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Note 3 - Restructuring Actions (Tables)
6 Months Ended
May 31, 2025
Notes Tables  
Restructuring and Related Costs [Table Text Block]
  

Three Months Ended

  

Six Months Ended

 
  

May 31, 2025

  

June 1, 2024

  

May 31, 2025

  

June 1, 2024

 

Cost of sales

 $(19) $1,279  $2,935  $4,194 

Selling, general and administrative

  2,195   1,279   2,752   2,444 
  $2,176  $2,558  $5,687  $6,638 
Schedule of Restructuring Reserve by Type of Cost [Table Text Block]
  

Employee-Related

  

Asset-Related

  

Other

  

Total

 

Balance at December 2, 2023

 $11,723  $-  $-  $11,723 

Expenses incurred

  13,477   4,673   3,936   22,086 

Non-cash charges

  -   (4,673)  (3,925)  (8,598)

Cash payments

  (16,427)  -   (11)  (16,438)

Foreign currency translation

  (343)  -   -   (343)

Balance at November 30, 2024

 $8,430  $-  $-  $8,430 

Expenses incurred

  3,143   (60)  2,604   5,687 

Non-cash charges

  -   60   (82)  (22)

Cash payments

  (7,298)  -   (2,522)  (9,820)

Foreign currency translation

  218   -   -   218 

Balance at May 31, 2025

 $4,493  $-  $-  $4,493