.620000 9,248.680000 10,674.400000 10,531.290000 Mar-2016 8,700.040000 9,659.730000 10,777.530000 10,575.110000 Apr-2016 9,124.600000 10,037.910000 10,865.420000 10,649.500000 May-2016 9,228.620000 10,099.890000 10,974.720000 10,682.820000 Jun-2016 9,308.910000 10,192.850000 11,255.640000 10,857.640000 Jul-2016 9,483.920000 10,468.450000 11,296.680000 10,859.010000 Aug-2016 9,666.010000 10,687.440000 11,356.340000 10,883.660000 Sep-2016 9,770.410000 10,758.670000 11,378.930000 10,842.580000 Oct-2016 9,899.370000 10,800.220000 11,282.920000 10,754.030000 Nov-2016 9,852.850000 10,748.940000 10,814.120000 10,381.580000 Dec-2016 10,027.240000 10,947.330000 10,872.360000 10,485.190000 Jan-2017 10,136.540000 11,106.330000 10,978.400000 10,539.960000 Feb-2017 10,168 11,267.970000 11,146.110000 10,610.710000 Mar-2017 10,188.300000 11,242.820000 11,176.890000 10,633.530000 Apr-2017 10,275.920000 11,372.650000 11,295.020000 10,710.210000 May-2017 10,329.350000 11,471.540000 11,414.750000 10,851.210000 Jun-2017 10,292.170000 11,487.060000 11,407.220000 10,826.710000 Jul-2017 10,369.360000 11,614.270000 11,478.030000 10,898.190000 Aug-2017 10,322.700000 11,609.720000 11,591 10,983.440000 Sep-2017 10,414.570000 11,713.970000 11,490.660000 10,933.600000 Oct-2017 10,464.560000 11,763.450000 11,483.130000 10,947.870000 Nov-2017 10,473.980000 11,733.420000 11,514.500000 10,900.590000 Dec-2017 10,484.450000 11,768.870000 11,636.020000 11,003.940000 Jan-2018 10,588.250000 11,839.460000 11,607.670000 10,899.420000 Feb-2018 10,477.070000 11,738.840000 11,591.240000 10,857.080000 Mar-2018 10,570.320000 11,667.930000 11,715.010000 10,902.390000 Apr-2018 10,575.600000 11,743.850000 11,749.110000 10,864.750000 May-2018 10,606.270000 11,740.590000 11,936.210000 10,987.710000 Jun-2018 10,652.940000 11,787.720000 12,003.940000 11,001.550000 Jul-2018 10,709.400000 11,916.360000 12,068.340000 11,029.750000 Aug-2018 10,751.160000 12,004.240000 12,156.410000 11,050.160000 Sep-2018 10,817.820000 12,071.090000 12,097.990000 10,986.050000 Oct-2018 10,730.200000 11,878.120000 11,951.100000 10,913.970000 Nov-2018 10,581.050000 11,775.930000 11,994.510000 11,027.200000 Dec-2018 10,407.520000 11,523.800000 12,113.710000 11,153.140000 Jan-2019 10,664.580000 12,044.710000 12,184.520000 11,235.110000 Feb-2019 10,818.150000 12,245 12,296.130000 11,294.220000 Mar-2019 10,826.810000 12,360.180000 12,586.720000 11,461.120000 Apr-2019 10,893.940000 12,535.910000 12,654.500000 11,499.390000 May-2019 10,859.070000 12,386.930000 12,869.660000 11,654.070000 Jun-2019 11,036.080000 12,669.240000 12,947.400000 11,704.040000 Jul-2019 11,092.360000 12,740.680000 13,040.390000 11,794.190000 Aug-2019 11,152.260000 12,791.640000 13,328.490000 11,963.320000 Sep-2019 11,157.840000 12,838.230000 13,298.190000 11,886.080000 Oct-2019 11,109.860000 12,873.680000 13,319.240000 11,903.750000 Nov-2019 11,122.080000 12,915.710000 13,362 11,923.820000 Dec-2019 11,304.480000 13,173.930000 13,436.360000 11,962.830000 Jan-2020 11,281.870000 13,177.440000 13,724.760000 12,157.610000 Feb-2020 11,114.900000 12,991.620000 13,999.690000 12,304.380000 Mar-2020 9,927.830000 11,502.830000 12,725.130000 11,893.800000 Apr-2020 10,379.540000 12,021.080000 12,374.470000 11,753.840000 May-2020 10,653.560000 12,550.660000 12,812.900000 12,104.960000 Jun-2020 10,901.790000 12,673.510000 13,279.980000 12,198.980000 Jul-2020 11,258.280000 13,267.660000 13,589.660000 12,370.660000 Aug-2020 11,469.940000 13,393.790000 13,631.770000 12,340.610000 Sep-2020 11,522.700000 13,256.020000 13,638.650000 12,343.360000 Oct-2020 11,597.600000 13,323.340000 13,663.970000 12,325.910000 Nov-2020 11,886.380000 13,850.410000 13,968.080000 12,482.290000 Dec-2020 12,084.880000 14,111.090000 14,210.160000 12,555.390000 Jan-2021 12,075.210000 14,157.770000 14,474.540000 12,626.080000 Feb-2021 11,989.480000 14,209.780000 14,318.090000 12,454.460000 Mar-2021 11,975.090000 14,231.040000 14,431.600000 12,522.970000 Apr-2021 12,022.990000 14,385.610000 14,623.870000 12,623.640000 May-2021 12,098.730000 14,428.160000 14,785.470000 12,674.430000 Jun-2021 12,324.980000 14,621.440000 14,941.850000 12,710.910000 Jul-2021 12,360.720000 14,677.130000 15,095.980000 12,799.790000 Aug-2021 12,412.640000 14,752.530000 15,060.760000 12,765.260000 Sep-2021 12,422.570000 14,750.910000 14,924.650000 12,678.250000 Oct-2021 12,391.510000 14,725.650000 14,876.560000 12,665.810000 Nov-2021 12,277.510000 14,582.440000 15,067.460000 12,759.170000 Dec-2021 12,466.580000 14,855.780000 15,113.060000 12,777.500000 Jan-2022 12,213.510000 14,449.570000 14,695.740000 12,472.440000 Feb-2022 12,054.740000 14,301.220000 14,579.210000 12,408.580000 Mar-2022 11,900.440000 14,137.260000 14,071.570000 12,070.820000 Apr-2022 11,586.260000 13,634.560000 13,549.870000 11,744 May-2022 11,600.170000 13,667.990000 13,767.100000 11,917.460000 Jun-2022 10,964.480000 12,747.730000 13,282.230000 11,705.750000 Jul-2022 11,449.110000 13,500.270000 13,817.870000 12,008.460000 Aug-2022 11,281.950000 13,189.170000 13,493.410000 11,733.740000 Sep-2022 10,926.570000 12,665.310000 12,669.740000 11,307.780000 Oct-2022 11,203.010000 12,994.450000 12,434.130000 11,227.060000 Nov-2022 11,392.340000 13,276.490000 13,182.190000 11,746.650000 Dec-2022 11,367.280000 13,193.630000 13,150.820000 11,749.390000 Jan-2023 11,721.940000 13,695.940000 13,721.620000 12,080.880000 Feb-2023 11,562.520000 13,519.880000 13,328.020000 11,799.560000 Mar-2023 11,730.180000 13,664.390000 13,532.670000 12,044.870000 Apr-2023 11,808.770000 13,800.840000 13,611.250000 12,030.200000 May-2023 11,757.990000 13,674.380000 13,544.120000 11,940.040000 Jun-2023 11,867.340000 13,903.190000 13,764.670000 12,045.990000 Jul-2023 12,008.560000 14,095.010000 13,816.320000 12,076.470000 Aug-2023 12,045.790000 14,134.050000 