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Accumulated Other Comprehensive Income (Loss) (Details 1) - USD ($)
$ in Thousands
12 Months Ended
Nov. 29, 2019
Nov. 30, 2018
Dec. 01, 2017
Gross unrealized gains on available-for-sale securities [Abstract]      
Beginning balance, unrealized gains on available-for-sale securities $ 44    
Gross unrealized gains on available for sale securities, increase decrease 4,594    
Gross unrealized gains on available for sale securities, reclassification adjustments (171)    
Ending balance, unrealized gains on available-for-sale securities 4,467 $ 44  
Gross unrealized losses on available-for-sale securities [Abstract]      
Beginning balance, unrealized losses on available-for-sale securities (25,374)    
Gross unrealized losses on available for sale securities increase or decrease 24,815    
Gross unrealized losses on available for sale securities, reclassification adjustments 295    
Ending balance, unrealized losses on available-for-sale securities (264) (25,374)  
Net unrealized gains / losses on available for sale securities      
Beginning Balance, total net unrealized gains (losses) on available-for-sale securities (25,330)    
Net unrealized gains / losses on available-for-sale securities, increase or decrease 29,409 (24,464) $ (2,503)
Reclassification adjustment for gains / losses on available-for-sale securities recognized 124 [1] 10,650 (947)
Ending Balance, total net unrealized gains (losses) on available-for-sale securities 4,203 (25,330)  
Net unrealized gains / losses on derivative instruments designated as hedging instruments      
Beginning balance, net unrealized gains on derivative instruments designated as hedging instruments 21,732    
Net unrealized gains on derivative instruments designated as hedging instruments, increase or decrease 294 74,080 6,917
Net unrealized gains on derivative instruments designated as hedging instruments, reclassification adjustments (44,334) [2] (48,981) (31,973)
Ending balance, net unrealized gains on derivative instruments designated as hedging instruments (22,308) 21,732  
Cumulative foreign currency translation adjustments [Abstract]      
Beginning balance, cumulative foreign currency translation adjustments (144,532)    
Cumulative foreign currency translation adjustment, increase or decrease (25,397) (47,594) $ 90,287
Cumulative foreign currency translation adjustment, reclassification adjustments 0    
Ending balance, cumulative foreign currency translation adjustments (169,929) (144,532)  
Total accumulated other comprehensive income (loss), net of taxes      
Beginning balance, total accumulated other comprehensive income, net of taxes (148,130)    
Accumulated other comprehensive income, increase or decrease 4,306    
Accumulated other comprehensive income, reclassification adjustments (44,210)    
Ending balance, total accumulated other comprehensive income, net of taxes $ (188,034) $ (148,130)  
[1]
Reclassification adjustments for gains / losses on available-for-sale securities are classified in interest and other income (expense), net.
[2] Reclassification adjustments for gains / losses on foreign currency hedges are classified in revenue and reclassification adjustments for gains / losses on Treasury lock hedges are classified in interest expense.