v3.26.1
Note 3 - Restructuring Actions (Tables)
3 Months Ended
Feb. 28, 2026
Notes Tables  
Restructuring and Related Costs [Table Text Block]
   

Three Months Ended

 
   

February 28, 2026

   

March 1, 2025

 

Cost of sales

  $ 1,619     $ 2,954  

Selling, general and administrative

    375       557  

Other expense, net

    1,196       -  
    $ 3,190     $ 3,511  
   

Three Months Ended

 
   

February 28, 2026

   

March 1, 2025

 

Cost of sales

  $ 3,920     $ -  

Selling, general and administrative

    910       -  
    $ 4,830     $ -  
Schedule of Restructuring Reserve by Type of Cost [Table Text Block]
   

Employee-Related

   

Asset-Related

   

Other

   

Total

 

Balance at November 30, 2024

  $ 8,430     $ -     $ -     $ 8,430  

Expenses incurred

    14,314       (547 )     3,102       16,869  

Non-cash charges

    -       547       (580 )     (33 )

Cash payments

    (14,143 )     -       (2,522 )     (16,665 )

Foreign currency translation

    360       -       -       360  

Balance at November 29, 2025

  $ 8,961     $ -     $ -     $ 8,961  

Expenses incurred

    710       1,065       1,415       3,190  

Non-cash charges

    -       (1,065 )     (1,302 )     (2,367 )

Cash payments

    (3,770 )     -       (113 )     (3,883 )

Foreign currency translation

    (15 )     -       -       (15 )

Balance at February 28, 2026

  $ 5,886     $ -     $ -     $ 5,886  
   

Employee-Related

   

Asset-Related

   

Total

 

Expenses incurred

    1,731       3,099       4,830  

Non-cash charges

    -       (3,099 )     (3,099 )

Cash payments

    (1,369 )     -       (1,369 )

Foreign currency translation

    15       -       15  

Balance at February 28, 2026

  $ 377     $ -     $ 377