0001193125-13-441409.txt : 20131114 0001193125-13-441409.hdr.sgml : 20131114 20131114101257 ACCESSION NUMBER: 0001193125-13-441409 CONFORMED SUBMISSION TYPE: 485BPOS PUBLIC DOCUMENT COUNT: 7 FILED AS OF DATE: 20131114 DATE AS OF CHANGE: 20131114 EFFECTIVENESS DATE: 20131114 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BRIDGEWAY FUNDS INC CENTRAL INDEX KEY: 0000916006 IRS NUMBER: 760421237 STATE OF INCORPORATION: TX FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: 485BPOS SEC ACT: 1933 Act SEC FILE NUMBER: 033-72416 FILM NUMBER: 131217319 BUSINESS ADDRESS: STREET 1: 20 GREENWAY PLAZA STREET 2: SUITE 450 CITY: HOUSTON STATE: TX ZIP: 77046 BUSINESS PHONE: 7136613500 MAIL ADDRESS: STREET 1: 20 GREENWAY PLAZA STREET 2: SUITE 450 CITY: HOUSTON STATE: TX ZIP: 77046 FORMER COMPANY: FORMER CONFORMED NAME: BRIDGEWAY FUND INC DATE OF NAME CHANGE: 19931209 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BRIDGEWAY FUNDS INC CENTRAL INDEX KEY: 0000916006 IRS NUMBER: 760421237 STATE OF INCORPORATION: TX FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: 485BPOS SEC ACT: 1940 Act SEC FILE NUMBER: 811-08200 FILM NUMBER: 131217320 BUSINESS ADDRESS: STREET 1: 20 GREENWAY PLAZA STREET 2: SUITE 450 CITY: HOUSTON STATE: TX ZIP: 77046 BUSINESS PHONE: 7136613500 MAIL ADDRESS: STREET 1: 20 GREENWAY PLAZA STREET 2: SUITE 450 CITY: HOUSTON STATE: TX ZIP: 77046 FORMER COMPANY: FORMER CONFORMED NAME: BRIDGEWAY FUND INC DATE OF NAME CHANGE: 19931209 0000916006 S000004419 Aggressive Investors 1 Fund C000012182 Class N BRAGX 0000916006 S000004420 Blue Chip 35 Index Fund C000012183 Class N BRLIX 0000916006 S000004421 Managed Volatility Fund C000012184 Class N BRBPX 0000916006 S000004423 Ultra-Small Company Fund C000012186 Class N BRUSX 0000916006 S000004424 Ultra-Small Company Market Fund C000012187 Class N BRSIX 0000916006 S000004426 Small-Cap Growth Fund C000012189 Class N BRSGX 0000916006 S000004427 Small-Cap Value Fund C000012190 Class N BRSVX 0000916006 S000004428 Large-Cap Growth Fund C000012191 Class N BRLGX 0000916006 S000028994 Small-Cap Momentum Fund C000089010 Class N BRSMX 0000916006 S000030751 Omni Tax-Managed Small-Cap Value Fund C000095375 Class N BOTSX 0000916006 S000033567 Omni Small-Cap Value Fund C000103073 Class N BOSVX 485BPOS 1 d600857d485bpos.htm BRIDGEWAY FUNDS, INC. Bridgeway Funds, Inc.

As filed with the Securities and Exchange Commission on November 14, 2013

1933 Act No. 033-72416

1940 Act No. 811-08200

 

 

 

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-1A

REGISTRATION STATEMENT

UNDER

THE SECURITIES ACT OF 1933   x
Post-Effective Amendment No. 46   x
and/or  

REGISTRATION STATEMENT

UNDER

THE INVESTMENT COMPANY ACT OF 1940

   Amendment No. 46   x

(Check appropriate box or boxes)

 

 

BRIDGEWAY FUNDS, INC.

(Exact Name of Registrant as Specified in Charter)

 

 

20 Greenway Plaza Suite 450

Houston, Texas 77046

(Address of Principal Executive Office) (Zip Code)

(713) 661-3500

(Registrant’s Telephone Number, including Area Code)

 

 

Send Copies of Communications to:

 

John N. R. Montgomery  
Chairman, Bridgeway Capital Management, Inc.   Prufesh R. Modhera, Esq.
20 Greenway Plaza Suite 450   Stradley, Ronon, Stevens, & Young LLP
Houston, Texas 77046   1250 Connecticut Ave., NW, Suite 500
(Name and Address of Agent for Service)   Washington, District of Columbia 20036

It is proposed that this filing will become effective: (check appropriate box)

 

x immediately upon filing pursuant to paragraph (b)
¨ on [date] pursuant to paragraph (b)
¨ 60 days after filing pursuant to paragraph (a)(1)
¨ on [date] pursuant to paragraph (a)(1)
¨ 75 days after filing pursuant to paragraph (a)(2)
¨ on [date] pursuant to paragraph (a)(2) of rule 485.

If appropriate, check the following box:

 

¨ This post-effective amendment designated a new effective date for a previously filed post-effective amendment.

 

 

 


SIGNATURES

Pursuant to the requirements of the Securities Act of 1933, as amended, and the Investment Company Act of 1940, as amended, the Registrant (a Maryland corporation) certifies that it meets all of the requirements for effectiveness of this Post-Effective Amendment No. 46 to its Registration Statement on Form N-1A under Rule 485(b) under the Securities Act of 1933 and has duly caused this Post-Effective Amendment No. 46 to the Registration Statement to be signed on its behalf by the undersigned, thereunto duly authorized, in the City of Houston, and State of Texas, on this 14th day of November, 2013.

 

Bridgeway Funds, Inc.
/s/ Michael D. Mulcahy
Michael D. Mulcahy, President

Pursuant to the requirements of the 1933 Act, this Registration Statement has been signed below by the following persons in the capacities and on the date(s) indicated.

 

Signature

  

Title

 

Date

/s/ Michael D. Mulcahy

Michael D. Mulcahy

  

President and Director

  November 14, 2013

/s/ John N. R. Montgomery*

John N. R. Montgomery

  

Vice President and Director

  November 14, 2013

/s/ Linda G. Giuffre*

Linda G. Giuffre

  

Treasurer and Principal Financial Officer

  November 14, 2013

/s/ Kirbyjon Caldwell*

Kirbyjon Caldwell

  

Director

  November 14, 2013

/s/ Karen S. Gerstner*

Karen S. Gerstner

  

Director

  November 14, 2013

/s/ Miles D. Harper, III*

Miles D. Harper, III

  

Director

  November 14, 2013

/s/ Evan Harrel*

Evan Harrel

  

Director

  November 14, 2013

 

*By   /s/ Michael D. Mulcahy
 

Michael D. Mulcahy

as Attorney-in-Fact for each of the persons indicated (pursuant to powers of attorney filed electronically as an exhibit to Post Effective Amendment No. 24 on October 26, 2007).


SCHEDULE OF EXHIBITS TO FORM N-1A

Bridgeway Funds, Inc.

 

Exhibit
Number

  

