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Note 12 - Other Notes Payable
12 Months Ended
Jan. 31, 2012
Debt Disclosure [Text Block]
12.  OTHER NOTES PAYABLE

As of January 31, 2012, the Trust had $550,653 in secured promissory notes outstanding to unrelated third parties arising from the repurchase of 174,844 Class A limited partnership units in the Partnership and the repurchase of 439,431 Shares of Beneficial Interest in privately negotiated transactions.  The promissory notes bear interest at 7% per year and are due in varying monthly payments through August 2016.  The repurchased Class A limited partnership units and Shares of Beneficial Interest secure the notes.  As of January 31, 2011, the Trust had $480,552 in secured promissory notes outstanding to unrelated third parties arising from the repurchase of 99,118 Class A limited partnership units in the Partnership and the repurchase of 404,698 Shares of Beneficial Interest in privately negotiated transactions.