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7. BANK LOANS (Details Narrative) - 12 months ended Oct. 31, 2019
USD ($)
MYR (RM)
Fifteen Story Commercial Building [Member] | Public Islamic Bank Berhad [Member]    
Debt face amount   RM 50,000,000
Debt issuance date Aug. 01, 2018 Aug. 01, 2018
Interest rate description 1.50% per annum below the base financing rate 1.50% per annum below the base financing rate
Debt maturity date Sep. 30, 2033 Sep. 30, 2033
Cost of funds percentage 5.47% 5.47%
Periodic payment term monthly monthly
Periodic payment   RM 407,750
Twelve Story Commercial Building [Member] | RHB Bank Berhad [Member]    
Debt face amount   RM 9,840,000
Debt issuance date May 01, 2013 May 01, 2013
Interest rate description 1.90% per annum below the lending rate, variable rate quoted by the bank 1.90% per annum below the lending rate, variable rate quoted by the bank
Debt maturity date Dec. 31, 2037 Dec. 31, 2037
Cost of funds percentage 4.95% 4.95%
Periodic payment term monthly monthly
Periodic payment | $ $ 58,317  
Financing Loan [Member] | Public Islamic Bank Berhad [Member]    
Debt face amount   RM 5,000,000
Debt issuance date Apr. 01, 2019 Apr. 01, 2019
Interest rate description 1.00% per annum above base financing rate, variable rate quoted by the bank 1.00% per annum above base financing rate, variable rate quoted by the bank
Debt maturity date Dec. 31, 2029 Dec. 31, 2029
Cost of funds percentage 7.97% 7.97%
Periodic payment term monthly monthly
Periodic payment   RM 60,590