Exhibit

EX-101.INS    XBRL Instance Document
EX-101.SCH    XBRL Taxonomy Extension Schema Document
EX-101.CAL    XBRL Taxonomy Extension Calculation Linkbase
EX-101.DEF    XBRL Taxonomy Extension Definition Linkbase
EX-101.LAB    XBRL Taxonomy Extension Labels Linkbase
EX-101.PRE    XBRL Taxonomy Extension Presentation Linkbase
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(expenses that you pay each year as a percentage of the value of your investment)</b> false 0.006 2013-06-30 0 0.0001 0.0075 0.0136 -0.0041 FUND SUMMARY: AGGRESSIVE INVESTORS 1 FUND 0.0095 0 <b>Investment Objective: </b> The Aggressive Investors 1 Fund (the &#8220;Fund&#8221;) seeks to exceed the stock market total return (primarily through capital appreciation) at a level of total risk roughly equal to that of the stock market over longer periods of time (three year intervals or more). 0 <b>Fees and Expenses of the Fund: </b> This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. 0 0 FUND SUMMARY: SMALL-CAP MOMENTUM FUND <b>Shareholder Fees </b><b>(paid directly from your investment)</b> 0 <b>Investment Objective:</b> 0 0 The Small-Cap Momentum Fund (the &#8220;Fund&#8221;) seeks to provide long-term total return on capital, primarily through capital appreciation. 0 <b>Fees and Expenses of the Fund:</b> 0 This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. 0 0.0008 0 0.0019 <b>Shareholder Fees </b><b>(paid directly from your investment)</b> 0.0027 <b>Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses. </b> <b>Example: </b> -0.02 -0.0012 0.0015 <b>Annual Fund Operating Expenses </b><b>(expenses that you pay each year as a percentage of the value of your investment)</b> This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds. <br /><br />The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: <b>Example:</b> FUND SUMMARY: ULTRA-SMALL COMPANY MARKET FUND 97 <b>Investment Objective: </b> 303 525 The Ultra-Small Company Market Fund (the &#8220;Fund&#8221;) seeks to provide a long-term total return on capital, primarily through capital appreciation. 1166 <b>Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)</b> <b>Fees and Expenses of the Fund: </b> 15 48 This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. 85 192 <b>Portfolio Turnover: </b> <b>Shareholder Fees </b><b>(paid directly from your investment)</b> 0 FUND SUMMARY: OMNI TAX-MANAGED SMALL-CAP VALUE FUND 0 <b>Investment Objective: </b> 0 0.0055 FUND SUMMARY: BLUE CHIP 35 INDEX FUND This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.<br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: 0 The Omni Tax-Managed Small-Cap Value Fund (the &#8220;Fund&#8221;) seeks to provide long-term total return on capital, primarily through capital appreciation. 0 <b>Portfolio Turnover:</b> 0 0 The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 264% of the average value of its portfolio. <b>Fees and Expenses of the Fund: </b> This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. 0.0016 <b>Shareholder Fees (paid directly from your investment)</b> 2.64 0.005 0.0487 -0.02 <b>Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)</b> 0 <b>Principal Investment Strategies:</b> 0.0558 0 <b>Investment Objective: </b> Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (&#8220;common stocks&#8221;) of small-cap companies at the time of purchase. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ that the Adviser determines to have positive risk-adjusted momentum (i.e., above-average recent returns) based on a statistically driven approach. The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund&#8217;s investments, &#8220;foreign securities&#8221; means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.<br/><br/>Although the Fund seeks investments across a number of sectors, from time to time, in pursuing the Fund&#8217;s investment strategy, the Fund may have significant positions in particular sectors.<br/><br/>The Adviser expects to rebalance the Fund&#8217;s portfolio (selling securities that, in the Adviser&#8217;s opinion, have lower risk-adjusted momentum and buying securities that, in the Adviser&#8217;s opinion, have higher risk-adjusted momentum) no less frequently than quarterly, and thus, the Fund engages in active and frequent trading of portfolio securities.<br/><br/>The Fund may purchase stock market index futures in order to hedge cash. -0.0452 0.0001 <b>Principal Risks:</b> <b>Example: </b> 0.0106 0.0027 The Blue Chip 35 Index Fund (the &#8220;Fund&#8221;) seeks to provide a long-term total return on capital, primarily through capital appreciation, but also some income. This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds. <br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: <b>Fees and Expenses of the Fund: </b> 0.0078 <b>Portfolio Turnover: </b> This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 34% of the average value of its portfolio. -0.0017 <b>Annual Fund Operating Expenses </b><b>(expenses that you pay each year as a percentage of the value of your investment)</b> <b>Shareholder Fees (paid directly from your investment)</b> 0.34 0.0061 0.005 <b>Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)</b> 0 <b>Principal Investment Strategies: </b> The Fund invests in a broad and diverse group of small-cap stocks that the Adviser determines to be value stocks. Value stocks are those the Adviser determines are priced cheaply relative to some financial measures of worth, such as the ratio of price to book, price to earnings, price to sales, or price to cash flow. The Adviser uses a market capitalization approach to weight the securities in the Fund&#8217;s portfolio. This means that a security&#8217;s weight in the Fund&#8217;s portfolio at the time of purchase is roughly proportional to its market capitalization relative to the other securities in the portfolio. Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (&#8220;common stocks&#8221;) of small-cap companies at the time of purchase. For purposes of the Fund&#8217;s investments, the Adviser considers small-cap stocks to be those of companies that have a market capitalization generally in the lowest 15% of total market capitalization or smaller than the 1,000th largest U.S. company, whichever results in the higher market capitalization break. As of September 30, 2013, the stocks in this group had a market capitalization of less than $5.01 billion. This dollar amount will change with market conditions. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, the NYSE MKT and NASDAQ. <br/><br/>The Adviser&#8217;s tax management strategies seek to minimize the distribution of capital gains, within the constraints of the investment objective and small company focus, by offsetting capital gains with capital losses, minimizing short-term capital gains, and reducing the receipt of dividends when possible. <br/><br/>The Adviser will not necessarily sell a stock if it &#8220;migrates&#8221; to a different category after purchase. As a result, due to such &#8220;migration&#8221; or other market movements, the Fund may have less than 80% of its assets in small-cap stocks at any point in time. <br/><br/>Use of the term &#8220;omni&#8221; in the name refers to the fact that the Fund intends to invest in a broad and diverse group of small-cap value stocks that approximately reflect the risk and return of all small-cap value stocks as a whole. <br/><br/>Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions and portfolio positioning to reflect a profile of a universe of stocks, the Fund may have significant positions in particular sectors. <br/><br/>The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund&#8217;s investments, &#8220;foreign securities&#8221; means those securities issued by companies: (i) that are domiciled in a country other than the United States; and (ii) that derive 50% or more of their total revenue from activities outside of the United States. 0.0011 0.0029 <b>Principal Risks: </b> The value of the Fund&#8217;s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money. <br/><br/>Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks. <br/><br/>Value investing carries the risk that the market will not recognize a security&#8217;s intrinsic value for a long time or that a stock judged to be undervalued by various value measures may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as &#8220;growth&#8221; stocks. <br/><br/>Tax management strategies carry the risk of altering investment decisions and affecting portfolio holdings and may result in lower returns, as compared to funds that are not tax managed. <br/><br/>Investments in foreign securities can be more volatile than investments in U.S. securities. <br/><br/>Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector. 0.009 -0.0004 0.0086 <b>Example: </b> The value of the Fund&#8217;s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money. This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.<br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: 0 62 <b>Portfolio Turnover: </b> <b>Performance:</b> 0 195 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgewayomni.com or by calling 800-661-3550. 0 340 0 The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 28% of the average value of its portfolio. <b>Principal Investment Strategies: </b> <b>Principal Risks: </b> The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for the period compare with those of a broad measure of market performance. <b>Performance:</b> 0.0051 Past performance (before and after taxes) does not guarantee future results. The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. www.bridgewayomni.com 800-661-3550 762 <b>Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.</b> <b>Omni Tax-Managed Small-Cap Value Fund<br/>Year by Year Returns as of 12/31 of Each Year </b> <b>Example: </b> <b>Average Annual Total Returns (For the period ended 12/31/12) </b> The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. 800-661-3550 www.bridgeway.com FUND SUMMARY: ULTRA-SMALL COMPANY FUND Past performance (before and after taxes) does not guarantee future results. 0 This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.<br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: 0.28 0.0012 <b>Investment Objective: </b> 0.004 0.0103 88 -0.0541 108 274 The Ultra-Small Company Fund (the &#8220;Fund&#8221;) seeks to provide a long-term total return on capital, primarily through capital appreciation. 0.1662 0.164 0.1109 0.1805 0.1662 477 <b>Fees and Expenses of the Fund: </b> 1061 This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. 0.0503 0.0489 0.0428 0.0562 337 105 <b>Portfolio Turnover: </b> <b>Shareholder Fees (paid directly from your investment)</b> The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 41% of the average value of its portfolio. The value of the Fund&#8217;s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.<br/><br/>Investing in securities with positive risk-adjusted momentum entails investing in securities that may be more volatile than a broad cross-section of stock market securities.<br/><br/>Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.<br/><br/>Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector.<br/><br/>Investments in foreign securities can be more volatile than investments in U.S. securities.<br/><br/>A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund&#8217;s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.<br/><br/>The Fund&#8217;s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund&#8217;s total return. 328 585 0.41 The value of the Fund&#8217;s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money. 0 1294 <b>Principal Investment Strategies: </b> 0.2887 0 0.0479 0 <b>Performance:</b> 0 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. 0.0005 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for the period compare with those of a broad measure of market performance. 0.1418 0.1103 0.1061 0.1635 0.1542 0.0607 800-661-3550 The Fund aims to achieve its objective by approximating the total return of the Cap-Based Portfolio 10 Index (the &#8220;Index&#8221;) published by the University of Chicago&#8217;s Center for Research in Security Prices (&#8220;CRSP&#8221;) over longer time periods. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in ultra-small company stocks based on company size at the time of purchase. For purposes of the Fund&#8217;s investments, &#8220;ultra-small companies&#8221; are defined as those: (i) companies that have a market capitalization the size of the smallest 10% of companies listed on the New York Stock Exchange; or (ii) companies with a capitalization that falls within the range of capitalization of companies included in the Index as defined by CRSP. A majority of the stocks in the Fund are listed on NASDAQ. On June 30, 2013, the stocks in this group generally had a market capitalization of less than $307 million. The Adviser invests in a representative sample of the companies included in the Index. However, the Adviser also may invest in companies that are not included in the Index.<br/><br/> Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.<br/><br/>The Adviser also seeks to minimize the distribution of capital gains, within the constraints of the investment objective and ultra-small company focus, by offsetting capital gains with capital losses. By paying close attention to trading, the Adviser seeks to conduct such tax management without detriment to the overall Fund return.<br /><br />The Fund may purchase stock market index futures in order to hedge cash. <b>Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)</b> 0.1211 0.0938 0.0906 0.1163 -0.333 0.2661 www.bridgeway.com <b>Principal Risks: </b> 0.009 0.106 569 0.0317 0 1259 0.152 Past performance (before and after taxes) does not guarantee future results. 0.0016 0.0027 0.0133 <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> 0.2099 0.2055 0.1412 0.1805 <b>Average Annual Total Returns (For the periods ended 12/31/12) </b> <b>Small-Cap Momentum Fund</b><br/><b>Annual % Return as of 12/31</b> The market price of ultra-small company shares typically exhibits greater volatility than small-company and even micro-cap company shares and much greater volatility than large-company shares. Therefore, shareholders of this Fund are exposed to higher risk and could lose money.<br/><br/> The Fund is also subject to the risk that ultra-small company stocks will underperform other kinds of investments for a period of time.<br/><br/>Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector.<br/><br/>If too many ultra-small companies in the Fund outgrow the Fund&#8217;s ultra-small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.<br/><br/>The Fund&#8217;s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund&#8217;s total return. 0.1053 0.152 0.1472 0.16 0.0211 0.0172 0.0171 0.0166 -0.003 -0.0048 -0.0029 0.0355 0.0626 0.0584 0.0533 0.071 0.0597 0.0587 0.0522 0.0679 Therefore, shareholders of this Fund are exposed to higher risk and could lose money. <b>Performance:</b> -0.0092 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. 0.1418 <b>Example: </b> This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.<br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: <b>Return from 1/1/13 through 9/30/13 </b> 2013-09-30 135 421 Best Quarter: 729 1601 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. 2011-12-31 0.1578 2010-05-28 800-661-3550 Worst Quarter: 2011-09-30 -0.235 www.bridgeway.com <b>Portfolio Turnover: </b> <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> Past performance (before and after taxes) does not guarantee future results. The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 89% of the average value of its portfolio. <b>Principal Investment Strategies:</b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> <b>Average Annual Total Returns (For the periods ended 12/31/12)</b> <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans. </b> <b>Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.</b> The Fund invests in a diversified portfolio of common stocks of ultra-small companies. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in ultra-small company stocks based on company size at the time of purchase. For purposes of the Fund&#8217;s investments, &#8220;ultra-small companies&#8221; are defined as those: (i) companies that have a market capitalization the size of the smallest 20% of companies listed on the New York Stock Exchange; or (ii) companies with a capitalization that falls within the range of capitalization of companies included in the Cap-Based Portfolio 9 Index or the Cap-Based Portfolio 10 Index as defined by the University of Chicago&#8217;s Center for Research in Security Prices (&#8220;CRSP&#8221;). A majority of these stocks are listed on NASDAQ. On June 30, 2013, the stocks in this group generally had a market capitalization of less than $586 million. Bridgeway Capital Management, Inc. (the &#8220;Adviser&#8221;) selects stocks for the Fund using a statistically driven approach.<br/><br/>The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund&#8217;s investments, &#8220;foreign securities&#8221; means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.<br/><br/>Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.<br/><br/>The Fund may engage in active and frequent trading.<br/><br/>The Fund may purchase stock market index futures in order to hedge cash. 0.7943 0.2012 <b>Principal Risks: </b> 0.0408 0.1148 -0.054 -0.3949 0.2595 0.2486 -0.0786 The Fund seeks to achieve its objective by approximating the total return of the Bridgeway Ultra-Large 35 Index (the &#8220;Index&#8221;), a proprietary Index composed by the Adviser, while minimizing the distribution of capital gains and minimizing costs. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in blue chip company stocks included within the Index. As of September 30, 2013, more than 99% of the Fund&#8217;s net assets were invested this way.<br/><br/>The Fund invests in the stocks that comprise the Index and seeks to approximately match the Index composition and weighting. The long-term objective of this roughly equally weighted Index is to hold 35 &#8220;blue-chip&#8221; companies, excluding any tobacco companies and ensuring reasonable industry diversification.<br/><br/>Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.<br/><br/>This &#8220;roughly equally weighted&#8221; index contrasts with most other &#8220;market-cap weighted&#8221; indexes, which give more weight to the stocks that have appreciated the most in price. Therefore, the Index is a more &#8220;value-oriented&#8221; index structure. Similar to other index funds, the actual return of this Fund will likely underperform the Index over the long term by an amount similar to the Fund&#8217;s expenses and transaction costs.<br/><br/>The Fund may purchase stock market index futures in order to hedge cash. 0.1983 The market prices of ultra-small company shares typically exhibit greater volatility than small-company shares and even micro-cap company shares and much greater volatility than large-company shares. Therefore, shareholders of this Fund are exposed to higher risk and could lose money.<br/><br/>The Fund is also subject to the risk that ultra-small company stocks will underperform other kinds of investments for a period of time.<br/><br/>Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector.<br/><br/>A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund&#8217;s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.<br/><br/>Investments in foreign securities can be more volatile than investments in U.S. securities.<br/><br/>The Fund&#8217;s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund&#8217;s total return. <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesOmniTax-ManagedSmall-CapValueFund column period compact * ~</div> <b>Performance:</b> The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 45% of the average value of its portfolio. <b>Ultra-Small Company Fund<br/>Year by Year % Returns as of 12/31 of Each Year</b> 0.45 <b>Principal Investment Strategies: </b> Shareholders of this Fund are exposed to significant stock market related risk (volatility) and could lose money.<br/><br/> While large companies tend to exhibit less price volatility than small companies, historically they have not recovered as fast from a market decline. Consequently, this Fund may expose shareholders to higher inflation risk (the risk that the Fund value will not keep up with inflation) than some other stock market investments.<br/><br/>The Fund is also subject to the risk that blue chip company stocks will underperform other kinds of investments for a period of time. This risk is true of any market segment.<br/><br/>Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector.<br/><br/>There is risk that the Fund&#8217;s total return may be lower than the total return of the Index that the Fund seeks to approximate.<br/><br/>The Fund&#8217;s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund&#8217;s total return. Shareholders of this Fund are exposed to significant stock market related risk (volatility) and could lose money. <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesOmniTax-ManagedSmall-CapValueFund column period compact * ~</div> 0.8857 0.2333 0.0299 0.2155 To achieve the objective of providing a high current return with less short-term risk than the stock market, the Fund uses multiple techniques: purchasing or selling stocks, options, futures, and fixed-income securities. Together, these strategies are designed to provide the Fund with more stable returns over a wide range of fixed-income and equity market environments. Up to 75% of the Fund&#8217;s total assets may be invested in common stocks and options on any size companies on which options are traded on a national securities exchange. At all times, at least 25% of the Fund&#8217;s total assets will be invested in equities. The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund&#8217;s investments, &#8220;foreign securities&#8221; means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.<br/><br/> The Adviser selects stocks for the Fund using a statistically driven approach that spans various investment styles including both &#8220;growth&#8221; and &#8220;value.&#8221; The Adviser may also select stocks and options according to a more passive strategy, including investing in stock market index futures and options. The Fund may also purchase or sell any financial (but not commodity) futures, puts, or calls within the scope of its investment objective and strategy. Specifically, the Fund may short stock index futures to hedge a similar basket of stocks and sell covered call or put options to reduce the risk of stock ownership. These instruments can be used to hedge cash, manage market risk, dampen volatility in line with its investment objective, arbitrage the difference between stocks and futures and create synthetic option positions.<br/><br/> With respect to fixed income investments, the Adviser normally invests at least 25% of the Fund&#8217;s total assets in fixed-income securities: U.S. government obligations, mortgage and asset-backed securities, corporate bonds, collateralized mortgage obligations, and/or other fixed-income instruments. In addition, the Fund&#8217;s strategy with respect to credit rating may vary over time. The Adviser anticipates that fixed-income investments will largely be limited to U.S. government securities and high quality corporate debt. <b>Principal Risks:</b> -0.0277 -0.4624 0.4893 0.2355 -0.1464 0.2449 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedOmniTax-ManagedSmall-CapValueFund column period compact * ~</div> <b>Average Annual Total Returns (For the periods ended 12/31/12) </b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsOmniTax-ManagedSmall-CapValueFundBarChart column period compact * ~</div> The Fund&#8217;s stock holdings are subject to market risk. The protective qualities inherent in option writing are partial. In addition, the Adviser may not always write options on the full number of shares of stock it owns, thus exposing the Fund to the full market risk of these shares. Therefore, shareholders of this Fund are exposed to risk and could lose money.<br/><br/> The Fund invests in companies of any size for which exchange-traded options are available. Small companies are more vulnerable to financial and other risks than large companies.<br/><br/> The Fund&#8217;s fixed-income holdings are subject to three types of risk: interest rate risk, credit risk and prepayment risk.<br/><br/> The Fund&#8217;s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund&#8217;s total return. The Fund&#8217;s investments in stock index futures are subject to the risk that the returns of the basket of stocks to which they are hedged are reduced by losses on the futures in a rising market.<br/><br/> A covered call position will result in a loss on its expiration date if the underlying stock price has fallen since the purchase by an amount greater than the price for which the option was sold. Thus, the Fund&#8217;s option strategies may not fully protect it against declines in the value of its stocks. In addition, the option writing strategy limits the upside profit potential normally associated with stocks. In addition, the Fund&#8217;s investments in covered call and put options are subject to the risk that they may not provide sufficient protection to compensate for a decline in the underlying stock.<br/><br/> Investments in foreign securities can be more volatile than investments in U.S. securities.<br/><br/> The Fund could experience a loss in the stock, option, and fixed-income portions of its holdings at the same time. 0.2449 0.244 0.1602 0.2147 0.01 0.0084 0.0078 0.0525 Therefore, shareholders of this Fund are exposed to risk and could lose money. 0.1152 0.1007 0.1002 0.129 <b>Performance:</b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedOmniTax-ManagedSmall-CapValueFund column period compact * ~</div> The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. In addition, the Fund&#8217;s performance is compared to the Bloomberg/EFFAS U.S. Government 1-3 Year Total Return Bond Index, a transparent benchmark for the total return of the one- to three-year U.S. Government bond market. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. <b>Ultra-Small Company Market Fund </b><br/><b>Year by Year % Returns as of 12/31 of Each Year</b> 800-661-3550 <b>Average Annual Total Returns (For the periods ended 12/31/12) </b> www.bridgeway.com Past performance (before and after taxes) does not guarantee future results. <b>Managed Volatility Fund<br/>Year by Year % Returns as of 12/31 of Each Year</b> <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 35.60%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q2 03 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 30.87% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 08 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -27.94% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> 0.0041 <b>Example: </b> This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.<br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 28.69%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 11 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 15.78% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q3 11 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -23.50% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> 0 <b>Portfolio Turnover: </b> <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 6.34%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4&nbsp;11 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 8.98% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 08 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -9.19% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> 0.0033 The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 149% of the average value of its portfolio. 0.0074 <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 18.41%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q2 03 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 16.07% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 08 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -19.01% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> <b>Return from 1/1/13 through 9/30/13</b> <b>Principal Investment Strategies: </b> FUND SUMMARY: LARGE-CAP GROWTH FUND <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 42.52%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q2&nbsp;09 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 38.67% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 08 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -27.19% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> <b>Investment Objective: </b> 0.1782 The Large-Cap Growth Fund (the &#8220;Fund&#8221;) seeks to provide long-term total return on capital, primarily through capital appreciation. 0.0761 2013-09-30 <b>Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses. </b> 0.0696 0.356 Best Quarter: 0.0665 2003-06-30 0.3087 Worst Quarter: <b>Fees and Expenses of the Fund: </b> 0 This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. 0.0658 <b>Shareholder Fees (paid directly from your investment)</b> 0 <b>Return from 1/1/13 through 9/30/13</b> -0.1938 <b>Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)</b> 0 0.1239 <b>Example: </b> 0.0541 0 0.0194 This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds. <br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: 0.0646 <b>Portfolio Turnover: </b> The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 49% of the average value of its portfolio. 0.49 0.0042 0.0646 0.064 0.0429 0.16 0.0058 <b>Principal Investment Strategies: </b> 0 2013-09-30 The Fund invests in a diversified portfolio of large stocks that are listed on the New York Stock Exchange, NYSE MKT, and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the large-cap growth category at the time of purchase. The Adviser selects stocks within the large-cap growth category for the Fund using a statistically driven approach. Growth stocks are those the Adviser believes have above average prospects for economic growth.<br /><br /> Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.<br /><br /> While the Fund is managed for long-term total return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case. 0.0072 0.0021 0.004 0.0166 0.0242 0.0048 <b>Principal Risks: </b> Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money.<br /><br /> Growth stocks may be more volatile than other stocks because they are generally more sensitive to investor perceptions and market movements. In addition, growth stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as &#8220;value&#8221; stocks.<br /><br /> In addition, large-cap stocks have tended to recover more slowly than small-cap stocks from a market downturn. Consequently, the Fund may expose shareholders to higher inflation risk (the risk that the Fund value will not keep up with inflation) than some other stock market segments.