13,660.350000 11,943.560000 Sep-2023 11,901.240000 13,966.840000 13,200.930000 11,623.920000 Oct-2023 11,803.650000 13,804.190000 12,907.140000 11,492.220000 Nov-2023 12,206.150000 14,429.580000 13,860.680000 12,170.250000 Dec-2023 12,425.870000 14,967.520000 14,309.080000 12,458.120000 Jan-2024 12,529 14,966.920000 14,380.390000 12,439.070000 Feb-2024 12,747 15,010.660000 14,486.400000 12,448.630000 Mar-2024 12,947.130000 15,188.230000 14,588.750000 12,446.640000 Apr-2024 12,883.690000 15,045.460000 14,404.950000 12,313.240000 May-2024 13,087.250000 15,210.760000 14,485.710000 12,283.400000 Jun-2024 13,464.170000 15,354.400000 14,787.600000 12,479.310000 Jul-2024 13,655.360000 15,652.910000 14,941.920000 12,586.910000 Aug-2024 13,811.030000 15,908.240000 15,086.090000 12,690.160000 Sep-2024 14,043.050000 16,165.620000 15,289.520000 12,817.790000 Oct-2024 13,830 16,078 15,093 12,651 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class A - without sales charge 17.15 % 4.51 % 3.79 % Class A - with sales charge 11.83 % 3.55 % 3.31 % Bloomberg U.S. Corporate High Yield Index 16.47 % 4.55 % 4.86 % S&P Municipal Yield Index 16.94 % 2.53 % 4.20 % S&P Municipal Bond Index 10.08 % 1.22 % 2.38 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 4,237,049,109 |
Holdings Count | Holding | 1,182 |
Advisory Fees Paid, Amount | $ 5,268,220 |
InvestmentCompanyPortfolioTurnover | 136.03% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $4,237,049,109 Number of Portfolio Holdings 1,182 Portfolio Turnover Rate 136.03% Net Investment Advisory Fees (net of waivers and reimbursements) $5,268,220 |
Holdings [Text Block] | Value Value Municipal Bonds 100.0% Footnote Reference Short-Term Investments 0.0% Footnote Reference Footnote Reference |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since November 1, 2023. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com Effective December 27, 2023, The Fund changed name from First Eagle High Income Fund to First Eagle High Yield Municipal Fund. The Fund also changed its investment objectives, principal investment strategies, and principal risks accordingly. Effective March 1, 2024, the maximum sales charge on purchases changed from 4.50% to 2.50%. The Adviser has contractually agreed to waive its management fee for the period from November 1, 2023 through April 30, 2024. Prior to December 27, 2023, the Fund paid the Adviser an administrative fee at an annual rate of 0.05% of the Fund’s average daily net assets. Effective December 27, 2023, the Fund reimbursed the Adviser administrative costs not exceeding 0.05% of the Fund's average daily net assets. |
C000108221 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle High Yield Municipal Fund |
Class Name | Class C |
Trading Symbol | FEHCX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class C $167 1.55% |
Expenses Paid, Amount | $ 167 |
Expense Ratio, Percent | 1.55% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle High Yield Municipal Fund (Class C) | $13,479 Bloomberg U.S. Corporate High Yield Index | $16,078 S&P Municipal Yield Index | $15,093 S&P Municipal Bond Index | $12,651 Oct-2014 10,000 10,000 10,000 10,000 Nov-2014 9,899 9,927.160000 10,065.350000 10,016.890000 Dec-2014 9,680.230000 9,783.450000 10,135.980000 10,070.750000 Jan-2015 9,671.520000 9,848.090000 10,309.570000 10,241.910000 Feb-2015 9,909.440000 10,085.420000 10,257.140000 10,147.880000 Mar-2015 9,877.730000 10,030.230000 10,262 10,172.990000 Apr-2015 10,073.310000 10,151.260000 10,218.590000 10,126.890000 May-2015 10,132.740000 10,182.070000 10,253.580000 10,105.440000 Jun-2015 9,995.950000 10,030.500000 10,092.100000 10,071.660000 Jul-2015 9,827.020000 9,972.090000 10,138.950000 10,142.860000 Aug-2015 9,606.890000 9,798.380000 10,188.410000 10,168.880000 Sep-2015 9,384.970000 9,543.410000 10,329.260000 10,244.190000 Oct-2015 9,504.160000 9,805.770000 10,415.900000 10,287.550000 Nov-2015 9,346.390000 9,587.810000 10,465.240000 10,331.830000 Dec-2015 8,907.110000 9,346.330000 10,537.890000 10,404.860000 Jan-2016 8,568.640000 9,196.120000 10,609.580000 10,514.860000 Feb-2016 8,511.230000 9,248.680000 10,674.400000 10,531.290000 Mar-2016 9,024.460000 9,659.730000 10,777.530000 10,575.110000 Apr-2016 9,448.610000 10,037.910000 10,865.420000 10,649.500000 May-2016 9,550.650000 10,099.890000 10,974.720000 10,682.820000 Jun-2016 9,638.520000 10,192.850000 11,255.640000 10,857.640000 Jul-2016 9,803.340000 10,468.450000 11,296.680000 10,859.010000 Aug-2016 9,985.680000 10,687.440000 11,356.340000 10,883.660000 Sep-2016 10,086.540000 10,758.670000 11,378.930000 10,842.580000 Oct-2016 10,212.620000 10,800.220000 11,282.920000 10,754.030000 Nov-2016 10,158.490000 10,748.940000 10,814.120000 10,381.580000 Dec-2016 10,332.200000 10,947.330000 10,872.360000 10,485.190000 Jan-2017 10,437.590000 11,106.330000 10,978.400000 10,539.960000 Feb-2017 10,464 11,267.970000 11,146.110000 10,610.710000 Mar-2017 10,478.330000 11,242.820000 11,176.890000 10,633.530000 Apr-2017 10,573.690000 11,372.650000 11,295.020000 10,710.210000 May-2017 10,610.690000 11,471.540000 11,414.750000 10,851.210000 Jun-2017 10,577.800000 11,487.060000 11,407.220000 10,826.710000 Jul-2017 10,650.790000 11,614.270000 11,478.030000 10,898.190000 Aug-2017 10,584.750000 11,609.720000 11,591 10,983.440000 Sep-2017 10,673.660000 11,713.970000 11,490.660000 10,933.600000 Oct-2017 10,729.170000 11,763.450000 11,483.130000 10,947.870000 Nov-2017 10,720.580000 11,733.420000 11,514.500000 10,900.590000 Dec-2017 10,723.800000 11,768.870000 11,636.020000 11,003.940000 Jan-2018 10,823.530000 11,839.460000 11,607.670000 10,899.420000 Feb-2018 10,704.470000 11,738.840000 11,591.240000 10,857.080000 Mar-2018 10,793.320000 11,667.930000 11,715.010000 10,902.390000 Apr-2018 10,805.190000 11,743.850000 