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Debt (Tables)
6 Months Ended
Nov. 23, 2025
Debt Disclosure [Abstract]  
Schedule of Components of Notes Payable The components of notes payable and their respective weighted-average interest rates were as follows:
Nov. 23, 2025
May 25, 2025
In Millions
Notes Payable
Weighted-
Average
Interest Rate
Notes Payable
Weighted-
Average
Interest Rate
U.S. commercial paper
$
%
$669.4
4.5%
Financial institutions
16.8
6.0
7.6
5.8
Total
$16.8
6.0%
$677.0
4.5%
Schedule of Fee-Paid Committed and Uncommitted Credit Lines The following table details the credit facilities and lines of credit we had available as of November 23, 2025:
In Millions
Borrowing
Capacity
Borrowed
Amount
Committed credit facility expiring October 2029
$2,700.0
$
Uncommitted credit facilities and lines of credit
771.8
16.8
Total
$3,471.8
$16.8