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Restructuring (Tables)
12 Months Ended
Nov. 30, 2025
Restructuring Charges [Abstract]  
Schedule of Restructuring Activity
The following table provides a summary of activity for all of the restructuring actions, with material actions detailed further below:

(in thousands)Excess Facilities and Other CostsEmployee Severance and Related BenefitsTotal
Balance, December 1, 2022$3,870 $30 $3,900 
Costs incurred1,117 7,290 8,407 
Cash disbursements(1,690)(5,413)(7,103)
Translation adjustments and other— (17)(17)
Balance, November 30, 2023$3,297 $1,890 $5,187 
Costs incurred3,810 6,644 10,454 
Cash disbursements(2,768)(2,833)(5,601)
Translation adjustments and other— (6)(6)
Balance, November 30, 2024$4,339 $5,695 $10,034 
Costs incurred2,871 10,238 13,109 
Cash disbursements and other(4,625)(12,679)(17,304)
Balance, November 30, 2025$2,585 $3,254 $5,839 
A summary of activity for this restructuring action is as follows:
(in thousands)Employee Severance and Related BenefitsTotal
Balance, December 1, 2024$— $— 
Costs incurred3,796 3,796 
Cash disbursements and other(955)(955)
Balance, November 30, 2025$2,841 $2,841 
A summary of activity for this restructuring action is as follows:

(in thousands)Excess Facilities and Other CostsEmployee Severance and Related BenefitsTotal
Balance, December 1, 2023$— $— $— 
Costs incurred— 5,717 5,717 
Cash disbursements— (509)(509)
Translation adjustments and other— (2)(2)
Balance, November 30, 2024$— $5,206 $5,206 
Costs incurred1,942 6,218 8,160 
Cash disbursements and other(1,447)(11,010)(12,457)
Balance, November 30, 2025$495 $414 $909