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Debt - Additional Information (Detail)
¥ in Millions
12 Months Ended
Nov. 30, 2023
USD ($)
Jun. 08, 2021
USD ($)
May 31, 2024
USD ($)
CreditArrangements
Loan
May 31, 2024
CNY (¥)
CreditArrangements
Loan
May 31, 2024
INR (₨)
CreditArrangements
Loan
Jun. 29, 2023
USD ($)
May 31, 2023
USD ($)
Debt And Receivables Securitization [Line Items]              
Term loan facility, balance     $ 148,000,000       $ 22,800,000
Short-term loan facilities     148,000,000       2,800,000
TWB Term Loan              
Debt And Receivables Securitization [Line Items]              
Principal amount   $ 50,000,000          
Debt, interest rate   5.00%          
Debt, maturity date   May 31, 2024          
Term loan facility, balance     0       20,000,000
AR Facility              
Debt And Receivables Securitization [Line Items]              
Early termination, other similar fees and penalties paid           $ 0  
Line of Credit              
Debt And Receivables Securitization [Line Items]              
Maximum borrowing capacity     7,200,000   ₨ 600,000,000    
Aggregate capacity     0       0
Stand-by Letters of Credit              
Debt And Receivables Securitization [Line Items]              
Maximum borrowing capacity     12,000,000   ₨ 1,000,000,000    
Aggregate capacity     $ 0       0
Tempel China              
Debt And Receivables Securitization [Line Items]              
Number of short-term loan facilities | Loan     3 3 3    
Short-term loan facilities     $ 0       $ 2,800,000
Tempel China | Facility One              
Debt And Receivables Securitization [Line Items]              
Maturity date     Mar. 13, 2024        
Aggregate capacity     $ 1,400,000 ¥ 10.0      
Tempel China | Facility Two              
Debt And Receivables Securitization [Line Items]              
Maturity date     Dec. 31, 2024        
Aggregate capacity     $ 5,500,000 40.0      
Tempel China | Facility Three              
Debt And Receivables Securitization [Line Items]              
Maturity date     Dec. 31, 2024        
Aggregate capacity     $ 6,900,000 ¥ 50.0      
Tempel India              
Debt And Receivables Securitization [Line Items]              
Number of individual credit arrangements | CreditArrangements     2 2 2    
Tempel India | Facility One              
Debt And Receivables Securitization [Line Items]              
Maturity date     Nov. 19, 2024        
Tempel India | Facility Two              
Debt And Receivables Securitization [Line Items]              
Maturity date     Jan. 09, 2025        
Senior Secured Revolving Credit Facility              
Debt And Receivables Securitization [Line Items]              
Maximum borrowing capacity $ 550,000,000            
Outstanding borrowings drawn against credit facility     $ 148,000,000        
Maturity date Nov. 30, 2028            
Total Debt issuance costs $ 2,700,000            
Capitalized debt issuance costs $ 2,500,000            
Weighted average interest rate on Credit Facility     6.92% 6.92% 6.92%    
Remaining borrowing capacity     $ 402,000,000        
Senior Secured Revolving Credit Facility | SOFR Rate Loans              
Debt And Receivables Securitization [Line Items]              
Debt maturity period     6 months        
Senior Secured Revolving Credit Facility | Swing Loan              
Debt And Receivables Securitization [Line Items]              
Maximum borrowing capacity     $ 55,000,000        
Swing loan rate     9.00% 9.00% 9.00%    
Percentage of maximum amount of credit facility     10.00% 10.00% 10.00%    
Effective interest rate     9.00% 9.00% 9.00%