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Debt and Financing Obligations (Tables)
12 Months Ended
Nov. 30, 2017
Debt Disclosure [Abstract]  
Schedule of Partnership's Long-term Debt
The following table summarizes the Partnership’s debt on its consolidated balance sheets:
 
November 30, 2017
 
November 30, 2016
(in thousands)
Amount
 
Interest Rate
 
Amount
 
Interest Rate
Term loan due June 2020
$
300,000

 
3.35
%
 
$
300,000

 
2.61
%
Incremental term loan due June 2020
250,000

 
3.35
%
 

 
N/A

Delayed draw term loan facility due June 2020
25,000

 
3.35
%
 
25,000

 
2.61
%
Revolving credit facility due June 2020
70,000

 
3.35
%
 
63,000

 
2.61
%
Stateline Promissory Note due December 2020
49,631

 
4.00
%
 

 
N/A

Short-Term Note

 
N/A

 
1,964

 
N/A

Less: debt issuance costs
(2,555
)
 
N/A

 
(3,564
)
 
N/A

Total
$
692,076

 
 
 
$
386,400