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Note 13 - Fair Value Measurements (Tables)
3 Months Ended
Feb. 29, 2020
Notes Tables  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
   

February 29,

   

Fair Value Measurements Using:

 

Description

 

2020

   

Level 1

   

Level 2

   

Level 3

 

Assets:

                               

Marketable securities

  $ 3,934     $ 3,934     $ -     $ -  

Foreign exchange contract assets

    7,026       -       7,026       -  

Interest rate swaps, fair value hedges

    11,122       -       11,122       -  

Cross-currency cash flow hedges

    31,332       -       31,332       -  
                                 

Liabilities:

                               

Foreign exchange contract liabilities

  $ 3,797     $ -     $ 3,797     $ -  

Interest rate swaps, cash flow hedges

    29,537       -       29,537       -  

Contingent consideration

    5,000                       5,000  
   

November 30,

   

Fair Value Measurements Using:

 

Description

 

2019

   

Level 1

   

Level 2

   

Level 3

 

Assets:

                               

Marketable securities

  $ 19,430     $ 19,430     $ -     $ -  

Foreign exchange contract assets

    1,227       -       1,227       -  

Interest rate swaps, fair value hedges

    5,741       -       5,741       -  

Cross-currency cash flow hedges

    26,896       -       26,896       -  
                                 

Liabilities:

                               

Foreign exchange contract liabilities

  $ 1,800     $ -     $ 1,800     $ -  

Interest rate swaps, cash flow hedges

    17,637       -       17,637       -  
Schedule of Fair Value, Contingent Consideration [Table Text Block]
   

Amounts

 

Balance at November 30, 2019

  $ -  

Acquisitions

    5,000  

Balance at February 29, 2020

  $ 5,000