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Line of Credit and Borrowing Agreements (Tables)
12 Months Ended
Nov. 01, 2024
Line Of Credit And Borrowing Agreements  
Schedule of Line of Credit and Borrowing agreements

The following table reflects major components of our revolving credit facility and borrowing agreements as of November 1, 2024, and November 3, 2023, respectively.

 

   November 1, 2024   November 3, 2023 
         
Revolving credit facility  $-   $- 
Equipment notes:          
3.68% note due 04/16/27, out of lockout 04/17/22   2,786    3,831 
Total debt   2,786    3,831 
Less current debt   (1,084)   (1,045)
Total long-term debt  $1,702   $2,786 
Schedule of Aggregate Contractual Maturities of Debt in Future Fiscal Years

Aggregate contractual maturities of debt in future fiscal years are as follows as of November 1, 2024.

 

Fiscal Years   Debt Payable  
2025   $ 1,084  
2026   $ 1,124  
2027   $ 578