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Stock-Based Incentive Compensation Plans - Fair Value Assumptions (Details) - 2016 Equity Incentive Plan (EIP) [Member] - $ / shares
12 Months Ended
Nov. 26, 2017
Nov. 27, 2016
Nov. 29, 2015
Black-Scholes Model [Member] | Service Stock Appreciation Rights (SARs) [Member]      
Fair Value Assumptions [Abstract]      
Weighted-average grant date fair value (in dollars per unit) $ 16.13 $ 15.74 $ 18.24
Expected life (in years) 4 years 10 months 24 days 4 years 9 months 18 days 4 years 8 months 12 days
Expected volatility (percent) 32.50% 36.40% 31.80%
Risk-free interest rate (percent) 1.90% 1.10% 1.20%
Expected dividend (percent) 2.70% 2.50% 1.60%
Black-Scholes Model [Member] | Performance-Based Stock Appreciation Rights SARs [Member]      
Fair Value Assumptions [Abstract]      
Weighted-average grant date fair value (in dollars per unit)   $ 15.94 $ 18.73
Expected life (in years)   5 years 5 years
Expected volatility (percent)   36.30% 31.80%
Risk-free interest rate (percent)   1.10% 1.30%
Expected dividend (percent)   2.50% 1.60%
Monte Carlo Model [Member] | Performance-Based Stock Appreciation Rights SARs [Member]      
Fair Value Assumptions [Abstract]      
Weighted-average grant date fair value (in dollars per unit)   $ 20.56 $ 21.41
Expected life (in years)   4 years 9 months 18 days 4 years 9 months 18 days
Expected volatility (percent)   36.50% 30.10%
Risk-free interest rate (percent)   1.50% 1.60%
Expected dividend (percent)   2.60% 1.80%
Monte Carlo Model [Member] | Performance Restricted Stock Units [Member]      
Fair Value Assumptions [Abstract]      
Weighted-average grant date fair value (in dollars per unit) $ 82.33    
Expected life (in years) 3 years    
Expected volatility (percent) 33.50%    
Risk-free interest rate (percent) 1.40%    
Expected dividend (percent) 2.70%    
Monte Carlo Model [Member] | Service Restricted Stock Units [Member]      
Fair Value Assumptions [Abstract]      
Weighted-average grant date fair value (in dollars per unit) $ 82.33    
Expected life (in years) 3 years    
Expected volatility (percent) 33.50%    
Risk-free interest rate (percent) 1.40%    
Expected dividend (percent) 2.70%