11,749.110000 10,864.750000 May-2018 10,817.080000 11,740.590000 11,936.210000 10,987.710000 Jun-2018 10,858.180000 11,787.720000 12,003.940000 11,001.550000 Jul-2018 10,907.040000 11,916.360000 12,068.340000 11,029.750000 Aug-2018 10,943.040000 12,004.240000 12,156.410000 11,050.160000 Sep-2018 11,004.320000 12,071.090000 12,097.990000 10,986.050000 Oct-2018 10,907.480000 11,878.120000 11,951.100000 10,913.970000 Nov-2018 10,749.320000 11,775.930000 11,994.510000 11,027.200000 Dec-2018 10,566.580000 11,523.800000 12,113.710000 11,153.140000 Jan-2019 10,821.240000 12,044.710000 12,184.520000 11,235.110000 Feb-2019 10,983.560000 12,245 12,296.130000 11,294.220000 Mar-2019 10,972.570000 12,360.180000 12,586.720000 11,461.120000 Apr-2019 11,046.090000 12,535.910000 12,654.500000 11,499.390000 May-2019 10,990.860000 12,386.930000 12,869.660000 11,654.070000 Jun-2019 11,163.420000 12,669.240000 12,947.400000 11,704.040000 Jul-2019 11,213.650000 12,740.680000 13,040.390000 11,794.190000 Aug-2019 11,266.360000 12,791.640000 13,328.490000 11,963.320000 Sep-2019 11,277.620000 12,838.230000 13,298.190000 11,886.080000 Oct-2019 11,208.830000 12,873.680000 13,319.240000 11,903.750000 Nov-2019 11,214.430000 12,915.710000 13,362 11,923.820000 Dec-2019 11,391.620000 13,173.930000 13,436.360000 11,962.830000 Jan-2020 11,374.530000 13,177.440000 13,724.760000 12,157.610000 Feb-2020 11,186.850000 12,991.620000 13,999.690000 12,304.380000 Mar-2020 9,984.270000 11,502.830000 12,725.130000 11,893.800000 Apr-2020 10,432.560000 12,021.080000 12,374.470000 11,753.840000 May-2020 10,714.240000 12,550.660000 12,812.900000 12,104.960000 Jun-2020 10,943.520000 12,673.510000 13,279.980000 12,198.980000 Jul-2020 11,294.810000 13,267.660000 13,589.660000 12,370.660000 Aug-2020 11,500.380000 13,393.790000 13,631.770000 12,340.610000 Sep-2020 11,545.230000 13,256.020000 13,638.650000 12,343.360000 Oct-2020 11,613.350000 13,323.340000 13,663.970000 12,325.910000 Nov-2020 11,908.320000 13,850.410000 13,968.080000 12,482.290000 Dec-2020 12,100.050000 14,111.090000 14,210.160000 12,555.390000 Jan-2021 12,089.160000 14,157.770000 14,474.540000 12,626.080000 Feb-2021 11,994.860000 14,209.780000 14,318.090000 12,454.460000 Mar-2021 11,972.070000 14,231.040000 14,431.600000 12,522.970000 Apr-2021 12,012.780000 14,385.610000 14,623.870000 12,623.640000 May-2021 12,081.250000 14,428.160000 14,785.470000 12,674.430000 Jun-2021 12,299.920000 14,621.440000 14,941.850000 12,710.910000 Jul-2021 12,328.210000 14,677.130000 15,095.980000 12,799.790000 Aug-2021 12,372.590000 14,752.530000 15,060.760000 12,765.260000 Sep-2021 12,388.680000 14,750.910000 14,924.650000 12,678.250000 Oct-2021 12,335.410000 14,725.650000 14,876.560000 12,665.810000 Nov-2021 12,226.850000 14,582.440000 15,067.460000 12,759.170000 Dec-2021 12,393.140000 14,855.780000 15,113.060000 12,777.500000 Jan-2022 12,132.880000 14,449.570000 14,695.740000 12,472.440000 Feb-2022 11,969.090000 14,301.220000 14,579.210000 12,408.580000 Mar-2022 11,807.510000 14,137.260000 14,071.570000 12,070.820000 Apr-2022 11,487.520000 13,634.560000 13,549.870000 11,744 May-2022 11,494.420000 13,667.990000 13,767.100000 11,917.460000 Jun-2022 10,857.630000 12,747.730000 13,282.230000 11,705.750000 Jul-2022 11,332.100000 13,500.270000 13,817.870000 12,008.460000 Aug-2022 11,173.450000 13,189.170000 13,493.410000 11,733.740000 Sep-2022 10,801.380000 12,665.310000 12,669.740000 11,307.780000 Oct-2022 11,083.290000 12,994.450000 12,434.130000 11,227.060000 Nov-2022 11,249.540000 13,276.490000 13,182.190000 11,746.650000 Dec-2022 11,231.540000 13,193.630000 13,150.820000 11,749.390000 Jan-2023 11,559.510000 13,695.940000 13,721.620000 12,080.880000 Feb-2023 11,395.360000 13,519.880000 13,328.020000 11,799.560000 Mar-2023 11,568.570000 13,664.390000 13,532.670000 12,044.870000 Apr-2023 11,639.140000 13,800.840000 13,611.250000 12,030.200000 May-2023 11,566.980000 13,674.380000 13,544.120000 11,940.040000 Jun-2023 11,682.650000 13,903.190000 13,764.670000 12,045.990000 Jul-2023 11,799.470000 14,095.010000 13,816.320000 12,076.470000 Aug-2023 11,828.970000 14,134.050000 13,660.350000 11,943.560000 Sep-2023 11,695.300000 13,966.840000 13,200.930000 11,623.920000 Oct-2023 11,577.180000 13,804.190000 12,907.140000 11,492.220000 Nov-2023 11,965.020000 14,429.580000 13,860.680000 12,170.250000 Dec-2023 12,172.010000 14,967.520000 14,309.080000 12,458.120000 Jan-2024 12,282.780000 14,966.920000 14,380.390000 12,439.070000 Feb-2024 12,489.130000 15,010.660000 14,486.400000 12,448.630000 Mar-2024 12,677.710000 15,188.230000 14,588.750000 12,446.640000 Apr-2024 12,592.770000 15,045.460000 14,404.950000 12,313.240000 May-2024 12,782.920000 15,210.760000 14,485.710000 12,283.400000 Jun-2024 13,143.400000 15,354.400000 14,787.600000 12,479.310000 Jul-2024 13,322.150000 15,652.910000 14,941.920000 12,586.910000 Aug-2024 13,464.700000 15,908.240000 15,086.090000 12,690.160000 Sep-2024 13,681.480000 16,165.620000 15,289.520000 12,817.790000 Oct-2024 13,479 16,078 15,093 12,651 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class C - without sales charge 16.44 % 3.75 % 3.03 % Class C - with sales charge 15.44 % 3.75 % 3.03 % Bloomberg U.S. Corporate High Yield Index 16.47 % 4.55 % 4.86 % S&P Municipal Yield Index 16.94 % 2.53 % 4.20 % S&P Municipal Bond Index 10.08 % 1.22 % 2.38 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 4,237,049,109 |
Holdings Count | Holding | 1,182 |
Advisory Fees Paid, Amount | $ 5,268,220 |
InvestmentCompanyPortfolioTurnover | 136.03% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $4,237,049,109 Number of Portfolio Holdings 1,182 Portfolio Turnover Rate 136.03% Net Investment Advisory Fees (net of waivers and reimbursements) $5,268,220 |
