v3.26.1
SUPPLEMENTAL INFORMATION (Tables)
12 Months Ended
May 31, 2026
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Components of Receivables The components of certain Consolidated Balance Sheets accounts are as follows:
In Millions
May 31, 2026
May 25, 2025
Receivables:
Customers
$1,679.9
$1,829.1
Less allowance for doubtful accounts
(33.1)
(33.2)
Total
$1,646.8
$1,795.9
Schedule of Components of Inventories
In Millions
May 31, 2026
May 25, 2025
Inventories:
Finished goods
$1,914.1
$1,883.9
Raw materials and packaging
488.2
460.0
Grain
101.9
112.5
Excess of FIFO over LIFO cost (a)
(586.3)
(545.6)
Total
$1,917.9
$1,910.8
(a)Inventories of $1,278.3 million as of May 31, 2026, and $1,305.6 million as of May 25, 2025, were valued at LIFO. During fiscal 2026, LIFO
inventory layers were reduced. Results of operations were not materially affected by these liquidations of LIFO inventory. The difference
between replacement cost and the stated LIFO inventory value is not materially different from the reserve for the LIFO valuation method.
Schedule of Components of Prepaid Expenses and Other Current Assets
In Millions
May 31, 2026
May 25, 2025
Prepaid expenses and other current assets:
Prepaid expenses
$284.9
$269.0
Other receivables
243.2
141.2
Derivative receivables
53.4
11.6
Miscellaneous
18.3
42.9
Total
$599.8
$464.7
Schedule of Components of Land, Buildings and Equipment
In Millions
May 31, 2026
May 25, 2025
Land, buildings, and equipment:
Equipment
$6,971.3
$6,722.2
Buildings
2,528.1
2,535.8
Construction in progress
487.6
598.1
Capitalized software
470.2
531.6
Land
46.9
50.4
Equipment under finance lease
7.2
7.3
Buildings under finance lease
0.3
0.3
Total land, buildings, and equipment
10,511.6
10,445.7
Less accumulated depreciation
(7,068.2)
(6,813.1)
Total
$3,443.4
$3,632.6
Schedule of Components of Other Assets
In Millions
May 31, 2026
May 25, 2025
Other assets:
Right of use operating lease assets
$384.8
$399.1
Investments in and advances to joint ventures
254.7
431.9
Pension assets
185.0
144.7
Deferred income taxes
186.1
Miscellaneous
291.2
297.2
Total
$1,115.7
$1,459.0
Schedule of Components of Other Current Liabilities
In Millions
May 31, 2026
May 25, 2025
Other current liabilities:
Accrued trade and consumer promotions
$547.0
$527.2
Accrued payroll
284.3
311.7
Accrued interest, including interest rate swaps
128.6
148.9
Current portion of operating lease liabilities
102.0
115.3
Restructuring, transformation, and other exit costs reserve
49.9
77.1
Accrued taxes
49.8
102.1
Dividends payable
23.0
22.9
Derivative payables
15.1
31.5
Miscellaneous
273.1
287.3
Total
$1,472.8
$1,624.0
Schedule of Components of Other Noncurrent Liabilities
In Millions
May 31, 2026
May 25, 2025
Other non-current liabilities:
Accrued compensation and benefits, including obligations for underfunded other
  postretirement benefit and postemployment benefit plans
$641.1
$642.5
Non-current portion of operating lease liabilities
300.4
302.8
Accrued taxes
157.9
215.9
Miscellaneous
80.8
67.4
Total
$1,180.2
$1,228.6
Schedule of Consolidated Statements of (Loss) Earnings Amounts Certain Consolidated Statements of (Loss) Earnings amounts are as follows:
Fiscal Year
In Millions
2026
2025
2024
Depreciation and amortization
$555.2
$539.0
$552.7
Research and development expense
256.0
256.6
257.8
Advertising and media expense (including production and communication costs)
873.6
847.5
824.6
Schedule of Components of Interest, Net The components of interest, net are as follows:
Fiscal Year
In Millions
2026
2025
2024
Interest expense
$581.1
$559.6
$509.4
Capitalized interest
(11.5)
(10.8)
(11.4)
Interest income
(31.0)
(24.6)
(18.8)
Interest, net
$538.6
$524.2
$479.2