<br /><br /> Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector. <br /><br />If the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so. 0.009 0.2585 0.048 0.0427 0.0392 0.071 0.0278 <b>Performance:</b> Best Quarter: -0.0006 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. 2011-12-31 0.0084 0.188 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. Worst Quarter: 2011-09-30 -0.2268 Past performance (before and after taxes) does not guarantee future results. www.bridgeway.com 800-661-3550 <b>Large-Cap Growth Fund<br/> Year by Year % Returns as of 12/31 of Each Year </b> 0.89 0.0677 FUND SUMMARY: SMALL-CAP VALUE FUND 0.0933 <b>Investment Objective: </b> 0.0499 The Small-Cap Value Fund (the &#8220;Fund&#8221;) seeks to provide long-term total return on capital, primarily through capital appreciation. 86 0.1901 <b>Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses. </b> 268 <b>Fees and Expenses of the Fund: </b> This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. -0.4542 466 <b>Return from 1/1/13 through 9/30/13</b> <b>Shareholder Fees (paid directly from your investment)</b> 0.1983 0.1623 0.1727 0.2147 1037 <b>Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)</b> 2013-09-30 Therefore, shareholders of this Fund are exposed to higher risk and could lose money. -0.0023 0.01 0.006 0.0525 0.3666 0.0634 0.0953 0.0868 0.0834 0.129 Best Quarter: 2011-12-31 0.1364 0.0898 0.1621 0.1597 0.1085 0.1526 -0.0071 Worst Quarter: The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. -0.005 -0.0062 -0.0044 0.0312 2008-12-31 0.1621 The Fund invests in a diversified portfolio of common stocks of companies of any size that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ. Bridgeway Capital Management, Inc. (the &#8220;Adviser&#8221;) selects stocks for the Fund using a statistically driven approach. The Fund seeks to achieve the risk objective by investing in stocks that the Adviser believes have a lower probability of price decline over the long term, though the stock price may be more volatile in the short term. The Fund may invest in stocks for which there is relatively low market liquidity, as periodically determined by the Adviser based on the stock&#8217;s trading volume. The Fund may also use aggressive investment techniques such as: <ul type="square"><li>leveraging (borrowing up to 50% of its net assets from banks),</li> <li>purchasing and selling futures and options on individual stocks and stock market indexes to increase or decrease the Fund&#8217;s exposure to stock market risk in order to attempt to maintain a more constant level of risk,</li> <li> purchasing and selling financial or commodity futures and options to diversify risk,</li> <li>entering into short-sale transactions (up to 20% of its total assets),</li><li> investing up to 20% of its total assets in a single company,</li> <li>investing up to 15% of its total assets in foreign securities (as defined below), and</li> <li>short-term trading (buying and selling the same security in less than a three-month timeframe).</li></ul> For purposes of the Fund&#8217;s investments, &#8220;foreign securities&#8221; means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S. <br/><br/>Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions, the Fund may have significant positions in particular sectors. <br/><br/>The Fund sometimes invests in a smaller number of companies than other mutual funds. <br/><br/>The Fund may engage in active and frequent trading. -0.0919 <b>Principal Risks: </b> 0.043 0.0421 0.0372 0.0571 800-661-3550 0.2869 <b>Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses. </b> www.bridgeway.com <b>Return from 1/1/13 through 9/30/13</b> 2013-09-30 Past performance (before and after taxes) does not guarantee future results. <b>Example: </b> 0.2545 <b>Blue Chip 35 Index Fund<br/>Year by Year % Returns as of 12/31 of Each Year</b> This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.<br/><br/> The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: <b>Portfolio Turnover: </b> <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 64% of the average value of its portfolio. 0.64 <b>Principal Investment Strategies:</b> The Fund invests in a diversified portfolio of small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT, and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the small-cap value category at the time of purchase. The Adviser selects stocks within the small-cap value category for the Fund using a statistically driven approach. Value stocks are those the Adviser believes are priced cheaply relative to some financial measures of worth, such as the ratio of price to earnings, price to sales, or price to cash flow.<br/><br/> Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.<br/><br/> While the Fund is managed for long-term total return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case. Best Quarter: 2009-06-30 <b>Principal Risks: </b> 0.1396 Shareholders of the Fund are exposed to above average stock market risk (volatility) and could lose money.<br/><br/> Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks. <br/><br/>Value investing carries the risk that the market will not recognize a security&#8217;s intrinsic value for a long time or that a stock judged to be undervalued may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as &#8220;growth&#8221; stocks. <br/><br/>Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector. <br/><br/>If too many small companies in the Fund outgrow the Fund&#8217;s small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so. Worst Quarter: Shareholders of the Fund are exposed to above average stock market risk (volatility) and could lose money. 2008-12-31 <b>Performance:</b> -0.2649 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. 2008-12-31 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. 1.49 -0.2794 <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 25.85%</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 11 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 18.80% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q3 11 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -22.68% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> FUND SUMMARY: OMNI SMALL-CAP VALUE FUND 800-661-3550 2010-12-31 www.bridgeway.com <b>Investment Objective:</b> Past performance (before and after taxes) does not guarantee future results. 0 The Omni Small-Cap Value Fund (the &#8220;Fund&#8221;) seeks to provide long-term total return on capital, primarily through capital appreciation. 0 <b>Small-Cap Value Fund </b><br/> <b>Year by Year % Returns as of 12/31 of Each Year </b> <b>Fees and Expenses of the Fund:</b> 0 This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. 0 <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> <b>Shareholder Fees (paid directly from your investment)</b> <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 26.57%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q2&nbsp;09 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 28.36% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 08 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -28.58% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> 0.005 <b>Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)</b> <b>Average Annual Total Returns (For the periods ended 12/31/12) </b> 0 Shareholders of the Fund are exposed to higher risk than the stock market as a whole and could lose money.<br /><br />Since the Fund invests in companies of any size and because there are a larger number of small and less liquid companies that the Fund could invest in, the Fund may bear the short-term risk (volatility) associated with small companies, especially in the early stages of an economic or stock market downturn.<br /><br />The Fund may also exhibit higher volatility due to the use of aggressive investment techniques including futures, options, and leverage. Futures and options may not always be successful hedges, and their prices can be highly volatile. They may not always successfully manage risk. Using futures and options could lower a Fund&#8217;s total return, and the potential loss from the use of futures can exceed a Fund&#8217;s initial investment in such contracts. Leverage created from borrowing may impair the Fund&#8217;s liquidity, cause it to liquidate positions at an unfavorable time, increase volatility or otherwise not achieve its intended objective.<br /><br /> Investments in foreign securities can be more volatile than investments in U.S. securities.<br /><br />Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector.<br /><br />Individual short-sale positions can theoretically expose the Fund to unlimited loss on such positions, although the Adviser seeks to mitigate this potential loss by limiting a single short-sale position to 2.5% of the Fund&#8217;s net assets at the time of opening the position.<br /><br />A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund&#8217;s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.<br /><br />The Fund may invest in a small number of companies, which will likely add to Fund volatility. <b>Example:</b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.<br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: 0.0028 <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> <b>Portfolio Turnover:</b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesSmall-CapMomentumFund column period compact * ~</div> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> 0.0078 <b>Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.</b> The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 34% of the average value of its portfolio. <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> Shareholders of the Fund are exposed to higher risk than the stock market as a whole and could lose money. <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesSmall-CapMomentumFund column period compact * ~</div> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> 0.34 <b>Return from 1/1/13 through 9/30/13</b> -0.0018 <b>Average Annual Total Returns (For the periods ended 12/31/12) </b> 2013-09-30 <b>Principal Investment Strategies:</b> Best Quarter: 0.006 0.2657 <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. </b> <b>Performance:</b> The Fund invests in a broad and diverse group of small-cap stocks that the Adviser determines to be value stocks. Value stocks are those the Adviser determines are priced cheaply relative to some financial measures of worth, such as the ratio of price to book, price to earnings, price to sales, or price to cash flow. The Adviser uses a market capitalization approach to weight the securities in the Fund&#8217;s portfolio. This means that a security&#8217;s weight in the Fund&#8217;s portfolio at the time of purchase is roughly proportional to its market capitalization relative to the other securities in the portfolio. Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (&#8220;common stocks&#8221;) of small-cap companies at the time of purchase. For purposes of the Fund&#8217;s investments, the Adviser considers small-cap stocks to be those of companies that have a market capitalization generally in the lowest 15% of total market capitalization or smaller than the 1,000th largest U.S. company, whichever results in the higher market capitalization break. As of September 30, 2013, the stocks in this group had a market capitalization of less than $5.01 billion. This dollar amount will change with market conditions. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, the NYSE MKT and NASDAQ.<br/><br/>The Adviser will not necessarily sell a stock if it &#8220;migrates&#8221; to a different category after purchase. As a result, due to such &#8220;migration&#8221; or other market movements, the Fund may have less than 80% of its assets in small-cap stocks at any point in time.<br/><br/>Use of the term &#8220;omni&#8221; in the name refers to the fact that the Fund intends to invest in a broad and diverse group of small-cap value stocks that approximately reflect the risk and return of all small-cap value stocks as a whole.<br/><br/>Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions and portfolio positioning to reflect a profile of a universe of stocks, the Fund may have significant positions in particular sectors.<br/><br/>The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund&#8217;s investments, &#8220;foreign securities&#8221; means those securities issued by companies: (i) that are domiciled in a country other than the United States; and (ii) that derive 50% or more of their total revenue from activities outside of the United States. 2003-06-30 <b>Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.</b> Best Quarter: <b>Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.</b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> 0.1607 <b>Principal Risks:</b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> 2009-06-30 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedSmall-CapMomentumFund column period compact * ~</div> Worst Quarter: The value of the Fund&#8217;s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.<br /><br />Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.<br /><br />Value investing carries the risk that the market will not recognize a security&#8217;s intrinsic value for a long time or that a stock judged to be undervalued by various value measures may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as &#8220;growth&#8221; stocks.<br /><br />Investments in foreign securities can be more volatile than investments in U.S. securities.<br /><br />Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector. 2008-12-31 0.2836 -0.1901 <b>Return from 1/1/13 through 9/30/13</b> Worst Quarter: 2013-09-30 The value of the Fund&#8217;s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money. <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsLarge-CapGrowthFundBarChart column period compact * ~</div> 0.1841 2008-12-31 <b>Performance: </b> -0.2858 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows the Fund&#8217;s performance for the last calendar year. The table shows how the Fund&#8217;s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgewayomni.com or by calling 800-661-3550. <b>Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.</b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsSmall-CapMomentumFundBarChart column period compact * ~</div> The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows the Fund&#8217;s performance for the last calendar year. The table shows how the Fund&#8217;s average annual returns for the period compare with those of a broad measure of market performance. Past performance (before and after taxes) does not guarantee future results. <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesBlueChip35IndexFund column period compact * ~</div> 2003-10-31 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedSmall-CapMomentumFund column period compact * ~</div> 800-661-3550 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesBlueChip35IndexFund column period compact * ~</div> www.bridgewayomni.com <b>Omni Small-Cap Value Fund<br/>Annual % Return as of 12/31</b> <b>Return from 1/1/13 through 9/30/13</b> 61 2013-09-30 <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 28.80%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q1&nbsp;12 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 14.48% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q2 12 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -6.32% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> 192 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedBlueChip35IndexFund column period compact * ~</div> 0.1774 0.4252 335 0.1733 <b>Return from 1/1/13 through 9/30/13</b> 2013-09-30 Best Quarter: The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. 750 0.288 0.1892 2009-06-30 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsBlueChip35IndexFundBarChart column period compact * ~</div> <b>Average Annual Total Returns (For the periods ended 12/31/12) </b> Best Quarter: 0.3867 0.1277 Worst Quarter: 0.0693 2012-03-31 2008-12-31 -0.4557 -0.2719 0.1448 0.2698 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedBlueChip35IndexFund column period compact * ~</div> Worst Quarter: 76 0.1655 0.1774 0.1733 0.1209 0.1805 2012-06-30 0.0105 -0.0632 0.1631 0.1596 0.139 0.1605 Past performance (before and after taxes) does not guarantee future results. 0.2099 www.bridgeway.com 800-661-3550 237 <b>Average Annual Total Returns (For the period ended 12/31/12)</b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsSmall-CapValueFundBarChart column period compact * ~</div> <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> <b>Aggressive Investors 1 Fund </b><br/><b>Year by Year % Returns as of 12/31 of Each Year </b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> 2011-08-31 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedSmall-CapValueFund column period compact * ~</div> 0.5397 411 0.1221 918 0.1493 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesSmall-CapValueFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesSmall-CapValueFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedSmall-CapValueFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsOmniSmall-CapValueFundBarChart column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsManagedVolatilityFundBarChart column period compact * ~</div> 0.0711 0.258 0.2158 0.2092 0.1461 0.16 0.1635 -0.0693 -0.0729 -0.0588 0.0166 0.0356 -0.5616 0.0645 0.0566 0.0571 0.071 0.0972 0.2398 0.1782 -0.1031 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsUltra-SmallCompanyMarketFundBarChart column period compact * ~</div> 0.2158 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesOmniSmall-CapValueFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesOmniSmall-CapValueFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedOmniSmall-CapValueFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedOmniSmall-CapValueFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesUltra-SmallCompanyMarketFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesUltra-SmallCompanyMarketFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedUltra-SmallCompanyMarketFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedUltra-SmallCompanyMarketFund column period compact * ~</div> <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 25.45%. </b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q2&nbsp;09 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 13.96% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 08 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -26.49% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> 2003-10-31 <b>Return from 1/1/13 through 9/30/13</b> 2013-09-30 0.2733 Best Quarter: 2003-06-30 0.2834 Worst Quarter: 2008-12-31 -0.328 <b>Average Annual Total Returns (For the periods ended 12/31/12) </b> <b>After-tax returns are calculated using the highest historical individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> <b>Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.</b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesAggressiveInvestors1Fund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesAggressiveInvestors1Fund column period compact * ~</div> FUND SUMMARY: SMALL-CAP GROWTH FUND <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedAggressiveInvestors1Fund column period compact * ~</div> <b>Investment Objective: </b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesLarge-CapGrowthFund column period compact * ~</div> The Small-Cap Growth Fund (the &#8220;Fund&#8221;) seeks to provide long-term total return on capital, primarily through capital appreciation. <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesLarge-CapGrowthFund column period compact * ~</div> <b>Fees and Expenses of the Fund:</b> This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund. <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedLarge-CapGrowthFund column period compact * ~</div> <b>Shareholder Fees </b><b>(paid directly from your investment)</b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedLarge-CapGrowthFund column period compact * ~</div> 0 0 0 0 0.0049 0 0.0064 <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 27.33%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q2 03 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 28.34% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 08 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -32.80% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsAggressiveInvestors1FundBarChart column period compact * ~</div> 0.0113 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesUltra-SmallCompanyFund column period compact * ~</div> 96 -0.0019 300 0.0094 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedAggressiveInvestors1Fund column period compact * ~</div> 520 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesUltra-SmallCompanyFund column period compact * ~</div> 1155 <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedUltra-SmallCompanyFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsUltra-SmallCompanyFundBarChart column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedUltra-SmallCompanyFund column period compact * ~</div> <b>Annual Fund Operating Expenses </b><b>(expenses that you pay each year as a percentage of the value of your investment)</b> <b>Portfolio Turnover: </b> <b>Example: </b> This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.<br/><br/>The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund&#8217;s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: The Fund pays transaction costs, such as commissions, when it buys and sells securities (or &#8220;turns over&#8221; its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund&#8217;s performance. During the most recent fiscal year, the Fund&#8217;s portfolio turnover rate was 78% of the average value of its portfolio. <b> Principal Investment Strategies:</b> The Fund invests in a diversified portfolio of small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the small-cap growth category at the time of purchase. The Adviser selects stocks within the small-cap growth category for the Fund using a statistically driven approach. Growth stocks are those the Adviser believes have above average prospects for economic growth.<br/><br/>Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.<br/><br/>While the Fund is managed for long-term return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case.<br/><br/> The Fund may engage in active and frequent trading. Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money.<br/><br/>Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.<br/><br/>Growth stocks may be more volatile than other stocks because they are generally more sensitive to investor perceptions and market movements. In addition, growth stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as &#8220;value&#8221; stocks.<br/><br/>Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund&#8217;s portfolio holdings to a particular sector, the Fund&#8217;s performance will be more susceptible to any economic, business or other developments which generally affect that sector.<br/><br/>If too many small companies in the Fund outgrow the Fund&#8217;s small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.<br/><br/>A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund&#8217;s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account. <b>Principal Risks: </b> <b>Performance:</b> <b>Small-Cap Growth Fund </b><br/><b>Year by Year % Returns as of 12/31 of Each Year </b> 0.1159 0.1824 0.0531 0.0687 -0.4348 0.1504 0.1177 -0.0063 0.1105 <p style="margin-top: 10px; margin-bottom: 0px;" align="center"> <b>Return from 1/1/13 through 9/30/13 was 39.97%.</b></p><table style="border-collapse: collapse;" border="0" cellspacing="0" cellpadding="0" width="70%" align="center"> <tr><td width="50%">&nbsp;</td> <td valign="bottom" width="11%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td valign="bottom" width="15%">&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td> <td>&nbsp;</td></tr> <tr><td style="border-bottom: #7f7f7f 1px solid;" valign="bottom">&nbsp; &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Quarter</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp;&nbsp; </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom" colspan="2" align="center"> <b>Total<br />Return</b> </td> <td style="border-bottom: #7f7f7f 1px solid;" valign="bottom"> &nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Best Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q4 11 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> 19.95% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr> <tr><td valign="top"> <div style="text-indent: -1em; margin-left: 2em;"> Worst Quarter: </div></td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> Q3 11 </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp;&nbsp; </td> <td valign="bottom"> &nbsp; </td> <td valign="bottom" align="right"> -26.49% </td> <td valign="bottom" nowrap="nowrap"> &nbsp;&nbsp; </td></tr></table> Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money. <b>Return from 1/1/13 through 9/30/13</b> 2013-09-30 0.3997 Best Quarter: 2011-12-31 0.1995 Worst Quarter: 2011-09-30 -0.2649 <b>Average Annual Total Returns (For the periods ended 12/31/12) </b> 0.1105 0.1105 0.0718 0.1459 -0.0431 -0.0434 -0.0362 0.0349 0.0222 0.0221 0.0191 0.0648 Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money. 2003-10-31 The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. 800-661-3550 www.bridgeway.com Past performance (before and after taxes) does not guarantee future results. <b>After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.</b> <b>After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.</b> <b>Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.</b> <b>Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.</b> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleShareholderFeesSmall-CapGrowthFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualFundOperatingExpensesSmall-CapGrowthFund column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAnnualTotalReturnsSmall-CapGrowthFundBarChart column period compact * ~</div> <div style="display:none">~ http://www.bridgeway.com/role/ScheduleAverageAnnualTotalReturnsTransposedSmall-CapGrowthFund column period compact * ~</div> The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund&#8217;s performance has varied on a calendar year basis. The table shows how the Fund&#8217;s average annual returns for various periods compare with those of a broad measure of market performance. In addition, the Fund&#8217;s performance is compared to the Russell 2000<sup>&#174;</sup> Index, an unmanaged, market value weighted index that measures the performance of the 2,000 companies that are between the 1,000th and 3,000th largest in the market with dividends reinvested. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund&#8217;s website at www.bridgeway.com or by calling 800-661-3550. <div style="display:none">~ http://www.bridgeway.com/role/ScheduleExpenseExampleTransposedSmallCapGrowthFund column period compact * ~</div> 0.78 Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies. Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.94%. Acquired Fund Fees and Expenses are not included in the 0.94% expense limitation. Any material change to this Fund policy would require a vote by shareholders. Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses. Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.15%. Any material change to this Fund policy would require a vote by shareholders. Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.75%. Acquired Fund Fees and Expenses are not included in the 0.75% expense limitation. Any material change to this Fund policy would require a vote by shareholders. Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.90%. Acquired Fund Fees and Expenses are not included in the 0.90% expense limitation. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement. Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses. After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans. After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans. Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.84%. Any material change to this Fund policy would require a vote by shareholders. After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans. Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.60%. Acquired Fund Fees and Expenses are not included in the 0.60% expense limitation. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement. Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.60%. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement. After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans. Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.94%. Any material change to this Fund policy would require a vote by shareholders. After-tax returns are calculated using the highest historical individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans. 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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Omni Tax-Managed Small-Cap Value Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: OMNI TAX-MANAGED SMALL-CAP VALUE FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Omni Tax-Managed Small-Cap Value Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 34% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 34.00%
Expenses Not Correlated to Ratio Due to Acquired Fund Fees [Text] rr_ExpensesNotCorrelatedToRatioDueToAcquiredFundFees Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund invests in a broad and diverse group of small-cap stocks that the Adviser determines to be value stocks. Value stocks are those the Adviser determines are priced cheaply relative to some financial measures of worth, such as the ratio of price to book, price to earnings, price to sales, or price to cash flow. The Adviser uses a market capitalization approach to weight the securities in the Fund’s portfolio. This means that a security’s weight in the Fund’s portfolio at the time of purchase is roughly proportional to its market capitalization relative to the other securities in the portfolio. Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (“common stocks”) of small-cap companies at the time of purchase. For purposes of the Fund’s investments, the Adviser considers small-cap stocks to be those of companies that have a market capitalization generally in the lowest 15% of total market capitalization or smaller than the 1,000th largest U.S. company, whichever results in the higher market capitalization break. As of September 30, 2013, the stocks in this group had a market capitalization of less than $5.01 billion. This dollar amount will change with market conditions. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, the NYSE MKT and NASDAQ.

