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PENSION BENEFITS (Details 13) (USD $)
Oct. 31, 2013
Oct. 31, 2012
Oct. 31, 2011
Fair Value of plan assets $ 6,604,598 $ 5,960,630 $ 5,452,890
Level 1
     
Fair Value of plan assets 582,424 196,903  
Level 2
     
Fair Value of plan assets 6,022,174 5,763,727  
Level 3
     
Fair Value of plan assets 0 0  
Money Market Fund
     
Fair Value of plan assets 220,587 196,903  
Money Market Fund | Level 1
     
Fair Value of plan assets 220,587 196,903  
Aggressive Growth Portfolio
     
Fair Value of plan assets 1,136,067 871,332  
Aggressive Growth Portfolio | Level 2
     
Fair Value of plan assets 1,136,067 871,332  
Long Duration Portfolio
     
Fair Value of plan assets   748,353  
Long Duration Portfolio | Level 2
     
Fair Value of plan assets   748,353  
Strategic Bond Portfolio
     
Fair Value of plan assets 740,955 702,525  
Strategic Bond Portfolio | Level 2
     
Fair Value of plan assets 740,955 702,525  
Intermediate Fixed Income Portfolio
     
Fair Value of plan assets 1,141,038 677,165  
Intermediate Fixed Income Portfolio | Level 2
     
Fair Value of plan assets 1,141,038 677,165  
Short Duration Portfolio
     
Fair Value of plan assets 729,015 669,261  
Short Duration Portfolio | Level 2
     
Fair Value of plan assets 729,015 669,261  
Large Company Value Portfolio
     
Fair Value of plan assets 556,764 499,757  
Large Company Value Portfolio | Level 2
     
Fair Value of plan assets 556,764 499,757  
Fundamental Value Portfolio
     
Fair Value of plan assets 548,138 481,368  
Fundamental Value Portfolio | Level 2
     
Fair Value of plan assets 548,138 481,368  
International Core Portfolio
     
Fair Value of plan assets   266,037  
International Core Portfolio | Level 2
     
Fair Value of plan assets   266,037  
International Value Portfolio
     
Fair Value of plan assets 356,069 257,014  
International Value Portfolio | Level 2
     
Fair Value of plan assets 356,069 257,014  
Small Company Growth Portfolio
     
Fair Value of plan assets 174,457 153,363  
Small Company Growth Portfolio | Level 2
     
Fair Value of plan assets 174,457 153,363  
Small Company Value Portfolio
     
Fair Value of plan assets 168,683 147,235  
Small Company Value Portfolio | Level 2
     
Fair Value of plan assets 168,683 147,235  
Mid-Cap Growth Portfolio
     
Fair Value of plan assets 237,373 146,285  
Mid-Cap Growth Portfolio | Level 2
     
Fair Value of plan assets 237,373 146,285  
Mid-Cap Fundamental Value Portfolio
     
Fair Value of plan assets 233,615 144,032  
Mid-Cap Fundamental Value Portfolio | Level 2
     
Fair Value of plan assets 233,615 144,032  
Blackrock EAFE Equity Index Fund
     
Fair Value of plan assets 361,837    
Blackrock EAFE Equity Index Fund | Level 1
     
Fair Value of plan assets $ 361,837