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Financing Arrangements (Tables)
3 Months Ended
Jan. 31, 2015
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
Debt consists of the following:
    
 
January 31, 2015
 
October 31, 2014
Credit Agreement —interest rate of 2.15% for both periods ended January 31, 2015 and October 31, 2014
$
264,800

 
$
260,500

Equipment security note
1,863

 
1,985

Capital lease obligations
6,247

 
6,967

Insurance broker financing agreement
285

 
568

Total debt
273,195

 
270,020

Less: Current debt
1,601

 
1,918

Total long-term debt
$
271,594

 
$
268,102

Schedule of Maturities of Debt [Table Text Block]
Scheduled repayments under the terms of the Credit Agreement plus repayments of other debt are listed below:
     
Twelve Months Ending January 31,
 
Credit Agreement
 
Equipment Security Note
 
Capital Lease Obligations
 
Other Debt
 
Total
2016
 
$

 
$
492

 
$
824

 
$
285

 
$
1,601

2017
 

 
504

 
869

 

 
1,373

2018
 

 
516

 
902

 

 
1,418

2019
 

 
351

 
921

 

 
1,272

2020
 
264,800

 

 
528

 

 
265,328

Thereafter
 

 

 
2,203

 
 
 
2,203

Total
 
$
264,800

 
$
1,863

 
$
6,247

 
$
285

 
$
273,195