v3.25.1
Debt (Tables)
6 Months Ended
Apr. 30, 2025
Debt  
Schedule of Debt

Debt as of April 30, 2025 and October 31, 2024 consisted of the following (in thousands):

April 30,

October 31,

    

2025

    

2024

Export-Import Bank of the United States Financing Facility

$

9,709

$

10,104

Liberty Bank Term Loan Agreement (Derby Senior Back Leverage Loan Facility)

5,521

5,825

Connecticut Green Bank Term Loan Agreement (Derby Senior Back Leverage Loan Facility)

2,548

2,689

Connecticut Green Bank Loan (Derby Subordinated Back Leverage Loan Facility)

3,500

3,500

Connecticut Green Bank Loan (Groton Subordinated Back Leverage Loan Facility)

8,000

8,000

Liberty Bank Term Loan Agreement (Groton Senior Back Leverage Loan Facility)

5,204

5,437

Amalgamated Bank Loan (Groton Senior Back Leverage Loan Facility)

5,181

5,420

Finance obligation for sale-leaseback transactions

18,787

18,811

State of Connecticut Loan

5,576

6,024

OpCo Financing Facility

66,239

70,067

Deferred finance costs

(3,757)

(4,215)

Total debt and finance obligations

126,508

131,662

Current portion of long-term debt and finance obligations

(17,137)

(15,924)

Long-term debt and finance obligations

$

109,371

$

115,738