Holdings [Text Block] | Value Value Municipal Bonds 100.0% Footnote Reference Short-Term Investments 0.0% Footnote Reference Footnote Reference |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since November 1, 2023. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com Effective December 27, 2023, The Fund changed name from First Eagle High Income Fund to First Eagle High Yield Municipal Fund. The Fund also changed its investment objectives, principal investment strategies, and principal risks accordingly. The Adviser has contractually agreed to waive its management fee for the period from November 1, 2023 through April 30, 2024. Prior to December 27, 2023, the Fund paid the Adviser an administrative fee at an annual rate of 0.05% of the Fund’s average daily net assets. Effective December 27, 2023, the Fund reimbursed the Adviser administrative costs not exceeding 0.05% of the Fund's average daily net assets. |
C000108222 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle High Yield Municipal Fund |
Class Name | Class I |
Trading Symbol | FEHIX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $63 0.57% |
Expenses Paid, Amount | $ 63 |
Expense Ratio, Percent | 0.57% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle High Yield Municipal Fund (Class I) | $1,491,529 Bloomberg U.S. Corporate High Yield Index | $1,607,824 S&P Municipal Yield Index | $1,509,348 S&P Municipal Bond Index | $1,265,053 Oct-2014 1,000,000 1,000,000 1,000,000 1,000,000 Nov-2014 990,700 992,715.860000 1,006,535.290000 1,001,688.800000 Dec-2014 969,697.160000 978,344.660000 1,013,598.380000 1,007,074.720000 Jan-2015 969,697.160000 984,808.480000 1,030,956.630000 1,024,190.970000 Feb-2015 994,230.500000 1,008,542.410000 1,025,714.170000 1,014,788.440000 Mar-2015 991,943.770000 1,003,022.830000 1,026,200.460000 1,017,298.830000 Apr-2015 1,012,477 1,015,125.730000 1,021,859.410000 1,012,688.850000 May-2015 1,019,463.100000 1,018,207.150000 1,025,358.340000 1,010,543.610000 Jun-2015 1,006,617.860000 1,003,050.120000 1,009,209.890000 1,007,166 Jul-2015 990,511.970000 997,209.390000 1,013,894.900000 1,014,286.370000 Aug-2015 969,215.970000 979,837.780000 1,018,840.850000 1,016,888.040000 Sep-2015 947,699.370000 954,341.430000 1,032,925.520000 1,024,419.190000 Oct-2015 960,398.540000 980,577.320000 1,041,589.820000 1,028,755.310000 Nov-2015 945,320.290000 958,780.540000 1,046,523.900000 1,033,182.710000 Dec-2015 901,551.960000 934,632.550000 1,053,788.630000 1,040,485.650000 Jan-2016 868,104.380000 919,612.070000 1,060,958.470000 1,051,485.690000 Feb-2016 862,982.560000 924,868.270000 1,067,440.390000 1,053,128.850000 Mar-2016 915,710.800000 965,972.480000 1,077,753.330000 1,057,510.610000 Apr-2016 959,481.780000 1,003,791.090000 1,086,542.170000 1,064,950.480000 May-2016 970,707.710000 1,009,989.350000 1,097,471.880000 1,068,282.440000 Jun-2016 980,511.860000 1,019,284.690000 1,125,564.130000 1,085,763.840000 Jul-2016 998,063.020000 1,046,845.100000 1,129,667.960000 1,085,900.770000 Aug-2016 1,017,525.250000 1,068,744.330000 1,135,633.930000 1,088,365.510000 Sep-2016 1,028,718.030000 1,075,867.480000 1,137,893.410000 1,084,257.610000 Oct-2016 1,042,502.850000 1,080,021.700000 1,128,292.110000 1,075,402.800000 Nov-2016 1,037,811.590000 1,074,894.470000 1,081,412.380000 1,038,157.830000 Dec-2016 1,056,492.200000 1,094,732.710000 1,087,236.020000 1,048,518.870000 Jan-2017 1,068,219.260000 1,110,632.750000 1,097,839.560000 1,053,996.070000 Feb-2017 1,071,744 1,126,796.950000 1,114,610.700000 1,061,070.790000 Mar-2017 1,074,209.400000 1,124,282.240000 1,117,688.570000 1,063,352.960000 Apr-2017 1,084,951.490000 1,137,264.760000 1,129,501.910000 1,071,021.040000 May-2017 1,090,918.720000 1,147,154.410000 1,141,475.360000 1,085,121.430000 Jun-2017 1,087,209.600000 1,148,705.810000 1,140,722.200000 1,082,670.820000 Jul-2017 1,095,689.830000 1,161,427.480000 1,147,803.090000 1,089,819.110000 Aug-2017 1,089,882.680000 1,160,972.470000 1,159,100.480000 1,098,344.430000 Sep-2017 1,099,909.600000 1,171,397.110000 1,149,066.260000 1,093,360.150000 Oct-2017 1,106,619.050000 1,176,344.530000 1,148,313.100000 1,094,787.420000 Nov-2017 1,106,619.050000 1,173,341.610000 1,151,450.280000 1,090,059.010000 Dec-2017 1,107,946.990000 1,176,887.340000 1,163,601.640000 1,100,394.080000 Jan-2018 1,119,248.050000 1,183,945.720000 1,160,766.920000 1,089,941.540000 Feb-2018 1,107,831.720000 1,173,883.850000 1,159,124.200000 1,085,707.880000 Mar-2018 1,118,023.770000 1,166,793.220000 1,171,500.920000 1,090,238.750000 Apr-2018 1,120,148.020000 1,174,384.810000 1,174,910.900000 1,086,475.370000 May-2018 1,123,620.470000 1,174,059.270000 1,193,621.270000 1,098,770.870000 Jun-2018 1,127,553.150000 1,178,772.060000 1,200,393.780000 1,100,154.660000 Jul-2018 1,133,529.180000 1,191,636.470000 1,206,834.180000 1,102,974.560000 Aug-2018 1,138,290 1,200,424.450000 1,215,640.810000 1,105,015.970000 Sep-2018 1,145,575.060000 1,207,109.310000 1,209,799.380000 1,098,605.350000 Oct-2018 1,136,525.010000 1,187,811.760000 1,195,109.800000 1,091,396.800000 Nov-2018 1,120,954.620000 1,177,592.650000 1,199,450.850000 1,102,719.650000 Dec-2018 1,102,795.160000 1,152,380.100000 1,211,370.930000 1,115,313.670000 Jan-2019 1,130,254.760000 1,204,471.030000 1,218,451.820000 1,123,511.070000 Feb-2019 1,148,112.780000 1,224,500.500000 1,229,612.810000 1,129,422.220000 Mar-2019 1,147,997.970000 1,236,017.610000 1,258,671.720000 1,146,112.390000 Apr-2019 1,156,722.750000 1,253,591.130000 1,265,450.150000 1,149,939.110000 May-2019 1,151,980.190000 1,238,693.080000 1,286,965.600000 1,165,407.120000 Jun-2019 1,171,103.060000 1,266,924.300000 1,294,740.340000 1,170,403.950000 Jul-2019 1,177,427.020000 1,274,067.710000 1,304,039.190000 1,179,418.560000 Aug-2019 1,184,020.610000 1,279,164.340000 1,332,849.020000 1,196,332.360000 Sep-2019 1,186,151.850000 1,283,822.890000 