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CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 26, 2013
May 27, 2012
May 29, 2011
Cash Flows - Operating Activities      
Net earnings, including earnings attributable to redeemable and noncontrolling interests $ 1,892.5 $ 1,589.1 $ 1,803.5
Adjustments to reconcile net earnings to net cash provided by operating activities:      
Depreciation and amortization 588.0 541.5 472.6
After-tax earnings from joint ventures (98.8) (88.2) (96.4)
Distributions of earnings from joint ventures 115.7 68.0 72.7
Stock-based compensation 100.4 108.3 105.3
Deferred income taxes 81.8 149.4 205.3
Tax benefit on exercised options (103.0) (63.1) (106.2)
Pension and other postretirement benefit plan contributions (223.2) (222.2) (220.8)
Pension and other postretirement benefit plan costs 131.2 77.8 73.6
Divestitures (gain) 0 0 (17.4)
Restructuring, impairment, and other exit costs (income) (60.2) 97.8 (1.3)
Changes in current assets and liabilities, excluding the effects of acquisitions 471.1 243.8 (720.9)
Other, net 30.5 (95.0) (38.9)
Net cash provided by operating activities 2,926.0 2,407.2 1,531.1
Cash Flows - Investing Activities      
Purchases of land, buildings, and equipment (613.9) (675.9) (648.8)
Acquisitions, net of cash acquired (898.0) (1,050.1) (123.3)
Investment in affilates, net (40.4) (22.2) (1.8)
Proceeds from disposal of land, buildings, and equipment 24.2 2.2 4.1
Proceeds from divestiture of product lines 0 0 34.4
Exchangeable note 16.2    
Exchangeable note   (131.6) 0
Other, net (3.5) 6.8 20.3
Net cash used by investing activities (1,515.4) (1,870.8) (715.1)
Cash Flows - Financing Activities      
Change in notes payable (44.5) 227.9 (742.6)
Issuance of long-term debt 1,001.1 1,390.5 1,200.0
Payment of long-term debt (542.3) (1,450.1) (7.4)
Proceeds from common stock issued on exercised options 300.8 233.5 410.4
Tax benefit on exercised options 103.0 63.1 106.2
Purchases of common stock for treasury (1,044.9) (313.0) (1,163.5)
Dividends paid (867.6) (800.1) (729.4)
Distributions to noncontrolling and redeemable interest holders (39.2) (5.2) (4.3)
Other, net (6.6) (13.2) (10.3)
Net cash used by financing activities (1,140.2) (666.6) (940.9)
Effect of exchange rate changes on cash and cash equivalents (0.2) (18.2) 71.3
Increase (decrease) in cash and cash equivalents 270.2 (148.4) (53.6)
Cash and cash equivalents - beginning of year 471.2 619.6 673.2
Cash and cash equivalents - end of year 741.4 471.2 619.6
Cash Flow from Changes in Current Assets and Liabilities, excluding effects of acquisitions:      
Receivables (44.6) (24.2) (69.8)
Inventories 18.7 144.5 (240.0)
Prepaid expenses and other current assets (64.3) 149.4 (96.0)
Accounts payable 263.6 12.1 109.0
Other current liabilities 297.7 (38.0) (424.1)
Changes in current assets and liabilities $ 471.1 $ 243.8 $ (720.9)