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Cavalier Traditional Fixed Income Fund
Shareholder Fees - {Cavalier Traditional Fixed Income Fund} - Cavalier Traditional Fixed Income Fund
Institutional Class Shares
Advisor Class Shares
Class P Shares
Maximum Sales Charge (Load) Imposed On Purchases (as a % of offering price) none none none
Maximum Deferred Sales Charge (Load) (as a % of the lesser of amount purchased or redeemed) none 1.00% none
Redemption Fee (as a % of amount redeemed) none none none
Exchange Fee none none none
Annual Fund Operating Expenses - {Cavalier Traditional Fixed Income Fund} - Cavalier Traditional Fixed Income Fund
Institutional Class Shares
Advisor Class Shares
Class P Shares
Management Fees [1] 0.45% 0.45% 0.45%
Distribution and/or Service (12b-1) Fees [1] none 1.00% none
Other Expenses [1] 0.60% 0.60% 0.85%
Acquired Fund Fees and Expenses [1],[2] 0.20% 0.20% 0.20%
Total Annual Fund Operating Expenses [1] 1.25% 2.25% 1.50%
Less Fee Waiver and/or Expense Limitation [1],[3] 0.15% 0.15% 0.25%
Net Annual Fund Operating Expenses After Fee Waiver and/or Expense Limitation [1] 1.10% 2.10% 1.25%
[1] The expense information in the table has been restated to reflect current fees rather than the fees in effect during the previous fiscal year.
[2] Acquired Fund" means any investment company in which the Fund invests or has invested during the previous fiscal year. The "Total Annual Fund Operating Expenses" and "Net Annual Fund Operating Expenses" will not match the Fund's gross and net expense ratios reported in the Financial Highlights from the Fund's financial statements, which reflect the operating expenses of the Fund and do not include Acquired Fund Fees and Expenses.
[3] The Advisor has entered into an Expense Limitation Agreement with the Fund under which it has agreed to waive or reduce its fees and to assume other expenses of the Fund, if necessary, in an amount that limits the Fund's annual operating expenses (exclusive of interest, taxes, brokerage fees and commissions, extraordinary expenses, and payments under the Rule 12b-1 distribution plan) including acquired fund fees and expenses to not more than 1.10% of the average daily net assets of the Fund for Institutional and Advisor Class shares, and to not more than 1. 25% of the average daily net assets for Class P shares. Net annual operating expenses for the Fund may exceed these limits to the extent that it incurs expenses enumerated above as exclusions. The Expense Limitation Agreement runs through September 30 , 2016, and may not be terminated prior to that date except via action of the Trust's board of trustees. The Advisor cannot recoup from the Fund any amounts paid by the Advisor under the Expense Limitation Agreement.
Expense Example- {Cavalier Traditional Fixed Income Fund} - Cavalier Traditional Fixed Income Fund - USD ($)
1 Year
3 Years
5 Years
10 Years
Institutional Class Shares 112 382 672 1,498
Advisor Class Shares 313 689 1,191 2,573
Class P Shares 127 450 795 1,769
You would pay the following expenses if you did not redeem your shares:
Expense Example, No Redemption- {Cavalier Traditional Fixed Income Fund} - Cavalier Traditional Fixed Income Fund - USD ($)
1 Year
3 Years
5 Years
10 Years
Institutional Class Shares 112 382 672 1,498
Advisor Class Shares 213 689 1,191 2,573
Class P Shares 127 450 795 1,769
Bar Chart
Average Annual Total Returns Periods Ended December 31, 2014
Average Annual Total Returns- {Cavalier Traditional Fixed Income Fund} - Cavalier Traditional Fixed Income Fund
Past 1 Year
Since Inception
[1]
Inception Date
Institutional Class Shares 1.42% (1.65%) Sep. 20, 2012
Institutional Class Shares | After taxes on distributions 1.13% (1.94%)  
Institutional Class Shares | After taxes on distributions and sale of shares 0.80% (1.49%)  
Institutional Class Shares | Barclays Capital Global Aggregate Index (reflects no deductions for fees and expenses) 0.49% (0.98%)  
Advisor Class Shares 0.33% (2.27%) Sep. 26, 2012
Advisor Class Shares | Barclays Capital Global Aggregate Index (reflects no deductions for fees and expenses) 0.49% (1.07%)  
[1] The Institutional Class Shares began operating on September 20, 2012. The Advisor Class Shares began operating on September 26, 2012. The Class P Shares are newly organized, and their performance information will be available after a full calendar year of operations.