The Adviser’s tax management strategies seek to minimize the distribution of capital gains, within the constraints of the investment objective and small company focus, by offsetting capital gains with capital losses, minimizing short-term capital gains, and reducing the receipt of dividends when possible.

The Adviser will not necessarily sell a stock if it “migrates” to a different category after purchase. As a result, due to such “migration” or other market movements, the Fund may have less than 80% of its assets in small-cap stocks at any point in time.

Use of the term “omni” in the name refers to the fact that the Fund intends to invest in a broad and diverse group of small-cap value stocks that approximately reflect the risk and return of all small-cap value stocks as a whole.

Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions and portfolio positioning to reflect a profile of a universe of stocks, the Fund may have significant positions in particular sectors.

The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the United States; and (ii) that derive 50% or more of their total revenue from activities outside of the United States.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Value investing carries the risk that the market will not recognize a security’s intrinsic value for a long time or that a stock judged to be undervalued by various value measures may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “growth” stocks.

Tax management strategies carry the risk of altering investment decisions and affecting portfolio holdings and may result in lower returns, as compared to funds that are not tax managed.

Investments in foreign securities can be more volatile than investments in U.S. securities.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.
Risk Lose Money [Text] rr_RiskLoseMoney The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgewayomni.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgewayomni.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Omni Tax-Managed Small-Cap Value Fund
Year by Year Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 28.69%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q4 11         15.78%   
Worst Quarter:
     Q3 11         -23.50%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the period ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Omni Tax-Managed Small-Cap Value Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.50%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.27%
Acquired Fund Fees and Expenses rr_AcquiredFundFeesAndExpensesOverAssets 0.01% [1]
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 0.78%
Fee Waiver and/or Expense Reimbursement rr_FeeWaiverOrReimbursementOverAssets (0.17%) [2]
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) rr_NetExpensesOverAssets 0.61% [3]
1 Year rr_ExpenseExampleYear01 $ 62
3 Years rr_ExpenseExampleYear03 195
5 Years rr_ExpenseExampleYear05 340
10 Years rr_ExpenseExampleYear10 $ 762
2011 rr_AnnualReturn2011 (5.41%)
2012 rr_AnnualReturn2012 16.62%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 28.69%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Dec. 31, 2011
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 15.78%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Sep. 30, 2011
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (23.50%)
1 Year rr_AverageAnnualReturnYear01 16.62%
Since Inception rr_AverageAnnualReturnSinceInception 5.03%
Inception Date rr_AverageAnnualReturnInceptionDate Dec. 31, 2010
Omni Tax-Managed Small-Cap Value Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 16.40% [4]
Since Inception rr_AverageAnnualReturnSinceInception 4.89% [4]
Omni Tax-Managed Small-Cap Value Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 11.09% [4]
Since Inception rr_AverageAnnualReturnSinceInception 4.28% [4]
Omni Tax-Managed Small-Cap Value Fund | Russell 2000® Value Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 18.05%
Since Inception rr_AverageAnnualReturnSinceInception 5.62%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.60%. Acquired Fund Fees and Expenses are not included in the 0.60% expense limitation. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement.
[3] Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
[4] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Blue Chip 35 Index Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: BLUE CHIP 35 INDEX FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Blue Chip 35 Index Fund (the “Fund”) seeks to provide a long-term total return on capital, primarily through capital appreciation, but also some income.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 28% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 28.00%
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund seeks to achieve its objective by approximating the total return of the Bridgeway Ultra-Large 35 Index (the “Index”), a proprietary Index composed by the Adviser, while minimizing the distribution of capital gains and minimizing costs. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in blue chip company stocks included within the Index. As of September 30, 2013, more than 99% of the Fund’s net assets were invested this way.

The Fund invests in the stocks that comprise the Index and seeks to approximately match the Index composition and weighting. The long-term objective of this roughly equally weighted Index is to hold 35 “blue-chip” companies, excluding any tobacco companies and ensuring reasonable industry diversification.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

This “roughly equally weighted” index contrasts with most other “market-cap weighted” indexes, which give more weight to the stocks that have appreciated the most in price. Therefore, the Index is a more “value-oriented” index structure. Similar to other index funds, the actual return of this Fund will likely underperform the Index over the long term by an amount similar to the Fund’s expenses and transaction costs.

The Fund may purchase stock market index futures in order to hedge cash.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock Shareholders of this Fund are exposed to significant stock market related risk (volatility) and could lose money.

While large companies tend to exhibit less price volatility than small companies, historically they have not recovered as fast from a market decline. Consequently, this Fund may expose shareholders to higher inflation risk (the risk that the Fund value will not keep up with inflation) than some other stock market investments.

The Fund is also subject to the risk that blue chip company stocks will underperform other kinds of investments for a period of time. This risk is true of any market segment.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

There is risk that the Fund’s total return may be lower than the total return of the Index that the Fund seeks to approximate.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return.
Risk Lose Money [Text] rr_RiskLoseMoney Shareholders of this Fund are exposed to significant stock market related risk (volatility) and could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Blue Chip 35 Index Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 18.41%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 03         16.07%   
Worst Quarter:
     Q4 08         -19.01%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Blue Chip 35 Index Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.08%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.19%
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 0.27%
Fee Waiver and/or Expense Reimbursement rr_FeeWaiverOrReimbursementOverAssets (0.12%) [1]
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) rr_NetExpensesOverAssets 0.15%
1 Year rr_ExpenseExampleYear01 $ 15
3 Years rr_ExpenseExampleYear03 48
5 Years rr_ExpenseExampleYear05 85
10 Years rr_ExpenseExampleYear10 $ 192
2003 rr_AnnualReturn2003 28.87%
2004 rr_AnnualReturn2004 4.79%
2005 rr_AnnualReturn2005 0.05%
2006 rr_AnnualReturn2006 15.42%
2007 rr_AnnualReturn2007 6.07%
2008 rr_AnnualReturn2008 (33.30%)
2009 rr_AnnualReturn2009 26.61%
2010 rr_AnnualReturn2010 10.60%
2011 rr_AnnualReturn2011 3.17%
2012 rr_AnnualReturn2012 15.20%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 18.41%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Jun. 30, 2003
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 16.07%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (19.01%)
1 Year rr_AverageAnnualReturnYear01 15.20%
5 Years rr_AverageAnnualReturnYear05 2.11%
10 Years rr_AverageAnnualReturnYear10 6.26%
Blue Chip 35 Index Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 14.72% [2]
5 Years rr_AverageAnnualReturnYear05 1.72% [2]
10 Years rr_AverageAnnualReturnYear10 5.84% [2]
Blue Chip 35 Index Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 10.53% [2]
5 Years rr_AverageAnnualReturnYear05 1.71% [2]
10 Years rr_AverageAnnualReturnYear10 5.33% [2]
Blue Chip 35 Index Fund | S&P 500® Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 16.00%
5 Years rr_AverageAnnualReturnYear05 1.66%
10 Years rr_AverageAnnualReturnYear10 7.10%
[1] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.15%. Any material change to this Fund policy would require a vote by shareholders.
[2] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.

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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Managed Volatility Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: MANAGED VOLATILITY FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Managed Volatility Fund (the “Fund”) seeks to provide a high current return with short-term risk less than or equal to 40% of the stock market.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 45% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 45.00%
Expenses Not Correlated to Ratio Due to Acquired Fund Fees [Text] rr_ExpensesNotCorrelatedToRatioDueToAcquiredFundFees Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock To achieve the objective of providing a high current return with less short-term risk than the stock market, the Fund uses multiple techniques: purchasing or selling stocks, options, futures, and fixed-income securities. Together, these strategies are designed to provide the Fund with more stable returns over a wide range of fixed-income and equity market environments. Up to 75% of the Fund’s total assets may be invested in common stocks and options on any size companies on which options are traded on a national securities exchange. At all times, at least 25% of the Fund’s total assets will be invested in equities. The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.

The Adviser selects stocks for the Fund using a statistically driven approach that spans various investment styles including both “growth” and “value.” The Adviser may also select stocks and options according to a more passive strategy, including investing in stock market index futures and options. The Fund may also purchase or sell any financial (but not commodity) futures, puts, or calls within the scope of its investment objective and strategy. Specifically, the Fund may short stock index futures to hedge a similar basket of stocks and sell covered call or put options to reduce the risk of stock ownership. These instruments can be used to hedge cash, manage market risk, dampen volatility in line with its investment objective, arbitrage the difference between stocks and futures and create synthetic option positions.

With respect to fixed income investments, the Adviser normally invests at least 25% of the Fund’s total assets in fixed-income securities: U.S. government obligations, mortgage and asset-backed securities, corporate bonds, collateralized mortgage obligations, and/or other fixed-income instruments. In addition, the Fund’s strategy with respect to credit rating may vary over time. The Adviser anticipates that fixed-income investments will largely be limited to U.S. government securities and high quality corporate debt.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock The Fund’s stock holdings are subject to market risk. The protective qualities inherent in option writing are partial. In addition, the Adviser may not always write options on the full number of shares of stock it owns, thus exposing the Fund to the full market risk of these shares. Therefore, shareholders of this Fund are exposed to risk and could lose money.

The Fund invests in companies of any size for which exchange-traded options are available. Small companies are more vulnerable to financial and other risks than large companies.

The Fund’s fixed-income holdings are subject to three types of risk: interest rate risk, credit risk and prepayment risk.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return. The Fund’s investments in stock index futures are subject to the risk that the returns of the basket of stocks to which they are hedged are reduced by losses on the futures in a rising market.

A covered call position will result in a loss on its expiration date if the underlying stock price has fallen since the purchase by an amount greater than the price for which the option was sold. Thus, the Fund’s option strategies may not fully protect it against declines in the value of its stocks. In addition, the option writing strategy limits the upside profit potential normally associated with stocks. In addition, the Fund’s investments in covered call and put options are subject to the risk that they may not provide sufficient protection to compensate for a decline in the underlying stock.

Investments in foreign securities can be more volatile than investments in U.S. securities.

The Fund could experience a loss in the stock, option, and fixed-income portions of its holdings at the same time.
Risk Lose Money [Text] rr_RiskLoseMoney Therefore, shareholders of this Fund are exposed to risk and could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. In addition, the Fund’s performance is compared to the Bloomberg/EFFAS U.S. Government 1-3 Year Total Return Bond Index, a transparent benchmark for the total return of the one- to three-year U.S. Government bond market. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Managed Volatility Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 6.34%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q4 11         8.98%   
Worst Quarter:
     Q4 08         -9.19%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Performance Table Explanation after Tax Higher rr_PerformanceTableExplanationAfterTaxHigher Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.
Managed Volatility Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.60%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.75%
Acquired Fund Fees and Expenses rr_AcquiredFundFeesAndExpensesOverAssets 0.01% [1]
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 1.36%
Fee Waiver and/or Expense Reimbursement rr_FeeWaiverOrReimbursementOverAssets (0.41%) [2]
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) rr_NetExpensesOverAssets 0.95% [3]
1 Year rr_ExpenseExampleYear01 $ 97
3 Years rr_ExpenseExampleYear03 303
5 Years rr_ExpenseExampleYear05 525
10 Years rr_ExpenseExampleYear10 $ 1,166
2003 rr_AnnualReturn2003 17.82%
2004 rr_AnnualReturn2004 7.61%
2005 rr_AnnualReturn2005 6.96%
2006 rr_AnnualReturn2006 6.65%
2007 rr_AnnualReturn2007 6.58%
2008 rr_AnnualReturn2008 (19.38%)
2009 rr_AnnualReturn2009 12.39%
2010 rr_AnnualReturn2010 5.41%
2011 rr_AnnualReturn2011 1.94%
2012 rr_AnnualReturn2012 6.46%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 6.34%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Dec. 31, 2011
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 8.98%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (9.19%)
1 Year rr_AverageAnnualReturnYear01 6.46%
5 Years rr_AverageAnnualReturnYear05 0.72%
10 Years rr_AverageAnnualReturnYear10 4.80%
Managed Volatility Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 6.40% [4]
5 Years rr_AverageAnnualReturnYear05 0.21% [4]
10 Years rr_AverageAnnualReturnYear10 4.27% [4]
Managed Volatility Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 4.29% [4]
5 Years rr_AverageAnnualReturnYear05 0.40% [4]
10 Years rr_AverageAnnualReturnYear10 3.92% [4]
Managed Volatility Fund | S&P 500® Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 16.00%
5 Years rr_AverageAnnualReturnYear05 1.66%
10 Years rr_AverageAnnualReturnYear10 7.10%
Managed Volatility Fund | Bloomberg/EFFAS U.S. Government 1-3 Year Total Return Bond Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 0.58%
5 Years rr_AverageAnnualReturnYear05 2.42%
10 Years rr_AverageAnnualReturnYear10 2.78%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.94%. Acquired Fund Fees and Expenses are not included in the 0.94% expense limitation. Any material change to this Fund policy would require a vote by shareholders.
[3] Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
[4] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 16 R72.htm IDEA: XBRL DOCUMENT v2.4.0.8
Omni Tax-Managed Small-Cap Value Fund
FUND SUMMARY: OMNI TAX-MANAGED SMALL-CAP VALUE FUND
Investment Objective:
The Omni Tax-Managed Small-Cap Value Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Omni Tax-Managed Small-Cap Value Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Omni Tax-Managed Small-Cap Value Fund
Class N
Management Fees 0.50%
Distribution and/or Service (12b-1) Fees none
Acquired Fund Fees and Expenses [1] 0.01%
Other Expenses 0.27%
Total Annual Fund Operating Expenses 0.78%
Fee Waiver and/or Expense Reimbursement [2] (0.17%)
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) [3] 0.61%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.60%. Acquired Fund Fees and Expenses are not included in the 0.60% expense limitation. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement.
[3] Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Omni Tax-Managed Small-Cap Value Fund Class N
62 195 340 762
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 34% of the average value of its portfolio.
Principal Investment Strategies:
The Fund invests in a broad and diverse group of small-cap stocks that the Adviser determines to be value stocks. Value stocks are those the Adviser determines are priced cheaply relative to some financial measures of worth, such as the ratio of price to book, price to earnings, price to sales, or price to cash flow. The Adviser uses a market capitalization approach to weight the securities in the Fund’s portfolio. This means that a security’s weight in the Fund’s portfolio at the time of purchase is roughly proportional to its market capitalization relative to the other securities in the portfolio. Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (“common stocks”) of small-cap companies at the time of purchase. For purposes of the Fund’s investments, the Adviser considers small-cap stocks to be those of companies that have a market capitalization generally in the lowest 15% of total market capitalization or smaller than the 1,000th largest U.S. company, whichever results in the higher market capitalization break. As of September 30, 2013, the stocks in this group had a market capitalization of less than $5.01 billion. This dollar amount will change with market conditions. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, the NYSE MKT and NASDAQ.

