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Restructuring, Transformation, Impairment, and Other Exit Costs (Tables)
6 Months Ended
Nov. 23, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring, Transformation, and Impairment Charges and Restructuring, Transformation, and Other Exit Cost Reserves, Included in Other Current Liabilities Restructuring, transformation, and impairment charges were as follows:
Quarter Ended
Six-Month Period Ended
In Millions
Nov. 23, 2025
Nov. 24, 2024
Nov. 23, 2025
Nov. 24, 2024
Other intangible asset impairment
$52.9
$
$52.9
$
Supply chain actions
50.3
50.3
Charges associated with restructuring and transformation actions
  previously announced
21.9
1.3
40.2
4.2
Total
$125.1
$1.3
$143.4
$4.2
The roll forward of our restructuring, transformation, and other exit cost reserves, included in other current liabilities, is as follows:
In Millions
Total
Reserve balance as of May 25, 2025
$77.1
Fiscal 2026 charges, including foreign currency translation
4.8
Utilized in fiscal 2026
(19.4)
Reserve balance as of Nov. 23, 2025
$62.5
Schedule of Restructuring, Impairment Charges and Project-Related Costs Restructuring, transformation, and impairment charges are recorded in our Consolidated Statements of Earnings as follows:
Quarter Ended
Six-Month Period Ended
In Millions
Nov. 23, 2025
Nov. 24, 2024
Nov. 23, 2025
Nov. 24, 2024
Restructuring, transformation, impairment, and other exit costs
$122.1
$1.2
$138.4
$3.4
Cost of sales
3.0
0.1
5.0
0.8
Total restructuring, transformation, and impairment charges
$125.1
$1.3
$143.4
$4.2