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Financial Instruments, Risk Management Activities, and Fair Values (Tables)
12 Months Ended
May 30, 2010
Financial Instruments (Tables)  
Schedule Of Derivative Instruments [Text Block]
 May 30, 2010 May 30, 2010
 Fair Values of Assets Fair Values of Liabilities
In Millions Level 1 Level 2 Level 3 Total  Level 1 Level 2 Level 3 Total
Derivatives designated as hedging instruments:                 
Interest rate contracts (a) (b)$ -  5.8  -$ 5.8 $ -  (17.1)  -$ (17.1)
Foreign exchange contracts (c) (d)  -  8.6  -  8.6   -  (12.5)  -  (12.5)
Total   -  14.4  -  14.4   -  (29.6)  -  (29.6)
                  
Derivatives not designated as hedging instruments:                 
Interest rate contracts (a) (b)  -  124.3  -  124.3   -  (163.1)  -  (163.1)
Foreign exchange contracts (c) (d)  -  9.5  -  9.5   -  (1.0)  -  (1.0)
Commodity contracts (c) (e)  -  7.4  -  7.4   (5.6)  -  -  (5.6)
Grain contracts (c) (e)  -  11.9  -  11.9   -  (13.0)  -  (13.0)
Total   -  153.1  -  153.1   (5.6)  (177.1)  -  (182.7)
                  
Other assets and liabilities reported at fair value:                 
Marketable investments (a) (f)  15.5  11.9  -  27.4   -  -  -  -
Long-lived assets (g)  -  0.4  -  0.4   -  -  -  -
Total   15.5  12.3  -  27.8   -  -  -  -
Total assets, liabilities, and derivative positions recorded at fair value$ 15.5$ 179.8$ -$ 195.3 $ (5.6)$ (206.7)$ -$ (212.3)