The Adviser’s tax management strategies seek to minimize the distribution of capital gains, within the constraints of the investment objective and small company focus, by offsetting capital gains with capital losses, minimizing short-term capital gains, and reducing the receipt of dividends when possible.

The Adviser will not necessarily sell a stock if it “migrates” to a different category after purchase. As a result, due to such “migration” or other market movements, the Fund may have less than 80% of its assets in small-cap stocks at any point in time.

Use of the term “omni” in the name refers to the fact that the Fund intends to invest in a broad and diverse group of small-cap value stocks that approximately reflect the risk and return of all small-cap value stocks as a whole.

Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions and portfolio positioning to reflect a profile of a universe of stocks, the Fund may have significant positions in particular sectors.

The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the United States; and (ii) that derive 50% or more of their total revenue from activities outside of the United States.
Principal Risks:
The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Value investing carries the risk that the market will not recognize a security’s intrinsic value for a long time or that a stock judged to be undervalued by various value measures may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “growth” stocks.

Tax management strategies carry the risk of altering investment decisions and affecting portfolio holdings and may result in lower returns, as compared to funds that are not tax managed.

Investments in foreign securities can be more volatile than investments in U.S. securities.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgewayomni.com or by calling 800-661-3550.
Omni Tax-Managed Small-Cap Value Fund
Year by Year Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 28.69%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q4 11         15.78%   
Worst Quarter:
     Q3 11         -23.50%   
Average Annual Total Returns (For the period ended 12/31/12)
Average Annual Total Returns Omni Tax-Managed Small-Cap Value Fund
1 Year
Since Inception
Inception Date
Class N
16.62% 5.03% Dec. 31, 2010
Class N Return After Taxes on Distributions
[1] 16.40% 4.89%  
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 11.09% 4.28%  
Russell 2000® Value Index (reflects no deductions for fees, expenses or taxes)
18.05% 5.62%  
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 17 R43.htm IDEA: XBRL DOCUMENT v2.4.0.8
Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Small-Cap Value Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: SMALL-CAP VALUE FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Small-Cap Value Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 64% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 64.00%
Expenses Not Correlated to Ratio Due to Acquired Fund Fees [Text] rr_ExpensesNotCorrelatedToRatioDueToAcquiredFundFees Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund invests in a diversified portfolio of small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT, and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the small-cap value category at the time of purchase. The Adviser selects stocks within the small-cap value category for the Fund using a statistically driven approach. Value stocks are those the Adviser believes are priced cheaply relative to some financial measures of worth, such as the ratio of price to earnings, price to sales, or price to cash flow.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

While the Fund is managed for long-term total return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock Shareholders of the Fund are exposed to above average stock market risk (volatility) and could lose money.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Value investing carries the risk that the market will not recognize a security’s intrinsic value for a long time or that a stock judged to be undervalued may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “growth” stocks.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

If too many small companies in the Fund outgrow the Fund’s small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.
Risk Lose Money [Text] rr_RiskLoseMoney Shareholders of the Fund are exposed to above average stock market risk (volatility) and could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Small-Cap Value Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 26.57%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 09         28.36%   
Worst Quarter:
     Q4 08         -28.58%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Performance Table Explanation after Tax Higher rr_PerformanceTableExplanationAfterTaxHigher Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.
Small-Cap Value Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.51%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.40%
Acquired Fund Fees and Expenses rr_AcquiredFundFeesAndExpensesOverAssets 0.12% [1]
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 1.03% [2]
1 Year rr_ExpenseExampleYear01 $ 105
3 Years rr_ExpenseExampleYear03 328
5 Years rr_ExpenseExampleYear05 569
10 Years rr_ExpenseExampleYear10 $ 1,259
2004 rr_AnnualReturn2004 17.33%
2005 rr_AnnualReturn2005 18.92%
2006 rr_AnnualReturn2006 12.77%
2007 rr_AnnualReturn2007 6.93%
2008 rr_AnnualReturn2008 (45.57%)
2009 rr_AnnualReturn2009 26.98%
2010 rr_AnnualReturn2010 16.55%
2011 rr_AnnualReturn2011 1.05%
2012 rr_AnnualReturn2012 20.99%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 26.57%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Jun. 30, 2009
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 28.36%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (28.58%)
1 Year rr_AverageAnnualReturnYear01 20.99%
5 Years rr_AverageAnnualReturnYear05 (0.30%)
Since Inception rr_AverageAnnualReturnSinceInception 5.97%
Inception Date rr_AverageAnnualReturnInceptionDate Oct. 31, 2003
Small-Cap Value Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 20.55% [3]
5 Years rr_AverageAnnualReturnYear05 (0.48%) [3]
Since Inception rr_AverageAnnualReturnSinceInception 5.87% [3]
Small-Cap Value Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 14.12% [3]
5 Years rr_AverageAnnualReturnYear05 (0.29%) [3]
Since Inception rr_AverageAnnualReturnSinceInception 5.22% [3]
Small-Cap Value Fund | Russell 2000® Value Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 18.05%
5 Years rr_AverageAnnualReturnYear05 3.55%
Since Inception rr_AverageAnnualReturnSinceInception 6.79%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
[3] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 18 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Aggressive Investors 1 Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: AGGRESSIVE INVESTORS 1 FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Aggressive Investors 1 Fund (the “Fund”) seeks to exceed the stock market total return (primarily through capital appreciation) at a level of total risk roughly equal to that of the stock market over longer periods of time (three year intervals or more).
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 149% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 149.00%
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund invests in a diversified portfolio of common stocks of companies of any size that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ. Bridgeway Capital Management, Inc. (the “Adviser”) selects stocks for the Fund using a statistically driven approach. The Fund seeks to achieve the risk objective by investing in stocks that the Adviser believes have a lower probability of price decline over the long term, though the stock price may be more volatile in the short term. The Fund may invest in stocks for which there is relatively low market liquidity, as periodically determined by the Adviser based on the stock’s trading volume. The Fund may also use aggressive investment techniques such as:
  • leveraging (borrowing up to 50% of its net assets from banks),
  • purchasing and selling futures and options on individual stocks and stock market indexes to increase or decrease the Fund’s exposure to stock market risk in order to attempt to maintain a more constant level of risk,
  • purchasing and selling financial or commodity futures and options to diversify risk,
  • entering into short-sale transactions (up to 20% of its total assets),
  • investing up to 20% of its total assets in a single company,
  • investing up to 15% of its total assets in foreign securities (as defined below), and
  • short-term trading (buying and selling the same security in less than a three-month timeframe).
For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.

Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions, the Fund may have significant positions in particular sectors.

The Fund sometimes invests in a smaller number of companies than other mutual funds.

The Fund may engage in active and frequent trading.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock Shareholders of the Fund are exposed to higher risk than the stock market as a whole and could lose money.

Since the Fund invests in companies of any size and because there are a larger number of small and less liquid companies that the Fund could invest in, the Fund may bear the short-term risk (volatility) associated with small companies, especially in the early stages of an economic or stock market downturn.

The Fund may also exhibit higher volatility due to the use of aggressive investment techniques including futures, options, and leverage. Futures and options may not always be successful hedges, and their prices can be highly volatile. They may not always successfully manage risk. Using futures and options could lower a Fund’s total return, and the potential loss from the use of futures can exceed a Fund’s initial investment in such contracts. Leverage created from borrowing may impair the Fund’s liquidity, cause it to liquidate positions at an unfavorable time, increase volatility or otherwise not achieve its intended objective.

Investments in foreign securities can be more volatile than investments in U.S. securities.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

Individual short-sale positions can theoretically expose the Fund to unlimited loss on such positions, although the Adviser seeks to mitigate this potential loss by limiting a single short-sale position to 2.5% of the Fund’s net assets at the time of opening the position.

A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund’s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.

The Fund may invest in a small number of companies, which will likely add to Fund volatility.
Risk Lose Money [Text] rr_RiskLoseMoney Shareholders of the Fund are exposed to higher risk than the stock market as a whole and could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. In addition, the Fund’s performance is compared to the Russell 2000® Index, an unmanaged, market value weighted index that measures the performance of the 2,000 companies that are between the 1,000th and 3,000th largest in the market with dividends reinvested. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Aggressive Investors 1 Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 27.33%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 03         28.34%   
Worst Quarter:
     Q4 08         -32.80%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the highest historical individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Performance Table Explanation after Tax Higher rr_PerformanceTableExplanationAfterTaxHigher Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.
Aggressive Investors 1 Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.41%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.33%
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 0.74%
1 Year rr_ExpenseExampleYear01 $ 76
3 Years rr_ExpenseExampleYear03 237
5 Years rr_ExpenseExampleYear05 411
10 Years rr_ExpenseExampleYear10 $ 918
2003 rr_AnnualReturn2003 53.97%
2004 rr_AnnualReturn2004 12.21%
2005 rr_AnnualReturn2005 14.93%
2006 rr_AnnualReturn2006 7.11%
2007 rr_AnnualReturn2007 25.80%
2008 rr_AnnualReturn2008 (56.16%)
2009 rr_AnnualReturn2009 23.98%
2010 rr_AnnualReturn2010 17.82%
2011 rr_AnnualReturn2011 (10.31%)
2012 rr_AnnualReturn2012 21.58%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 27.33%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Jun. 30, 2003
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 28.34%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (32.80%)
1 Year rr_AverageAnnualReturnYear01 21.58%
5 Years rr_AverageAnnualReturnYear05 (6.93%)
10 Years rr_AverageAnnualReturnYear10 6.45%
Aggressive Investors 1 Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 20.92% [1]
5 Years rr_AverageAnnualReturnYear05 (7.29%) [1]
10 Years rr_AverageAnnualReturnYear10 5.66% [1]
Aggressive Investors 1 Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 14.61% [1]
5 Years rr_AverageAnnualReturnYear05 (5.88%) [1]
10 Years rr_AverageAnnualReturnYear10 5.71% [1]
Aggressive Investors 1 Fund | S&P 500® Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 16.00%
5 Years rr_AverageAnnualReturnYear05 1.66%
10 Years rr_AverageAnnualReturnYear10 7.10%
Aggressive Investors 1 Fund | Russell 2000® Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 16.35%
5 Years rr_AverageAnnualReturnYear05 3.56%
10 Years rr_AverageAnnualReturnYear10 9.72%
[1] After-tax returns are calculated using the highest historical individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
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Ultra-Small Company Fund
FUND SUMMARY: ULTRA-SMALL COMPANY FUND
Investment Objective:
The Ultra-Small Company Fund (the “Fund”) seeks to provide a long-term total return on capital, primarily through capital appreciation.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Ultra-Small Company Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Ultra-Small Company Fund
Class N
Management Fees 0.90%
Distribution and/or Service (12b-1) Fees none
Acquired Fund Fees and Expenses [1] 0.16%
Other Expenses 0.27%
Total Annual Fund Operating Expenses [2] 1.33%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Ultra-Small Company Fund Class N
135 421 729 1,601
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 89% of the average value of its portfolio.
Principal Investment Strategies:
The Fund invests in a diversified portfolio of common stocks of ultra-small companies. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in ultra-small company stocks based on company size at the time of purchase. For purposes of the Fund’s investments, “ultra-small companies” are defined as those: (i) companies that have a market capitalization the size of the smallest 20% of companies listed on the New York Stock Exchange; or (ii) companies with a capitalization that falls within the range of capitalization of companies included in the Cap-Based Portfolio 9 Index or the Cap-Based Portfolio 10 Index as defined by the University of Chicago’s Center for Research in Security Prices (“CRSP”). A majority of these stocks are listed on NASDAQ. On June 30, 2013, the stocks in this group generally had a market capitalization of less than $586 million. Bridgeway Capital Management, Inc. (the “Adviser”) selects stocks for the Fund using a statistically driven approach.

The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

The Fund may engage in active and frequent trading.

The Fund may purchase stock market index futures in order to hedge cash.
Principal Risks:
The market prices of ultra-small company shares typically exhibit greater volatility than small-company shares and even micro-cap company shares and much greater volatility than large-company shares. Therefore, shareholders of this Fund are exposed to higher risk and could lose money.

The Fund is also subject to the risk that ultra-small company stocks will underperform other kinds of investments for a period of time.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund’s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.

Investments in foreign securities can be more volatile than investments in U.S. securities.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Ultra-Small Company Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 42.52%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 09         38.67%   
Worst Quarter:
     Q4 08         -27.19%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Ultra-Small Company Fund
1 Year
5 Years
10 Years
Class N
24.49% 1.00% 11.52%
Class N Return After Taxes on Distributions
[1] 24.40% 0.84% 10.07%
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 16.02% 0.78% 10.02%
CRSP Cap-Based Portfolio 10 Index (reflects no deductions for fees, expenses or taxes)
21.47% 5.25% 12.90%
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Omni Small-Cap Value Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: OMNI SMALL-CAP VALUE FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Omni Small-Cap Value Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 34% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 34.00%
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund invests in a broad and diverse group of small-cap stocks that the Adviser determines to be value stocks. Value stocks are those the Adviser determines are priced cheaply relative to some financial measures of worth, such as the ratio of price to book, price to earnings, price to sales, or price to cash flow. The Adviser uses a market capitalization approach to weight the securities in the Fund’s portfolio. This means that a security’s weight in the Fund’s portfolio at the time of purchase is roughly proportional to its market capitalization relative to the other securities in the portfolio. Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (“common stocks”) of small-cap companies at the time of purchase. For purposes of the Fund’s investments, the Adviser considers small-cap stocks to be those of companies that have a market capitalization generally in the lowest 15% of total market capitalization or smaller than the 1,000th largest U.S. company, whichever results in the higher market capitalization break. As of September 30, 2013, the stocks in this group had a market capitalization of less than $5.01 billion. This dollar amount will change with market conditions. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, the NYSE MKT and NASDAQ.

The Adviser will not necessarily sell a stock if it “migrates” to a different category after purchase. As a result, due to such “migration” or other market movements, the Fund may have less than 80% of its assets in small-cap stocks at any point in time.

Use of the term “omni” in the name refers to the fact that the Fund intends to invest in a broad and diverse group of small-cap value stocks that approximately reflect the risk and return of all small-cap value stocks as a whole.

Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions and portfolio positioning to reflect a profile of a universe of stocks, the Fund may have significant positions in particular sectors.

The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the United States; and (ii) that derive 50% or more of their total revenue from activities outside of the United States.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Value investing carries the risk that the market will not recognize a security’s intrinsic value for a long time or that a stock judged to be undervalued by various value measures may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “growth” stocks.

Investments in foreign securities can be more volatile than investments in U.S. securities.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.
Risk Lose Money [Text] rr_RiskLoseMoney The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows the Fund’s performance for the last calendar year. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgewayomni.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows the Fund’s performance for the last calendar year. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgewayomni.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Omni Small-Cap Value Fund
Annual % Return as of 12/31
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 28.80%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q1 12         14.48%   
Worst Quarter:
     Q2 12         -6.32%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the period ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Omni Small-Cap Value Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.50%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.28%
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 0.78%
Fee Waiver and/or Expense Reimbursement rr_FeeWaiverOrReimbursementOverAssets (0.18%) [1]
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) rr_NetExpensesOverAssets 0.60%
1 Year rr_ExpenseExampleYear01 $ 61
3 Years rr_ExpenseExampleYear03 192
5 Years rr_ExpenseExampleYear05 335
10 Years rr_ExpenseExampleYear10 $ 750
2012 rr_AnnualReturn2012 17.74%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 28.80%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Mar. 31, 2012
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 14.48%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Jun. 30, 2012
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (6.32%)
1 Year rr_AverageAnnualReturnYear01 17.74%
Since Inception rr_AverageAnnualReturnSinceInception 16.31%
Inception Date rr_AverageAnnualReturnInceptionDate Aug. 31, 2011
Omni Small-Cap Value Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 17.33% [2]
Since Inception rr_AverageAnnualReturnSinceInception 15.96% [2]
Omni Small-Cap Value Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 12.09% [2]
Since Inception rr_AverageAnnualReturnSinceInception 13.90% [2]
Omni Small-Cap Value Fund | Russell 2000® Value Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 18.05%
Since Inception rr_AverageAnnualReturnSinceInception 16.05%
[1] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.60%. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement.
[2] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 23 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Small-Cap Value Fund
FUND SUMMARY: SMALL-CAP VALUE FUND
Investment Objective:
The Small-Cap Value Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Small-Cap Value Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Small-Cap Value Fund
Class N
Management Fees 0.51%
Distribution and/or Service (12b-1) Fees none
Acquired Fund Fees and Expenses [1] 0.12%
Other Expenses 0.40%
Total Annual Fund Operating Expenses [2] 1.03%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Small-Cap Value Fund Class N
105 328 569 1,259
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 64% of the average value of its portfolio.
Principal Investment Strategies:
The Fund invests in a diversified portfolio of small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT, and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the small-cap value category at the time of purchase. The Adviser selects stocks within the small-cap value category for the Fund using a statistically driven approach. Value stocks are those the Adviser believes are priced cheaply relative to some financial measures of worth, such as the ratio of price to earnings, price to sales, or price to cash flow.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

While the Fund is managed for long-term total return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case.
Principal Risks:
Shareholders of the Fund are exposed to above average stock market risk (volatility) and could lose money.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Value investing carries the risk that the market will not recognize a security’s intrinsic value for a long time or that a stock judged to be undervalued may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “growth” stocks.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

If too many small companies in the Fund outgrow the Fund’s small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Small-Cap Value Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 26.57%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 09         28.36%   
Worst Quarter:
     Q4 08         -28.58%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Small-Cap Value Fund
1 Year
5 Years
Since Inception
Inception Date
Class N
20.99% (0.30%) 5.97% Oct. 31, 2003
Class N Return After Taxes on Distributions
[1] 20.55% (0.48%) 5.87%  
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 14.12% (0.29%) 5.22%  
Russell 2000® Value Index (reflects no deductions for fees, expenses or taxes)
18.05% 3.55% 6.79%  
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Large-Cap Growth Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: LARGE-CAP GROWTH FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Large-Cap Growth Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 49% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 49.00%
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund invests in a diversified portfolio of large stocks that are listed on the New York Stock Exchange, NYSE MKT, and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the large-cap growth category at the time of purchase. The Adviser selects stocks within the large-cap growth category for the Fund using a statistically driven approach. Growth stocks are those the Adviser believes have above average prospects for economic growth.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

While the Fund is managed for long-term total return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money.

