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Mortgage Loan (Details)
$ in Thousands
12 Months Ended
Dec. 01, 2019
USD ($)
ft²
subsidiary
building
Sep. 19, 2019
Mar. 29, 2018
USD ($)
ft²
Jan. 30, 2018
USD ($)
ft²
Sep. 22, 2017
USD ($)
subsidiary
building
Aug. 30, 2017
USD ($)
Jul. 14, 2017
USD ($)
ft²
Jun. 09, 2017
ft²
Mar. 15, 2017
USD ($)
ft²
building
Nov. 30, 2020
USD ($)
Nov. 30, 2019
USD ($)
item
Nov. 30, 2018
USD ($)
Nov. 30, 2017
USD ($)
Aug. 01, 2019
USD ($)
Long-Term Debt                            
Loans, net of debt issuance costs                     $ 142,575 $ 145,052    
Interest rate (as a percent)     4.51%                      
Debt disclosures                            
Ineffectiveness on cash flow hedges                     0      
Anticipated ineffectiveness on cash flow hedges                     0      
Number of buildings used as collateral | building                 2          
Proceeds from issuance of debt                     $ 1,265 31,623 $ 39,125  
Payment for termination of interest rate swap agreement                         341  
Interest rate swap agreement                            
Debt disclosures                            
Number of agreements containing credit risk related contingent features | item                     0      
Recognized net losses (included in other comprehensive loss), before taxes, on interest rate swap agreements                     $ 7,153 3,302 $ 949  
Loss expected to be reclassified over next twelve months from accumulated other comprehensive loss to interest expense                     (617)      
Net fair value of interest rate swap agreements                     4,052 3,101    
Interest rate swap agreement | Other assets                            
Debt disclosures                            
Net fair value of interest rate swap agreements                       3,157    
Interest rate swap agreement | Other liabilities                            
Debt disclosures                            
Net fair value of interest rate swap agreements                       56    
Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     144,473 134,319    
Debt issuance costs, net                     (1,898) (1,723)    
Loans, net of debt issuance costs                     142,575 132,596    
Annual principal payment requirements under the terms of the nonrecourse mortgage loans                            
2020                     7,423      
2021                     4,415      
2022                     8,463      
2023                     4,707      
2024                     4,917      
Debt disclosures                            
Aggregate book value of land and buildings pledged as collateral                     165,829      
Construction loan                            
Long-Term Debt                            
Loans, prior to debt issuance costs                       12,842    
Debt issuance costs, net                       (386)    
Loans, net of debt issuance costs                       $ 12,456    
Interest rate (as a percent)                       4.51%    
Debt disclosures                            
Construction loan with State Farm Life Insurance Company     $ 13,800                      
Area Of Building | ft²     234,000                      
Amortization period of debt     25 years                      
Acquisition Credit Line                            
Long-Term Debt                            
Weighted average interest rate   4.57%                        
Acquisition Credit Line | LIBOR                            
Debt disclosures                            
Variable interest rate margin (as a percent)   2.75%                        
3.91%, due January 27, 2020 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 3,206 $ 3,345    
Interest rate (as a percent)                     3.91% 3.91%    
4.72%, due October 3, 2022                            
Long-Term Debt                            
Loans, prior to debt issuance costs         $ 4,375                  
Debt disclosures                            
Amortization period of debt         25 years                  
Number of buildings used as collateral | building         2                  
Fixed interest rate pursuant to interest rate swap agreement (as a percent)         4.72%                  
Repayment of debt         $ 1,501                  
Cash on hand         1,000                  
Funds placed in (returned from) escrow         501                  
4.72%, due October 3, 2022 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 4,174 $ 4,273    
Interest rate (as a percent)                     4.72% 4.72%    
4.39%, due January 2, 2025 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 19,101 $ 19,674    
Interest rate (as a percent)                     4.39% 4.39%    
4.17%, due May 1, 2026 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 13,115 $ 13,487    
Interest rate (as a percent)                     4.17% 4.17%    
3.79%, November 17, 2026 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 24,701 $ 25,402    
Interest rate (as a percent)                     3.79% 3.79%    
4.39%, due August 1, 2027                            
Debt disclosures                            
Term of debt             10 years              
Amortization period of debt             25 years              
New mortgage             $ 10,600              
Area of collateralized properties (in square feet) | ft²             304,000              
Variable interest rate margin (as a percent)             2.05%              
Fixed interest rate pursuant to interest rate swap agreement (as a percent)             4.39%              
4.39%, due August 1, 2027 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 10,034 $ 10,284    
Interest rate (as a percent)                     4.39% 4.39%    
3.97%, due September 1, 2027                            
Long-Term Debt                            
