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Restructuring and Other Exit Costs (Tables)
9 Months Ended
Feb. 23, 2020
Restructuring, Impairment, and Other Exit Costs [Abstract]  
Schedule of restructuring and impairment charges [Table Text Block]

 

 

Quarter Ended

 

Nine-Month

Period Ended

In Millions

 

Feb. 23, 2020

 

Feb. 24, 2019

 

Feb. 23, 2020

 

Feb. 24, 2019

Charges associated with restructuring actions previously announced

$

12.4

$

58.6

$

37.2

$

61.0

Asset impairments

 

-

 

1.2

 

-

 

207.0

Total

$

12.4

$

59.8

$

37.2

$

268.0

Schedule of restructuring charges and project-related costs presentation [Table Text Block]

 

 

Quarter Ended

 

Nine-Month

Period Ended

In Millions

 

Feb. 23, 2020

 

Feb. 24, 2019

 

Feb. 23, 2020

 

Feb. 24, 2019

Cost of sales

$

6.6

$

0.1

$

24.3

$

0.3

Restructuring, impairment, and other exit costs

 

5.8

 

59.7

 

12.9

 

267.7

Total restructuring and impairment charges

 

12.4

 

59.8

 

37.2

 

268.0

Project-related costs classified in cost of sales

$

0.4

$

0.1

$

1.1

$

1.3

Rollforward of restructuring and other exit cost reserves [Table Text Block]

In Millions

 

 

Reserve balance as of May 26, 2019

$

36.5

Fiscal 2020 charges, including foreign

currency translation

 

(1.3)

Utilized in fiscal 2020

 

(12.0)

Reserve balance as of Feb. 23, 2020

$

23.2