Growth stocks may be more volatile than other stocks because they are generally more sensitive to investor perceptions and market movements. In addition, growth stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “value” stocks.

In addition, large-cap stocks have tended to recover more slowly than small-cap stocks from a market downturn. Consequently, the Fund may expose shareholders to higher inflation risk (the risk that the Fund value will not keep up with inflation) than some other stock market segments.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

If the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.
Risk Lose Money [Text] rr_RiskLoseMoney Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Large-Cap Growth Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 25.45%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 09         13.96%   
Worst Quarter:
     Q4 08         -26.49%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Performance Table Explanation after Tax Higher rr_PerformanceTableExplanationAfterTaxHigher Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.
Large-Cap Growth Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.42%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.48%
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 0.90%
Fee Waiver and/or Expense Reimbursement rr_FeeWaiverOrReimbursementOverAssets (0.06%) [1]
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) rr_NetExpensesOverAssets 0.84%
1 Year rr_ExpenseExampleYear01 $ 86
3 Years rr_ExpenseExampleYear03 268
5 Years rr_ExpenseExampleYear05 466
10 Years rr_ExpenseExampleYear10 $ 1,037
2004 rr_AnnualReturn2004 6.77%
2005 rr_AnnualReturn2005 9.33%
2006 rr_AnnualReturn2006 4.99%
2007 rr_AnnualReturn2007 19.01%
2008 rr_AnnualReturn2008 (45.42%)
2009 rr_AnnualReturn2009 36.66%
2010 rr_AnnualReturn2010 13.64%
2011 rr_AnnualReturn2011 (0.71%)
2012 rr_AnnualReturn2012 16.21%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 25.45%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Jun. 30, 2009
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 13.96%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (26.49%)
1 Year rr_AverageAnnualReturnYear01 16.21%
5 Years rr_AverageAnnualReturnYear05 (0.50%)
Since Inception rr_AverageAnnualReturnSinceInception 4.30%
Inception Date rr_AverageAnnualReturnInceptionDate Oct. 31, 2003
Large-Cap Growth Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 15.97% [2]
5 Years rr_AverageAnnualReturnYear05 (0.62%) [2]
Since Inception rr_AverageAnnualReturnSinceInception 4.21% [2]
Large-Cap Growth Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 10.85% [2]
5 Years rr_AverageAnnualReturnYear05 (0.44%) [2]
Since Inception rr_AverageAnnualReturnSinceInception 3.72% [2]
Large-Cap Growth Fund | Russell 1000® Growth Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 15.26%
5 Years rr_AverageAnnualReturnYear05 3.12%
Since Inception rr_AverageAnnualReturnSinceInception 5.71%
[1] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.84%. Any material change to this Fund policy would require a vote by shareholders.
[2] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.

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Managed Volatility Fund
FUND SUMMARY: MANAGED VOLATILITY FUND
Investment Objective:
The Managed Volatility Fund (the “Fund”) seeks to provide a high current return with short-term risk less than or equal to 40% of the stock market.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Managed Volatility Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Managed Volatility Fund
Class N
Management Fees 0.60%
Distribution and/or Service (12b-1) Fees none
Acquired Fund Fees and Expenses [1] 0.01%
Other Expenses 0.75%
Total Annual Fund Operating Expenses 1.36%
Fee Waiver and/or Expense Reimbursement [2] (0.41%)
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) [3] 0.95%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.94%. Acquired Fund Fees and Expenses are not included in the 0.94% expense limitation. Any material change to this Fund policy would require a vote by shareholders.
[3] Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Managed Volatility Fund Class N
97 303 525 1,166
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 45% of the average value of its portfolio.
Principal Investment Strategies:
To achieve the objective of providing a high current return with less short-term risk than the stock market, the Fund uses multiple techniques: purchasing or selling stocks, options, futures, and fixed-income securities. Together, these strategies are designed to provide the Fund with more stable returns over a wide range of fixed-income and equity market environments. Up to 75% of the Fund’s total assets may be invested in common stocks and options on any size companies on which options are traded on a national securities exchange. At all times, at least 25% of the Fund’s total assets will be invested in equities. The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.

The Adviser selects stocks for the Fund using a statistically driven approach that spans various investment styles including both “growth” and “value.” The Adviser may also select stocks and options according to a more passive strategy, including investing in stock market index futures and options. The Fund may also purchase or sell any financial (but not commodity) futures, puts, or calls within the scope of its investment objective and strategy. Specifically, the Fund may short stock index futures to hedge a similar basket of stocks and sell covered call or put options to reduce the risk of stock ownership. These instruments can be used to hedge cash, manage market risk, dampen volatility in line with its investment objective, arbitrage the difference between stocks and futures and create synthetic option positions.

With respect to fixed income investments, the Adviser normally invests at least 25% of the Fund’s total assets in fixed-income securities: U.S. government obligations, mortgage and asset-backed securities, corporate bonds, collateralized mortgage obligations, and/or other fixed-income instruments. In addition, the Fund’s strategy with respect to credit rating may vary over time. The Adviser anticipates that fixed-income investments will largely be limited to U.S. government securities and high quality corporate debt.
Principal Risks:
The Fund’s stock holdings are subject to market risk. The protective qualities inherent in option writing are partial. In addition, the Adviser may not always write options on the full number of shares of stock it owns, thus exposing the Fund to the full market risk of these shares. Therefore, shareholders of this Fund are exposed to risk and could lose money.

The Fund invests in companies of any size for which exchange-traded options are available. Small companies are more vulnerable to financial and other risks than large companies.

The Fund’s fixed-income holdings are subject to three types of risk: interest rate risk, credit risk and prepayment risk.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return. The Fund’s investments in stock index futures are subject to the risk that the returns of the basket of stocks to which they are hedged are reduced by losses on the futures in a rising market.

A covered call position will result in a loss on its expiration date if the underlying stock price has fallen since the purchase by an amount greater than the price for which the option was sold. Thus, the Fund’s option strategies may not fully protect it against declines in the value of its stocks. In addition, the option writing strategy limits the upside profit potential normally associated with stocks. In addition, the Fund’s investments in covered call and put options are subject to the risk that they may not provide sufficient protection to compensate for a decline in the underlying stock.

Investments in foreign securities can be more volatile than investments in U.S. securities.

The Fund could experience a loss in the stock, option, and fixed-income portions of its holdings at the same time.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. In addition, the Fund’s performance is compared to the Bloomberg/EFFAS U.S. Government 1-3 Year Total Return Bond Index, a transparent benchmark for the total return of the one- to three-year U.S. Government bond market. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Managed Volatility Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 6.34%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q4 11         8.98%   
Worst Quarter:
     Q4 08         -9.19%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Managed Volatility Fund
1 Year
5 Years
10 Years
Class N
6.46% 0.72% 4.80%
Class N Return After Taxes on Distributions
[1] 6.40% 0.21% 4.27%
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 4.29% 0.40% 3.92%
S&P 500® Index (reflects no deductions for fees, expenses or taxes)
16.00% 1.66% 7.10%
Bloomberg/EFFAS U.S. Government 1-3 Year Total Return Bond Index (reflects no deductions for fees, expenses or taxes)
0.58% 2.42% 2.78%
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 29 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Aggressive Investors 1 Fund
FUND SUMMARY: AGGRESSIVE INVESTORS 1 FUND
Investment Objective:
The Aggressive Investors 1 Fund (the “Fund”) seeks to exceed the stock market total return (primarily through capital appreciation) at a level of total risk roughly equal to that of the stock market over longer periods of time (three year intervals or more).
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Aggressive Investors 1 Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Aggressive Investors 1 Fund
Class N
Management Fees 0.41%
Distribution and/or Service (12b-1) Fees none
Other Expenses 0.33%
Total Annual Fund Operating Expenses 0.74%
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Aggressive Investors 1 Fund Class N
76 237 411 918
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 149% of the average value of its portfolio.
Principal Investment Strategies:
The Fund invests in a diversified portfolio of common stocks of companies of any size that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ. Bridgeway Capital Management, Inc. (the “Adviser”) selects stocks for the Fund using a statistically driven approach. The Fund seeks to achieve the risk objective by investing in stocks that the Adviser believes have a lower probability of price decline over the long term, though the stock price may be more volatile in the short term. The Fund may invest in stocks for which there is relatively low market liquidity, as periodically determined by the Adviser based on the stock’s trading volume. The Fund may also use aggressive investment techniques such as:
  • leveraging (borrowing up to 50% of its net assets from banks),
  • purchasing and selling futures and options on individual stocks and stock market indexes to increase or decrease the Fund’s exposure to stock market risk in order to attempt to maintain a more constant level of risk,
  • purchasing and selling financial or commodity futures and options to diversify risk,
  • entering into short-sale transactions (up to 20% of its total assets),
  • investing up to 20% of its total assets in a single company,
  • investing up to 15% of its total assets in foreign securities (as defined below), and
  • short-term trading (buying and selling the same security in less than a three-month timeframe).
For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.

Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions, the Fund may have significant positions in particular sectors.

The Fund sometimes invests in a smaller number of companies than other mutual funds.

The Fund may engage in active and frequent trading.
Principal Risks:
Shareholders of the Fund are exposed to higher risk than the stock market as a whole and could lose money.

Since the Fund invests in companies of any size and because there are a larger number of small and less liquid companies that the Fund could invest in, the Fund may bear the short-term risk (volatility) associated with small companies, especially in the early stages of an economic or stock market downturn.

The Fund may also exhibit higher volatility due to the use of aggressive investment techniques including futures, options, and leverage. Futures and options may not always be successful hedges, and their prices can be highly volatile. They may not always successfully manage risk. Using futures and options could lower a Fund’s total return, and the potential loss from the use of futures can exceed a Fund’s initial investment in such contracts. Leverage created from borrowing may impair the Fund’s liquidity, cause it to liquidate positions at an unfavorable time, increase volatility or otherwise not achieve its intended objective.

Investments in foreign securities can be more volatile than investments in U.S. securities.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

Individual short-sale positions can theoretically expose the Fund to unlimited loss on such positions, although the Adviser seeks to mitigate this potential loss by limiting a single short-sale position to 2.5% of the Fund’s net assets at the time of opening the position.

A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund’s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.

The Fund may invest in a small number of companies, which will likely add to Fund volatility.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. In addition, the Fund’s performance is compared to the Russell 2000® Index, an unmanaged, market value weighted index that measures the performance of the 2,000 companies that are between the 1,000th and 3,000th largest in the market with dividends reinvested. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Aggressive Investors 1 Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 27.33%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 03         28.34%   
Worst Quarter:
     Q4 08         -32.80%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Aggressive Investors 1 Fund
1 Year
5 Years
10 Years
Class N
21.58% (6.93%) 6.45%
Class N Return After Taxes on Distributions
[1] 20.92% (7.29%) 5.66%
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 14.61% (5.88%) 5.71%
S&P 500® Index (reflects no deductions for fees, expenses or taxes)
16.00% 1.66% 7.10%
Russell 2000® Index (reflects no deductions for fees, expenses or taxes)
16.35% 3.56% 9.72%
[1] After-tax returns are calculated using the highest historical individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 30 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
Blue Chip 35 Index Fund
FUND SUMMARY: BLUE CHIP 35 INDEX FUND
Investment Objective:
The Blue Chip 35 Index Fund (the “Fund”) seeks to provide a long-term total return on capital, primarily through capital appreciation, but also some income.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Blue Chip 35 Index Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Blue Chip 35 Index Fund
Class N
Management Fees 0.08%
Distribution and/or Service (12b-1) Fees none
Other Expenses 0.19%
Total Annual Fund Operating Expenses 0.27%
Fee Waiver and/or Expense Reimbursement [1] (0.12%)
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) 0.15%
[1] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.15%. Any material change to this Fund policy would require a vote by shareholders.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Blue Chip 35 Index Fund Class N
15 48 85 192
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 28% of the average value of its portfolio.
Principal Investment Strategies:
The Fund seeks to achieve its objective by approximating the total return of the Bridgeway Ultra-Large 35 Index (the “Index”), a proprietary Index composed by the Adviser, while minimizing the distribution of capital gains and minimizing costs. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in blue chip company stocks included within the Index. As of September 30, 2013, more than 99% of the Fund’s net assets were invested this way.

The Fund invests in the stocks that comprise the Index and seeks to approximately match the Index composition and weighting. The long-term objective of this roughly equally weighted Index is to hold 35 “blue-chip” companies, excluding any tobacco companies and ensuring reasonable industry diversification.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

This “roughly equally weighted” index contrasts with most other “market-cap weighted” indexes, which give more weight to the stocks that have appreciated the most in price. Therefore, the Index is a more “value-oriented” index structure. Similar to other index funds, the actual return of this Fund will likely underperform the Index over the long term by an amount similar to the Fund’s expenses and transaction costs.

The Fund may purchase stock market index futures in order to hedge cash.
Principal Risks:
Shareholders of this Fund are exposed to significant stock market related risk (volatility) and could lose money.

While large companies tend to exhibit less price volatility than small companies, historically they have not recovered as fast from a market decline. Consequently, this Fund may expose shareholders to higher inflation risk (the risk that the Fund value will not keep up with inflation) than some other stock market investments.

The Fund is also subject to the risk that blue chip company stocks will underperform other kinds of investments for a period of time. This risk is true of any market segment.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

There is risk that the Fund’s total return may be lower than the total return of the Index that the Fund seeks to approximate.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Blue Chip 35 Index Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 18.41%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 03         16.07%   
Worst Quarter:
     Q4 08         -19.01%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Blue Chip 35 Index Fund
1 Year
5 Years
10 Years
Class N
15.20% 2.11% 6.26%
Class N Return After Taxes on Distributions
[1] 14.72% 1.72% 5.84%
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 10.53% 1.71% 5.33%
S&P 500® Index (reflects no deductions for fees, expenses or taxes)
16.00% 1.66% 7.10%
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 31 R79.htm IDEA: XBRL DOCUMENT v2.4.0.8
Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Document Creation Date dei_DocumentCreationDate Oct. 24, 2013
XML 32 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Small-Cap Momentum Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: SMALL-CAP MOMENTUM FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Small-Cap Momentum Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 264% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 264.00%
Expenses Not Correlated to Ratio Due to Acquired Fund Fees [Text] rr_ExpensesNotCorrelatedToRatioDueToAcquiredFundFees Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (“common stocks”) of small-cap companies at the time of purchase. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ that the Adviser determines to have positive risk-adjusted momentum (i.e., above-average recent returns) based on a statistically driven approach. The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.

Although the Fund seeks investments across a number of sectors, from time to time, in pursuing the Fund’s investment strategy, the Fund may have significant positions in particular sectors.

The Adviser expects to rebalance the Fund’s portfolio (selling securities that, in the Adviser’s opinion, have lower risk-adjusted momentum and buying securities that, in the Adviser’s opinion, have higher risk-adjusted momentum) no less frequently than quarterly, and thus, the Fund engages in active and frequent trading of portfolio securities.

The Fund may purchase stock market index futures in order to hedge cash.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.

