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Shareholder Report, Line Graph (Details) - USD ($)
12 Months Ended 60 Months Ended 108 Months Ended
Dec. 31, 2024
Dec. 31, 2024
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2015
C000164379 [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Bramshill Multi-Strategy Income Fund (Class A/BDKAX)                      
Account Value $ 9,515 $ 9,515 $ 9,515 $ 8,764 $ 7,846 $ 8,905 $ 8,447 $ 11,739 $ 11,039 $ 10,718 $ 10,004 $ 9,425
Average Annual Return, Percent [1],[2] 3.88% (4.94%) (0.55%) [3]                  
C000164379 [Member] | Without Sales Load [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Bramshill Multi-Strategy Income Fund (Class A/BDKAX) - excluding sales load                      
Average Annual Return, Percent 8.56% (4.12%) 0.11% [3]                  
C000164380 [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Bramshill Multi-Strategy Income Fund (Class C/BDKCX)                      
Account Value $ 9,433 $ 9,433 $ 9,433 8,752 7,893 9,029 8,629 12,084 11,455 11,201 10,529 10,000
Average Annual Return, Percent [4] 6.77% (4.83%) (0.65%) [5]                  
C000164380 [Member] | Without Sales Load [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Bramshill Multi-Strategy Income Fund (Class C/BDKCX) - excluding sales load                      
Average Annual Return, Percent 7.77% (4.83%) (0.65%) [5]                  
C000164381 [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Bramshill Multi-Strategy Income Fund (Institutional Class/BDKNX)                      
Account Value $ 1,033,779 $ 1,033,779 $ 1,033,779 948,417 846,981 958,592 906,832 1,258,338 1,180,456 1,143,394 1,063,622 1,000,000
Average Annual Return, Percent 9.00% (3.86%) 0.37% [6]                  
Bloomberg Aggregate Bond Index [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name Bloomberg Aggregate Bond Index                      
Account Value $ 11,369 $ 11,369 $ 11,369 11,229 10,641 12,232 12,423 11,556 10,629 10,628 10,265 10,000
Average Annual Return, Percent 1.25% (0.33%) 1.44% [3],[5],[6]                  
ICE BofA Merrill Lynch U S Cash Pay U S High Yield [Member]                        
Account Value [Line Items]                        
Line Graph and Table Measure Name ICE BofA Merrill Lynch U.S. Cash Pay U.S. High Yield                      
Account Value $ 17,206 $ 17,206 $ 17,206 $ 15,915 $ 14,026 $ 15,769 $ 14,977 $ 14,102 $ 12,327 $ 12,612 $ 11,734 $ 10,000
Average Annual Return, Percent 8.11% 4.06% 6.22% [3],[5],[6]                  
[1] A Contingent Deferred Sales Charge ("CDSC") of 1.00% may be imposed on certain purchases of $1 million or more that are redeemed in whole or in part within 12 months of purchase.
[2] Maximum sales charge (load) of 4.25% of offering price.
[3] Class A shares commenced operations on December 31, 2015.
[4] A Contingent Deferred Sales Charge ("CDSC") of 1.00% may be imposed on certain purchases that are redeemed in whole or in part within 12 months of purchase.
[5] Class C shares commenced operations on December 31, 2015.
[6] Institutional Class shares commenced operations on December 31, 2015.