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RECONCILIATION OF FINANCIAL STATEMENT NET INCOME (LOSS) TO TAX RETURN (Details) - USD ($)
12 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes $ 15,103,290 $ 10,666,816
Operating limited partnership rents received in advance 155 33,570
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (9,530,240) (1,941,869)
Other 8,210,250 21,948,565
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (8,901,790) (11,617,242)
Excess of tax depreciation over book depreciation on operating limited partnership assets (2,914,770) (4,565,374)
Impairment loss not recognized for tax purposes 0 1,464,002
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (17,518,111) (17,613,704)
Income (loss) for tax return purposes (15,551,216) (1,625,236)
Series Twenty [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 65,321 (66,671)
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 24,843 (62,628)
Other 522,385 952
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (106,474) (109,408)
Excess of tax depreciation over book depreciation on operating limited partnership assets (17,784) (40,532)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (131,295) (4,798)
Income (loss) for tax return purposes 356,996 (283,085)
Series Twenty One [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (44,938) 279,798
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (139,128) 19,976
Other 18,446 1,171,340
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (39,102) 0
Excess of tax depreciation over book depreciation on operating limited partnership assets (33,177) (35,256)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes 1,060 (390,000)
Income (loss) for tax return purposes (236,839) 1,045,858
Series Twenty Two [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (72,794) 178,017
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 29,208 9,937
Other 547,008 634,033
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (45,959) (57,309)
Excess of tax depreciation over book depreciation on operating limited partnership assets (19,546) (11,278)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (31,291) (222,930)
Income (loss) for tax return purposes 406,626 530,470
Series Twenty Three [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 402,128 168,719
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 37,362 (154,401)
Other 60,716 573,118
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (159,714) (372,667)
Excess of tax depreciation over book depreciation on operating limited partnership assets (28,172) (74,999)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (703,528) 12,654
Income (loss) for tax return purposes (391,208) 152,424
Series Twenty Four [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (75,371) 27,462
Operating limited partnership rents received in advance (358) 358
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 0 0
Other 30,366 157,886
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (185,148) (146,078)
Excess of tax depreciation over book depreciation on operating limited partnership assets (52,400) (39,106)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (10,228) 51,324
Income (loss) for tax return purposes (293,139) 51,846
Series Twenty Five [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (51,336) (33,376)
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 0 0
Other 65,984 50,851
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (112,755) (70,287)
Excess of tax depreciation over book depreciation on operating limited partnership assets (61,003) (65,924)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (6,578) (14,657)
Income (loss) for tax return purposes (165,688) (133,393)
Series Twenty Six [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (126,723) (66,471)
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 0 0
Other 708 1,509,253
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (500,992) (461,073)
Excess of tax depreciation over book depreciation on operating limited partnership assets (102,807) (123,216)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (11,559) (95,955)
Income (loss) for tax return purposes (741,373) 762,538
Series Twenty Seven [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 2,675,164 (152,027)
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 0 0
Other 3,509,504 106,892
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (164,034) (226,075)
Excess of tax depreciation over book depreciation on operating limited partnership assets 106,695 (253,680)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (2,896,130) (20,623)
Income (loss) for tax return purposes 3,231,199 (545,513)
Series Twenty Eight [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (64,444) 1,295,112
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 0 0
Other 87,980 751,162
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (198,898) (533,920)
Excess of tax depreciation over book depreciation on operating limited partnership assets (70,559) (67,191)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (10,783) (1,394,145)
Income (loss) for tax return purposes (256,704) 51,018
Series Twenty Nine [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (173,797) 355,117
Operating limited partnership rents received in advance 8,486 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (99,313) (236,133)
Other 97,387 1,907,192
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (531,118) (442,926)
Excess of tax depreciation over book depreciation on operating limited partnership assets (111,292) (128,069)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes 217,422 (380,363)
Income (loss) for tax return purposes (592,225) 1,074,818
Series Thirty [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (103,851) 191,558
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 69,684 (261,540)
Other 21,360 (733,450)
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (187,074) (174,671)
Excess of tax depreciation over book depreciation on operating limited partnership assets (104,590) (91,676)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (285,411) 2,962
Income (loss) for tax return purposes (589,882) (1,066,817)
Series Thirty One [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 698,887 1,144,794
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 0 (2,902,513)
Other 1,772,400 5,881,305
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (497,487) (551,230)
Excess of tax depreciation over book depreciation on operating limited partnership assets (120,866) (136,785)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (879,687) (1,294,196)
Income (loss) for tax return purposes 973,247 2,141,375
Series Thirty Two [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 374,024 615,369
Operating limited partnership rents received in advance (1,053) 10,480
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (593,524) 85,502
Other 76,514 2,948,629
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (529,907) (513,975)
Excess of tax depreciation over book depreciation on operating limited partnership assets (148,783) (201,736)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (580,023) (878,598)
Income (loss) for tax return purposes (1,402,752) 2,065,671
Series Thirty Three [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (94,282) 1,023,616
Operating limited partnership rents received in advance 3,591 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (834,408) 19,848
Other 116,153 358,642
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (297,842) (250,938)
Excess of tax depreciation over book depreciation on operating limited partnership assets (122,731) (124,116)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (5,328) (1,094,625)
