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RESTRUCTURING ACTIVITIES (Details) - USD ($)
$ in Millions
12 Months Ended
May 31, 2024
May 31, 2023
May 31, 2022
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2] $ 199 [1] $ 131 [1] $ 225
Initial Costs [2],[3] 447 497 222
Adjustments to Cost [2],[4] (43) (7) (31)
Cash Payments [2] (369) (418) (201)
Others [2],[5] 2 (4) (84)
Accrued at period end [1],[2] 236 199 131
Fiscal 2022 Oracle Restructuring [Member]      
Restructuring Reserve Disclosures [Abstract]      
Total Costs Accrued to Date 716    
Fiscal 2024 Activity [Member] | Other Restructuring Plans [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [1],[2],[6] 199    
Initial Costs [2],[3],[6] 0    
Adjustments to Cost [2],[4],[6] (28)    
Cash Payments [2] (89)    
Others [2],[5],[6] 2    
Accrued at period end [1],[2],[6] 84 199  
Fiscal 2024 Activity [Member] | Fiscal 2024 Oracle Restructuring [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [1],[2] 0    
Initial Costs [2],[3] 447    
Adjustments to Cost [2],[4] (15)    
Cash Payments [2] (280)    
Others [2],[5] 0    
Accrued at period end [1],[2] 152 0  
Total Costs Accrued to Date [2] 432    
Total Expected Program Costs [2] 635    
Fiscal 2024 Activity [Member] | Fiscal 2024 Oracle Restructuring [Member] | Other [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [1],[2] 0    
Initial Costs [2],[3] 188    
Adjustments to Cost [2],[4] (5)    
Cash Payments [2] (134)    
Others [2],[5] 0    
Accrued at period end [1],[2] 49 0  
Total Costs Accrued to Date [2] 183    
Total Expected Program Costs [2] 277    
Fiscal 2024 Activity [Member] | Fiscal 2024 Oracle Restructuring [Member] | Cloud and License [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [1],[2] 0    
Initial Costs [2],[3] 204    
Adjustments to Cost [2],[4] (9)    
Cash Payments [2] (108)    
Others [2],[5] 0    
Accrued at period end [1],[2] 87 0  
Total Costs Accrued to Date [2] 195    
Total Expected Program Costs [2] 205    
Fiscal 2024 Activity [Member] | Fiscal 2024 Oracle Restructuring [Member] | Hardware [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [1],[2] 0    
Initial Costs [2],[3] 9    
Adjustments to Cost [2],[4] 0    
Cash Payments [2] (5)    
Others [2],[5] 0    
Accrued at period end [1],[2] 4 0  
Total Costs Accrued to Date [2] 9    
Total Expected Program Costs [2] 17    
Fiscal 2024 Activity [Member] | Fiscal 2024 Oracle Restructuring [Member] | Services [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [1],[2] 0    
Initial Costs [2],[3] 46    
Adjustments to Cost [2],[4] (1)    
Cash Payments [2] (33)    
Others [2],[5] 0    
Accrued at period end [1],[2] 12 0  
Total Costs Accrued to Date [2] 45    
Total Expected Program Costs [2] 136    
Fiscal 2023 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2] 157 60 [1]  
Initial Costs [2],[3]   496  
Adjustments to Cost [2],[4]   (3)  
Cash Payments [2]   (396)  
Others [2],[5]   0  
Accrued at period end [2]   157 60 [1]
Fiscal 2023 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member] | Other [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2] 35 10 [1]  
Initial Costs [2],[3]   162  
Adjustments to Cost [2],[4]   3  
Cash Payments [2]   (141)  
Others [2],[5]   1  
Accrued at period end [2]   35 10 [1]
Fiscal 2023 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member] | Cloud and License [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2] 99 34 [1]  
Initial Costs [2],[3]   288  
Adjustments to Cost [2],[4]   (6)  
Cash Payments [2]   (218)  
Others [2],[5]   1  
Accrued at period end [2]   99 34 [1]
Fiscal 2023 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member] | Hardware [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2] 6 7 [1]  
Initial Costs [2],[3]   18  
Adjustments to Cost [2],[4]   0  
Cash Payments [2]   (18)  
Others [2],[5]   (1)  
Accrued at period end [2]   6 7 [1]
Fiscal 2023 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member] | Services [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2] 17 9 [1]  
Initial Costs [2],[3]   28  
Adjustments to Cost [2],[4]   0  
Cash Payments [2]   (19)  
Others [2],[5]   (1)  
Accrued at period end [2]   17 9 [1]
Fiscal 2023 Activity [Member] | Other Restructuring Plans [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2],[6] $ 42 71 [1]  
Initial Costs [2],[3],[6]   1  
Adjustments to Cost [2],[4],[6]   (4)  
Cash Payments [2],[6]   (22)  
Others [2],[5],[6]   (4)  
Accrued at period end [2],[6]   42 71 [1]
Fiscal 2022 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2]   60 0
Initial Costs [2],[3]     222
Adjustments to Cost [2],[4]     1
Cash Payments [2]     (92)
Others [2],[5]     (71)
Accrued at period end [2]     60
Fiscal 2022 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member] | Other [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2]   10 0
Initial Costs [2],[3]     105
Adjustments to Cost [2],[4]     3
Cash Payments [2]     (29)
Others [2],[5]     (69)
Accrued at period end [2]     10
Fiscal 2022 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member] | Cloud and License [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2]   34 0
Initial Costs [2],[3]     90
Adjustments to Cost [2],[4]     (2)
Cash Payments [2]     (52)
Others [2],[5]     (2)
Accrued at period end [2]     34
Fiscal 2022 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member] | Hardware [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2]   7 0
Initial Costs [2],[3]     11
Adjustments to Cost [2],[4]     0
Cash Payments [2]     (4)
Others [2],[5]     0
Accrued at period end [2]     7
Fiscal 2022 Activity [Member] | Fiscal 2022 Oracle Restructuring [Member] | Services [Member] | Operating Segments [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2]   9 0
Initial Costs [2],[3]     16
Adjustments to Cost [2],[4]     0
Cash Payments [2]     (7)
Others [2],[5]     0
Accrued at period end [2]     9
Fiscal 2022 Activity [Member] | Other Restructuring Plans [Member]      
Restructuring Reserve Disclosures [Abstract]      
Accrued at period start [2],[6]   $ 71 225
Initial Costs [2],[3],[6]     0
Adjustments to Cost [2],[4],[6]     (32)
Cash Payments [2],[6]     (109)
Others [2],[5],[6]     (13)
Accrued at period end [2],[6]     $ 71
[1] As of May 31, 2024 and 2023, substantially all restructuring liabilities have been recorded in other current liabilities within our consolidated balance sheets.
[2] Restructuring costs recorded to each of the operating segments presented primarily related to employee severance costs. Other restructuring costs represented employee severance costs not related to our operating segments and certain other restructuring plan costs.
[3] Costs recorded for the respective restructuring plans during the period presented.
[4] All plan adjustments were changes in estimates whereby increases and decreases in costs were generally recorded to operating expenses in the period of adjustments.
[5] Represents foreign currency translation and certain other non-cash adjustments.
[6] Other restructuring plans presented in the tables above included condensed information for other Oracle based plans and other plans associated with certain of our acquisitions whereby we continued to make cash outlays to settle obligations under these plans during the periods presented but for which the periodic impact to our consolidated statements of operations was not significant.