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Interest Rate Derivative Agreements (Details)
3 Months Ended
Mar. 31, 2017
USD ($)
Derivative [Line Items]  
Derivative, Fair Value - Asset (Liability) $ 151,730 [1]
Bank of New York Mellon [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2010-09
Derivative, Initial Notional Amount $ 31,936,667
Derivative, Maturity Date 2017-09
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 921,000
Derivative, Variable Debt Financing Facility Hedged M24 TEBS
Derivative, Maximum Potential Cost of Borrowing 5.00%
Barclays Bank PLC [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2010-09
Derivative, Initial Notional Amount $ 31,936,667
Derivative, Maturity Date 2017-09
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 845,600
Derivative, Variable Debt Financing Facility Hedged M24 TEBS
Derivative, Maximum Potential Cost of Borrowing 5.00%
Royal Bank of Canada [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2010-09
Derivative, Initial Notional Amount $ 31,936,667
Derivative, Maturity Date 2017-09
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 928,000
Derivative, Variable Debt Financing Facility Hedged M24 TEBS
Derivative, Maximum Potential Cost of Borrowing 5.00%
Deutsche Bank [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2013-08
Derivative, Initial Notional Amount $ 93,305,000
Derivative, Maturity Date 2017-09
Derivative, Effective Capped Rate 1.50%
Derivative, Index SIFMA
Derivative, Purchase Price $ 793,000
Derivative, Variable Debt Financing Facility Hedged M24 TEBS
Derivative, Maximum Potential Cost of Borrowing 3.50%
Derivative, Fair Value - Asset (Liability) $ 29 [1]
Barclays Bank PLC 2 [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2014-07
Derivative, Initial Notional Amount $ 31,565,000
Derivative, Maturity Date 2019-08
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 315,200
Derivative, Variable Debt Financing Facility Hedged M31 TEBS
Derivative, Maximum Potential Cost of Borrowing 4.40%
Derivative, Fair Value - Asset (Liability) $ 8,622 [1]
Royal Bank of Canada-2 [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2014-07
Derivative, Initial Notional Amount $ 31,565,000
Derivative, Maturity Date 2019-08
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 343,000
Derivative, Variable Debt Financing Facility Hedged M31 TEBS
Derivative, Maximum Potential Cost of Borrowing 4.40%
Derivative, Fair Value - Asset (Liability) $ 8,622 [1]
SMBC Capital Markets, Inc [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2014-07
Derivative, Initial Notional Amount $ 31,565,000
Derivative, Maturity Date 2019-08
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 333,200
Derivative, Variable Debt Financing Facility Hedged M31 TEBS
Derivative, Maximum Potential Cost of Borrowing 4.40%
Derivative, Fair Value - Asset (Liability) $ 8,622 [1]
Wells Fargo Bank [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2015-07
Derivative, Initial Notional Amount $ 28,095,000
Derivative, Maturity Date 2020-08
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 210,000
Derivative, Variable Debt Financing Facility Hedged M33 TEBS
Derivative, Maximum Potential Cost of Borrowing 4.30%
Derivative, Fair Value - Asset (Liability) $ 41,945 [1]
Royal Bank of Canada-3 [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2015-07
Derivative, Initial Notional Amount $ 28,095,000
Derivative, Maturity Date 2020-08
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 187,688
Derivative, Variable Debt Financing Facility Hedged M33 TEBS
Derivative, Maximum Potential Cost of Borrowing 4.30%
Derivative, Fair Value - Asset (Liability) $ 41,945 [1]
SMBC Capital Markets, Inc-3 [Member]  
Derivative [Line Items]  
Derivative, Purchase Date 2015-07
Derivative, Initial Notional Amount $ 28,095,000
Derivative, Maturity Date 2020-08
Derivative, Effective Capped Rate 3.00%
Derivative, Index SIFMA
Derivative, Purchase Price $ 174,900
Derivative, Variable Debt Financing Facility Hedged M33 TEBS
Derivative, Maximum Potential Cost of Borrowing 4.30%
Derivative, Fair Value - Asset (Liability) $ 41,945 [1]
[1] For additional details, see Note 22 to the Partnership's condensed consolidated financial statements.