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Condensed Balance Sheets (USD $)
Jun. 30, 2011
Dec. 31, 2010
ASSETS    
Land $ 3,409,551 $ 3,853,775
Buildings 5,457,375 5,879,051
Accumulated depreciation (3,939,238) (4,178,495)
Net investment properties 4,927,688 5,554,331
OTHER ASSETS:    
Cash 573,433 427,973
Cash held in Indemnification Trust (Note 9) 451,783 451,387
Property tax cash escrow 41,210 40,417
Repair fund cash escrow 4,000 0
Rents and other receivables, 23,748 403,913
Property held for sale (Note 3) 33,991 33,991
Deferred rent receivable 4,950 12,217
Prepaid insurance 2,188 5,469
Deferred charges, net 236,316 255,844
Note Receivable (Note 11) 264,950 276,238
Total other assets 1,636,569 1,907,449
Total assets 6,564,257 7,461,780
LIABILITIES:    
Accounts payable and accrued expenses 43,116 20,098
Property tax payable 52,441 60,088
Repair fund payable 4,000 0
Due to General Partner (Note 6) 912 1,825
Unearned rental income 5,000 5,000
Security deposits 70,440 88,440
Total liabilities 175,909 175,451
CONTINGENT LIABILITIES: (Notes 8 and 9)    
PARTNERS' CAPITAL: (Notes 1, 4 and 10)    
Cumulative net income 308,741 312,364
Cumulative cash distributions (129,583) (128,871)
Total general partners' capital 179,158 183,493
Limited Partners (46,280.3 interests outstanding) At June 30, 2011 and December 31, 2010    
Capital contributions, net of offering costs 39,358,468 39,358,468
Cumulative net income 36,931,219 37,289,865
Cumulative cash distributions (69,240,268) (68,705,268)
Reallocation of former general partners' deficit capital (840,229) (840,229)
Total limited partners' capital 6,209,190 7,102,836
Total partners' capital 6,388,348 7,286,329
Total liabilities and partners' capital $ 6,564,257 $ 7,461,780