0001193125-12-308387.txt : 20120720 0001193125-12-308387.hdr.sgml : 20120720 20120720110221 ACCESSION NUMBER: 0001193125-12-308387 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20120527 FILED AS OF DATE: 20120720 DATE AS OF CHANGE: 20120720 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CONAGRA FOODS INC /DE/ CENTRAL INDEX KEY: 0000023217 STANDARD INDUSTRIAL CLASSIFICATION: FOOD & KINDRED PRODUCTS [2000] IRS NUMBER: 470248710 STATE OF INCORPORATION: DE FISCAL YEAR END: 0508 FILING VALUES: FORM TYPE: 10-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-07275 FILM NUMBER: 12971274 BUSINESS ADDRESS: STREET 1: ONE CONAGRA DR CITY: OMAHA STATE: NE ZIP: 68102 BUSINESS PHONE: 4022404000 MAIL ADDRESS: STREET 1: ONE CONAGRA DRIVE CITY: OMAHA STATE: NE ZIP: 68102 FORMER COMPANY: FORMER CONFORMED NAME: CONAGRA INC /DE/ DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: NEBRASKA CONSOLIDATED MILLS CO DATE OF NAME CHANGE: 19721201 10-K 1 d357714d10k.htm 10-K 10-K
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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM 10-K

 

 

(Mark One)

þ ANNUAL REPORT PURSUANT TO SECTION 13 OR 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended May 27, 2012

or

¨ TRANSITION REPORT PURSUANT TO SECTION 13 OR 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from                   to

Commission File No. 1-7275

 

CONAGRA FOODS, INC.

(Exact name of registrant as specified in its charter)

 

 

Delaware   47-0248710

(State or other jurisdiction of

incorporation or organization)

 

(I.R.S. Employer

Identification No.)

One ConAgra Drive

Omaha, Nebraska

  68102-5001
(Address of principal executive offices)   (Zip Code)

Registrant’s telephone number, including area code (402) 240-4000

 

Securities registered pursuant to section 12(b) of the Act:

 

Title of each class

 

Name of each exchange on which registered

Common Stock, $5.00 par value   New York Stock Exchange

Securities registered pursuant to section 12(g) of the Act: None

 

 

Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act.    Yes  þ    No  ¨

Indicate by check mark if the registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Act.    Yes  ¨    No  þ

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.    Yes  þ    No  ¨

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Website, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).    Yes  þ    No  ¨

Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K (229.405 of this chapter) is not contained herein, and will not be contained, to the best of registrant’s knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K.    þ

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check one):

Large accelerated filer  þ Accelerated filer  ¨

Non-accelerated filer    ¨  (Do not check if a smaller reporting company) Smaller reporting company   ¨

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Act).    Yes  ¨     No  þ

The aggregate market value of the voting common stock of ConAgra Foods, Inc. held by non-affiliates on November 25, 2011 (the last business day of the Registrant’s most recently completed second fiscal quarter) was approximately $9,865,276,377 based upon the closing sale price on the New York Stock Exchange on such date.

At June 24, 2012, 407,683,921 common shares were outstanding.

Documents incorporated by reference are listed on page 1.

Documents Incorporated by Reference

Portions of the Registrant’s definitive Proxy Statement for the Registrant’s 2012 Annual Meeting of Stockholders (the “2012 Proxy Statement”) are incorporated into Part III.

 

 

 


Table of Contents

TABLE OF CONTENTS

 

            Page      

PART I

    3   

Item 1

  Business     3   
  Executive Officers of the Registrant     6   

Item 1A

  Risk Factors     9   

Item 1B

  Unresolved Staff Comments     13   

Item 2

  Properties     13   

Item 3

  Legal Proceedings     13   

Item 4

  Mine Safety Disclosures     15   

PART II

    15   

Item 5

 

Market for Registrant’s Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities

    15   

Item 6

  Selected Financial Data     16   

Item 7

 

Management’s Discussion and Analysis of Financial Condition and Results of Operations

    17   

Item 7A

  Quantitative and Qualitative Disclosures About Market Risk     36   

Item 8

  Financial Statements and Supplementary Data     38   
 

Consolidated Statements of Earnings for the Fiscal Years Ended May 2012, 2011, and 2010

    38   
 

Consolidated Statements of Comprehensive Income for the Fiscal Years Ended May 2012, 2011, and 2010

    39   
  Consolidated Balance Sheets as of May 27, 2012 and May 29, 2011     40   
 

Consolidated Statements of Common Stockholders’ Equity for the Fiscal Years  Ended May 2012, 2011, and 2010

    41   
 

Consolidated Statements of Cash Flows for the Fiscal Years Ended May 2012, 2011, and 2010

    42   
  Notes to Consolidated Financial Statements     43   

Item 9

 

Changes in and Disagreements with Accountants on Accounting and Financial Disclosure

    94   

Item 9A

  Controls and Procedures     94   

Item 9B

  Other Information     96   

PART III

    96   

Item 10

  Directors, Executive Officers and Corporate Governance     96   

Item 11

  Executive Compensation     96   

Item 12

 

Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters

    96   

Item 13

  Certain Relationships and Related Transactions, and Director Independence     97   

Item 14

  Principal Accountant Fees and Services     97   

PART IV

    97   

Item 15

  Exhibits and Financial Statement Schedules     97   

Signatures

    99   

Schedule II

    101   

Exhibit Index

    103   

 

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PART I

 

ITEM 1.      BUSINESS

a)  General Development of Business

ConAgra Foods, Inc. (“ConAgra Foods”, “Company”, “we”, “us”, or “our”) is one of North America’s leading food companies, with consumer brands in 97% of America’s households sold in grocery, convenience, mass merchandise, and club stores. ConAgra Foods also has a strong business-to-business presence, supplying frozen potato and sweet potato products, as well as other vegetable, spice, and grain products to a variety of well-known restaurants, foodservice operators, and commercial customers.

The Company began as a flour-milling company and entered other commodity-based businesses. Over time, through various acquisitions and divestitures, we significantly changed our portfolio of businesses, focusing on adding branded, value-added opportunities, while strategically divesting commodity-based businesses to become one of North America’s leading food companies. Executing this strategy involved the acquisition over time of a number of brands such as Banquet®, Chef Boyardee®, PAM®, Marie Callender’s®, and Alexia®. More notable divestitures have included a dehydrated garlic, onion, capsicum, and fresh vegetable operation, a trading and merchandising business, packaged meat and cheese operations, a poultry business, beef and pork businesses, and various other businesses. For more information about our more recent acquisitions and divestitures, see “Acquisitions” and “Divestitures” below. Our development over time has also been aided by innovation and organic growth.

We are focused on growing our core operations, expanding into adjacent categories, and increasing our presence in private label and international operations. Our core operations include the strategic product groups of convenient meals, potatoes, snacks, meal enhancers, and specialty items. We are also focused on sustainable sales and profit growth with strong and improving returns on invested capital. As part of continually strengthening our operating foundation, our major profit-enhancing initiatives have centered on and continue to include:

 

   

Enhancing our portfolio by developing through innovation;

 

   

Acquiring products that resonate with consumers, establish or further develop our desired operating platforms, or which expand our presence in desired geographies or market segments;

 

   

Implementing high-impact, insights-based marketing programs;

 

   

Partnering strategically with customers to improve linkage, strengthen relationships, and capitalize on growth opportunities;

 

   

Improving trade spending effectiveness and pricing analytics;

 

   

Achieving cost savings throughout the supply chain with continuous efficiency improvement programs; and

 

   

Implementing efficiency initiatives throughout the selling, general, and administrative functions.

The Company’s growth, efficiency, and portfolio improvement initiatives continue to be implemented with high standards of customer service, product safety, and product quality.

We were initially incorporated as a Nebraska corporation in 1919 and were reincorporated as a Delaware corporation in December 1975.

b)  Financial Information about Reporting Segments

We report our operations in two reporting segments: Consumer Foods and Commercial Foods. The contributions of each reporting segment to net sales, operating profit, and identifiable assets are set forth in Note 22 “Business Segments and Related Information” to the consolidated financial statements.

 

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c)  Narrative Description of Business

We compete throughout the food industry and focus on adding value for customers who operate in the retail food, foodservice, and ingredients channels.

Our operations, including our reporting segments, are described below. Our locations, including distribution facilities, within each reporting segment, are described in Item 2, Properties.

Consumer Foods

The Consumer Foods reporting segment includes branded, private label, and customized food products, which are sold in various retail and foodservice channels, principally in North America. The products include a variety of categories (meals, entrées, condiments, sides, snacks, and desserts) across frozen, refrigerated, and shelf-stable temperature classes.

Major brands include: Alexia®, ACT II®, Banquet®, Blue Bonnet®, Chef Boyardee®, DAVID®, Egg Beaters®, Healthy Choice®, Hebrew National®, Hunt’s®, Marie Callender’s®, Odom’s Tennessee Pride ®, Orville Redenbacher’s®, PAM®, Peter Pan®, Reddi-wip®, Slim Jim®, Snack Pack®, Swiss Miss®, Van Camp’s®, and Wesson®.

Commercial Foods

The Commercial Foods reporting segment includes commercially branded foods and ingredients, which are sold principally to foodservice, food manufacturing, and industrial customers. The segment’s primary products include: specialty potato products, milled grain ingredients, a variety of vegetable products, seasonings, blends, and flavors which are sold under brands such as ConAgra Mills®, Lamb Weston®, and Spicetec Flavors & SeasoningsTM.

Unconsolidated Equity Investments

We have a number of unconsolidated equity investments. Significant affiliates produce and market potato products for retail and foodservice customers.

Acquisitions

In May 2012, we acquired Kangaroo Brands’ pita chip operations. The business, which manufactures private label and Kangaroo® brand pita chip snacks, is included in the Consumer Foods segment.

In May 2012, we acquired Odom’s Tennessee Pride. The business manufactures Odom’s Tennessee Pride® frozen breakfast products and other sausage products. This business is included in the Consumer Foods segment.

In March 2012, we acquired Del Monte Canada. The acquisition includes all Del Monte® branded packaged fruit, fruit snacks, and vegetable products in Canada, as well as Aylmer® brand tomato products. This business is included in the Consumer Foods segment.

In November 2011, we acquired National Pretzel Company. National Pretzel Company is a private label supplier and branded producer of pretzels and related products. This business is included in the Consumer Foods segment.

In November 2011, we acquired an additional equity interest in Agro Tech Foods Limited (“ATFL”). ATFL is a publicly traded company in India that markets food and food ingredients to consumers and institutional customers in India. As a result of this additional investment, we now have a majority interest (approximately 52%) in ATFL. Consolidated financial results of ATFL are included in the Consumer Foods segment.

In June 2011, we purchased the Marie Callender’s® brand trademark from Marie Callender Pie Shops, Inc.

During fiscal 2011, we acquired the assets of American Pie, LLC, a manufacturer of frozen fruit pies, thaw and serve pies, fruit cobblers, and pie crusts under the licensed Marie Callender’s® and Claim Jumper® trade names, as well as frozen dinners, pot pies, and appetizers under the Claim Jumper® trade name. This business is included in the Consumer Foods segment.

 

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Divestitures

In fiscal 2011, we completed the sale of substantially all of the assets of our frozen handhelds operations. We reflected the results of these operations as discontinued operations for all periods presented.

In fiscal 2011, we completed the sale of substantially all of the assets of Gilroy Foods & FlavorsTM dehydrated garlic, onion, capsicum and Controlled MoistureTM, GardenFrost®, Redi-MadeTM, and fresh vegetable operations. We reflected the results of these operations as discontinued operations for all periods presented.

General

The following comments pertain to both of our reporting segments.

ConAgra Foods is a food company that operates in many sectors of the food industry, with a significant focus on the sale of branded and value-added consumer products, as well as foodservice products and ingredients. We also manufacture and sell private label products. We use many different raw materials, the bulk of which are commodities. The prices paid for raw materials used in our products generally reflect factors such as weather, commodity market fluctuations, currency fluctuations, tariffs, and the effects of governmental agricultural programs. Although the prices of raw materials can be expected to fluctuate as a result of these factors, we believe such raw materials to be in adequate supply and generally available from numerous sources. We have faced increased costs for many of our significant raw materials, packaging, and energy inputs. We seek to mitigate the higher input costs through productivity and pricing initiatives, and through the use of derivative instruments used to economically hedge a portion of forecasted future consumption.

We experience intense competition for sales of our principal products in our major markets. Our products compete with widely advertised, well-known, branded products, as well as private label and customized products. Some of our competitors are larger and have greater resources than we have. We compete primarily on the basis of quality, value, customer service, brand recognition, and brand loyalty.

Demand for certain of our products may be influenced by holidays, changes in seasons, or other annual events.

We manufacture primarily for stock and fill customer orders from finished goods inventories. While at any given time there may be some backlog of orders, such backlog is not material in respect to annual net sales, and the changes of backlog orders from time to time are not significant.

Our trademarks are of material importance to our business and are protected by registration or other means in the United States and most other markets where the related products are sold. Some of our products are sold under brands that have been licensed from others. We also actively develop and maintain a portfolio of patents, although no single patent is considered material to the business as a whole. We have proprietary trade secrets, technology, know-how, processes, and other intellectual property rights that are not registered.

Many of our facilities and products are subject to various laws and regulations administered by the United States Department of Agriculture, the Federal Food and Drug Administration, the Occupational Safety and Health Administration, and other federal, state, local, and foreign governmental agencies relating to the quality and safety of products, sanitation, safety and health matters, and environmental control. We believe that we comply with such laws and regulations in all material respects, and that continued compliance with such regulations will not have a material effect upon capital expenditures, earnings, or our competitive position.

Our largest customer, Wal-Mart Stores, Inc. and its affiliates, accounted for approximately 17%, 18%, and 18% of consolidated net sales for fiscal 2012, 2011, and 2010, respectively.

At May 27, 2012, ConAgra Foods and its subsidiaries had approximately 26,100 employees, primarily in the United States. Approximately 42% of our employees are parties to collective bargaining agreements. Of the employees subject to collective bargaining agreements, approximately 43% are parties to collective bargaining agreements that are scheduled to expire during fiscal 2013. We believe that our relationships with employees and their representative organizations are good.

Research and Development

We employ processes at our principal manufacturing locations that emphasize applied research and technical services directed at product improvement and quality control. In addition, we conduct research

 

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activities related to the development of new products. Research and development expense was $86 million, $81 million, and $78 million in fiscal 2012, 2011, and 2010, respectively.

EXECUTIVE OFFICERS OF THE REGISTRANT AS OF JULY 20, 2012

 

Name

  

Title & Capacity

     Age        Year First
Appointed  an
Executive
Officer
 

Gary M. Rodkin

   President and Chief Executive Officer      60         2005   

John F. Gehring

   Executive Vice President, Chief Financial Officer      51         2004   

Colleen R. Batcheler

   Executive Vice President, General Counsel and Corporate Secretary      38         2008   

André J. Hawaux

   President, Consumer Foods      51         2006   

Brian L. Keck

   Executive Vice President and Chief Administrative Officer      59         2010   

Paul T. Maass

   President, Commercial Foods      46         2010   

Scott E. Messel

   Senior Vice President, Treasurer and Assistant Corporate Secretary      53         2001   

Andrew G. Ross

   Executive Vice President and Chief Strategy Officer      44         2011   

Robert G. Wise

   Vice President, Corporate Controller      44         2012   

Gary M. Rodkin joined ConAgra Foods as President and Chief Executive Officer in October 2005. Previously, he was Chairman and Chief Executive Officer of PepsiCo Beverages and Foods North America (consumer products and manufacturing) from February 2003 to June 2005. He also served as President and Chief Executive Officer of PepsiCo Beverages and Foods North America in 2002, and President and Chief Executive Officer of Pepsi-Cola North America from 1999 to 2002. Mr. Rodkin is a director of Avon Products, Inc., the Grocery Manufacturers of America, and Boys Town.

John F. Gehring has served ConAgra Foods as Executive Vice President, Chief Financial Officer since January 2009. Mr. Gehring joined ConAgra Foods as Vice President of Internal Audit in 2002, became Senior Vice President in 2003, and most recently served as Senior Vice President and Corporate Controller from July 2004 to January 2009. He served as the ConAgra Foods’ interim Chief Financial Officer from October 2006 to November 2006. Prior to joining ConAgra Foods, Mr. Gehring was a partner at Ernst & Young LLP (an accounting firm) from 1997 to 2001.

Colleen R. Batcheler joined ConAgra Foods in June 2006 as Vice President, Chief Securities Counsel and Assistant Corporate Secretary. In September 2006, she was appointed Corporate Secretary, in February 2008, she was named Senior Vice President, General Counsel and Corporate Secretary and in September 2009, she was named Executive Vice President, General Counsel and Corporate Secretary. From 2003 until joining ConAgra Foods, Ms. Batcheler was Vice President and Corporate Secretary of Albertson’s, Inc. (a retail food and drug chain).

André J. Hawaux has served ConAgra Foods as President, Consumer Foods since January 2009. Previously, he served ConAgra Foods as Executive Vice President, Chief Financial Officer from November 2006 to January 2009. Prior to joining ConAgra Foods, Mr. Hawaux served as Senior Vice President, Worldwide Strategy & Corporate Development, PepsiAmericas, Inc. (a manufacturer and distributor of a broad portfolio of beverage products) from May 2005. Previously, from 2000 until May 2005, Mr. Hawaux served as Vice President and Chief Financial Officer for Pepsi-Cola North America (a division of PepsiCo, Inc.). Mr. Hawaux currently serves as a member of the Board of Trustees for Southern New Hampshire University.

Brian L. Keck joined ConAgra Foods as Executive Vice President and Chief Administrative Officer in September 2010. In this role, he is responsible for Human Resources, Facilities and Real Estate, and Communication & External Relations. Prior to joining ConAgra Foods, Mr. Keck was president and chief

 

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operating officer of Macy’s Inc.’s Midwest Division (retail department stores) where he was responsible for sales, customer service, store operations, finance, distribution, human resources, IT, design and construction, and community affairs. Prior to that, Mr. Keck held multiple senior leadership responsibilities at the May Department Stores Company (acquired by Macy’s) in both operating divisions and corporate-wide roles. From 2000 to 2005, Brian led May’s HR function after having served as chairman of Meier & Frank Department Stores, a division of May.

Paul T. Maass was named President of the Commercial Foods business for ConAgra Foods in October 2010. Mr. Maass joined ConAgra Foods in 1988 as a commodity merchandiser in the trading business and quickly progressed in several roles at the company. In 2003, Mr. Maass was named President and General Manager of ConAgra Mills. He assumed responsibility for J.M. Swank in 2007 and for Spicetec Flavors & Seasonings in 2010.

Scott E. Messel has served ConAgra Foods as Senior Vice President, Treasurer and Assistant Corporate Secretary since July 2004. Mr. Messel joined ConAgra Foods in August 2001 as Vice President and Treasurer. Prior to joining ConAgra Foods, Mr. Messel served in various treasury leadership roles at Lennox International (a provider of climate control solutions), Flowserve Corporation (a manufacturer of flow management products and services) and Ralston Purina Company (a former manufacturer of cereals, packaged foods, pet food, and livestock feed).

Andrew G. Ross was named Executive Vice President and Chief Strategy Officer for ConAgra Foods in November 2011. Mr. Ross leads the company’s strategic planning process, with specific responsibility for developing strategies that align with the company’s growth ambitions. Prior to joining ConAgra Foods, he was a partner at McKinsey & Company, Inc. (consulting firm), where he led the firm’s global consumer, retail and marketing practices. Prior to that, he worked for William Grant & Sons, Ltd. in Glasgow, Scotland and McKinsey & Company in London.

Robert G. Wise has served ConAgra Foods as Vice President, Corporate Controller since January 2012. Mr. Wise joined ConAgra Foods in March 2003 and has held various positions of increasing responsibility with ConAgra Foods, including Director, Financial Reporting, and most recently served as Vice President, Assistant Corporate Controller since March 2006. Prior to joining ConAgra Foods, Mr. Wise served in various roles at KPMG LLP (an accounting firm).

OTHER SENIOR OFFICERS OF THE REGISTRANT AS OF JULY 20, 2012

 

Name

  

Title & Capacity

  

  Age  

Albert D. Bolles

   Executive Vice President, Research, Quality & Innovation    54

Douglas A. Knudsen

   President, ConAgra Foods Sales    57

Joan K. Chow

   Executive Vice President, Chief Marketing Officer    52

Allen J. Cooper

   Vice President, Internal Audit    48

Nicole B. Theophilus

   Senior Vice President, Human Resources    42

Albert D. Bolles joined ConAgra Foods in March 2006 as Executive Vice President, Research & Development, and Quality. He was named to his current position in June 2007. Prior to joining the Company, he was Senior Vice President, Worldwide Research and Development for PepsiCo Beverages and Foods from 2002 to 2006. From 1993 to 2002, he was Senior Vice President, Global Technology and Quality for Tropicana Products Incorporated.

Douglas A. Knudsen joined ConAgra Foods in 1977. He was named to his current position in May 2006. He previously served the Company as President, Retail Sales Development from 2003 to 2006, President, Retail Sales from 2001 to 2003, and President, Grocery Product Sales from 1995 to 2001.

Joan K. Chow joined ConAgra Foods in February 2007 as Executive Vice President, Chief Marketing Officer. Prior to joining ConAgra Foods, she served Sears Holding Corporation (retailing) as Senior Vice President and Chief Marketing Officer, Sears Retail from July 2005 until January 2007 and as Vice President, Marketing Services from April 2005 until July 2005. From 2002 until April 2005, Ms. Chow served Sears, Roebuck and Co. as Vice President, Home Services Marketing.

 

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Allen J. Cooper joined ConAgra Foods in March 2003 and has held various finance and internal audit leadership positions with the Company, including Director, Internal Audit from 2003 until 2005; Vice President, Supply Chain Finance from 2005 until 2007; Senior Director, Finance; and most recently as Senior Director, Internal Audit. He was named to his current position in February 2009. Prior to joining the Company, he was with Ernst & Young LLP (an accounting firm).

Nicole B. Theophilus joined ConAgra Foods in April 2006 as Vice President, Chief Employment Counsel. In 2008, in addition to her legal duties, she assumed the role of Vice President, Human Resources for Commercial Foods. In November 2009, she was named to her current position. Prior to joining ConAgra Foods, she was an attorney and partner with Blackwell Sanders Peper Martin LLP (a law firm) from 1999 until 2006.

d)  Foreign Operations

Foreign operations information is set forth in Note 22 “Business Segments and Related Information” to the consolidated financial statements.

e)  Available Information

We make available, free of charge through the “Our Company—Investors—Financial Reports & Filings” link on our Internet website at http://www.conagrafoods.com, our annual report on Form 10-K, quarterly reports on Form 10-Q, current reports on Form 8-K, and amendments to those reports filed or furnished pursuant to Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as soon as reasonably practicable after such material is electronically filed with or furnished to the Securities and Exchange Commission. We use our Internet website, through the “Our Company—Investors” link, as a channel for routine distribution of important information, including news releases, analyst presentations, and financial information.

We have also posted on our website our (1) Corporate Governance Principles, (2) Code of Conduct, (3) Code of Ethics for Senior Corporate Officers, and (4) Charters for the Audit/Finance Committee, Nominating, Governance and Public Affairs Committee, and Human Resources Committee. Shareholders may also obtain copies of these items at no charge by writing to: Corporate Secretary, ConAgra Foods, Inc., One ConAgra Drive, Omaha, NE, 68102-5001.

 

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ITEM 1A.      RISK FACTORS

The following risks and uncertainties could affect our operating results and should be considered in evaluating us. While we believe we have identified and discussed below the key risk factors affecting our business, there may be additional risks and uncertainties that are not presently known or that are not currently believed to be significant that may adversely affect our business, performance, or financial condition in the future.

Deterioration of general economic conditions could harm our business and results of operations.

Our business and results of operations may be adversely affected by changes in national or global economic conditions, including inflation, interest rates, availability of capital markets, consumer spending rates, energy availability and costs (including fuel surcharges), and the effects of governmental initiatives to manage economic conditions.

Volatility in financial markets and deterioration of national and global economic conditions could impact our business and operations in a variety of ways, including as follows:

 

   

consumers may shift purchases to lower-priced private label or other value offerings, or may forego certain purchases altogether during economic downturns, which may adversely affect the results of our Consumer Foods operations;

 

   

decreased demand in the restaurant business, particularly casual and fine dining, may adversely affect our Commercial Foods operations;

 

   

volatility in commodity and other input costs could substantially impact our result of operations;

 

   

volatility in the equity markets or interest rates could substantially impact our pension costs and required pension contributions; and

 

   

it may become more costly or difficult to obtain debt or equity financing to fund operations or investment opportunities, or to refinance our debt in the future, in each case on terms and within a time period acceptable to us.

Increases in commodity costs may have a negative impact on profits.

We use many different commodities such as wheat, corn, oats, soybeans, beef, pork, poultry, and energy. Commodities are subject to price volatility caused by commodity market fluctuations, supply and demand, currency fluctuations, and changes in governmental agricultural programs. Commodity price increases will result in increases in raw material costs and operating costs. We may not be able to increase our product prices and achieve cost savings that fully offset these increased costs; and increasing prices may result in reduced sales volume and profitability. We have experience in hedging against commodity price increases; however, these practices and experience reduce, but do not eliminate, the risk of negative profit impacts from commodity price increases.

Increased competition may result in reduced sales or profits.

The food industry is highly competitive, and increased competition can reduce our sales due to loss of market share or the need to reduce prices to respond to competitive and customer pressures. Competitive pressures also may restrict our ability to increase prices, including in response to commodity and other cost increases. In most product categories, we compete not only with other widely advertised branded products, but also with private label products that are generally sold at lower prices. A strong competitive response from one or more of our competitors to our marketplace efforts, or a consumer shift towards private label offerings, could result in us reducing pricing, increasing marketing or other expenditures, or losing market share. Our profits could decrease if a reduction in prices or increased costs are not counterbalanced with increased sales volume.

Changes in our relationships with significant customers or suppliers could adversely affect us.

During fiscal 2012, our largest customer Wal-Mart Stores, Inc. accounted for approximately 17% of our net revenues. There can be no assurance that Wal-Mart Stores, Inc. and other significant customers will continue to

 

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purchase our products in the same quantities or on the same terms as in the past, particularly as increasingly powerful retailers continue to demand lower pricing and develop their own brands. The loss of a significant customer or a material reduction in sales to a significant customer could materially and adversely affect our product sales, financial condition, and results of operations.

Disputes with significant suppliers, including pricing or performance, could adversely affect our ability to supply products to our customers and could materially and adversely affect our product sales, financial condition, and results of operations.

The sophistication and buying power of our customers could have a negative impact on profits.

Many of our customers, such as supermarkets, warehouse clubs, and food distributors, have consolidated in recent years and consolidation is expected to continue. These consolidations and the growth of supercenters have produced large, sophisticated customers with increased buying power and negotiating strength who are more capable of resisting price increases and operating with reduced inventories. These customers may also in the future use more of their shelf space, currently used for our products, for their private label products. We continue to implement initiatives to counteract these pressures. However, if the larger size of these customers results in additional negotiating strength and/or increased private label competition, our profitability could decline.

We must identify changing consumer preferences and develop and offer food products to meet their preferences.

Consumer preferences evolve over time and the success of our food products depends on our ability to identify the tastes and dietary habits of consumers and to offer products that appeal to their preferences, including concerns of consumers regarding health and wellness, obesity, product attributes, and ingredients. Introduction of new products and product extensions requires significant development and marketing investment. If our products fail to meet consumer preferences, or we fail to introduce new and improved products on a timely basis, then the return on that investment will be less than anticipated and our strategy to grow sales and profits with investments in marketing and innovation will be less successful. Similarly, demand for our products could be affected by consumer concerns regarding the health effects of ingredients such as sodium, trans fats, sugar, processed wheat, or other product ingredients or attributes.

If we do not achieve the appropriate cost structure in the highly competitive food industry, our profitability could decrease.

Our success depends in part on our ability to achieve the appropriate cost structure and operate efficiently in the highly competitive food industry, particularly in an environment of volatile input costs. We continue to implement profit-enhancing initiatives that impact our supply chain and general and administrative functions. These initiatives are focused on cost-saving opportunities in procurement, manufacturing, logistics, and customer service, as well as general and administrative overhead levels. If we do not continue to effectively manage costs and achieve additional efficiencies, our competitiveness and our profitability could decrease.

We may be subject to product liability claims and product recalls, which could negatively impact our profitability.

We sell food products for human consumption, which involves risks such as product contamination or spoilage, product tampering, and other adulteration of food products. We may be subject to liability if the consumption of any of our products causes injury, illness, or death. In addition, we will voluntarily recall products in the event of contamination or damage. We have issued recalls and have from time to time been and currently are involved in lawsuits relating to our food products. A significant product liability judgment or a widespread product recall may negatively impact our sales and profitability for a period of time depending on product availability, competitive reaction, and consumer attitudes. Even if a product liability claim is unsuccessful or is not fully pursued, the negative publicity surrounding any assertion that our products caused illness or injury could adversely affect our reputation with existing and potential customers and our corporate and brand image.

 

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Any damage to our reputation could have a material adverse effect on our business, financial condition, and results of operations.

Maintaining a good reputation globally is critical to selling our products. Product contamination or tampering, the failure to maintain high standards for product quality, safety, and integrity, including with respect to raw materials and ingredients obtained from suppliers, or allegations of product quality issues, mislabeling or contamination, even if untrue, may reduce demand for our products or cause production and delivery disruptions. Our reputation could also be adversely impacted by any of the following, or by adverse publicity (whether or not valid) relating thereto: the failure to maintain high ethical, social, and environmental standards for all of our operations and activities; the failure to achieve our goals with respect to sodium or saturated fat; our research and development efforts; our environmental impact, including use of agricultural materials, packaging, energy use, and waste management; or our responses to any of the foregoing. Failure to comply with local laws and regulations, to maintain an effective system of internal controls or to provide accurate and timely financial information could also hurt our reputation. Damage to our reputation or loss of consumer confidence in our products for any of these or other reasons could result in decreased demand for our products and could have a material adverse effect on our business, financial condition, and results of operations, as well as require additional resources to rebuild our reputation.

If we are unable to complete proposed acquisitions or divestitures or integrate acquired businesses, our financial results could be materially and adversely affected.

From time to time, we evaluate acquisition candidates that may strategically fit our business objectives. If we are unable to complete acquisitions or to successfully integrate and develop acquired businesses, our financial results could be materially and adversely affected. In addition, we may divest businesses that do not meet our strategic objectives, or do not meet our growth or profitability targets. We may not be able to complete desired or proposed divestitures on terms favorable to us. Gains or losses on the sales of, or lost operating income from, those businesses may affect our profitability. Moreover, we may incur asset impairment charges related to acquisitions or divestitures that reduce our profitability.

Our acquisition or divestiture activities may present financial, managerial, and operational risks. Those risks include diversion of management attention from existing businesses, difficulties integrating or separating personnel and financial and other systems, effective and immediate implementation of control environment processes across our employee population, adverse effects on existing business relationships with suppliers and customers, inaccurate estimates of fair value made in the accounting for acquisitions and amortization of acquired intangible assets which would reduce future reported earnings, potential loss of customers or key employees of acquired businesses, and indemnities and potential disputes with the buyers or sellers. Any of these factors could affect our product sales, financial condition and results of operations.

Our results could be adversely impacted as a result of increased pension, labor, and people-related expenses.

Inflationary pressures and any shortages in the labor market could increase labor costs, which could have a material adverse effect on our consolidated operating results or financial condition. Our labor costs include the cost of providing employee benefits in the U.S. and foreign jurisdictions, including pension, health and welfare, and severance benefits. Any declines in market returns could adversely impact the funding of pension plans. Additionally, the annual costs of benefits vary with increased costs of health care and the outcome of collectively-bargained wage and benefit agreements.

If we fail to comply with the many laws applicable to our business, we may face lawsuits or incur significant fines and penalties.

Our facilities and products are subject to many laws and regulations administered by the United States Department of Agriculture, the Federal Food and Drug Administration, the Occupational Safety and Health Administration, and other federal, state, local, and foreign governmental agencies relating to the processing, packaging, storage, distribution, advertising, labeling, quality, and safety of food products, the health and safety of our employees, and the protection of the environment. Our failure to comply with applicable laws and regulations could subject us to lawsuits, administrative penalties and injunctive relief, civil remedies, including

 

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fines, injunctions, and recalls of our products. Our operations are also subject to extensive and increasingly stringent regulations administered by the Environmental Protection Agency, which pertain to the discharge of materials into the environment and the handling and disposition of wastes. Failure to comply with these regulations can have serious consequences, including civil and administrative penalties and negative publicity. Changes in applicable laws or regulations or evolving interpretations thereof, including increased government regulations to limit carbon dioxide and other greenhouse gas emissions as a result of concern over climate change, may result in increased compliance costs, capital expenditures, and other financial obligations for us, which could affect our profitability or impede the production or distribution of our products, which could affect our net operating revenues.

Climate change, or legal, regulatory or market measures to address climate change, may negatively affect our business and operations.

There is growing concern that carbon dioxide and other greenhouse gases in the atmosphere may have an adverse impact on global temperatures, weather patterns, and the frequency and severity of extreme weather and natural disasters. In the event that such climate change has a negative effect on agricultural productivity, we may be subject to decreased availability or less favorable pricing for certain commodities that are necessary for our products, such as corn, wheat, and potatoes. We may also be subjected to decreased availability or less favorable pricing for water as a result of such change, which could impact our manufacturing and distribution operations. In addition, natural disasters and extreme weather conditions may disrupt the productivity of our facilities or the operation of our supply chain. The increasing concern over climate change also may result in more regional, federal, and/or global legal and regulatory requirements to reduce or mitigate the effects of greenhouse gases. In the event that such regulation is enacted and is more aggressive than the sustainability measures that we are currently undertaking to monitor our emissions and improve our energy efficiency, we may experience significant increases in our costs of operation and delivery. In particular, increasing regulation of fuel emissions could substantially increase the distribution and supply chain costs associated with our products. As a result, climate change could negatively affect our business and operations.

Our information technology resources must provide efficient connections between our business functions, or our results of operations will be negatively impacted.

Each year we engage in billions of dollars of transactions with our customers and vendors. Because the amount of dollars involved is so significant, our information technology resources must provide connections among our marketing, sales, manufacturing, logistics, customer service, and accounting functions. If we do not allocate and effectively manage the resources necessary to build and sustain the proper technology infrastructure and to maintain the related automated and manual control processes, we could be subject to billing and collection errors, business disruptions, or damage resulting from security breaches. We began implementing new financial and operational information technology systems in fiscal 2008 and placed systems into production during fiscal 2008, 2009, 2010, 2011, and 2012. If future implementation problems are encountered, our results of operations could be negatively impacted.

We are increasingly dependent on information technology, and potential disruption, cyber attacks, security problems, and expanding social media vehicles present new risks.

We are increasingly dependent on information technology systems to manage and support a variety of business processes and activities, and any significant breakdown, invasion, destruction, or interruption of these systems could negatively impact operations. In addition, there is a risk of business interruption and reputational damage from leakage of confidential information.

The inappropriate use of certain media vehicles could cause brand damage or information leakage. Negative posts or comments about the Company on any social networking web site could seriously damage its reputation. In addition, the disclosure of non-public company sensitive information through external media channels could lead to information loss. Identifying new points of entry as social media continues to expand presents new challenges. Any business interruptions or damage to our reputation could negatively impact our financial condition, results of operation, and the market price of our common stock.

 

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ITEM 1B.      UNRESOLVED STAFF COMMENTS

None.

 

ITEM 2.      PROPERTIES

Our headquarters are located in Omaha, Nebraska. In addition, certain shared service centers are located in Omaha, Nebraska, including a product development facility, enterprise business services center, and an information technology center. The general offices and location of principal operations are set forth in the following summary of our locations. We also lease many sales offices mainly in the United States.

We maintain a number of stand-alone distribution facilities. In addition, there is warehouse space available at substantially all of our manufacturing facilities.

Utilization of manufacturing capacity varies by manufacturing plant based upon the type of products assigned and the level of demand for those products. Management believes that our manufacturing and processing plants are well maintained and are generally adequate to support the current operations of the business.

We own most of the manufacturing facilities. However, a limited number of plants and parcels of land with the related manufacturing equipment are leased. Substantially all of our transportation equipment and forward-positioned distribution centers containing finished goods are leased or operated by third parties. Information about the properties supporting our two business segments follows.

CONSUMER FOODS REPORTING SEGMENT

General offices in Omaha, Nebraska, Naperville, Illinois, Miami, Florida, Lancaster, Pennsylvania, Madison, Tennessee, Toronto, Canada, Mexico City, Mexico, San Juan, Puerto Rico, Shanghai, China, Panama City, Panama, and Bogota, Colombia.

As of July 20, 2012, thirty-nine domestic manufacturing facilities in Arkansas, California, Georgia, Indiana, Iowa, Massachusetts, Michigan, Minnesota, Missouri, Nebraska, Ohio, Pennsylvania, Tennessee, and Wisconsin. Two international manufacturing facilities in Canada; one manufacturing facility in Mexico; and one manufacturing facility in Argentina. Interests in ownership of manufacturing facilities in Mexico and India.

COMMERCIAL FOODS REPORTING SEGMENT

Domestic general, marketing, and administrative offices in Omaha, Nebraska, Eagle, Idaho, and Tri-Cities, Washington. International general and merchandising offices in Beijing, China, Shanghai, China, Tokyo, Japan, and Singapore.

As of July 20, 2012, forty-one domestic production facilities in Alabama, California, Colorado, Florida, Georgia, Idaho, Illinois, Louisiana, Minnesota, Nebraska, New Jersey, Ohio, Oregon, Pennsylvania, Texas, and Washington. One international production facility in Puerto Rico and one manufacturing facility in Canada. Interests in ownership of manufacturing facilities in Colorado, Minnesota, Washington, United Kingdom, Puerto Rico, Austria, and the Netherlands.

 

ITEM 3.      LEGAL PROCEEDINGS

In fiscal 1991, we acquired Beatrice Company (“Beatrice”). As a result of the acquisition and the significant pre-acquisition contingencies of the Beatrice businesses and its former subsidiaries, our consolidated post-acquisition financial statements reflect liabilities associated with the estimated resolution of these contingencies. These include various litigation and environmental proceedings related to businesses divested by Beatrice prior to its acquisition by us. The litigation includes suits against a number of lead paint and pigment manufacturers, including ConAgra Grocery Products and the Company as alleged successors to W. P. Fuller Co., a lead paint and pigment manufacturer owned and operated by Beatrice until 1967. Although decisions favorable to us have been rendered in Rhode Island, New Jersey, Wisconsin, and Ohio, we remain a defendant in active suits in

 

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Illinois and California. The Illinois suit seeks class-wide relief in the form of medical monitoring for elevated levels of lead in blood. In California, a number of cities and counties have joined in a consolidated action seeking abatement of the alleged public nuisance.

The environmental proceedings include litigation and administrative proceedings involving Beatrice’s status as a potentially responsible party at 36 Superfund, proposed Superfund, or state-equivalent sites. These sites involve locations previously owned or operated by predecessors of Beatrice that used or produced petroleum, pesticides, fertilizers, dyes, inks, solvents, PCBs, acids, lead, sulfur, tannery wastes, and/or other contaminants. Beatrice has paid or is in the process of paying its liability share at 32 of these sites. Reserves for these matters have been established based on our best estimate of the undiscounted remediation liabilities, which estimates include evaluation of investigatory studies, extent of required clean-up, the known volumetric contribution of Beatrice and other potentially responsible parties, and its experience in remediating sites. The reserves for Beatrice-related environmental matters totaled $70.0 million as of May 27, 2012, a majority of which relates to the Superfund and state-equivalent sites referenced above. We expect expenditures for Beatrice-related environmental matters to continue for up to 18 years.

We are a party to a number of lawsuits and claims arising out of the operation of our business. Among these, there are lawsuits, claims, and matters related to the February 2007 recall of our peanut butter products. Among the matters outstanding related to the peanut butter recall are litigation we initiated against an insurance carrier to recover our settlement expenditures and defense costs, and an ongoing investigation by the U.S. Attorney’s office in Georgia. During fiscal 2012, we recognized a charge of $17.5 million in connection with peanut butter matters. This amount is in addition to a charge of $24.8 million we recognized during the third quarter of fiscal 2009 in connection with the insurance coverage dispute. With respect to the coverage dispute matter, during the fourth quarter of fiscal 2012, we received a favorable opinion related to our defense costs, pursuant to which we have received $11.8 million which is recognized in income in fiscal 2012. During the fourth quarter of fiscal 2012, a jury verdict was rendered in our favor in the amount of approximately $25 million on the claim for disputed coverage, which is subject to appeal. This amount has not been recognized in income in fiscal 2012. With respect to the U.S. Attorney matter, in fiscal 2011, we received formal requests from the U.S. Attorney’s office in Georgia seeking a variety of records and information related to the operations of our peanut butter manufacturing facility in Sylvester, Georgia. These requests are related to the previously disclosed June 2007 execution of a search warrant at our facility following the February 2007 recall. We continue to engage in discussions with officials in regard to the investigation.

In June 2009, an accidental explosion occurred at our manufacturing facility in Garner, North Carolina. This facility was the primary production facility for our Slim Jim® branded meat snacks. On June 13, 2009, the U.S. Bureau of Alcohol, Tobacco, Firearms and Explosives announced its determination that the explosion was the result of an accidental natural gas release, and not a deliberate act. During the fourth quarter of fiscal 2011, we settled our property and business interruption claims related to the Garner accident with our insurance providers. During the fourth quarter of fiscal 2011, Jacobs Engineering Group Inc., our engineer and project manager at the site, filed a declaratory judgment action against us seeking indemnity for personal injury claims brought against it as a result of the accident. In the first quarter of fiscal 2012, we were granted our motion for summary judgment on the basis that the suit was filed prematurely. We will continue to defend this action vigorously.

In April 2010, an accidental explosion occurred at our flour milling facility in Chester, Illinois. Two employees of a subcontractor and one employee of the primary contractor, Westside Salvage (“Westside”), on the site at the time of the accident suffered injuries in the accident. Suit was initiated against Westside and the Company for personal injury claims. Subsequent to the end of the fourth quarter of fiscal 2012 (on May 31, 2012), a jury in federal court returned a verdict against the Company and Westside and in favor of the three employees. The verdict was in the amount of approximately $78 million in compensatory damages apportioned between the Company and Westside and $100 million in punitive damages against the Company. While we have insurance policies in place that we believe will cover the full amount of the compensatory and punitive damages apportioned to us (other than a $3 million deductible that we accrued in a prior period), the Company intends to appeal the verdict and the damages. Any exposure in this case is expected to be limited to the applicable insurance deductible.

 

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We are a party to several lawsuits concerning the use of diacetyl, a butter flavoring ingredient that was added to our microwave popcorn until late 2007. The cases are consumer personal injury suits claiming respiratory illness allegedly due to exposures to vapors from microwaving popcorn. We have received favorable outcomes in connection with these cases to date. We do not believe these cases possess merit and continue to vigorously defend them.

After taking into account liabilities recognized for all of the foregoing matters, management believes the ultimate resolution of such matters should not have a material adverse effect on our financial condition, results of operations, or liquidity.

 

ITEM 4.    MINE SAFETY DISCLOSURES

Not applicable.

PART II

 

ITEM 5.    MARKET FOR REGISTRANT’S COMMON EQUITY, RELATED STOCKHOLDER    MATTERS, AND ISSUER PURCHASES OF EQUITY SECURITIES

Our common stock is listed on the New York Stock Exchange where it trades under the ticker symbol: CAG. At June 24, 2012, there were approximately 22,600 shareholders of record.

Quarterly sales price and dividend information is set forth in Note 23 “Quarterly Financial Data (Unaudited)” to the consolidated financial statements and incorporated herein by reference.

Purchases of Equity Securities by the Issuer and Affiliated Purchasers

The following table presents the total number of shares of common stock purchased during the fourth quarter of fiscal 2012, the average price paid per share, the number of shares that were purchased as part of a publicly announced repurchase program, and the approximate dollar value of the maximum number of shares that may yet be purchased under the share repurchase program:

 

Period

   Total Number
of Shares (or
Units)
Purchased
     Average
Price Paid
per Share
(or Unit)
     Total Number of  Shares
Purchased as Part of
Publicly Announced
Plans or Programs (1)
     Approximate Dollar
Value of Maximum
Number of Shares that
may yet be Purchased
under the Program (1)
 

February 27 through March 25, 2012

     1,229,964         26.23         1,229,964       $         744,670,000   

March 26 through April 22, 2012

     8,171,500         26.23         8,171,500       $ 530,347,000   

April 23 through May 27, 2012

     132,110         25.87         132,110       $ 526,930,000   
  

 

 

       

 

 

    

Total Fiscal 2012 Fourth Quarter

         9,533,574             26.22                         9,533,574       $ 526,930,000   
  

 

 

       

 

 

    

 

(1) Pursuant to publicly announced share repurchase programs from December 2003, we have repurchased approximately 160.5 million shares at a cost of $3.8 billion through May 27, 2012. During the third quarter of fiscal 2012, the Board of Directors approved a $750.0 million increase to the share repurchase program. The current program has no expiration date.

 

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ITEM 6. SELECTED FINANCIAL DATA

 

For the Fiscal Years Ended May

   2012      2011      2010      2009 (3)      2008 (4)  

Dollars in millions, except per share amounts

              

Net sales (1)

   $   13,262.6       $   12,303.1       $   12,014.9       $   12,348.6       $     11,173.1   

Income from continuing operations (1)(2)

   $ 474.3       $ 830.9       $ 630.3       $ 530.3       $ 581.9   

Net income attributable to ConAgra Foods, Inc. (2)

   $ 467.9       $ 817.6       $ 613.5       $ 893.5       $ 1,022.8   

Basic earnings per share:

              

Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders (1)(2)

   $ 1.13       $ 1.92       $ 1.43       $ 1.17       $ 1.19   

Net income attributable to ConAgra Foods, Inc. common stockholders (2)

   $ 1.13       $ 1.90       $ 1.38       $ 1.97       $ 2.10   

Diluted earnings per share:

              

Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders (1)(2)

   $ 1.12       $ 1.90       $ 1.41       $ 1.16       $ 1.18   

Net income attributable to ConAgra Foods, Inc. common stockholders (2)

   $ 1.12       $ 1.88       $ 1.37       $ 1.96       $ 2.08   

Cash dividends declared per share of common stock

   $ 0.95       $ 0.89       $ 0.79       $ 0.76       $ 0.75   

At Year-End

              

Total assets

   $ 11,441.9       $ 11,408.7       $ 11,738.0       $ 11,073.3       $ 13,682.5   

Senior long-term debt (noncurrent)

   $ 2,662.7       $ 2,674.4       $ 3,030.5       $ 3,259.5       $ 3,180.4   

Subordinated long-term debt (noncurrent)

   $ 195.9       $ 195.9       $ 195.9       $ 195.9       $ 200.0   

 

(1)

Amounts exclude the impact of discontinued operations of the packaged meats and cheese operations, the Knott’s Berry Farm® operations, the trading and merchandising operations, the Fernando’s® operations, the Gilroy Foods & FlavorsTM operations, and the frozen handhelds operations.

