v3.26.1
Investment Securities Available-for-Sale (Tables)
12 Months Ended
May 30, 2026
Investment Securities Available-for-Sale [Abstract]  
Schedule of Investment Securities Available-for-Sale
May
30, 2026
Amortized
Cost
Unrealized
Gains
Unrealized
Losses
Estimated
Fair
Value
Municipal bonds
$
12,362
$
4
$
$
12,366
Commercial
paper
42,562
16
42,546
Corporate
bonds
569,137
742
568,395
Certificates
of deposits
3,226
6
3,220
US government
and
agency
obligations
153,172
187
152,985
Treasury
bills
37,334
6
37,328
Total
current investment
securities
$
817,793
$
4
$
957
$
816,840
May
31, 2025
Amortized
Cost
Unrealized
Gains
Unrealized
Losses
Estimated
Fair
Value
Municipal bonds
$
21,695
$
3
$
$
21,698
Commercial
paper
90,880
50
90,830
Corporate
bonds
431,378
130
431,508
Certificates
of deposits
5,200
6
5,194
US government
and
agency
obligations
240,655
260
240,395
Treasury
bills
103,119
36
103,083
Total
current investment
securities
$
892,927
$
133
$
352
$
892,708
Schedule of Contractual Maturities of Investment Securities
Estimated
Fair Value
Within one
year
$
474,328
1-5 years
342,512
Total
$
816,840