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Note 12 - Loan and Credit Agreements (Tables)
6 Months Ended
May 31, 2024
Notes Tables  
Schedule of Debt [Table Text Block]
  

May 31, 2024

  

November 30, 2023

 

Bank Midwest loan payable in monthly installments of $19,648 including interest at 7.00%, due October 1, 2037

  2,035,810   2,080,718 

Bank Midwest loan payable in monthly installments of $2,972 including interest at 7.00%, due May 15, 2027

  330,863   336,858 

U.S. Small Business Administration loan payable in monthly installments of $731 including interest at 3.75% beginning December 18, 2022, due June 18, 2050

  158,614   160,583 

U.S. Small Business Administration loan payable in monthly installments of $731 including interest at 3.75% beginning December 18, 2022, due June 18, 2050

  158,971   160,599 

U.S. Small Business Administration loan payable in monthly installments of $731 including interest at 3.75% beginning December 24, 2022, due June 24, 2050

  159,508   160,896 

Total term debt

 $2,843,766  $2,899,654 

Less term debt of discontinued operations

 $(158,971)  (160,599)

Term debt, continuing operations

  2,684,795   2,739,055 

Less current portion of term debt

  (113,545)  (109,193)

Term debt, excluding current portion

 $2,571,250  $2,629,862 
Schedule of Maturities of Long-Term Debt [Table Text Block]

Year

 

Amount

 

2025

 $113,545 

2026

 $121,427 

2027

 $130,074 

2028

 $413,638 

2029

 $132,431 

2030 and thereafter

 $1,773,680 
  $2,684,795