v3.25.4
Equipment Notes Payable and Financial Arrangements (Tables)
3 Months Ended
Jan. 23, 2026
Debt Disclosure [Abstract]  
Schedule of Line of Credit and Equipment Note Payable

The following table reflects major components of our revolving credit facility and equipment note payable as of January 23, 2026, and October 31, 2025, respectively.

 

   January 23, 2026   October 31, 2025 
         
Revolving credit facility  $2,000   $2,000 
Equipment note payable:          
3.68% note due 04/16/27   1,482    1,794 
Total debt   3,482    3,794 
Less current debt   (3,131)   (3,121)
Total long-term debt  $351   $673