Income (loss) for tax return purposes (1,234,847) (67,573)
Series Thirty Four [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 556,742 316,271
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (248,259) (474,323)
Other (1,066,168) 3,365,399
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (136,875) (360,810)
Excess of tax depreciation over book depreciation on operating limited partnership assets (70,296) (126,064)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (647,142) (333,873)
Income (loss) for tax return purposes (1,611,998) 2,386,600
Series Thirty Five [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 2,641,797 1,374,252
Operating limited partnership rents received in advance 2,642 388
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (1,942,253) 88,845
Other 1,264,928 (981,206)
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (40,749) (403,942)
Excess of tax depreciation over book depreciation on operating limited partnership assets (79,294) (131,468)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (2,304,632) (1,587,306)
Income (loss) for tax return purposes (457,561) (1,640,437)
Series Thirty Six [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 2,482,508 444,498
Operating limited partnership rents received in advance (1,519) 530
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (525,031) 101,759
Other 889,821 389,350
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (131,250) (381,014)
Excess of tax depreciation over book depreciation on operating limited partnership assets (29,683) (110,314)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (2,582,560) (659,104)
Income (loss) for tax return purposes 102,286 (214,295)
Series Thirty Seven [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 2,213,042 (161,074)
Operating limited partnership rents received in advance (6,374) 1,620
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (457,692) 157,320
Other 1,380,551 1,915,796
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (141,806) (973,078)
Excess of tax depreciation over book depreciation on operating limited partnership assets (20,612) (159,522)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (1,854,291) (80,976)
Income (loss) for tax return purposes 1,112,818 700,086
Series Thirty Eight [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 3,212,273 (91,569)
Operating limited partnership rents received in advance 0 7,881
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (504,647) 139,400
Other 2,040,553 178,787
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (144,427) (401,471)
Excess of tax depreciation over book depreciation on operating limited partnership assets (112,811) (354,740)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (2,730,241) (178,037)
Income (loss) for tax return purposes 1,760,700 (699,749)
Series Thirty Nine [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 1,554,531 49,450
Operating limited partnership rents received in advance 0 7,879
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (620,973) 93,229
Other (1,571,550) (1,089,112)
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (13,393) (283,760)
Excess of tax depreciation over book depreciation on operating limited partnership assets (13,019) (255,315)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (1,069,742) (266,500)
Income (loss) for tax return purposes (1,734,146) (1,744,129)
Series Forty [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (79,129) 584,797
Operating limited partnership rents received in advance (2,549) 255
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (178,258) 193,581
Other (2,082,251) 689,192
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (695,283) (485,428)
Excess of tax depreciation over book depreciation on operating limited partnership assets (115,566) (211,853)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (158,655) (1,904,213)
Income (loss) for tax return purposes (3,311,691) (1,133,669)
Series Forty One [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (137,219) 302,913
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 124,592 228,916
Other (176,849) 617,780
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (535,125) (652,535)
Excess of tax depreciation over book depreciation on operating limited partnership assets (207,789) (250,072)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (202,362) (631,463)
Income (loss) for tax return purposes (1,134,752) (384,461)
Series Forty Two [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (199,189) 3,133,162
Operating limited partnership rents received in advance 240 1,603
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (2,141,040) 42,892
Other 124,991 268,792
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (678,898) (820,041)
Excess of tax depreciation over book depreciation on operating limited partnership assets (215,303) (226,546)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (67,226) (3,303,390)
Income (loss) for tax return purposes (3,176,425) (903,528)
Series Forty Three [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (246,031) 2,323,909
Operating limited partnership rents received in advance (323) 718
Accrued partnership fund management fee not deducted (deducted) for income tax purposes (2,289,322) 206,108
Other (137,271) 679,343
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (749,824) (980,275)
Excess of tax depreciation over book depreciation on operating limited partnership assets (195,524) (185,336)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes 186,238 (2,689,401)
Income (loss) for tax return purposes (3,432,057) (644,934)
Series Forty Four [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (231,517) (323,040)
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 239,076 254,628
Other (62,471) 69,815
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (596,043) (612,970)
Excess of tax depreciation over book depreciation on operating limited partnership assets (295,249) (455,768)
Impairment loss not recognized for tax purposes 0 0
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (128,192) (8,597)
Income (loss) for tax return purposes (1,074,396) (1,075,932)
Series Forty Five [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes (244,274) (1,050,682)
Operating limited partnership rents received in advance 0 0
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 282,759 283,200
Other 239,056 195,977
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (915,282) (674,036)
Excess of tax depreciation over book depreciation on operating limited partnership assets (274,370) (236,814)
Impairment loss not recognized for tax purposes 0 661,498
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (137,774) (136,780)
Income (loss) for tax return purposes (1,049,885) (957,637)
Series Forty Six [Member]    
Reconciliation Of Financial Statement Net Income Loss To Income Tax Return Disclosure [Line Items]    
Net income (loss) for financial reporting purposes 171,768 (1,197,088)
Operating limited partnership rents received in advance (2,628) 1,858
Accrued partnership fund management fee not deducted (deducted) for income tax purposes 236,084 224,528
Other 439,999 330,847
Operating limited partnership losses not recognized for financial reporting purposes under equity method of accounting (566,331) (677,325)
Excess of tax depreciation over book depreciation on operating limited partnership assets (398,239) (467,998)
Impairment loss not recognized for tax purposes 0 802,504
Operating limited partnership impairment loss not recognized for tax purposes 0 0
Difference due to fiscal year for book purposes and calendar year for tax purposes (488,173) (110,114)
Income (loss) for tax return purposes $ (607,520) $ (1,092,788)