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Equipment Notes Payable and Financial Arrangements (Tables)
3 Months Ended
Jan. 21, 2022
Debt Disclosure [Abstract]  
Schedule of Line of Credit and Borrowing agreements

The following table reflects major components of our line of credit and borrowing agreements as of January 21, 2022 and October 29, 2021.

 

   January 21, 2022   October 29, 2021 
         
Revolving credit facility  $16,000   $12,000 
Equipment notes:          
4.13% note due 12/24/25, out of lockout 12/26/20   -    - 
3.98% note due 04/21/26, out of lockout 04/23/21   -    - 
3.70% note due 12/21/26, out of lockout 12/23/21   -    2,901 
3.29% note due 03/05/27, out of lockout 03/06/22   5,697    5,951 
3.68% note due 04/16/27, out of lockout 04/17/22   5,650    5,888 
SOFR plus 2.00% bridge loan due 03/01/23   13,106    10,329 
Total debt   40,453    37,069 
Less current debt   (449)   (1,065)
Total long-term debt  $40,004   $36,004