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Restructuring, Impairment, and Other Exit Costs (Tables)
6 Months Ended
Nov. 28, 2021
Restructuring, Impairment, and Other Exit Costs [Abstract]  
Schedule of Restructuring and Impairment Charges and Project-Related Costs

 

Quarter Ended

 

Six-Month Period Ended

In Millions

Nov. 28, 2021

 

Nov. 29, 2020

 

Nov. 28, 2021

 

Nov. 29, 2020

Asia & Latin America manufacturing

and logistics operations

$

12.6

 

$

-

 

$

12.6

 

$

-

(Recoveries) charges associated with restructuring actions

previously announced

 

(9.9)

 

 

0.9

 

 

(14.0)

 

 

1.9

Total restructuring charges (recoveries)

$

2.7

 

$

0.9

 

$

(1.4)

 

$

1.9

 

Quarter Ended

 

Six-Month Period Ended

In Millions

Nov. 28, 2021

 

Nov. 29, 2020

 

Nov. 28, 2021

 

Nov. 29, 2020

Restructuring, impairment, and other exit costs (recoveries)

$

2.3

 

$

0.4

 

$

(2.0)

 

$

0.9

Cost of sales

 

0.4

 

 

0.5

 

 

0.6

 

 

1.0

Total restructuring charges (recoveries)

$

2.7

 

$

0.9

 

$

(1.4)

 

$

1.9

Roll forward of Restructuring and Other Exit Cost Reserves

In Millions

Total

Reserve balance as of May 30, 2021

$

148.8

Fiscal 2022 net recoveries, including foreign currency translation

 

(2.0)

Utilized in fiscal 2022

 

(37.1)

Reserve balance as of Nov. 28, 2021

$

109.7