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Note 7 - Notes Payable, Long-term Debt and Lines of Credit (Tables)
12 Months Ended
Nov. 30, 2024
Notes Tables  
Schedule of Debt [Table Text Block]
  

Weighted-Average

  

Fiscal Year

  

Balance at

  

Balance at

 
  

Interest Rate at

  

Maturity

  

November 30,

  

December 2,

 

Long-Term Debt

 

November 30, 2024

  

Date

  

2024

  

2023

 

Revolving credit facility

  6.17%  2028  $-  $- 

Term Loan A1

  6.17%  2028   462,500   487,500 

Term Loan B2

  6.57%  2030   989,030   796,000 

Public Notes3

  4.00%  2027   300,000   300,000 

Public Notes4

  4.25%  2028   300,000   300,000 

Other, including debt issuance cost and discount

          (41,478)  (46,910)

Total debt

         $2,010,052  $1,836,590 

Less: current maturities

          -   - 

Total long-term debt, excluding current maturities

         $2,010,052  $1,836,590 
Schedule of Maturities of Long-Term Debt [Table Text Block]

Fiscal Year

 

2025

  

2026

  

2027

  

2028

  

2029

  

Thereafter

 

Long-term debt obligations

 $41,190  $47,440  $53,690  $959,940  $9,940  $939,330 
Schedule of Line of Credit Facilities [Table Text Block]
  

Committed

  

Drawn

  

Unused

 

Revolving credit facility

 $700,000  $-  $689,682