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Fair Value Disclosures (Tables)
9 Months Ended
Aug. 31, 2015
Fair Value Disclosures [Abstract]  
Schedule of Assets Measured at Fair Value on Nonrecurring Basis
The following table presents the fair value hierarchy and our assets measured at fair value on a nonrecurring basis for the nine months ended August 31, 2015 and the year ended November 30, 2014 (in thousands): 
Description
 
Fair Value Hierarchy
 
August 31,
2015
 
November 30,
2014
Inventories (a)
 
Level 2
 
$

 
$
6,421

Inventories (a)
 
Level 3
 
3,356

 
24,174

(a)
Amounts represent the aggregate fair value for real estate assets impacted by inventory impairment charges during the applicable period, as of the date that the fair value measurements were made. The carrying value for these real estate assets may have subsequently increased or decreased from the fair value reflected due to activity that has occurred since the measurement date.
Schedule of Fair Value Hierarchy, Carrying Values, and Estimated Fair Values of Financial Instruments
The following table presents the fair value hierarchy, carrying values and estimated fair values of our financial instruments, except those for which the carrying values approximate fair values (in thousands):
 
 
 
August 31, 2015
 
November 30, 2014
 
Fair Value
Hierarchy
 
Carrying
Value
 
Estimated
Fair Value
 
Carrying
Value
 
Estimated
Fair Value
Financial Liabilities:
 
 
 
 
 
 
 
 
 
Senior notes
Level 2
 
$
2,359,488

 
$
2,452,825

 
$
2,308,275

 
$
2,468,852

Convertible senior notes
Level 2
 
230,000

 
217,063

 
230,000

 
229,713