 

(2) Previously reported amounts have been revised to reflect the impact of a change in accounting method for pension, as discussed in Note 1 “Summary of Significant Accounting Policies” to the consolidated financial statements.

 

(3) For fiscal 2009, the retrospective change in accounting method for pension decreased net income by $84.9 million and earnings per share, basic and diluted by $0.19.

 

(4) For fiscal 2008, the retrospective change in accounting method for pension increased net income by $92.2 million and earnings per share, basic by $0.19 and diluted by $0.18.

 

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ITEM 7.    MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND    RESULTS OF OPERATIONS

The following discussion and analysis is intended to provide a summary of significant factors relevant to our financial performance and condition. The discussion should be read together with our consolidated financial statements and related notes in Item 8, Financial Statements and Supplementary Data. Results for the fiscal year ended May 27, 2012 are not necessarily indicative of results that may be attained in the future.

Executive Overview

ConAgra Foods, Inc. (NYSE: CAG) is one of North America’s leading food companies, with brands in 97% of America’s households. Consumers find Banquet®, Chef Boyardee®, Egg Beaters®, Healthy Choice®, Hebrew National®, Hunt’s®, Marie Callender’s®, Odom’s Tennessee Pride®, Orville Redenbacher’s®, PAM®, Peter Pan®, Reddi-wip®, and many other ConAgra Foods brands in grocery, convenience, mass merchandise, and club stores. We also have a strong business-to-business presence, supplying frozen potato and sweet potato products, as well as other vegetable, spice, and grain products to a variety of well-known restaurants, foodservice operators, and commercial customers.

Fiscal 2012 diluted earnings per share were $1.12. Fiscal 2011 diluted earnings per share were $1.88, including income from continuing operations of $1.90 per diluted share and a loss of $0.02 per diluted share from discontinued operations. Several significant items affect the comparability of year-over-year results of continuing operations (see “Items Impacting Comparability” below).

Items Impacting Comparability

Items of note impacting comparability for fiscal 2012 included the following:

Reported within Continuing Operations

 

   

a charge of $397 million ($251 million after-tax) reflecting the immediate write-off of actuarial losses in excess of 10% of our pension liability, in accordance with our newly adopted change in accounting method,

 

   

charges totaling $61 million ($37 million after-tax) under our restructuring plans,

 

   

a gain of $59 million ($59 million after-tax), resulting from the remeasurement to fair value of our previously held noncontrolling equity interest in Agro Tech Foods Limited (“ATFL”), in connection with our acquisition of a majority interest in that company,

 

   

a charge of approximately $18 million ($18 million after-tax) in connection with legal matters associated with the 2007 peanut butter recall,

 

   

a benefit of $12 million ($7 million after-tax) resulting from insurance settlements for matters associated with peanut butter,

 

   

charges of $7 million ($4 million after-tax) of acquisition-related costs, including certain exit costs, and

 

   

a charge of $5 million ($3 million after-tax) in connection with the write-off of an insurance claim receivable.

Items of note impacting comparability for fiscal 2011 included the following:

Reported within Continuing Operations

 

   

a gain of $105 million ($66 million after-tax) from the settlement of an insurance claim related to the Garner accident,

 

   

charges totaling $56 million ($35 million after-tax) under our restructuring plans,

 

   

a gain of $25 million ($16 million after-tax) from the receipt, as payment in full of all principal and interest due on the remaining payment-in-kind notes received in connection with the divestiture of

 

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the trading and merchandising operations in fiscal 2009 (the “Notes”), in advance of the scheduled maturity dates, and

 

   

a charge of $10 million ($6 million after-tax) reflecting the immediate write-off of actuarial losses in excess of 10% of our pension liability, in accordance with our newly adopted change in accounting method in fiscal 2012.

Reported within Discontinued Operations

 

   

Losses totaling $22 million ($14 million after-tax) due to the write-down of the carrying value of the assets of a small business.

Restructuring Plans

We anticipate incurring costs in connection with actions we take to attain synergies when integrating recently acquired businesses. These costs, collectively referred to as “acquisition-related exit costs,” include severance and other costs associated with consolidating facilities and administrative functions. We expect to incur approximately $18 million of charges associated with fiscal year 2012 acquisitions ($10 million of which are cash charges). In fiscal 2012, we recognized charges of approximately $5 million in relation to acquisition-related exit costs.

In August 2011, we made a decision to reorganize our Consumer Foods sales function and certain other administrative functions within our Commercial Foods and Corporate reporting segments. These actions, collectively referred to as the “Administrative Efficiency Plan,” are intended to improve the efficiency and effectiveness of the affected sales and administrative functions. In connection with the Administrative Efficiency Plan, we expect to incur approximately $19 million of charges ($17 million of which are cash charges), primarily for severance and costs of employee relocation. In fiscal 2012, we recognized charges of approximately $17 million in relation to the Administrative Efficiency Plan.

In February 2011, our Board of Directors approved a plan recommended by executive management designed to optimize our manufacturing and distribution networks (the “Network Optimization Plan,” which we previously referred to as the “2011 plan”). The Network Optimization Plan consists of projects that involve, among other things, the exit of certain manufacturing facilities, the disposal of underutilized manufacturing assets, and actions designed to optimize our distribution network. Implementation of the plan is expected to continue through fiscal 2013 and is intended to improve the efficiency of our manufacturing operations and reduce costs. In connection with the Network Optimization Plan, we currently estimate we will incur aggregate pre-tax costs of approximately $83 million, including approximately $26 million of cash charges. In fiscal 2012 and 2011, we recognized charges of $42 million and $31 million, respectively in relation to the Network Optimization Plan.

In March 2010, we announced a plan, authorized by our Board of Directors, related to the long-term production of our meat snack products. The plan provides for the closure of our meat snacks production facility in Garner, North Carolina, and the movement of production to our existing facility in Troy, Ohio.

In May 2010, we made a decision to consolidate certain administrative functions from Edina, Minnesota to Naperville, Illinois. The transition of these functions was completed in fiscal 2011. This plan, together with the plan to move production of our meat snacks from Garner, North Carolina to Troy, Ohio, are collectively referred to as the 2010 restructuring plan (the “2010 plan”). We have incurred pre-tax charges of $68 million, including approximately $28 million in cash charges. In fiscal 2012 and 2011, we recognized charges of approximately $3 million and $26 million, respectively, in relation to these plans. We do not expect to incur significant additional charges in connection with the 2010 plan.

In the aggregate, we expect to incur approximately $188 million of charges ($81 million of which are cash charges) under all of our restructuring plans. In fiscal 2012 and 2011, we recognized charges of $67 million and $57 million, respectively, in related restructuring activities.

Management continues to evaluate our manufacturing footprint and potential opportunities to generate cost savings. If such opportunities are identified, the Network Optimization Plan will be amended accordingly, and this could lead to significant additional restructuring expenses.

 

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Acquisitions

In May 2012, we acquired Kangaroo Brands’ pita chip operations for $48 million in cash, plus assumed liabilities. The business, which manufactures private label and Kangaroo® brand pita chip snacks, is included in the Consumer Foods segment.

In May 2012, we acquired Odom’s Tennessee Pride for $95 million in cash, plus assumed liabilities. The business manufactures Odom’s Tennessee Pride® frozen breakfast products and other sausage products. This business is included in the Consumer Foods segment.

In March 2012, we acquired Del Monte Canada for $186 million in cash, plus assumed liabilities. The acquisition includes all Del Monte® branded packaged fruit, fruit snacks, and vegetable products in Canada, as well as Aylmer® brand tomato products. This business is included in the Consumer Foods segment.

In November 2011, we acquired National Pretzel Company for $302 million in cash, net of cash acquired, plus assumed liabilities. National Pretzel Company is a private label supplier and branded producer of pretzels and related products. This business is included in the Consumer Foods segment.

In November 2011, we acquired an additional equity interest in ATFL for $5 million in cash, net of cash acquired, plus assumed liabilities. ATFL is a publicly traded company in India that markets food and food ingredients to consumers and institutional customers in India. As a result of this investment, we now have a majority interest (approximately 52%) in ATFL. Consolidated financial results of ATFL are included in the Consumer Foods segment.

In June 2011, we purchased various Marie Callender’s® brand trademarks from Marie Callender Pie Shops, Inc., for approximately $58 million in cash.

In June 2010, we acquired the assets of American Pie, LLC, a manufacturer of frozen fruit pies, thaw and serve pies, fruit cobblers, and pie crusts under the licensed Marie Callender’s® and Claim Jumper® trade names, as well as frozen dinners, pot pies, and appetizers under the Claim Jumper® trade name. We paid $131 million in cash, plus assumed liabilities for this business. This business is included in the Consumer Foods segment.

Divestitures

In May 2011, we completed the sale of the assets of our frozen handhelds operations for approximately $9 million. We recognized charges totaling $22 million ($14 million after-tax) relating to the impairment of the long-lived assets of the business. We reflected the results of these operations as discontinued operations for all periods presented.

In July 2010, we completed the sale of substantially all of the assets of Gilroy Foods & FlavorsTM dehydrated garlic, onion, capsicum and Controlled MoistureTM, GardenFrost®, Redi-MadeTM, and fresh vegetable operations for $246 million in cash. Based on our estimate of proceeds from the sale of this business, we recognized impairment and related charges totaling $59 million ($40 million after-tax) in the fourth quarter of fiscal 2010. We reflected the results of these operations as discontinued operations for all periods presented.

Capital Allocation

During fiscal year 2012, we repurchased approximately 14 million shares of our common stock for $352 million, of which approximately $213 million was funded by employee stock option exercise proceeds. We also repaid the entire principal balance of $343 million of our 6.75% senior notes, which were due on September 15, 2011. During fiscal 2011, we repurchased approximately 36 million shares of our common stock for $825 million and we repaid the entire principal balance of $248 million of our 7.875% senior notes, which were due September 15, 2010.

During fiscal 2011, we received $554 million as payment in full of all principal and interest due on the remaining Notes received in connection with the divestiture of the trading and merchandising operations in fiscal 2009, in advance of the scheduled maturity dates.

During fiscal 2012 and 2011, we paid dividends of $389 million and $375 million, respectively.

 

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SEGMENT REVIEW

We report our operations in two reporting segments: Consumer Foods and Commercial Foods. In the first quarter of fiscal 2012, we changed the manner in which the expenses associated with certain administrative functions are recognized in segment sales. Accordingly, segment results of prior periods have been reclassified to reflect these changes.

Consumer Foods

The Consumer Foods reporting segment includes branded and private label food products that are sold in various retail and foodservice channels, principally in North America. The products include a variety of categories (meals, entrees, condiments, sides, snacks, and desserts) across frozen, refrigerated, and shelf-stable temperature classes.

Commercial Foods

The Commercial Foods reporting segment principally includes commercially branded foods and ingredients, which are sold primarily to foodservice, food manufacturing, and industrial customers. The segment’s primary products include: specialty potato products, milled grain ingredients, and a variety of vegetable products, seasonings, blends, and flavors, which are sold under brands such as ConAgra Mills®, Lamb Weston®, and Spicetec Flavors & SeasoningsTM.

Presentation of Derivative Gains (Losses) for Economic Hedges of Forecasted Cash Flows in Segment Results

Derivatives used to manage commodity price risk and foreign currency risk are not designated for hedge accounting treatment. We believe these derivatives provide economic hedges of certain forecasted transactions. As such, these derivatives (except those related to our milling operations, see Note 19 to the consolidated financial statements) are recognized at fair market value with realized and unrealized gains and losses recognized in general corporate expenses. The gains and losses are subsequently recognized in the operating results of the reporting segments in the period in which the underlying transaction being economically hedged is included in earnings.

The following table presents the net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk of certain forecasted transactions, under this methodology (in millions):

 

             Fiscal Year Ended           
         May 27,    
2012
        May 29,    
2011
 

Net derivative gains (losses) incurred

   $           (67)      $             35   

Less: Net derivative gains allocated to reporting segments

     24        1   
  

 

 

   

 

 

 

Net derivative gains (losses) recognized in general corporate expenses

   $ (91   $ 34   
  

 

 

   

 

 

 

Net derivative gains allocated to Consumer Foods

   $ 25      $ 4   

Net derivative losses allocated to Commercial Foods

     (1     (3
  

 

 

   

 

 

 

Net derivative gains included in segment operating profit

   $ 24      $ 1   
  

 

 

   

 

 

 

Based on our forecasts of the timing of recognition of the underlying hedged items, we expect to reclassify losses of $47 million and $12 million to segment operating results in fiscal 2013 and 2014 and thereafter, respectively. Amounts allocated, or to be allocated, to segment operating results during fiscal 2012 and thereafter include $32 million of net gains recognized within corporate expense prior to fiscal 2012.

 

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2012 vs. 2011

Net Sales

($ in millions)

 

Reporting Segment

   Fiscal 2012
Net Sales
     Fiscal 2011
Net Sales
     % Increase/
(Decrease)

Consumer Foods

     $ 8,377           $ 8,002         5%

Commercial Foods

     4,886           4,301         14%
  

 

 

    

 

 

    

 

Total

     $   13,263           $   12,303                 8%      
  

 

 

    

 

 

    

 

Overall, our net sales increased $960 million to $13.3 billion in fiscal 2012, reflecting a 5% increase in our Consumer Foods segment and a 14% increase in our Commercial Foods segment relative to results in fiscal 2011.

Consumer Foods net sales for fiscal 2012 were $8.4 billion, an increase of 5% as compared to fiscal 2011. Results reflected a 3% benefit from acquisitions, a 5% benefit from favorable pricing and mix, and a 3% decrease in volume from our base businesses (those businesses existing at the beginning of fiscal 2012). The decrease in volume from existing businesses reflected difficult economic conditions that are impacting consumer purchasing behavior, as well as price increases taken earlier in fiscal 2012 for some products. Increased pricing was necessitated by increased commodity input costs.

Sales of products associated with some of our most significant brands, including ACT II®, Blue Bonnet®, Chef Boyardee®, Healthy Choice®, Manwich®, Marie Callender’s®, Peter Pan®, Slim Jim®, Van Camp’s ®, and Wesson®, grew in fiscal 2012. Significant brands that experienced sales declines in fiscal 2012 included Banquet®, Crunch ‘n Munch®, Egg Beaters®, Hebrew National®, Hunt’s®, Kid Cuisine®, Orville Redenbacher’s®, PAM®, Reddi-wip®, Snack Pack®, and Swiss Miss®.

Commercial Foods net sales were $4.9 billion in fiscal 2012, an increase of $585 million, or 14% compared to fiscal 2011. Net sales in our flour milling business were approximately $284 million higher in fiscal 2012 than in fiscal 2011, principally reflecting the pass-through of higher wheat prices. Net sales also reflected a $256 million increase in results in our Lamb Weston® specialty potato products business, reflecting improved net pricing of approximately 9% and higher volume of approximately 4%.

Selling, General and Administrative Expenses (includes General Corporate Expense) (“SG&A”)

SG&A expenses totaled $2.0 billion for fiscal 2012, an increase of $488 million, or 32%, compared to fiscal 2011.

SG&A expenses for fiscal 2012 reflected the following:

 

   

an increase in pension and retirement expense of $336 million, reflecting the immediate write-off of actuarial losses in excess of 10% of our pension liability, in accordance with our newly adopted change in accounting method,

 

   

a gain of $59 million, resulting from the remeasurement to fair value of our previously held noncontrolling equity interest in ATFL, in connection with our acquisition of a majority interest in that company,

 

   

an increase in incentive compensation expense of $45 million,

 

   

charges totaling $43 million in connection with our restructuring plans,

 

   

a decrease in self-insured medical expense of $21 million,

 

   

a decrease in advertising and promotion expense of $7 million,

 

   

a charge of approximately $18 million in connection with legal matters associated with the 2007 peanut butter recall,

 

   

a benefit of $12 million resulting from insurance settlements for matters associated with peanut butter, and

 

   

a charge of $5 million in connection with the write-off of an insurance claim receivable.

 

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SG&A expenses for fiscal 2011 included the following:

 

   

a net benefit of $105 million in connection with the settlement of insurance claims, net of expenses incurred, related to the Garner accident,

 

   

charges totaling $35 million in connection with our restructuring plans,

 

   

a gain of $25 million from the receipt, as payment in full of all principal and interest due on the Notes received in connection with the divestiture of the trading and merchandising operations in fiscal 2009, in advance of the scheduled maturity dates, and

 

   

a charge of $10 million reflecting the immediate write-off of actuarial losses in excess of 10% of our pension liability, in accordance with our newly adopted change in accounting method in fiscal 2012.

Operating Profit

(Earnings before general corporate expense, interest expense (net), income taxes, and equity method investment earnings)

($ in millions)

 

Reporting Segment

       Fiscal 2012    
Operating
Profit
         Fiscal 2011    
Operating
Profit
         % Increase/        
(Decrease)
 

Consumer Foods

   $           1,053       $           1,126                   (6)

Commercial Foods

     547         510         7

Consumer Foods operating profit decreased $73 million in fiscal 2012 versus the prior year to $1.05 billion. Gross profits in the Consumer Foods segment were $11 million higher in fiscal 2012 than in fiscal 2011 driven by the benefit of price increases and supply chain cost savings initiatives, offset by the impact of higher commodity input costs (particularly for proteins, vegetable oil, and packaging). Businesses acquired in fiscal 2012 contributed $13 million of operating profit to fiscal 2012. Other items that significantly impacted Consumer Foods operating profit in fiscal 2012 included:

 

   

a gain of $59 million, resulting from the remeasurement to fair value of our previously held noncontrolling equity interest in ATFL, in connection with our acquisition of a majority interest in that company,

 

   

charges totaling $56 million in connection with our restructuring plans,

 

   

an increase in incentive compensation expense of $11 million, and

 

   

a decrease in advertising and promotion expense of $9 million.

Items that significantly impacted Consumer Foods operating profit in fiscal 2011 included:

 

   

a net benefit of $105 million in connection with the settlement of insurance claims, net of expenses incurred, related to the Garner accident, and

 

   

charges totaling $45 million in connection with our restructuring plans.

Commercial Foods operating profit increased $37 million in fiscal 2012 versus the prior year to $547 million. Gross profits in the Commercial Foods segment were $56 million higher in fiscal 2012 than fiscal 2011, driven by higher sales volume and improved pricing in the Lamb Weston® specialty potato business, largely offset by lower profits in our flour milling business. The decline in margins in the flour milling business was due to less favorable market conditions in the current year. SG&A expenses were higher in the Commercial Foods segment in fiscal 2012 as compared to fiscal 2011, largely due to a $14 million increase in incentive compensation expense. The Commercial Foods segment also recognized charges of $6 million in fiscal 2012 related to the execution of our restructuring plans.

Interest Expense, Net

In fiscal 2012, net interest expense was $204 million, an increase of $27 million, or 15%, from fiscal 2011. Included in net interest expense was $4 million and $42 million of interest income in fiscal 2012 and 2011,

 

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respectively. In 2011, the income was principally from interest on the Notes received in connection with the divestiture of the trading and merchandising business in fiscal 2009. Interest expense in fiscal 2012 and 2011 also reflected a net benefit of $9 million and $13 million, respectively, primarily resulting from interest rate swaps used to effectively convert the interest rates of certain outstanding debt instruments from fixed to variable (these hedges were terminated in fiscal 2011) and the benefit of the repayment of $343 million of our 6.75% senior notes in September 2011.

Income Taxes

Our income tax expense was $196 million and $422 million in fiscal 2012 and 2011, respectively. The effective tax rate (calculated as the ratio of income tax expense to pre-tax income from continuing operations, inclusive of equity method investment earnings) was 29% for fiscal 2012 and 34% in fiscal 2011. The lower effective tax rate in fiscal 2012 was reflective of the benefit of normal, recurring, income tax credits and deductions combined with a lower pre-tax level of earnings (due in large part to the impact of the write-off of $397 million of actuarial losses under the newly adopted method of pension accounting), as well as the non-taxable nature of the $59 million gain on the remeasurement to fair value of our previously held noncontrolling equity interest in ATFL, in connection with our acquisition of a majority interest in that company.

We expect our effective tax rate in fiscal 2013, exclusive of any unusual transactions or tax events, to be approximately 34%.

Equity Method Investment Earnings

We include our share of the earnings of certain affiliates based on our economic ownership interest in the affiliates. Significant affiliates produce and market potato products for retail and foodservice customers. Our share of earnings from our equity method investments was $45 million ($5 million in the Consumer Foods segment and $40 million in the Commercial Foods segment) and $26 million ($6 million in the Consumer Foods segment and $20 million in the Commercial Foods segment) in fiscal 2012 and 2011, respectively. Equity method investment earnings in the Commercial Foods segment were a result of more profitable operations of a foreign potato processing venture.

Results of Discontinued Operations

Our discontinued operations were immaterial in fiscal 2012 and generated after-tax losses of $12 million in fiscal 2011. In fiscal 2011, we completed the sale of the assets of a small frozen foods business for approximately $9 million. We recognized after-tax impairment charges totaling $14 million in connection with this sale. Operating results of discontinued operations in fiscal 2011 included the favorable resolution of a foreign tax matter relating to a divested business.

Earnings Per Share

Our diluted earnings per share in fiscal 2012 were $1.12. Our diluted earnings per share in fiscal 2011 were $1.88 (including earnings of $1.90 per diluted share from continuing operations and losses of $0.02 per diluted share from discontinued operations). See “Items Impacting Comparability” above as several significant items affected the comparability of year-over-year results of operations.

2011 vs. 2010

Net Sales

($ in millions)

 

Reporting Segment

   Fiscal 2011
Net Sales
     Fiscal 2010
Net Sales
     % Increase/
(Decrease)

Consumer Foods

     $ 8,002           $ 7,940               1%      

Commercial Foods

     4,301           4,075         6%
  

 

 

    

 

 

    

 

Total

     $   12,303           $   12,015         2%
  

 

 

    

 

 

    

 

 

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Overall, our net sales increased $288 million to $12.3 billion in fiscal 2011, reflecting a 1% increase in our Consumer Foods segment and a 6% increase in our Commercial Foods segment relative to results in fiscal 2010.

Consumer Foods net sales for fiscal 2011 were $8.0 billion, an increase of 1% as compared to fiscal 2010. Results reflected a 2% benefit from acquisitions, net of divestitures, a 1% decrease in volume from existing businesses, and essentially unchanged net pricing and mix. The decrease in volume from existing businesses reflected highly competitive pricing for some products, as well as lower consumption in certain product categories. The net pricing impacts for fiscal 2011 were not significant, reflecting the fact that price increases in the second half of the year were offset by pricing reductions earlier in the year related to competitive pressures.

Sales of products associated with some of our most significant brands, including Blue Bonnet®, Marie Callender’s®, Peter Pan®, Reddi-wip®, Ro*Tel®, Slim Jim®, Snack Pack®, and Wesson®, grew in fiscal 2011. Significant brands that experienced sales declines in fiscal 2011 included ACT II®, Banquet®, Chef Boyardee®, Egg Beaters®, Healthy Choice®, Hunt’s®, Libby’s®, Orville Redenbacher’s®, PAM®, Swiss Miss®, and Van Camp’s ®.

Commercial Foods net sales were $4.3 billion in fiscal 2011, an increase of $226 million, or 6% compared to fiscal 2010. Net sales in our flour milling business were approximately $107 million higher in fiscal 2011 than in fiscal 2010, principally reflecting the pass-through of higher wheat prices. Results also reflected a $98 million increase in results in our Lamb Weston® specialty potato products business, reflecting higher volume of approximately 4% and flat net pricing and mix. The increase in sales volume included significant growth in sales of sweet potato products.

Selling, General and Administrative Expenses (includes General Corporate Expense) (“SG&A”)

SG&A expenses totaled $1.51 billion for fiscal 2011, a decrease of $478 million, or 24%, compared to fiscal 2010.

SG&A expenses for fiscal 2011 reflected the following:

 

   

a decrease in incentive compensation expense of $130 million,

 

   

a net benefit of $105 million in connection with the settlement of insurance claims, net of expenses incurred, related to the Garner accident,

 

   

charges totaling $35 million in connection with our restructuring plans,

 

   

a decrease in advertising and promotion expense of $37 million,

 

   

an increase in salaries and labor expense of $26 million,

 

   

a gain of $25 million from the receipt, as payment in full of all principal and interest due on the remaining Notes received in connection with the divestiture of the trading and merchandising operations in fiscal 2009, in advance of the scheduled maturity dates,

 

   

a decrease in charitable donations of $13 million,

 

   

a decrease in stock-based compensation expense of $11 million,

 

   

a charge of $10 million reflecting the immediate write-off of actuarial losses in excess of 10% of our pension liability, in accordance with our newly adopted change in accounting method in fiscal 2012,

 

   

an increase in self-insured medical expense of $10 million, and

 

   

a decrease in property, sales, and use taxes of $10 million.

SG&A expenses for fiscal 2010 included the following:

 

   

a charge of $168 million reflecting the immediate write-off of actuarial losses in excess of 10% of our pension liability, in accordance with our newly adopted change in accounting method in fiscal 2012,

 

   

charges totaling $36 million in connection with the 2010 plan, consisting of charges related to our decision to move manufacturing activities in Garner, North Carolina to Troy, Ohio, and our decision to move administrative functions in Edina, Minnesota to Naperville, Illinois,

 

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a charge of $33 million in connection with the impairment of a partially completed production facility,

 

   

a benefit of $15 million associated with a favorable adjustment to an environmental-related liability,

 

   

transaction-related costs of $14 million associated with securing federal tax benefits related to the Delhi, Louisiana sweet potato production facility (the associated income tax benefits will be recognized in future periods),

 

   

a $14 million gain on the sale of the Luck’s® brand, and

 

   

a net benefit of $8 million, representing SG&A expenses associated with the Garner accident that were more than offset by insurance recoveries (related charges of $12 million were recognized in cost of goods sold).

Operating Profit

(Earnings before general corporate expense, interest expense (net), income taxes, and equity method investment earnings)

($ in millions)

 

Reporting Segment

   Fiscal  2011
Operating
Profit
     Fiscal  2010
Operating
Profit
    

 

   %  Increase/
(Decrease)
 

Consumer Foods

   $         1,126       $         1,062            6%    

Commercial Foods

     510         543            (6)%   

Consumer Foods operating profit increased $64 million in fiscal 2011 versus the prior year to $1.13 billion. Gross profits were $156 million lower in fiscal 2011 than in fiscal 2010 driven by the impact of higher commodity input costs that were not fully offset by the benefit of price increases and supply chain cost savings initiatives. Other items that significantly impacted Consumer Foods operating profit in fiscal 2011 included:

 

   

a net benefit of $105 million in connection with the settlement of insurance claims, net of expenses incurred, related to the Garner accident,

 

   

a decrease in incentive compensation expense of $48 million,

 

   

a decrease in advertising and promotion expense of $42 million,

 

   

charges totaling $45 million in connection with the Company’s restructuring plans, and

 

   

the impact of foreign currencies, including related economic hedges, resulted in an increase of operating profit of approximately $27 million in fiscal 2011, as compared to fiscal 2010.

Items that significantly impacted Consumer Foods operating profit in fiscal 2010 included:

 

   

charges totaling $36 million in connection with our restructuring plans,

 

   

a charge of $33 million in connection with the impairment of a partially completed production facility, and

 

   

a $14 million gain on the sale of the Luck’s® brand.

Commercial Foods operating profit decreased $33 million in fiscal 2011 versus the prior year to $510 million. Gross profits in our Lamb Weston® specialty potato business were negatively impacted in fiscal 2011 by significant increases in input costs which more than offset the benefit of increased sales volumes and a higher quality potato crop than that which was processed in fiscal 2010 and the first half of fiscal 2011. Gross profits in our flour milling business improved in fiscal 2011 due to effective management of margins in a volatile wheat market, which more than offset the decrease in sales volumes. SG&A expenses were lower in the Commercial Foods segment in fiscal 2011 as compared to fiscal 2010, largely due to a $13 million decrease in incentive compensation expense. The Commercial Foods segment also recognized charges of $11 million in fiscal 2011 in connection with our restructuring plans.

 

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Interest Expense, Net

In fiscal 2011, net interest expense was $178 million, an increase of $17 million, or 11%, from fiscal 2010. Included in net interest expense was $42 million and $85 million of interest income in fiscal 2011 and 2010, respectively, principally from the Notes received in connection with the divestiture of the trading and merchandising business in fiscal 2009. Interest expense in fiscal 2011 also reflected a net benefit of $13 million primarily resulting from interest rate swaps used to effectively convert the interest rates of certain outstanding debt instruments from fixed to variable (these hedges were terminated in fiscal 2011) and the benefit of the repayment of $248 million of debt in September 2010.

During fiscal 2010, we received $115 million as payment in full of all principal and interest due on a portion of the Notes, in advance of the scheduled maturity date. In December 2010, we received $554 million as payment in full of all principal and interest due on the remaining Notes, in advance of the scheduled maturity dates.

Income Taxes

Our income tax expense was $422 million and $292 million in fiscal 2011 and 2010, respectively. The effective tax rate (calculated as the ratio of income tax expense to pre-tax income from continuing operations, inclusive of equity method investment earnings) was 34% for fiscal 2011 and 32% in fiscal 2010. The lower effective tax rate in fiscal 2010 was reflective of favorable changes in estimates and audit settlements, as well as certain income tax credits and deductions identified in fiscal 2010 that related to prior periods. These benefits were offset, in part, by unfavorable tax consequences of the Patient Protection and Affordable Care Act and the Health Care and Education Reconciliation Act of 2010.

Equity Method Investment Earnings

We include our share of the earnings of certain affiliates based on our economic ownership interest in the affiliates. Significant affiliates produce and market potato products for retail and foodservice customers. Our share of earnings from our equity method investments was $26 million ($6 million in the Consumer Foods segment and $20 million in the Commercial Foods segment) and $22 million ($5 million in the Consumer Foods segment and $17 million in the Commercial Foods segment) in fiscal 2011 and 2010, respectively. Equity method investment earnings in the Commercial Foods segment reflected improving market conditions in a foreign potato processing venture and continued difficult market conditions for our domestic potato ventures.

Results of Discontinued Operations

Our discontinued operations generated after-tax losses of $12 million and $19 million in fiscal 2011 and 2010, respectively. In fiscal 2011, we completed the sale of the assets of a small frozen foods business for approximately $9 million. We recognized after-tax impairment charges totaling $14 million in connection with this sale. In fiscal 2010, we decided to divest our dehydrated vegetable operations. As a result of this decision, we recognized an after-tax impairment charge of $40 million in fiscal 2010, representing a write-down of the carrying value of the related long-lived assets to fair value, based on the anticipated sales proceeds. The sale of this business for $246 million in cash was completed in July 2010. Operating results of discontinued operations in fiscal 2011 include the favorable resolution of a foreign tax matter relating to a divested business. Operating results of discontinued operations in fiscal 2010 include charges related to certain legal and environmental matters of divested businesses.

Earnings Per Share

Our diluted earnings per share in fiscal 2011 were $1.88 (including earnings of $1.90 per diluted share from continuing operations and a loss of $0.02 per diluted share from discontinued operations). Our diluted earnings per share in fiscal 2010 were $1.37 (including earnings of $1.41 per diluted share from continuing operations and losses of $0.04 per diluted share from discontinued operations). See “Items Impacting Comparability” above as several significant items affected the comparability of year-over-year results of operations.

 

 

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LIQUIDITY AND CAPITAL RESOURCES

Sources of Liquidity and Capital

Our primary financing objective is to maintain a prudent capital structure, including our goal of maintaining an investment grade credit rating, that provides us flexibility to pursue our growth objectives. If necessary, we use short-term debt principally to finance ongoing operations, including our seasonal requirements for working capital (accounts receivable, prepaid expenses and other current assets, and inventories, less accounts payable, accrued payroll, and other accrued liabilities) and a combination of equity and long-term debt to finance both our base working capital needs and our noncurrent assets.

In September 2011, we entered into a $1.5 billion revolving credit facility. The facility is scheduled to mature in September 2016. Borrowings under this facility will bear interest at 1.1% over LIBOR and may be prepaid without penalty. The facility, like its predecessor facility, has historically been used principally as a back-up facility for our commercial paper program. As of May 27, 2012, there were no outstanding borrowings under the facility. The facility requires that our consolidated funded debt not exceed 65% of our consolidated capital base, and that our fixed charges coverage ratio be greater than 1.75 to 1.0 on a four-quarter rolling basis. As of May 27, 2012, we were in compliance with these financial covenants.

As of May 27, 2012, we had borrowings of $40 million outstanding under our commercial paper program, which was representative of the highest borrowings during the fiscal year.

As of the end of fiscal 2012, our senior long-term debt ratings were all investment grade. A significant downgrade in our credit ratings would not affect our ability to borrow amounts under the revolving credit facility, although borrowing costs would increase. A downgrade of our short-term credit ratings would impact our ability to borrow under our commercial paper program by negatively impacting borrowing costs and causing shorter durations, as well as making access to commercial paper more difficult.

In connection with the divestiture of the trading and merchandising operations in fiscal 2009, we received $550 million (face value) of the Notes issued by the purchaser of the divested business. During fiscal 2010, we received $115 million as payment in full of all principal and interest due on a portion of the Notes, in advance of the scheduled maturity date. During fiscal 2011, we received $554 million as payment in full of all principal and interest due on the remaining Notes, in advance of the scheduled maturity dates.

We repurchase our shares of common stock from time to time after considering market conditions and in accordance with repurchase limits authorized by our Board of Directors. We repurchased approximately 13.8 million shares of our common stock for an aggregate of $352 million under this program in fiscal 2012, of which approximately $213 million was funded by employee stock option exercise proceeds. In December 2011, the Company’s Board of Directors approved a $750 million increase to our share repurchase authorization. The Company’s total remaining share repurchase authorization as of May 2012 was $527 million. Under the share repurchase authorization, we may repurchase our shares periodically over several years, depending on market conditions and other factors, and may do so in open market purchases or privately negotiated transactions. The authorization has no time limit and may be suspended or discontinued at any time.

In July 2010, we completed the sale of substantially all of the assets of Gilroy Foods & FlavorsTM dehydrated garlic, onion, capsicum and Controlled MoistureTM, GardenFrost®, Redi-MadeTM, and fresh vegetable operations for $246 million in cash.

On September 15, 2011, we repaid the entire principal balance of $343 million of our 6.75% senior notes, due on that date.

On September 15, 2010, we repaid the entire principal balance of $248 million of our 7.875% senior notes, due on that date.

During fiscal 2012, we acquired National Pretzel Company, Del Monte Canada, Odom’s Tennessee Pride, and Kangaroo Brand’s pita chip operations, as well as an additional equity interest in ATFL for a total of $635 million in cash, net of cash acquired. In fiscal 2012, we also acquired the Marie Callender’s® brand trademarks for approximately $58 million in cash.

 

 

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We also contributed $326 million to our pension plans in fiscal 2012, the majority of which was discretionary.

Cash Flows

In fiscal 2012, we utilized $869 million of cash, which was the net result of $1.05 billion generated from operating activities, $1.06 billion used in investing activities, $850 million used in financing activities, and a decrease of $7 million in cash and cash equivalents due to the effect of changes in foreign currency exchange rates.

Cash generated from operating activities of continuing operations totaled $1.05 billion for fiscal 2012, as compared to $1.34 billion generated in fiscal 2011. We contributed $326 million and $129 million to our Company-sponsored pension plans in fiscal 2012 and 2011, respectively. Cash flows from operations benefited in fiscal 2012, relative to fiscal 2011, due to increasing accounts payable balances, despite slightly lower inventory balances (excluding impacts of acquisitions), and lower incentive compensation payments paid in fiscal 2012 (earned in fiscal 2011) than in fiscal 2011 (earned in fiscal 2010). In fiscal 2011, improvement in our accounts payable balance largely offset increases in the inventory balances, reflecting the impact of higher commodity costs in our flour milling business. Cash payments of income taxes were $191 million and $172 million in fiscal 2012 and 2011, respectively. Tax payments in fiscal 2011 reflected the benefit of changes in certain federal income tax laws that allowed us to defer the payment of a significant amount of income taxes recognized in fiscal 2011 until future years. Fiscal 2011 operating cash flows also reflect the receipt of $142 million of interest due on the remaining Notes received in connection with the divestiture of the trading and merchandising operations in fiscal 2009, and insurance advances of $65 million for reimbursement of out-of-pocket expenses and foregone profits associated with the Garner accident. Cash generated from operating activities of discontinued operations was $2 million and $12 million in fiscal 2012 and 2011, respectively, primarily reflecting income from operations of the discontinued frozen handheld operations.

Cash used in investing activities of continuing operations totaled $1.06 billion in fiscal 2012 and $166 million in fiscal 2011. Investing activities of continuing operations in fiscal 2012 consisted primarily of acquisitions of businesses and intangibles totaling $698 million, capital expenditures of $337 million, and a $40 million purchase of a secured loan. Investing activities of continuing operations in fiscal 2011 consisted primarily of capital expenditures of $466 million and acquisitions of businesses and intangibles totaling $149 million, partially offset by the receipt of $413 million, as payment in full of all amounts due on the remaining Notes received in connection with the divestiture of the trading and merchandising operations in fiscal 2009 (receipt of interest due is reflected in operating cash flows), and sales of property, plant and equipment of $19 million. In fiscal 2011, we generated $255 million of cash from investing activities of discontinued operations from the disposition of the Gilroy Foods & FlavorsTM dehydrated vegetable business.

Cash used in financing activities totaled $850 million in fiscal 2012, as compared to cash used in financing activities of $1.43 billion in fiscal 2011. During fiscal 2012, we repurchased approximately 14 million shares of our common stock for $352 million, we paid dividends of $389 million, and we decreased our debt by $324 million, including the repayment of the entire principal balance of $343 million of our 6.75% senior notes on September 15, 2011, due on that date, partially offset by borrowings of $40 million in our commercial paper program. During fiscal 2012, we also received net proceeds of $213 million from employee stock option exercises. During fiscal 2011, we repurchased approximately 36 million shares of our common stock for $825 million, we paid dividends of $375 million, and we decreased our debt by $294 million, including the repayment of the entire principal balance of $248 million of our 7.875% senior notes on September 15, 2010, due on that date, as well as the repayment of $35 million of bank borrowings by our Lamb Weston BSW potato processing venture. During fiscal 2011, we also received net proceeds of $60 million from employee stock option exercises.

We estimate our capital expenditures in fiscal 2013 will be approximately $450 million. Management believes that existing cash balances, cash flows from operations, existing credit facilities, and access to capital markets will provide sufficient liquidity to meet our working capital needs, planned capital expenditures, and payment of anticipated quarterly dividends for at least the next twelve months.

 

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OFF-BALANCE SHEET ARRANGEMENTS

We use off-balance sheet arrangements (e.g., leases accounted for as operating leases) where sound business principles warrant their use. We also periodically enter into guarantees and other similar arrangements as part of transactions in the ordinary course of business. These are described further in “Obligations and Commitments,” below.

Variable Interest Entities Not Consolidated

We have variable interests in certain entities that we have determined to be variable interest entities, but for which we are not the primary beneficiary. We do not consolidate the financial statements of these entities.

We hold a 50% interest in Lamb Weston RDO, a potato processing venture. We provide all sales and marketing services to Lamb Weston RDO. We receive a fee for these services based on a percentage of the net sales of the venture. We reflect the value of our ownership interest in this venture in other assets in our consolidated balance sheets, based upon the equity method of accounting. The balance of our investment was $15 million and $14 million at May 27, 2012 and May 29, 2011, respectively, representing our maximum exposure to loss as a result of our involvement with this venture. The capital structure of Lamb Weston RDO includes owners’ equity of $30 million and term borrowings from banks of $43 million as of May 27, 2012. We have determined that we do not have the power to direct the activities that most significantly impact the economic performance of this venture.

We lease certain office buildings from entities that we have determined to be variable interest entities. The lease agreements with these entities include fixed-price purchase options for the assets being leased, representing our only variable interest in these lessor entities. These leases are accounted for as operating leases, and accordingly, there are no material assets or liabilities associated with these entities included in our balance sheets. We have no material exposure to loss from our variable interests in these entities. We have determined that we do not have the power to direct the activities that most significantly impact the economic performance of these entities. In making this determination, we have considered, among other items, the terms of the lease agreements, the expected remaining useful lives of the assets leased, and the capital structure of the lessor entities.

OBLIGATIONS AND COMMITMENTS

As part of our ongoing operations, we enter into arrangements that obligate us to make future payments under contracts such as debt agreements, lease agreements, and unconditional purchase obligations (i.e., obligations to transfer funds in the future for fixed or minimum quantities of goods or services at fixed or minimum prices, such as “take-or-pay” contracts). The unconditional purchase obligation arrangements are entered into in the normal course of business in order to ensure adequate levels of sourced product are available. Of these items, debt and capital lease obligations, which totaled $3.0 billion as of May 27, 2012, were recognized as liabilities in our consolidated balance sheet. Operating lease obligations and unconditional purchase obligations, which totaled approximately $881 million as of May 27, 2012, were not recognized as liabilities in our consolidated balance sheet, in accordance with generally accepted accounting principles.

A summary of our contractual obligations at the end of fiscal 2012 was as follows:

 

($ in millions)   Payments Due by Period  

Contractual Obligations

  Total    

 

   Less than
1 Year
   

 

   1-3 Years    

 

   3-5 Years    

 

   After 5
Years
 

Long-term debt

  $   2,879.6         $ 30.6         $ 578.4         $ 10.8         $ 2,259.8   

Capital lease obligations

    76.1           7.5           12.6           9.3           46.7   

Operating lease obligations

    444.4           82.8           135.1           91.1           135.4   

Purchase obligations

    436.6           361.5           46.2           6.0           22.9   
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 

Total

  $ 3,836.7         $   482.4         $   772.3         $   117.2         $   2,464.8   
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 

 

 

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The purchase obligations noted in the table above do not reflect $638 million of open purchase orders or $437 million of agreements for goods and services, some of which are not legally binding. These purchase orders and agreements are generally settleable in the ordinary course of business in less than one year.

The operating lease obligations noted in the table above have not been reduced by non-cancellable sublease rentals of approximately $38 million.

We are also contractually obligated to pay interest on our long-term debt and capital lease obligations. The weighted average interest rate of the long-term debt obligations outstanding as of May 27, 2012 was approximately 7.0%.

We own a 49.99% interest in Lamb Weston BSW, LLC (“Lamb Weston BSW”), a potato processing venture with Ochoa Ag Unlimited Foods, Inc. (“Ochoa”). We provide all sales and marketing services to Lamb Weston BSW. Under certain circumstances, we could be required to compensate Ochoa for lost profits resulting from significant production shortfalls (“production shortfalls”). Commencing on June 1, 2018, or on an earlier date under certain circumstances, we have a contractual right to purchase the remaining equity interest in Lamb Weston BSW from Ochoa (the “call option”). We are currently subject to a contractual obligation to purchase all of Ochoa’s equity investment in Lamb Weston BSW at the option of Ochoa (the “put option”). The purchase prices under the call option and the put option (the “options”) are based on the book value of Ochoa’s equity interest at the date of exercise, as modified by an agreed-upon rate of return for the holding period of the investment balance. The agreed-upon rate of return varies depending on the circumstances under which any of the options are exercised. As of May 27, 2012, the price at which Ochoa had the right to put its equity interest to us was $34.3 million. This amount, which is presented within other liabilities in our condensed consolidated balance sheet, is not included in the “Contractual Obligations” table above, as the payment is contingent upon the exercise of the put option by Ochoa, and the eventual occurrence and timing of such exercise is uncertain.

As part of our ongoing operations, we also enter into arrangements that obligate us to make future cash payments only upon the occurrence of a future event (e.g., guarantees of debt or lease payments of a third party should the third party be unable to perform). In accordance with generally accepted accounting principles, the following commercial commitments are not recognized as liabilities in our consolidated balance sheet. A summary of our commitments, including commitments associated with equity method investments, as of the end of fiscal 2012, is as follows:

 

($ in millions)    Amount of Commitment Expiration per Period  

Other Commercial Commitments

   Total      Less than
1 Year
     1-3 Years      3-5 Years      After 5
Years
 

Guarantees

   $     75.7       $     49.0       $     10.9       $     9.3       $     6.5   

Other commitments

     0.5         0.5         —           —           —     
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 76.2       $ 49.5       $ 10.9       $ 9.3       $ 6.5   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

In certain limited situations, we will guarantee an obligation of an unconsolidated entity. We guarantee certain leases and other commercial obligations resulting from the 2002 divestiture of our fresh beef and pork operations. The remaining terms of these arrangements do not exceed four years and the maximum amount of future payments we have guaranteed was approximately $11 million, included in the table above, as of May 27, 2012.

We have also guaranteed the performance of the divested business with respect to a hog purchase contract. The hog purchase contract requires the divested fresh beef and pork business to purchase a minimum of approximately 1.2 million hogs annually through June 1, 2013. The contract stipulates minimum price commitments, based in part on market prices, and in certain circumstances also includes price adjustments based on certain inputs. We have not established a liability for these guarantees, as we have determined that the likelihood of our required performance under the guarantees is remote.

We are a party to various potato supply agreements. Under the terms of certain such potato supply agreements, we have guaranteed repayment of short-term bank loans of the potato suppliers, under certain conditions. At May 27, 2012, the amount of supplier loans effectively guaranteed by us was approximately

 

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$44 million, included in the table above. We have not established a liability for these guarantees, as we have determined that the likelihood of our required performance under the guarantees is remote.

We were a party to a supply agreement with an onion processing company where we had guaranteed, under certain conditions, repayment of a secured loan (the “Secured Loan”) of this onion supplier to the onion supplier’s lender. The Secured Loan was in the amount of approximately $40 million (classified as other assets in fiscal 2012) with a remaining term of approximately 11 years. The amount of our guarantee was $25 million. We had the option to purchase the Secured Loan, and thereby assume first-priority secured rights to the underlying collateral for the amount of the Secured Loan. During the fourth quarter of fiscal 2012, we received notice from the lender that the onion supplier had defaulted on the Secured Loan and we purchased the Secured Loan from the lender for approximately $41 million, and cancelled our guarantee. The onion supplier subsequently filed for bankruptcy on April 12, 2012. Based on our estimate of the value of the collateral and our first-priority secured rights, we expect to recover the carrying value of the Secured Loan.

