XML 52 R42.htm IDEA: XBRL DOCUMENT v3.8.0.1
NOTE I - FAIR VALUE OF FINANCIAL INSTRUMENTS (Details) - Schedule of Available-for-sale Securities Reconciliation - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Oct. 31, 2017
Apr. 30, 2017
NOTE I - FAIR VALUE OF FINANCIAL INSTRUMENTS (Details) - Schedule of Available-for-sale Securities Reconciliation [Line Items]    
Cost $ 1,316 $ 6,746
Gross Unrealized Gains 79 1,308
Gross Unrealized Losses 0 (239)
Fair Market Value 1,395 7,815
Fixed Income Securities [Member]    
NOTE I - FAIR VALUE OF FINANCIAL INSTRUMENTS (Details) - Schedule of Available-for-sale Securities Reconciliation [Line Items]    
Cost 1,316 1,516
Gross Unrealized Gains 79 60
Gross Unrealized Losses 0 0
Fair Market Value 1,395 1,576
Equity Securities [Member]    
NOTE I - FAIR VALUE OF FINANCIAL INSTRUMENTS (Details) - Schedule of Available-for-sale Securities Reconciliation [Line Items]    
Cost 0 5,230
Gross Unrealized Gains 0 1,248
Gross Unrealized Losses 0 (239)
Fair Market Value $ 0 $ 6,239