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Fair Value of Financial Instruments (Tables)
12 Months Ended
Jan. 31, 2017
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Liabilities Measured On Recurring Basis

The following table presents the estimated fair values of the Trust’s debt instruments and the associated carrying value recognized in the accompanying consolidated balance sheets at January 31, 2017 and 2016:

 

    2017     2016  
    Carrying Amount     Fair Value     Carrying Amount     Fair Value  
Mortgage notes payable   $ 13,367,706     $ 13,473,018     $ 13,792,592     $ 13,909,744  
Notes payable to banks   $ 2,019,758     $ 2,019,758     $ 932,289     $ 932,289  
Other notes payable   $ 18,069     $ 18,195     $ 54,691     $ 60,963