Investing in securities with positive risk-adjusted momentum entails investing in securities that may be more volatile than a broad cross-section of stock market securities.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

Investments in foreign securities can be more volatile than investments in U.S. securities.

A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund’s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return.
Risk Lose Money [Text] rr_RiskLoseMoney The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Small-Cap Momentum Fund
Annual % Return as of 12/31
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 25.85%

                 
       Quarter      Total
Return
 
Best Quarter:
     Q4 11         18.80%   
Worst Quarter:
     Q3 11         -22.68%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Small-Cap Momentum Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees (as a percentage of amount redeemed for shares held less than 6 months) rr_RedemptionFeeOverRedemption 2.00%
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.55%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 4.87%
Acquired Fund Fees and Expenses rr_AcquiredFundFeesAndExpensesOverAssets 0.16% [1]
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 5.58%
Fee Waiver and/or Expense Reimbursement rr_FeeWaiverOrReimbursementOverAssets (4.52%) [2]
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) rr_NetExpensesOverAssets 1.06% [3]
1 Year rr_ExpenseExampleYear01 $ 108
3 Years rr_ExpenseExampleYear03 337
5 Years rr_ExpenseExampleYear05 585
10 Years rr_ExpenseExampleYear10 $ 1,294
2011 rr_AnnualReturn2011 (0.92%)
2012 rr_AnnualReturn2012 14.18%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 25.85%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Dec. 31, 2011
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 18.80%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Sep. 30, 2011
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (22.68%)
1 Year rr_AverageAnnualReturnYear01 14.18%
Since Inception rr_AverageAnnualReturnSinceInception 12.11%
Inception Date rr_AverageAnnualReturnInceptionDate May 28, 2010
Small-Cap Momentum Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 11.03% [4]
Since Inception rr_AverageAnnualReturnSinceInception 9.38% [4]
Small-Cap Momentum Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 10.61% [4]
Since Inception rr_AverageAnnualReturnSinceInception 9.06% [4]
Small-Cap Momentum Fund | Russell 2000® Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 16.35%
Since Inception rr_AverageAnnualReturnSinceInception 11.63%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.90%. Acquired Fund Fees and Expenses are not included in the 0.90% expense limitation. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement.
[3] Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
[4] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 33 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Small-Cap Momentum Fund
FUND SUMMARY: SMALL-CAP MOMENTUM FUND
Investment Objective:
The Small-Cap Momentum Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Small-Cap Momentum Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees (as a percentage of amount redeemed for shares held less than 6 months) 2.00%
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Small-Cap Momentum Fund
Class N
Management Fees 0.55%
Distribution and/or Service (12b-1) Fees none
Acquired Fund Fees and Expenses [1] 0.16%
Other Expenses 4.87%
Total Annual Fund Operating Expenses 5.58%
Fee Waiver and/or Expense Reimbursement [2] (4.52%)
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) [3] 1.06%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.90%. Acquired Fund Fees and Expenses are not included in the 0.90% expense limitation. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement.
[3] Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Small-Cap Momentum Fund Class N
108 337 585 1,294
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 264% of the average value of its portfolio.
Principal Investment Strategies:
Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (“common stocks”) of small-cap companies at the time of purchase. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ that the Adviser determines to have positive risk-adjusted momentum (i.e., above-average recent returns) based on a statistically driven approach. The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.

Although the Fund seeks investments across a number of sectors, from time to time, in pursuing the Fund’s investment strategy, the Fund may have significant positions in particular sectors.

The Adviser expects to rebalance the Fund’s portfolio (selling securities that, in the Adviser’s opinion, have lower risk-adjusted momentum and buying securities that, in the Adviser’s opinion, have higher risk-adjusted momentum) no less frequently than quarterly, and thus, the Fund engages in active and frequent trading of portfolio securities.

The Fund may purchase stock market index futures in order to hedge cash.
Principal Risks:
The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.

Investing in securities with positive risk-adjusted momentum entails investing in securities that may be more volatile than a broad cross-section of stock market securities.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

Investments in foreign securities can be more volatile than investments in U.S. securities.

A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund’s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Small-Cap Momentum Fund
Annual % Return as of 12/31
Bar Chart

Return from 1/1/13 through 9/30/13 was 25.85%

                 
       Quarter      Total
Return
 
Best Quarter:
     Q4 11         18.80%   
Worst Quarter:
     Q3 11         -22.68%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Small-Cap Momentum Fund
1 Year
Since Inception
Inception Date
Class N
14.18% 12.11% May 28, 2010
Class N Return After Taxes on Distributions
[1] 11.03% 9.38%  
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 10.61% 9.06%  
Russell 2000® Index (reflects no deductions for fees, expenses or taxes)
16.35% 11.63%  
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 34 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Large-Cap Growth Fund
FUND SUMMARY: LARGE-CAP GROWTH FUND
Investment Objective:
The Large-Cap Growth Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Large-Cap Growth Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Large-Cap Growth Fund
Class N
Management Fees 0.42%
Distribution and/or Service (12b-1) Fees none
Other Expenses 0.48%
Total Annual Fund Operating Expenses 0.90%
Fee Waiver and/or Expense Reimbursement [1] (0.06%)
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) 0.84%
[1] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.84%. Any material change to this Fund policy would require a vote by shareholders.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Large-Cap Growth Fund Class N
86 268 466 1,037
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 49% of the average value of its portfolio.
Principal Investment Strategies:
The Fund invests in a diversified portfolio of large stocks that are listed on the New York Stock Exchange, NYSE MKT, and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the large-cap growth category at the time of purchase. The Adviser selects stocks within the large-cap growth category for the Fund using a statistically driven approach. Growth stocks are those the Adviser believes have above average prospects for economic growth.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

While the Fund is managed for long-term total return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case.
Principal Risks:
Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money.

Growth stocks may be more volatile than other stocks because they are generally more sensitive to investor perceptions and market movements. In addition, growth stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “value” stocks.

In addition, large-cap stocks have tended to recover more slowly than small-cap stocks from a market downturn. Consequently, the Fund may expose shareholders to higher inflation risk (the risk that the Fund value will not keep up with inflation) than some other stock market segments.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

If the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Large-Cap Growth Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 25.45%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 09         13.96%   
Worst Quarter:
     Q4 08         -26.49%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Large-Cap Growth Fund
1 Year
5 Years
Since Inception
Inception Date
Class N
16.21% (0.50%) 4.30% Oct. 31, 2003
Class N Return After Taxes on Distributions
[1] 15.97% (0.62%) 4.21%  
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 10.85% (0.44%) 3.72%  
Russell 1000® Growth Index (reflects no deductions for fees, expenses or taxes)
15.26% 3.12% 5.71%  
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 35 R65.htm IDEA: XBRL DOCUMENT v2.4.0.8
Omni Small-Cap Value Fund
FUND SUMMARY: OMNI SMALL-CAP VALUE FUND
Investment Objective:
The Omni Small-Cap Value Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Omni Small-Cap Value Fund
Class N
Sales Charge (Load) imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Omni Small-Cap Value Fund
Class N
Management Fees 0.50%
Distribution and/or Service (12b-1) Fees none
Other Expenses 0.28%
Total Annual Fund Operating Expenses 0.78%
Fee Waiver and/or Expense Reimbursement [1] (0.18%)
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) 0.60%
[1] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.60%. The expense limitation cannot be changed or eliminated without shareholder approval. The Fund is authorized to reimburse the Adviser for management fees previously waived and/or for expenses previously paid by the Adviser, provided, however, that any reimbursements must be paid at a date not more than three years after the fiscal year in which the Adviser waived the fees or reimbursed the expenses and the reimbursements do not cause the Fund to exceed the expense limitation in the agreement.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Omni Small-Cap Value Fund Class N
61 192 335 750
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 34% of the average value of its portfolio.
Principal Investment Strategies:
The Fund invests in a broad and diverse group of small-cap stocks that the Adviser determines to be value stocks. Value stocks are those the Adviser determines are priced cheaply relative to some financial measures of worth, such as the ratio of price to book, price to earnings, price to sales, or price to cash flow. The Adviser uses a market capitalization approach to weight the securities in the Fund’s portfolio. This means that a security’s weight in the Fund’s portfolio at the time of purchase is roughly proportional to its market capitalization relative to the other securities in the portfolio. Under normal circumstances, the Fund invests 80% of its net assets (plus borrowings for investment purposes) in equity or equity-related securities (“common stocks”) of small-cap companies at the time of purchase. For purposes of the Fund’s investments, the Adviser considers small-cap stocks to be those of companies that have a market capitalization generally in the lowest 15% of total market capitalization or smaller than the 1,000th largest U.S. company, whichever results in the higher market capitalization break. As of September 30, 2013, the stocks in this group had a market capitalization of less than $5.01 billion. This dollar amount will change with market conditions. The Fund primarily invests in small-cap stocks that are listed on the New York Stock Exchange, the NYSE MKT and NASDAQ.

The Adviser will not necessarily sell a stock if it “migrates” to a different category after purchase. As a result, due to such “migration” or other market movements, the Fund may have less than 80% of its assets in small-cap stocks at any point in time.

Use of the term “omni” in the name refers to the fact that the Fund intends to invest in a broad and diverse group of small-cap value stocks that approximately reflect the risk and return of all small-cap value stocks as a whole.

Although the Fund seeks investments across a number of sectors, from time to time, based on economic conditions and portfolio positioning to reflect a profile of a universe of stocks, the Fund may have significant positions in particular sectors.

The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the United States; and (ii) that derive 50% or more of their total revenue from activities outside of the United States.
Principal Risks:
The value of the Fund’s shares will fluctuate as a result of the movement of the overall stock-market or of the value of the individual securities held by the Fund, and shareholders could lose money.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Value investing carries the risk that the market will not recognize a security’s intrinsic value for a long time or that a stock judged to be undervalued by various value measures may actually be appropriately priced. In addition, value stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “growth” stocks.

Investments in foreign securities can be more volatile than investments in U.S. securities.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows the Fund’s performance for the last calendar year. The table shows how the Fund’s average annual returns for the period compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgewayomni.com or by calling 800-661-3550.
Omni Small-Cap Value Fund
Annual % Return as of 12/31
Bar Chart

Return from 1/1/13 through 9/30/13 was 28.80%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q1 12         14.48%   
Worst Quarter:
     Q2 12         -6.32%   
Average Annual Total Returns (For the period ended 12/31/12)
Average Annual Total Returns Omni Small-Cap Value Fund
1 Year
Since Inception
Inception Date
Class N
17.74% 16.31% Aug. 31, 2011
Class N Return After Taxes on Distributions
[1] 17.33% 15.96%  
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 12.09% 13.90%  
Russell 2000® Value Index (reflects no deductions for fees, expenses or taxes)
18.05% 16.05%  
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 36 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Small-Cap Growth Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: SMALL-CAP GROWTH FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Small-Cap Growth Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 78% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 78.00%
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund invests in a diversified portfolio of small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the small-cap growth category at the time of purchase. The Adviser selects stocks within the small-cap growth category for the Fund using a statistically driven approach. Growth stocks are those the Adviser believes have above average prospects for economic growth.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

While the Fund is managed for long-term return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case.

The Fund may engage in active and frequent trading.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Growth stocks may be more volatile than other stocks because they are generally more sensitive to investor perceptions and market movements. In addition, growth stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “value” stocks.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

If too many small companies in the Fund outgrow the Fund’s small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.

A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund’s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.
Risk Lose Money [Text] rr_RiskLoseMoney Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Small-Cap Growth Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 39.97%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q4 11         19.95%   
Worst Quarter:
     Q3 11         -26.49%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Performance Table Explanation after Tax Higher rr_PerformanceTableExplanationAfterTaxHigher Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.
Small-Cap Growth Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.49%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.64%
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 1.13%
Fee Waiver and/or Expense Reimbursement rr_FeeWaiverOrReimbursementOverAssets (0.19%) [1]
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) rr_NetExpensesOverAssets 0.94%
1 Year rr_ExpenseExampleYear01 $ 96
3 Years rr_ExpenseExampleYear03 300
5 Years rr_ExpenseExampleYear05 520
10 Years rr_ExpenseExampleYear10 $ 1,155
2004 rr_AnnualReturn2004 11.59%
2005 rr_AnnualReturn2005 18.24%
2006 rr_AnnualReturn2006 5.31%
2007 rr_AnnualReturn2007 6.87%
2008 rr_AnnualReturn2008 (43.48%)
2009 rr_AnnualReturn2009 15.04%
2010 rr_AnnualReturn2010 11.77%
2011 rr_AnnualReturn2011 (0.63%)
2012 rr_AnnualReturn2012 11.05%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 39.97%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Dec. 31, 2011
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 19.95%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Sep. 30, 2011
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (26.49%)
1 Year rr_AverageAnnualReturnYear01 11.05%
5 Years rr_AverageAnnualReturnYear05 (4.31%)
Since Inception rr_AverageAnnualReturnSinceInception 2.22%
Inception Date rr_AverageAnnualReturnInceptionDate Oct. 31, 2003
Small-Cap Growth Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 11.05% [2]
5 Years rr_AverageAnnualReturnYear05 (4.34%) [2]
Since Inception rr_AverageAnnualReturnSinceInception 2.21% [2]
Small-Cap Growth Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 7.18% [2]
5 Years rr_AverageAnnualReturnYear05 (3.62%) [2]
Since Inception rr_AverageAnnualReturnSinceInception 1.91% [2]
Small-Cap Growth Fund | Russell 2000® Growth Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 14.59%
5 Years rr_AverageAnnualReturnYear05 3.49%
Since Inception rr_AverageAnnualReturnSinceInception 6.48%
[1] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.94%. Any material change to this Fund policy would require a vote by shareholders.
[2] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 37 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Small-Cap Growth Fund
FUND SUMMARY: SMALL-CAP GROWTH FUND
Investment Objective:
The Small-Cap Growth Fund (the “Fund”) seeks to provide long-term total return on capital, primarily through capital appreciation.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Small-Cap Growth Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees none
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Small-Cap Growth Fund
Class N
Management Fees 0.49%
Distribution and/or Service (12b-1) Fees none
Other Expenses 0.64%
Total Annual Fund Operating Expenses 1.13%
Fee Waiver and/or Expense Reimbursement [1] (0.19%)
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) 0.94%
[1] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.94%. Any material change to this Fund policy would require a vote by shareholders.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Small-Cap Growth Fund Class N
96 300 520 1,155
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 78% of the average value of its portfolio.
Principal Investment Strategies:
The Fund invests in a diversified portfolio of small-cap stocks that are listed on the New York Stock Exchange, NYSE MKT and NASDAQ. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in stocks from among those in the small-cap growth category at the time of purchase. The Adviser selects stocks within the small-cap growth category for the Fund using a statistically driven approach. Growth stocks are those the Adviser believes have above average prospects for economic growth.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

While the Fund is managed for long-term return on capital, the Adviser seeks to minimize capital gains distributions as part of a tax management strategy. The successful application of this method is intended to result in a more tax-efficient fund than would otherwise be the case.

The Fund may engage in active and frequent trading.
Principal Risks:
Shareholders of the Fund are exposed to significant stock market risk (volatility) and could lose money.

Investing in small-cap stocks may involve greater volatility and risk than investing in large- or mid-cap stocks.

Growth stocks may be more volatile than other stocks because they are generally more sensitive to investor perceptions and market movements. In addition, growth stocks as a group may be out of favor at times and underperform the overall equity market for long periods while the market concentrates on other types of stocks, such as “value” stocks.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

If too many small companies in the Fund outgrow the Fund’s small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.

