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Debt (Tables)
12 Months Ended
May 29, 2016
DEBT [Abstract]  
Schedule of Short-term Debt [Table Text Block]
May 29, 2016May 31, 2015
In MillionsNotesPayableWeighted-AverageInterest RateNotesPayableWeighted-AverageInterest Rate
U.S. commercial paper$--%$432.00.3%
Financial institutions269.88.6183.89.5
Total$269.88.6%$615.83.0%
Schedule of Fee-Paid Committed and Uncommitted Credit Lines [Table Text Block]
In BillionsFacility AmountBorrowed Amount
Credit facility expiring:
May 2021$2.7$-
June 20190.20.1
Total committed credit facilities2.90.1
Uncommitted credit facilities0.40.1
Total committed and uncommitted credit facilities$3.3$0.2
Schedule of Long-term Debt Instruments [Table Text Block]
In MillionsMay 29, 2016May 31, 2015
5.65% notes due February 15, 2019$1,150.0$1,150.0
5.7% notes due February 15, 20171,000.01,000.0
3.15% notes due December 15, 20211,000.01,000.0
Euro-denominated 2.1% notes due November 16, 2020555.8549.4
Euro-denominated 1.0% notes due April 27, 2023555.8549.4
Floating-rate euro-denominated notes due January 15, 2020555.8-
1.4% notes due October 20, 2017500.0500.0
5.4% notes due June 15, 2040500.0500.0
4.15% notes due February 15, 2043500.0500.0
3.65% notes due February 15, 2024500.0500.0
2.2% notes due October 21, 2019500.0500.0
Floating-rate notes due January 29, 2016-500.0
Euro-denominated 1.5% notes due April 27, 2027444.6439.5
0.875% notes due January 29, 2016-250.0
Floating-rate notes due January 28, 2016-250.0
Euro-denominated 2.2% notes due June 24, 2021221.0219.7
Medium-term notes, 0.02% to 6.44%, due fiscal 2017 or later204.2204.2
Other, including debt issuance costs and capital leases(26.1)(36.5)
8,161.18,575.7
Less amount due within one year(1,103.4)(1,000.4)
Total long-term debt$7,057.7$7,575.3