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DERIVATIVE FINANCIAL INSTRUMENTS - Narratives (Details) - USD ($)
$ in Millions
3 Months Ended 12 Months Ended
Dec. 01, 2019
May 25, 2025
May 26, 2024
May 28, 2023
May 29, 2022
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivatives designated as cash flow hedges, deferred gain   $ (2.9) $ 8.3 $ 4.2  
Unamortized amount   8,932.7 8,511.3 $ 8,807.3 $ 8,862.2
Cash offset   (1.1) (0.3)    
Obligation to return cash offset   0.8 1.5    
Gain on derivatives   3.1      
Gains on derivative in CY   2.8      
Gain on derivative in PY   0.3      
2026   2.7      
2027 and thereafter   0.4      
Prepaid Expenses and Other Current Assets          
DERIVATIVE FINANCIAL INSTRUMENTS          
Cash not-offset   0.2 1.2    
Cash Flow Hedge Pinnacle          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivatives designated as cash flow hedges, deferred gain $ 47.5        
Cash Flow Hedge Pinnacle | Gain in accumulated other comprehensive income          
DERIVATIVE FINANCIAL INSTRUMENTS          
Unamortized amount   25.3      
Commodity contracts | Short          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative notional value     11.0    
Commodity contracts | Long          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative notional value   140.2 88.2    
Foreign exchange contracts          
DERIVATIVE FINANCIAL INSTRUMENTS          
Derivative notional value   $ 93.5 $ 101.5