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Financing Arrangements (Tables)
3 Months Ended
Aug. 31, 2025
Financing Arrangements  
Summary of carrying amount of debt

August 31, 

May 31, 

    

2025

    

2025

Senior Notes

$

700.0

$

550.0

Amended Revolving Credit Facility with interest payable monthly

330.0

427.0

Debt premium, net

2.9

Debt issuance costs, net

 

(10.8)

 

(9.0)

Long-term debt

$

1,022.1

$

968.0

Schedule of specified redemption prices

2026

    

103.375

%

2027

 

101.688

%

2028 and thereafter

 

100.000

%