Federal income tax credits were generated related to the construction of our sweet potato production facility in Delhi, Louisiana. Third parties invested in certain of these income tax credits. We have guaranteed these third parties the face value of these income tax credits over their statutory lives, through fiscal 2017, in the event that the income tax credits are recaptured or reduced. The face value of the income tax credits was $21 million, included in the table above, as of May 27, 2012. We believe the likelihood of the recapture or reduction of the income tax credits is remote, and therefore we have not established a liability in connection with this guarantee.

The obligations and commitments tables above do not include any reserves for income taxes, as we are unable to reasonably estimate the ultimate amount or timing of settlement of our reserves for income taxes. The liability for gross unrecognized tax benefits at May 27, 2012 was approximately $49 million. The net amount of unrecognized tax benefits at May 27, 2012, that, if recognized, would impact our effective tax rate was approximately $30 million. Recognition of this tax benefit would have a favorable impact on our effective tax rate.

CRITICAL ACCOUNTING ESTIMATES

The process of preparing financial statements requires the use of estimates on the part of management. The estimates used by management are based on our historical experiences combined with management’s understanding of current facts and circumstances. Certain of our accounting estimates are considered critical as they are both important to the portrayal of our financial condition and results and require significant or complex judgment on the part of management. The following is a summary of certain accounting estimates considered critical by management.

Our Audit/Finance Committee has reviewed management’s development, selection, and disclosure of the critical accounting estimates.

Marketing Costs—We incur certain costs to promote our products through marketing programs, which include advertising, customer incentives, and consumer incentives. We recognize the cost of each of these types of marketing activities as incurred in accordance with generally accepted accounting principles. The judgment required in determining when marketing costs are incurred can be significant. For volume-based incentives provided to customers, management must continually assess the likelihood of the customer achieving the specified targets. Similarly, for consumer coupons, management must estimate the level at which coupons will be redeemed by consumers in the future. Estimates made by management in accounting for marketing costs are based primarily on our historical experience with marketing programs with consideration given to current circumstances and industry trends. As these factors change, management’s estimates could change and we could recognize different amounts of marketing costs over different periods of time.

We have recognized reserves of approximately $165 million for these marketing costs as of May 27, 2012. Changes in the assumptions used in estimating the cost of any individual customer marketing program would not result in a material change in our results of operations or cash flows.

Advertising and promotion expenses of continuing operations totaled $365 million, $372 million, and $409 million in fiscal 2012, 2011, and 2010, respectively.

 

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Income Taxes—Our income tax expense is based on our income, statutory tax rates, and tax planning opportunities available in the various jurisdictions in which we operate. Tax laws are complex and subject to different interpretations by the taxpayer and respective governmental taxing authorities. Significant judgment is required in determining our income tax expense and in evaluating our tax positions, including evaluating uncertainties. Management reviews tax positions at least quarterly and adjusts the balances as new information becomes available. Deferred income tax assets represent amounts available to reduce income taxes payable on taxable income in future years. Such assets arise because of temporary differences between the financial reporting and tax bases of assets and liabilities, as well as from net operating loss and tax credit carryforwards. Management evaluates the recoverability of these future tax deductions by assessing the adequacy of future expected taxable income from all sources, including reversal of taxable temporary differences, forecasted operating earnings, and available tax planning strategies. These estimates of future taxable income inherently require significant judgment. Management uses historical experience and short and long-range business forecasts to develop such estimates. Further, we employ various prudent and feasible tax planning strategies to facilitate the recoverability of future deductions. To the extent management does not consider it more likely than not that a deferred tax asset will be recovered, a valuation allowance is established.

Further information on income taxes is provided in Note 16 “Pre-tax Income and Income Taxes” to the consolidated financial statements.

Environmental Liabilities—Environmental liabilities are accrued when it is probable that obligations have been incurred and the associated amounts can be reasonably estimated. Management works with independent third-party specialists in order to effectively assess our environmental liabilities. Management estimates our environmental liabilities based on evaluation of investigatory studies, extent of required clean-up, our known volumetric contribution, other potentially responsible parties, and our experience in remediating sites. Environmental liability estimates may be affected by changing governmental or other external determinations of what constitutes an environmental liability or an acceptable level of clean-up. Management’s estimate as to our potential liability is independent of any potential recovery of insurance proceeds or indemnification arrangements. Insurance companies and other indemnitors are notified of any potential claims and periodically updated as to the general status of known claims. We do not discount our environmental liabilities as the timing of the anticipated cash payments is not fixed or readily determinable. To the extent that there are changes in the evaluation factors identified above, management’s estimate of environmental liabilities may also change.

We have recognized a reserve of approximately $71 million for environmental liabilities as of May 27, 2012. The reserve for each site is determined based on an assessment of the most likely required remedy and a related estimate of the costs required to effect such remedy. Historically, the underlying assumptions utilized in estimating this reserve have been appropriate as actual payments have neither differed materially from the previously estimated reserve balances, nor have significant adjustments to this reserve balance been necessary.

Employment-Related Benefits—We incur certain employment-related expenses associated with pensions, postretirement health care benefits, and workers’ compensation. In order to measure the annual expense associated with these employment-related benefits, management must make a variety of estimates including, but not limited to, discount rates used to measure the present value of certain liabilities, assumed rates of return on assets set aside to fund these expenses, compensation increases, employee turnover rates, anticipated mortality rates, anticipated health care costs, and employee accidents incurred but not yet reported to us. The estimates used by management are based on our historical experience as well as current facts and circumstances. We use third-party specialists to assist management in appropriately measuring the expense associated with these employment-related benefits. Different estimates used by management could result in us recognizing different amounts of expense over different periods of time. We had recognized a pension liability of $566 million and $352 million, a postretirement liability of $283 million and $322 million, and a workers’ compensation liability of $76 million and $74 million, as of the end of fiscal 2012 and 2011, respectively. We also had recognized a pension asset of $4 million and $15 million as of the end of fiscal 2012 and 2011, respectively, as certain individual plans of the Company had a positive funded status.

In May 2012, we elected to change our method of accounting for pension benefits. Historically, we have recognized actuarial gains and losses in accumulated other comprehensive loss in the consolidated balance sheets

 

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upon each plan remeasurement, amortizing them into operating results over the average future service period of active employees in these plans, to the extent such gains and losses were in excess of 10% of the greater of the market-related value of plan assets or the plan’s projected benefit obligation (the “corridor”). We have elected to immediately recognize actuarial gains and losses in our operating results in the year in which they occur, to the extent they exceed the corridor; therefore, eliminating the amortization. Actuarial gains and losses outside the corridor, to the extent they occur, will be recognized annually as of our measurement date, which is our fiscal year-end, or when measurement is required otherwise under generally accepted accounting principles. Additionally, for purposes of calculating the expected return on plan assets, we will no longer use the market-related value of plan assets, an averaging technique permitted under generally accepted accounting principles, but instead will use the fair value of plan assets. These changes are intended to improve the transparency of our operating results by more quickly recognizing the effects of changes in plan asset values and the impact of current interest rates on plan obligations.

We recognized pension expense from Company plans of $422 million, $54 million, and $227 million in fiscal years 2012, 2011, and 2010, respectively. Such amounts reflect an increase in pension expense, reflecting the immediate write-off of actuarial losses in excess of 10% of our pension liability, in accordance with our newly adopted change in accounting method. This also reflected expected returns on plan assets of $196 million, $168 million, and $142 million in fiscal years 2012, 2011, and 2010, respectively. We contributed $326 million, $129 million, and $123 million to our pension plans in fiscal years 2012, 2011, and 2010, respectively. We anticipate contributing approximately $20 million to our pension plans in fiscal 2013.

One significant assumption for pension plan accounting is the discount rate. We select a discount rate each year (as of our fiscal year-end measurement date) for our plans based upon a hypothetical bond portfolio for which the cash flows from coupons and maturities match the year-by-year projected benefit cash flows for our pension plans. The hypothetical bond portfolio is comprised of high-quality fixed income debt instruments (usually Moody’s Aa) available at the measurement date. Based on this information, the discount rate selected by us for determination of pension expense was 5.3% for fiscal year 2012, 5.8% for fiscal 2011, and 6.9% for fiscal 2010. We selected a discount rate of 4.5% for determination of pension expense for fiscal 2013. A 25 basis point increase in our discount rate assumption as of the end of fiscal 2012 would have resulted in a decrease of approximately $97 million in our pension expense for fiscal 2012. A 25 basis point decrease in our discount rate assumption as of the end of fiscal 2012 would have resulted in an increase of approximately $101 million in our pension expense for fiscal 2012. For our year-end pension obligation determination, we selected discount rates of 4.5% and 5.3% for fiscal years 2012 and 2011, respectively.

Another significant assumption used to account for our pension plans is the expected long-term rate of return on plan assets. In developing the assumed long-term rate of return on plan assets for determining pension expense, we consider long-term historical returns (arithmetic average) of the plan’s investments, the asset allocation among types of investments, estimated long-term returns by investment type from external sources, and the current economic environment. Based on this information, we selected 7.75% for the long-term rate of return on plan assets for determining our fiscal 2012 pension expense. A 25 basis point increase/decrease in our expected long-term rate of return assumption as of the beginning of fiscal 2012 would decrease/increase annual pension expense for our pension plans by approximately $6 million. We selected an expected rate of return on plan assets of 7.75% to be used to determine our pension expense for fiscal 2013. A 25 basis point increase/decrease in our expected long-term rate of return assumption as of the beginning of fiscal 2013 would decrease/increase annual pension expense for our pension plans by approximately $7 million.

The rate of compensation increase is another significant assumption used in the development of accounting information for pension plans. We determine this assumption based on our long-term plans for compensation increases and current economic conditions. Based on this information, we selected 4.25% for fiscal years 2012 and 2011 as the rate of compensation increase for determining our year-end pension obligation. We selected 4.25% for the rate of compensation increase for determination of pension expense for each of fiscal years 2012, 2011, and 2010. A 25 basis point increase in our rate of compensation increase assumption as of the beginning of fiscal 2012 would increase pension expense for our pension plans by approximately $1 million for the year. A 25 basis point decrease in our rate of compensation increase assumption as of the beginning of fiscal 2012 would decrease pension expense for our pension plans by approximately $1 million for the year. We selected a rate of

 

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4.25% for the rate of compensation increase to be used to determine our pension expense for fiscal 2013. A 25 basis point increase/decrease in our rate of compensation increase assumption as of the beginning of fiscal 2013 would increase/decrease pension expense for our pension plans by approximately $1 million for the year.

We also provide certain postretirement health care benefits. We recognized postretirement benefit expense of $8 million, $12 million, and $9 million in fiscal 2012, 2011, and 2010, respectively. We reflected liabilities of $283 million and $322 million in our balance sheets as of May 27, 2012 and May 29, 2011, respectively. We anticipate contributing approximately $31 million to our postretirement health care plans in fiscal 2013.

The postretirement benefit expense and obligation are also dependent on our assumptions used for the actuarially determined amounts. These assumptions include discount rates (discussed above), health care cost trend rates, inflation rates, retirement rates, mortality rates, and other factors. The health care cost trend assumptions are developed based on historical cost data, the near-term outlook, and an assessment of likely long-term trends. Assumed inflation rates are based on an evaluation of external market indicators. Retirement and mortality rates are based primarily on actual plan experience. The discount rate we selected for determination of postretirement expense was 4.3% for fiscal 2012, 5.4% for fiscal 2011, and 6.6% for fiscal 2010. We have selected a discount rate of 3.9% for determination of postretirement expense for fiscal 2013. A 25 basis point increase/decrease in our discount rate assumption as of the beginning of fiscal 2012 would not have resulted in a material change to postretirement expense for our plans. We have assumed the initial year increase in cost of health care to be 7.5%, with the trend rate decreasing to 5.0% by 2016. A one percentage point change in the assumed health care cost trend rate would have the following effects:

 

($ in millions)    One  Percent
Increase
     One  Percent
Decrease
 

Effect on total service and interest cost

   $               1       $ (1)   

Effect on postretirement benefit obligation

     14                   (13)   

We provide workers’ compensation benefits to our employees. The measurement of the liability for our cost of providing these benefits is largely based upon actuarial analysis of costs. One significant assumption we make is the discount rate used to calculate the present value of our obligation. The discount rate used at May 27, 2012 was 3.0%. A 25 basis point increase/decrease in the discount rate assumption would not have a material impact on workers’ compensation expense.

Impairment of Long-Lived Assets (including property, plant and equipment) and Identifiable Intangible Assets—We reduce the carrying amounts of long-lived assets and identifiable intangible assets to their fair values when the fair value of such assets is determined to be less than their carrying amounts (i.e., assets are deemed to be impaired). Fair value is typically estimated using a discounted cash flow analysis, which requires us to estimate the future cash flows anticipated to be generated by the particular asset being tested for impairment as well as to select a discount rate to measure the present value of the anticipated cash flows. When determining future cash flow estimates, we consider historical results adjusted to reflect current and anticipated operating conditions. Estimating future cash flows requires significant judgment by management in such areas as future economic conditions, industry-specific conditions, product pricing, and necessary capital expenditures. The use of different assumptions or estimates for future cash flows could produce different impairment amounts (or none at all) for long-lived assets and identifiable intangible assets.

We utilize a “relief from royalty” methodology in evaluating impairment of our indefinite lived brands/trademarks. The methodology determines the fair value of each brand through use of a discounted cash flow model that incorporates an estimated “royalty rate” we would be able to charge a third party for the use of the particular brand. When determining the future cash flow estimates, we must estimate future net sales and a fair market royalty rate for each applicable brand and an appropriate discount rate to measure the present value of the anticipated cash flows. Estimating future net sales requires significant judgment by management in such areas as future economic conditions, product pricing, and consumer trends. In determining an appropriate discount rate to apply to the estimated future cash flows, we consider the current interest rate environment and our estimated cost of capital. As the calculated fair value of our other identifiable intangible assets generally significantly exceeds the carrying amount of these assets, a one percentage point increase in the discount rate assumptions used to estimate the fair values of our other identifiable intangible assets would not result in a material impairment charge.

 

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Goodwill—Goodwill is tested annually for impairment of value and whenever events or changes in circumstances indicate the carrying amount of the asset may be impaired. A significant amount of judgment is involved in determining if an indicator of impairment has occurred. Such indicators may include deterioration in general economic conditions, adverse changes in the markets in which an entity operates, increases in input costs that have negative effects on earnings and cash flows, or a trend of negative or declining cash flows over multiple periods, among others. The fair value that could be realized in an actual transaction may differ from that used to evaluate the impairment of goodwill.

In the third quarter of fiscal 2012, in conjunction with management’s annual review of goodwill, we adopted new guidance for testing goodwill for impairment (see Note 1 “Summary of Significant Accounting Policies” to the consolidated financial statements). Under the qualitative assessment, various events and circumstances that would affect the estimated fair value of a reporting unit are identified (similar to impairment indicators above). Furthermore, management considers the results of the most recent two-step quantitative impairment test completed for a reporting unit (this would be fiscal 2011 in which the estimated fair values of all reporting units were substantially in excess of their carrying values) and compares the weighted average cost of capital (WACC) between the current and prior years for each reporting unit.

Under the two-step quantitative impairment test, the evaluation of impairment involves comparing the current fair value of each reporting unit to its carrying value, including goodwill. Fair value is typically estimated using a discounted cash flow analysis, which requires us to estimate the future cash flows anticipated to be generated by the particular asset being tested for impairment as well as to select a discount rate to measure the present value of the anticipated cash flows. When determining future cash flow estimates, we consider historical results adjusted to reflect current and anticipated operating conditions. Estimating future cash flows requires significant judgment by management in such areas as future economic conditions, industry-specific conditions, product pricing, and necessary capital expenditures. The use of different assumptions or estimates for future cash flows could produce different impairment amounts (or none at all) for goodwill.

During the fiscal 2012 annual review of goodwill, management performed the qualitative assessment for all reporting units and concluded that it was more likely than not that their estimated fair values exceeded their carrying values. As such, no further analysis was required.

FORWARD-LOOKING STATEMENTS

This report, including Management’s Discussion and Analysis of Financial Condition and Results of Operations, contains forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995. These statements are based on management’s current views and assumptions of future events and financial performance and are subject to uncertainty and changes in circumstances. We undertake no responsibility for updating these statements. Readers of this report should understand that these statements are not guarantees of performance or results. Many factors could affect our actual financial results and cause them to vary materially from the expectations contained in the forward-looking statements, including those set forth in this report. These factors include, among other things: availability and prices of raw materials, including any negative effects caused by inflation; the effectiveness of our product pricing, including any pricing actions and promotional changes; future economic circumstances; industry conditions; our ability to execute our operating and restructuring plans; the success of our innovation, marketing, and cost-savings initiatives; the competitive environment and related market conditions; operating efficiencies; the ultimate impact of any product recalls; the Company’s success in efficiently and effectively integrating the Company’s acquisitions; access to capital; actions of governments and regulatory factors affecting our businesses, including the Patient Protection and Affordable Care Act; the amount and timing of repurchases of our common stock, if any; and other risks described in our reports filed with the Securities and Exchange Commission. We caution readers not to place undue reliance on any forward-looking statements included in this report, which speak only as of the date of this report.

 

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ITEM 7A.    QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

The principal market risks affecting us during fiscal 2012 and 2011 were exposures to price fluctuations of commodity and energy inputs, interest rates, and foreign currencies. These fluctuations impacted all reporting segments.

Commodity Market Risk—We purchase commodity inputs such as wheat, corn, oats, soybean meal, soybean oil, meat, dairy products, sugar, natural gas, electricity, and packaging materials to be used in our operations. These commodities are subject to price fluctuations that may create price risk. We enter into commodity hedges to manage this price risk using physical forward contracts or derivative instruments. We have policies governing the hedging instruments our businesses may use. These policies include limiting the dollar risk exposure for each of our businesses. We also monitor the amount of associated counter-party credit risk for all non-exchange-traded transactions.

Interest Rate Risk—From time to time, we use interest rate swaps to manage the effect of interest rate changes on the fair value of our existing debt as well as the forecasted interest payments for the anticipated issuance of debt. During fiscal 2010, we entered into interest rate swap contracts used to effectively convert the interest rates of certain outstanding debt instruments from fixed to variable. During fiscal 2011, we terminated these interest rate swap contracts. As a result of this termination, we received proceeds of $32 million. The cumulative adjustment to the fair value of the debt instruments being hedged, $35 million, was included in long-term debt and is being amortized as a reduction of interest expense over the remaining lives of the debt instruments (through fiscal 2014). At May 27, 2012, the unamortized amount was $18 million.

During fiscal 2011, we entered into interest rate swap contracts to hedge the interest rate risk related to our forecasted issuance of long-term debt in 2014 (based on the anticipated refinancing of the senior long-term debt maturing at that time). The net notional amount of these interest rate derivatives at May 27, 2012 was $500 million. The maximum potential loss associated with these interest rate swap contracts from a hypothetical change of 1% in interest rates as of May 27, 2012 is approximately $151 million. Any such loss (or gain) would be deferred in accumulated other comprehensive income and recognized in earnings over the life of the forecasted interest payments associated with the anticipated debt refinancing. At May 27, 2012, we had recognized an unrealized loss of $154 million in accumulated other comprehensive income for these derivative instruments.

As of May 27, 2012 and May 29, 2011, the fair value of our fixed rate debt was estimated at $3.5 billion and $3.6 billion, respectively, based on current market rates primarily provided by outside investment advisors. As of May 27, 2012 and May 29, 2011, a one percentage point increase in interest rates would decrease the fair value of our fixed rate debt by approximately $211 million and $208 million, respectively, while a one percentage point decrease in interest rates would increase the fair value of our fixed rate debt by approximately $235 million and $232 million, respectively.

Foreign Currency Risk—In order to reduce exposures for our processing activities related to changes in foreign currency exchange rates, we may enter into forward exchange or option contracts for transactions denominated in a currency other than the functional currency for certain of our operations. This activity primarily relates to economically hedging against foreign currency risk in purchasing inventory and capital equipment, sales of finished goods, and future settlement of foreign denominated assets and liabilities.

Value-at-Risk (VaR)—We employ various tools to monitor our derivative risk, including value-at-risk (“VaR”) models. We perform simulations using historical data to estimate potential losses in the fair value of current derivative positions. We use price and volatility information for the prior 90 days in the calculation of VaR that is used to monitor our daily risk. The purpose of this measurement is to provide a single view of the potential risk of loss associated with derivative positions at a given point in time based on recent changes in market prices. Our model uses a 95% confidence level. Accordingly, in any given one day time period, losses greater than the amounts included in the table below are expected to occur only 5% of the time. We include commodity swaps, futures, and options and foreign exchange forwards, swaps, and options in this calculation. The following table provides an overview of our average daily VaR for our energy, agriculture, and other

 

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commodities as well as the average daily foreign exchange VaR. Other commodities may include items such as packaging, livestock, and/or metals.

 

     Fair Value Impact (in millions)  
     Average
During Fifty-two  Weeks

Ended May 27, 2012
     Average
During Fifty-two  Weeks
Ended May 29, 2011
 

Energy commodities

   $             2.3       $             1.8   

Agriculture commodities

   $ 3.7       $ 3.2   

Other commodities

   $ 2.2       $   

Foreign exchange

   $ 1.4       $ 1.3   

 

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ITEM 8. FINANCIAL STATEMENTS AND SUPPLEMENTARY DATA

CONSOLIDATED STATEMENTS OF EARNINGS

CONAGRA FOODS, INC. AND SUBSIDIARIES

Dollars in millions except per share amounts

 

     For the Fiscal Years Ended May  
     2012      2011     2010  

Net sales

   $     13,262.6       $     12,303.1      $     12,014.9   

Costs and expenses:

       

Cost of goods sold

     10,435.7         9,389.6        8,966.3   

Selling, general and administrative expenses

     1,997.7         1,509.9        1,987.7   

Interest expense, net

     204.0         177.5        160.4   
  

 

 

    

 

 

   

 

 

 

Income from continuing operations before income taxes and equity method investment earnings

     625.2         1,226.1        900.5   

Income tax expense

     195.8         421.6        292.3   

Equity method investment earnings

     44.9         26.4        22.1   
  

 

 

    

 

 

   

 

 

 

Income from continuing operations

     474.3         830.9        630.3   

Income (loss) from discontinued operations, net of tax

     0.1         (11.5     (19.3
  

 

 

    

 

 

   

 

 

 

Net income

   $ 474.4       $ 819.4      $ 611.0   
  

 

 

    

 

 

   

 

 

 

Less: Net income (loss) attributable to noncontrolling interests

     6.5         1.8        (2.5
  

 

 

    

 

 

   

 

 

 

Net income attributable to ConAgra Foods, Inc.

   $ 467.9       $ 817.6      $ 613.5   
  

 

 

    

 

 

   

 

 

 

Earnings per share—basic

       

Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders

   $ 1.13       $ 1.92      $ 1.43   

Loss from discontinued operations attributable to ConAgra Foods, Inc. common stockholders

             (0.02     (0.05
  

 

 

    

 

 

   

 

 

 

Net income attributable to ConAgra Foods, Inc. common stockholders

   $ 1.13       $ 1.90      $ 1.38   
  

 

 

    

 

 

   

 

 

 

Earnings per share—diluted

       

Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders

   $ 1.12       $ 1.90      $ 1.41   

Loss from discontinued operations attributable to ConAgra Foods, Inc. common stockholders

             (0.02     (0.04
  

 

 

    

 

 

   

 

 

 

Net income attributable to ConAgra Foods, Inc. common stockholders

   $ 1.12       $ 1.88      $
1.37
  
  

 

 

    

 

 

   

 

 

 

The accompanying Notes are an integral part of the consolidated financial statements.

 

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CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

CONAGRA FOODS, INC. AND SUBSIDIARIES

Dollars in millions

 

     For the Fiscal Years Ended May  
     2012    

 

   2011    

 

   2010  

Net income

   $         474.4         $         819.4         $         611.0   

Other comprehensive income (loss):

            

Derivative adjustments, net of tax

     (89.1        (7.2        0.2   

Unrealized losses on available-for-sale securities, net of tax

     (0.1        (0.1          

Currency translation adjustment:

            

Unrealized translation gains (losses)

     (62.4        47.3           (3.7

Reclassification adjustment for losses (gains) included in net income

     6.0           (1.6          

Pension and postretirement healthcare liabilities, net of tax

     (66.7        23.6           (65.8
  

 

 

   

 

  

 

 

   

 

  

 

 

 

Comprehensive income

     262.1           881.4           541.7   

Comprehensive income (loss) attributable to noncontrolling interests

     2.1           1.8           (2.5
  

 

 

   

 

  

 

 

   

 

  

 

 

 

Comprehensive income attributable to ConAgra Foods, Inc.

   $ 260.0         $ 879.6         $
544.2
  
  

 

 

   

 

  

 

 

   

 

  

 

 

 

The accompanying Notes are an integral part of the consolidated financial statements.

 

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Table of Contents

CONSOLIDATED BALANCE SHEETS

CONAGRA FOODS, INC. AND SUBSIDIARIES

Dollars in millions except share data

 

    May 27, 2012         May 29, 2011  

ASSETS

     

Current assets

     

Cash and cash equivalents

  $ 103.0        $ 972.4   

Receivables, less allowance for doubtful accounts of $5.9 and $7.8

    924.8          849.4   

Inventories

    1,869.6          1,803.4   

Prepaid expenses and other current assets

    321.4          274.1   
 

 

 

     

 

 

 

Total current assets

    3,218.8          3,899.3   
 

 

 

     

 

 

 

Property, plant and equipment

     

Land and land improvements

    202.1          201.3   

Buildings, machinery and equipment

    4,729.2          4,440.1   

Furniture, fixtures, office equipment and other

    905.2          871.9   

Construction in progress

    159.2          184.8   
 

 

 

     

 

 

 
    5,995.7          5,698.1   

Less accumulated depreciation

    (3,253.8       (3,028.0
 

 

 

     

 

 

 

Property, plant and equipment, net

    2,741.9          2,670.1   
 

 

 

     

 

 

 

Goodwill

    4,015.4          3,609.4   

Brands, trademarks and other intangibles, net

    1,191.5          936.3   

Other assets

    274.3          293.6   
 

 

 

     

 

 

 
  $ 11,441.9        $ 11,408.7   
 

 

 

     

 

 

 

LIABILITIES AND COMMON STOCKHOLDERS’ EQUITY

     

Current liabilities

     

Notes payable

  $ 40.0        $   

Current installments of long-term debt

    38.1          363.5   

Accounts payable

    1,190.3          1,083.7   

Accrued payroll

    177.2          124.1   

Other accrued liabilities

    779.6          554.3   
 

 

 

     

 

 

 

Total current liabilities

    2,225.2          2,125.6   
 

 

 

     

 

 

 

Senior long-term debt, excluding current installments

    2,662.7          2,674.4   

Subordinated debt

    195.9          195.9   

Other noncurrent liabilities

    1,822.1          1,736.1   
 

 

 

     

 

 

 

Total liabilities

    6,905.9          6,732.0   
 

 

 

     

 

 

 

Commitments and contingencies (Notes 17 and 18)

     

Common stockholders’ equity

     

Common stock of $5 par value, authorized 1,200,000,000 shares; issued 567,907,172

    2,839.7          2,839.7   

Additional paid-in capital

    901.5          899.1   

Retained earnings

    4,765.1          4,690.3   

Accumulated other comprehensive loss

    (299.1       (91.2

Less treasury stock, at cost, common shares 160,294,748 and 157,412,899

    (3,767.7       (3,668.2
 

 

 

     

 

 

 

Total ConAgra Foods common stockholders’ equity

    4,439.5          4,669.7   

Noncontrolling interests

    96.5          7.0   
 

 

 

     

 

 

 

Total common stockholders’ equity

    4,536.0          4,676.7   
 

 

 

     

 

 

 
  $     11,441.9        $
    11,408.7
  
 

 

 

     

 

 

 

The accompanying Notes are an integral part of the consolidated financial statements.

 

40


Table of Contents

CONSOLIDATED STATEMENTS OF COMMON STOCKHOLDERS’ EQUITY

CONAGRA FOODS, INC. AND SUBSIDIARIES

FOR THE FISCAL YEARS ENDED MAY

Dollars in millions except per share amounts

 

    ConAgra Foods, Inc. Stockholders’ Equity                
    Common
Shares
        Common
Stock
        Additional
Paid-in
Capital
        Retained
Earnings
        Accumulated
Other
Comprehensive
Income (Loss)
        Treasury
Stock
        Noncontrolling
Interests
        Total
Equity
     

Balance at May 31, 2009

    567.2        $ 2,835.9        $ 884.4        $ 3,990.9            $ (83.9     $ (2,938.2         $ —          $ 4,689.1     
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

   

Stock option and incentive plans

    0.7          3.8          15.1          (1.3           93.1              110.7     

Currency translation adjustment

                    (3.7               (3.7  

Repurchase of common shares

                        (100.0           (100.0  

Derivative adjustment, net of reclassification adjustment

                    0.2                  0.2     

Activities of noncontrolling interests

            (2.0                   5.0          3.0     

Pension and postretirement healthcare benefits

                    (65.8               (65.8  

Dividends declared on common stock; $0.79 per share

                (349.9                   (349.9  

Net income attributable to ConAgra Foods, Inc.

                613.5                      613.5     
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

   

Balance at May 30, 2010

    567.9          2,839.7          897.5          4,253.2          (153.2       (2,945.1       5.0          4,897.1     
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

   

Stock option and incentive plans

            3.5          (0.4           101.9              105.0     

Currency translation adjustment, net of reclassification adjustment

                    45.7                  45.7     

Repurchase of common shares

                        (825.0           (825.0  

Unrealized loss on securities

                    (0.1               (0.1  

Derivative adjustment, net of reclassification adjustment

                    (7.2               (7.2  

Activities of noncontrolling interests

            (1.9                   2.0          0.1     

Pension and postretirement healthcare benefits

                    23.6                  23.6     

Dividends declared on common stock; $0.89 per share

                (380.1                   (380.1  

Net income attributable to ConAgra Foods, Inc.

                817.6                      817.6     
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

   

Balance at May 29, 2011

    567.9          2,839.7          899.1          4,690.3          (91.2       (3,668.2       7.0          4,676.7     
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

   

Stock option and incentive plans

            3.9          (1.3           252.9              255.5     

Currency translation adjustment, net of reclassification adjustment

                    (52.0           (4.4       (56.4  

Repurchase of common shares

                        (352.4           (352.4  

Unrealized loss on securities

                    (0.1               (0.1  

Derivative adjustment, net of reclassification adjustment

                    (89.1               (89.1  

Acquisition of majority interest in ATFL

                            92.6          92.6     

Activities of noncontrolling interests

            (1.5                   1.3          (0.2  

Pension and postretirement healthcare benefits

                    (66.7               (66.7  

Dividends declared on common stock; $0.95 per share

                (391.8                   (391.8  

Net income attributable to ConAgra Foods, Inc.

                467.9                      467.9     
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

   

Balance at May 27, 2012

      567.9        $   2,839.7        $   901.5        $   4,765.1            $ (299.1       $ (3,767.7         $   96.5        $
  4,536.0
  
 
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

   

The accompanying Notes are an integral part of the consolidated financial statements.

 

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CONSOLIDATED STATEMENTS OF CASH FLOWS

CONAGRA FOODS, INC. AND SUBSIDIARIES

FOR THE FISCAL YEARS ENDED MAY

Dollars in millions

 

    2012         2011          2010       

Cash flows from operating activities:

             

Net income

  $ 474.4        $ 819.4         $ 611.0      

Income (loss) from discontinued operations

    0.1          (11.5        (19.3   
 

 

 

     

 

 

      

 

 

    

Income from continuing operations

    474.3          830.9           630.3      

Adjustments to reconcile income from continuing operations to net cash flows from operating activities:

             

Depreciation and amortization

    371.8          360.9           324.1      

Gain on sale of businesses

                       (14.3   

Gain on acquisition of controlling interest in Agro Tech Foods, Ltd.

    (58.7                      

Asset impairment charges

    8.6          19.8           64.4      

Impairment charges related to Garner accident

                       31.5      

Insurance recoveries recognized related to Garner accident

             (109.4        (58.1   

Receipts from insurance carriers related to Garner accident

             64.5           50.2      

Earnings of affiliates less than (in excess of) distributions

    (17.6       (13.1        8.5      

Share-based payments expense

    41.8          44.8           55.8      

Proceeds from settlement of interest rate swaps

             31.5                

Pension expense

    421.8          54.0           227.4      

Contributions to Company pension plans

    (326.4       (129.4        (122.6   

Non-cash interest income on payment-in-kind notes

                       (67.9   

Receipt of interest on payment-in-kind notes earned in prior years

             102.8           6.2      

Gain on collection of payment-in-kind notes

             (25.0             

Other items (including noncurrent deferred income taxes)

    (11.3       212.9           (25.4   

Change in operating assets and liabilities excluding effects of business acquisitions and dispositions:

             

Accounts receivable

    (4.3       2.8           (90.1   

Inventories

    14.9          (190.7        199.6      

Prepaid expenses and other current assets

    7.5          31.6           (20.0   

Accounts payable

    82.1          185.0           73.9      

Accrued payroll

    48.4          (139.2        96.9      

Other accrued liabilities

    (3.2       5.3           59.6      
 

 

 

     

 

 

      

 

 

    

Net cash flows from operating activities—continuing operations

    1,049.7          1,340.0           1,430.0      

Net cash flows from operating activities—discontinued operations

    2.3          12.3           42.7      
 

 

 

     

 

 

      

 

 

    

Net cash flows from operating activities

    1,052.0          1,352.3           1,472.7      
 

 

 

     

 

 

      

 

 

    

Cash flows from investing activities:

             

Additions to property, plant and equipment

    (336.7       (466.2        (482.3   

Purchase of businesses, net of cash acquired

    (635.2       (131.1        (103.5   

Receipts from insurance carriers related to Garner accident

             18.0           34.8      

Purchase of secured loan

    (39.6                      

Sale of property, plant and equipment

    9.7          18.9           88.4      

Purchase of intangible assets

    (62.5       (18.0        (3.0   

Proceeds from collection of payment-in-kind notes

             412.5           91.9      

Sale of businesses

                       21.7      
 

 

 

     

 

 

      

 

 

    

Net cash flows from investing activities—continuing operations

    (1,064.3       (165.9        (352.0   

Net cash flows from investing activities—discontinued operations

             254.8           (3.3   
 

 

 

     

 

 

      

 

 

    

Net cash flows from investing activities

    (1,064.3       88.9           (355.3   
 

 

 

     

 

 

      

 

 

    

Cash flows from financing activities:

             

Net short-term borrowings

    40.0                         

Repayment of long-term debt

    (363.6       (294.3        (15.8   

Repurchase of ConAgra Foods common shares

    (352.4       (825.0        (100.0   

Cash dividends paid

    (388.6       (374.5        (346.7   

Exercise of stock options and issuance of other stock awards

    213.2          59.7           54.7      

Other items

    1.8          2.1           3.9      
 

 

 

     

 

 

      

 

 

    

Net cash flows from financing activities—continuing operations

    (849.6       (1,432.0        (403.9   

Net cash flows from financing activities—discontinued operations

             (0.1        (0.6   
 

 

 

     

 

 

      

 

 

    

Net cash flows from financing activities

    (849.6       (1,432.1        (404.5   
 

 

 

     

 

 

      

 

 

    

Effect of exchange rate changes on cash and cash equivalents

    (7.5       10.1           (2.9   

Net change in cash and cash equivalents

    (869.4       19.2           710.0      

Cash and cash equivalents at beginning of year

    972.4          953.2           243.2      
 

 

 

     

 

 

      

 

 

    

Cash and cash equivalents at end of year

  $         103.0        $         972.4         $         953.2      
 

 

 

     

 

 

      

 

 

    

The accompanying Notes are an integral part of the consolidated financial statements.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

1.  SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

Fiscal Year—The fiscal year of ConAgra Foods, Inc. (“ConAgra Foods”, “Company”, “we”, “us”, or “our”) ends the last Sunday in May. The fiscal years for the consolidated financial statements presented consist of 52-week periods for fiscal years 2012, 2011, and 2010.

Basis of Consolidation—The consolidated financial statements include the accounts of ConAgra Foods, Inc. and all majority-owned subsidiaries. In addition, the accounts of all variable interest entities for which we have been determined to be the primary beneficiary are included in our consolidated financial statements from the date such determination is made. All significant intercompany investments, accounts, and transactions have been eliminated.

Investments in Unconsolidated Affiliates—The investments in, and the operating results of, 50%-or-less-owned entities not required to be consolidated are included in the consolidated financial statements on the basis of the equity method of accounting or the cost method of accounting, depending on specific facts and circumstances.

We review our investments in unconsolidated affiliates for impairment whenever events or changes in business circumstances indicate that the carrying amount of the investments may not be fully recoverable. Evidence of a loss in value that is other than temporary include, but are not limited to, the absence of an ability to recover the carrying amount of the investment, the inability of the investee to sustain an earnings capacity which would justify the carrying amount of the investment, or, where applicable, estimated sales proceeds which are insufficient to recover the carrying amount of the investment. Management’s assessment as to whether any decline in value is other than temporary is based on our ability and intent to hold the investment and whether evidence indicating the carrying value of the investment is recoverable within a reasonable period of time outweighs evidence to the contrary. Management generally considers our investments in equity method investees to be strategic long-term investments. Therefore, management completes its assessments with a long-term viewpoint. If the fair value of the investment is determined to be less than the carrying value and the decline in value is considered to be other than temporary, an appropriate write-down is recorded based on the excess of the carrying value over the best estimate of fair value of the investment.

Cash and Cash Equivalents—Cash and all highly liquid investments with an original maturity of three months or less at the date of acquisition, including short-term time deposits and government agency and corporate obligations, are classified as cash and cash equivalents.

Inventories—We principally use the lower of cost (determined using the first-in, first-out method) or market for valuing inventories other than merchandisable agricultural commodities. Grain and flour inventories are principally stated at market value.

Property, Plant and Equipment—Property, plant and equipment are carried at cost. Depreciation has been calculated using the straight-line method over the estimated useful lives of the respective classes of assets as follows:

 

Land improvements

   1 - 40 years 

Buildings

   15 - 40 years

Machinery and equipment

   3 - 20 years 

Furniture, fixtures, office equipment and other

   5 - 15 years 

We review property, plant and equipment for impairment whenever events or changes in business circumstances indicate that the carrying amount of the assets may not be fully recoverable. Recoverability of an asset considered “held-and-used” is determined by comparing the carrying amount of the asset to the undiscounted net cash flows expected to be generated from the use of the asset. If the carrying amount is greater than the undiscounted net cash flows expected to be generated by the asset, the asset’s carrying amount is reduced to its estimated fair value. An asset considered “held-for-sale” is reported at the lower of the asset’s carrying amount or fair value.

 

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Table of Contents

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Goodwill and Other Identifiable Intangible Assets—Goodwill and other identifiable intangible assets with indefinite lives (e.g., brands or trademarks) are not amortized and are tested annually for impairment of value and whenever events or changes in circumstances indicate the carrying amount of the asset may be impaired. A significant amount of judgment is involved in determining if an indicator of impairment has occurred. Such indicators may include deterioration in general economic conditions, adverse changes in the markets in which an entity operates, increases in input costs that have negative effects on earnings and cash flows, or a trend of negative or declining cash flows over multiple periods, among others. The fair value that could be realized in an actual transaction may differ from that used to evaluate the impairment of goodwill and other intangible assets.

In September 2011, new accounting guidance was issued for testing goodwill for impairment. The guidance provides an entity the option to first assess qualitative factors to determine whether the existence of events or circumstances leads to a determination that it is more likely than not (more than 50%) that the estimated fair value of a reporting unit is less than its carrying amount. If an entity elects to perform a qualitative assessment and determines that an impairment is more likely than not, the entity is then required to perform the existing two-step quantitative impairment test, otherwise no further analysis is required. An entity also may elect not to perform the qualitative assessment and, instead, proceed directly to the two-step quantitative impairment test.

In the third quarter of fiscal 2012, in conjunction with management’s annual review of goodwill, we early adopted the new guidance. Under the qualitative assessment, various events and circumstances that would affect the estimated fair value of a reporting unit are identified (similar to impairment indicators above). Furthermore, management considers the results of the most recent two-step quantitative impairment test completed for a reporting unit (this would be fiscal 2011 in which the estimated fair values of all reporting units were substantially in excess of their carrying values) and compares the weighted average cost of capital (WACC) between the current and prior years for each reporting unit.

Under the two-step quantitative impairment test, the evaluation of impairment involves comparing the current fair value of each reporting unit to its carrying value, including goodwill. The first step of the test compares the carrying value of a reporting unit, including goodwill, with its fair value. We estimate the fair value using level 3 inputs as defined by the fair value hierarchy. Refer to Note 21 for the definition of the levels in the fair value hierarchy. The inputs used to calculate the fair value include a number of subjective factors, such as estimates of future cash flows, estimates of our future cost structure, discount rates for our estimated cash flows, required level of working capital, assumed terminal value, and time horizon of cash flow forecasts. If the carrying value of a reporting unit exceeds its fair value, we complete the second step of the test to determine the amount of goodwill impairment loss to be recognized. In the second step, we estimate an implied fair value of the reporting unit’s goodwill by allocating the fair value of the reporting unit to all of the assets and liabilities other than goodwill (including any unrecognized intangible assets). The impairment loss is equal to the excess of the carrying value of the goodwill over the implied fair value of that goodwill.

During the fiscal 2012 annual review of goodwill, management performed the qualitative assessment for all reporting units and concluded that it was more likely than not that their estimated fair values exceeded their carrying values. As such, no further analysis was required.

Identifiable intangible assets with definite lives (e.g., licensing arrangements with contractual lives or customer relationships) are amortized over their estimated useful lives and tested for impairment whenever events or changes in circumstances indicate the carrying amount of the asset may be impaired. Identifiable intangible assets with definite lives are evaluated for impairment using a process similar to that used in evaluating elements of property, plant and equipment. If impaired, the asset is written down to its fair value.

Fair Values of Financial Instruments—Unless otherwise specified, we believe the carrying value of financial instruments approximates their fair value.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Environmental Liabilities—Environmental liabilities are accrued when it is probable that obligations have been incurred and the associated amounts can be reasonably estimated. We use third-party specialists to assist management in appropriately measuring the obligations associated with environmental liabilities. Such liabilities are adjusted as new information develops or circumstances change. We do not discount our environmental liabilities as the timing of the anticipated cash payments is not fixed or readily determinable. Management’s estimate of our potential liability is independent of any potential recovery of insurance proceeds or indemnification arrangements. We do not reduce our environmental liabilities for potential insurance recoveries.

Employment-Related Benefits—Employment-related benefits associated with pensions, postretirement health care benefits, and workers’ compensation are expensed as such obligations are incurred. The recognition of expense is impacted by estimates made by management, such as discount rates used to value these liabilities, future health care costs, and employee accidents incurred but not yet reported. We use third-party specialists to assist management in appropriately measuring the obligations associated with employment-related benefits.

In May 2012, we elected to change our method of accounting for pension benefits. Historically, we have recognized actuarial gains and losses in accumulated other comprehensive income (loss) in the consolidated balance sheets upon each plan remeasurement, amortizing them into operating results over the average future service period of active employees in these plans, to the extent such gains and losses were in excess of 10% of the greater of the market-related value of plan assets or the plan’s projected benefit obligation (“the corridor”). We have elected to immediately recognize actuarial gains and losses in our operating results in the year in which they occur, to the extent they exceed the corridor, eliminating the amortization. Actuarial gains and losses outside the corridor, to the extent they occur, will be recognized annually as of our measurement date, which is our fiscal year-end, or when measurement is required otherwise under generally accepted accounting principles. Additionally, for purposes of calculating the expected return on plan assets, we will no longer use the market-related value of plan assets, an averaging technique permitted under generally accepted accounting principles, but instead will use the fair value of plan assets. These changes are intended to improve the transparency of our operating results by more quickly recognizing the effects of changes in plan asset values and the impact of current interest rates on plan obligations.

These changes have been reported through retrospective application of the new policies to all periods presented, by recalculating all actuarial gains and losses under the new method back to a reasonable period of time when actuarial gains and losses recognized were immaterial. The Company also considered the impact of

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

the revised pension expense on cost of goods sold in its assessment of the impact of all adjustments in application of the new policy. The impacts of all adjustments made to the financial statements are summarized below:

Consolidated Statement of Operations

 

    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Selling, general and administrative expenses

  $     1,511.1      $     1,509.9      $     (1.2   $     1,819.4      $     1,987.7      $     168.3   

Cost of goods sold

    9,389.6        9,389.6               8,953.7        8,966.3        12.6   

Income tax expense

    421.0        421.6        0.6        360.9        292.3        (68.6

Income from continuing operations

    830.3        830.9        0.6        742.6        630.3        (112.3

Net income

    818.8        819.4        0.6        723.3        611.0        (112.3

Net income attributable to ConAgra Foods, Inc.

