NTS REALTY HOLDINGS LP: 10-Q filed 2013-11-08
What NTS REALTY HOLDINGS LP reported in its quarterly report filed 2013-11-08 (fiscal Q3 2013): 9 published measures, 30 facts as tagged in accession 0001104659-13-082869.
This filing
- Form
- 10-Q (quarterly report)
- Filed
- 2013-11-08
- Fiscal period
- fiscal Q3 2013
- Accession
- 0001104659-13-082869 on SEC EDGAR
Values are as tagged in this filing. A later filing can restate them; each measure links to its history page, which shows the latest-filed value per period. All NTS REALTY HOLDINGS LP filings.
Reported measures
Total assets
Resources recognized on the balance sheet. Book assets are not the market value of the business.
| Period | Value | Unit | Days |
|---|---|---|---|
| At 2013-09-30 | 289,204,755 | USD | |
| At 2012-12-31 | 301,564,379 | USD |
Total liabilities
Recognized obligations at the reporting date. The definition and scope differ from interest-bearing debt.
| Period | Value | Unit | Days |
|---|---|---|---|
| At 2013-09-30 | 271,680,209 | USD | |
| At 2012-12-31 | 277,734,504 | USD | |
| At 2012-09-30 | 277,585,956 | USD |
Cash and cash equivalents
Cash and qualifying short-term liquid investments under the filer’s accounting policy. Restricted cash and longer-term investments may be reported separately.
| Period | Value | Unit | Days |
|---|---|---|---|
| At 2013-09-30 | 2,160,637 | USD | |
| At 2012-12-31 | 1,240,818 | USD | |
| At 2012-09-30 | 1,518,042 | USD | |
| At 2011-12-31 | 1,165,137 | USD |
Net income or loss
Reported profit or loss for the period. Check the filing for attribution, exceptional items and discontinued operations before comparing companies.
| Period | Value | Unit | Days |
|---|---|---|---|
| 2013-07-01 to 2013-09-30 | -2,142,297 | USD | 92 |
| 2013-01-01 to 2013-09-30 | -3,866,889 | USD | 273 |
| 2012-07-01 to 2012-09-30 | -3,061,637 | USD | 92 |
| 2012-01-01 to 2012-09-30 | -8,654,869 | USD | 274 |
Operating income or loss
Operating revenue less operating expenses for the reporting period. It excludes items outside the reported operating result and is not free cash flow.
| Period | Value | Unit | Days |
|---|---|---|---|
| 2013-07-01 to 2013-09-30 | 1,632,330 | USD | 92 |
| 2013-01-01 to 2013-09-30 | 4,415,748 | USD | 273 |
| 2012-07-01 to 2012-09-30 | 709,217 | USD | 92 |
| 2012-01-01 to 2012-09-30 | 2,850,305 | USD | 274 |
Interest expense
Borrowing costs recognized as interest expense. This is distinct from cash interest paid and may not include every capitalized borrowing cost.
| Period | Value | Unit | Days |
|---|---|---|---|
| 2013-07-01 to 2013-09-30 | 3,443,661 | USD | 92 |
| 2013-01-01 to 2013-09-30 | 10,296,702 | USD | 273 |
| 2012-07-01 to 2012-09-30 | 3,513,070 | USD | 92 |
| 2012-01-01 to 2012-09-30 | 10,498,310 | USD | 274 |
Profit or loss including noncontrolling interests
Net income or loss including the portion attributable to noncontrolling interests. It can differ from the net income attributable to the parent that per-share figures use.
| Period | Value | Unit | Days |
|---|---|---|---|
| 2013-07-01 to 2013-09-30 | -2,304,292 | USD | 92 |
| 2013-01-01 to 2013-09-30 | -4,359,563 | USD | 273 |
| 2004-12-29 to 2012-12-31 | -5,440,431 | USD | 2925 |
| 2012-07-01 to 2012-09-30 | -3,269,198 | USD | 92 |
| 2012-01-01 to 2012-09-30 | -9,413,634 | USD | 274 |
Depreciation, depletion and amortization
Combined depreciation, depletion and amortization for the period. A noncash allocation of asset cost, not a measure of maintenance spending.
| Period | Value | Unit | Days |
|---|---|---|---|
| 2013-01-01 to 2013-09-30 | 12,858,535 | USD | 273 |
| 2012-01-01 to 2012-09-30 | 13,904,329 | USD | 274 |
Change in accounts receivable
The cash flow adjustment for the change in receivables during the period. A positive value under this concept means receivables grew and reduced operating cash flow.
| Period | Value | Unit | Days |
|---|---|---|---|
| 2013-01-01 to 2013-09-30 | -302,829 | USD | 273 |
| 2012-01-01 to 2012-09-30 | -35,677 | USD | 274 |
Inspect the source
- Entity
- NTS REALTY HOLDINGS LP / CIK 0001278384
- Captured
- SEC response SHA-256
6652efcbc9e5cb90590ebb913b3331899b4ff664da7590d846489d099eef95fd
Current SEC company facts · Download the original response snapshot (gzip) · Download the selected JSON
Every published concept a filing tagged, with the periods it covered, as reported in that filing at capture time. Forms 10-K, 10-K/A, 10-Q, 10-Q/A, 20-F, 20-F/A, 40-F, 40-F/A. A filing page needs at least 8 published concepts. Later filings can restate these values; the company history pages show the latest-filed value per period.
Public company accounting reference, not market prices, returns, an investment recommendation, or ALPHAC performance. Validate a separately constructed return series with the validation API; accounting values are not returns.
Use this in research
A financial period ends before its results become public. Use the filing date as a minimum availability boundary, inspect amendments, and retain the original filing vintage when testing historical signals. This latest-filed selection can contain information unavailable at the time.
These pages do not supply prices, total-return histories, corporate-action adjustments or a tradable universe. Build those inputs separately before evaluating a strategy. A profitable backtest can still reflect selection bias or costs that were left out.
Research methodology · Execution and cost assumptions · Check backtest overfitting
Build with the open-source tools
Use these accounting records as inspectable inputs. When you have constructed a return series, the validation tools can help test its statistical evidence and preserve the result with its limitations.
- Get an API key and run your first validation
- Connect the MCP server to your coding assistant
- Inspect the ALPHAC engine on GitHub
- Read the MCP server source and integration examples
Read the published dataset with Python
import json
from urllib.request import urlopen
with urlopen("https://canlicapital.com/company-data/0001278384.json") as response:
record = json.load(response)
print(record["fetched_at"])
print(record["policy"])
for concept in record["concepts"]:
print(concept["tag"], next(iter(concept["observations"])))