Loans, prior to debt issuance costs           $ 12,150                
Interest rate (as a percent)           3.97%                
Debt disclosures                            
Area Of Building | ft²               277,000            
Term of debt           10 years                
Amortization period of debt               30 years            
3.97%, due September 1, 2027 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 11,673 $ 11,898    
Interest rate (as a percent)                     3.97% 3.97%    
4.57%, due February 1, 2028                            
Long-Term Debt                            
Loans, prior to debt issuance costs       $ 11,781                    
Debt disclosures                            
Term of debt                     10 years      
Area of collateralized properties (in square feet) | ft²       137,000                    
Proceeds from issuance of debt       $ 7,000                    
Fixed interest rate pursuant to interest rate swap agreement (as a percent)       4.57%                    
4.57%, due February 1, 2028 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 18,069 $ 18,482    
Interest rate (as a percent)                     4.57% 4.57%    
5.09%, due July 1, 2029 GCD mortgage loan | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 5,725 $ 6,172    
Interest rate (as a percent)                     5.09%      
5.09%, due July 1, 2029 TD mortgage Loan | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 4,011 $ 4,324    
Interest rate (as a percent)                     5.09% 5.09%    
4.33%, due August 1, 2030 | Nonrecourse mortgage loans                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 16,634 $ 16,978    
Interest rate (as a percent)                     4.33% 4.33%    
4.51%, due April 1, 2034                            
Long-Term Debt                            
Loans, prior to debt issuance costs                     $ 14,030     $ 14,107
Interest rate (as a percent)                     4.51% 4.51%    
Nonrecourse variable rate loans, due October 2, 2017                            
Long-Term Debt                            
Loans, prior to debt issuance costs         $ 5,876                  
Debt disclosures                            
Fixed interest rate pursuant to interest rate swap agreement (as a percent)         3.86%                  
Number of subsidiaries which are party to the mortgage | subsidiary         2                  
Nonrecourse variable rate loans, due October 2, 2017 | LIBOR                            
Debt disclosures                            
Variable interest rate margin (as a percent)         2.75%                  
Nonrecourse variable rate loans, due February 1, 2019                            
Long-Term Debt                            
Loans, net of debt issuance costs             $ 10,120              
Debt disclosures                            
Fixed interest rate pursuant to interest rate swap agreement (as a percent)             6.35%              
Nonrecourse variable rate loans, due February 1, 2019 | Interest rate swap agreement                            
Debt disclosures                            
Recognized net losses (included in other comprehensive loss), before taxes, on interest rate swap agreements                       $ 218    
Payment for termination of interest rate swap agreement                       341    
Deferred tax assets                       123    
Interest expense                   $ 31 $ 211 $ 98    
Nonrecourse variable rate loans, due February 1, 2019 | LIBOR                            
Debt disclosures                            
Variable interest rate margin (as a percent)             2.75%              
2017 PUB Mortgage                            
Debt disclosures                            
Term of debt                 10 years          
Amortization period of debt                 25 years          
New mortgage                 $ 12,000          
Area of collateralized properties (in square feet) | ft²                 275,000          
2017 PUB Mortgage | LIBOR                            
Debt disclosures                            
Variable interest rate margin (as a percent)                 1.95%          
Subsequent events | Acquisition Credit Line                            
Debt disclosures                            
Repayment of debt $ 5,875                          
Subsequent events | 2020 Webster Mortgage                            
Debt disclosures                            
Term of debt 10 years                          
Amortization period of debt 25 years                          
New mortgage $ 6,500                          
Number of subsidiaries which are party to the mortgage | subsidiary 2                          
Subsequent events | 2020 Webster Mortgage | Interest rate swap agreement                            
Debt disclosures                            
Fixed interest rate pursuant to interest rate swap agreement (as a percent) 3.60%                          
Subsequent events | 2020 Webster Mortgage | LIBOR                            
Debt disclosures                            
Variable interest rate margin (as a percent) 1.75%                          
Subsequent events | 2020 State Farm Mortgage                            
Debt disclosures                            
Area Of Building | ft² 254,000                          
Term of debt 10 years                          
Amortization period of debt 25 years                          
New mortgage $ 15,000                          
Number of buildings used as collateral | building 2                          
Interest rate 3.48%                          
Number of subsidiaries which are party to the mortgage | subsidiary 2                          
Subsequent events | 871 Nestle Way                            
Debt disclosures                            
Repayment of debt $ 3,200