    817.0        817.6        0.6        725.8        613.5        (112.3

Earnings per share from continuing operations-basic

  $ 1.92      $ 1.92      $      $ 1.68      $ 1.43      $ (0.25

Earnings per share attributable to ConAgra Foods-basic

  $ 1.90      $ 1.90      $      $ 1.63      $ 1.38      $ (0.25

Earnings per share from continuing operations-diluted

  $ 1.90      $ 1.90      $      $ 1.66      $ 1.41      $ (0.25

Earnings per share attributable to ConAgra Foods-diluted

  $ 1.88      $ 1.88      $      $ 1.62      $ 1.37      $ (0.25

Consolidated Balance Sheet

 

     May 29, 2011  
     Previously
Reported*
    Revised     Effect of
Change
 

Retained earnings

   $     4,821.8      $     4,690.3      $     (131.5

Accumulated other comprehensive loss

     (222.7     (91.2     131.5   

Consolidated Statement of Cash Flows

 

     Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
     Previously
Reported
     Revised      Effect of
Change
    Previously
Reported
     Revised     Effect of
Change
 

Cash flows from operating activities:

               

Net income

   $ 818.8       $ 819.4       $ 0.6      $ 723.3       $ 611.0      $     (112.3

Income from continuing operations

     830.3         830.9         0.6        742.6         630.3        (112.3

Pension expense

             54.0         54.0                227.4        227.4   

Other items

     267.5         212.9             (54.6     89.7         (25.4     (115.1

Net cash flows from operating activities

         1,352.3             1,352.3                    1,472.7             1,472.7          

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Consolidated Statement of Common Stockholders’ Equity

 

     Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
     Previously
Reported*
    Revised     Effect of
Change
    Previously
Reported*
    Revised     Effect of
Change
 

Retained earnings:

            

Beginning balance

   $     4,385.3      $     4,253.2      $     (132.1   $     4,010.7      $     3,990.9      $ (19.8

Net income

     817.0        817.6        0.6        725.8        613.5            (112.3

Ending balance

     4,821.8        4,690.3        (131.5     4,385.3        4,253.2        (132.1

Accumulated other comprehensive loss:

            

Beginning balance

     (285.3     (153.2     132.1        (103.7     (83.9     19.8   

Pensions and postretirement healthcare benefits

     24.2        23.6        (0.6     (178.1     (65.8     112.3   

Ending balance

     (222.7     (91.2     131.5        (285.3     (153.2     132.1   

Total equity

     4,676.7        4,676.7               4,897.1        4,897.1          

Consolidated Statement of Comprehensive Income

 

     Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
     Previously
Reported
     Revised      Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Net income

   $     818.8       $     819.4       $     0.6      $     723.3      $     611.0      $     (112.3

Pension and postretirement healthcare liabilities, net of tax

     24.2         23.6         (0.6     (178.1     (65.8     112.3   

 

* Retained earnings also reflects the impact of the change related to income taxes as discussed in Note 16.

Revenue Recognition—Revenue is recognized when title and risk of loss are transferred to customers upon delivery based on terms of sale and collectability is reasonably assured. Revenue is recognized as the net amount to be received after deducting estimated amounts for discounts, trade allowances, and returns of damaged and out-of-date products. Changes in the market value of inventories of merchandisable agricultural commodities, and the fair values of forward cash purchase and sales contracts, and exchange-traded futures and options contracts are recognized in earnings immediately.

Shipping and Handling—Amounts billed to customers related to shipping and handling are included in net sales. Shipping and handling costs are included in cost of goods sold.

Marketing Costs—We promote our products with advertising, consumer incentives, and trade promotions. Such programs include, but are not limited to, discounts, coupons, rebates, and volume-based incentives. Advertising costs are expensed as incurred. Consumer incentives and trade promotion activities are recorded as a reduction of revenue or as a component of cost of goods sold based on amounts estimated as being due to customers and consumers at the end of the period, based principally on historical utilization and redemption rates. Advertising and promotion expenses totaled $364.5 million, $371.9 million, and $409.1 million in fiscal 2012, 2011, and 2010, respectively, and are included in selling, general and administrative expenses.

Research and Development—We incurred expenses of $86.0 million, $81.4 million, and $77.9 million for research and development activities in fiscal 2012, 2011, and 2010, respectively.

Comprehensive IncomeComprehensive income includes net income, currency translation adjustments, certain derivative-related activity, changes in the value of available-for-sale investments, and changes in prior

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

service cost and net actuarial gains/losses from pension (only amounts within the corridor) and postretirement health care plans. We generally deem our foreign investments to be essentially permanent in nature and, as such, we do not provide for taxes on currency translation adjustments arising from converting the investment in a foreign currency to U.S. dollars. When we determine that a foreign investment, as well as undistributed earnings, are no longer permanent in nature, estimated taxes are provided for the related deferred taxes, if any, resulting from currency translation adjustments. We reclassified $6.0 million of foreign currency translation net losses to net income in fiscal 2012 due to our acquisition of a majority interest in Agro Tech Foods Limited in India (“ATFL”) and the related remeasurement of our previously held noncontrolling equity interest in ATFL to fair value (see Note 3). We reclassified $1.6 million of foreign currency translation net gains to net income due to the disposal or substantial liquidation of foreign subsidiaries in fiscal 2011.

The following is a rollforward of the balances in accumulated other comprehensive income (loss), net of tax (except for currency translation adjustment):

 

    Currency
Translation
Adjustment,
Net of
Reclassification
Adjustments
         Net
Derivative
Adjustment, Net
of  Reclassification
Adjustments
         Unrealized
Loss on
Available-
For-Sale
Securities, Net
of
Reclassification
Adjustments
        Pension and
Postretirement
Adjustments
        Accumulated
Other
Comprehensive
Income (Loss)
 

Balance at May 31, 2009

  $ 52.6         $ (1.2      $ (1.2     $ (134.1     $ (83.9

Current-period change

    (3.7        0.2                    (65.8       (69.3
 

 

 

      

 

 

      

 

 

     

 

 

     

 

 

 

Balance at May 30, 2010

    48.9           (1.0        (1.2       (199.9       (153.2

Current-period change

    45.7           (7.2        (0.1       23.6          62.0   
 

 

 

      

 

 

      

 

 

     

 

 

     

 

 

 

Balance at May 29, 2011

    94.6           (8.2        (1.3       (176.3       (91.2

Current-period change

    (52.0        (89.1        (0.1       (66.7       (207.9
 

 

 

      

 

 

      

 

 

     

 

 

     

 

 

 

Balance at May 27, 2012

  $             42.6         $             (97.3      $             (1.4     $         (243.0     $         (299.1
 

 

 

      

 

 

      

 

 

     

 

 

     

 

 

 

The following details the income tax expense (benefit) on components of other comprehensive income (loss):

 

     2012     2011     2010  

Net derivative adjustment

   $         (52.7   $         (4.2   $         0.1   

Unrealized losses on available-for-sale securities

     (0.1     (0.1       

Pension and postretirement healthcare liabilities

     (35.4     15.8        (40.0

Foreign Currency Transaction Gains and Losses—We recognized net foreign currency transaction gains (losses) from continuing operations of $(3.9) million, $3.9 million, and $(6.2) million in fiscal 2012, 2011, and 2010, respectively, in selling, general and administrative expenses.

Use of Estimates—Preparation of financial statements in conformity with generally accepted accounting principles requires management to make estimates and assumptions. These estimates and assumptions affect reported amounts of assets, liabilities, revenues, and expenses as reflected in the consolidated financial statements. Actual results could differ from these estimates.

Reclassifications—Certain prior year amounts have been reclassified to conform with current year presentation.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

2. DISCONTINUED OPERATIONS AND DIVESTITURES

Frozen Handhelds Operations

During fiscal 2011, we completed the sale of substantially all of the assets of our frozen handhelds operations for $8.8 million in cash. We recognized impairment and related charges totaling $21.7 million ($14.2 million after-tax) in fiscal 2011. We reflected the results of these operations as discontinued operations for all periods presented.

Gilroy Foods & FlavorsTM Operations

During fiscal 2011, we completed the sale of substantially all of the assets of Gilroy Foods & FlavorsTM dehydrated garlic, onion, capsicum and Controlled MoistureTM, GardenFrost®, Redi-MadeTM, and fresh vegetable operations for $245.7 million in cash. Based on our estimate of proceeds from the sale of this business, we recognized impairment and related charges totaling $59.2 million ($39.9 million after-tax) in fiscal 2010. We reflected the results of these operations as discontinued operations for all periods presented.

In connection with the sale of this business, we entered into agreements to purchase certain ingredients, at prices approximating market rates, from the divested business for a period of five years. The continuing cash flows related to these agreements are not significant, and, accordingly, are not deemed to be direct cash flows of the divested business.

The results of the aforementioned businesses which have been divested are included within discontinued operations. The summary comparative financial results of discontinued operations were as follows:

 

    2012          2011         2010  

Net sales

  $         0.5         $         92.4        $         355.2   
 

 

 

      

 

 

     

 

 

 

Long-lived asset impairment charge

              (21.7       (58.3

Income (loss) from operations of discontinued operations before income taxes

    0.1           (18.6       (38.9
 

 

 

      

 

 

     

 

 

 

Income (loss) before income taxes

    0.1           (18.6       (38.9

Income tax benefit

              7.1          19.6   
 

 

 

      

 

 

     

 

 

 

Income (loss) from discontinued operations, net of tax

  $ 0.1         $ (11.5     $ (19.3
 

 

 

      

 

 

     

 

 

 

The effective tax rate for discontinued operations varies significantly from the statutory rate in certain years due to the non-deductibility of a portion of the goodwill of divested businesses and changes in estimates of income taxes.

Other Divestitures

In February 2010, we completed the sale of our Luck’s® brand for proceeds of approximately $22.0 million, resulting in a pre-tax gain of approximately $14.3 million ($9.0 million after-tax), reflected in selling, general and administrative expenses.

3. ACQUISITIONS

In May 2012, we acquired Kangaroo Brands’ pita chip operations for $47.9 million in cash, plus assumed liabilities. Approximately $41.2 million of the purchase price was allocated to goodwill pending determination of the fair values of assets and liabilities acquired. The amount allocated to goodwill is deductible for income tax purposes. This business is included in the Consumer Foods segment.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

In May 2012, we acquired Odom’s Tennessee Pride for $94.9 million in cash, plus assumed liabilities. The business manufactures Odom’s Tennessee Pride® frozen breakfast products and other sausage products. Approximately $30.5 million of the purchase price was allocated to goodwill and $24.5 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is not deductible for income tax purposes. This business is included in the Consumer Foods segment.

In March 2012, we acquired Del Monte Canada for $185.6 million in cash, plus assumed liabilities. The acquisition includes all Del Monte® branded packaged fruit, fruit snacks, and vegetable products in Canada, as well as Aylmer® brand tomato products. Approximately $36.1 million of the purchase price was allocated to goodwill and $86.9 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is not deductible for income tax purposes. This business is included in the Consumer Foods segment.

In November 2011, we acquired National Pretzel Company for $301.9 million in cash, net of cash acquired, plus assumed liabilities. National Pretzel Company is a private label supplier and branded producer of pretzels and related products. All products are produced at its manufacturing facilities in California and Pennsylvania. Approximately $178.5 million of the purchase price was allocated to goodwill and $68.2 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is deductible for income tax purposes. This business is included in the Consumer Foods segment.

In November 2011, we acquired an additional equity interest in ATFL for $4.9 million in cash, net of cash acquired, plus assumed liabilities. ATFL is a publicly traded company in India that markets food and food ingredients to consumers and institutional customers in India. Approximately $132.5 million of the acquisition value was allocated to goodwill and $40.0 million was allocated to trade names. The amount allocated to goodwill is not deductible for income tax purposes. As a result of this additional investment, we now have a majority interest (approximately 52%) in ATFL, and we have consolidated the financial statements of ATFL beginning in the third quarter of fiscal 2012. Prior to our acquisition of a majority interest in ATFL, we accounted for our noncontrolling interest (approximately 48% of the outstanding common shares) under the equity method. In accordance with the acquisition method of accounting, in the third quarter of fiscal 2012, we remeasured our previously held noncontrolling equity interest in ATFL at fair value and recorded a gain of approximately $58.7 million in selling, general and administrative expenses, which represents the excess of the fair value over the carrying value of our noncontrolling equity interest in ATFL. The fair value of ATFL was determined based upon the closing price of ATFL common shares as the date of the acquisition of this additional investment. Consolidated financial results of ATFL are included in the Consumer Foods segment.

In June 2010, we acquired the assets of American Pie, LLC (“American Pie”) for $131.0 million in cash plus assumed liabilities. American Pie is a manufacturer of frozen fruit pies, thaw and serve pies, fruit cobblers, and pie crusts under the licensed Marie Callender’s® and Claim Jumper® trade names, as well as frozen dinners, pot pies, and appetizers under the Claim Jumper® trade name. Approximately $51.5 million of the purchase price was allocated to goodwill and $61.3 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is deductible for income tax purposes. This business is included in the Consumer Foods segment.

In April 2010, we acquired Elan Nutrition, Inc., a privately held formulator and manufacturer of private label snack and nutrition bars, for $103.5 million in cash, plus assumed liabilities. Approximately $66.4 million of the purchase price was allocated to goodwill and $33.6 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is not deductible for income tax purposes. This business is included in the Consumer Foods segment.

For each of these acquisitions, the amounts allocated to goodwill were primarily attributable to anticipated synergies, product portfolios, and other intangibles that do not qualify for separate recognition.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Under the acquisition method of accounting, the assets acquired and liabilities assumed in these acquisitions were recorded at their respective estimated fair values at the date of acquisition. The fair values of the assets and liabilities related to the ATFL, Del Monte Canada, Odom’s Tennessee Pride, and Kangaroo Brands’ pita chip operations are subject to refinement as we complete our analyses relative to the fair values at the respective acquisition dates.

The following unaudited pro forma financial information presents the combined results of operations as if the acquisitions of National Pretzel Company, the majority interest in ATFL, Del Monte Canada, Odoms Tennessee Pride, and the Kangaroo Brands’ pita chip operations (the acquirees) had occurred at the beginning of each period presented. The acquirees’ pre-acquisition results have been added to ConAgra Foods’ historical results. The pro forma results contained in the table below include adjustments for amortization of acquired intangibles and depreciation expense, as well as related income taxes. These pro forma results may not necessarily reflect the actual results of operations that would have been achieved, nor are they necessarily indicative of future results of operations.

 

     For the Fiscal Years Ended May  
     2012      2011      2010  

Pro forma net sales

   $     13,749.7       $     12,979.1       $     12,653.5   

Pro forma net income

   $ 497.7       $ 873.6       $ 667.3   

Pro forma net income from continuing operations per share-basic

   $ 1.21       $ 2.03       $ 1.50   

Pro forma net income from continuing operations per share-diluted

   $ 1.19       $ 2.01       $ 1.49   

4. PAYMENT-IN-KIND NOTES RECEIVABLE

In connection with the divestiture of the trading and merchandising operations in fiscal 2009, we received $550.0 million (face value) of payment-in-kind debt securities (the “Notes”) issued by the purchaser of the divested business. The Notes were recorded at an initial estimated fair value of $479.4 million.

The Notes were issued in three tranches: $99,990,000 original principal amount of 10.5% notes due June 19, 2010; $200,035,000 original principal amount of 10.75% notes due June 19, 2011; and $249,975,000 original principal amount of 11.0% notes due June 19, 2012. The Notes permitted payment of interest in cash or additional notes.

During fiscal 2010, we received $115.4 million as payment in full of all principal and interest due on the first tranche of the Notes, in advance of the scheduled maturity date. During fiscal 2011, we received $554.2 million as payment in full of all principal and interest due on the second and third tranches of the Notes, in advance of the scheduled maturity dates. As a result, we recognized a gain of $25.0 million in fiscal 2011.

5. GARNER, NORTH CAROLINA ACCIDENT

On June 9, 2009, an accidental explosion occurred at our manufacturing facility in Garner, North Carolina (the “Garner accident”). This facility was the primary production facility for our Slim Jim® branded meat snacks.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The costs incurred and insurance recoveries recognized, for fiscal 2011 and 2010, were reflected in our consolidated financial statements as follows:

 

        Fiscal Year Ended May 29, 2011         Fiscal Year Ended May 30, 2010  
        Consumer
Foods
        Corporate          Total         Consumer
Foods
        Corporate          Total  

Cost of goods sold:

                         

Inventory write-downs and other costs

    $ 0.9        $         $ 0.9        $     11.9        $         $     11.9   

Selling, general and administrative expenses:

                         

Fixed asset impairments, clean-up costs, etc.

      2.6          0.6           3.2          47.5          2.6           50.1   

Insurance recoveries recognized

      (109.4                 (109.4       (58.1                 (58.1
   

 

 

     

 

 

      

 

 

     

 

 

     

 

 

      

 

 

 

Total selling, general and administrative expenses

      (106.8       0.6           (106.2       (10.6       2.6           (8.0
   

 

 

     

 

 

      

 

 

     

 

 

     

 

 

      

 

 

 

Net loss (gain)

    $     (105.9     $     0.6         $     (105.3     $ 1.3        $     2.6         $ 3.9   
   

 

 

     

 

 

      

 

 

     

 

 

     

 

 

      

 

 

 

The amounts in the table above exclude actual lost profits due to the interruption of the meat snacks business in the periods presented, but do reflect the recovery of the related business interruption insurance claim in fiscal 2011.

During fiscal 2011, the Company settled its property and business interruption claims related to the Garner accident with our insurance providers. The total payments received from the insurers in fiscal 2010 and 2011 were $167.5 million and all previously deferred balances were immediately recognized upon settlement of the insurance claim in fiscal 2011. The insurance recoveries recognized in fiscal 2011, included in selling, general and administrative expenses, totaled $109.4 million, representing $84.0 million of reimbursement for business interruption, a $21.3 million gain on involuntary conversion of property, plant and equipment, and recovery of other expenses incurred of $4.1 million.

6.  RESTRUCTURING ACTIVITIES

Acquisition-related restructuring

We anticipate incurring costs in connection with actions we take to attain synergies when integrating recently acquired businesses. These costs, collectively referred to as “acquisition-related exit costs”, include severance and other costs associated with consolidating facilities and administrative functions. In connection with the acquisition-related exit costs, we expect to incur pre-tax cash and non-cash charges for asset impairments, accelerated depreciation, severance, relocation, and site closure costs of $18.4 million. We anticipate that we will recognize the

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

following pre-tax cash and non-cash acquisition-related exit costs, all within our Consumer Foods reporting segment, during fiscal 2012 to 2014 (amounts include charges recognized in fiscal 2012):

 

    Total  

Accelerated depreciation

  $ 8.5   
 

 

 

 

Total cost of goods sold

    8.5   
 

 

 

 

Severance and related costs

    9.9   
 

 

 

 

Total selling, general and administrative expenses

    9.9   
 

 

 

 

Consolidated total

  $     18.4   
 

 

 

 

Included in the above estimates are $9.9 million of charges which have resulted or will result in cash outflows and $8.5 million of non-cash charges.

During fiscal 2012, we recognized the following pre-tax charges in our consolidated statement of earnings, all within our Consumer Foods reporting segment, for acquisition-related exit costs:

 

    Total  

Accelerated depreciation

  $     0.2   
 

 

 

 

Total cost of goods sold

    0.2   
 

 

 

 

Severance and related costs

    4.3   
 

 

 

 

Total selling, general and administrative expenses

    4.3   
 

 

 

 

Consolidated total

  $ 4.5   
 

 

 

 

Liabilities recorded for acquisition-related exit costs and changes therein for fiscal 2012 were as follows:

 

    Balance at
May  29,
2011
        Costs Incurred
and Charged
to Expense
        Balance at
May  27,
2012
 

Severance and related costs

  $         —        $         4.3        $         4.3   
 

 

 

     

 

 

     

 

 

 

Total

  $        $ 4.3        $ 4.3   
 

 

 

     

 

 

     

 

 

 

Administrative Efficiency Restructuring Plan

In August 2011, we made a decision to reorganize our Consumer Foods sales function and certain other administrative functions within our Commercial Foods and Corporate reporting segments. These actions, collectively referred to as the “Administrative Efficiency Plan,” are intended to improve the efficiency and effectiveness of the affected sales and administrative functions. In connection with the Administrative Efficiency Plan, we expect to incur approximately $18.8 million of charges, primarily for severance and costs of employee relocation. We anticipate that we will recognize the following pre-tax expenses associated with the

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Administrative Efficiency Plan in the fiscal 2012 to 2013 timeframe (amounts include charges recognized in fiscal 2012):

 

    Consumer
Foods
        Commercial
Foods
        Corporate         Total  

Accelerated depreciation

  $         —        $         —        $         1.5        $         1.5   

Severance and related costs

    6.5                   2.3          8.8   

Other, net

    7.0          1.3          0.2         8.5   
 

 

 

     

 

 

     

 

 

     

 

 

 

Total selling, general and administrative expenses

    13.5          1.3          4.0          18.8   
 

 

 

     

 

 

     

 

 

     

 

 

 

Consolidated total

  $ 13.5        $ 1.3        $ 4.0        $ 18.8   
 

 

 

     

 

 

     

 

 

     

 

 

 

\

Included in the above estimates are $17.3 million of charges that have resulted or will result in cash outflows and $1.5 million of non-cash charges.

During fiscal 2012, we recognized the following pre-tax charges in our consolidated statement of earnings for the Administrative Efficiency Plan:

 

    Consumer
Foods
        Commercial
Foods
        Corporate         Total  

Accelerated depreciation

  $         —        $         —        $         1.1        $         1.1   

Severance and related costs

    6.2                  2.2          8.4   

Other, net

    6.0          1.0          0.2          7.2   
 

 

 

     

 

 

     

 

 

     

 

 

 

Total selling, general and administrative expenses

    12.2          1.0          3.5          16.7   
 

 

 

     

 

 

     

 

 

     

 

 

 

Consolidated total

  $ 12.2        $ 1.0        $ 3.5        $ 16.7   
 

 

 

     

 

 

     

 

 

     

 

 

 

Liabilities recorded for the various initiatives and changes therein for fiscal 2012 under the Administrative Efficiency Plan were as follows:

 

    Balance at
May  29,
2011
        Costs Incurred
and Charged
to Expense
        Costs Paid
or  Otherwise
Settled
        Changes  in
Estimates
        Balance at
May  27,
2012
 

Severance and related costs

  $         —        $         9.2        $         (6.3     $         (0.8     $         2.1   

Plan implementation costs

             7.1          (6.8                0.3   
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total

  $        $ 16.3        $ (13.1     $ (0.8     $ 2.4   
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Network Optimization Plan

During the third quarter of fiscal 2011, our Board of Directors approved a plan recommended by executive management designed to optimize our manufacturing and distribution networks. The plan consists of projects that involve, among other things, the exit of certain manufacturing facilities, the disposal of underutilized manufacturing assets, and actions designed to optimize our distribution network. The plan is expected to be implemented by the end of fiscal 2014 and is intended to improve the efficiency of our manufacturing operations and reduce costs. This plan is referred to as the Network Optimization Plan, which we previously referred to as the 2011 plan.

In connection with the Network Optimization Plan, we expect to incur pre-tax cash and non-cash charges of $83.2 million. We have recognized, and/or expect to recognize, expenses associated with the Network Optimization Plan, including but not limited to, impairments of property, plant and equipment, accelerated depreciation, severance and related costs, and plan implementation costs (e.g., consulting, employee relocation, etc.). We

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

anticipate that we will recognize the following pre-tax expenses associated with the Network Optimization Plan in the fiscal 2011 to 2014 timeframe (amounts include charges recognized in fiscal 2011 and 2012):

 

    Consumer
Foods
        Commercial
Foods
        Total  

Accelerated depreciation

  $         22.4        $         —        $         22.4   

Inventory write-offs and related costs

    11.2          0.4          11.6   
 

 

 

     

 

 

     

 

 

 

Total cost of goods sold

    33.6          0.4          34.0   
 

 

 

     

 

 

     

 

 

 

Asset impairment

    13.3          14.0          27.3   

Severance and related costs

    9.7          0.1          9.8   

Other, net

    10.6          1.5          12.1   
 

 

 

     

 

 

     

 

 

 

Total selling, general and administrative expenses

    33.6          15.6          49.2   
 

 

 

     

 

 

     

 

 

 

Consolidated total

  $ 67.2        $ 16.0        $ 83.2   
 

 

 

     

 

 

     

 

 

 

Included in the above estimates are $26.0 million of charges which have resulted or will result in cash outflows and $57.2 million of non-cash charges.

During fiscal 2012, we recognized the following pre-tax charges in our consolidated statement of earnings for the Network Optimization Plan:

 

    Consumer
Foods
         Commercial
Foods
         Total  

Accelerated depreciation

  $         15.5         $         —         $         15.5   

Inventory write-offs and related costs

    6.7           0.1           6.8   
 

 

 

      

 

 

      

 

 

 

Total cost of goods sold

    22.2           0.1           22.3   
 

 

 

      

 

 

      

 

 

 

Asset impairment

    4.7           3.5           8.2   

Severance and related costs

    4.6                     4.6   

Other, net

    5.2           1.5           6.7   
 

 

 

      

 

 

      

 

 

 

Total selling, general and administrative expenses

    14.5           5.0           19.5   

Consolidated total

  $ 36.7         $ 5.1         $ 41.8   
 

 

 

      

 

 

      

 

 

 

We recognized the following cumulative (plan inception to May 27, 2012) pre-tax charges related to the Network Optimization Plan in our consolidated statement of earnings:

 

    Consumer
Foods
         Commercial
Foods
         Total  

Accelerated depreciation

  $         20.5         $         —         $         20.5   

Inventory write-offs and related costs

    6.9           0.4           7.3   
 

 

 

      

 

 

      

 

 

 

Total cost of goods sold

    27.4           0.4           27.8   
 

 

 

      

 

 

      

 

 

 

Asset impairment

    13.3           14.0           27.3   

Severance and related costs

    9.5           0.1           9.6   

Other, net

    6.2           1.5           7.7   
 

 

 

      

 

 

      

 

 

 

Total selling, general and administrative expenses

    29.0           15.6           44.6   
 

 

 

      

 

 

      

 

 

 

Consolidated total

  $ 56.4         $ 16.0         $ 72.4   
 

 

 

      

 

 

      

 

 

 

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Liabilities recorded for the various initiatives and changes therein for fiscal 2012 under the Network Optimization Plan were as follows:

 

    Balance at
May  29,
2011
        Costs Incurred
and  Charged
to Expense
        Costs Paid
or  Otherwise
Settled
        Changes  in
Estimates
        Balance at
May  27,
2012
 

Severance and related costs

  $         4.8        $         3.8        $         (2.2     $         0.6        $         7.0   

Plan implementation costs

             7.5          (6.7                0.8   
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total

  $ 4.8        $ 11.3        $ (8.9     $ 0.6        $ 7.8   
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

2010 Restructuring Plan

During the fourth quarter of fiscal 2010, our Board of Directors approved a plan recommended by executive management related to the long-term production of our meat snack products. The plan provided for the closure of our meat snacks production facility in Garner, North Carolina and the movement of production to our existing facility in Troy, Ohio. Since the Garner accident, the Troy facility has been producing a portion of our meat snack products. By the end of fiscal 2011, the plan was substantially implemented and the facility had become our primary meat snacks production facility.

Also in the fourth quarter of fiscal 2010, we made a decision to consolidate certain administrative functions from Edina, Minnesota to Naperville, Illinois. We completed the transition of these functions in fiscal 2011. This plan, together with the plan to move production of our meat snacks from Garner, North Carolina to Troy, Ohio, is collectively referred to as the 2010 restructuring plan (“2010 plan”).

At the end of fiscal 2012, the implementation of the 2010 plan was substantially complete.

In connection with the 2010 plan, we incurred pre-tax cash and non-cash charges of $67.5 million, of which $2.6 million was recognized in fiscal 2012, $25.7 million was recognized in fiscal 2011 and $39.2 million was recognized in fiscal 2010. We have recognized expenses associated with the 2010 plan, including but not limited to, impairments of property, plant and equipment, accelerated depreciation, severance and related costs, and plan implementation costs (e.g., consulting, employee relocation, etc.). We recognized the following pre-tax expenses associated with the 2010 plan in the fiscal 2010 to 2012 timeframe (plan inception to May 27, 2012):

 

    Consumer
Foods
         Corporate          Total  

Accelerated depreciation

  $         19.1         $         —         $         19.1   

Inventory write-offs

    0.7                     0.7   
 

 

 

      

 

 

      

 

 

 

Total cost of goods sold

    19.8                     19.8   
 

 

 

      

 

 

      

 

 

 

Asset impairment

    17.5                     17.5   

Severance and related costs

    16.8                     16.8   

Other, net

    9.8           3.6           13.4   
 

 

 

      

 

 

      

 

 

 

Total selling, general and administrative expenses

    44.1           3.6           47.7   
 

 

 

      

 

 

      

 

 

 

Consolidated total

  $ 63.9         $ 3.6         $ 67.5   
 

 

 

      

 

 

      

 

 

 

Included in the above results are $28.3 million of charges which have resulted in cash outflows and $39.2 million of non-cash charges.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

7. VARIABLE INTEREST ENTITIES

Variable Interest Entities Consolidated

We own a 49.99% interest in Lamb Weston BSW, LLC (“Lamb Weston BSW”), a potato processing venture with Ochoa Ag Unlimited Foods, Inc. (“Ochoa”). We provide all sales and marketing services to Lamb Weston BSW. Under certain circumstances, we could be required to compensate Ochoa for lost profits resulting from significant production shortfalls (“production shortfalls”). Commencing on June 1, 2018, or on an earlier date under certain circumstances, we have a contractual right to purchase the remaining equity interest in Lamb Weston BSW from Ochoa (the “call option”). We are currently subject to a contractual obligation to purchase all of Ochoa’s equity investment in Lamb Weston BSW at the option of Ochoa (the “put option”). The purchase prices under the call option and the put option (the “options”) are based on the book value of Ochoa’s equity interest at the date of exercise, as modified by an agreed-upon rate of return for the holding period of the investment balance. The agreed-upon rate of return varies depending on the circumstances under which any of the options are exercised. As of May 27, 2012, the price at which Ochoa had the right to put its equity interest to us was $34.3 million. This amount is presented within other liabilities in our consolidated balance sheet. We have determined that Lamb Weston BSW is a variable interest entity and that we are the primary beneficiary of the entity. Accordingly, we consolidate the financial statements of Lamb Weston BSW.

In the first quarter of fiscal 2011, we repaid $35.4 million of bank borrowings of Lamb Weston BSW and took assignment of a promissory note from a lender of the joint venture, the balance of which was $36.1 million at May 27, 2012. The promissory note is due in December 2015. The promissory note is currently accruing interest at a rate of LIBOR plus 200 basis points with a floor of 3.25%. In addition, as of May 27, 2012, we provided lines of credit of up to $15.0 million to Lamb Weston BSW. Borrowings under the lines of credit bear interest at a rate of LIBOR plus 200 basis points with a floor of 3.25%. The amounts owed by Lamb Weston BSW to the Company are not reflected in our consolidated balance sheets, as they are eliminated in consolidation.

Our variable interests in Lamb Weston BSW include an equity investment in the venture, the options, the promissory note, certain fees paid to us by Lamb Weston BSW for sales and marketing services, the contingent obligation related to production shortfalls, and the lines of credit advanced to Lamb Weston BSW. Our maximum exposure to loss as a result of our involvement with this venture is equal to our equity investment in the venture, the balance of the promissory note extended to the venture, the amount, if any, advanced under the lines of credit, and the amount, if any, by which the put option exercise price exceeds the fair value of the noncontrolling interest in Lamb Weston BSW on, or after, the put option exercise date. Also, in the event of a production shortfall, we could be required to compensate the other equity owner of Lamb Weston BSW for lost profits. It is not possible to determine the maximum exposure to losses from the potential exercise of the put option or from potential production shortfalls. However, we do not expect to incur material losses resulting from these potential exposures.

We also consolidate the assets and liabilities of several entities from which we lease corporate aircraft. Each of these entities has been determined to be a variable interest entity and we have been determined to be the primary beneficiary of each of these entities. Under the terms of the aircraft leases, we provide guarantees to the owners of these entities of a minimum residual value of the aircraft at the end of the lease term. We also have fixed price purchase options on the aircraft leased from these entities. Our maximum exposure to loss from our involvement with these entities is limited to the difference between the fair value of the leased aircraft and the amount of the residual value guarantees at the time we terminate the leases (the leases expire thru October 2012). The total amount of the residual value guarantees for these aircraft at the end of the respective lease terms is $28.9 million.

 

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Table of Contents

Due to the consolidation of these variable interest entities, we reflected in our consolidated balance sheets:

 

    May 27,
2012
        May 29,
2011
 

Cash and cash equivalents

  $         10.2        $         5.3   

Receivables, less allowance for doubtful accounts

    20.9          18.9   

Inventories

    1.6          1.5   

Prepaid expenses and other current assets

    0.2          0.3   

Property, plant and equipment, net

    82.9          91.8   

Goodwill

    18.8          18.8   

Brands, trademarks and other intangibles, net

    8.3          9.0   
 

 

 

     

 

 

 

Total assets

  $  142.9        $  145.6   
 

 

 

     

 

 

 

Current installments of long-term debt

  $ 30.1        $ 13.4   

Accounts payable

    17.9          13.1   

Accrued payroll

    0.5          0.4   

Other accrued liabilities

    1.0          0.7   

Senior long-term debt, excluding current installments

             30.1   

Other noncurrent liabilities (minority interest)

    28.9          26.7   
 

 

 

     

 

 

 

Total liabilities

  $ 78.4        $ 84.4   
 

 

 

     

 

 

 

The liabilities recognized as a result of consolidating the Lamb Weston BSW entity do not represent additional claims on our general assets. The creditors of Lamb Weston BSW have claims only on the assets of Lamb Weston BSW. The assets recognized as a result of consolidating Lamb Weston BSW are the property of the venture and are not available to us for any other purpose, other than as a secured lender under the promissory note and lines of credit.

Variable Interest Entities Not Consolidated

We also have variable interests in certain other entities that we have determined to be variable interest entities, but for which we are not the primary beneficiary. We do not consolidate the financial statements of these entities.

We hold a 50% interest in Lamb Weston RDO, a potato processing venture. We provide all sales and marketing services to Lamb Weston RDO. We receive a fee for these services based on a percentage of the net sales of the venture. We reflect the value of our ownership interest in this venture in other assets in our consolidated balance sheets, based upon the equity method of accounting. The balance of our investment was $14.8 million and $13.6 million at May 27, 2012 and May 29, 2011, respectively, representing our maximum exposure to loss as a result of our involvement with this venture. The capital structure of Lamb Weston RDO includes owners’ equity of $29.6 million and term borrowings from banks of $42.5 million as of May 27, 2012. We have determined that we do not have the power to direct the activities that most significantly impact the economic performance of this venture.

We lease certain office buildings from entities that we have determined to be variable interest entities. The lease agreements with these entities include fixed-price purchase options for the assets being leased, representing our only variable interest in these lessor entities. These leases are accounted for as operating leases, and accordingly, there are no material assets or liabilities associated with these entities included in our balance sheets. We have no material exposure to loss from our variable interests in these entities. We have determined that we do

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

not have the power to direct the activities that most significantly impact the economic performance of these entities. In making this determination, we have considered, among other items, the terms of the lease agreements, the expected remaining useful lives of the assets leased, and the capital structure of the lessor entities.

8.   GOODWILL AND OTHER IDENTIFIABLE INTANGIBLE ASSETS

The change in the carrying amount of goodwill for fiscal 2012 and 2011 was as follows:

 

    Consumer
Foods
        Commercial
Foods
        Total  

Balance as of May 30, 2010

  $   3,421.3        $   128.6        $   3,549.9   

Acquisitions

    51.5                   51.5   

Translation and other

    6.9          1.1          8.0   
 

 

 

     

 

 

     

 

 

 

Balance as of May 29, 2011

  $ 3,479.7        $ 129.7        $ 3,609.4   
 

 

 

     

 

 

     

 

 

 

Acquisitions

    418.8                   418.8   

Translation and other

    (11.8       (1.0       (12.8
 

 

 

     

 

 

     

 

 

 

Balance as of May 27, 2012

  $ 3,886.7        $ 128.7        $ 4,015.4   
 

 

 

     

 

 

     

 

 

 

Other identifiable intangible assets were as follows:

 

    2012         2011  
    Gross
Carrying
Amount
        Accumulated
Amortization
        Gross
Carrying
Amount
        Accumulated
Amortization
 

Non-amortizing intangible assets

  $ 947.7        $        $ 771.2        $   

Amortizing intangible assets

    313.8          70.0          213.9          48.8   
 

 

 

     

 

 

     

 

 

     

 

 

 

Total

  $     1,261.5        $     70.0        $     985.1        $     48.8   
 

 

 

     

 

 

     

 

 

     

 

 

 

Non-amortizing intangible assets are comprised of brands and trademarks.

Amortizing intangible assets, carrying a weighted average life of approximately 14 years, are principally composed of customer relationships and licensing arrangements. For fiscal 2012, 2011, and 2010, we recognized amortization expense of $21.1 million, $17.8 million, and $7.8 million, respectively. Based on amortizing assets recognized in our balance sheet as of May 27, 2012, amortization expense is estimated to average approximately $21.4 million for each of the next five years, with a high expense of $23.9 million in fiscal year 2013 and decreasing to a low expense of $20.1 million in fiscal year 2017.

Refer to Note 3 for details of acquisition-related changes to goodwill.

In the first quarter of fiscal 2012, we acquired the Marie Callender’s® brand trademarks for $57.5 million in cash. This intangible asset is presented in the Consumer Foods segment.

9.  EARNINGS PER SHARE

Basic earnings per share is calculated on the basis of weighted average outstanding common shares. Diluted earnings per share is computed on the basis of basic weighted average outstanding common shares adjusted for the dilutive effect of stock options, restricted stock awards, and other dilutive securities.

 

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The following table reconciles the income and average share amounts used to compute both basic and diluted earnings per share:

 

    2012         2011         2010  

Net Income available to ConAgra Foods, Inc. common stockholders:

         

Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders

  $     467.8        $     829.1        $     632.8   

Income (loss) from discontinued operations, net of tax, attributable to ConAgra Foods, Inc. common stockholders

    0.1          (11.5       (19.3
 

 

 

     

 

 

     

 

 

 

Net income attributable to ConAgra Foods, Inc. common stockholders

    467.9          817.6          613.5   

Less: Increase in redemption value of noncontrolling interests in excess of earnings allocated

    (1.5       (1.9       (1.5
 

 

 

     

 

 

     

 

 

 

Net income available to ConAgra Foods, Inc. common stockholders

  $ 466.4        $ 815.7        $ 612.0   
 

 

 

     

 

 

     

 

 

 

Weighted Average Shares Outstanding:

         

Basic weighted average shares outstanding

    412.9          429.7          443.6   

Add: Dilutive effect of stock options, restricted stock awards, and other dilutive securities

    5.4          4.6          3.5   
 

 

 

     

 

 

     

 

 

 

Diluted weighted average shares outstanding

    418.3          434.3          447.1   
 

 

 

     

 

 

     

 

 

 

At the end of fiscal 2012, 2011, and 2010, there were 11.3 million, 15.8 million, and 18.8 million stock options outstanding, respectively, that were excluded from the computation of shares contingently issuable upon exercise of the stock options because exercise prices exceeded the annual average market value of our common stock.

10.  INVENTORIES

The major classes of inventories are as follows:

 

    2012         2011  

Raw materials and packaging

  $ 563.8        $ 639.5   

Work in progress

    96.5          83.1   

Finished goods

    1,122.4          992.9   

Supplies and other

    86.9          87.9   
 

 

 

     

 

 

 

Total

  $     1,869.6        $     1,803.4   
 

 

 

     

 

 

 

11.  CREDIT FACILITIES AND BORROWINGS

At May 27, 2012, we had a $1.50 billion multi-year revolving credit facility with a syndicate of financial institutions that matures in September 2016. The multi-year facility has historically been used principally as a back-up facility for our commercial paper program. As of May 27, 2012, there were no outstanding borrowings under the credit facility. Borrowings under the multi-year facility bear interest at 1.1% over LIBOR and may be prepaid without penalty. The multi-year revolving credit facility requires us to repay borrowings if our consolidated funded debt exceeds 65% of our consolidated capital base, or if our fixed charges coverage ratio, each as defined in the credit agreement, is less than 1.75 to 1.0 on a four-quarter rolling basis. As of May 27, 2012, we were in compliance with the credit agreement’s financial covenants.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

We finance our short-term liquidity needs with bank borrowings, commercial paper borrowings, and bankers’ acceptances. As of May 27, 2012, we had $40 million outstanding under our commercial paper program at an average weighted interest rate of 0.26%. We had no material short-term borrowings outstanding in fiscal 2011.

12.  SENIOR LONG-TERM DEBT, SUBORDINATED DEBT AND LOAN AGREEMENTS

 

     2012     2011  

Senior Debt

    

8.25% senior debt due September 2030

   $         300.0      $         300.0   

7.0% senior debt due October 2028

     382.2        382.2   

6.7% senior debt due August 2027

     9.2        9.2   

7.125% senior debt due October 2026

     372.4        372.4   

7.0% senior debt due April 2019

     500.0        500.0   

5.819% senior debt due June 2017

     500.0        500.0   

5.875% senior debt due April 2014

     500.0        500.0   

6.75% senior debt due September 2011

            342.7   

2.00% to 9.59% lease financing obligations due on various dates through 2029

     106.0        105.4   

Other indebtedness

     73.1        67.0   
  

 

 

   

 

 

 

Total face value senior debt

   $ 2,742.9      $ 3,078.9   
  

 

 

   

 

 

 

Subordinated Debt

    

9.75% subordinated debt due March 2021

   $ 195.9      $ 195.9   
  

 

 

   

 

 

 

Total face value subordinated debt

     195.9        195.9   
  

 

 

   

 

 

 

Total debt face value

     2,938.8        3,274.8   

Unamortized discounts/premiums

     (59.8     (68.3

Adjustment due to hedging activity

     17.7        27.3   

Less current installments

     (38.1     (363.5
  

 

 

   

 

 

 

Total long-term debt

   $ 2,858.6      $ 2,870.3   
  

 

 

   

 

 

 

The aggregate minimum principal maturities of the long-term debt for each of the five fiscal years following May 27, 2012, are as follows:

 

2013

   $          38.1   

2014

     508.9   

2015

     82.1   

2016

     5.4   

2017

     14.7   

Lease financing obligations and other indebtedness included $30.1 million and $43.5 million of debt of consolidated variable interest entities at May 27, 2012 and May 29, 2011, respectively.

During fiscal 2012, we repaid the entire principal balance of $342.7 million of our 6.75% senior notes, which were due September 15, 2011.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

During fiscal 2011, we repaid the entire principal balance of $248.0 million of our 7.875% senior notes, which were due September 15, 2010.

We consolidate the financial statements of Lamb Weston BSW. In fiscal 2011, we repaid $35.4 million of bank borrowings by our Lamb Weston BSW potato processing venture.

Our most restrictive debt agreements (the revolving credit facility and certain privately placed long-term debt) require that our consolidated funded debt not exceed 65% of our consolidated capital base, and that our fixed charges coverage ratio be greater than 1.75 to 1.0 on a four-quarter rolling basis. At May 27, 2012, we were in compliance with our debt covenants.

Net interest expense consists of:

 

    2012         2011          2010  

Long-term debt

  $     213.2        $     231.1         $     257.7   

Short-term debt

    0.3          0.2           0.1   

Interest income

    (4.0       (42.2        (85.2

Interest capitalized

    (5.5       (11.6        (12.2
 

 

 

     

 

 

      

 

 

 
  $ 204.0        $ 177.5         $ 160.4   
 

 

 

     

 

 

      

 

 

 

Interest paid from continuing and discontinued operations was $211.9 million, $231.7 million, and $244.3 million in fiscal 2012, 2011, and 2010, respectively.

Our net interest expense was reduced by $9.9 million, $14.5 million, and $1.2 million in fiscal 2012, 2011, and 2010, respectively, due to the impact of interest rate swap contracts entered into in fiscal 2010. The interest rate swaps effectively changed our interest rates on the senior long-term debt instruments maturing in fiscal 2012 and 2014 from fixed to variable. During fiscal 2011, we terminated the interest rate swap contracts and received proceeds of $31.5 million. The cumulative adjustment to the fair value of the debt instruments being hedged (the effective portion of the hedge) is being amortized as a reduction of interest expense over the remaining lives of the debt instruments (through fiscal 2014).

Our net interest expense was increased by $0.2 million, $1.0 million, and $0.7 million in fiscal 2012, 2011, and 2010, respectively, due to the net impact of previously terminated interest rate swap agreements.

13.  OTHER NONCURRENT LIABILITIES

Other noncurrent liabilities consisted of:

 

     May 27, 2012         May 29, 2011  

Postretirement health care and pension obligations

   $     846.5        $     674.1   

Noncurrent income tax liabilities

     693.5          770.5   

Environmental liabilities (see Note 18)

     71.2          70.2   

Other

     283.5          287.0   
  

 

 

     

 

 

 
     1,894.7          1,801.8   

Less current portion

     (72.6       (65.7
  

 

 

     

 

 

 
   $ 1,822.1        $ 1,736.1   
  

 

 

     

 

 

 

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

14.  CAPITAL STOCK

We have authorized shares of preferred stock as follows:

Class B—$50 par value; 150,000 shares

Class C—$100 par value; 250,000 shares

Class D—without par value; 1,100,000 shares

Class E—without par value; 16,550,000 shares

There were no preferred shares issued or outstanding as of May 27, 2012.

We have repurchased our shares of common stock from time to time after considering market conditions and in accordance with repurchase limits authorized by our Board of Directors. In February 2010, our Board of Directors approved a $500.0 million share repurchase program with no expiration date. Upon receipt of payment for the final two outstanding tranches of the Notes from the purchaser of the trading and merchandising business, during fiscal 2011, our Board of Directors increased our share repurchase authorization by the amount of the payment, which was $554.2 million. In December 2011, our Board of Directors approved a $750.0 million increase to the share repurchase program. We repurchased approximately 13.8 million shares of our common stock for approximately $352.4 million, 36.2 million shares of our common stock for approximately $825.0 million, and approximately 4.0 million shares of our common stock for approximately $100.0 million in fiscal 2012, 2011, and 2010, respectively, under this program.

15.  SHARE-BASED PAYMENTS

In accordance with stockholder-approved plans, we issue share-based payments under various stock-based compensation arrangements, including stock options, restricted stock units, performance shares, and other share-based awards.

On September 25, 2009, the stockholders approved the ConAgra Foods 2009 Stock Plan, which authorized the issuance of up to 29.5 million shares of ConAgra Foods common stock. At May 27, 2012, approximately 22.9 million shares were reserved for granting additional options, restricted stock units, performance shares, or other share-based awards.

Stock Option Plan

We have stockholder-approved stock option plans that provide for granting of options to employees for the purchase of common stock at prices equal to the fair value at the date of grant. Options become exercisable under various vesting schedules (typically three to five years) and generally expire seven to ten years after the date of grant.

