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STATEMENTS OF CASH FLOWS (USD $)
12 Months Ended
Mar. 30, 2013
Mar. 30, 2012
Mar. 30, 2011
STATEMENTS OF CASH FLOWS      
Interest received $ 10,936 $ 17,381 $ 25,402
Cash paid for management fees (255,181) (105,665) (342,369)
Cash paid for professional fees (39,956) (40,311) (38,274)
Cash paid for printing, postage and other expenses (14,973) (10,484) (12,896)
Net cash used in operating activities (299,174) (139,079) (368,137)
Distributions received from local partnerships 13,941 152,015 62,733
Investments in Pemberwick Fund (10,153) (11,385) (13,444)
Redemptions from Pemberwick Fund     338,645
Investment in bond     (100,940)
Proceeds in connection with sale of limited partner interests/local partnership properties 31,293 108,000  
Proceeds from redemption of investment in bond   91,000  
Net cash provided by investing activities 35,081 339,630 286,994
Net increase (decrease) in cash and cash equivalents (264,093) 200,551 (81,143)
Cash and cash equivalents at beginning of year 405,951 205,400 286,543
CASH AND CASH EQUIVALENTS AT END OF YEAR 141,858 405,951 205,400
Unrealized gain (loss) on investment in Pemberwick Fund 8,271 (9,441) 10,969
Unrealized gain on investment in bond     2,730
Reclassification of unrealized gain on investment in bond   $ (2,730)