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CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
Common stock and additional paid-in capital:
Treasury stock:
Retained earnings:
Accumulated other comprehensive loss:
Beginning balance at Nov. 30, 2023 $ 8,183,182 $ 7,435,373 $ (949,714) $ 2,204,771 $ (507,248)
Share-based compensation   30,920      
Treasury stock reissued for employee benefit plans   (19,365)      
Repurchases of common stock for tax withholdings on equity awards     (6,287)    
Reissuance of treasury stock for employee benefit plans     24,872    
Repurchases of common stock     (457,716)    
Net income 315,733     315,733  
Cash dividends declared       (69,843)  
Other comprehensive income (loss) (45,036)       (45,036)
Ending balance at May. 31, 2024 $ 7,956,460 7,446,928 (1,388,845) 2,450,661 (552,284)
Cash dividends declared per share (in USD per shares) $ 0.80        
Beginning balance at Feb. 29, 2024 $ 8,102,175 7,438,919 (1,138,919) 2,341,247 (539,072)
Share-based compensation   13,430      
Treasury stock reissued for employee benefit plans   (5,421)      
Repurchases of common stock for tax withholdings on equity awards     (1,489)    
Reissuance of treasury stock for employee benefit plans     8,201    
Repurchases of common stock     (256,638)    
Net income 143,605     143,605  
Cash dividends declared       (34,191)  
Other comprehensive income (loss) (13,212)       (13,212)
Ending balance at May. 31, 2024 $ 7,956,460 7,446,928 (1,388,845) 2,450,661 (552,284)
Cash dividends declared per share (in USD per shares) $ 0.40        
Beginning balance at Nov. 30, 2024 $ 8,035,434 7,437,787 (1,513,017) 2,755,781 (645,117)
Share-based compensation   33,811      
Treasury stock reissued for employee benefit plans   (23,385)      
Repurchases of common stock for tax withholdings on equity awards     (8,832)    
Reissuance of treasury stock for employee benefit plans     35,898    
Repurchases of common stock     (251,462)    
Net income 352,458     352,458  
Cash dividends declared       (74,118)  
Other comprehensive income (loss) 242,563       242,563
Ending balance at May. 31, 2025 $ 8,342,367 7,448,213 (1,737,413) 3,034,121 (402,554)
Cash dividends declared per share (in USD per shares) $ 0.88        
Beginning balance at Feb. 28, 2025 $ 8,050,395 7,446,414 (1,595,512) 2,886,098 (686,605)
Share-based compensation   11,950      
Treasury stock reissued for employee benefit plans   (10,151)      
Repurchases of common stock for tax withholdings on equity awards     (4,582)    
Reissuance of treasury stock for employee benefit plans     12,883    
Repurchases of common stock     (150,202)    
Net income 184,921     184,921  
Cash dividends declared       (36,898)  
Other comprehensive income (loss) 284,051       284,051
Ending balance at May. 31, 2025 $ 8,342,367 $ 7,448,213 $ (1,737,413) $ 3,034,121 $ (402,554)
Cash dividends declared per share (in USD per shares) $ 0.44