v3.26.1
FINANCIAL INSTRUMENTS, RISK MANAGEMENT ACTIVITIES, AND FAIR VALUES - Reconciliation of Net Fair Values of Liabilities Subject to Offsetting Arrangements (Details) - USD ($)
May 31, 2026
May 25, 2025
Offsetting Liabilities [Line Items]    
Gross Amount $ (36,800,000) $ (41,700,000)
Gross Amount Offset on Balance Sheet 0 0
Net Amount (36,800,000) (41,700,000)
Gross Amount Not Offset on Balance Sheet 24,000,000.0 8,000,000.0
Net Amount (12,800,000) (33,700,000)
Collateral received 0 0
Collateral pledged 16,400,000 0
Commodity Contracts    
Offsetting Liabilities [Line Items]    
Gross Amount (1,100,000) (7,600,000)
Gross Amount Offset on Balance Sheet 0 0
Net Amount (1,100,000) (7,600,000)
Gross Amount Not Offset on Balance Sheet 1,100,000 1,000,000.0
Net Amount 0 (6,600,000)
Interest Rate Contracts    
Offsetting Liabilities [Line Items]    
Gross Amount (21,200,000) (18,300,000)
Gross Amount Offset on Balance Sheet 0 0
Net Amount (21,200,000) (18,300,000)
Gross Amount Not Offset on Balance Sheet 16,400,000 2,200,000
Net Amount (4,800,000) (16,100,000)
Foreign Exchange Contracts    
Offsetting Liabilities [Line Items]    
Gross Amount (500,000) (14,800,000)
Gross Amount Offset on Balance Sheet 0 0
Net Amount (500,000) (14,800,000)
Gross Amount Not Offset on Balance Sheet 500,000 3,800,000
Net Amount 0 (11,000,000.0)
Equity Contracts    
Offsetting Liabilities [Line Items]    
Gross Amount (14,000,000.0) (1,000,000.0)
Gross Amount Offset on Balance Sheet 0 0
Net Amount (14,000,000.0) (1,000,000.0)
Gross Amount Not Offset on Balance Sheet 6,000,000.0 1,000,000.0
Net Amount $ (8,000,000.0) $ 0