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SUPPLEMENTAL DISCLOSURE TO STATEMENTS OF CASH FLOWS
12 Months Ended
Oct. 31, 2013
Supplemental Disclosure To Statements Of Cash Flows  
SUPPLEMENTAL DISCLOSURE TO STATEMENTS OF CASH FLOWS

20.  SUPPLEMENTAL DISCLOSURE TO STATEMENTS OF CASH FLOWS

Supplemental disclosures of cash flow information:

       
  10/31/13  10/31/12  10/31/11 
Cash:      
           Interest paid $1,008,983  $1,155,460  $1,713,780 
           Income taxes paid $95,658  $75,840  $36,591 
       
Non cash:      
Reclassification of assets from land and land development costs to long-lived assets held for sale $957,625 $263,718  $675,490 
Reclassification to land improvements, buildings and equipment, net due to abandonment of sewer line ($515,631) $0  $0 
Reclassification to deferred income due to abandonment of sewer line $515,631  $0  $0 
Reclassification of assets from land held for investment to long-lived assets held for sale $248,922  $0  $0 
Reclassification of assets from land improvements, buildings and equipment, net to long-lived assets held for sale $220,887  $262,839  $0 

   Pension liability and accumulated other comprehensive loss was (decreased) increased by ($1,293,900) and $1,293,900 in 2013, increased (decreased) by $674,858 and ($674,858) in 2012 and by $568,881 and ($568,881) in 2011 resulting from the changes in the funded status, the prior service cost and the net actuarial loss.