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CREDIT FACILITIES AND BORROWINGS - Term Loan (Details) - USD ($)
$ in Millions
3 Months Ended 12 Months Ended
Jun. 04, 2025
May 26, 2024
May 25, 2025
CREDIT FACILITIES AND BORROWINGS      
Face amount   $ 7,545.7 $ 7,289.2
Due October 29, 2025      
CREDIT FACILITIES AND BORROWINGS      
Face amount     $ 200.0
Due October 29, 2025 | Subsequent Event      
CREDIT FACILITIES AND BORROWINGS      
Prepaid aggregate principal amount outstanding $ 100.0    
Due October 29, 2025 | SOFR      
CREDIT FACILITIES AND BORROWINGS      
Debt instrument on variable rate     0.875%
Due October 29, 2025 | Base Rate      
CREDIT FACILITIES AND BORROWINGS      
Debt instrument on variable rate     0.00%
Due October 29, 2025 | Federal funds      
CREDIT FACILITIES AND BORROWINGS      
Debt instrument on variable rate     0.50%
Due October 29, 2025 | One Month SOFR      
CREDIT FACILITIES AND BORROWINGS      
Debt instrument on variable rate     1.00%
Due April 29 2025      
CREDIT FACILITIES AND BORROWINGS      
Face amount   $ 300.0  
Due April 29 2025 | Subsequent Event      
CREDIT FACILITIES AND BORROWINGS      
Prepaid aggregate principal amount outstanding $ 150.0    
Due April 29 2025 | SOFR      
CREDIT FACILITIES AND BORROWINGS      
Debt instrument on variable rate   0.875%  
Due April 29 2025 | Base Rate      
CREDIT FACILITIES AND BORROWINGS      
Debt instrument on variable rate   0.00%  
Due April 29 2025 | Federal funds      
CREDIT FACILITIES AND BORROWINGS      
Debt instrument on variable rate   0.50%  
Due April 29 2025 | One Month SOFR      
CREDIT FACILITIES AND BORROWINGS      
Debt instrument on variable rate   1.00%