| SUMMARY OF FUTURE MATURITIES OF LONG TERM DEBT |
Following
is the future maturities of the NNN firesuite liability for the twelve months ending June 30,
SUMMARY OF FUTURE MATURITIES OF LONG TERM DEBT
| | |
Cash
Purchase | | |
Finance
Purchase | | |
Total | |
| 2027 | |
$ | 1,265,900 | | |
$ | 645,567 | | |
$ | 1,911,467 | |
| 2028 | |
| 1,265,900 | | |
| 645,567 | | |
| 1,911,467 | |
| 2029 | |
| 1,265,900 | | |
| 645,567 | | |
| 1,911,467 | |
| 2030 | |
| 1,265,900 | | |
| 645,567 | | |
| 1,911,467 | |
| 2031 | |
| 1,265,900 | | |
| 645,567 | | |
| 1,911,467 | |
| Thereafter | |
| 32,829,631 | | |
| 16,402,557 | | |
| 49,232,188 | |
| Total
NNN firesuite liability | |
$ | 39,159,131 | | |
$ | 19,630,392 | | |
$ | 58,789,523 | |
|