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5. ON-BALANCE SHEET DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Details) (USD $)
3 Months Ended 6 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Loss On Interest Rate Swap
       
Before Tax $ (5,560) $ (31,891) $ (10,344) $ (52,551)
Tax Benefit (Expense) 2,224 12,756 4,137 21,020
Net of Tax (3,336) (19,135) (6,207) (31,531)
Amortization Of Loss On Derivative Undesignated As Cash Flow Hedge
       
Before Tax   8,370   25,110
Tax Benefit (Expense)   (3,348)   (10,044)
Net of Tax   5,022   15,066
Reclassification Adjustment For Loss In Income
       
Before Tax 9,190 32,333 18,876 87,061
Tax Benefit (Expense) (3,676) (12,933) (7,550) (34,824)
Net of Tax 5,514 19,400 11,326 52,237
Net Unrealized Gain
       
Before Tax 3,630 8,812 8,532 59,620
Tax Benefit (Expense) (1,452) (3,525) (3,413) (23,848)
Net of Tax $ 2,178 $ 5,287 $ 5,119 $ 35,772