1,329,818.590000 1,188,607.580000 Oct-2019 1,179,983.860000 1,287,368.400000 1,331,923.880000 1,190,375.010000 Nov-2019 1,182,933.820000 1,291,571.250000 1,336,199.690000 1,192,381.940000 Dec-2019 1,201,269.290000 1,317,393.460000 1,343,636.400000 1,196,283.280000 Jan-2020 1,200,548.530000 1,317,743.800000 1,372,475.880000 1,215,761.300000 Feb-2020 1,181,699.920000 1,299,162.150000 1,399,969.160000 1,230,438.460000 Mar-2020 1,055,848.880000 1,150,283.220000 1,272,513.240000 1,189,380.390000 Apr-2020 1,104,101.170000 1,202,107.960000 1,237,446.850000 1,175,383.840000 May-2020 1,134,905.590000 1,255,065.920000 1,281,290.220000 1,210,495.740000 Jun-2020 1,160,213.990000 1,267,350.900000 1,327,997.960000 1,219,898.480000 Jul-2020 1,198,385.030000 1,326,766.050000 1,358,966.450000 1,237,065.900000 Aug-2020 1,222,592.400000 1,339,378.680000 1,363,177.030000 1,234,061.120000 Sep-2020 1,226,993.740000 1,325,602.400000 1,363,864.950000 1,234,335.520000 Oct-2020 1,235,337.290000 1,332,333.580000 1,366,397.230000 1,232,591.490000 Nov-2020 1,267,703.130000 1,385,041.130000 1,396,808.270000 1,248,229.440000 Dec-2020 1,289,254.090000 1,411,109.420000 1,421,016.110000 1,255,538.900000 Jan-2021 1,289,125.160000 1,415,776.750000 1,447,453.790000 1,262,607.700000 Feb-2021 1,280,230.200000 1,420,978.140000 1,431,809.420000 1,245,446.370000 Mar-2021 1,280,358.220000 1,423,103.520000 1,443,160.190000 1,252,296.930000 Apr-2021 1,284,327.330000 1,438,561.100000 1,462,386.510000 1,262,363.750000 May-2021 1,292,675.460000 1,442,816.060000 1,478,546.820000 1,267,442.900000 Jun-2021 1,317,107.020000 1,462,143.820000 1,494,185.260000 1,271,090.710000 Jul-2021 1,322,770.580000 1,467,712.730000 1,509,598.340000 1,279,979.300000 Aug-2021 1,327,135.730000 1,475,252.710000 1,506,075.690000 1,276,526.340000 Sep-2021 1,329,922.710000 1,475,091.430000 1,492,465.440000 1,267,825.220000 Oct-2021 1,325,400.970000 1,472,565.460000 1,487,655.900000 1,266,580.800000 Nov-2021 1,314,930.310000 1,458,244.350000 1,506,745.820000 1,275,917.350000 Dec-2021 1,333,996.800000 1,485,577.990000 1,511,306.290000 1,277,750.240000 Jan-2022 1,307,183.460000 1,444,957.230000 1,469,574.140000 1,247,244 Feb-2022 1,290,451.510000 1,430,121.520000 1,457,920.930000 1,240,857.530000 Mar-2022 1,274,191.820000 1,413,726.130000 1,407,156.800000 1,207,081.940000 Apr-2022 1,240,808 1,363,456.100000 1,354,987.160000 1,174,400.190000 May-2022 1,242,545.130000 1,366,798.740000 1,376,710.180000 1,191,745.930000 Jun-2022 1,174,702.160000 1,274,772.660000 1,328,223.310000 1,170,575.150000 Jul-2022 1,226,858.940000 1,350,027.040000 1,381,786.590000 1,200,845.870000 Aug-2022 1,210,664.400000 1,318,917.320000 1,349,341.430000 1,173,374.210000 Sep-2022 1,171,317.810000 1,266,530.590000 1,266,974.260000 1,130,778.310000 Oct-2022 1,202,826.260000 1,299,444.850000 1,243,412.820000 1,122,705.620000 Nov-2022 1,221,830.910000 1,327,649.460000 1,318,218.750000 1,174,664.590000 Dec-2022 1,220,975.630000 1,319,363.350000 1,315,081.570000 1,174,939.030000 Jan-2023 1,257,727 1,369,594.310000 1,372,161.570000 1,208,088.040000 Feb-2023 1,240,873.460000 1,351,987.580000 1,332,801.580000 1,179,956.120000 Mar-2023 1,260,727.430000 1,366,439.320000 1,353,267.350000 1,204,486.780000 Apr-2023 1,269,426.450000 1,380,084.330000 1,361,125.110000 1,203,020.490000 May-2023 1,262,571.550000 1,367,437.810000 1,354,411.910000 1,194,004.440000 Jun-2023 1,276,207.320000 1,390,318.590000 1,376,467.030000 1,204,599 Jul-2023 1,289,990.360000 1,409,501.210000 1,381,632.400000 1,207,647.370000 Aug-2023 1,294,247.330000 1,413,405.220000 1,366,035.480000 1,194,355.510000 Sep-2023 1,280,657.730000 1,396,683.990000 1,320,092.750000 1,162,392.440000 Oct-2023 1,268,747.610000 1,380,419.170000 1,290,713.600000 1,149,221.630000 Nov-2023 1,312,265.660000 1,442,958.120000 1,386,068.330000 1,217,024.980000 Dec-2023 1,336,017.670000 1,496,751.680000 1,430,908 1,245,812.040000 Jan-2024 1,348,977.040000 1,496,692.220000 1,438,038.960000 1,243,906.750000 Feb-2024 1,372,584.140000 1,501,065.710000 1,448,640.340000 1,244,863 Mar-2024 1,394,545.480000 1,518,823.390000 1,458,875.380000 1,244,664.130000 Apr-2024 1,386,317.660000 1,504,545.980000 1,440,494.670000 1,231,324.150000 May-2024 1,408,498.750000 1,521,075.500000 1,448,570.710000 1,228,340.440000 Jun-2024 1,449,345.210000 1,535,440.440000 1,478,759.610000 1,247,931.180000 Jul-2024 1,470,215.780000 1,565,290.970000 1,494,191.760000 1,258,691.280000 Aug-2024 1,487,270.280000 1,590,823.700000 1,508,609.440000 1,269,016.440000 Sep-2024 1,512,553.880000 1,616,561.730000 1,528,951.590000 1,281,778.730000 Oct-2024 1,491,529 1,607,824 1,509,348 1,265,053 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years 10 Years Class I 17.55 % 4.80 % 4.08 % Bloomberg U.S. Corporate High Yield Index 16.47 % 4.55 % 4.86 % S&P Municipal Yield Index 16.94 % 2.53 % 4.20 % S&P Municipal Bond Index 10.08 % 1.22 % 2.38 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 4,237,049,109 |
Holdings Count | Holding | 1,182 |
Advisory Fees Paid, Amount | $ 5,268,220 |
InvestmentCompanyPortfolioTurnover | 136.03% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $4,237,049,109 Number of Portfolio Holdings 1,182 Portfolio Turnover Rate 136.03% Net Investment Advisory Fees (net of waivers and reimbursements) $5,268,220 |
Holdings [Text Block] | Value Value Municipal Bonds 100.0% Footnote Reference Short-Term Investments 0.0% Footnote Reference Footnote Reference |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since November 1, 2023. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com Effective December 27, 2023, The Fund changed name from First Eagle High Income Fund to First Eagle High Yield Municipal Fund. The Fund also changed its investment objectives, principal investment strategies, and principal risks accordingly. The Adviser has contractually agreed to waive its management fee for the period from November 1, 2023 through April 30, 2024. Prior to December 27, 2023, the Fund paid the Adviser an administrative fee at an annual rate of 0.05% of the Fund’s average daily net assets. Effective December 27, 2023, the Fund reimbursed the Adviser administrative costs not exceeding 0.05% of the Fund's average daily net assets. |