A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund’s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Small-Cap Growth Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 39.97%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q4 11         19.95%   
Worst Quarter:
     Q3 11         -26.49%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Small-Cap Growth Fund
1 Year
5 Years
Since Inception
Inception Date
Class N
11.05% (4.31%) 2.22% Oct. 31, 2003
Class N Return After Taxes on Distributions
[1] 11.05% (4.34%) 2.21%  
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 7.18% (3.62%) 1.91%  
Russell 2000® Growth Index (reflects no deductions for fees, expenses or taxes)
14.59% 3.49% 6.48%  
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 38 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Ultra-Small Company Market Fund
FUND SUMMARY: ULTRA-SMALL COMPANY MARKET FUND
Investment Objective:
The Ultra-Small Company Market Fund (the “Fund”) seeks to provide a long-term total return on capital, primarily through capital appreciation.
Fees and Expenses of the Fund:
This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees (paid directly from your investment)
Shareholder Fees
Ultra-Small Company Market Fund
Class N
Sales Charge (Load) Imposed on Purchases none
Sales Charge (Load) Imposed on Reinvested Dividends none
Redemption Fees (as a percentage of amount redeemed for shares held less than six months) 2.00%
Exchange Fees none
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Annual Fund Operating Expenses
Ultra-Small Company Market Fund
Class N
Management Fees 0.50%
Distribution and/or Service (12b-1) Fees none
Acquired Fund Fees and Expenses [1] 0.11%
Other Expenses 0.29%
Total Annual Fund Operating Expenses 0.90%
Fee Waiver and/or Expense Reimbursement [2] (0.04%)
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) [3] 0.86%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.75%. Acquired Fund Fees and Expenses are not included in the 0.75% expense limitation. Any material change to this Fund policy would require a vote by shareholders.
[3] Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Example:
This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Ultra-Small Company Market Fund Class N
88 274 477 1,061
Portfolio Turnover:
The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 41% of the average value of its portfolio.
Principal Investment Strategies:
The Fund aims to achieve its objective by approximating the total return of the Cap-Based Portfolio 10 Index (the “Index”) published by the University of Chicago’s Center for Research in Security Prices (“CRSP”) over longer time periods. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in ultra-small company stocks based on company size at the time of purchase. For purposes of the Fund’s investments, “ultra-small companies” are defined as those: (i) companies that have a market capitalization the size of the smallest 10% of companies listed on the New York Stock Exchange; or (ii) companies with a capitalization that falls within the range of capitalization of companies included in the Index as defined by CRSP. A majority of the stocks in the Fund are listed on NASDAQ. On June 30, 2013, the stocks in this group generally had a market capitalization of less than $307 million. The Adviser invests in a representative sample of the companies included in the Index. However, the Adviser also may invest in companies that are not included in the Index.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

The Adviser also seeks to minimize the distribution of capital gains, within the constraints of the investment objective and ultra-small company focus, by offsetting capital gains with capital losses. By paying close attention to trading, the Adviser seeks to conduct such tax management without detriment to the overall Fund return.

The Fund may purchase stock market index futures in order to hedge cash.
Principal Risks:
The market price of ultra-small company shares typically exhibits greater volatility than small-company and even micro-cap company shares and much greater volatility than large-company shares. Therefore, shareholders of this Fund are exposed to higher risk and could lose money.

The Fund is also subject to the risk that ultra-small company stocks will underperform other kinds of investments for a period of time.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

If too many ultra-small companies in the Fund outgrow the Fund’s ultra-small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return.
Performance:
The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Ultra-Small Company Market Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart

Return from 1/1/13 through 9/30/13 was 35.60%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 03         30.87%   
Worst Quarter:
     Q4 08         -27.94%   
Average Annual Total Returns (For the periods ended 12/31/12)
Average Annual Total Returns Ultra-Small Company Market Fund
1 Year
5 Years
10 Years
Class N
19.83% 1.00% 9.53%
Class N Return After Taxes on Distributions
[1] 16.23% (0.23%) 8.68%
Class N Return After Taxes on Distributions and Sale of Fund Shares
[1] 17.27% 0.60% 8.34%
CRSP Cap-Based Portfolio 10 Index (reflects no deductions for fees, expenses or taxes)
21.47% 5.25% 12.90%
[1] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Ultra-Small Company Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: ULTRA-SMALL COMPANY FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Ultra-Small Company Fund (the “Fund”) seeks to provide a long-term total return on capital, primarily through capital appreciation.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 89% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 89.00%
Expenses Not Correlated to Ratio Due to Acquired Fund Fees [Text] rr_ExpensesNotCorrelatedToRatioDueToAcquiredFundFees Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund invests in a diversified portfolio of common stocks of ultra-small companies. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in ultra-small company stocks based on company size at the time of purchase. For purposes of the Fund’s investments, “ultra-small companies” are defined as those: (i) companies that have a market capitalization the size of the smallest 20% of companies listed on the New York Stock Exchange; or (ii) companies with a capitalization that falls within the range of capitalization of companies included in the Cap-Based Portfolio 9 Index or the Cap-Based Portfolio 10 Index as defined by the University of Chicago’s Center for Research in Security Prices (“CRSP”). A majority of these stocks are listed on NASDAQ. On June 30, 2013, the stocks in this group generally had a market capitalization of less than $586 million. Bridgeway Capital Management, Inc. (the “Adviser”) selects stocks for the Fund using a statistically driven approach.

The Fund may invest up to 15% of its total assets in foreign securities. For purposes of the Fund’s investments, “foreign securities” means those securities issued by companies: (i) that are domiciled in a country other than the U.S.; and (ii) that derive 50% or more of their total revenue from activities outside of the U.S.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

The Fund may engage in active and frequent trading.

The Fund may purchase stock market index futures in order to hedge cash.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock The market prices of ultra-small company shares typically exhibit greater volatility than small-company shares and even micro-cap company shares and much greater volatility than large-company shares. Therefore, shareholders of this Fund are exposed to higher risk and could lose money.

The Fund is also subject to the risk that ultra-small company stocks will underperform other kinds of investments for a period of time.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

A higher portfolio turnover rate increases transaction costs and as a result may adversely impact the Fund’s performance and may increase share price volatility. Moreover, a higher portfolio turnover rate may result in higher taxes when Fund shares are held in a taxable account.

Investments in foreign securities can be more volatile than investments in U.S. securities.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return.
Risk Lose Money [Text] rr_RiskLoseMoney Therefore, shareholders of this Fund are exposed to higher risk and could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Ultra-Small Company Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 42.52%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 09         38.67%   
Worst Quarter:
     Q4 08         -27.19%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Performance Table Explanation after Tax Higher rr_PerformanceTableExplanationAfterTaxHigher Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.
Ultra-Small Company Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees rr_RedemptionFeeOverRedemption none
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.90%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.27%
Acquired Fund Fees and Expenses rr_AcquiredFundFeesAndExpensesOverAssets 0.16% [1]
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 1.33% [2]
1 Year rr_ExpenseExampleYear01 $ 135
3 Years rr_ExpenseExampleYear03 421
5 Years rr_ExpenseExampleYear05 729
10 Years rr_ExpenseExampleYear10 $ 1,601
2003 rr_AnnualReturn2003 88.57%
2004 rr_AnnualReturn2004 23.33%
2005 rr_AnnualReturn2005 2.99%
2006 rr_AnnualReturn2006 21.55%
2007 rr_AnnualReturn2007 (2.77%)
2008 rr_AnnualReturn2008 (46.24%)
2009 rr_AnnualReturn2009 48.93%
2010 rr_AnnualReturn2010 23.55%
2011 rr_AnnualReturn2011 (14.64%)
2012 rr_AnnualReturn2012 24.49%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 42.52%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Jun. 30, 2009
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 38.67%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (27.19%)
1 Year rr_AverageAnnualReturnYear01 24.49%
5 Years rr_AverageAnnualReturnYear05 1.00%
10 Years rr_AverageAnnualReturnYear10 11.52%
Ultra-Small Company Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 24.40% [3]
5 Years rr_AverageAnnualReturnYear05 0.84% [3]
10 Years rr_AverageAnnualReturnYear10 10.07% [3]
Ultra-Small Company Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 16.02% [3]
5 Years rr_AverageAnnualReturnYear05 0.78% [3]
10 Years rr_AverageAnnualReturnYear10 10.02% [3]
Ultra-Small Company Fund | CRSP Cap-Based Portfolio 10 Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 21.47%
5 Years rr_AverageAnnualReturnYear05 5.25%
10 Years rr_AverageAnnualReturnYear10 12.90%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Total Annual Fund Operating Expenses do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
[3] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
XML 44 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName BRIDGEWAY FUNDS INC
Prospectus Date rr_ProspectusDate Oct. 31, 2013
Ultra-Small Company Market Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading FUND SUMMARY: ULTRA-SMALL COMPANY MARKET FUND
Objective [Heading] rr_ObjectiveHeading Investment Objective:
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The Ultra-Small Company Market Fund (the “Fund”) seeks to provide a long-term total return on capital, primarily through capital appreciation.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund:
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock This table describes the fees and expenses that you may pay if you buy and hold shares of the Fund.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption Shareholder Fees (paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading Portfolio Turnover:
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the example, affect the Fund’s performance. During the most recent fiscal year, the Fund’s portfolio turnover rate was 41% of the average value of its portfolio.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 41.00%
Expenses Not Correlated to Ratio Due to Acquired Fund Fees [Text] rr_ExpensesNotCorrelatedToRatioDueToAcquiredFundFees Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
Expense Example [Heading] rr_ExpenseExampleHeading Example:
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.

The Example assumes that you invest $10,000 in the Fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the Fund’s operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategies:
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock The Fund aims to achieve its objective by approximating the total return of the Cap-Based Portfolio 10 Index (the “Index”) published by the University of Chicago’s Center for Research in Security Prices (“CRSP”) over longer time periods. Under normal circumstances, the Fund invests at least 80% of its net assets (plus borrowings for investment purposes) in ultra-small company stocks based on company size at the time of purchase. For purposes of the Fund’s investments, “ultra-small companies” are defined as those: (i) companies that have a market capitalization the size of the smallest 10% of companies listed on the New York Stock Exchange; or (ii) companies with a capitalization that falls within the range of capitalization of companies included in the Index as defined by CRSP. A majority of the stocks in the Fund are listed on NASDAQ. On June 30, 2013, the stocks in this group generally had a market capitalization of less than $307 million. The Adviser invests in a representative sample of the companies included in the Index. However, the Adviser also may invest in companies that are not included in the Index.

Although the Fund seeks investments across a number of sectors, from time to time, based on portfolio positioning to reflect its benchmark, the Fund may have significant positions in particular sectors.

The Adviser also seeks to minimize the distribution of capital gains, within the constraints of the investment objective and ultra-small company focus, by offsetting capital gains with capital losses. By paying close attention to trading, the Adviser seeks to conduct such tax management without detriment to the overall Fund return.

The Fund may purchase stock market index futures in order to hedge cash.
Risk [Heading] rr_RiskHeading Principal Risks:
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock The market price of ultra-small company shares typically exhibits greater volatility than small-company and even micro-cap company shares and much greater volatility than large-company shares. Therefore, shareholders of this Fund are exposed to higher risk and could lose money.

The Fund is also subject to the risk that ultra-small company stocks will underperform other kinds of investments for a period of time.

Companies with similar characteristics may be grouped together in broad categories called sectors. A certain sector may underperform other sectors or the market as a whole. As the Adviser allocates more of the Fund’s portfolio holdings to a particular sector, the Fund’s performance will be more susceptible to any economic, business or other developments which generally affect that sector.

If too many ultra-small companies in the Fund outgrow the Fund’s ultra-small-cap mandate or if the Fund experiences extensive redemptions, the Adviser might need to sell some stocks, which could create capital gains. There can be no guarantee that the Fund will not distribute substantial capital gains, although the Adviser strongly intends to avoid doing so.

The Fund’s use of futures to manage risk or hedge market volatility may not always be successful hedges, their prices can be highly volatile, they may not always successfully manage risk and they could lower the Fund’s total return.
Risk Lose Money [Text] rr_RiskLoseMoney Therefore, shareholders of this Fund are exposed to higher risk and could lose money.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Performance:
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance. This information is based on past performance. Past performance (before and after taxes) does not guarantee future results. Updated performance information is available on the Fund’s website at www.bridgeway.com or by calling 800-661-3550.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns The bar chart and table below provide an indication of the risk of investing in the Fund. The bar chart shows how the Fund’s performance has varied on a calendar year basis. The table shows how the Fund’s average annual returns for various periods compare with those of a broad measure of market performance.
Performance Availability Phone [Text] rr_PerformanceAvailabilityPhone 800-661-3550
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress www.bridgeway.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance (before and after taxes) does not guarantee future results.
Bar Chart [Heading] rr_BarChartHeading Ultra-Small Company Market Fund
Year by Year % Returns as of 12/31 of Each Year
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock

Return from 1/1/13 through 9/30/13 was 35.60%.

                 
       Quarter      Total
Return
 
Best Quarter:
     Q2 03         30.87%   
Worst Quarter:
     Q4 08         -27.94%   
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns (For the periods ended 12/31/12)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
Performance Table Explanation after Tax Higher rr_PerformanceTableExplanationAfterTaxHigher Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares.
Ultra-Small Company Market Fund | Class N
 
Risk/Return: rr_RiskReturnAbstract  
Sales Charge (Load) Imposed on Purchases rr_MaximumSalesChargeImposedOnPurchasesOverOfferingPrice none
Sales Charge (Load) Imposed on Reinvested Dividends rr_MaximumSalesChargeOnReinvestedDividendsAndDistributionsOverOther none
Redemption Fees (as a percentage of amount redeemed for shares held less than six months) rr_RedemptionFeeOverRedemption 2.00%
Exchange Fees rr_ExchangeFeeOverRedemption none
Management Fees rr_ManagementFeesOverAssets 0.50%
Distribution and/or Service (12b-1) Fees rr_DistributionAndService12b1FeesOverAssets none
Other Expenses rr_OtherExpensesOverAssets 0.29%
Acquired Fund Fees and Expenses rr_AcquiredFundFeesAndExpensesOverAssets 0.11% [1]
Total Annual Fund Operating Expenses rr_ExpensesOverAssets 0.90%
Fee Waiver and/or Expense Reimbursement rr_FeeWaiverOrReimbursementOverAssets (0.04%) [2]
Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) rr_NetExpensesOverAssets 0.86% [3]
1 Year rr_ExpenseExampleYear01 $ 88
3 Years rr_ExpenseExampleYear03 274
5 Years rr_ExpenseExampleYear05 477
10 Years rr_ExpenseExampleYear10 $ 1,061
2003 rr_AnnualReturn2003 79.43%
2004 rr_AnnualReturn2004 20.12%
2005 rr_AnnualReturn2005 4.08%
2006 rr_AnnualReturn2006 11.48%
2007 rr_AnnualReturn2007 (5.40%)
2008 rr_AnnualReturn2008 (39.49%)
2009 rr_AnnualReturn2009 25.95%
2010 rr_AnnualReturn2010 24.86%
2011 rr_AnnualReturn2011 (7.86%)
2012 rr_AnnualReturn2012 19.83%
Year to Date Return, Label rr_YearToDateReturnLabel Return from 1/1/13 through 9/30/13
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Sep. 30, 2013
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 35.60%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Jun. 30, 2003
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 30.87%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (27.94%)
1 Year rr_AverageAnnualReturnYear01 19.83%
5 Years rr_AverageAnnualReturnYear05 1.00%
10 Years rr_AverageAnnualReturnYear10 9.53%
Ultra-Small Company Market Fund | Return After Taxes on Distributions | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 16.23% [4]
5 Years rr_AverageAnnualReturnYear05 (0.23%) [4]
10 Years rr_AverageAnnualReturnYear10 8.68% [4]
Ultra-Small Company Market Fund | Return After Taxes on Distributions and Sale of Fund Shares | Class N
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 17.27% [4]
5 Years rr_AverageAnnualReturnYear05 0.60% [4]
10 Years rr_AverageAnnualReturnYear10 8.34% [4]
Ultra-Small Company Market Fund | CRSP Cap-Based Portfolio 10 Index (reflects no deductions for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 21.47%
5 Years rr_AverageAnnualReturnYear05 5.25%
10 Years rr_AverageAnnualReturnYear10 12.90%
[1] Acquired Fund Fees and Expenses are expenses incurred by the Fund through its ownership of shares in other investment companies, including business development companies.
[2] Bridgeway Capital Management, Inc. (the "Adviser"), the investment adviser to the Fund, pursuant to its Management Agreement with Bridgeway Funds, Inc. ("Bridgeway Funds"), is contractually obligated to waive fees and/or pay Fund expenses, if necessary, to ensure that net expenses do not exceed 0.75%. Acquired Fund Fees and Expenses are not included in the 0.75% expense limitation. Any material change to this Fund policy would require a vote by shareholders.
[3] Total Annual Fund Operating Expenses (After Fee Waiver/Expense Reimbursement) do not correlate to the expense ratio in the Financial Highlights, which reflects operating expenses of the Fund and does not include Acquired Fund Fees and Expenses.
[4] After-tax returns are calculated using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on an investor's tax situation and may differ from those shown. Return After Taxes on Distributions and Sale of Fund Shares may be higher than other returns for the same period due to a tax benefit of realizing a capital loss upon the sale of Fund shares. After-tax returns shown are not relevant to investors who hold their Fund shares through tax-deferred arrangements, such as 401(k) plans or individual retirement plans.
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Document and Entity Information
12 Months Ended
Oct. 31, 2013
Risk/Return:  
Document Type 485BPOS
Document Period End Date Jun. 30, 2013
Registrant Name BRIDGEWAY FUNDS INC
Central Index Key 0000916006
Amendment Flag false
Document Creation Date Oct. 24, 2013
Document Effective Date Oct. 31, 2013
Prospectus Date Oct. 31, 2013
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