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Statements of Cash Receipts and Disbursements - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2022
Jun. 30, 2021
Operating Cash Flows, Direct Method [Abstract]        
Receipts from EMI $ 207,916 $ 240,626 $ 428,645 $ 521,538
Undistributed Cash at Beginning of Period 46 51,161 [1] 46 46
Disbursements - Administrative Expenses 0 [2] (134,242) (65,429) [2] (134,242)
Balance Available for Distribution 207,962 157,545 363,262 387,342
Cash Distributions to Unit Holders (65,891) (157,499) (221,191) (387,296)
Undistributed Cash at End of period $ 142,071 [3] $ 46 $ 142,071 [3] $ 46
Cash Distributions Per Unit (based on 277,712 Trust Units Outstanding) $ 0.24 $ 0.57 $ 0.8 $ 1.39
[1] Includes amounts reserved for administrative expenses in the aggregate amount of $51,115 attributable to the three-months ended March 31, 2021 which were actually paid by the Trust on April 15, 2021.
[2] Administrative expenses in the aggregate amount of $142,025, attributable to the three-months ended June 30, 2022 were actually paid by the Trust on July 5, 2022.
[3] Includes amounts reserved for administrative expenses in the aggregate amount of $142,025 attributable to the three-months ended June 30, 2022 which were actually paid by the Trust on July 5, 2022.