C000179786 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle High Yield Municipal Fund |
Class Name | Class R6 |
Trading Symbol | FEHRX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the Year? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $28 0.26% |
Expenses Paid, Amount | $ 28 |
Expense Ratio, Percent | 0.26% |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle High Yield Municipal Fund (Class R6) | $13,946 Bloomberg U.S. Corporate High Yield Index | $14,269 S&P Municipal Yield Index | $13,541 S&P Municipal Bond Index | $11,922 Mar-2017 10,011 9,977.680000 10,027.610000 10,021.510000 Apr-2017 10,100.100000 10,092.900000 10,133.600000 10,093.780000 May-2017 10,155.650000 10,180.670000 10,241.020000 10,226.660000 Jun-2017 10,122.130000 10,194.430000 10,234.270000 10,203.570000 Jul-2017 10,201.090000 10,307.340000 10,297.790000 10,270.940000 Aug-2017 10,158.240000 10,303.300000 10,399.150000 10,351.280000 Sep-2017 10,251.700000 10,395.810000 10,309.130000 10,304.310000 Oct-2017 10,299.880000 10,439.720000 10,302.370000 10,317.760000 Nov-2017 10,299.880000 10,413.070000 10,330.520000 10,273.200000 Dec-2017 10,323.570000 10,444.540000 10,439.530000 10,370.600000 Jan-2018 10,428.870000 10,507.180000 10,414.100000 10,272.090000 Feb-2018 10,322.500000 10,417.880000 10,399.360000 10,232.190000 Mar-2018 10,405.080000 10,354.960000 10,510.400000 10,274.890000 Apr-2018 10,424.850000 10,422.330000 10,541 10,239.420000 May-2018 10,456.120000 10,419.440000 10,708.860000 10,355.300000 Jun-2018 10,494.810000 10,461.260000 10,769.620000 10,368.340000 Jul-2018 10,549.380000 10,575.430000 10,827.410000 10,394.920000 Aug-2018 10,604.240000 10,653.420000 10,906.420000 10,414.160000 Sep-2018 10,659.380000 10,712.750000 10,854.010000 10,353.740000 Oct-2018 10,586.900000 10,541.490000 10,722.220000 10,285.810000 Nov-2018 10,431.270000 10,450.800000 10,761.160000 10,392.520000 Dec-2018 10,263.330000 10,227.040000 10,868.110000 10,511.210000 Jan-2019 10,518.880000 10,689.340000 10,931.640000 10,588.460000 Feb-2019 10,685.080000 10,867.090000 11,031.770000 10,644.170000 Mar-2019 10,684.010000 10,969.300000 11,292.480000 10,801.470000 Apr-2019 10,765.210000 11,125.260000 11,353.290000 10,837.530000 May-2019 10,722.150000 10,993.050000 11,546.320000 10,983.310000 Jun-2019 10,900.140000 11,243.590000 11,616.080000 11,030.400000 Jul-2019 10,959 11,306.990000 11,699.500000 11,115.360000 Aug-2019 11,021.470000 11,352.220000 11,957.980000 11,274.760000 Sep-2019 11,042.410000 11,393.560000 11,930.790000 11,201.960000 Oct-2019 10,984.990000 11,425.030000 11,949.680000 11,218.620000 Nov-2019 11,012.450000 11,462.320000 11,988.040000 11,237.530000 Dec-2019 11,183.140000 11,691.490000 12,054.760000 11,274.300000 Jan-2020 11,176.430000 11,694.600000 12,313.500000 11,457.870000 Feb-2020 11,000.960000 11,529.690000 12,560.160000 11,596.200000 Mar-2020 9,829.360000 10,208.430000 11,416.660000 11,209.250000 Apr-2020 10,279.540000 10,668.360000 11,102.050000 11,077.340000 May-2020 10,566.340000 11,138.350000 11,495.410000 11,408.250000 Jun-2020 10,801.970000 11,247.380000 11,914.460000 11,496.860000 Jul-2020 11,158.440000 11,774.670000 12,192.300000 11,658.660000 Aug-2020 11,380.490000 11,886.600000 12,230.070000 11,630.340000 Sep-2020 11,419.180000 11,764.340000 12,236.240000 11,632.920000 Oct-2020 11,494.550000 11,824.080000 12,258.960000 11,616.490000 Nov-2020 11,796.860000 12,291.840000 12,531.800000 11,763.870000 Dec-2020 11,997.400000 12,523.190000 12,748.990000 11,832.750000 Jan-2021 11,997.400000 12,564.610000 12,986.180000 11,899.370000 Feb-2021 11,914.620000 12,610.770000 12,845.830000 11,737.640000 Mar-2021 11,915.810000 12,629.640000 12,947.660000 11,802.200000 Apr-2021 11,952.750000 12,766.820000 13,120.150000 11,897.070000 May-2021 12,031.640000 12,804.580000 13,265.140000 11,944.940000 Jun-2021 12,260.240000 12,976.110000 13,405.450000 11,979.320000 Jul-2021 12,312.960000 13,025.530000 13,543.730000 12,063.090000 Aug-2021 12,354.820000 13,092.440000 13,512.120000 12,030.550000 Sep-2021 12,382.010000 13,091.010000 13,390.020000 11,948.550000 Oct-2021 12,341.140000 13,068.600000 13,346.870000 11,936.820000 Nov-2021 12,244.880000 12,941.500000 13,518.140000 12,024.810000 Dec-2021 12,423.660000 13,184.080000 13,559.050000 12,042.080000 Jan-2022 12,175.190000 12,823.580000 13,184.640000 11,754.580000 Feb-2022 12,020.560000 12,691.920000 13,080.090000 11,694.390000 Mar-2022 11,870.300000 12,546.410000 12,624.650000 11,376.070000 Apr-2022 11,560.490000 12,100.280000 12,156.600000 11,068.070000 May-2022 11,577.830000 12,129.950000 12,351.490000 11,231.540000 Jun-2022 10,946.840000 11,313.240000 11,916.480000 11,032.020000 Jul-2022 11,433.970000 11,981.100000 12,397.030000 11,317.300000 Aug-2022 11,284.190000 11,705.010000 12,105.940000 11,058.400000 Sep-2022 10,918.580000 11,240.100000 11,366.970000 10,656.950000 Oct-2022 11,211.200000 11,532.200000 11,155.580000 10,580.870000 Nov-2022 11,389.460000 11,782.510000 11,826.720000 11,070.560000 Dec-2022 11,381.480000 11,708.970000 11,798.570000 11,073.140000 Jan-2023 11,724.070000 12,154.760000 12,310.680000 11,385.560000 Feb-2023 11,566.960000 11,998.500000 11,957.550000 11,120.430000 Mar-2023 11,752.030000 12,126.760000 12,141.170000 11,351.620000 Apr-2023 11,833.120000 12,247.850000 12,211.660000 11,337.800000 May-2023 11,769.220000 12,135.620000 12,151.430000 