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Commonwealth Income & Growth Fund VI - Balance Sheets (USD $)
Jun. 30, 2013
Dec. 31, 2012
Statement of Financial Position    
Cash and cash equivalents $ 356,248 $ 860,982
Lease income receivable, net of reserve of approximately $42,000 and $450,000 at June 30, 2013 and December 31, 2012 248,958 482,788
Accounts receivable - Affiliates 672,171 820,520
Other receivables 3,167 6,695
Prepaid expenses 4,767 512
Current Assets 1,285,311 2,171,497
Net Investment in Finance Leases 0 54,335
Equipment, at cost 19,786,145 22,669,723
Accumulated depreciation (14,484,875) (15,620,436)
Technology equipment, net 5,301,270 7,049,287
Equipment acquisition costs and deferred expenses, net of accumulated amortization of approximately $224,000 and $360,000 at June 30, 2013 and December 31, 2012, respectively 143,120 203,491
Total Assets 6,729,701 9,478,610
Accounts payable 84,618 127,264
Accounts Payable - Affiliate 108,199 216,797
Other accrued expenses 13,775 49,703
Unearned lease income 171,721 280,591
Notes payable 181,900 294,508
Total Liabilities 560,213 968,863
General Partner 1,000 1,000
Limited Partners 6,168,488 8,508,747
Total Partners' Capital (Deficit) 6,169,488 8,509,747
Total Liabilities and Partners' Capital $ 6,729,701 $ 9,478,610