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Segment Information
6 Months Ended
Nov. 30, 2025
Segment Reporting [Abstract]  
Segment Information Segment Information
Cintas’ reportable operating segments are Uniform Rental and Facility Services and First Aid and Safety Services. The Uniform Rental and Facility Services reportable operating segment consists of the rental and servicing of uniforms and other garments including flame resistant clothing, mats, mops and shop towels and other ancillary items. In addition to these rental items, restroom cleaning services and supplies, and the sale of items from our catalogs to our customers on route are included within this reportable operating segment. The First Aid and Safety Services reportable operating segment consists of first aid and safety products and services. The remainder of Cintas’ operating segments, which consists of the Fire Protection Services operating segment and the Uniform Direct Sales operating segment, is included in All Other.

Our chief operating decision maker (CODM) is the chief executive officer. The CODM is responsible for setting the Company's strategic direction, managing overall operations, and is the main point of communications between the Board and key operational personnel within the organization. The CODM evaluates each operating segment's performance primarily based on revenue and operating income, using this information to guide strategic decisions and allocate resources across the Company. The accounting policies of the operating segments are the same as those described in Note 1 entitled Basis of Presentation.
Information related to the operations of Cintas’ reportable operating segments and All Other is set forth below: 
(In thousands)Uniform Rental
and Facility Services
First Aid
and Safety Services
All
Other
Corporate (1)
Total
For the three months ended November 30, 2025   
Revenue$2,155,400 $342,240 $302,352 $— $2,799,992 
Cost of sales1,081,218 144,638 161,651 — 1,387,507 
Gross margin1,074,182 197,602 140,701 — 1,412,485 
Selling and administrative expenses548,451 110,598 97,722 — 756,771 
Operating income$525,731 $87,004 $42,979 $— $655,714 
For the three months ended November 30, 2024   
Revenue$1,990,410 $299,367 $272,006 $— $2,561,783 
Cost of sales1,014,052 127,882 143,146 — 1,285,080 
Gross margin976,358 171,485 128,860 — 1,276,703 
Selling and administrative expenses503,999 96,262 85,052 — 685,313 
Operating income$472,359 $75,223 $43,808 $— $591,390 
As of and for the six months ended November 30, 2025   
Revenue$4,246,466 $676,897 $594,751 $— $5,518,114 
Cost of sales2,133,771 289,127 316,170 — 2,739,068 
Gross margin2,112,695 387,770 278,581 — 2,779,046 
Selling and administrative expenses1,087,027 220,439 198,007 — 1,505,473 
Operating income$1,025,668 $167,331 $80,574 $— $1,273,573 
Depreciation and amortization$202,161 $38,373 $12,904 $— $253,438 
Capital expenditures$143,283 $33,710 $31,216 $— $208,209 
Total assets$8,190,558 $855,543 $885,938 $200,842 $10,132,881 
As of and for the six months ended November 30, 2024
Revenue$3,924,249 $591,934 $547,187 $— $5,063,370 
Cost of sales1,995,215 251,646 287,675 — 2,534,536 
Gross margin1,929,034 340,288 259,512 — 2,528,834 
Selling and administrative expenses1,010,237 193,777 172,399 — 1,376,413 
Operating income$918,797 $146,511 $87,113 $— $1,152,421 
Depreciation and amortization$187,244 $44,134 $10,824 $— $242,202 
Capital expenditures$141,243 $25,258 $27,836 $— $194,337 
Total assets$7,811,418 $777,847 $654,869 $122,395 $9,366,529 
(1) Corporate assets include cash and cash equivalents and marketable securities, if applicable, in all periods.