The fair value of each option is estimated on the date of grant using a Black-Scholes option-pricing model with the following weighted average assumptions for stock options granted:

 

     2012        2011        2010  

Expected volatility (%)

     22.89           22.83           22.94   

Dividend yield (%)

     3.97           3.51           3.77   

Risk-free interest rates (%)

     1.38           1.72           2.31   

Expected life of stock option (years)

     4.75           4.82           4.75   

The expected volatility is based on the historical market volatility of our stock over the expected life of the stock options granted. The expected life represents the period of time that the awards are expected to be outstanding and is based on the contractual term of each instrument, taking into account employees’ historical exercise and termination behavior.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

A summary of the option activity as of May 27, 2012 and changes during the fifty-two weeks then ended is presented below:

 

Options

       Number
of Options
(in Millions)
       Weighted
Average
Exercise
Price
       Average
Remaining
Contractual
Term
(Years)
       Aggregate
Intrinsic
Value (in
Millions)
 

Outstanding at May 29, 2011

       35.1         $     22.81             

Granted

       4.1         $ 26.15             

Exercised

       (9.9      $ 21.97              $     41.5   

Forfeited

       (0.9      $ 23.67             

Expired

       (0.7      $ 25.73             
    

 

 

                

Outstanding at May 27, 2012

       27.7         $ 23.51           3.76         $ 60.6   
    

 

 

                

Exercisable at May 27, 2012

       19.0         $ 23.33           3.02         $ 45.4   
    

 

 

                

We recognize compensation expense using the straight-line method over the requisite service period. During fiscal 2012, 2011, and 2010, the Company granted 4.1 million options, 6.2 million options, and 7.9 million options, respectively, with a weighted average grant date value of $3.26, $3.31, and $2.73, respectively. The total intrinsic value of options exercised was $41.5 million, $9.3 million, and $8.4 million for fiscal 2012, 2011, and 2010, respectively. The closing market price of our common stock on the last trading day of fiscal 2012 was $25.25 per share.

Compensation expense for stock option awards totaled $15.4 million, $19.9 million, and $22.0 million for fiscal 2012, 2011, and 2010, respectively. The tax benefit related to the stock option expense for fiscal 2012, 2011, and 2010 was $5.7 million, $7.4 million, and $8.2 million, respectively.

At May 27, 2012, we had $12.4 million of total unrecognized compensation expense, net of estimated forfeitures, related to stock options that will be recognized over a weighted average period of 1.2 years.

Cash received from option exercises for the fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010 was $217.8 million, $71.6 million, and $70.3 million, respectively. The actual tax benefit realized for the tax deductions from option exercises totaled $15.4 million, $3.4 million, and $3.1 million for fiscal 2012, 2011, and 2010, respectively.

Share Unit Plans

In accordance with stockholder-approved plans, we issue stock under various stock-based compensation arrangements, including restricted stock units and other share-based awards (“share units”). These awards generally have requisite service periods of three to five years. Under each arrangement, stock is issued without direct cost to the employee. We estimate the fair value of the share units based upon the market price of our stock at the date of grant. Certain share unit grants do not provide for the payment of dividend equivalents to the participant during the requisite service period (vesting period). For those grants, the value of the grants is reduced by the net present value of the foregone dividend equivalent payments. We recognize compensation expense for share unit awards on a straight-line basis over the requisite service period. The compensation expense for our share unit awards totaled $25.5 million, $21.2 million, and $19.6 million for fiscal 2012, 2011, and 2010, respectively. The tax benefit related to the compensation expense for fiscal 2012, 2011, and 2010 was $9.5 million, $7.9 million, and $7.3 million, respectively.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The following table summarizes the nonvested share units as of May 27, 2012, and changes during the fifty-two weeks then ended:

 

Share Units

     

Share Units

(in millions)

    Weighted
Average
Grant-Date
Fair Value
 

Nonvested share units at May 29, 2011

      3.25      $     19.56   

Granted

      1.81      $ 26.11   

Vested/Issued

      (0.91   $ 19.06   

Forfeited

      (0.32   $ 20.64   
   

 

 

   

Nonvested share units at May 27, 2012

      3.83      $ 21.43   
   

 

 

   

During fiscal 2012, 2011, and 2010, we granted 1.8 million share units, 1.6 million share units, and 1.1 million share units, respectively, with a weighted average grant date value of $26.11, $21.55, and $19.41, respectively.

The total intrinsic value of share units vested was $23.2 million, $14.5 million, and $18.7 million during fiscal 2012, 2011, and 2010, respectively.

At May 27, 2012, we had $33.9 million of total unrecognized compensation expense, net of estimated forfeitures, related to share unit awards that will be recognized over a weighted average period of 1.9 years.

Performance-Based Share Plan

Performance shares are granted to selected executives and other key employees with vesting contingent upon meeting various Company-wide performance goals. The performance goals for the performance periods ending in fiscal 2012 and fiscal 2013 are based upon our earnings before interest and taxes and our return on average invested capital measured over a defined performance period. The performance goals for the performance period ending in fiscal 2014 are based upon our operating cash flow return on operations, a measure of operating cash flow as a percentage of invested capital measured over a defined performance period, and revenue growth. The awards actually earned will range from zero to three hundred percent of the targeted number of performance shares for the performance period ending in fiscal 2012; from zero to two hundred percent of the targeted number of performance shares for the performance period ending in fiscal 2013; and from zero to two hundred twenty percent of the targeted number of performance shares for the performance period ending in fiscal 2014. For the performance period ending in fiscal 2014, a payout equal to 25% of the approved target incentive is required to be paid out if we achieve a threshold level of cash flow return on operations. Awards, if earned, will be paid in shares of our common stock. The value of the performance shares granted in fiscal 2010, 2011, and 2012 was adjusted based upon the market price of our stock at the end of each reporting period and amortized as compensation expense over the vesting period.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

A summary of the activity for performance share awards as of May 27, 2012 and changes during the fifty-two weeks then ended is presented below:

 

Performance Shares

 

 

  Shares
(in  Millions)
    Weighted
Average
Grant-Date
Fair Value
 

Nonvested performance shares at May 29, 2011

      1.37      $     20.42   

Granted

      0.51      $ 26.11   

Adjustments for performance results attained

      0.16      $ 20.48   

Vested/Issued

      (0.60   $ 20.48   

Forfeited

      (0.17   $ 22.24   
   

 

 

   

Nonvested performance shares at May 27, 2012

      1.27      $ 22.44   
   

 

 

   

The compensation expense for our performance share awards totaled $0.8 million, $4.0 million, and $14.7 million for fiscal 2012, 2011, and 2010, respectively. The tax benefit related to the compensation expense for fiscal 2012, 2011, and 2010 was $0.3 million, $1.5 million, and $5.4 million, respectively.

The total intrinsic value of share units vested (including shares paid in lieu of dividends) during fiscal 2012, 2011, and 2010 was $16.0 million, $7.4 million, and $24.8 million, respectively.

Based on estimates at May 27, 2012, the Company had $6.8 million of total unrecognized compensation expense, net of estimated forfeitures, related to performance shares that will be recognized over a weighted average period of 2.0 years.

Accounting guidance requires the benefits of tax deductions in excess of recognized compensation expense to be reported as a financing cash flow, rather than as an operating cash flow in our statements of cash flows. In fiscal 2012, our net operating cash flows decreased and our net financing cash flows increased by approximately $8.7 million. Because the tax deduction in fiscal 2010 was less than the recognized compensation expenses, our net operating cash flows increased and our net financing cash flows decreased by approximately $1.5 million for fiscal 2010. There was no impact on our statement of cash flows for fiscal 2011.

16.  PRE-TAX INCOME AND INCOME TAXES

Pre-tax income from continuing operations (including equity method investment earnings) consisted of the following:

 

     2012           2011           2010  

United States

   $         492.6          $         1,177.7          $         856.0   

Foreign

     177.5            74.8            66.6   
  

 

 

       

 

 

       

 

 

 
   $ 670.1          $ 1,252.5          $ 922.6   
  

 

 

       

 

 

       

 

 

 

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The provision for income taxes included the following:

 

         2012     

 

   2011     

 

   2010  

Current

                

Federal

     $     163.9          $     157.3          $     259.0   

State

       23.7            21.0            27.5   

Foreign

       27.5            11.9            14.4   
    

 

 

       

 

 

       

 

 

 
       215.1            190.2            300.9   

Deferred

                

Federal

       (13.4         219.2            (8.5

State

       (5.2         9.8            (6.5

Foreign

       (0.7         2.4            6.4   
    

 

 

       

 

 

       

 

 

 
       (19.3         231.4            (8.6
    

 

 

       

 

 

       

 

 

 
     $ 195.8          $ 421.6          $ 292.3   
    

 

 

       

 

 

       

 

 

 

Income taxes computed by applying the U.S. Federal statutory rates to income from continuing operations before income taxes are reconciled to the provision for income taxes set forth in the consolidated statements of earnings as follows:

 

     

 

  2012         2011         2010  

Computed U.S. Federal income taxes

     $     232.2        $     438.3        $     322.9   

State income taxes, net of U.S. Federal tax impact

       12.0          20.0          15.7   

Tax credits and domestic manufacturing deduction

       (20.5       (27.5       (27.3

Foreign tax credits and related items, net

       (0.6       (0.2       (4.3

IRS audit adjustments and settlement

       0.8          0.5          (17.4

Non-taxable gain from investment in ATFL

       (20.5                  

Change in valuation allowance

       (7.1       2.1          (4.6

Other

       (0.5       (11.6       7.3   
    

 

 

     

 

 

     

 

 

 
     $ 195.8        $ 421.6        $ 292.3   
    

 

 

     

 

 

     

 

 

 

Income taxes paid, net of refunds, were $191.5 million, $172.3 million, and $290.5 million in fiscal 2012, 2011, and 2010, respectively.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The tax effect of temporary differences and carryforwards that give rise to significant portions of deferred tax assets and liabilities consisted of the following:

 

        2012   2011  
        Assets          Liabilities         Assets         Liabilities  

Property, plant and equipment

    $         $ 488.1        $        $ 452.3   

Goodwill, trademarks and other intangible assets

                681.3                   642.7   

Accrued expenses

      25.4                    15.9            

Compensation related liabilities

      74.7                    66.2            

Pension and other postretirement benefits

      310.7                    230.9            

Derivative cash flow hedge

      57.2                    4.4            

Other liabilities that will give rise to future tax deductions

      115.2                    121.5            

Net operating loss carryforwards

      42.7                    52.1            

Other

      67.4           31.4          46.4          24.1   
   

 

 

      

 

 

     

 

 

     

 

 

 
      693.3           1,200.8          537.4          1,119.1   

Less: Valuation allowance

      (43.7                 (50.8         
   

 

 

      

 

 

     

 

 

     

 

 

 

Net deferred taxes

    $     649.6         $     1,200.8        $     486.6        $     1,119.1   
   

 

 

      

 

 

     

 

 

     

 

 

 

At May 27, 2012 and May 29, 2011, net deferred tax assets of $106.3 million and $93.4 million, respectively, were included in prepaid expenses and other current assets. At May 27, 2012 and May 29, 2011, net deferred tax liabilities of $657.5 million and $725.9 million, respectively, were included in other noncurrent liabilities.

The liability for gross unrecognized tax benefits at May 27, 2012 was $48.7 million, excluding a related liability of $14.0 million for gross interest and penalties. Included in the balance at May 27, 2012 were $3.1 million of tax positions for which the ultimate deductibility is highly certain but for which there is uncertainty about the timing of such deductibility. Because of the impact of deferred tax accounting, the disallowance of the shorter deductibility period would not affect the annual effective tax rate but would accelerate the payment of cash to the taxing authority to an earlier period. Any associated interest and penalties imposed would affect the tax rate. As of May 29, 2011, our gross liability for unrecognized tax benefits was $56.5 million, excluding a related liability of $14.7 million for gross interest and penalties.

The net amount of unrecognized tax benefits at May 27, 2012 and May 29, 2011 that, if recognized, would favorably impact our effective tax rate was $30.3 million and $35.7 million, respectively.

We accrue interest and penalties associated with uncertain tax positions as part of income tax expense.

We conduct business and file tax returns in numerous countries, states, and local jurisdictions. The U.S. Internal Revenue Service (“IRS”) has completed its audit for tax years through fiscal 2009 and all resulting significant items for fiscal 2009 and prior years have been settled with the IRS. Other major jurisdictions where we conduct business generally have statutes of limitations ranging from 3 to 5 years.

We estimate that it is reasonably possible that the amount of gross unrecognized tax benefits will decrease by up to $9 million over the next twelve months due to various federal, state, and foreign audit settlements and the expiration of statutes of limitations.

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The change in the unrecognized tax benefits for the year ended May 27, 2012 was:

 

     2012  

Beginning balance on May 29, 2011

   $       56.5   

Increases from positions established during prior periods

     1.2   

Decreases from positions established during prior periods

     (0.4

Increases from positions established during the current period

     4.3   

Decreases relating to settlements with taxing authorities

     (6.7

Reductions resulting from lapse of applicable statute of limitation

     (6.1

Other adjustments to liability

     (0.1
  

 

 

 

Ending balance on May 27, 2012

   $ 48.7   
  

 

 

 

We have approximately $62.7 million of foreign net operating loss carryforwards ($40.9 million expire between fiscal 2013 and 2033 and $21.7 million have no expiration dates). Substantially all of our foreign tax credits will expire in fiscal 2018. State tax credits of approximately $16.7 million expire in various years ranging from fiscal 2013 to 2017.

We have recognized a valuation allowance for the portion of the net operating loss carryforwards, tax credit carryforwards, and other deferred tax assets we believe are not more likely than not to be realized. The net impact on income tax expense related to changes in the valuation allowance for fiscal 2012 was a benefit of $7.1 million. For fiscal 2011 and 2010, changes in the valuation allowance were a charge of $2.1 million and a benefit of $4.6 million, respectively. The current year change principally relates to decreases to the valuation allowances for foreign net operating losses, offset by increases related to state net operating losses and credits.

As of May 27, 2012, undistributed earnings of the Company’s foreign subsidiaries amounted to approximately $400 million. Those earnings are considered to be indefinitely reinvested and accordingly, no U.S. federal income taxes have been provided thereon. We have not provided U.S. deferred taxes on cumulative earnings of non-U.S. affiliates and associated companies that the Company considers to be reinvested indefinitely. It is not practicable to estimate the amount of U.S. income taxes that would be incurred in the event that we were to repatriate the cumulative earnings of non-U.S. affiliates and associated companies. Deferred taxes are provided for earnings of non-U.S. affiliates and associated companies when we determine that such earnings are no longer indefinitely reinvested.

During the fourth quarter of fiscal 2012, we determined that, upon adoption of accounting guidance for income taxes in 1993, we failed to establish deferred income tax liabilities for the difference between the book bases and income tax bases of a certain subset of our brands that had been acquired as part of a business combination completed in 1990. Accordingly, we have retrospectively corrected our consolidated balance sheets and consolidated statements of common stockholders’ equity by increasing noncurrent liabilities and decreasing retained earnings by $31.8 million for all periods presented.

17.  OPERATING LEASES

We lease certain facilities, land, and transportation equipment under agreements that expire at various dates. Rent expense under all operating leases from continuing operations was $133.8 million, $126.1 million, and $127.2 million in fiscal 2012, 2011, and 2010, respectively. Rent expense under operating leases from discontinued operations was $0.4 million and $3.2 million in fiscal 2011 and 2010, respectively. Fiscal 2012 had no rent expense under operating leases from discontinued operations.

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

A summary of non-cancellable operating lease commitments for fiscal years following May 27, 2012, was as follows:

 

2013

   $ 82.8     

2014

     72.6     

2015

     62.5     

2016

     52.4     

2017

     38.7     

Later years

     135.4     
  

 

 

 
     $     444.4     

During fiscal 2010, we completed the sale of approximately 17,600 acres of farmland to an unrelated buyer and immediately entered into an agreement with an affiliate of the buyer to lease back the farmland. At that time, we received proceeds of $75.0 million in cash, removed the land from our balance sheet, and recorded a deferred gain of $29.7 million (reflected primarily in noncurrent liabilities). The lease agreement has an initial term of ten years and two five-year renewal options. This lease is being accounted for as an operating lease and we are recognizing the deferred gain as a reduction of rent expense over the lease term.

18.  CONTINGENCIES

In fiscal 1991, we acquired Beatrice Company (“Beatrice”). As a result of the acquisition and the significant pre-acquisition contingencies of the Beatrice businesses and its former subsidiaries, our consolidated post-acquisition financial statements reflect liabilities associated with the estimated resolution of these contingencies. These include various litigation and environmental proceedings related to businesses divested by Beatrice prior to its acquisition by us. The litigation includes suits against a number of lead paint and pigment manufacturers, including ConAgra Grocery Products and the Company as alleged successors to W. P. Fuller Co., a lead paint and pigment manufacturer owned and operated by Beatrice until 1967. Although decisions favorable to us have been rendered in Rhode Island, New Jersey, Wisconsin, and Ohio, we remain a defendant in active suits in Illinois and California. The Illinois suit seeks class-wide relief in the form of medical monitoring for elevated levels of lead in blood. In California, a number of cities and counties have joined in a consolidated action seeking abatement of the alleged public nuisance. We have had successful outcomes in every case decided to date and although exposure in the remaining cases is unlikely, it is reasonably possible. However, given the range of potential remedies, it is not possible to estimate this exposure.

The environmental proceedings include litigation and administrative proceedings involving Beatrice’s status as a potentially responsible party at 36 Superfund, proposed Superfund, or state-equivalent sites; these sites involve locations previously owned or operated by predecessors of Beatrice that used or produced petroleum, pesticides, fertilizers, dyes, inks, solvents, PCBs, acids, lead, sulfur, tannery wastes, and/or other contaminants. Beatrice has paid or is in the process of paying its liability share at 32 of these sites. Reserves for these matters have been established based on our best estimate of the undiscounted remediation liabilities, which estimates include evaluation of investigatory studies, extent of required clean-up, the known volumetric contribution of Beatrice and other potentially responsible parties, and its experience in remediating sites. The reserves for Beatrice-related environmental matters totaled $70.0 million as of May 27, 2012, a majority of which relates to the Superfund and state-equivalent sites referenced above. We expect expenditures for Beatrice-related environmental matters to continue for up to 18 years.

In limited situations, we will guarantee an obligation of an unconsolidated entity. At the time in which we initially provide such a guarantee, we assess the risk of financial exposure to us under these agreements. We consider the credit-worthiness of the guaranteed party, the value of any collateral pledged against the related

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

obligation, and any other factors that may mitigate our risk. We actively monitor market and entity-specific conditions that may result in a change of our assessment of the risk of loss under these agreements.

We guarantee certain leases and other commercial obligations resulting from the 2002 divestiture of our fresh beef and pork operations. The remaining terms of these arrangements do not exceed four years and the maximum amount of future payments we have guaranteed was approximately $10.9 million as of May 27, 2012.

We have also guaranteed the performance of the divested fresh beef and pork business with respect to a hog purchase contract. The hog purchase contract requires the divested fresh beef and pork business to purchase a minimum of approximately 1.2 million hogs annually through June 1, 2013. The contract stipulates minimum price commitments, based in part on market prices, and, in certain circumstances, also includes price adjustments based on certain inputs. We have not established a liability for any of the fresh beef and pork divestiture-related guarantees, as we have determined that the likelihood of our required performance under the guarantees is remote.

We are a party to various potato supply agreements. Under the terms of certain such potato supply agreements, we have guaranteed repayment of short-term bank loans of the potato suppliers, under certain conditions. At May 27, 2012, the amount of supplier loans we have effectively guaranteed was approximately $43.6 million. We have not established a liability for these guarantees, as we have determined that the likelihood of our required performance under the guarantees is remote.

We were a party to a supply agreement with an onion processing company where we had guaranteed, under certain conditions, repayment of a secured loan (the “Secured Loan”) of this onion supplier to the onion supplier’s lender. The Secured Loan was in the amount of approximately $40 million (classified as other assets in fiscal 2012) with a remaining term of approximately 11 years. The amount of our guarantee was $25 million. We had the option to purchase the Secured Loan, and thereby assume first-priority secured rights to the underlying collateral for the amount of the Secured Loan. During the fourth quarter of fiscal 2012, we received notice from the lender that the onion supplier had defaulted on the Secured Loan and we purchased the Secured Loan from the lender for approximately $41 million, and cancelled our guarantee. The onion supplier subsequently filed for bankruptcy on April 12, 2012. Based on our estimate of the value of the collateral and our first-priority secured rights, we expect to recover the carrying value of the Secured Loan.

Federal income tax credits were generated related to our sweet potato production facility in Delhi, Louisiana. Third parties invested in certain of these income tax credits. We have guaranteed these third parties the face value of these income tax credits over their statutory lives, through fiscal 2017, in the event that the income tax credits are recaptured or reduced. The face value of the income tax credits was $21.2 million as of May 27, 2012. We believe the likelihood of the recapture or reduction of the income tax credits is remote, and therefore we have not established a liability in connection with this guarantee.

We are a party to a number of lawsuits and claims arising out of the operation of our business. Among these, there are lawsuits, claims, and matters related to the February 2007 recall of our peanut butter products. Among the matters outstanding related to the peanut butter recall are litigation we initiated against an insurance carrier to recover our settlement expenditures and defense costs, and an ongoing investigation by the U.S. Attorney’s office in Georgia. During fiscal 2012, we recognized a charge of $17.5 million in connection with peanut butter matters. This amount is in addition to a charge of $24.8 million we recognized during the third quarter of fiscal 2009 in connection with the insurance coverage dispute. With respect to the coverage dispute matter, during the fourth quarter of fiscal 2012, we received a favorable opinion related to our defense costs, pursuant to which we have received $11.8 million, which is recognized in income in fiscal 2012. During the fourth quarter of fiscal 2012, a jury verdict was rendered in our favor in the amount of approximately $25 million on the claim for disputed coverage, which is subject to appeal. This amount has not been recognized in income in fiscal 2012. With respect to the U.S. Attorney matter, in fiscal 2011, we received formal requests from the U.S. Attorney’s office in

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Georgia seeking a variety of records and information related to the operations of our peanut butter manufacturing facility in Sylvester, Georgia. These requests are related to the previously disclosed June 2007 execution of a search warrant at our facility following the February 2007 recall. We continue to engage in discussions with officials in regard to the investigation.

In June 2009, an accidental explosion occurred at our manufacturing facility in Garner, North Carolina. This facility was the primary production facility for our Slim Jim® branded meat snacks. On June 13, 2009, the U.S. Bureau of Alcohol, Tobacco, Firearms and Explosives announced its determination that the explosion was the result of an accidental natural gas release, and not a deliberate act. During the fourth quarter of fiscal 2011, we settled our property and business interruption claims related to the Garner accident with our insurance providers. During the fourth quarter of fiscal 2011, Jacobs Engineering Group Inc., our engineer and project manager at the site filed a declaratory judgment action against us seeking indemnity for personal injury claims brought against it as a result of the accident. In the first quarter of fiscal 2012, the Court granted our motion for summary judgment on the basis that the suit was filed prematurely. We will continue to defend this action vigorously. Any exposure in this case is expected to be limited to the applicable insurance deductible. See Note 5 for additional information related to this matter.

In April 2010, an accidental explosion occurred at our flour milling facility in Chester, Illinois. Two employees of a subcontractor and one employee of the primary contractor, Westside Salvage (“Westside”), on the site at the time of the accident suffered injuries in the accident. Suit was initiated against Westside and the Company for personal injury claims. Subsequent to the end of the fourth quarter of fiscal 2012 (on May 31, 2012), a jury in federal court returned a verdict against the Company and Westside and in favor of the three employees. The verdict was in the amount of approximately $78 million in compensatory damages apportioned between the Company and Westside and $100 million in punitive damages against the Company. While we have insurance policies in place that we believe will cover the full amount of the compensatory and punitive damages apportioned to us (other than a $3 million deductible that we accrued in a prior period), the Company intends to appeal the verdict and the damages. Any exposure in this case is expected to be limited to the applicable insurance deductible.

We are a party to several lawsuits concerning the use of diacetyl, a butter flavoring ingredient that was added to our microwave popcorn until late 2007. The cases are primarily consumer personal injury suits claiming respiratory illness allegedly due to exposures to vapors from microwaving popcorn. We have received favorable outcomes in connection with these cases to date. We do not believe these cases possess merit and continue to vigorously defend them. Any exposure in these cases is expected to be limited to the applicable insurance deductible.

After taking into account liabilities recognized for all of the foregoing matters, management believes the ultimate resolution of such matters should not have a material adverse effect on our financial condition, results of operations, or liquidity. It is reasonably possible that a change in one of the estimates of the foregoing matters may occur in the future. Costs of legal services associated with the foregoing matters are recognized in earnings as services are provided.

19.  DERIVATIVE FINANCIAL INSTRUMENTS

Our operations are exposed to market risks from adverse changes in commodity prices affecting the cost of raw materials and energy, foreign currency exchange rates, and interest rates. In the normal course of business, these risks are managed through a variety of strategies, including the use of derivatives.

Commodity and commodity index futures and option contracts are used from time to time to economically hedge commodity input prices on items such as natural gas, vegetable oils, proteins, dairy, grains, and electricity.

Generally, we economically hedge a portion of our anticipated consumption of commodity inputs for periods of

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

up to 36 months. We may enter into longer-term economic hedges on particular commodities, if deemed appropriate. As of May 27, 2012, we had economically hedged certain portions of our anticipated consumption of commodity inputs using derivative instruments with expiration dates through June 2015.

In order to reduce exposures related to changes in foreign currency exchange rates, we enter into forward exchange, option, or swap contracts from time to time for transactions denominated in a currency other than the applicable functional currency. This includes, but is not limited to, hedging against foreign currency risk in purchasing inventory and capital equipment, sales of finished goods, and future settlement of foreign-denominated assets and liabilities. As of May 27, 2012, we had economically hedged certain portions of our foreign currency risk in anticipated transactions using derivative instruments with expiration dates through May 2017.

From time to time, we may use derivative instruments, including interest rate swaps, to reduce risk related to changes in interest rates. This includes, but is not limited to, hedging against increasing interest rates prior to the issuance of long-term debt and hedging the fair value of our senior long-term debt.

Derivatives Designated as Cash Flow Hedges

We have entered into interest rate swap contracts to hedge the interest rate risk related to our forecasted issuance of long-term debt in 2014 (based on the anticipated refinancing of the senior long-term debt maturing at that time). We designated these interest rate swaps as cash flow hedges of the forecasted interest payments related to this debt issuance. The pre-tax unrealized loss associated with these derivatives, which is deferred in accumulated other comprehensive loss at May 27, 2012, was $153.9 million.

The net notional amount of these interest rate derivatives at May 27, 2012 was $500.0 million.

Hedge ineffectiveness for cash flow hedges may impact net earnings when a change in the value of a hedge does not offset the change in the value of the underlying hedged item. Depending on the nature of the hedge, ineffectiveness is recognized within cost of goods sold or selling, general and administrative expense. We do not exclude any component of the hedging instrument’s gain or loss when assessing ineffectiveness. The ineffectiveness associated with derivatives designated as cash flow hedges from continuing operations was not material to our results of operations in any period presented.

Derivatives Designated as Fair Value Hedges

During fiscal 2010, we entered into interest rate swap contracts to hedge the fair value of certain of our senior long-term debt instruments maturing in fiscal 2012 and 2014. We designated these interest rate swap contracts as fair value hedges of the debt instruments.

Changes in fair value of the derivative instruments are immediately recognized in earnings along with changes in the fair value of the items being hedged (based solely on the change in the benchmark interest rate). These gains and losses are classified within selling, general and administrative expenses. In fiscal 2011 and 2010, we recognized net gains of $23.0 million and $8.5 million, respectively, on the interest rate swap contracts and losses of $29.7 million and $5.1 million, respectively, on the senior long-term debt.

During fiscal 2011, we terminated the interest rate swap contracts and received proceeds of $31.5 million. The cumulative adjustment to the fair value of the debt instruments being hedged (the effective portion of the hedge) is included in long-term debt and is being amortized as a reduction of interest expense over the remaining lives of the debt instruments (through fiscal 2014). At May 27, 2012, the unamortized amount was $17.7 million.

The entire change in fair value of the derivative instruments was included in our assessment of hedge effectiveness.

 

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Economic Hedges of Forecasted Cash Flows

Many of our derivatives do not qualify for, and we do not currently designate certain commodity or foreign currency derivatives to achieve, hedge accounting treatment. We reflect realized and unrealized gains and losses from derivatives used to economically hedge anticipated commodity consumption and to mitigate foreign currency cash flow risk in earnings immediately within general corporate expense (within cost of goods sold). The gains and losses are reclassified to segment operating results in the period in which the underlying item being economically hedged is recognized in cost of goods sold.

Economic Hedges of Fair Values—Foreign Currency Exchange Rate Risk

We may use options and cross currency swaps to economically hedge the fair value of certain monetary assets and liabilities (including intercompany balances) denominated in a currency other than the functional currency. These derivatives are marked-to-market with gains and losses immediately recognized in selling, general and administrative expenses. These substantially offset the foreign currency transaction gains or losses recognized on the monetary assets or liabilities being economically hedged.

Derivative Activity in Our Milling Operations

We also use derivative instruments within our milling operations, which are part of the Commercial Foods segment. Derivative instruments used to economically hedge commodity inventories and forward purchase and sales contracts within the milling operations are marked-to-market such that realized and unrealized gains and losses are immediately included in operating results. The underlying inventory and forward contracts being hedged are also marked-to-market with changes in market value recognized immediately in operating results.

For commodity derivative trading activities within our milling operations that are not intended to mitigate commodity input cost risk, the derivative instrument is marked-to-market each period with gains and losses included in net sales of the Commercial Foods segment. There were no material gains or losses from derivative trading activities in fiscal periods being reported.

All derivative instruments are recognized on the balance sheet at fair value. The fair value of derivative assets is recognized within prepaid expenses and other current assets, while the fair value of derivative liabilities is recognized within other accrued liabilities. In accordance with generally accepted accounting principles, we offset certain derivative asset and liability balances, as well as certain amounts representing rights to reclaim cash collateral and obligations to return cash collateral, where legal right of setoff exists. Amounts representing a right to reclaim cash collateral of $13.2 million and $7.8 million were included in prepaid expenses and other current assets in our consolidated balance sheets at May 27, 2012 and May 29, 2011, respectively.

Derivative assets and liabilities and amounts representing a right to reclaim cash collateral were reflected in our balance sheets as follows:

 

     May 27,
2012
     May 29,
2011
 

Prepaid expenses and other current assets

   $         58.7       $         71.5   

Other accrued liabilities

     215.4         92.2   

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The following table presents our derivative assets and liabilities, on a gross basis, prior to the offsetting of amounts where legal right of setoff exists at May 27, 2012:

 

     Derivative Assets     

 

   Derivative Liabilities  
     Balance Sheet Location         Fair Value           Balance Sheet Location         Fair Value  

Interest rate contracts

   Prepaid expenses and
other current assets
      $         —          Other accrued liabilities       $         153.9   
        

 

 

    

 

        

 

 

 

Total derivatives designated as hedging instruments

         $                $ 153.9   
        

 

 

    

 

        

 

 

 

Commodity contracts

   Prepaid expenses and
other current assets
      $ 60.3          Other accrued liabilities       $ 75.6   

Foreign exchange contracts

   Prepaid expenses and
other current assets
        7.3          Other accrued liabilities         8.1   

Other

   Prepaid expenses and
other current assets
        0.6          Other accrued liabilities         0.5   
        

 

 

    

 

        

 

 

 

Total derivatives not designated as hedging instruments

         $ 68.2                $ 84.2   
        

 

 

    

 

        

 

 

 

Total derivatives

         $ 68.2                $ 238.1   
        

 

 

    

 

        

 

 

 

The following table presents our derivative assets and liabilities, on a gross basis, prior to the offsetting of amounts where legal right of setoff exists at May 29, 2011:

 

    Derivative Assets     Derivative Liabilities  
    Balance Sheet Location    Fair Value     Balance Sheet Location    Fair Value  

Interest rate contracts

  Prepaid expenses and other

current assets

   $         —      Other accrued liabilities    $         11.8   
    

 

 

      

 

 

 

Total derivatives designated as hedging instruments

     $         $ 11.8   
    

 

 

      

 

 

 

Commodity contracts

  Prepaid expenses and other

current assets

   $ 85.4      Other accrued liabilities    $ 84.4   

Foreign exchange contracts

  Prepaid expenses and other

current assets

     1.0      Other accrued liabilities      19.2   

Other

  Prepaid expenses and other

current assets

     0.7      Other accrued liabilities      0.2   
    

 

 

      

 

 

 

Total derivatives not designated as hedging instruments

     $ 87.1         $ 103.8   
    

 

 

      

 

 

 

Total derivatives

     $ 87.1         $ 115.6   
    

 

 

      

 

 

 

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The location and amount of gains (losses) from derivatives not designated as hedging instruments in our statements of earnings were as follows:

 

     For the Fiscal Year Ended May 27, 2012  

Derivatives Not Designated as Hedging
Instruments

   Location in Consolidated Statement  of
Earnings of Gain (Loss) Recognized on Derivatives
  

 

   Amount of Gain  (Loss)
Recognized on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

   Net sales       $ (6.4

Commodity contracts

   Cost of goods sold         58.5   

Foreign exchange contracts

   Cost of goods sold         5.4   

Commodity contracts

   Selling, general and administrative expenses         (0.1

Foreign exchange contracts

   Selling, general and administrative expenses         8.7   
        

 

 

 

Total gain from derivative
instruments not designated as
hedging instruments

         $         66.1   
        

 

 

 

 

     For the Fiscal Year Ended May 29, 2011  

Derivatives Not Designated as Hedging
Instruments

   Location in Consolidated Statement  of
Earnings of Gain (Loss) Recognized on Derivatives
  

 

   Amount of Gain  (Loss)
Recognized on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

   Net sales       $         3.8   

Commodity contracts

   Cost of goods sold         54.3   

Foreign exchange contracts

   Cost of goods sold         (20.2

Commodity contracts

   Selling, general and administrative expenses         2.1   

Foreign exchange contracts

   Selling, general and administrative expenses         (7.9
        

 

 

 

Total gain from derivative instruments
not designated as hedging
instruments

         $ 32.1   
        

 

 

 

 

     For the Fiscal Year Ended May 30, 2010  

Derivatives Not Designated as Hedging
Instruments

   Location in Consolidated Statement  of
Earnings of Gain Recognized on Derivatives
  

 

   Amount of Gain
Recognized  on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

   Net sales       $         1.1   

Commodity contracts

   Cost of goods sold         147.9   

Foreign exchange contracts

   Cost of goods sold         0.5   

Other

   Selling, general and administrative expenses         2.6   
        

 

 

 

Total gain from derivative instruments
not designated as hedging
instruments

         $ 152.1   
        

 

 

 

As of May 27, 2012, our open commodity contracts had a notional value (defined as notional quantity times market value per notional quantity unit) of $1.9 billion and $1.3 billion for purchase and sales contracts,

 

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Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

respectively. As of May 29, 2011, our open commodity contracts had a notional value of $1.0 billion and $1.2 billion for purchase and sales contracts, respectively. The notional amount of our foreign currency forward and cross currency swap contracts as of May 27, 2012 and May 29, 2011 was $455.7 million and $292.7 million, respectively. In addition, we held foreign currency option collar contracts with notional amounts of $86.4 million as of May 29, 2011. No option collar contracts were held at the end of fiscal 2012.

We enter into certain commodity, interest rate, and foreign exchange derivatives with a diversified group of counterparties. We continually monitor our positions and the credit ratings of the counterparties involved and limit the amount of credit exposure to any one party. These transactions may expose us to potential losses due to the risk of nonperformance by these counterparties. We have not incurred a material loss and do not expect to incur any such material losses. We also enter into futures and options transactions through various regulated exchanges.

At May 27, 2012, the maximum amount of loss due to the credit risk of the counterparties, had the counterparties failed to perform according to the terms of the contracts, was $44.9 million.

20. PENSION AND POSTRETIREMENT BENEFITS

The Company and its subsidiaries have defined benefit pension plans (“plans”) for eligible salaried and hourly employees. Benefits are based on years of credited service and average compensation or stated amounts for each year of service. We also sponsor postretirement plans which provide certain medical and dental benefits (“other benefits”) to qualifying U.S. employees.

We recognize the funded status of our plans and other benefits in the consolidated balance sheets. For our plans, we also recognize as a component of accumulated other comprehensive loss, the net of tax results of the actuarial gains or losses within the corridor and prior service costs or credits that arise during the period but are not recognized in net periodic benefit cost. For our other benefits, we also recognize as a component of accumulated other comprehensive income (loss), the net of tax results of the gains or losses and prior service costs or credits that arise during the period but are not recognized in net periodic benefit cost. These amounts will be adjusted out of accumulated other comprehensive income (loss) as they are subsequently recognized as components of net periodic benefit cost.

During the second quarter of fiscal 2012, we amended certain of our postretirement benefit plans to incorporate design changes. As a result of the plan amendments, we remeasured our postretirement obligation at September 8, 2011. The discount rate used to measure the other postretirement benefits obligation at September 8, 2011 was 4.3% compared to the May 29, 2011 discount rate of 4.9%. All other significant assumptions remained unchanged from the May 29, 2011 measurement date. Calculated gains of $27.6 million as a result of the remeasurement, primarily due to favorable plan amendments, were recognized as a credit to other comprehensive loss. As a result of these plan amendments, our net expense related to these plans was reduced by approximately $5.2 million during fiscal 2012.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The changes in benefit obligations and plan assets at May 27, 2012 and May 29, 2011 are presented in the following table.

 

     Pension Benefits     Other Benefits  
     2012     2011     2012     2011  

Change in Benefit Obligation

        

Benefit obligation at beginning of year

     $     2,881.4        $     2,614.1        $     322.6        $     324.9   

Service cost

     68.7        59.7        0.6        0.6   

Interest cost

     149.2        147.5        13.2        16.3   

Plan participants’ contributions

                   6.7        6.9   

Amendments

     5.3        1.5        (40.6     (9.0

Actuarial loss

     337.5        190.9        11.6        19.4   

Special termination benefits

            1.3                 

Benefits paid

     (138.8     (133.6     (36.0     (36.5

Business combinations

     25.0               4.6          
  

 

 

   

 

 

   

 

 

   

 

 

 

Benefit obligation at end of year

     $ 3,328.3        $ 2,881.4        $ 282.7        $ 322.6   
  

 

 

   

 

 

   

 

 

   

 

 

 

Change in Plan Assets

        

Fair value of plan assets at beginning of year

     $ 2,543.9        $ 2,144.6      $ 0.1      $ 4.0   

Actual return on plan assets

     24.8        418.3                 

Employer contributions

     326.4        129.4        29.3        25.7   

Plan participants’ contributions

                   6.7        6.9   

Investment and administrative expenses

     (14.2     (14.8              

Benefits paid

     (138.8     (133.6     (36.0     (36.5

Business combinations

     24.5                        
  

 

 

   

 

 

   

 

 

   

 

 

 

Fair value of plan assets at end of year

     $ 2,766.6        $ 2,543.9        $ 0.1        $ 0.1   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The funded status and amounts recognized in our consolidated balance sheets at May 27, 2012 and May 29, 2011 were:

 

    Pension Benefits     Other Benefits  
    2012     2011     2012     2011  

Funded status

   $ (561.7    $ (337.5    $ (282.6    $ (322.5

Amounts Recognized in Consolidated Balance Sheets

       

Other assets

   $ 3.9       $ 14.7       $       $   

Other accrued liabilities

    (8.8     (8.7     (26.8     (27.5

Other noncurrent liabilities

    (556.8     (343.5     (255.8     (295.0
 

 

 

   

 

 

   

 

 

   

 

 

 

Net amount recognized

   $     (561.7    $     (337.5    $     (282.6    $     (322.5
 

 

 

   

 

 

   

 

 

   

 

 

 

Amounts Recognized in Accumulated Other Comprehensive (Income) Loss (Pre-tax)

       

Actuarial net loss

   $ 332.0       $ 205.9       $ 80.5       $ 75.6   

Net prior service cost (benefit)

    17.9        15.7        (39.3     (12.2
 

 

 

   

 

 

   

 

 

   

 

 

 

Total

   $ 349.9       $ 221.6       $ 41.2       $ 63.4   
 

 

 

   

 

 

   

 

 

   

 

 

 

Weighted-Average Actuarial Assumptions Used to Determine Benefit Obligations At May 27, 2012 and May 29, 2011

       

Discount rate

    4.50     5.30     3.90     4.90

Long-term rate of compensation increase

    4.25     4.25     N/A        N/A   

The accumulated benefit obligation for all defined benefit pension plans was $3.2 billion and $2.8 billion at May 27, 2012 and May 29, 2011, respectively.

The projected benefit obligation, accumulated benefit obligation, and fair value of plan assets for pension plans with accumulated benefit obligations in excess of plan assets at May 27, 2012 and May 29, 2011 were:

 

     2012      2011  

Projected benefit obligation

   $     3,159.7       $     2,505.6   

Accumulated benefit obligation

     3,057.2         2,436.1   

Fair value of plan assets

     2,594.1         2,153.4   

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Components of pension benefit and other postretirement benefit costs were:

 

     Pension Benefits     Other Benefits  
     2012     2011     2010     2012     2011     2010  

Service cost

   $ 68.7      $ 59.7      $ 49.8      $ 0.6      $ 0.6      $ 0.5   

Interest cost

     149.2        147.5        148.1        13.2        16.3        18.3   

Expected return on plan assets

     (196.0     (168.0     (142.3            (0.1     (0.3

Amortization of prior service cost (benefit)

     3.0        3.2        3.2        (13.6     (9.6     (9.4

Settlement loss

                   1.9                        

Special termination benefits

            1.3                               

Recognized net actuarial (gain) loss

     396.9        10.3        165.8        7.6        4.6        (0.1

Curtailment loss

                   0.9                        
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Benefit cost—Company plans

     421.8        54.0        227.4        7.8        11.8        9.0   

Pension benefit cost—multiemployer plans

     8.5        9.2        9.7                        
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total benefit cost

   $     430.3      $     63.2      $     237.1      $     7.8      $     11.8      $     9.0   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Other changes in plan assets and benefit obligations recognized in other comprehensive (income) loss were:

 

     Pension Benefits     Other Benefits  
     2012     2011     2012     2011  

Net actuarial (gain) loss

   $ 521.4      $ (44.5   $ 12.4      $ 18.9   

Prior service cost (benefit)

     5.3        1.5        (40.6     (9.1

Amortization of prior service (cost) benefit

     (3.0     (3.2     13.6        9.6   

Recognized net actuarial loss

     (396.9     (10.3     (7.6     (4.6
  

 

 

   

 

 

   

 

 

   

 

 

 

Net amount recognized

   $     126.8      $     (56.5   $     (22.2   $     14.8   
  

 

 

   

 

 

   

 

 

   

 

 

 

Weighted-Average Actuarial Assumptions

Used to Determine Net Expense

 

     Pension Benefits     Other Benefits  
       2012         2011         2010         2012         2011         2010    

Discount rate

     5.30     5.80     6.90     4.30     5.40     6.60

Long-term rate of return on plan assets

     7.75     7.75     7.75     N/A        3.50     4.50

Long-term rate of compensation increase

     4.25     4.25     4.25     N/A        N/A        N/A   

We amortize prior service cost for our pension plans and postretirement plans, as well as amortizable gains and losses for our postretirement plans, in equal annual amounts over the average expected future period of vested service. For plans with no active participants, average life expectancy is used instead of average expected useful service.

The amounts in accumulated other comprehensive income (loss) expected to be recognized as components of net expense during the next year are as follows:

 

    

Pension Benefits

  

Other Benefits

Prior service cost (benefit)

   $                3.5    $              (8.2)

Net actuarial loss

   NA    7.8 

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Plan Assets

The fair value of plan assets, summarized by level within the fair value hierarchy described in Note 21, as of May 27, 2012, were as follows:

 

     Level 1      Level 2      Level 3      Total  

Cash and cash equivalents

   $ 1.8       $ 319.8       $       $ 321.6   

Equity securities:

           

U.S. equity securities

     616.2         7.3                 623.5   

International equity securities

     395.1         126.7                 521.8   

Fixed income securities:

           

Government bonds

     99.9         160.6                 260.5   

Corporate bonds

     9.5         199.1                 208.6   

Mortgage-backed bonds

     82.4         70.3                 152.7   

Real estate funds

     5.7                 83.2         88.9   

Multi-strategy hedge funds

                     379.1         379.1   

Private equity funds

                     64.2         64.2   

Master limited partnerships

     137.5                         137.5   

Private energy funds

                     1.6         1.6   

Net receivables for unsettled transactions

     6.6                         6.6   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total assets

   $     1,354.7       $     883.8       $     528.1       $     2,766.6   
  

 

 

    

 

 

    

 

 

    

 

 

 

The fair value of plan assets, summarized by level within the fair value hierarchy described in Note 21, as of May 29, 2011, were as follows:

 

     Level 1      Level 2      Level 3      Total  

Cash and cash equivalents

   $ 2.7       $ 121.5       $       $ 124.2   

Equity securities:

           

U.S. equity securities

     625.7         7.7                 633.4   

International equity securities

     473.1         131.5                 604.6   

Fixed income securities:

           

Government bonds

     53.4         155.1                 208.5   

Corporate bonds

     103.5         169.5                 273.0   

Mortgage-backed bonds

     31.5         58.9                 90.4   

Real estate funds

     7.8                 70.3         78.1   

Multi-strategy hedge funds

                     346.0         346.0   

Private equity funds

                     56.0         56.0   

Master limited partnerships

     125.2                         125.2   

Net receivables for unsettled transactions

     4.5                         4.5   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total assets

   $     1,427.4       $     644.2       $     472.3       $     2,543.9   
  

 

 

    

 

 

    

 

 

    

 

 

 

Level 1 assets are valued based on quoted prices in active markets for identical securities. The majority of the Level 1 assets listed above include the common stock of both U.S. and international companies, mutual

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

funds, master limited partnership units, and real estate investment trusts, all of which are actively traded and priced in the market. Level 2 assets are valued based on other significant observable inputs including quoted prices for similar securities, yield curves, indices, etc. The Level 2 assets listed above consist primarily of commingled equity investments where values are based on the net asset value of the underlying investments held, individual fixed income securities where values are based on quoted prices of similar securities and observable market data, and commingled fixed income investments where values are based on the net asset value of the underlying investments held. Level 3 assets are those where the fair value is determined based on unobservable inputs. The Level 3 assets listed above consist of alternative investments where active market pricing is not readily available and, as such, we use net asset values as an estimate of fair value as a practical expedient. For real estate funds, the value is based on the net asset value provided by the investment manager who uses market data and independent third party appraisals to determine fair market value. For the multi-strategy hedge funds, the value is based on the net asset values provided by a third party administrator. For private equity and private energy funds, the investment manager provides the valuation using, among other things, comparable transactions, comparable public company data, discounted cash flow analysis, and market conditions.

Level 3 investments are generally considered long-term in nature with varying redemption availability. Certain of our Level 3 investments, with a fair value of approximately $462.0 million as of May 27, 2012, have the ability to impose customary redemption gates which may further restrict or limit the redemption of invested funds therein. As of May 27, 2012, Level 3 investments with a fair value of $4.5 million have imposed such gates.

