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Debt and Derivatives - Summary of Outstanding Debt (Details) - USD ($)
May 31, 2022
May 03, 2022
May 01, 2022
Apr. 01, 2022
Jun. 01, 2021
May 31, 2021
Debt due within one year            
Debt issuance costs $ (6,000)         $ (930,000)
Total debt due within one year 311,574,000         899,070,000
Debt due after one year            
Debt issuance costs (17,033,000)         (9,283,000)
Total debt due after one year 2,483,932,000         1,642,833,000
Senior notes | Senior Notes 2.78%, 2023 Maturity            
Debt due within one year            
Debt due within one year, gross 50,380,000         0
Debt due after one year            
Debt due after one year, gross $ 0         50,815,000
Interest Rate 2.78%          
Senior notes | Senior Notes 2.78%, 2023 Maturity | G & K Services            
Debt due after one year            
Interest Rate 3.73%          
Face value $ 50,000,000          
Senior notes | Senior Notes 4.30%, 2022 Maturity            
Debt due within one year            
Debt due within one year, gross $ 0         250,000,000
Debt due after one year            
Interest Rate 4.30%       4.30%  
Senior notes | Senior Notes, 2.90%, 2022 Maturity            
Debt due within one year            
Debt due within one year, gross $ 0         650,000,000
Debt due after one year            
Interest Rate 2.90%     2.90%    
Senior notes | Senior Notes, 3.25%, 2023 Maturity            
Debt due after one year            
Debt due after one year, gross $ 0         300,000,000
Interest Rate 3.25%   3.25%      
Senior notes | Senior Notes 3.11%, 2025 Maturity            
Debt due after one year            
Debt due after one year, gross $ 50,965,000         51,301,000
Interest Rate 3.11%          
Senior notes | Senior Notes 3.11%, 2025 Maturity | G & K Services            
Debt due after one year            
Interest Rate 3.88%          
Face value $ 50,000,000          
Senior notes | Senior Notes, 3.45%, 2025 Maturity            
Debt due after one year            
Debt due after one year, gross $ 400,000,000         0
Interest Rate 3.45% 3.45%        
Senior notes | Senior Notes, 3.70%, 2027 Maturity            
Debt due after one year            
Debt due after one year, gross $ 1,000,000,000         1,000,000,000
Interest Rate 3.70%          
Senior notes | Senior Notes, 4.00%, 2032 Maturity            
Debt due after one year            
Debt due after one year, gross $ 800,000,000         0
Interest Rate 4.00% 4.00%        
Senior notes | Senior Notes, 6.15%, 2037 Maturity            
Debt due after one year            
Debt due after one year, gross $ 250,000,000         250,000,000
Interest Rate 6.15%          
Commercial paper            
Debt due within one year            
Debt due within one year $ 261,200,000         0
Commercial paper | Senior Notes 1.20%, 2023 Maturity            
Debt due within one year            
Debt due within one year $ 261,200,000         $ 0
Debt due after one year            
Variable borrowing rate 1.20%