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Condensed Balance Sheets (USD $)
Mar. 31, 2012
Dec. 31, 2011
INVESTMENT PROPERTIES: (Note 3)    
Land $ 2,956,118 $ 2,956,118
Buildings 5,028,699 5,028,699
Accumulated depreciation (3,722,301) (3,684,775)
Net investment properties 4,262,516 4,300,042
OTHER ASSETS:    
Cash 700,650 771,250
Cash held in Indemnification Trust (Note 9) 451,784 451,961
Property tax cash escrow 25,321 28,130
Rents and other receivables 300 430,048
Property held for sale (Note 3) 190,091 185,664
Deferred rent receivable 468 1,767
Prepaid insurance 3,437 4,910
Deferred charges, net 214,589 221,789
Note Receivable (Note 11) 247,235 253,247
Total other assets 1,833,875 2,348,766
Total assets 6,096,391 6,648,808
LIABILITIES AND PARTNERS' CAPITAL    
Accounts payable and accrued expenses 56,963 14,586
Property tax payable 25,325 28,134
Due to General Partner (Note 6) 670 1,757
Unearned rental income 0 5,000
Security deposits 70,440 70,440
Total liabilities 153,398 119,917
CONTINGENT LIABILITIES: (Note 8 and 9)      
PARTNERS' CAPITAL: (Notes 1, 4 and 10)    
Cumulative net income 315,663 315,120
Cumulative cash distributions (132,169) (131,952)
Total general partners' capital 183,494 183,168
Limited Partners (46,280.3 interests outstanding) At March 31, 2012 and December 31, 2011    
Capital contributions, net of offering costs 39,358,468 39,358,468
Cumulative net income 37,616,528 37,562,752
Cumulative cash distributions (70,375,268) (69,735,268)
Reallocation of former general partners' deficit capital (840,229) (840,229)
Total limited partners' capital 5,759,499 6,345,723
Total partners' capital 5,942,993 6,528,891
Total liabilities and partners' capital $ 6,096,391 $ 6,648,808