As of May 27, 2012, we have unfunded commitments for additional investments of $23 million in the private equity funds, $23 million in the private energy funds, and $5 million in real estate funds. We expect unfunded commitments to be funded from plan assets rather than the general assets of the Company.

To develop the expected long-term rate of return on plan assets assumption for the pension plans, we consider the current asset allocation strategy, the historical investment performance, and the expectations for future returns of each asset class.

Our pension plan weighted-average asset allocations and our target asset allocations at May 27, 2012 and May 29, 2011, by asset category were as follows:

 

    May 27,
     2012    
   

 

  May 29,
     2011    
   

 

  Target
Allocation
 

Equity securities

    41       49       38

Debt securities

    23       22       22

Real estate funds

    3       3       6

Multi-strategy hedge funds

    14       14       15

Private equity

    2       2       7

Other

    17       10       12
 

 

 

     

 

 

   

 

 

 

 

 

Total

    100       100       100
 

 

 

     

 

 

   

 

 

 

 

 

The Company’s investment strategy reflects the expectation that equity securities will outperform debt securities over the long term. Assets are invested in a prudent manner to maintain the security of funds while maximizing returns within the Company’s Investment Policy guidelines. The strategy is implemented utilizing indexed and actively managed assets from the categories listed.

The investment goals are to provide a total return that, over the long term, increases the ratio of plan assets to liabilities subject to an acceptable level of risk. This is accomplished through diversification of assets in accordance with the Investment Policy guidelines. Investment risk is mitigated by periodic rebalancing between asset classes as necessitated by changes in market conditions within the Investment Policy guidelines.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Other investments are primarily made up of cash and master limited partnerships.

Level 3 Gains and Losses

The change in the fair value of the Plan’s Level 3 assets is summarized as follows:

 

     Fair Value
May 29,
2011
     Net Realized
and  Unrealized
Gains (Losses)
    Net,
Purchases
and Sales
    Fair Value
May  27,

2012
 

Real estate funds

     $ 70.3         $ 2.4        $ 10.6        $ 83.2   

Multi-strategy hedge funds

     346.0         38.2        (5.1     379.1   

Private equity

     56.0         2.5        5.7        64.2   

Private energy

             (0.5     2.0        1.6   
  

 

 

    

 

 

   

 

 

   

 

 

 

Total

     $     472.3         $     42.6        $       13.2        $     528.1   
  

 

 

    

 

 

   

 

 

   

 

 

 

 

     Fair Value
May  30,

2010
     Net Realized
and  Unrealized
Gains (Losses)
    Net,
Purchases
and Sales
    Fair Value
May  29,

2011
 

Real estate funds

     $ 61.4         $ 7.5        $ 1.4        $ 70.3   

Multi-strategy hedge funds

     22.1         34.1        289.8        346.0   

Private equity

     39.1         8.1        8.8        56.0   

Contracts with insurance companies

     31.2         (2.4     (28.8       
  

 

 

    

 

 

   

 

 

   

 

 

 

Total

     $     153.8         $       47.3        $     271.2        $     472.3   
  

 

 

    

 

 

   

 

 

   

 

 

 

Assumed health care cost trend rates have a significant effect on the benefit obligation of the postretirement plans.

 

Assumed Health Care Cost Trend Rates at:

   May 27,
2012
    May 29,
2011
 

Initial health care cost trend rate

     7.5     7.5

Ultimate health care cost trend rate

     5.0     5.0

Year that the rate reaches the ultimate trend rate

     2016        2016   

A one percentage point change in assumed health care cost rates would have the following effect:

 

     One  Percent
Increase
     One  Percent
Decrease
 

Effect on total service and interest cost

   $         0.6       $         (0.5

Effect on postretirement benefit obligation

     14.8         (13.3

We currently anticipate making contributions of approximately $19.7 million to our company-sponsored pension plans in fiscal 2013. This estimate is based on current tax laws, plan asset performance, and liability assumptions, which are subject to change. We anticipate making contributions of $30.9 million to the postretirement plans in fiscal 2013.

 

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Table of Contents

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

The following table presents estimated future gross benefit payments and Medicare Part D subsidy receipts for our plans:

 

     Pension
Benefits
     Health Care and Life
Insurance
 
      Benefit
Payments
     Subsidy
Receipts
 

2013

   $         154.2       $         31.1       $         (3.8

2014

     158.4         28.6         (3.2

2015

     163.2         28.1         (3.2

2016

     168.4         27.5         (3.2

2017

     174.2         26.6         (3.1

Succeeding 5 years

     966.1         115.9         (13.0

Multiemployer Pension Plans

The Company contributes to several multiemployer defined benefit pension plans under collective bargaining agreements that cover certain of its union-represented employees. The risks of participating in such plans are different from the risks of single-employer plans, in the following respects:

 

  a) Assets contributed to a multiemployer plan by one employer may be used to provide benefits to employees of other participating employers.

 

  b) If a participating employer ceases to contribute to the plan, the unfunded obligations of the plan may be borne by the remaining participating employers.

 

  c) If the Company ceases to have an obligation to contribute to a multiemployer plan in which it had been a contributing employer, it may be required to pay to the plan an amount based on the underfunded status of the plan and on the history of the Company’s participation in the plan prior to the cessation of its obligation to contribute. The amount that an employer that has ceased to have an obligation to contribute to a multiemployer plan is required to pay to the plan is referred to as a withdrawal liability.

The Company’s participation in multiemployer plans for the fiscal year ended May 27, 2012 is outlined in the table below. For each plan that is individually significant to the Company the following information is provided:

 

   

The “EIN / PN” column provides the Employer Identification Number and the three-digit plan number assigned to a plan by the Internal Revenue Service.

 

   

The most recent Pension Protection Act Zone Status available for 2011 and 2010 is for plan years that ended in calendar years 2011 and 2010, respectively. The zone status is based on information provided to the Company by each plan. A plan in the “red” zone has been determined to be in “critical status”, based on criteria established under the Internal Revenue Code (“Code”), and is generally less than 65% funded. A plan in the “yellow” zone has been determined to be in “endangered status”, based on criteria established under the Code, and is generally less than 80% funded. A plan in the “green” zone has been determined to be neither in “critical status” nor in “endangered status”, and is generally at least 80% funded.

 

   

The “FIP/RP Status Pending/Implemented” column indicates whether a Funding Improvement Plan, as required under the Code to be adopted by plans in the “yellow” zone, or a Rehabilitation Plan, as required under the Code to be adopted by plans in the “red” zone, is pending or has been implemented by the plan as of the end of the plan year that ended in calendar year 2011.

 

   

Contributions by the Company are the amounts contributed in the Company’s fiscal periods ending in the specified year.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

   

The “Surcharge Imposed” column indicates whether the Company contribution rate for its fiscal year that ended on May 27, 2012 included an amount in addition to the contribution rate specified in the applicable collective bargaining agreement, as imposed by a plan in “critical status”, in accordance with the requirements of the Code.

 

   

The last column lists the expiration dates of the collective bargaining agreements pursuant to which the Company contributes to the plans.

For plans that are not individually significant to ConAgra Foods the total amount of contributions is presented in the aggregate.

 

          Pension Protection Act
Zone Status
 

FIP /

RP Status

Pending /

Implemented

 

Contributions by

the Company

(millions)

       Expiration
Dates of
Collective
Bargaining
Agreements
Pension Fund   EIN / PN   2011   2010     FY12   FY11   FY10   Surcharge
Imposed
 
Bakery and Confectionary Union and Industry International Pension Plan   52-6118572

/ 001

  Green

12/31/2011-
went to
RED status
3/30/2012

  Green
12/31/2010
  No   $1.3   $1.1   $1.0   No   8/14/2011
to
2/28/2013
Central States, Southeast and Southwest Areas Pension Fund   36-6044243

/ 001

  Red
12/31/2011
  Red

12/31/2010

  Implemented   1.2   1.8   1.7   No   6/1/2014
Western Conference of Teamsters Pension Plan   91-6145047

/ 001

  Green
12/31/2011
  Green
12/31/2010
  N/A   5.2   5.4   6.2   No   07/01/2012
to
05/31/2013

Other Plans

  0.8   0.9   0.8        

Total Contributions

  $8.5   $9.2   $9.7        

On January 11, 2012, a significant contributor to the Bakery and Confectionary Union and Industry International Pension Fund (“Fund”), announced that it had filed voluntary petitions for reorganization under Chapter 11 of the U.S. Bankruptcy Code. It is also stated it plans to modify its labor agreements in order to emerge from Chapter 11 with a new cost structure. It is not yet clear what impact these actions will have on the amount of its Fund withdrawal liability. As such, the effect of the bankruptcy on our future contributions or withdrawal liability is not yet known and cannot be reasonably estimated as of May 27, 2012.

The Company was not listed in the Forms 5500 filed by any of the plans to which it contributes as providing more than 5% of the plan’s total contributions for plan years ending in calendar years 2010 or 2009. At the date our financial statements were issued, Forms 5500 were not available for plan years ending in calendar year 2011.

Certain of our employees are covered under defined contribution plans. The expense related to these plans was $24.2 million, $21.2 million, and $22.8 million in fiscal 2012, 2011, and 2010, respectively.

21. FAIR VALUE MEASUREMENTS

FASB guidance establishes a three-level fair value hierarchy based upon the assumptions (inputs) used to price assets or liabilities. The three levels of inputs used to measure fair value are as follows:

Level 1—Unadjusted quoted prices in active markets for identical assets or liabilities,

Level 2—Observable inputs other than those included in Level 1, such as quoted prices for similar assets and liabilities in active markets or quoted prices for identical assets or liabilities in inactive markets, and

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Level 3—Unobservable inputs reflecting our own assumptions and best estimate of what inputs market participants would use in pricing the asset or liability.

The following table presents our financial assets and liabilities measured at fair value on a recurring basis based upon the level within the fair value hierarchy in which the fair value measurements fall, as of May 27, 2012:

 

    Level 1    

 

  Level 2    

 

  Level 3    

 

  Total  

Assets:

             

Derivative assets

    $     13.8          $     44.9          $     —          $     58.7   

Available-for-sale securities

    1.6                            1.6   

Deferred compensation assets

    5.8                            5.8   
 

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total assets

    $     21.2          $     44.9          $     —          $     66.1   
 

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Liabilities:

             

Derivative liabilities

    $          $ 215.4          $          $ 215.4   

Deferred and share-based compensation liabilities

    27.1                            27.1   
 

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total liabilities

    $     27.1          $     215.4          $     —          $     242.5   
 

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

The following table presents our financial assets and liabilities measured at fair value on a recurring basis based upon the level within the fair value hierarchy in which the fair value measurements fall, as of May 29, 2011:

 

    Level 1    

 

  Level 2    

 

  Level 3    

 

  Total  

Assets:

             

Derivative assets

    $     16.3          $     55.2          $     —          $     71.5   

Available-for-sale securities

    1.7                            1.7   

Deferred compensation assets

    7.4                            7.4   
 

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total assets

    $ 25.4          $ 55.2          $     —          $ 80.6   
 

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Liabilities:

             

Derivative liabilities

    $          $ 92.2          $          $ 92.2   

Deferred and share-based compensation liabilities

    29.1                            29.1   
 

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total liabilities

    $     29.1          $     92.2          $          $ 121.3   
 

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

During fiscal 2010, a partially completed production facility with a carrying amount of $39.3 million was written-down to its fair value of $6.0 million, resulting in an impairment charge of $33.3 million, which is included in selling, general and administrative expenses in the Consumer Foods segment. The fair value measurement used to determine this impairment was based on the market approach and reflected anticipated sales proceeds for these assets. This production facility was sold in fiscal 2011, resulting in no material gain or loss.

During fiscal 2010, we decided to close our meat snack production facility in Garner, North Carolina (see Note 6). We recognized an impairment charge of $16.5 million to write-down the associated property, plant and equipment with a carrying amount of $45.5 million to its fair value of $29.0 million. The fair value measurement used to determine this impairment was based on the income approach, which utilized cash flow projections consistent with the most recent Slim Jim® business plan, a terminal value, and a discount rate equivalent to a market participant’s weighted-average cost of capital.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

During fiscal 2010, noncurrent assets held for sale from our discontinued Gilroy Foods & FlavorsTM business with a carrying amount of $88.7 million were written-down to their fair value of $30.4 million, resulting in an impairment charge of $58.3 million ($39.3 million after-tax), which is included in results of discontinued operations (see Note 2). The fair value measurement used to determine this impairment was based on the market approach and reflected anticipated sales proceeds for these assets.

The carrying amount of long-term debt (including current installments) was $2.9 billion as of May 27, 2012 and $3.2 billion as of May 29, 2011. Based on current market rates provided primarily by outside investment bankers, the fair value of this debt at May 27, 2012 and May 29, 2011 was estimated at $3.5 billion and $3.6 billion, respectively.

22.  BUSINESS SEGMENTS AND RELATED INFORMATION

We report our operations in two reporting segments: Consumer Foods and Commercial Foods. The Consumer Foods reporting segment includes branded, private label, and customized food products, which are sold in various retail and foodservice channels, principally in North America. The products include a variety of categories (meals, entrees, condiments, sides, snacks, and desserts) across frozen, refrigerated, and shelf-stable temperature classes. The Commercial Foods reporting segment includes commercially branded foods and ingredients, which are sold principally to foodservice, food manufacturing, and industrial customers. The Commercial Foods segment’s primary products include: specialty potato products, milled grain ingredients, a variety of vegetable products, seasonings, blends, and flavors which are sold under brands such as Lamb Weston®, ConAgra Mills®, and Spicetec Flavors & SeasoningsTM. We do not aggregate operating segments when determining our reporting segments.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Intersegment sales have been recorded at amounts approximating market. Operating profit for each of the segments is based on net sales less all identifiable operating expenses. General corporate expense, net interest expense, and income taxes have been excluded from segment operations. In the first quarter of fiscal 2012, we changed the manner in which the expenses associated with certain administrative functions are recognized in segment results. In 2012, we also changed our accounting method for pension. Accordingly, segment results of the prior periods have been reclassified to reflect these changes.

 

    2012    

 

  2011    

 

  2010  

Net sales

         

Consumer Foods

  $     8,376.8        $     8,002.0        $     7,939.7   

Commercial Foods

    4,885.8          4,301.1          4,075.2   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total net sales

  $ 13,262.6        $ 12,303.1        $ 12,014.9   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Operating profit

         

Consumer Foods

  $ 1,053.3        $ 1,126.4        $ 1,061.8   

Commercial Foods

    546.3          509.5          543.3   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total operating profit

  $ 1,599.6        $ 1,635.9        $ 1,605.1   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Equity method investment earnings

         

Consumer Foods

  $ 4.9        $ 5.7        $ 5.2   

Commercial Foods

    40.0          20.7          16.9   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total equity method investment earnings

  $ 44.9        $ 26.4        $ 22.1   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Operating profit plus equity method investment earnings

         

Consumer Foods

  $ 1,058.2        $ 1,132.1        $ 1,067.0   

Commercial Foods

    586.3          530.2          560.2   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total operating profit plus equity method investment
earnings

  $ 1,644.5        $ 1,662.3        $ 1,627.2   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

General corporate expenses

  $ (770.4     $ (232.3     $ (544.2

Interest expense, net

    (204.0       (177.5       (160.4

Income tax expense

    (195.8       (421.6       (292.3
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Income from continuing operations

    474.3          830.9          630.3   

Less: Income (loss) attributable to noncontrolling
interests

    6.5          1.8          (2.5
 

 

 

   

 

 

 

 

   

 

 

 

 

 

Income from continuing operations attributable to
ConAgra Foods, Inc.

  $ 467.8        $ 829.1        $ 632.8   
 

 

 

   

 

 

 

 

   

 

 

 

 

 

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

 

     2012          2011          2010      

Identifiable assets

        

Consumer Foods

     $     8,220.9           $     7,277.3           $     7,065.0     

Commercial Foods

     2,384.9           2,466.8           2,230.7     

Corporate

     836.1           1,664.6           2,135.0     

Held for sale

     —           —           307.3     
  

 

 

    

 

 

    

 

 

 

Total

     $ 11,441.9           $ 11,408.7           $ 11,738.0     
  

 

 

    

 

 

    

 

 

 

Additions to property, plant and equipment

        

Consumer Foods

     $ 169.3           $ 208.7           $ 277.4     

Commercial Foods

     97.4           187.0           158.6     

Corporate

     70.0           70.5           46.3     
  

 

 

    

 

 

    

 

 

 

Total

     $ 336.7           $ 466.2           $ 482.3     
  

 

 

    

 

 

    

 

 

 

Depreciation and amortization

        

Consumer Foods

     $ 193.6           $ 180.3           $ 148.6     

Commercial Foods

     94.6           87.6           78.4     

Corporate

     83.6           93.0           97.1     
  

 

 

    

 

 

    

 

 

 

Total

     $ 371.8           $ 360.9           $ 324.1     
  

 

 

    

 

 

    

 

 

 

Net sales by product type within each segment were:

 

     2012          2011          2010      

Net sales

        

Consumer Foods:

        

Grocery

     $     3,358.0           $     3,258.7           $     3,381.8     

Frozen

     1,990.6           1,965.2           1,846.7     

Snacks

     1,237.6           1,209.8           1,229.3     

International

     841.5           714.2           659.4     

Store Brands

     631.9           528.8           454.7     

Other Brands

     317.2           325.3           367.8     
  

 

 

    

 

 

    

 

 

 

Total Consumer Foods

     $ 8,376.8           $ 8,002.0           $ 7,939.7     
  

 

 

    

 

 

    

 

 

 

Commercial Foods:

        

Specialty Potatoes

     $ 2,631.0           $ 2,375.3           $ 2,277.6     

Milled Products

     1,804.9           1,520.5           1,413.3     

Seasonings, Blends, and Flavors

     449.9           405.3           384.3     
  

 

 

    

 

 

    

 

 

 

Total Commercial Foods

     $ 4,885.8           $ 4,301.1           $ 4,075.2     
  

 

 

    

 

 

    

 

 

 

Total net sales

     $ 13,262.6           $ 12,303.1           $ 12,014.9     
  

 

 

    

 

 

    

 

 

 

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

Presentation of Derivative Gains (Losses) for Economic Hedges of Forecasted Cash Flows in Segment Results

Derivatives used to manage commodity price risk and foreign currency risk are not designated for hedge accounting treatment. We believe these derivatives provide economic hedges of certain forecasted transactions. As such, these derivatives (except those related to our milling operations, see Note 19) are recognized at fair market value with realized and unrealized gains and losses recognized in general corporate expenses. The gains and losses are subsequently recognized in the operating results of the reporting segments in the period in which the underlying transaction being economically hedged is included in earnings.

The following table presents the net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk of certain forecasted transactions, under this methodology:

 

     Fiscal Year Ended  
     May 27,
2012
     May 29,
2011
 

Net derivative gains (losses) incurred

     $     (66.8)          $     35.1     

Less: Net derivative gains allocated to reporting segments

     24.4           0.6     
  

 

 

    

 

 

 

Net derivative gains (losses) recognized in general corporate expenses

     $ (91.2)          $ 34.5     
  

 

 

    

 

 

 

Net derivative gains allocated to Consumer Foods

     $ 24.9           $ 3.6     

Net derivative losses allocated to Commercial Foods

     (0.5)          (3.0)    
  

 

 

    

 

 

 

Net derivative gains included in segment operating profit

     $ 24.4           $ 0.6     
  

 

 

    

 

 

 

Based on our forecasts of the timing of recognition of the underlying hedged items, we expect to reclassify losses of $46.6 million and $12.3 million to segment operating results in fiscal 2013 and 2014 and thereafter, respectively. Amounts allocated, or to be allocated, to segment operating results during fiscal 2012 and thereafter include $32.3 million of net gains recognized prior to fiscal 2012.

At May 27, 2012, ConAgra Foods and its subsidiaries had approximately 26,100 employees, primarily in the United States. Approximately 42% of our employees are parties to collective bargaining agreements. Of the employees subject to collective bargaining agreements, approximately 43% are parties to collective bargaining agreements that are scheduled to expire during fiscal 2013.

Our operations are principally in the United States. With respect to operations outside of the United States, no single foreign country or geographic region was significant with respect to consolidated operations for fiscal 2012, 2011, and 2010. Foreign net sales, including sales by domestic segments to customers located outside of the United States, were approximately $1.6 billion, $1.3 billion, and $1.2 billion in fiscal 2012, 2011, and 2010, respectively. Our long-lived assets located outside of the United States are not significant.

Our largest customer, Wal-Mart Stores, Inc. and its affiliates, accounted for approximately 17%, 18%, and 18% of consolidated net sales for fiscal 2012, 2011, and 2010, respectively, primarily in the Consumer Foods segment.

Wal-Mart Stores, Inc. and its affiliates accounted for approximately 15% of consolidated net receivables as of both May 27, 2012 and May 29, 2011, primarily in the Consumer Foods segment.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

23. QUARTERLY FINANCIAL DATA (Unaudited)

 

    2012 (1)     2011 (1)  
    First
Quarter (3)
    Second
Quarter (4)
    Third
Quarter (5)
    Fourth
Quarter
    First
Quarter (6)
    Second
Quarter (7)
    Third
Quarter (8)
    Fourth
Quarter (9)
 

Net sales

    $     3,072.0          $     3,403.9          $     3,373.1          $     3,413.6          $     2,804.3          $     3,147.5          $     3,141.3          $     3,210.0     

Gross profit

    598.7          757.3          790.0          680.9          651.3          760.0          797.3          704.9     

Income (loss) from discontinued operations, net of tax

    0.1          —          —          —          3.0          0.6          (10.6)         (4.5)    

Net income (loss) attributable to ConAgra Foods, Inc.

    93.8          180.2          280.1          (86.2)         148.2          202.7          216.6          250.1     

Earnings per share (2):

               

Basic earnings per share:

               

Income (loss) from continuing operations attributable to ConAgra Foods, Inc. common stockholders

    $ 0.23          $ 0.43          $ 0.68          $ (0.21)         $ 0.32          $ 0.46          $ 0.54          $ 0.62     

Income (loss) from discontinued operations attributable to ConAgra Foods, Inc. common stockholders

    —          —          —          —          0.01          —          (0.03)         (0.01)    
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss) attributable to ConAgra Foods, Inc. common stockholders

    $ 0.23          $ 0.43          $ 0.68          $ (0.21)         $ 0.33          $ 0.46          $ 0.51          $ 0.61     
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Diluted earnings per share:

               

Income (loss) from continuing operations attributable to ConAgra Foods, Inc. common stockholders

    $ 0.22          $ 0.43          $ 0.67          $ (0.21)         $ 0.32          $ 0.46        $ 0.52          $ 0.61     

Income (loss) from discontinued operations attributable to ConAgra Foods, Inc. common stockholders

    —          —          —          —          0.01          —          (0.02)         (0.01)    
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss) attributable to ConAgra Foods, Inc. common stockholders

    $ 0.22          $ 0.43          $ 0.67          $ (0.21)         $ 0.33          $ 0.46          $ 0.50          $ 0.60     
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Dividends declared per common share

    $ 0.23          $ 0.24          $ 0.24          $ 0.24          $ 0.20          $ 0.23          $ 0.23          $ 0.23     

Share price:

               

High

    $ 26.53          $ 25.95          $ 27.18          $ 26.75          $ 25.23          $ 22.95          $ 23.58          $ 25.58     

Low

    22.72          22.99          24.31          25.11          21.36          21.14          21.48          22.48     

 

(1) Amounts differ from previously filed quarterly reports due to the adoption of a change in accounting method for pension during the fourth quarter of fiscal 2012. See additional detail in Note 1.

 

(2) Basic and diluted earnings per share are calculated independently for each of the quarters presented. Accordingly, the sum of the quarterly earnings per share amounts may not agree with the total year.

 

(3) For the quarter ended August 28, 2011, the retrospective change in accounting method for pension increased net income by $8.5 million and earnings per share, basic and diluted by $0.02.

 

(4) For the quarter ended November 27, 2011, the retrospective change in accounting method for pension increased net income by $8.4 million and earnings per share, basic and diluted by $0.02.

 

(5) For the quarter ended February 26, 2012, the retrospective change in accounting method for pension increased net income by $8.5 million and earnings per share, basic and diluted by $0.02.

 

(6) For the quarter ended August 29, 2010, the retrospective change in accounting method for pension increased net income by $1.8 million.

 

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NOTES TO CONSOLIDATED FINANCIAL STATEMENTS — (Continued)

Fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010

Columnar Amounts in Millions Except Per Share Amounts

 

 

(7) For the quarter ended November 28, 2010, the retrospective change in accounting method for pension increased net income by $1.8 million and diluted earnings per share by $0.01.

 

(8) For the quarter ended February 27, 2011, the retrospective change in accounting method for pension increased net income by $1.8 million and basic earnings per share by $0.01.

 

(9) For the quarter ended May 29, 2011, the retrospective change in accounting method for pension decreased net income by $4.8 million and earnings per share, basic and diluted by $0.01.

 

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Report of Independent Registered Public Accounting Firm

The Board of Directors and Stockholders

ConAgra Foods, Inc.:

We have audited the accompanying consolidated balance sheets of ConAgra Foods, Inc. and subsidiaries (the Company) as of May 27, 2012 and May 29, 2011, and the related consolidated statements of earnings, comprehensive income, common stockholders’ equity, and cash flows for each of the years in the three-year period ended May 27, 2012. These consolidated financial statements are the responsibility of the Company’s management. Our responsibility is to express an opinion on these consolidated financial statements based on our audits.

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, the consolidated financial statements referred to above present fairly, in all material respects, the financial position of ConAgra Foods, Inc. and subsidiaries as of May 27, 2012 and May 29, 2011, and the results of their operations and cash flows for each of the years in the three-year period ended May 27, 2012, in conformity with U.S. generally accepted accounting principles.

As discussed in Note 1 to the consolidated financial statements, the Company elected to change its method of accounting for pension benefits in 2012. This method has been applied retrospectively to all periods presented.

We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the Company’s internal control over financial reporting as of May 27, 2012, based on the criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO), and our report dated July 20, 2012 expressed an unqualified opinion on the effectiveness of the Company’s internal control over financial reporting.

/s/ KPMG LLP

Omaha, Nebraska

July 20, 2012

 

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ITEM 9.    CHANGES IN AND DISAGREEMENTS WITH ACCOUNTANTS ON ACCOUNTING AND    FINANCIAL DISCLOSURE

None.

 

ITEM 9A.  CONTROLS AND PROCEDURES

Disclosure Controls and Procedures

The Company’s management carried out an evaluation, with the participation of the Company’s Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of the Company’s disclosure controls and procedures as defined in Rule 13a-15(e) under the Securities Exchange Act of 1934, as amended, as of May 27, 2012. Based upon that evaluation, the Chief Executive Officer and Chief Financial Officer concluded that, as of the end of the period covered by this report, the Company’s disclosure controls and procedures are effective.

Internal Control Over Financial Reporting

The Company’s management, with the participation of the Company’s Chief Executive Officer and Chief Financial Officer, evaluated any change in the Company’s internal control over financial reporting that occurred during the quarter covered by this report and determined that there was no change in the Company’s internal control over financial reporting during the fourth quarter of fiscal 2012 that has materially affected, or is reasonably likely to materially affect, the Company’s internal control over financial reporting.

Management’s Annual Report on Internal Control Over Financial Reporting

The management of ConAgra Foods is responsible for establishing and maintaining adequate internal control over financial reporting as defined in Rule 13a-15(f) under the Securities Exchange Act of 1934, as amended. ConAgra Foods’ internal control over financial reporting is designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with U.S. generally accepted accounting principles. ConAgra Foods’ internal control over financial reporting includes those policies and procedures that: (i) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of ConAgra Foods; (ii) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with U.S. generally accepted accounting principles, and that receipts and expenditures of ConAgra Foods are being made only in accordance with the authorization of management and directors of ConAgra Foods; and (iii) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use or disposition of ConAgra Foods’ assets that could have a material effect on the financial statements. Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluations of effectiveness to future periods are subject to the risk that controls may become inadequate because of the changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

With the participation of ConAgra Foods’ Chief Executive Officer and Chief Financial Officer, management assessed the effectiveness of ConAgra Foods’ internal control over financial reporting as of May 27, 2012. In making this assessment, management used criteria established in Internal Control—Integrated Framework, issued by the Committee of Sponsoring Organizations of the Treadway Commission (“COSO”). As a result of this assessment, management concluded that, as of May 27, 2012, its internal control over financial reporting was effective.

The effectiveness of ConAgra Foods’ internal control over financial reporting as of May 27, 2012 has been audited by KPMG LLP, an independent registered public accounting firm, as stated in their report, a copy of which is included in this Annual Report on Form 10-K.

 

/s/ GARY M. RODKIN

 

/s/ JOHN F. GEHRING

Gary M. Rodkin

President and Chief Executive Officer

July 20, 2012

 

John F. Gehring

Executive Vice President and Chief Financial Officer

July 20, 2012

 

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Report of Independent Registered Public Accounting Firm

The Board of Directors and Stockholders

ConAgra Foods, Inc.:

We have audited the internal control over financial reporting of ConAgra Foods, Inc. and subsidiaries (the Company) as of May 27, 2012, based on the criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO). The Company’s management is responsible for maintaining effective internal control over financial reporting and for its assessment of the effectiveness of internal control over financial reporting, included in the accompanying Management’s Annual Report on Internal Control Over Financial Reporting. Our responsibility is to express an opinion on the Company’s internal control over financial reporting based on our audit.

We conducted our audit in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether effective internal control over financial reporting was maintained in all material respects. Our audit included obtaining an understanding of internal control over financial reporting, assessing the risk that a material weakness exists, and testing and evaluating the design and operating effectiveness of internal control based on the assessed risk. Our audit also included performing such other procedures as we considered necessary in the circumstances. We believe that our audit provides a reasonable basis for our opinion.

A company’s internal control over financial reporting is a process designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles. A company’s internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of the company’s assets that could have a material effect on the financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

In our opinion, ConAgra Foods, Inc. and subsidiaries maintained, in all material respects, effective internal control over financial reporting as of May 27, 2012, based on the criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission.

We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the consolidated balance sheets of the Company as of May 27, 2012 and May 29, 2011, and the related consolidated statements of earnings, comprehensive income, common stockholders’ equity, and cash flows for each of the years in the three-year period ended May 27, 2012, and our report dated July 20, 2012 expressed an unqualified opinion on those consolidated financial statements and includes an explanatory paragraph regarding the Company’s election to change its method of accounting for pension benefits in 2012.

/s/ KPMG LLP

Omaha, Nebraska

July 20, 2012

 

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ITEM 9B.      OTHER INFORMATION

None.

PART III

 

ITEM 10.      DIRECTORS, EXECUTIVE OFFICERS AND CORPORATE GOVERNANCE

Information with respect to our Directors will be set forth in the 2012 Proxy Statement under the heading “Voting Item #1: Election of Directors,” and the information is incorporated herein by reference.

Information regarding our executive officers is included in Part I of this Form 10-K under the heading “Executive Officers of the Registrant,” as permitted by Instruction 3 to Item 401(b) of Regulation S-K.

Information with respect to compliance with Section 16(a) of the Securities Exchange Act of 1934, as amended, by our Directors, executive officers, and holders of more than ten percent of our equity securities will be set forth in the 2012 Proxy Statement under the heading “Section 16(a) Beneficial Ownership Reporting Compliance,” and the information is incorporated herein by reference.

Information with respect to the Audit / Finance Committee and the audit committee’s financial experts will be set forth in the 2012 Proxy Statement under the heading “Board Committees—Audit / Finance Committee,” and the information is incorporated herein by reference.

We have adopted a code of ethics that applies to our Chief Executive Officer, Chief Financial Officer, and Controller. This code of ethics is available on our website at www.conagrafoods.com through the “Our Company—Investors—Corporate Governance” link. If we make any amendments to this code other than technical, administrative, or other non-substantive amendments, or grant any waivers, including implicit waivers, from a provision of this code to our Chief Executive Officer, Chief Financial Officer, or Controller, we will disclose the nature of the amendment or waiver, its effective date, and to whom it applies on our website at www.conagrafoods.com through the “Our Company—Investors—Corporate Governance” link.

 

ITEM 11.      EXECUTIVE COMPENSATION

Information with respect to director and executive compensation and our Human Resources Committee will be set forth in the 2012 Proxy Statement under the headings “Non-Employee Director Compensation,” “Board Committees—Human Resources Committee,” and “Executive Compensation,” and the information is incorporated herein by reference.

 

ITEM 12.   SECURITY OWNERSHIP OF CERTAIN BENEFICIAL OWNERS AND MANAGEMENT   AND RELATED STOCKHOLDER MATTERS

Information with respect to security ownership of certain beneficial owners, directors and management will be set forth in the 2012 Proxy Statement under the heading “Information on Stock Ownership,” and the information is incorporated herein by reference.

 

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Equity Compensation Plan Information

The following table provides information about shares of our common stock that may be issued upon the exercise of options, warrants, and rights under existing equity compensation plans as of our most recent fiscal year-end, May 27, 2012.

 

Plan Category

  

Number of Securities to

be Issued Upon Exercise

of Outstanding Options,

Warrants, and Rights

(a)

    

Weighted-Average

Exercise Price of

Outstanding

Options, Warrants, and

Rights

(b)

    

Number of Securities

Remaining Available for

Future Issuance Under

Equity Compensation Plans

(Excluding Securities

Reflected in Column (a))

(c)

 

Equity compensation plans approved by security holders (1)

     33,571,381       $     23.51         21,536,011   

Equity compensation plans not approved by security holders

                       
  

 

 

    

 

 

    

 

 

 

Total

     33,571,381       $ 23.51         21,536,011   

 

(1) Column (a) includes 1,354,837 shares that could be issued under performance shares outstanding at May 27, 2012. The performance shares are earned and common stock issued if pre-set financial objectives are met. Actual shares issued may be equal to, less than, or greater than the number of outstanding performance shares included in column (a), depending on actual performance. Column (b) does not take these awards into account because they do not have an exercise price. The number of shares reflected in column (a) with respect to these performance shares assumes the vesting criteria will be achieved at target levels. Column (b) also excludes 3,834,096 restricted stock units and 652,644 deferral interests in deferred compensation plans that are included in column (a) but do not have an exercise price. The units vest and are payable in common stock after expiration of the time periods set forth in the related agreements. The interests in the deferred compensation plans are settled in common stock on the schedules selected by the participants.

 

ITEM 13.   CERTAIN RELATIONSHIPS AND RELATED TRANSACTIONS, AND DIRECTOR   INDEPENDENCE

Information with respect to Director independence and certain relationships and related transactions will be set forth in the 2012 Proxy Statement under the headings “Corporate Governance—Director Independence” and “Board Committees—Audit / Finance Committee,” and the information is incorporated herein by reference.

 

ITEM 14.      PRINCIPAL ACCOUNTANT FEES AND SERVICES

Information with respect to the principal accountant will be set forth in the 2012 Proxy Statement under the heading “Voting Item #2: Ratification of the Appointment of Independent Auditor,” and the information is incorporated herein by reference.

PART IV

 

ITEM 15.      EXHIBITS AND FINANCIAL STATEMENT SCHEDULES

a)    List of documents filed as part of this report:

1.    Financial Statements

All financial statements of the Company as set forth under Item 8 of this Annual Report on Form 10-K.

 

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2.    Financial Statement Schedules

 

Schedule

Number

  

Description

   Page
Number
 
S-II    Valuation and Qualifying Accounts      101   
   Report of Independent Registered Public Accounting Firm      102   

All other schedules are omitted because they are not applicable, or not required, or because the required information is included in the consolidated financial statements, notes thereto.

3.    Exhibits

All exhibits as set forth on the Exhibit Index, which is incorporated herein by reference.

 

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SIGNATURES

Pursuant to the requirements of Section 13 or 15(d) of the Securities Exchange Act of 1934, ConAgra Foods, Inc. has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

ConAgra Foods, Inc.
/s/    GARY M. RODKIN
Gary M. Rodkin

President and Chief Executive Officer

July 20, 2012

/s/    JOHN F. GEHRING
John F. Gehring

Executive Vice President and Chief Financial Officer

July 20, 2012

/s/    ROBERT G. WISE
Robert G. Wise

Vice President and Corporate Controller

July 20, 2012

 

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Pursuant to the requirements of the Securities Exchange Act of 1934, this report has been signed below by the following persons on behalf of the Registrant and in the capacities indicated on the 20th day of July, 2012.

 

Gary M. Rodkin*

     Director   

Mogens C. Bay*

     Director   

Stephen G. Butler*

     Director   

Steven F. Goldstone*

     Director   

Joie A. Gregor*

     Director   

Rajive Johri*

     Director   

W.G. Jurgensen*

     Director   

Richard H. Lenny*

     Director   

Ruth Ann Marshall*

     Director   

Andrew J. Schindler*

     Director   

Kenneth E. Stinson*

     Director   

 

* John F. Gehring, by signing his name hereto, signs this annual report on behalf of each person indicated. Powers-of-Attorney authorizing John F. Gehring to sign this annual report on Form 10-K on behalf of each of the indicated Directors of ConAgra Foods, Inc. have been filed herein as Exhibit 24.

 

By:   /s/    JOHN F. GEHRING
 

John F. Gehring

Attorney-In-Fact

 

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Schedule Schedule

Schedule II

CONAGRA FOODS, INC. AND SUBSIDIARIES

Valuation and Qualifying Accounts

For the Fiscal Years ended May 27, 2012, May 29, 2011, and May 30, 2010

(Dollars in millions)

 

Description

   Balance at
Beginning
of Period
     Additions
Charged

to Costs  and
Expenses
     Other     Deductions
from
Reserves
    Balance at
Close of
Period
 

Year ended May 27, 2012

            

Allowance for doubtful receivables

   $ 7.8         1.0         2.2 (1)      5.1 (2)    $ 5.9   

Year ended May 29, 2011

            

Allowance for doubtful receivables

   $ 8.5         0.2                0.9 (2)    $ 7.8   

Year ended May 30, 2010

            

Allowance for doubtful receivables

   $       13.8         1.1                6.4 (2)    $       8.5   

 

(1) Primarily allowances acquired through fiscal 2012 business acquisitions.
(2) Bad debts charged off, less recoveries.

 

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Report of Independent Registered Public Accounting Firm

The Board of Directors and Stockholders

ConAgra Foods, Inc.:

Under date of July 20, 2012, we reported on the consolidated balance sheets of ConAgra Foods, Inc. and subsidiaries (the Company) as of May 27, 2012 and May 29, 2011, and the related consolidated statements of earnings, comprehensive income, common stockholders’ equity, and cash flows for each of the years in the three-year period ended May 27, 2012, which are included in the Annual Report on Form 10-K of ConAgra Foods, Inc. for the fiscal year ended May 27, 2012. In connection with our audits of the aforementioned consolidated financial statements, we also audited the related consolidated financial statement schedule listed in the Index at Item 15. This consolidated financial statement schedule is the responsibility of the Company’s management. Our responsibility is to express an opinion on this consolidated financial statement schedule based on our audits.

In our opinion, such consolidated financial statement schedule, when considered in relation to the basic consolidated financial statements taken as a whole, presents fairly, in all material respects, the information set forth therein.

/s/    KPMG LLP

Omaha, Nebraska

July 20, 2012

 

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EXHIBIT INDEX

All documents referenced below were filed pursuant to the Securities and Exchange Act of 1934 by ConAgra Foods, Inc. (file number 001-07275), unless otherwise noted.

 

Number      

  

Description

    3.1    ConAgra Foods’ Certificate of Incorporation, as restated, incorporated herein by reference to Exhibit 3.1 of ConAgra Foods’ current report on Form 8-K dated December 1, 2005
    3.2    Amended and Restated By-Laws of ConAgra Foods, Inc., as Amended, incorporated herein by reference to Exhibit 3.1 of ConAgra Foods’ current report on Form 8-K dated November 29, 2007
*10.1    ConAgra Foods, Inc. Amended and Restated Non-Qualified CRISP Plan (January 1, 2009 Restatement) incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 23, 2008
*10.1.1    Amendment One dated November 29, 2010 to the ConAgra Foods, Inc. Amended and Restated Non-Qualified CRISP Plan (January 1, 2009 Restatement) incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 27, 2011
*10.2    ConAgra Foods, Inc. Non-Qualified Pension Plan (January 1, 2009 Restatement) incorporated herein by reference to Exhibit 10.2 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 23, 2008
*10.2.1    Amendment One dated December 3, 2009 to ConAgra Foods, Inc. Nonqualified Pension Plan incorporated herein by reference to Exhibit 10.2 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 28, 2010
*10.2.2    Amendment Two dated November 29, 2010 to the ConAgra Foods, Inc. Non-Qualified Pension Plan (January 1, 2009 Restatement) incorporated herein by reference to Exhibit 10.2 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 27, 2011
*10.3    ConAgra Foods, Inc. Directors’ Deferred Compensation Plan (January 1, 2009 Restatement) incorporated herein by reference to Exhibit 10.4 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 23, 2008
*10.3.1    Amendment One dated December 10, 2010 to ConAgra Foods, Inc. Directors’ Deferred Compensation Plan (September, 2009 Restatement) incorporated herein by reference to Exhibit 10.4 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 27, 2011
*10.4    ConAgra Foods, Inc. Amended and Restated Voluntary Deferred Compensation Plan (January 1, 2009 Restatement), incorporated herein by reference to Exhibit 10.3 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 23, 2008
*10.4.1    Amendment One dated December 3, 2009 to the ConAgra Foods, Inc. Amended and Restated Voluntary Deferred Compensation Plan (January 1, 2009 Restatement) incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 28, 2010
*10.4.2    Amendment Two dated November 29, 2010 to ConAgra Foods, Inc. Amended and Restated Voluntary Deferred Compensation Plan (January 1, 2009 Restatement) incorporated herein by reference to Exhibit 10.3 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 27, 2011
*10.5    ConAgra Foods 1990 Stock Plan incorporated herein by reference to Exhibit 10.6 of ConAgra Foods’ annual report on Form 10-K for the fiscal year ended May 29, 2005
*10.6    ConAgra Foods 1995 Stock Plan incorporated herein by reference to Exhibit 10.7 of ConAgra Foods’ annual report on Form 10-K for the fiscal year ended May 29, 2005
*10.7    ConAgra Foods 2000 Stock Plan incorporated herein by reference to Exhibit 10.8 of ConAgra Foods’ annual report on Form 10-K for the fiscal year ended May 29, 2005

 

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Number      

  

Description

*10.8    Amendment dated May 2, 2002 to ConAgra Foods Stock Plans and other Plans incorporated herein by reference to Exhibit 10.10 of ConAgra Foods’ annual report on Form 10-K for the fiscal year ended May 26, 2002
*10.9    ConAgra Foods 2006 Stock Plan incorporated herein by reference to Exhibit 10.10 of ConAgra Foods’ annual report on Form 10-K for the fiscal year ended May 28, 2006
*10.9.1    Form of Stock Option Agreement for Non-Employee Directors (ConAgra Foods 2006 Stock Plan) incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ current report on Form 8-K dated October 3, 2006
*10.9.2    Form of Stock Option Agreement for Employees (ConAgra Foods 2006 Stock Plan) incorporated herein by reference to Exhibit 10.25 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 26, 2006
*10.9.3    Form of Restricted Stock Award Agreement (ConAgra Foods 2006 Stock Plan), incorporated herein by reference to Exhibit 10.26 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 26, 2006
*10.9.4    Form of Restricted Stock Unit Agreement (ConAgra Foods 2006 Stock Plan) incorporated herein by reference to Exhibit 10.27 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 26, 2006
*10.9.4.1    Amendment One to Restricted Stock Unit Agreement (ConAgra Foods 2006 Stock Plan) incorporated herein by reference to Exhibit 10.12 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 23, 2008
*10.9.5    Form of Restricted Stock Unit Agreement (ConAgra Foods 2006 Stock Plan) (Post—July 2007) incorporated herein by reference to Exhibit 10.13 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 23, 2008
*10.10    ConAgra Foods 2009 Stock Plan incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ current report on Form 8-K dated September 28, 2009
*10.10.1    Form of Stock Option Agreement (ConAgra Foods 2009 Stock Plan) for Non-Employee Directors under the ConAgra Foods 2009 Stock Plan incorporated herein by reference to Exhibit 10.5 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended August 30, 2009
*10.10.2    Form of Stock Option Agreement (ConAgra Foods 2009 Stock Plan) incorporated herein by reference to Exhibit 10.4 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended August 30, 2009
*10.10.3    Form of Stock Option Agreement for certain named executive officers (ConAgra Foods 2009 Stock Plan) incorporated herein by reference to Exhibit 10.6 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended August 30, 2009
*10.10.4    Form of Restricted Stock Unit Agreement (ConAgra Foods 2009 Stock Plan) incorporated herein by reference to Exhibit 10.3 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended August 30, 2009
*10.10.4.1    Form of Restricted Stock Unit Agreement (ConAgra Foods 2009 Stock Plan) (Choice Program) incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended August 29, 2010
*10.10.4.2    Form of Restricted Stock Unit Agreement (ConAgra Foods 2009 Stock Plan) (Choice Program—post November 2010) incorporated herein by reference to Exhibit 10.5 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 27, 2011
*10.10.5    Form of Restricted Stock Unit Agreement for Non-Employee Directors (ConAgra Foods 2009 Stock Plan) incorporated herein by reference to Exhibit 10.6 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 27, 2011
*10.11    ConAgra Foods Executive Incentive Plan, as amended and restated incorporated by reference to Exhibit 10.2 of ConAgra Foods’ current report on Form 8-K dated September 28, 2009

 

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Number      

  

Description

*10.12    ConAgra Foods, Inc. 2008 Performance Share Plan, effective July 16, 2008, incorporated herein by reference to Exhibit 10.3 of ConAgra Foods’ quarterly report on Form 10-Q for quarter ended August 24, 2008
*10.13    ConAgra Foods, Inc. Deferred Compensation Plan Requirements dated December 10, 2010 incorporated herein by reference to Exhibit 10.7 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 27, 2011
*10.14    Form of Amended and Restated Change of Control Agreement between ConAgra Foods and its executives (pre September 2011) incorporated herein by reference to Exhibit 10.14 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 23, 2008
*10.14.1    Form of Change of Control Agreement between ConAgra Foods and its executives (post September 2011) incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 27, 2011
*10.15    Form of Executive Time Sharing Agreement incorporated herein by reference to Exhibit 10.5 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 25, 2007
*10.16    Amended and Restated Employment Agreement between ConAgra Foods and Gary M. Rodkin incorporated herein by reference to Exhibit 10.15 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended November 23, 2008
*10.17    Stock Option Agreement between ConAgra Foods and Gary M. Rodkin incorporated herein by reference to Exhibit 10.2 of ConAgra Foods’ current report on Form 8-K dated August 31, 2005
*10.18    Consulting Agreement made by and between ConAgra Foods, Inc. and Robert F. Sharpe, Jr. effective May 30, 2011, incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended August 28, 2011
*10.19    Letter Agreement between ConAgra Foods and Andre Hawaux, dated October 9, 2006 incorporated herein by reference to Exhibit 10.24 of ConAgra Foods’ annual report on Form 10-K for the fiscal year ended May 27, 2007
*10.20    Letter Agreement between ConAgra Foods, Inc. and Brian L. Keck dated September 7, 2010, as amended, incorporated herein by reference to Exhibit 10.2 of ConAgra Foods’ quarterly report on Form 10-Q for the Quarter Ended August 28, 2011
*10.21    Transition and Severance Agreement between ConAgra Foods, Inc. and Pete Perez dated December 31, 2009, incorporated herein by reference to Exhibit 10.3 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 28, 2010
*10.22    Amendment No. 1 to Stock Option Agreement between ConAgra Foods, Inc. and Peter M. Perez dated December 31, 2009 (2004 Options), incorporated herein by reference to Exhibit 10.4 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 28, 2010
*10.23    Amendment No. 1 to Stock Option Agreement between ConAgra Foods, Inc. and Peter M. Perez dated December 31, 2009 (2009 Options), incorporated herein by reference to Exhibit 10.5 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 28, 2010
*10.24    Summary of Non-Employee Director Compensation Program incorporated herein by reference to Exhibit 10.8 of ConAgra Foods’ quarterly report on Form 10-Q for the quarter ended February 27, 2011
10.25    Credit Agreement, dated as of September 14, 2011, by and among ConAgra Foods, Inc., JP Morgan Chase Bank, N.A., as administrative agent and a lender, Bank of America, N.A., as syndication agent and a lender, and the other financial institutions party thereto, incorporated herein by reference to Exhibit 10.2 of ConAgra Foods’ quarterly report on Form 10-Q for the Quarter Ended November 27, 2011
10.26    Contribution and Equity Interest Purchase Agreement by and among ConAgra Foods, Inc., ConAgra Foods Food Ingredients Company, Inc., Freebird I LLC, Freebird II LLC, Freebird Holdings, LLC and Freebird Intermediate Holdings, LLC, dated as of March 27, 2008, incorporated herein by reference to Exhibit 10.1 of ConAgra Foods’ current report on Form 8-K dated March 27, 2008

 

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Number      

  

Description

12    Statement regarding computation of ratios of earnings to fixed charges
18    Letter on Change in Accounting Principles
21    Subsidiaries of ConAgra Foods, Inc.
23    Consent of KPMG LLP
24    Powers of Attorney
31.1    Section 302 Certificate
31.2    Section 302 Certificate
32.1    Section 906 Certificates
101.1    The following materials from ConAgra Foods’ Annual Report on Form 10-K for the year ended May 27, 2012, formatted in XBRL (eXtensible Business Reporting Language): (i) the Consolidated Statements of Earnings, (ii) the Consolidated Statements of Comprehensive Income, (iii) the Consolidated Balance Sheets, (iv) the Consolidated Statements of Common Stockholders’ Equity, (v) the Consolidated Statements of Cash Flows, (vi) Notes to Consolidated Financial Statements, and (vi) document and entity information.

