v3.26.1
Condensed Consolidated Balance Sheets (Unaudited) - USD ($)
Mar. 31, 2026
Dec. 31, 2025
Assets:    
Cash and cash equivalents $ 20,627,838 $ 39,502,187
Restricted cash 11,780,713 15,383,782
Interest receivable, net 7,024,532 7,276,781
Mortgage revenue bonds, at fair value (Note 4) 889,692,902 1,007,904,386
Governmental issuer loans    
Governmental issuer loans (Note 5) 138,757,835 138,757,835
Allowance for credit losses (Note 10) (564,000) (609,000)
Governmental issuer loans, net 138,193,835 138,148,835
Property loans    
Property loans 53,692,208 53,599,227
Allowance for credit losses (Note 10) (3,550,115) (3,477,134)
Property loans, net 50,142,093 50,122,093
Investments in unconsolidated entities (Note 7) 154,346,791 146,299,844
Real estate assets, net (Note 8) 111,574,101 3,622,574
Other assets (Note 9) 103,600,302 94,626,796
Total Assets [1] 1,486,983,107 1,502,887,278
Liabilities:    
Accounts payable, accrued expenses and other liabilities (Note 11) 18,185,350 21,134,155
Distribution payable 3,332,072 5,946,547
Secured lines of credit (Note 12) 89,950,000 80,850,000
Debt financing, net (Note 13) 923,704,375 1,015,095,423
Mortgages payable, net (Note 14) 83,284,044 231,679
Total Liabilities [1] 1,118,455,841 1,123,257,804
Commitments and Contingencies (Note 16)
Redeemable Preferred Units, $102.5 million redemption value, 10.2 million issued and outstanding, respectively (Note 17) 102,416,879 102,410,507
Partnersʼ Capital:    
General Partner (Note 1) (111,085) 0
Beneficial Unit Certificates (Note 1) 266,221,472 277,218,967
Total Partnersʼ Capital 266,110,387 277,218,967
Total Liabilities and Partnersʼ Capital $ 1,486,983,107 $ 1,502,887,278
[1] The condensed consolidated balance sheets include assets of consolidated VIEs that can only be used to settle obligations of these VIEs that totaled $1,132,221,345 and $1,246,799,233 as of March 31, 2026 and December 31, 2025, respectively. The condensed consolidated balance sheets include liabilities of the consolidated VIEs for which creditors do not have recourse to the general credit of the Partnership that totaled $330,010,647 and $331,318,784 as of March 31, 2026 and December 31, 2025, respectively. See Note 3 - Variable Interest Entities for further detail.