BORROWINGS: (Tables)
6 Months Ended
May. 31, 2015
Debt Disclosure [Abstract]  
Schedule of borrowings
Borrowings consist of the following: 
 
As of
 
May 31, 2015
 
November 30, 2014
SYNNEX U.S. securitization (See Note 9 - Accounts Receivable Arrangements)
$

 
$
578,000

SYNNEX U.S. credit agreement
625,000

 
279,375

SYNNEX Canada term loan and revolver
13,440

 
36,956

SYNNEX Infotec credit facility
68,471

 
53,954

Other borrowings and capital leases
28,817

 
32,218

Total borrowings
735,728

 
980,503

Less: Current portion
(81,121
)
 
(716,257
)
Non-current portion
$
654,607

 
$
264,246

Schedule of Maturities of Long-term Debt
Future principal payments under the above loans and capital leases as of May 31, 2015 are as follows: 
Fiscal Years Ending November 30,
 
2015
$
65,142

2016
31,931

2017
84,206

2018
51,538

2019
63,298

Thereafter
439,613

 
$
735,728