 

* Management contract or compensatory plan.

 

   Pursuant to Item 601(b)(4) of Regulation S-K, certain instruments with respect to ConAgra Foods’ long-term debt are not filed with this Form 10-K. ConAgra Foods will furnish a copy of any such long-term debt agreement to the Securities and Exchange Commission upon request.

 

106

EX-12 2 d357714dex12.htm EX-12 EX-12

Exhibit 12

CONAGRA FOODS, INC. AND SUBSIDIARIES

Computation of Ratios of Earnings to Fixed Charges

(Dollars in millions)

 

     2012     2011     2010     2009     2008  

Earnings:

          

Income from continuing operations before income taxes and equity method investment earnings

   $ 625.2      $ 1,226.1      $ 900.5      $ 771.9      $ 797.5   

Add/(deduct):

          

Fixed charges

     258.2        273.5        301.6        314.1        313.6   

Distributed income of equity investees

     27.4        13.3        30.6        41.4        28.0   

Capitalized interest

     (5.6     (11.6     (12.2     (3.1     (8.2
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Earnings available for fixed charges (a)

   $ 905.2      $ 1,501.3      $ 1,220.5      $ 1,124.3      $ 1,130.9   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Fixed Charges:

          

Interest expense

   $ 208.0      $ 219.7      $ 246.0      $ 264.3      $ 262.4   

Capitalized interest

     5.6        11.6        12.2        3.1        8.2   

One third of rental expense(1)

     44.6        42.2        43.4        46.7        43.0   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total fixed charges (b)

   $ 258.2      $ 273.5      $ 301.6      $ 314.1      $ 313.6   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Ratio of earnings to fixed charges (a/b)

     3.5        5.5        4.0        3.6        3.6   

 

(1) Considered to be representative of interest factor in rental expense.
EX-18 3 d357714dex18.htm EX-18 EX-18

Exhibit 18

LETTER ON CHANGE IN ACCOUNTING PRINCIPLES

July 20, 2012

ConAgra Foods, Inc.

1 Conagra Drive

Omaha, Nebraska 68102

Ladies and Gentlemen:

We have audited the consolidated balance sheets of ConAgra Foods, Inc. and subsidiaries (the Company) as of May 27, 2012 and May 29, 2011, and the related consolidated statements of earnings, comprehensive income, common stockholders’ equity, and cash flows for each of the years in the three-year period ended May 27, 2012, and have reported thereon under date of July 20, 2012. The aforementioned consolidated financial statements and our audit report thereon are included in the Company’s annual report on Form 10-K for the year ended May 27, 2012. As stated in Note 1 to those financial statements, the Company changed its method of accounting for pension benefits to immediately recognize actuarial gains and losses in its operating results in the year in which they occur, to the extent they exceed 10 percent of the greater of the market related value of plan assets or the plans’ projected benefit obligation (“the corridor”), and to use the fair value of plan assets for purposes of calculating the expected return on plan assets. Note 1 also states that the newly adopted accounting principles are intended to improve the transparency of the Company’s operating results by more quickly recognizing the effects of changes in plan asset values and the impact of current interest rates on plan obligations. In accordance with your request, we have reviewed and discussed with Company officials the circumstances and business judgment and planning upon which the decision to make this change in the method of accounting was based.

With regard to the aforementioned accounting changes, authoritative criteria have not been established for evaluating the preferability of one acceptable method of accounting over another acceptable method. However, for purposes of the Company’s compliance with the requirements of the Securities and Exchange Commission, we are furnishing this letter.

Based on our review and discussion, with reliance on management’s business judgment and planning, we concur that the newly adopted methods of accounting are preferable in the Company’s circumstances.

Very truly yours,

/s/ KPMG LLP

EX-21 4 d357714dex21.htm EX-21 EX-21

Exhibit 21

SUBSIDIARIES OF CONAGRA FOODS, INC.

ConAgra Foods, Inc. is the parent corporation owning, directly or indirectly, 100% of the voting securities (unless otherwise noted) of the following subsidiaries principally engaged in the production and distribution of food products (unless otherwise noted) as of May 27, 2012:

 

Subsidiary

  

Jurisdiction of

Formation

ConAgra Foods Canada, Inc. / Aliments ConAgra Canada, Inc. (owns 100% of one Canadian corporation)    Canada
ConAgra Foods Enterprise Services, Inc.    Delaware
ConAgra Foods Export Company, Inc.    Delaware
ConAgra Foods Food Ingredients Company, Inc.    Delaware
ConAgra Foods Lamb Weston, Inc. (owns 100% of one domestic corporation, 100% of one domestic limited liability company, 82% of one domestic limited liability company, 49.99% of one domestic limited liability company and 36% of one domestic limited liability company)    Delaware
ConAgra Foods Packaged Foods, LLC (owns 100% of one domestic corporation)    Delaware
ConAgra Foods RDM, Inc.    Delaware
ConAgra Foods Sales, Inc.    Delaware
ConAgra Grocery Products Company, LLC (owns 100% of three domestic corporations, 77% of one domestic corporation, 50% of one foreign entity, and 1% or less of four foreign entities)    Delaware
ConAgra International, Inc. (owns 100% of three foreign entities, 98% of one foreign entity, 66% of one foreign entity, 54% of one foreign entity, 34% of one foreign entity, 23% of one domestic corporation, and less than 1% of three foreign entities)    Delaware
ConAgra Limited/ConAgra Limitée (owns 100% of two Canadian corporation)    Canada
Lamb Weston Sales, Inc.    Delaware

The corporations listed above are included in the consolidated financial statements, which are a part of this report.

EX-23 5 d357714dex23.htm EX-23 EX-23

Exhibit 23

CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

The Board of Directors and Stockholders

ConAgra Foods, Inc.:

We consent to the incorporation by reference in the registration statement No. 333-177140 on Form S-3 and registration statements Nos. 333-70476, 333-46962, 333-46960, 333-44426, 333-78063, 333-64633, 33-50113, 33-48295, 33-28079, 2-81244, 2-96891, 33-15815, 333-17573, 33-52330, 333-17549, 33-63061, 33-37293, 333-00997, 333-137739, 333-162180, 333-162137, and 333-162136 on Form S-8 of ConAgra Foods, Inc. and subsidiaries (the Company) of our reports dated July 20, 2012, with respect to the consolidated balance sheets of the Company as of May 27, 2012 and May 29, 2011, and the related consolidated statements of earnings, comprehensive income, common stockholders’ equity, and cash flows for each of the years in the three-year period ended May 27, 2012, the related consolidated financial statement schedule for each of the years in the three-year period ended May 27, 2012, and the effectiveness of internal control over financial reporting as of May 27, 2012, which reports appear in the Annual Report on Form 10-K of ConAgra Foods, Inc. for the fiscal year ended May 27, 2012.

Our report dated July 20, 2012, on the consolidated balance sheets of ConAgra Foods, Inc. and subsidiaries as of May 27, 2012 and May 29, 2011, and the related consolidated statements of earnings, comprehensive income, common stockholders’ equity, and cash flows for each of the years in the three-year period ended May 27, 2012, contains an explanatory paragraph that states that the Company elected to change its method of accounting for pension benefits in 2012. This method has been applied retrospectively to all periods presented.

/s/ KPMG LLP

Omaha, Nebraska

July 20, 2012

EX-24 6 d357714dex24.htm EX-24 EX-24

Exhibit 24

POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

 

/s/ Mogens C. Bay
Mogens C. Bay


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

 

/s/ Stephen G. Butler
Stephen G. Butler


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

 

/s/ Steven F. Goldstone
Steven F. Goldstone


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as her Attorney-in-Fact in her name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in her capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

 

/s/ Joie A. Gregor
Joie A. Gregor


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

 

/s/ Rajive Johri
Rajive Johri


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

/s/ Richard H. Lenny                                                             

Richard H. Lenny


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as her Attorney-in-Fact in her name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in her capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

/s/ Ruth Ann Marshall                                                             

Ruth Ann Marshall


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

/s/ Gary M. Rodkin                                                                 

Gary M. Rodkin


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

/s/ Andrew J. Schindler                                                         

Andrew J. Schindler


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

/s/ Kenneth E. Stinson                                                         

Kenneth E. Stinson


POWER OF ATTORNEY

The undersigned Director of ConAgra Foods, Inc., a Delaware corporation, hereby constitutes and appoints each of John F. Gehring, Robert G. Wise, and Colleen R. Batcheler as his Attorney-in-Fact in his name, place and stead, to execute ConAgra Foods’ Annual Report on Form 10-K for the fiscal year ended May 27, 2012, together with any and all subsequent amendments thereof, in his capacity as a Director and hereby ratifies all that any one or more of said Attorneys-in-Fact may do by virtue thereof.

IN WITNESS WHEREOF, the undersigned has executed this Power of Attorney this 17th day of July, 2012.

 

/s/ W.G. Jurgensen
W.G. Jurgensen
EX-31.1 7 d357714dex311.htm EX-31.1 EX-31.1

Exhibit 31.1

CERTIFICATION OF THE CHIEF EXECUTIVE OFFICER

I, Gary M. Rodkin, certify that:

 

  1. I have reviewed this annual report on Form 10-K for the year ended May 27, 2012 of ConAgra Foods, Inc.;

 

  2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

  3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, and cash flows of the registrant as of, and for, the periods presented in this report;

 

  4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

  (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

  (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

  (c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

  (d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

  5. The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

  (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

  (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: July 20, 2012

 

/S/ GARY M. RODKIN

Gary M. Rodkin
Chief Executive Officer
EX-31.2 8 d357714dex312.htm EX-31.2 EX-31.2

Exhibit 31.2

CERTIFICATION OF THE CHIEF FINANCIAL OFFICER

I, John F. Gehring, certify that:

 

  1. I have reviewed this annual report on Form 10-K for the year ended May 27, 2012 of ConAgra Foods, Inc.;

 

  2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

  3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, and cash flows of the registrant as of, and for, the periods presented in this report;

 

  4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

  (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

  (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

  (c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

  (d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

  5. The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

  (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

  (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: July 20, 2012

 

/S/ JOHN F. GEHRING

John F. Gehring
Executive Vice President and Chief Financial Officer
EX-32.1 9 d357714dex321.htm EX-32.1 EX-32.1

Exhibit 32.1

CERTIFICATION

Pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002:

I, Gary M. Rodkin, President and Chief Executive Officer of ConAgra Foods, Inc., certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, to my knowledge that ConAgra Foods, Inc.’s Annual Report on Form 10-K for the fiscal year ended May 27, 2012 fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and that the information contained in such Annual Report fairly presents, in all material respects, the financial condition and results of operations of ConAgra Foods, Inc. as of the dates and for the periods expressed therein.

July 20, 2012

 

/S/ GARY M. RODKIN

Gary M. Rodkin
President and Chief Executive Officer

I, John F. Gehring, Executive Vice President and Chief Financial Officer of ConAgra Foods, Inc., certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, to my knowledge that ConAgra Foods, Inc.’s Annual Report on Form 10-K for the fiscal year ended May 27, 2012 fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and that the information contained in such Annual Report fairly presents, in all material respects, the financial condition and results of operations of ConAgra Foods, Inc. as of the dates and for the periods expressed therein.

July 20, 2012

 

/S/ JOHN F. GEHRING

John F. Gehring
Executive Vice President and Chief Financial Officer

A signed original of this written statement required by Section 906 has been provided to ConAgra Foods, Inc. and will be retained by ConAgra Foods, Inc. and furnished to the Securities and Exchange Commission or its staff upon request.

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Evidence of a loss in value that is other than temporary include, but are not limited to, the absence of an ability to recover the carrying amount of the investment, the inability of the investee to sustain an earnings capacity which would justify the carrying amount of the investment, or, where applicable, estimated sales proceeds which are insufficient to recover the carrying amount of the investment. Management&#8217;s assessment as to whether any decline in value is other than temporary is based on our ability and intent to hold the investment and whether evidence indicating the carrying value of the investment is recoverable within a reasonable period of time outweighs evidence to the contrary. Management generally considers our investments in equity method investees to be strategic long-term investments. Therefore, management completes its assessments with a long-term viewpoint. 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(&#8220;Ochoa&#8221;). We provide all sales and marketing services to Lamb Weston BSW. Under certain circumstances, we could be required to compensate Ochoa for lost profits resulting from significant production shortfalls (&#8220;production shortfalls&#8221;). Commencing on June&#160;1, 2018, or on an earlier date under certain circumstances, we have a contractual right to purchase the remaining equity interest in Lamb Weston BSW from Ochoa (the &#8220;call option&#8221;). We are currently subject to a contractual obligation to purchase all of Ochoa&#8217;s equity investment in Lamb Weston BSW at the option of Ochoa (the &#8220;put option&#8221;). The purchase prices under the call option and the put option (the &#8220;options&#8221;) are based on the book value of Ochoa&#8217;s equity interest at the date of exercise, as modified by an agreed-upon rate of return for the holding period of the investment balance. The agreed-upon rate of return varies depending on the circumstances under which any of the options are exercised. As of May&#160;27, 2012, the price at which Ochoa had the right to put its equity interest to us was $34.3 million. This amount is presented within other liabilities in our consolidated balance sheet. We have determined that Lamb Weston BSW is a variable interest entity and that we are the primary beneficiary of the entity. Accordingly, we consolidate the financial statements of Lamb Weston BSW. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2"> In the first quarter of fiscal 2011, we repaid $35.4&#160;million of bank borrowings of Lamb Weston BSW and took assignment of a promissory note from a lender of the joint venture, the balance of which was $36.1&#160;million at May&#160;27, 2012. The promissory note is due in December 2015. 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text-indent:4%"><font style="font-family:times new roman" size="2">During fiscal 2010, we completed the sale of approximately 17,600&#160;acres of farmland to an unrelated buyer and immediately entered into an agreement with an affiliate of the buyer to lease back the farmland. At that time, we received proceeds of $75.0&#160;million in cash, removed the land from our balance sheet, and recorded a deferred gain of $29.7&#160;million (reflected primarily in noncurrent liabilities). The lease agreement has an initial term of ten years and two five-year renewal options. This lease is being accounted for as an operating lease and we are recognizing the deferred gain as a reduction of rent expense over the lease term. </font></p> <!--DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.0 Transitional//EN" "http://www.w3.org/TR/xhtml1/DTD/xhtml1-transitional.dtd" --> <!-- Begin Block Tagged Note 18 - us-gaap:CommitmentsAndContingenciesDisclosureTextBlock--> <p style="margin-top:12px;margin-bottom:0px"><font style="font-family:times new roman" size="2"><b>18.&#160;&#160;CONTINGENCIES </b></font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">In fiscal 1991, we acquired Beatrice Company (&#8220;Beatrice&#8221;). As a result of the acquisition and the significant pre-acquisition contingencies of the Beatrice businesses and its former subsidiaries, our consolidated post-acquisition financial statements reflect liabilities associated with the estimated resolution of these contingencies. These include various litigation and environmental proceedings related to businesses divested by Beatrice prior to its acquisition by us. The litigation includes suits against a number of lead paint and pigment manufacturers, including ConAgra Grocery Products and the Company as alleged successors to W. P. Fuller Co., a lead paint and pigment manufacturer owned and operated by Beatrice until 1967. Although decisions favorable to us have been rendered in Rhode Island, New Jersey, Wisconsin, and Ohio, we remain a defendant in active suits in Illinois and California. The Illinois suit seeks class-wide relief in the form of medical monitoring for elevated levels of lead in blood. In California, a number of cities and counties have joined in a consolidated action seeking abatement of the alleged public nuisance. We have had successful outcomes in every case decided to date and although exposure in the remaining cases is unlikely, it is reasonably possible. However, given the range of potential remedies, it is not possible to estimate this exposure. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">The environmental proceedings include litigation and administrative proceedings involving Beatrice&#8217;s status as a potentially responsible party at 36 Superfund, proposed Superfund, or state-equivalent sites; these sites involve locations previously owned or operated by predecessors of Beatrice that used or produced petroleum, pesticides, fertilizers, dyes, inks, solvents, PCBs, acids, lead, sulfur, tannery wastes, and/or other contaminants. Beatrice has paid or is in the process of paying its liability share at 32 of these sites. Reserves for these matters have been established based on our best estimate of the undiscounted remediation liabilities, which estimates include evaluation of investigatory studies, extent of required clean-up, the known volumetric contribution of Beatrice and other potentially responsible parties, and its experience in remediating sites. The reserves for Beatrice-related environmental matters totaled $70.0 million as of May&#160;27, 2012, a majority of which relates to the Superfund and state-equivalent sites referenced above. We expect expenditures for Beatrice-related environmental matters to continue for up to 18&#160;years. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">In limited situations, we will guarantee an obligation of an unconsolidated entity. At the time in which we initially provide such a guarantee, we assess the risk of financial exposure to us under these agreements. We consider the credit-worthiness of the guaranteed party, the value of any collateral pledged against the related obligation, and any other factors that may mitigate our risk. We actively monitor market and entity-specific conditions that may result in a change of our assessment of the risk of loss under these agreements. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">We guarantee certain leases and other commercial obligations resulting from the 2002 divestiture of our fresh beef and pork operations. The remaining terms of these arrangements do not exceed four years and the maximum amount of future payments we have guaranteed was approximately $10.9&#160;million as of May&#160;27, 2012. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">We have also guaranteed the performance of the divested fresh beef and pork business with respect to a hog purchase contract. The hog purchase contract requires the divested fresh beef and pork business to purchase a minimum of approximately 1.2&#160;million hogs annually through June&#160;1, 2013. The contract stipulates minimum price commitments, based in part on market prices, and, in certain circumstances, also includes price adjustments based on certain inputs. We have not established a liability for any of the fresh beef and pork divestiture-related guarantees, as we have determined that the likelihood of our required performance under the guarantees is remote. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">We are a party to various potato supply agreements. Under the terms of certain such potato supply agreements, we have guaranteed repayment of short-term bank loans of the potato suppliers, under certain conditions. At May&#160;27, 2012, the amount of supplier loans we have effectively guaranteed was approximately $43.6&#160;million. We have not established a liability for these guarantees, as we have determined that the likelihood of our required performance under the guarantees is remote. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">We were a party to a supply agreement with an onion processing company where we had guaranteed, under certain conditions, repayment of a secured loan (the &#8220;Secured Loan&#8221;) of this onion supplier to the onion supplier&#8217;s lender.&#160;The Secured Loan was in the amount of approximately $40 million (classified as other assets in fiscal 2012) with a remaining term of approximately 11 years.&#160;The amount of our guarantee was $25 million.&#160;We had the option to purchase the Secured Loan, and thereby assume first-priority secured rights to the underlying collateral for the amount of the Secured Loan.&#160;During the fourth quarter of fiscal 2012, we received notice from the lender that the onion supplier had defaulted on the Secured Loan and we purchased the Secured Loan from the lender for approximately $41 million, and cancelled our guarantee. The onion supplier subsequently filed for bankruptcy on April&#160;12, 2012. Based on our estimate of the value of the collateral and our first-priority secured rights, we expect to recover the carrying value of the Secured Loan. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">Federal income tax credits were generated related to our sweet potato production facility in Delhi, Louisiana. Third parties invested in certain of these income tax credits. We have guaranteed these third parties the face value of these income tax credits over their statutory lives, through fiscal 2017, in the event that the income tax credits are recaptured or reduced. The face value of the income tax credits was $21.2&#160;million as of May&#160;27, 2012. We believe the likelihood of the recapture or reduction of the income tax credits is remote, and therefore we have not established a liability in connection with this guarantee. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">We are a party to a number of lawsuits and claims arising out of the operation of our business. Among these, there are lawsuits, claims, and matters related to the February 2007 recall of our peanut butter products. Among the matters outstanding related to the peanut butter recall are litigation we initiated against an insurance carrier to recover our settlement expenditures and defense costs, and an ongoing investigation by the U.S. Attorney&#8217;s office in Georgia. During fiscal 2012, we recognized a charge of $17.5 million in connection with peanut butter matters. This amount is in addition to a charge of $24.8 million we recognized during the third quarter of fiscal 2009 in connection with the insurance coverage dispute. With respect to the coverage dispute matter, during the fourth quarter of fiscal 2012, we received a favorable opinion related to our defense costs, pursuant to which we have received $11.8&#160;million, which is recognized in income in fiscal 2012. During the fourth quarter of fiscal 2012, a jury verdict was rendered in our favor in the amount of approximately $25&#160;million on the claim for disputed coverage, which is subject to appeal. This amount has not been recognized in income&#160;in fiscal 2012. With respect to the U.S. Attorney matter, in fiscal 2011, we received formal requests from the U.S. Attorney&#8217;s office in Georgia seeking a variety of records and information related to the operations of our peanut butter manufacturing facility in Sylvester, Georgia. These requests are related to the previously disclosed June 2007 execution of a search warrant at our facility following the February 2007 recall. We continue to engage in discussions with officials in regard to the investigation. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%;padding-bottom:0px;"><font style="font-family:times new roman" size="2">In June 2009, an accidental explosion occurred at our manufacturing facility in Garner, North Carolina. This facility was the primary production facility for our <i>Slim Jim<font style="font-family:times new roman" size="1"><sup>&reg;</sup></font></i> branded meat snacks. On June&#160;13, 2009, the U.S. Bureau of Alcohol, Tobacco, Firearms and Explosives announced its determination that the explosion was the result of an accidental natural gas release, and not a deliberate act. During the fourth quarter of fiscal 2011, we settled our property and business interruption claims related to the Garner accident with our insurance providers. During the fourth quarter of fiscal 2011, Jacobs Engineering Group Inc., our engineer and project manager at the site filed a declaratory judgment action against us seeking indemnity for personal injury claims brought against it as a result of the accident. In the first quarter of fiscal 2012, the Court granted our motion for summary judgment on the basis that the suit was filed prematurely. We will continue to defend this action vigorously. Any exposure in this case is expected to be limited to the applicable insurance deductible. See Note&#160;5 for additional information related to this matter. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">In April 2010, an accidental explosion occurred at our flour milling facility in Chester, Illinois. Two employees of a subcontractor and one employee of the primary contractor, Westside Salvage (&#8220;Westside&#8221;), on the site at the time of the accident suffered injuries in the accident. Suit was initiated against Westside and the Company for personal injury claims. Subsequent to the end of the fourth quarter of fiscal 2012 (on May&#160;31, 2012), a jury in federal court returned a verdict against the Company and Westside and in favor of the three employees. The verdict was in the amount of approximately $78 million in compensatory damages apportioned between the Company and Westside and $100 million in punitive damages against the Company. While we have insurance policies in place that we believe will cover the full amount of the compensatory and punitive damages apportioned to us (other than a $3 million deductible that we accrued in a prior period), the Company intends to appeal the verdict and the damages. Any exposure in this case is expected to be limited to the applicable insurance deductible. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">We are a party to several lawsuits concerning the use of diacetyl, a butter flavoring ingredient that was added to our microwave popcorn until late 2007. The cases are primarily consumer personal injury suits claiming respiratory illness allegedly due to exposures to vapors from microwaving popcorn. We have received favorable outcomes in connection with these cases to date. We do not believe these cases possess merit and continue to vigorously defend them. Any exposure in these cases is expected to be limited to the applicable insurance deductible. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">After taking into account liabilities recognized for all of the foregoing matters, management believes the ultimate resolution of such matters should not have a material adverse effect on our financial condition, results of operations, or liquidity. It is reasonably possible that a change in one of the estimates of the foregoing matters may occur in the future. Costs of legal services associated with the foregoing matters are recognized in earnings as services are provided. </font></p> <!--DOCTYPE html PUBLIC "-//W3C//DTD XHTML 1.0 Transitional//EN" "http://www.w3.org/TR/xhtml1/DTD/xhtml1-transitional.dtd" --> <!-- Begin Block Tagged Note 19 - us-gaap:DerivativeInstrumentsAndHedgingActivitiesDisclosureTextBlock--> <p style="margin-top:12px;margin-bottom:0px"><font style="font-family:times new roman" size="2"><b>19.&#160;&#160;DERIVATIVE FINANCIAL INSTRUMENTS </b></font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">Our operations are exposed to market risks from adverse changes in commodity prices affecting the cost of raw materials and energy, foreign currency exchange rates, and interest rates. In the normal course of business, these risks are managed through a variety of strategies, including the use of derivatives. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">Commodity and commodity index futures and option contracts are used from time to time to economically hedge commodity input prices on items such as natural gas, vegetable oils, proteins, dairy, grains, and electricity. </font></p> <p style="margin-top:0px;margin-bottom:0px"><font style="font-family:times new roman" size="2">Generally, we economically hedge a portion of our anticipated consumption of commodity inputs for periods of up to 36&#160;months. We may enter into longer-term economic hedges on particular commodities, if deemed appropriate. As of May&#160;27, 2012, we had economically hedged certain portions of our anticipated consumption of commodity inputs using derivative instruments with expiration dates through June 2015. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">In order to reduce exposures related to changes in foreign currency exchange rates, we enter into forward exchange, option, or swap contracts from time to time for transactions denominated in a currency other than the applicable functional currency. This includes, but is not limited to, hedging against foreign currency risk in purchasing inventory and capital equipment, sales of finished goods, and future settlement of foreign-denominated assets and liabilities. As of May&#160;27, 2012, we had economically hedged certain portions of our foreign currency risk in anticipated transactions using derivative instruments with expiration dates through May 2017. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2"> From time to time, we may use derivative instruments, including interest rate swaps, to reduce risk related to changes in interest rates. This includes, but is not limited to, hedging against increasing interest rates prior to the issuance of long-term debt and hedging the fair value of our senior long-term debt. </font></p> <p style="margin-top:12px;margin-bottom:0px"><font style="font-family:times new roman" size="2"><u>Derivatives Designated as Cash Flow Hedges </u></font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">We have entered into interest rate swap contracts to hedge the interest rate risk related to our forecasted issuance of long-term debt in 2014 (based on the anticipated refinancing of the senior long-term debt maturing at that time). We designated these interest rate swaps as cash flow hedges of the forecasted interest payments related to this debt issuance. The pre-tax unrealized loss associated with these derivatives, which is deferred in accumulated other comprehensive loss at May&#160;27, 2012, was $153.9 million. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">The net notional amount of these interest rate derivatives at May&#160;27, 2012 was $500.0 million. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">Hedge ineffectiveness for cash flow hedges may impact net earnings when a change in the value of a hedge does not offset the change in the value of the underlying hedged item. Depending on the nature of the hedge, ineffectiveness is recognized within cost of goods sold or selling, general and administrative expense. We do not exclude any component of the hedging instrument&#8217;s gain or loss when assessing ineffectiveness. The ineffectiveness associated with derivatives designated as cash flow hedges from continuing operations was not material to our results of operations in any period presented. </font></p> <p style="margin-top:12px;margin-bottom:0px"><font style="font-family:times new roman" size="2"><u>Derivatives Designated as Fair Value Hedges </u></font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2"> During fiscal 2010, we entered into interest rate swap contracts to hedge the fair value of certain of our senior long-term debt instruments maturing in fiscal 2012 and 2014. We designated these interest rate swap contracts as fair value hedges of the debt instruments. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">Changes in fair value of the derivative instruments are immediately recognized in earnings along with changes in the fair value of the items being hedged (based solely on the change in the benchmark interest rate). These gains and losses are classified within selling, general and administrative expenses. In fiscal 2011 and 2010, we recognized net gains of $23.0&#160;million and $8.5&#160;million, respectively, on the interest rate swap contracts and losses of $29.7&#160;million and $5.1&#160;million, respectively, on the senior long-term debt. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">During fiscal 2011, we terminated the interest rate swap contracts and received proceeds of $31.5&#160;million. The cumulative adjustment to the fair value of the debt instruments being hedged (the effective portion of the hedge) is included in long-term debt and is being amortized as a reduction of interest expense over the remaining lives of the debt instruments (through fiscal 2014). At May&#160;27, 2012, the unamortized amount was $17.7&#160;million. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">The entire change in fair value of the derivative instruments was included in our assessment of hedge effectiveness. </font></p> <p style="font-size:12px;margin-top:0px;margin-bottom:0px"><font size="1">&#160;</font></p> <p style="margin-top:0px;margin-bottom:0px"><font style="font-family:times new roman" size="2"><u>Economic Hedges of Forecasted Cash Flows </u></font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">Many of our derivatives do not qualify for, and we do not currently designate certain commodity or foreign currency derivatives to achieve, hedge accounting treatment. We reflect realized and unrealized gains and losses from derivatives used to economically hedge anticipated commodity consumption and to mitigate foreign currency cash flow risk in earnings immediately within general corporate expense (within cost of goods sold). The gains and losses are reclassified to segment operating results in the period in which the underlying item being economically hedged is recognized in cost of goods sold. </font></p> <p style="margin-top:12px;margin-bottom:0px"><font style="font-family:times new roman" size="2"><u>Economic Hedges of Fair Values&#8212;Foreign Currency Exchange Rate Risk </u></font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2"> We may use options and cross currency swaps to economically hedge the fair value of certain monetary assets and liabilities (including intercompany balances) denominated in a currency other than the functional currency. These derivatives are marked-to-market with gains and losses immediately recognized in selling, general and administrative expenses. These substantially offset the foreign currency transaction gains or losses recognized on the monetary assets or liabilities being economically hedged. </font></p> <p style="margin-top:12px;margin-bottom:0px"><font style="font-family:times new roman" size="2"><u>Derivative Activity in Our Milling Operations </u></font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">We also use derivative instruments within our milling operations, which are part of the Commercial Foods segment. Derivative instruments used to economically hedge commodity inventories and forward purchase and sales contracts within the milling operations are marked-to-market such that realized and unrealized gains and losses are immediately included in operating results. 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Recoverability of an asset considered &#8220;held-and-used&#8221; is determined by comparing the carrying amount of the asset to the undiscounted net cash flows expected to be generated from the use of the asset. If the carrying amount is greater than the undiscounted net cash flows expected to be generated by the asset, the asset&#8217;s carrying amount is reduced to its estimated fair value. 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Such indicators may include deterioration in general economic conditions, adverse changes in the markets in which an entity operates, increases in input costs that have negative effects on earnings and cash flows, or a trend of negative or declining cash flows over multiple periods, among others. The fair value that could be realized in an actual transaction may differ from that used to evaluate the impairment of goodwill and other intangible assets. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">In September 2011, new accounting guidance was issued for testing goodwill for impairment. The guidance provides an entity the option to first assess qualitative factors to determine whether the existence of events or circumstances leads to a determination that it is more likely than not (more than 50%) that the estimated fair value of a reporting unit is less than its carrying amount. 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Furthermore, management considers the results of the most recent two-step quantitative impairment test completed for a reporting unit (this would be fiscal 2011 in which the estimated fair values of all reporting units were substantially in excess of their carrying values) and compares the weighted average cost of capital (WACC) between the current and prior years for each reporting unit. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:4%"><font style="font-family:times new roman" size="2">Under the two-step quantitative impairment test, the evaluation of impairment involves comparing the current fair value of each reporting unit to its carrying value, including goodwill. The first step of the test compares the carrying value of a reporting unit, including goodwill, with its fair value. We estimate the fair value using level 3 inputs as defined by the fair value hierarchy. Refer to Note 21 for the definition of the levels in the fair value hierarchy. 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Variable Interest Entities (Tables)
12 Months Ended
May 27, 2012
Variable Interest Entities [Abstract]  
Variable Interest Entities Reflected on Condensed Consolidated Balance Sheets
                     
    May 27,
2012
        May 29,
2011
 

Cash and cash equivalents

  $         10.2         $         5.3  

Receivables, less allowance for doubtful accounts

    20.9           18.9  

Inventories

    1.6           1.5  

Prepaid expenses and other current assets

    0.2           0.3  

Property, plant and equipment, net

    82.9           91.8  

Goodwill

    18.8           18.8  

Brands, trademarks and other intangibles, net

    8.3           9.0  
   

 

 

       

 

 

 

Total assets

  $  142.9         $  145.6  
   

 

 

       

 

 

 

Current installments of long-term debt

  $ 30.1         $ 13.4  

Accounts payable

    17.9           13.1  

Accrued payroll

    0.5           0.4  

Other accrued liabilities

    1.0           0.7  

Senior long-term debt, excluding current installments

              30.1  

Other noncurrent liabilities (minority interest)

    28.9           26.7  
   

 

 

       

 

 

 

Total liabilities

  $ 78.4         $ 84.4  
   

 

 

       

 

 

 
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Pension and Postretirement Benefits (Details 12) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Plans not individually significant      
Multiemployer Plans, Plan Contributions $ 8.5 $ 9.2 $ 9.7
Bakery and Confectionary Union and Industry International Pension Plan [Member]
     
Plans not individually significant      
Entity Tax Identification Number 526118572    
Multiemployer Plan Number 001    
Multiemployer Plans, Certified Zone Status Red    
Multiemployer Plans, Funding Improvement Plan and Rehabilitation Plan No    
Multiemployer Plans, Plan Contributions 1.3 1.1 1.0
Multiemployer Plans, Surcharge No    
Multiemployer Plans, Collective-Bargaining Arrangement, Expiration Date, Description 8/14/2011 to 2/28/2013    
Central States, Southeast and Southwest Areas Pension Fund [Member]
     
Plans not individually significant      
Entity Tax Identification Number 366044243    
Multiemployer Plan Number 001    
Multiemployer Plans, Certified Zone Status Red    
Multiemployer Plans, Funding Improvement Plan and Rehabilitation Plan Implemented    
Multiemployer Plans, Plan Contributions 1.2 1.8 1.7
Multiemployer Plans, Surcharge No    
Multiemployer Plans, Collective-Bargaining Arrangement, Expiration Date, Description 6/1/2014    
Western Conference of Teamsters Pension Plan [Member]
     
Plans not individually significant      
Entity Tax Identification Number 916145047    
Multiemployer Plan Number 001    
Multiemployer Plans, Certified Zone Status Green    
Multiemployer Plans, Plan Contributions 5.2 5.4 6.2
Multiemployer Plans, Surcharge No    
Multiemployer Plans, Collective-Bargaining Arrangement, Expiration Date, Description 07/01/2012 to 05/31/2013    
Other Plans [Member]
     
Plans not individually significant      
Multiemployer Plans, Plan Contributions $ 0.8 $ 0.9 $ 0.8
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Summary of Significant Accounting Policies (Details 1) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
May 27, 2012
Feb. 26, 2012
Nov. 27, 2011
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
May 27, 2012
May 29, 2011
May 30, 2010
May 31, 2009
Impacts of adjustments made to Consolidated Statement of Operations                        
Selling, general and administrative expenses                 $ 1,997.7 $ 1,509.9 $ 1,987.7  
Cost of goods sold                 10,435.7 9,389.6 8,966.3  
Income tax expense                 195.8 421.6 292.3  
Income from continuing operations                 474.3 830.9 630.3  
Net income                 474.4 819.4 611.0  
Net income (loss) attributable to ConAgra Foods, Inc. (86.2) 280.1 180.2 93.8 250.1 216.6 202.7 148.2 467.9 817.6 613.5  
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders $ (0.21) $ 0.68 $ 0.43 $ 0.23 $ 0.62 $ 0.54 $ 0.46 $ 0.32 $ 1.13 $ 1.92 $ 1.43  
Earnings per share attributable to ConAgra Foods-basic $ (0.21) $ 0.68 $ 0.43 $ 0.23 $ 0.61 $ 0.51 $ 0.46 $ 0.33 $ 1.13 $ 1.90 $ 1.38  
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders $ (0.21) $ 0.67 $ 0.43 $ 0.22 $ 0.61 $ 0.52 $ 0.46 $ 0.32 $ 1.12 $ 1.90 $ 1.41  
Earnings per share attributable to ConAgra Foods-diluted $ (0.21) $ 0.67 $ 0.43 $ 0.22 $ 0.60 $ 0.50 $ 0.46 $ 0.33 $ 1.12 $ 1.88 $ 1.37  
Impacts of adjustments made to Consolidated Balance Sheet                        
Retained earnings 4,765.1       4,690.3       4,765.1 4,690.3    
Accumulated other comprehensive loss (299.1)       (91.2)       (299.1) (91.2) (153.2) (83.9)
Cash flows from operating activities:                        
Net income                 474.4 819.4 611.0  
Income from continuing operations                 474.3 830.9 630.3  
Pension expense                 421.8 54.0 227.4  
Other items                 (11.3) 212.9 (25.4)  
Net cash flows from operating activities                 1,052.0 1,352.3 1,472.7  
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Beginning balance       4,676.7         4,676.7 4,897.1 4,689.1  
Net income (86.2) 280.1 180.2 93.8 250.1 216.6 202.7 148.2 467.9 817.6 613.5  
Pension and postretirement healthcare liabilities, net of tax                 (66.7) 23.6 (65.8)  
Ending Balance 4,536.0       4,676.7       4,536.0 4,676.7 4,897.1  
Impacts of adjustments made to Consolidated Statement of Comprehensive Income                        
Net income                 474.4 819.4 611.0  
Pension and postretirement healthcare liabilities, net of tax                 (66.7) 23.6 (65.8)  
Retained Earnings
                       
Impacts of adjustments made to Consolidated Statement of Operations                        
Net income (loss) attributable to ConAgra Foods, Inc.                 467.9 817.6 613.5  
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Beginning balance       4,690.3         4,690.3 4,253.2 3,990.9  
Net income                 467.9 817.6 613.5  
Ending Balance 4,765.1       4,690.3       4,765.1 4,690.3 4,253.2  
Accumulated Other Comprehensive Income (Loss)
                       
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Beginning balance       (91.2)         (91.2) (153.2) (83.9)  
Pension and postretirement healthcare liabilities, net of tax                 (66.7) 23.6 (65.8)  
Ending Balance (299.1)       (91.2)       (299.1) (91.2) (153.2)  
Impacts of adjustments made to Consolidated Statement of Comprehensive Income                        
Pension and postretirement healthcare liabilities, net of tax                 (66.7) 23.6 (65.8)  
Previously reported [Member]
                       
Impacts of adjustments made to Consolidated Statement of Operations                        
Selling, general and administrative expenses                   1,511.1 1,819.4  
Cost of goods sold                   9,389.6 8,953.7  
Income tax expense                   421.0 360.9  
Income from continuing operations                   830.3 742.6  
Net income                   818.8 723.3  
Net income (loss) attributable to ConAgra Foods, Inc.                   817.0 725.8  
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders                   $ 1.92 $ 1.68  
Earnings per share attributable to ConAgra Foods-basic                   $ 1.90 $ 1.63  
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders                   $ 1.90 $ 1.66  
Earnings per share attributable to ConAgra Foods-diluted                   $ 1.88 $ 1.62  
Impacts of adjustments made to Consolidated Balance Sheet                        
Retained earnings         4,821.8         4,821.8    
Accumulated other comprehensive loss         (222.7)         (222.7)    
Cash flows from operating activities:                        
Net income                   818.8 723.3  
Income from continuing operations                   830.3 742.6  
Other items                   267.5 89.7  
Net cash flows from operating activities                   1,352.3 1,472.7  
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Net income                   817.0 725.8  
Pension and postretirement healthcare liabilities, net of tax                   24.2 (178.1)  
Impacts of adjustments made to Consolidated Statement of Comprehensive Income                        
Net income                   818.8 723.3  
Pension and postretirement healthcare liabilities, net of tax                   24.2 (178.1)  
Previously reported [Member] | Retained Earnings
                       
Impacts of adjustments made to Consolidated Statement of Operations                        
Net income (loss) attributable to ConAgra Foods, Inc.                   817.0 725.8  
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Beginning balance                   4,385.3 4,010.7  
Net income                   817.0 725.8  
Ending Balance         4,821.8         4,821.8 4,385.3  
Previously reported [Member] | Accumulated Other Comprehensive Income (Loss)
                       
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Beginning balance                   (285.3) (103.7)  
Pension and postretirement healthcare liabilities, net of tax                   24.2 (178.1)  
Ending Balance         (222.7)         (222.7) (285.3)  
Impacts of adjustments made to Consolidated Statement of Comprehensive Income                        
Pension and postretirement healthcare liabilities, net of tax                   24.2 (178.1)  
Effect of Change [Member]
                       
Impacts of adjustments made to Consolidated Statement of Operations                        
Selling, general and administrative expenses                   (1.2) 168.3  
Cost of goods sold                     12.6  
Income tax expense                   0.6 (68.6)  
Income from continuing operations                   0.6 (112.3)  
Net income                   0.6 (112.3)  
Net income (loss) attributable to ConAgra Foods, Inc.                   0.6 (112.3)  
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders                     $ (0.25)  
Earnings per share attributable to ConAgra Foods-basic                     $ (0.25)  
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders                     $ (0.25)  
Earnings per share attributable to ConAgra Foods-diluted                     $ (0.25)  
Impacts of adjustments made to Consolidated Balance Sheet                        
Retained earnings         (131.5)         (131.5)    
Accumulated other comprehensive loss         131.5         131.5    
Cash flows from operating activities:                        
Net income                   0.6 (112.3)  
Income from continuing operations                   0.6 (112.3)  
Pension expense                   54.0 227.4  
Other items                   (54.6) (115.1)  
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Net income                   0.6 (112.3)  
Pension and postretirement healthcare liabilities, net of tax                   (0.6) 112.3  
Impacts of adjustments made to Consolidated Statement of Comprehensive Income                        
Net income                   0.6 (112.3)  
Pension and postretirement healthcare liabilities, net of tax                   (0.6) 112.3  
Effect of Change [Member] | Retained Earnings
                       
Impacts of adjustments made to Consolidated Statement of Operations                        
Net income (loss) attributable to ConAgra Foods, Inc.                   0.6 (112.3)  
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Beginning balance                   (132.1) (19.8)  
Net income                   0.6 (112.3)  
Ending Balance         (131.5)         (131.5) (132.1)  
Effect of Change [Member] | Accumulated Other Comprehensive Income (Loss)
                       
Impacts of adjustments made to Consolidated Statement of Stockholders' Equity                        
Beginning balance                   132.1 19.8  
Pension and postretirement healthcare liabilities, net of tax                   (0.6) 112.3  
Ending Balance         131.5         131.5 132.1  
Impacts of adjustments made to Consolidated Statement of Comprehensive Income                        
Pension and postretirement healthcare liabilities, net of tax                   $ (0.6) $ 112.3  
XML 19 R48.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Financial Instruments (Tables)
12 Months Ended
May 27, 2012
Derivative Financial Instruments [Abstract]  
Derivative assets and liabilities and amounts representing a right to reclaim cash collateral were reflected in balance sheets
                 
    May 27,
2012
    May 29,
2011
 

Prepaid expenses and other current assets

  $         58.7     $         71.5  

Other accrued liabilities

    215.4       92.2  
Schedule of derivative instruments in statement of financial position, gross, fair value

The following table presents our derivative assets and liabilities, on a gross basis, prior to the offsetting of amounts where legal right of setoff exists at May 27, 2012:

 

                                     
    Derivative Assets    

 

  Derivative Liabilities  
    Balance Sheet Location       Fair Value         Balance Sheet Location       Fair Value  

Interest rate contracts

  Prepaid expenses and
other current assets
      $         —         Other accrued liabilities       $         153.9  
           

 

 

   

 

         

 

 

 

Total derivatives designated as hedging instruments

          $                 $ 153.9  
           

 

