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Note 7 - Marketable Debt Securities (Tables)
3 Months Ended
Feb. 28, 2025
Notes Tables  
Marketable Securities [Table Text Block]
  

Cost

  

Unrealized Gains

  

Unrealized Losses

  

Fair Value

  

Investments

 

Corporate bonds

 $3,686  $35  $-  $3,721  $3,721 

U.S. Treasury securities

  7,836   63   -   7,899   7,899 

Total

 $11,522  $98  $-  $11,620  $11,620 
  

Amortized
Cost

  

Unrealized
Gains

  

Unrealized
Losses

  

Fair
Value

  

Investments

 

Corporate bonds

 $2,950  $18  $-  $2,968  $2,968 

U.S. Treasury securities

  5,889   47   -   5,936   5,936 

Total

 $8,839  $65  $-  $8,904  $8,904 
Investments Classified by Contractual Maturity Date [Table Text Block]
  

February 28, 2025

 
  

Cost

  

Fair Value

 

Due within one year or less

 $6,890  $6,964 

Due after one year through five years

  4,632   4,656 
  $11,522  $11,620 
Fair Value, Assets Measured on Recurring Basis [Table Text Block]
          

February 28, 2025

 
          

Fair Value Measurement Based on

 
          

Quoted Prices in Active Market

  

Significant Other Observable Inputs

  

Significant Unobservable Inputs

 
  

Cost

  

Fair Value

  

(Level 1)

  

(Level 2)

  

(Level 3)

 

Cash equivalents

 $4,334  $4,334  $4,334  $-  $- 

Corporate bonds

  3,686   3,721   -   3,721   - 

U.S. Treasury securities

  7,836   7,899   -   7,899   - 

Total

 $15,856  $15,954  $4,334  $11,620  $- 
          

November 30, 2024

 
          

Fair Value Measurement Based on

 
          

Quoted Prices in Active Market

  

Significant Other Observable Inputs

  

Significant Unobservable Inputs

 
  

Cost

  

Fair Value

  

(Level 1)

  

(Level 2)

  

(Level 3)

 

Cash equivalents

 $11,304  $11,304  $11,304  $-  $- 

Corporate bonds

  2,950   2,968   -   2,968   - 

U.S. Treasury securities

  5,889   5,936   -   5,936   - 

Total

 $20,143  $20,208  $11,304  $8,904  $-