FINANCIAL INSTRUMENTS, RISK MANAGEMENT ACTIVITIES, AND FAIR VALUES - Schedule of After-tax Amounts of Cash Flow Hedges in AOCI (Details) $ in Millions |
May 31, 2026
USD ($)
|
|---|---|
| Derivative [Line Items] | |
| After-tax loss in AOCI related to hedge derivatives | $ (4.8) |
| Interest Rate Contracts | |
| Derivative [Line Items] | |
| After-tax loss in AOCI related to hedge derivatives | (8.2) |
| Foreign Exchange Contracts | |
| Derivative [Line Items] | |
| After-tax loss in AOCI related to hedge derivatives | $ 3.4 |