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Supplemental Cash Flow Disclosures - Schedule of Cash Flow Supplemental Disclosures (Details) - USD ($)
12 Months Ended
Jan. 31, 2016
Jan. 31, 2015
Supplemental Cash Flow Disclosures - Schedule Of Cash Flow Supplemental Disclosures Details    
Cash paid for interest $ 906,340 $ 880,069
Cash paid for income taxes $ 57,719 18,648
Promissory notes issued by the Trust to acquire Shares of Beneficial Interest $ 27,000
Purchase of IVH with issuance of shares of beneficial interest $ 200,000
Payment of mortgage directly from proceeds from sale of the Tucson St. Mary’s property $ 4,712,611
Refinance of the Ontario property mortgage, net $ 5,700,000
Refinance of the Tucson Oracle property mortgage, net 1,000,000
Purchase of Tucson Oracle land $ 2,500,000