Debt (Tables) |
3 Months Ended |
---|---|
Aug. 24, 2025 | |
Debt [Abstract] | |
Schedule Of Components Of Notes Payable | Aug. 24, 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 22.1 6.0 7.6 5.8 Total $ 22.1 6.0 % $ 677.0 4.5 % |
Schedule Of Fee-Paid Committed and Uncommitted Credit Lines | In Millions Borrowing Capacity Borrowed Amount Committed credit facility expiring October 2029 $ 2,700.0 $ - Uncommitted credit facilities and lines of credit 774.8 22.1 Total $ 3,474.8 $ 22.1 |