XML 49 R33.htm IDEA: XBRL DOCUMENT v3.21.1
Note 10 - Loan and Credit Agreements (Tables)
3 Months Ended
Feb. 28, 2021
Notes Tables  
Schedule of Debt [Table Text Block]
   
February 28, 2021
   
November 30, 2020
 
Bank Midwest loan payable in monthly installments of $17,271 including interest at 5.00%, due October 1, 2037
  $
2,328,719
    $
2,350,593
 
U.S. Small Business Administration loan payable in monthly installments of $731 including interest at 3.75% beginning June 18, 2022, due June 18, 2050
   
153,930
     
152,543
 
U.S. Small Business Administration loan payable in monthly installments of $731 including interest at 3.75% beginning June 24, 2022, due June 24, 2050
   
153,838
     
152,450
 
U.S. Small Business Administration loan payable in monthly installments of $731 including interest at 3.75% beginning June 18, 2022, due June 18, 2050
   
153,930
     
152,543
 
Total term debt
  $
2,790,417
    $
2,808,129
 
Less current portion of term debt
   
91,336
     
94,979
 
Term debt, excluding current portion
  $
2,699,081
    $
2,713,150
 
Schedule of Maturities of Long-term Debt [Table Text Block]
Year
 
Amount
 
2021
  $
68,307
 
2022
   
98,275
 
2023
   
108,314
 
2024
   
113,474
 
2025
   
119,584
 
2026 and thereafter
   
2,282,463
 
    $
2,790,417