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DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Schedule of Interest Rate Derivatives) (Details) - Cash Flow Hedging [Member]
Feb. 29, 2020
USD ($)
Colombia $8M Cross Currency Interest Rate Swap [Member]  
Derivative [Line Items]  
Derivative, Notional amount $ 7,875,000
Debt instrument, Basis spread on variable rate 2.45%
Derivative, Fixed interest rate 7.87%
Columbia $25M Interest Rate Swap [Member]  
Derivative [Line Items]  
Derivative, Notional amount $ 25,000,000
Debt instrument, Basis spread on variable rate 2.45%
Derivative, Fixed interest rate 7.93%
Colombia $12.5M Cross Currency Interest Rate Swap [Member]  
Derivative [Line Items]  
Derivative, Notional amount $ 12,500,000
Debt instrument, Basis spread on variable rate 2.50%
Derivative, Fixed interest rate 7.09%
Panama $15M Interest Rate Swap [Member]  
Derivative [Line Items]  
Derivative, Notional amount $ 14,625,000
Debt instrument, Basis spread on variable rate 3.00%
Derivative, Fixed interest rate 5.99%
Honduras $13.5M Cross Currency Interest Rate Swap [Member]  
Derivative [Line Items]  
Derivative, Notional amount $ 13,500,000
Debt instrument, Basis spread on variable rate 3.00%
Derivative, Fixed interest rate 9.75%
Pricesmart $35.7M Interest Rate Swap [Member]  
Derivative [Line Items]  
Derivative, Notional amount $ 35,700,000
Debt instrument, Basis spread on variable rate 1.70%
Derivative, Fixed interest rate 3.65%
Costa Rica $7.5M Cross Currency Interest Rate Swap [Member]  
Derivative [Line Items]  
Derivative, Notional amount $ 7,500,000
Debt instrument, Basis spread on variable rate 2.50%
Derivative, Fixed interest rate 7.65%