11,252.830000 Jun-2023 11,879.860000 12,338.680000 12,349.310000 11,352.670000 Jul-2023 12,023.600000 12,508.920000 12,395.650000 11,381.400000 Aug-2023 12,063.280000 12,543.570000 12,255.720000 11,256.130000 Sep-2023 11,936.620000 12,395.170000 11,843.530000 10,954.900000 Oct-2023 11,825.600000 12,250.820000 11,579.950000 10,830.770000 Nov-2023 12,232.410000 12,805.840000 12,435.450000 11,469.780000 Dec-2023 12,456.260000 13,283.240000 12,837.740000 11,741.080000 Jan-2024 12,577.080000 13,282.710000 12,901.710000 11,723.130000 Feb-2024 12,831.140000 13,321.530000 12,996.830000 11,732.140000 Mar-2024 13,023.610000 13,479.120000 13,088.650000 11,730.260000 Apr-2024 12,963.700000 13,352.410000 12,923.750000 11,604.540000 May-2024 13,171.120000 13,499.110000 12,996.200000 11,576.420000 Jun-2024 13,553.080000 13,626.590000 13,267.050000 11,761.050000 Jul-2024 13,748.250000 13,891.510000 13,405.500000 11,862.460000 Aug-2024 13,907.730000 14,118.100000 13,534.860000 11,959.770000 Sep-2024 14,151.110000 14,346.520000 13,717.360000 12,080.050000 Oct-2024 13,946 14,269 13,541 11,922 |
Average Annual Return [Table Text Block] | Class/Index Name 1 Year 5 Years Since Inception (3/1/17) Class R6 17.89 % 4.88 % 4.42 % Bloomberg U.S. Corporate High Yield Index 16.47 % 4.55 % 4.70 % S&P Municipal Yield Index 16.94 % 2.53 % 4.04 % S&P Municipal Bond Index 10.08 % 1.22 % 2.34 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 4,237,049,109 |
Holdings Count | Holding | 1,182 |
Advisory Fees Paid, Amount | $ 5,268,220 |
InvestmentCompanyPortfolioTurnover | 136.03% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $4,237,049,109 Number of Portfolio Holdings 1,182 Portfolio Turnover Rate 136.03% Net Investment Advisory Fees (net of waivers and reimbursements) $5,268,220 |
Holdings [Text Block] | Value Value Municipal Bonds 100.0% Footnote Reference Short-Term Investments 0.0% Footnote Reference Footnote Reference |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since November 1, 2023. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com Effective December 27, 2023, The Fund changed name from First Eagle High Income Fund to First Eagle High Yield Municipal Fund. The Fund also changed its investment objectives, principal investment strategies, and principal risks accordingly. The Adviser has contractually agreed to waive its management fee for the period from November 1, 2023 through April 30, 2024. Prior to December 27, 2023, the Fund paid the Adviser an administrative fee at an annual rate of 0.05% of the Fund’s average daily net assets. Effective December 27, 2023, the Fund reimbursed the Adviser administrative costs not exceeding 0.05% of the Fund's average daily net assets. |
C000247344 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Short Duration High Yield Municipal Fund |
Class Name | Class A |
Trading Symbol | FDUAX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the period January 2, 2024 to October 31, 2024? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class A $37 Footnote Reference 0.43% Footnote Reference Footnote Description Footnote 1 The cost of a $10,000 investment is based on the period January 2, 2024 to October 31, 2024. Had the class been open for the full fiscal year, the cost of a $10,000 investment would have been higher. Footnote 2 Annualized. |
Expenses Paid, Amount | $ 37 |
Expense Ratio, Percent | 0.43% |
Expenses Short Period Footnote [Text Block] | The cost of a $10,000 investment is based on the period January 2, 2024 to October 31, 2024. Had the class been open for the full fiscal year, the cost of a $10,000 investment would have been higher. |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Short Duration High Yield Municipal Fund (Class A) | $10,289 S&P Municipal Bond Index | $10,170 S&P Short Duration Municipal Yield Index | $10,352 Jan-2024 9,750 10,000 10,000 Feb-2024 9,789 10,007.690000 10,041.700000 Mar-2024 9,839.900000 10,006.090000 10,093.850000 Apr-2024 9,865.490000 9,898.850000 10,041.410000 May-2024 9,920.730000 9,874.860000 10,043.340000 Jun-2024 10,064.580000 10,032.350000 10,154.200000 Jul-2024 10,170.260000 10,118.860000 10,236.050000 Aug-2024 10,267.900000 10,201.860000 10,335.330000 Sep-2024 10,349.010000 10,304.460000 10,424.830000 Oct-2024 10,289 10,170 10,352 |
Average Annual Return [Table Text Block] | Class/Index Name Since Inception (1/2/24) Class A - without sales charge 6.30 % Class A - with sales charge 3.60 % S&P Municipal Bond Index 1.54 % S&P Short Duration Municipal Yield Index 3.84 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 160,676,830 |
Holdings Count | Holding | 201 |
Advisory Fees Paid, Amount | $ 0 |
InvestmentCompanyPortfolioTurnover | 202.33% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $160,676,830 Number of Portfolio Holdings 201 Portfolio Turnover Rate 202.33% Footnote Reference Net Investment Advisory Fees (net of waivers and reimbursements) $- Footnote Description Footnote 1 Not annualized. |
Holdings [Text Block] | Value Value Municipal Bonds 99.9% Short-Term Investments 0.1% Footnote Reference |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since January 2, 2024. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com The Fund incepted on January 2, 2024. The Adviser has contractually agreed to waive its management fee for the period from May 1, 2024 through October 31, 2024. |
C000247345 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Short Duration High Yield Municipal Fund |
Class Name | Class I |
Trading Symbol | FDUIX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the period January 2, 2024 to October 31, 2024? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class I $19 Footnote Reference 0.22% Footnote Reference Footnote Description Footnote 1 The cost of a $10,000 investment is based on the period January 2, 2024 to October 31, 2024. Had the class been open for the full fiscal year, the cost of a $10,000 investment would have been higher. Footnote 2 Annualized. |
