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Stock Plans (Schedule of information on restricted stock unit and cash-settled share-based units activity) (Details) - $ / shares
12 Months Ended
May 29, 2016
May 31, 2015
May 25, 2014
Share Settled Units (Thousands) [Abstract]      
Granted 1,351,500 1,708,200 2,144,100
Weighted Average Grant-Date Fair Value [Abstract]      
Granted $ 56 $ 53.45 $ 48.49
Equity Classified [Member]      
Share Settled Units (Thousands) [Abstract]      
Non-vested Beginning Balance 6,235,600    
Granted 1,287,700    
Vested (2,119,900)    
Forfeited, expired, or reclassified (303,000)    
Non-vested Ending Balance 5,100,400 6,235,600  
Weighted Average Grant-Date Fair Value [Abstract]      
Non-vested Beginning Balance $ 46.44    
Granted 56.01    
Vested 46.65    
Forfeited, expired, or reclassified 49.45    
Non-vested Ending Balance $ 48.6 $ 46.44  
Liability Classified Share Settled [Member]      
Share Settled Units (Thousands) [Abstract]      
Non-vested Beginning Balance 237,000    
Granted 63,800    
Vested (69,500)    
Forfeited, expired, or reclassified (19,900)    
Non-vested Ending Balance 211,400 237,000  
Weighted Average Grant-Date Fair Value [Abstract]      
Non-vested Beginning Balance $ 44.84    
Granted 55.82    
Vested 40.55    
Forfeited, expired, or reclassified 51.45    
Non-vested Ending Balance $ 48.37 $ 44.84