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Fair Value Measurements (Tables)
6 Months Ended
Nov. 29, 2025
Fair Value Measurements [Abstract]  
Schedule of Assets Measured at Fair Value on a Recurring Basis
November 29, 2025
Level 1
Level 2
Level 3
Balance
Assets
Municipal bonds
$
$
19,918
$
$
19,918
Commercial paper
21,323
21,323
Corporate bonds
536,976
536,976
Certificates of deposits
4,252
4,252
US government and agency obligations
142,629
142,629
Treasury bills
44,440
44,440
Total assets measured at fair value
$
$
769,538
$
$
769,538
Liabilities
Contingent consideration
$
$
$
23,000
$
23,000
Total liabilities measured at fair value
$
$
$
23,000
$
23,000
May 31, 2025
Level 1
Level 2
Level 3
Balance
Assets
Municipal bonds
$
$
21,698
$
$
21,698
Commercial paper
90,830
90,830
Corporate bonds
431,508
431,508
Certificates of deposits
5,194
5,194
US government and agency obligations
240,395
240,395
Treasury bills
103,083
103,083
Total assets measured at fair value
$
$
892,708
$
$
892,708
Liabilities
Contingent consideration
$
$
$
21,500
$
21,500
Total liabilities measured at fair value
$
$
$
21,500
$
21,500
Schedule of Beginning and Ending Balances in Fair Value of The Contingent Consideration
Fassio Contingent Consideration
Balance, May 31, 2025
$
21,500
Fair value adjustments
1,500
Balance, November 29, 2025
$
23,000