Expenses Paid, Amount | $ 19 |
Expense Ratio, Percent | 0.22% |
Expenses Short Period Footnote [Text Block] | The cost of a $10,000 investment is based on the period January 2, 2024 to October 31, 2024. Had the class been open for the full fiscal year, the cost of a $10,000 investment would have been higher. |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Short Duration High Yield Municipal Fund (Class I) | $1,057,064 S&P Municipal Bond Index | $1,017,000 S&P Short Duration Municipal Yield Index | $1,035,155 Jan-2024 1,000,000 1,000,000 1,000,000 Feb-2024 1,003,700 1,000,768.750000 1,004,169.840000 Mar-2024 1,009,722.200000 1,000,608.870000 1,009,385.320000 Apr-2024 1,012,549.420000 989,884.610000 1,004,140.930000 May-2024 1,018,422.210000 987,485.950000 1,004,333.800000 Jun-2024 1,033,393.020000 1,003,235.320000 1,015,419.670000 Jul-2024 1,043,416.930000 1,011,885.560000 1,023,604.870000 Aug-2024 1,054,581.490000 1,020,186.150000 1,033,533.380000 Sep-2024 1,063,123.600000 1,030,445.990000 1,042,483.030000 Oct-2024 1,057,064 1,017,000 1,035,155 |
Average Annual Return [Table Text Block] | Class/Index Name Since Inception (1/2/24) Class I 6.56 % S&P Municipal Bond Index 1.54 % S&P Short Duration Municipal Yield Index 3.84 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 160,676,830 |
Holdings Count | Holding | 201 |
Advisory Fees Paid, Amount | $ 0 |
InvestmentCompanyPortfolioTurnover | 202.33% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $160,676,830 Number of Portfolio Holdings 201 Portfolio Turnover Rate 202.33% Footnote Reference Net Investment Advisory Fees (net of waivers and reimbursements) $- Footnote Description Footnote 1 Not annualized. |
Holdings [Text Block] | Value Value Municipal Bonds 99.9% Short-Term Investments 0.1% Footnote Reference |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since January 2, 2024. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com The Fund incepted on January 2, 2024. The Adviser has contractually agreed to waive its management fee for the period from May 1, 2024 through October 31, 2024. |
C000247343 | |
Shareholder Report [Line Items] | |
Fund Name | First Eagle Short Duration High Yield Municipal Fund |
Class Name | Class R6 |
Trading Symbol | FDURX |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.firsteagle.com/first-eagle-fund-shareholder-reports. You can also request this information by contacting us at 800.334.2143. |
Additional Information Phone Number | 800.334.2143 |
Additional Information Website | https://www.firsteagle.com/first-eagle-fund-shareholder-reports |
Expenses [Text Block] | What Were the Fund's Costs for the period January 2, 2024 to October 31, 2024? Based on a Hypothetical $10,000 Investment Class Name Cost of a $10,000 Investment Cost Paid as a Percentage of a $10,000 Investment Class R6 $28 Footnote Reference 0.32% Footnote Reference Footnote Description Footnote 1 The cost of a $10,000 investment is based on the period January 2, 2024 to October 31, 2024. Had the class been open for the full fiscal year, the cost of a $10,000 investment would have been higher. Footnote 2 Annualized. |
Expenses Paid, Amount | $ 28 |
Expense Ratio, Percent | 0.32% |
Expenses Short Period Footnote [Text Block] | The cost of a $10,000 investment is based on the period January 2, 2024 to October 31, 2024. Had the class been open for the full fiscal year, the cost of a $10,000 investment would have been higher. |
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of the Fund's future performance. |
Line Graph [Table Text Block] | First Eagle Short Duration High Yield Municipal Fund (Class R6) | $10,574 S&P Municipal Bond Index | $10,170 S&P Short Duration Municipal Yield Index | $10,352 Jan-2024 10,000 10,000 10,000 Feb-2024 10,042 10,007.690000 10,041.700000 Mar-2024 10,096.230000 10,006.090000 10,093.850000 Apr-2024 10,124.500000 9,898.850000 10,041.410000 May-2024 10,184.230000 9,874.860000 10,043.340000 Jun-2024 10,333.940000 10,032.350000 10,154.200000 Jul-2024 10,445.550000 10,118.860000 10,236.050000 Aug-2024 10,547.910000 10,201.860000 10,335.330000 Sep-2024 10,643.900000 10,304.460000 10,424.830000 Oct-2024 10,574 10,170 10,352 |
Average Annual Return [Table Text Block] | Class/Index Name Since Inception (1/2/24) Class R6 6.54 % S&P Municipal Bond Index 1.54 % S&P Short Duration Municipal Yield Index 3.84 % |
No Deduction of Taxes [Text Block] | The graph and table do not reflect the deduction of taxes that a shareholder would pay on fund distributions or redemption of fund shares. |
Updated Performance Information Location [Text Block] | visit https://www.firsteagle.com if you have questions about current performance. |
AssetsNet | $ 160,676,830 |
Holdings Count | Holding | 201 |
Advisory Fees Paid, Amount | $ 0 |
InvestmentCompanyPortfolioTurnover | 202.33% |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $160,676,830 Number of Portfolio Holdings 201 Portfolio Turnover Rate 202.33% Footnote Reference Net Investment Advisory Fees (net of waivers and reimbursements) $- Footnote Description Footnote 1 Not annualized. |
Holdings [Text Block] | Value Value Municipal Bonds 99.9% Short-Term Investments 0.1% Footnote Reference |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes of the Fund since January 2, 2024. For more information contact 800.334.2143 or you may review the Fund’s next prospectus, which is expected to be available by March 1, 2025 at https://www.firsteagle.com The Fund incepted on January 2, 2024. The Adviser has contractually agreed to waive its management fee for the period from May 1, 2024 through October 31, 2024. |