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Debt (Tables)
12 Months Ended
May 28, 2023
Debt [Abstract]  
Schedule Of Components Of Notes Payable
May 28, 2023
May 29, 2022
In Millions
Notes Payable
Weighted-
Average
Interest Rate
Notes Payable
Weighted-
Average
Interest Rate
U.S. commercial paper
$
-
-
%
$
694.8
1.1
%
Financial institutions
31.7
10.5
%
116.6
4.4
%
Total
$
31.7
10.5
%
$
811.4
5.5
%
Schedule Of Fee-Paid Committed and Uncommitted Credit Lines
In Billions
Facility
Amount
Borrowed
Amount
Committed credit facility expiring April 2026
$
2.7
$
-
Uncommitted credit facilities
0.6
-
Total committed
 
and uncommitted credit facilities
$
3.3
$
-
Schedule Of Long-term Debt Instruments
In Millions
May 28, 2023
May 29, 2022
4.2
% notes due
April 17, 2028
$
1,400.0
$
1,400.0
4.95
% notes due
March 29, 2033
1,000.0
-
Euro-denominated
3.907
% notes due
April 13, 2029
804.2
-
4.0
% notes due
April 17, 2025
800.0
800.0
3.2
% notes due
February 10, 2027
750.0
750.0
2.875
% notes due
April 15, 2030
750.0
750.0
Euro-denominated
0.45
% notes due
January 15, 2026
643.4
644.1
3.0
% notes due
February 1, 2051
605.2
605.2
Euro-denominated
0.125
% notes due
November 15, 2025
536.2
536.7
Euro-denominated floating rate notes due
July 27, 2023
536.2
537.9
3.65
% notes due
February 15, 2024
500.0
500.0
2.25
% notes due
October 14, 2031
500.0
500.0
5.241
% notes due
November 18, 2025
500.0
-
4.7
% notes due
April 17, 2048
446.2
446.2
4.15
% notes due
February 15, 2043
434.9
434.9
Euro-denominated
1.5
% notes due
April 27, 2027
428.9
429.4
Floating rate notes due
October 17, 2023
400.0
400.0
5.4
% notes due
June 15, 2040
382.5
382.5
4.55
% notes due
April 17, 2038
282.4
282.4
Euro-denominated floating rate notes due
November 10, 2023
268.1
-
Medium-term notes,
0.56
% to
6.41
%, due fiscal
2024
 
or later
4.0
103.9
Euro-denominated
1.0
% notes due
April 27, 2023
-
536.8
2.6
% notes due
October 12, 2022
-
500.0
Euro-denominated
0.0
% notes due
November 11, 2022
-
268.3
Euro-denominated
0.0
% notes due
May 16, 2023
-
268.3
Other
(298.0)
(267.6)
11,674.2
10,809.0
Less amount due within one year
(1,709.1)
(1,674.2)
Total long-term debt
$
9,965.1
$
9,134.8
Schedule Of Long-term Debt And Capital Leases
In Millions
Fiscal 2024
$
1,709.1
Fiscal 2025
800.5
Fiscal 2026
1,680.1
Fiscal 2027
1,179.3
Fiscal 2028
1,400.0