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Other Assets (Tables)
6 Months Ended
May 31, 2013
Other Assets [Abstract]  
Schedule of Other Assets
Other assets consisted of the following (in thousands):
 
May 31,
2013
 
November 30,
2012
Cash surrender value of insurance contracts
$
67,634

 
$
64,757

Debt issuance costs (a)
22,952

 
14,563

Property and equipment, net
7,736

 
7,920

Prepaid expenses
5,475

 
7,810

Total
$
103,797

 
$
95,050

(a)
The increase in debt issuance costs as of May 31, 2013 compared to November 30, 2012 primarily reflected the costs associated with our underwritten public issuance of the $230 Million Convertible Senior Notes during the first quarter of 2013 and our entry into a $200.0 million unsecured revolving credit facility (the “Credit Facility”) during the second quarter of 2013.