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ADDITIONAL FINANCIAL INFORMATION (Tables)
12 Months Ended
May 28, 2023
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Receivables From Various Parties
Balance Sheets
(in millions)May 28, 2023May 29, 2022
Receivables, net
Gift card sales
$40.9 $39.5 
Miscellaneous
39.6 32.8 
Allowance for doubtful accounts
(0.3)(0.3)
Total
$80.2 $72.0 
Other Current Liabilities
Non-qualified deferred compensation plan
$252.4 $249.5 
Sales and other taxes
96.8 80.4 
Insurance-related
42.1 42.5 
Employee benefits
42.5 36.5 
Accrued interest
16.0 12.2 
Lease liabilities - current
196.0 202.5 
Miscellaneous
106.7 80.9 
Total$752.5 $704.5 
Components Of Other Current Liabilities
Balance Sheets
(in millions)May 28, 2023May 29, 2022
Receivables, net
Gift card sales
$40.9 $39.5 
Miscellaneous
39.6 32.8 
Allowance for doubtful accounts
(0.3)(0.3)
Total
$80.2 $72.0 
Other Current Liabilities
Non-qualified deferred compensation plan
$252.4 $249.5 
Sales and other taxes
96.8 80.4 
Insurance-related
42.1 42.5 
Employee benefits
42.5 36.5 
Accrued interest
16.0 12.2 
Lease liabilities - current
196.0 202.5 
Miscellaneous
106.7 80.9 
Total$752.5 $704.5 
Components Of Interest
Statements of Earnings
Fiscal Year Ended
(in millions)May 28, 2023May 29, 2022May 30, 2021
Interest, net
Interest expense$50.2 $40.9 $47.5 
Imputed interest on finance leases44.3 32.3 20.9 
Capitalized interest
(5.4)(2.6)(3.2)
Interest income
(7.8)(1.9)(1.7)
Total$81.3 $68.7 $63.5 
Schedule of Cash Flow, Supplemental Disclosures Statements of Cash Flows
Fiscal Year Ended
(in millions)May 28, 2023May 29, 2022May 30, 2021
Cash paid during the fiscal year for:
Interest, net of amounts capitalized$82.4 $65.0 $62.5 
Income taxes, net of refunds
$47.4 $102.6 $62.5 
Non-cash investing and financing activities:
Increase in land, buildings and equipment through accrued purchases
$66.7 $48.2 $29.1