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Note 9 - Senior Secured, Senior, Senior Amortizing, and Senior Exchangeable Notes (Tables)
12 Months Ended
Oct. 31, 2015
Disclosure Text Block [Abstract]  
Schedule of Long-term Debt Instruments [Table Text Block]
   

Year Ended

 

(In thousands)

 

October 31, 2015

   

October 31, 2014

 

Senior Secured Notes:

           

7.25% Senior Secured First Lien Notes due October 15, 2020

  $577,000     $577,000  

9.125% Senior Secured Second Lien Notes due November 15, 2020

  220,000     220,000  

2.0% Senior Secured Notes due November 1, 2021 (net of discount)

  53,139     53,129  

5.0% Senior Secured Notes due November 1, 2021 (net of discount)

  131,207     129,806  

Total Senior Secured Notes

  $981,346     $979,935  

Senior Notes:

           

11.875% Senior Notes due October 15, 2015 (net of discount)

  $-     $60,414  

6.25% Senior Notes due January 15, 2016 (net of discount)

  172,744     172,483  

7.5% Senior Notes due May 15, 2016

  86,532     86,532  

8.625% Senior Notes due January 15, 2017

  121,043     121,043  

7.0% Senior Notes due January 15, 2019

  150,000     150,000  

8.0% Senior Notes due November 1, 2019

  250,000     -  

Total Senior Notes

  $780,319     $590,472  

11.0% Senior Amortizing Notes due December 1, 2017

  $12,811     $17,049  

Senior Exchangeable Notes due December 1, 2017

  $73,771     $70,101  
Schedule of Maturities of Long-term Debt [Table Text Block]

Fiscal Year Ended October 31,

 

2015

 

2016

  $263,994  

2017

  126,293  

2018

  76,614  

2019

  150,000  

2020

  827,000  

Thereafter

  415,000  

Total

  $1,858,901