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NOTE 7. OTHER ASSETS
12 Months Ended
Nov. 30, 2015
Deferred Costs, Capitalized, Prepaid, and Other Assets Disclosure [Abstract]  
7. OTHER ASSETS

    At November 30,  
    2015     2014  
Other current assets:            
Accounts and interest receivable   $ 295     $ 137  
Receivable from Galore Creek Partnership     28       32  
Mineral exploration tax credit receivable     1,487       1,894  
Note receivable     919       945  
Prepaid expenses     581       727  
    $ 3,310     $ 3,735  
                 
Other long-term assets:                
Note receivable   $ 939     $ 1,805  
Marketable equity securities     571       901  
Receivable from Galore Creek Partnership     3,546       4,139  
Restricted cash – reclamation deposit     1,117       1,304  
Office equipment     90       130  
    $ 6,263     $ 8,279