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Fair Value Measurements of Other Financial Instruments (Tables)
3 Months Ended
Jan. 31, 2018
Fair Value Measurements Of Other Financial Instruments Disclosure Table [Abstract]  
Summary of the carrying amounts and estimated fair values of financial instruments not carried at fair value whose fair value is required to be disclosed
  January 31, 2018October 31, 2017
 (in thousands) Carrying Value Fair ValueFair Value Level Carrying Value Fair ValueFair Value Level
 Loan to affiliate$ 5,000$ 5,0003$ 5,000$ 5,0003
 Investments, other$ 18,695$ 18,6953$ 18,685$ 18,6853
 Other assets$ -$ --$ 6,440$ 6,4403
 Debt$ 619,052$ 633,4392$ 618,843$ 644,4542
 Consolidated CLO entity          
  line of credit$ 36,534$ 36,5342$ 12,598$ 12,5982