 

   

 

         

 

 

 

Commodity contracts

  Prepaid expenses and
other current assets
      $ 60.3         Other accrued liabilities       $ 75.6  

Foreign exchange contracts

  Prepaid expenses and
other current assets
        7.3         Other accrued liabilities         8.1  

Other

  Prepaid expenses and
other current assets
        0.6         Other accrued liabilities         0.5  
           

 

 

   

 

         

 

 

 

Total derivatives not designated as hedging instruments

          $ 68.2                 $ 84.2  
           

 

 

   

 

         

 

 

 

Total derivatives

          $ 68.2                 $ 238.1  
           

 

 

   

 

         

 

 

 

The following table presents our derivative assets and liabilities, on a gross basis, prior to the offsetting of amounts where legal right of setoff exists at May 29, 2011:

 

                         
    Derivative Assets     Derivative Liabilities  
    Balance Sheet Location   Fair Value     Balance Sheet Location   Fair Value  

Interest rate contracts

  Prepaid expenses and other

current assets

  $         —     Other accrued liabilities   $         11.8  
       

 

 

       

 

 

 

Total derivatives designated as hedging instruments

      $         $ 11.8  
       

 

 

       

 

 

 

Commodity contracts

  Prepaid expenses and other

current assets

  $ 85.4     Other accrued liabilities   $ 84.4  

Foreign exchange contracts

  Prepaid expenses and other

current assets

    1.0     Other accrued liabilities     19.2  

Other

  Prepaid expenses and other

current assets

    0.7     Other accrued liabilities     0.2  
       

 

 

       

 

 

 

Total derivatives not designated as hedging instruments

      $ 87.1         $ 103.8  
       

 

 

       

 

 

 

Total derivatives

      $ 87.1         $ 115.6  
       

 

 

       

 

 

 
Location and amount of gains and losses from derivatives reported in condensed consolidated statements of earnings
                 
    For the Fiscal Year Ended May 27, 2012  

Derivatives Not Designated as Hedging
Instruments

  Location in Consolidated Statement  of
Earnings of Gain (Loss) Recognized on Derivatives
 

 

  Amount of Gain  (Loss)
Recognized on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

  Net sales       $ (6.4

Commodity contracts

  Cost of goods sold         58.5  

Foreign exchange contracts

  Cost of goods sold         5.4  

Commodity contracts

  Selling, general and administrative expenses         (0.1

Foreign exchange contracts

  Selling, general and administrative expenses         8.7  
           

 

 

 

Total gain from derivative
instruments not designated as
hedging instruments

          $         66.1  
           

 

 

 
                 
    For the Fiscal Year Ended May 29, 2011  

Derivatives Not Designated as Hedging
Instruments

  Location in Consolidated Statement  of
Earnings of Gain (Loss) Recognized on Derivatives
 

 

  Amount of Gain  (Loss)
Recognized on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

  Net sales       $         3.8  

Commodity contracts

  Cost of goods sold         54.3  

Foreign exchange contracts

  Cost of goods sold         (20.2

Commodity contracts

  Selling, general and administrative expenses         2.1  

Foreign exchange contracts

  Selling, general and administrative expenses         (7.9
           

 

 

 

Total gain from derivative instruments
not designated as hedging
instruments

          $ 32.1  
           

 

 

 
                 
    For the Fiscal Year Ended May 30, 2010  

Derivatives Not Designated as Hedging
Instruments

  Location in Consolidated Statement  of
Earnings of Gain Recognized on Derivatives
 

 

  Amount of Gain
Recognized  on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

  Net sales       $         1.1  

Commodity contracts

  Cost of goods sold         147.9  

Foreign exchange contracts

  Cost of goods sold         0.5  

Other

  Selling, general and administrative expenses         2.6  
           

 

 

 

Total gain from derivative instruments
not designated as hedging
instruments

          $ 152.1  
           

 

 

 
XML 20 R121.htm IDEA: XBRL DOCUMENT v2.4.0.6
Quarterly Financial Data (Unaudited) (Details Textual) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended
Feb. 26, 2012
Nov. 27, 2011
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
Quarterly Financial Data (Textual) [Abstract]              
Increased net income due to retrospective change in accounting for pensions $ 8.5 $ 8.4 $ 8.5 $ 4.8 $ 1.8 $ 1.8 $ 1.8
Earnings per share basic and diluted $ 0.02 $ 0.02 $ 0.02 $ 0.01 $ 0.01 $ 0.01  
XML 21 R70.htm IDEA: XBRL DOCUMENT v2.4.0.6
Variable Interest Entities (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended 3 Months Ended 12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Aug. 29, 2010
Lamb Weston BSW [Member]
May 27, 2012
Lamb Weston BSW [Member]
May 27, 2012
Lamb Weston RDO [Member]
May 29, 2011
Lamb Weston RDO [Member]
May 27, 2012
Variable Interest Entities [Member]
Variable Interest Entities (Textual) [Abstract]                
Acquisition of equity interest in Lamb Weston         49.99% 50.00%    
Price at which Ochoa has the right to put its equity interest $ 34.3              
Debt instrument, lines of credit bear interest 2.00%       2.00%      
Long-term debt interest rate 3.25%       3.25%      
Repayment of debt 363.6 294.3 15.8 35.4        
Line of credit with Lamb Weston BSW, Maximum Borrowing Capacity         15.0      
Balance of promissory note due from joint venture         36.1      
Guaranteed residual value of the leased asset               28.9
Investment in Lamb Weston, maximum exposure           14.8 13.6  
Owners' equity in capital structure of variable interest entity           29.6    
Term borrowings from banks in capital structure of Lamb Weston, RDO           $ 42.5    
XML 22 R55.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Balance in accumulated other comprehensive income (loss), net of tax      
Currency Translation Adjustment, Net of Reclassification Adjustments, Beginning Balance $ 94.6 $ 48.9 $ 52.6
Current period change, Currency Translation Adjustment, Net of Reclassification Adjustments (52.0) 45.7 (3.7)
Currency Translation Adjustment, Net of Reclassification Adjustments, Ending Balance 42.6 94.6 48.9
Net Derivative Adjustment, Net of Reclassification Adjustments, Beginning Balance (8.2) (1.0) (1.2)
Current period change, Net Derivative Adjustment, Net of Reclassification Adjustments (89.1) (7.2) 0.2
Net derivative adjustment, net of reclassification adjustments, Ending Balance (97.3) (8.2) (1.0)
Unrealized Loss on Available-For-Sale Securities, Net of Reclassification Adjustment, Beginning Balance (1.3) (1.2) (1.2)
Current period change, Unrealized Loss on Available- For-Sale Securities, Net of Reclassification Adjustment (0.1) (0.1)  
Unrealized Loss on Available-For-Sale Securities, Net of Reclassification Adjustment, Ending Balance (1.4) (1.3) (1.2)
Pension and Postretirement Adjustments, Beginning Balance (176.3) (199.9) (134.1)
Current period change, Pension and Postretirement Adjustments (66.7) 23.6 (65.8)
Pension and Postretirement Adjustments, Ending Balance (243.0) (176.3) (199.9)
Accumulated Other Comprehensive Income (Loss), Beginning Balance (91.2) (153.2) (83.9)
Current period change, Accumulated Other Comprehensive Income (Loss) (207.9) 62.0 (69.3)
Accumulated Other Comprehensive Income (Loss), Ending Balance $ (299.1) $ (91.2) $ (153.2)
XML 23 R78.htm IDEA: XBRL DOCUMENT v2.4.0.6
Senior Long-Term Debt, Subordinated Debt and Loan Agreements (Details 1) (USD $)
In Millions, unless otherwise specified
May 27, 2012
Aggregate minimum principal maturities of the long-term debt  
2013 $ 38.1
2014 508.9
2015 82.1
2016 5.4
2017 $ 14.7
XML 24 R104.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 4)
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Pension Benefits [Member]
     
Weighted Average Actuarial Assumption Used to Determine Net Expense      
Discount rate 5.30% 5.80% 6.90%
Long-term rate of return on plan assets 7.75% 7.75% 7.75%
Long-term rate of compensation increase 4.25% 4.25% 4.25%
Other Benefits [Member]
     
Weighted Average Actuarial Assumption Used to Determine Net Expense      
Discount rate 4.30% 5.40% 6.60%
Long-term rate of return on plan assets   3.50% 4.50%
XML 25 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pre-Tax Income and Income Taxes (Tables)
12 Months Ended
May 27, 2012
Pre-Tax Income and Income Taxes [Abstract]  
Pre-tax income from continuing operations (including equity method investment earnings)
                                 
    2012         2011         2010  

United States

  $         492.6         $         1,177.7         $         856.0  

Foreign

    177.5           74.8           66.6  
   

 

 

       

 

 

       

 

 

 
    $ 670.1         $ 1,252.5         $ 922.6  
   

 

 

       

 

 

       

 

 

 
Provision for income taxes from continuing operations
                                     
        2012    

 

  2011    

 

  2010  

Current

                                   

Federal

      $     163.9         $     157.3         $     259.0  

State

        23.7           21.0           27.5  

Foreign

        27.5           11.9           14.4  
       

 

 

       

 

 

       

 

 

 
          215.1           190.2           300.9  

Deferred

                                   

Federal

        (13.4         219.2           (8.5

State

        (5.2         9.8           (6.5

Foreign

        (0.7         2.4           6.4  
       

 

 

       

 

 

       

 

 

 
          (19.3         231.4           (8.6
       

 

 

       

 

 

       

 

 

 
        $ 195.8         $ 421.6         $ 292.3  
       

 

 

       

 

 

       

 

 

 
Income tax reconciliation
                                     
    

 

  2012         2011         2010  

Computed U.S. Federal income taxes

      $     232.2         $     438.3         $     322.9  

State income taxes, net of U.S. Federal tax impact

        12.0           20.0           15.7  

Tax credits and domestic manufacturing deduction

        (20.5         (27.5         (27.3

Foreign tax credits and related items, net

        (0.6         (0.2         (4.3

IRS audit adjustments and settlement

        0.8           0.5           (17.4

Non-taxable gain from investment in ATFL

        (20.5                    

Change in valuation allowance

        (7.1         2.1           (4.6

Other

        (0.5         (11.6         7.3  
       

 

 

       

 

 

       

 

 

 
        $ 195.8         $ 421.6         $ 292.3  
       

 

 

       

 

 

       

 

 

 
Tax effect of temporary differences and carryforwards
                                                 
        2012   2011  
        Assets         Liabilities         Assets         Liabilities  

Property, plant and equipment

      $         $ 488.1         $         $ 452.3  

Goodwill, trademarks and other intangible assets

                  681.3                     642.7  

Accrued expenses

        25.4                     15.9            

Compensation related liabilities

        74.7                     66.2            

Pension and other postretirement benefits

        310.7                     230.9            

Derivative cash flow hedge

        57.2                     4.4            

Other liabilities that will give rise to future tax deductions

        115.2                     121.5            

Net operating loss carryforwards

        42.7                     52.1            

Other

        67.4           31.4           46.4           24.1  
       

 

 

       

 

 

       

 

 

       

 

 

 
          693.3           1,200.8           537.4           1,119.1  

Less: Valuation allowance

        (43.7                   (50.8          
       

 

 

       

 

 

       

 

 

       

 

 

 

Net deferred taxes

      $     649.6         $     1,200.8         $     486.6         $     1,119.1  
       

 

 

       

 

 

       

 

 

       

 

 

 
Change in the unrecognized tax benefits
         
    2012  

Beginning balance on May 29, 2011

  $       56.5  

Increases from positions established during prior periods

    1.2  

Decreases from positions established during prior periods

    (0.4

Increases from positions established during the current period

    4.3  

Decreases relating to settlements with taxing authorities

    (6.7

Reductions resulting from lapse of applicable statute of limitation

    (6.1

Other adjustments to liability

    (0.1
   

 

 

 

Ending balance on May 27, 2012

  $ 48.7  
   

 

 

 
XML 26 R33.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Policies)
12 Months Ended
May 27, 2012
Summary of Significant Accounting Policies [Abstract]  
Fiscal Year

Fiscal Year—The fiscal year of ConAgra Foods, Inc. (“ConAgra Foods”, “Company”, “we”, “us”, or “our”) ends the last Sunday in May. The fiscal years for the consolidated financial statements presented consist of 52-week periods for fiscal years 2012, 2011, and 2010.

Basis of Consolidation

Basis of Consolidation—The consolidated financial statements include the accounts of ConAgra Foods, Inc. and all majority-owned subsidiaries. In addition, the accounts of all variable interest entities for which we have been determined to be the primary beneficiary are included in our consolidated financial statements from the date such determination is made. All significant intercompany investments, accounts, and transactions have been eliminated.

Investments in Unconsolidated Affiliates

Investments in Unconsolidated Affiliates—The investments in, and the operating results of, 50%-or-less-owned entities not required to be consolidated are included in the consolidated financial statements on the basis of the equity method of accounting or the cost method of accounting, depending on specific facts and circumstances.

We review our investments in unconsolidated affiliates for impairment whenever events or changes in business circumstances indicate that the carrying amount of the investments may not be fully recoverable. Evidence of a loss in value that is other than temporary include, but are not limited to, the absence of an ability to recover the carrying amount of the investment, the inability of the investee to sustain an earnings capacity which would justify the carrying amount of the investment, or, where applicable, estimated sales proceeds which are insufficient to recover the carrying amount of the investment. Management’s assessment as to whether any decline in value is other than temporary is based on our ability and intent to hold the investment and whether evidence indicating the carrying value of the investment is recoverable within a reasonable period of time outweighs evidence to the contrary. Management generally considers our investments in equity method investees to be strategic long-term investments. Therefore, management completes its assessments with a long-term viewpoint. If the fair value of the investment is determined to be less than the carrying value and the decline in value is considered to be other than temporary, an appropriate write-down is recorded based on the excess of the carrying value over the best estimate of fair value of the investment.

Cash and Cash Equivalents

Cash and Cash Equivalents—Cash and all highly liquid investments with an original maturity of three months or less at the date of acquisition, including short-term time deposits and government agency and corporate obligations, are classified as cash and cash equivalents.

Inventories

Inventories—We principally use the lower of cost (determined using the first-in, first-out method) or market for valuing inventories other than merchandisable agricultural commodities. Grain and flour inventories are principally stated at market value.

Property, Plant and Equipment

Property, Plant and Equipment—Property, plant and equipment are carried at cost. Depreciation has been calculated using the straight-line method over the estimated useful lives of the respective classes of assets as follows:

 

     

Land improvements

  1 - 40 years 

Buildings

  15 - 40 years

Machinery and equipment

  3 - 20 years 

Furniture, fixtures, office equipment and other

  5 - 15 years 

We review property, plant and equipment for impairment whenever events or changes in business circumstances indicate that the carrying amount of the assets may not be fully recoverable. Recoverability of an asset considered “held-and-used” is determined by comparing the carrying amount of the asset to the undiscounted net cash flows expected to be generated from the use of the asset. If the carrying amount is greater than the undiscounted net cash flows expected to be generated by the asset, the asset’s carrying amount is reduced to its estimated fair value. An asset considered “held-for-sale” is reported at the lower of the asset’s carrying amount or fair value.

Goodwill and Other Identifiable Intangible Assets

Goodwill and Other Identifiable Intangible Assets—Goodwill and other identifiable intangible assets with indefinite lives (e.g., brands or trademarks) are not amortized and are tested annually for impairment of value and whenever events or changes in circumstances indicate the carrying amount of the asset may be impaired. A significant amount of judgment is involved in determining if an indicator of impairment has occurred. Such indicators may include deterioration in general economic conditions, adverse changes in the markets in which an entity operates, increases in input costs that have negative effects on earnings and cash flows, or a trend of negative or declining cash flows over multiple periods, among others. The fair value that could be realized in an actual transaction may differ from that used to evaluate the impairment of goodwill and other intangible assets.

In September 2011, new accounting guidance was issued for testing goodwill for impairment. The guidance provides an entity the option to first assess qualitative factors to determine whether the existence of events or circumstances leads to a determination that it is more likely than not (more than 50%) that the estimated fair value of a reporting unit is less than its carrying amount. If an entity elects to perform a qualitative assessment and determines that an impairment is more likely than not, the entity is then required to perform the existing two-step quantitative impairment test, otherwise no further analysis is required. An entity also may elect not to perform the qualitative assessment and, instead, proceed directly to the two-step quantitative impairment test.

In the third quarter of fiscal 2012, in conjunction with management’s annual review of goodwill, we early adopted the new guidance. Under the qualitative assessment, various events and circumstances that would affect the estimated fair value of a reporting unit are identified (similar to impairment indicators above). Furthermore, management considers the results of the most recent two-step quantitative impairment test completed for a reporting unit (this would be fiscal 2011 in which the estimated fair values of all reporting units were substantially in excess of their carrying values) and compares the weighted average cost of capital (WACC) between the current and prior years for each reporting unit.

Under the two-step quantitative impairment test, the evaluation of impairment involves comparing the current fair value of each reporting unit to its carrying value, including goodwill. The first step of the test compares the carrying value of a reporting unit, including goodwill, with its fair value. We estimate the fair value using level 3 inputs as defined by the fair value hierarchy. Refer to Note 21 for the definition of the levels in the fair value hierarchy. The inputs used to calculate the fair value include a number of subjective factors, such as estimates of future cash flows, estimates of our future cost structure, discount rates for our estimated cash flows, required level of working capital, assumed terminal value, and time horizon of cash flow forecasts. If the carrying value of a reporting unit exceeds its fair value, we complete the second step of the test to determine the amount of goodwill impairment loss to be recognized. In the second step, we estimate an implied fair value of the reporting unit’s goodwill by allocating the fair value of the reporting unit to all of the assets and liabilities other than goodwill (including any unrecognized intangible assets). The impairment loss is equal to the excess of the carrying value of the goodwill over the implied fair value of that goodwill.

During the fiscal 2012 annual review of goodwill, management performed the qualitative assessment for all reporting units and concluded that it was more likely than not that their estimated fair values exceeded their carrying values. As such, no further analysis was required.

Identifiable intangible assets with definite lives (e.g., licensing arrangements with contractual lives or customer relationships) are amortized over their estimated useful lives and tested for impairment whenever events or changes in circumstances indicate the carrying amount of the asset may be impaired. Identifiable intangible assets with definite lives are evaluated for impairment using a process similar to that used in evaluating elements of property, plant and equipment. If impaired, the asset is written down to its fair value.

Fair Values of Financial Instruments

Fair Values of Financial Instruments—Unless otherwise specified, we believe the carrying value of financial instruments approximates their fair value.

Environmental Liabilities

Environmental Liabilities—Environmental liabilities are accrued when it is probable that obligations have been incurred and the associated amounts can be reasonably estimated. We use third-party specialists to assist management in appropriately measuring the obligations associated with environmental liabilities. Such liabilities are adjusted as new information develops or circumstances change. We do not discount our environmental liabilities as the timing of the anticipated cash payments is not fixed or readily determinable. Management’s estimate of our potential liability is independent of any potential recovery of insurance proceeds or indemnification arrangements. We do not reduce our environmental liabilities for potential insurance recoveries.

Employment-Related Benefits

Employment-Related Benefits—Employment-related benefits associated with pensions, postretirement health care benefits, and workers’ compensation are expensed as such obligations are incurred. The recognition of expense is impacted by estimates made by management, such as discount rates used to value these liabilities, future health care costs, and employee accidents incurred but not yet reported. We use third-party specialists to assist management in appropriately measuring the obligations associated with employment-related benefits.

In May 2012, we elected to change our method of accounting for pension benefits. Historically, we have recognized actuarial gains and losses in accumulated other comprehensive income (loss) in the consolidated balance sheets upon each plan remeasurement, amortizing them into operating results over the average future service period of active employees in these plans, to the extent such gains and losses were in excess of 10% of the greater of the market-related value of plan assets or the plan’s projected benefit obligation (“the corridor”). We have elected to immediately recognize actuarial gains and losses in our operating results in the year in which they occur, to the extent they exceed the corridor, eliminating the amortization. Actuarial gains and losses outside the corridor, to the extent they occur, will be recognized annually as of our measurement date, which is our fiscal year-end, or when measurement is required otherwise under generally accepted accounting principles. Additionally, for purposes of calculating the expected return on plan assets, we will no longer use the market-related value of plan assets, an averaging technique permitted under generally accepted accounting principles, but instead will use the fair value of plan assets. These changes are intended to improve the transparency of our operating results by more quickly recognizing the effects of changes in plan asset values and the impact of current interest rates on plan obligations.

These changes have been reported through retrospective application of the new policies to all periods presented, by recalculating all actuarial gains and losses under the new method back to a reasonable period of time when actuarial gains and losses recognized were immaterial. The Company also considered the impact of the revised pension expense on cost of goods sold in its assessment of the impact of all adjustments in application of the new policy. The impacts of all adjustments made to the financial statements are summarized below:

Consolidated Statement of Operations

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Selling, general and administrative expenses

  $     1,511.1     $     1,509.9     $     (1.2   $     1,819.4     $     1,987.7     $     168.3  

Cost of goods sold

    9,389.6       9,389.6             8,953.7       8,966.3       12.6  

Income tax expense

    421.0       421.6       0.6       360.9       292.3       (68.6

Income from continuing operations

    830.3       830.9       0.6       742.6       630.3       (112.3

Net income

    818.8       819.4       0.6       723.3       611.0       (112.3

Net income attributable to ConAgra Foods, Inc.

    817.0       817.6       0.6       725.8       613.5       (112.3

Earnings per share from continuing operations-basic

  $ 1.92     $ 1.92     $     $ 1.68     $ 1.43     $ (0.25

Earnings per share attributable to ConAgra Foods-basic

  $ 1.90     $ 1.90     $     $ 1.63     $ 1.38     $ (0.25

Earnings per share from continuing operations-diluted

  $ 1.90     $ 1.90     $     $ 1.66     $ 1.41     $ (0.25

Earnings per share attributable to ConAgra Foods-diluted

  $ 1.88     $ 1.88     $     $ 1.62     $ 1.37     $ (0.25

Consolidated Balance Sheet

 

                         
    May 29, 2011  
    Previously
Reported*
    Revised     Effect of
Change
 

Retained earnings

  $     4,821.8     $     4,690.3     $     (131.5

Accumulated other comprehensive loss

    (222.7     (91.2     131.5  

Consolidated Statement of Cash Flows

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Cash flows from operating activities:

                                               

Net income

  $ 818.8     $ 819.4     $ 0.6     $ 723.3     $ 611.0     $     (112.3

Income from continuing operations

    830.3       830.9       0.6       742.6       630.3       (112.3

Pension expense

          54.0       54.0             227.4       227.4  

Other items

    267.5       212.9           (54.6     89.7       (25.4     (115.1

Net cash flows from operating activities

        1,352.3           1,352.3                 1,472.7           1,472.7        

 

Consolidated Statement of Common Stockholders’ Equity

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported*
    Revised     Effect of
Change
    Previously
Reported*
    Revised     Effect of
Change
 

Retained earnings:

                                               

Beginning balance

  $     4,385.3     $     4,253.2     $     (132.1   $     4,010.7     $     3,990.9     $ (19.8

Net income

    817.0       817.6       0.6       725.8       613.5           (112.3

Ending balance

    4,821.8       4,690.3       (131.5     4,385.3       4,253.2       (132.1

Accumulated other comprehensive loss:

                                               

Beginning balance

    (285.3     (153.2     132.1       (103.7     (83.9     19.8  

Pensions and postretirement healthcare benefits

    24.2       23.6       (0.6     (178.1     (65.8     112.3  

Ending balance

    (222.7     (91.2     131.5       (285.3     (153.2     132.1  

Total equity

    4,676.7       4,676.7             4,897.1       4,897.1        

Consolidated Statement of Comprehensive Income

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Net income

  $     818.8     $     819.4     $     0.6     $     723.3     $     611.0     $     (112.3

Pension and postretirement healthcare liabilities, net of tax

    24.2       23.6       (0.6     (178.1     (65.8     112.3  

 

* Retained earnings also reflects the impact of the change related to income taxes as discussed in Note 16.
Revenue Recognition

Revenue Recognition—Revenue is recognized when title and risk of loss are transferred to customers upon delivery based on terms of sale and collectability is reasonably assured. Revenue is recognized as the net amount to be received after deducting estimated amounts for discounts, trade allowances, and returns of damaged and out-of-date products. Changes in the market value of inventories of merchandisable agricultural commodities, and the fair values of forward cash purchase and sales contracts, and exchange-traded futures and options contracts are recognized in earnings immediately.

Shipping and Handling

Shipping and Handling—Amounts billed to customers related to shipping and handling are included in net sales. Shipping and handling costs are included in cost of goods sold.

Marketing Costs

Marketing Costs—We promote our products with advertising, consumer incentives, and trade promotions. Such programs include, but are not limited to, discounts, coupons, rebates, and volume-based incentives. Advertising costs are expensed as incurred. Consumer incentives and trade promotion activities are recorded as a reduction of revenue or as a component of cost of goods sold based on amounts estimated as being due to customers and consumers at the end of the period, based principally on historical utilization and redemption rates. Advertising and promotion expenses totaled $364.5 million, $371.9 million, and $409.1 million in fiscal 2012, 2011, and 2010, respectively, and are included in selling, general and administrative expenses.

Research and Development

Research and Development—We incurred expenses of $86.0 million, $81.4 million, and $77.9 million for research and development activities in fiscal 2012, 2011, and 2010, respectively.

Comprehensive Income

Comprehensive IncomeComprehensive income includes net income, currency translation adjustments, certain derivative-related activity, changes in the value of available-for-sale investments, and changes in prior service cost and net actuarial gains/losses from pension (only amounts within the corridor) and postretirement health care plans. We generally deem our foreign investments to be essentially permanent in nature and, as such, we do not provide for taxes on currency translation adjustments arising from converting the investment in a foreign currency to U.S. dollars. When we determine that a foreign investment, as well as undistributed earnings, are no longer permanent in nature, estimated taxes are provided for the related deferred taxes, if any, resulting from currency translation adjustments. We reclassified $6.0 million of foreign currency translation net losses to net income in fiscal 2012 due to our acquisition of a majority interest in Agro Tech Foods Limited in India (“ATFL”) and the related remeasurement of our previously held noncontrolling equity interest in ATFL to fair value (see Note 3). We reclassified $1.6 million of foreign currency translation net gains to net income due to the disposal or substantial liquidation of foreign subsidiaries in fiscal 2011.

The following is a rollforward of the balances in accumulated other comprehensive income (loss), net of tax (except for currency translation adjustment):

 

                                                         
    Currency
Translation
Adjustment,
Net of
Reclassification
Adjustments
        Net
Derivative
Adjustment, Net
of  Reclassification
Adjustments
        Unrealized
Loss on
Available-
For-Sale
Securities, Net
of
Reclassification
Adjustments
        Pension and
Postretirement
Adjustments
        Accumulated
Other
Comprehensive
Income (Loss)
 

Balance at May 31, 2009

  $ 52.6         $ (1.2       $ (1.2       $ (134.1       $ (83.9

Current-period change

    (3.7         0.2                     (65.8         (69.3
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 30, 2010

    48.9           (1.0         (1.2         (199.9         (153.2

Current-period change

    45.7           (7.2         (0.1         23.6           62.0  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 29, 2011

    94.6           (8.2         (1.3         (176.3         (91.2

Current-period change

    (52.0         (89.1         (0.1         (66.7         (207.9
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 27, 2012

  $             42.6         $             (97.3       $             (1.4       $         (243.0       $         (299.1
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

The following details the income tax expense (benefit) on components of other comprehensive income (loss):

 

                         
    2012     2011     2010  

Net derivative adjustment

  $         (52.7   $         (4.2   $         0.1  

Unrealized losses on available-for-sale securities

    (0.1     (0.1      

Pension and postretirement healthcare liabilities

    (35.4     15.8       (40.0
Foreign Currency Transaction Gains and Losses

Foreign Currency Transaction Gains and Losses—We recognized net foreign currency transaction gains (losses) from continuing operations of $(3.9) million, $3.9 million, and $(6.2) million in fiscal 2012, 2011, and 2010, respectively, in selling, general and administrative expenses.

Use of Estimates

Use of Estimates—Preparation of financial statements in conformity with generally accepted accounting principles requires management to make estimates and assumptions. These estimates and assumptions affect reported amounts of assets, liabilities, revenues, and expenses as reflected in the consolidated financial statements. Actual results could differ from these estimates.

Reclassifications

Reclassifications—Certain prior year amounts have been reclassified to conform with current year presentation.

XML 27 R79.htm IDEA: XBRL DOCUMENT v2.4.0.6
Senior Long-Term Debt, Subordinated Debt and Loan Agreements (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Net interest expense      
Long-term debt $ 213.2 $ 231.1 $ 257.7
Short-term debt 0.3 0.2 0.1
Interest Income (4.0) (42.2) (85.2)
Interest capitalized (5.5) (11.6) (12.2)
Interest expense, net $ 204.0 $ 177.5 $ 160.4
XML 28 R118.htm IDEA: XBRL DOCUMENT v2.4.0.6
Business Segments and Related Information (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk    
Net derivative gains (losses) incurred $ (66.8) $ 35.1
Net derivative gains allocated to Reporting Segments 24.4 0.6
Net derivative gains (losses) recognized in general corporate expenses (91.2) 34.5
Consumer foods [Member]
   
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk    
Net derivative gains allocated to Reporting Segments 24.9 3.6
Commercial foods [Member]
   
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk    
Net derivative losses allocated to Reporting Segments $ (0.5) $ (3.0)
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Earnings Per Share (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
May 27, 2012
Feb. 26, 2012
Nov. 27, 2011
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
May 27, 2012
May 29, 2011
May 30, 2010
Net income available to ConAgra Foods, Inc. common stockholders:                      
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders                 $ 467.8 $ 829.1 $ 632.8
Income (loss) from discontinued operations       0.1 (4.5) (10.6) 0.6 3.0 0.1 (11.5) (19.3)
Net income attributable to ConAgra Foods, Inc. (86.2) 280.1 180.2 93.8 250.1 216.6 202.7 148.2 467.9 817.6 613.5
Less: Increase (decrease) in redemption value of noncontrolling interests in excess of earnings allocated                 (1.5) (1.9) (1.5)
Net income available to ConAgra Foods, Inc. common stockholders                 $ 466.4 $ 815.7 $ 612.0
Weighted average shares outstanding:                      
Basic weighted average shares outstanding                 412.9 429.7 443.6
Add: Dilutive effect of stock options, restricted stock awards, and other dilutive securities                 5.4 4.6 3.5
Diluted weighted average shares outstanding                 418.3 434.3 447.1
XML 31 R89.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pre-Tax Income and Income Taxes (Details 1) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Current      
Federal $ 163.9 $ 157.3 $ 259.0
State 23.7 21.0 27.5
Foreign 27.5 11.9 14.4
Current income tax expense (benefit), total 215.1 190.2 300.9
Deferred      
Federal (13.4) 219.2 (8.5)
State (5.2) 9.8 (6.5)
Foreign (0.7) 2.4 6.4
Deferred income tax expense (benefit), total (19.3) 231.4 (8.6)
Income tax expense (benefit) continuing operations, total $ 195.8 $ 421.6 $ 292.3
XML 32 R57.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Summary of Significant Accounting Policies (Textual) [Abstract]      
Number of weeks in fiscal year 52 week 52 week 52 week
Highly liquid investments with an original maturity 3 months    
Maximum investment in unconsolidated affiliates 50.00%    
Defined benefit plan corridor percentage 10.00%    
Maximum Percentage of qualitative factors which estimate fair value is less than its carrying amount 50.00%    
Advertising and promotion expenses $ 364.5 $ 371.9 $ 409.1
Research and Development expenses 86.0 81.4 77.9
Reclassified of foreign currency translation net gains to net income 6.0 1.6  
Net foreign currency transaction gains (losses) from continuing operations $ (3.9) $ 3.9 $ (6.2)
XML 33 R109.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 9)
12 Months Ended
May 27, 2012
May 29, 2011
Assumed Health Care Cost Trend Rates    
Initial health care cost trend rate 7.50% 7.50%
Ultimate health care cost trend rate 5.00% 5.00%
Year that the rate reaches the ultimate trend rate 2016 2016
XML 34 R76.htm IDEA: XBRL DOCUMENT v2.4.0.6
Credit Facilities and Borrowings (Details) (USD $)
12 Months Ended
May 27, 2012
Credit Facilities and Borrowings (Textual) [Abstract]  
Multi-year revolving credit facility $ 1,500,000,000
Line of credit facility, amount outstanding 0
Line of Credit Facility, Average Outstanding Amount 0
Percentage of consolidated capital base if exceeded by funded debt than repay borrowings as per multi-year revolving credit facility 65.00%
Fixed charges coverage if range in then repay borrowings as per multi year revolving credit facility 1.75 to 1.0
Amount outstanding under commercial paper program $ 40,000,000
Interest rate on borrowings under the multi-year facility 1.10%
Interest outstanding on commercial paper program 0.26%
XML 35 R86.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Payments (Details 3) (USD $)
In Millions, except Per Share data, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Summary of the activity for performance share awards      
Granted, Shares Units 1.80 1.60 1.10
Performance Shares [Member]
     
Summary of the activity for performance share awards      
Nonvested share units at May 29, 2011, Share Units 1.37    
Granted, Shares Units 0.51    
Adjustments for performance results attained, Shares 0.16    
Vested/issued, Share Units (0.60)    
Forfeited, Share Units (0.17)    
Nonvested share units at May 27, 2012, Share Units 1.27    
Nonvested share units at May 29, 2011, Weighted Average Grant-date Fair Value 20.42    
Granted, Weighted Average Grant-Date Fair Value 26.11    
Adjustments for performance results attained, Weighted Average Grant-Date Fair Value 20.48    
Vested/issued, Weighted Average Grant-Date Fair Value 20.48    
Forfeited, Weighted Average Grant-Date Fair Value 22.24    
Nonvested share units at May 27, 2012, Weighted Average Grant-Date Fair Value 22.44    
XML 36 R81.htm IDEA: XBRL DOCUMENT v2.4.0.6
Other Noncurrent Liabilities (Details) (USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
Other Noncurrent Liabilities [Abstract]    
Postretirement health care and pension obligations $ 846.5 $ 674.1
Noncurrent income tax liabilities 693.5 770.5
Environmental liabilities (see Note 18) 71.2 70.2
Other 283.5 287.0
Other noncurrent and current liabilities 1,894.7 1,801.8
Current portion of other noncurrent and current liabilities (72.6) (65.7)
Other noncurrent liabilities $ 1,822.1 $ 1,736.1
XML 37 R87.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Payments (Details Textual) (USD $)
In Millions, except Per Share data, unless otherwise specified
12 Months Ended 12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Sep. 25, 2009
ConAgra foods 2009 stock plan [Member]
May 27, 2012
Stock Options [Member]
May 29, 2011
Stock Options [Member]
May 30, 2010
Stock Options [Member]
May 27, 2012
Share Unit Plans [Member]
May 29, 2011
Share Unit Plans [Member]
May 30, 2010
Share Unit Plans [Member]
May 27, 2012
Performance based share plan [Member]
May 29, 2011
Performance based share plan [Member]
May 30, 2010
Performance based share plan [Member]
May 27, 2012
Restricted cash plan [Member]
May 29, 2011
Restricted cash plan [Member]
May 30, 2010
Restricted cash plan [Member]
May 27, 2012
Performance period ending 2012 [Member]
May 27, 2012
Performance period ending 2013 [Member]
May 27, 2012
Performance period ending 2014 [Member]
Share Based Payments (Textual) [Abstract]                                      
Shares issued under the plan 22.9     29.5                              
Compensation expense         $ 15.4 $ 19.9 $ 22.0 $ 25.5 $ 21.2 $ 19.6 $ 0.8 $ 4.0 $ 14.7            
Weighted average grant date fair value, options         $ 3.26 $ 3.31 $ 2.73                        
Weighted average grant date fair value               $ 26.11 $ 21.55 $ 19.41                  
Total intrinsic value of share units vested 41.5       41.5 9.3 8.4                        
Total intrinsic value of share units vested, other than options               23.2 14.5 18.7 16.0 7.4 24.8            
Tax benefit related to Compensation expense         5.7 7.4 8.2 9.5 7.9 7.3 0.3 1.5 5.4            
Unrecognized compensation expense         12.4     33.9     6.8                
Weighted average period         1 year 2 months 12 days     1 year 10 months 24 days     2 years                
Reduced (increased) net operating cash flows                           8.7 0 (1.5)      
Increased (decreased) net financing cash flows                           8.7 0 (1.5)      
Percentage of the targeted number of performance shares, minimum range and will be paid in shares of common stock                                 0.00% 0.00% 0.00%
Percentage of the targeted number of performance shares, maximum range and will be paid in shares of common stock                                 300.00% 200.00% 220.00%
Percentage of target incentive required payout                     25.00%                
Share Based Payments (Additional Textual) [Abstract]                                      
Stock option granted 4.1 6.2 7.9                                
Cash received from option exercises 217.8 71.6 70.3                                
Actual tax benefit realized for the tax deductions from option exercises $ 15.4 $ 3.4 $ 3.1                                
Shares units granted 1.80 1.60 1.10                                
Closing market price of our common stock $ 25.25                                    
XML 38 R77.htm IDEA: XBRL DOCUMENT v2.4.0.6
Senior Long-Term Debt, Subordinated Debt and Loan Agreements (Details) (USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt $ 2,742.9 $ 3,078.9
Total face value subordinated debt 195.9 195.9
Total debt face value 2,938.8 3,274.8
Unamortized discounts/premiums (59.8) (68.3)
Adjustment due to hedging activity 17.7 27.3
Less current installments (38.1) (363.5)
Total long-term debt 2,858.6 2,870.3
8.25% senior debt due September 2030 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 300.0 300.0
7.0% senior debt due October 2028 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 382.2 382.2
6.7% senior debt due August 2027 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 9.2 9.2
7.125% senior debt due October 2026 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 372.4 372.4
7.0% senior debt due April 2019 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 500.0 500.0
5.819% senior debt due June 2017 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 500.0 500.0
5.875% senior debt due April 2014 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 500.0 500.0
6.75% senior debt due September 2011 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt   342.7
2.00% to 9.59% lease financing obligations due on various dates through 2029 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 106.0 105.4
Other indebtedness [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value senior debt 73.1 67.0
9.75% subordinated debt due March 2021 [Member]
   
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements    
Total face value subordinated debt $ 195.9 $ 195.9
XML 39 R71.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Other Identifiable Intangible Assets (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
Change in the carrying amount of goodwill    
Goodwill, Beginning Balance $ 3,609.4 $ 3,549.9
Acquisitions 418.8 51.5
Translation and other (12.8) 8.0
Goodwill, Ending Balance 4,015.4 3,609.4
Other identifiable intangible assets    
Non-amortizing intangible assets, gross carrying amount 947.7 771.2
Amortizing intangible assets, gross carrying amount 313.8 213.9
Amortizing intangible assets, accumulated amortization 70.0 48.8
Intangible assets, gross carrying amount 1,261.5 985.1
Consumer foods [Member]
   
Change in the carrying amount of goodwill    
Goodwill, Beginning Balance 3,479.7 3,421.3
Acquisitions 418.8 51.5
Translation and other (11.8) 6.9
Goodwill, Ending Balance 3,886.7 3,479.7
Commercial foods [Member]
   
Change in the carrying amount of goodwill    
Goodwill, Beginning Balance 129.7 128.6
Translation and other (1.0) 1.1
Goodwill, Ending Balance $ 128.7 $ 129.7
XML 40 R25.htm IDEA: XBRL DOCUMENT v2.4.0.6
Operating Leases
12 Months Ended
May 27, 2012
Operating Leases [Abstract]  
OPERATING LEASES

17.  OPERATING LEASES

We lease certain facilities, land, and transportation equipment under agreements that expire at various dates. Rent expense under all operating leases from continuing operations was $133.8 million, $126.1 million, and $127.2 million in fiscal 2012, 2011, and 2010, respectively. Rent expense under operating leases from discontinued operations was $0.4 million and $3.2 million in fiscal 2011 and 2010, respectively. Fiscal 2012 had no rent expense under operating leases from discontinued operations.

 

A summary of non-cancellable operating lease commitments for fiscal years following May 27, 2012, was as follows:

 

         

2013

  $ 82.8    

2014

    72.6    

2015

    62.5    

2016

    52.4    

2017

    38.7    

Later years

    135.4    
   

 

 

 
      $     444.4    

During fiscal 2010, we completed the sale of approximately 17,600 acres of farmland to an unrelated buyer and immediately entered into an agreement with an affiliate of the buyer to lease back the farmland. At that time, we received proceeds of $75.0 million in cash, removed the land from our balance sheet, and recorded a deferred gain of $29.7 million (reflected primarily in noncurrent liabilities). The lease agreement has an initial term of ten years and two five-year renewal options. This lease is being accounted for as an operating lease and we are recognizing the deferred gain as a reduction of rent expense over the lease term.

XML 41 R50.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Tables)
12 Months Ended
May 27, 2012
Fair Value Measurements [Abstract]  
Fair value of assets and liabilities measured on recurring basis

The following table presents our financial assets and liabilities measured at fair value on a recurring basis based upon the level within the fair value hierarchy in which the fair value measurements fall, as of May 27, 2012:

 

                                             
    Level 1    

 

  Level 2    

 

  Level 3    

 

  Total  

Assets:

                                           

Derivative assets

    $     13.8           $     44.9           $     —           $     58.7  

Available-for-sale securities

    1.6                               1.6  

Deferred compensation assets

    5.8                               5.8  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total assets

    $     21.2           $     44.9           $     —           $     66.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Liabilities:

                                           

Derivative liabilities

    $           $ 215.4           $           $ 215.4  

Deferred and share-based compensation liabilities

    27.1                               27.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total liabilities

    $     27.1           $     215.4           $     —           $     242.5  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

The following table presents our financial assets and liabilities measured at fair value on a recurring basis based upon the level within the fair value hierarchy in which the fair value measurements fall, as of May 29, 2011:

 

                                             
    Level 1    

 

  Level 2    

 

  Level 3    

 

  Total  

Assets:

                                           

Derivative assets

    $     16.3           $     55.2           $     —           $     71.5  

Available-for-sale securities

    1.7                               1.7  

Deferred compensation assets

    7.4                               7.4  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total assets

    $ 25.4           $ 55.2           $     —           $ 80.6  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Liabilities:

                                           

Derivative liabilities

    $           $ 92.2           $           $ 92.2  

Deferred and share-based compensation liabilities

    29.1                               29.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total liabilities

    $     29.1           $     92.2           $           $ 121.3  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 
XML 42 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
Inventories (Tables)
12 Months Ended
May 27, 2012
Inventories [Abstract]  
Major classes of inventories
                     
    2012         2011  

Raw materials and packaging

  $ 563.8         $ 639.5  

Work in progress

    96.5           83.1  

Finished goods

    1,122.4           992.9  

Supplies and other

    86.9           87.9  
   

 

 

       

 

 

 

Total

  $     1,869.6         $     1,803.4  
   

 

 

       

 

 

 
XML 43 R75.htm IDEA: XBRL DOCUMENT v2.4.0.6
Inventories (Details) (USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
Major Classes of Inventory    
Raw materials and packaging $ 563.8 $ 639.5
Work in progress 96.5 83.1
Finished goods 1,122.4 992.9
Supplies and other 86.9 87.9
Total $ 1,869.6 $ 1,803.4
XML 44 R97.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Financial Instruments (Details) (USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
Derivative assets and liabilities and amounts representing a right to reclaim cash collateral or obligation to return cash collateral were reflected in balance sheets:    
Prepaid expenses and other current assets $ 58.7 $ 71.5
Other accrued liabilities 215.4 92.2
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative assets not designated as hedging instruments 68.2 87.1
Total derivative assets 68.2 87.1
Total derivative liabilities not designated as hedging instruments 84.2 103.8
Total derivative liabilities 238.1 115.6
Designated as Hedging Instrument [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative assets      
Total derivative liabilities 153.9 11.8
Interest Rate Contract [Member] | Other accrued liabilities [Member] | Designated as Hedging Instrument [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative liabilities 153.9 11.8
Interest Rate Contract [Member] | Prepaid expenses and other current assets [Member] | Designated as Hedging Instrument [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative assets      
Commodity Contracts [Member] | Other accrued liabilities [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative liabilities not designated as hedging instruments 75.6 84.4
Commodity Contracts [Member] | Prepaid expenses and other current assets [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative assets not designated as hedging instruments 60.3 85.4
Foreign Exchange Contracts [Member] | Other accrued liabilities [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative liabilities not designated as hedging instruments 8.1 19.2
Foreign Exchange Contracts [Member] | Prepaid expenses and other current assets [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative assets not designated as hedging instruments 7.3 1.0
Other [Member] | Other accrued liabilities [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative liabilities not designated as hedging instruments 0.5 0.2
Other [Member] | Prepaid expenses and other current assets [Member]
   
Schedule of Derivative Instruments in Statement of Financial Position, gross, fair value    
Total derivative assets not designated as hedging instruments $ 0.6 $ 0.7
XML 45 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
Garner, North Carolina Accident (Tables)
12 Months Ended
May 27, 2012
Garner, North Carolina Accident [Abstract]  
Costs incurred and insurance recoveries recognized
                                                                         
        Fiscal Year Ended May 29, 2011         Fiscal Year Ended May 30, 2010  
        Consumer
Foods
        Corporate         Total         Consumer
Foods
        Corporate         Total  

Cost of goods sold:

                                                                       

Inventory write-downs and other costs

      $ 0.9         $         $ 0.9         $     11.9         $         $     11.9  

Selling, general and administrative expenses:

                                                                       

Fixed asset impairments, clean-up costs, etc.

        2.6           0.6           3.2           47.5           2.6           50.1  

Insurance recoveries recognized

        (109.4                   (109.4         (58.1                   (58.1
       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

        (106.8         0.6           (106.2         (10.6         2.6           (8.0
       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Net loss (gain)

      $     (105.9       $     0.6         $     (105.3       $ 1.3         $     2.6         $ 3.9  
       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 
XML 46 R52.htm IDEA: XBRL DOCUMENT v2.4.0.6
Quarterly Financial Data (Unaudited) (Tables)
12 Months Ended
May 27, 2012
Quarterly Financial Data [Abstract]  
Quarterly Financial Data
                                                                 
    2012 (1)     2011 (1)  
    First
Quarter (3)
    Second
Quarter (4)
    Third
Quarter (5)
    Fourth
Quarter
    First
Quarter (6)
    Second
Quarter (7)
    Third
Quarter (8)
    Fourth
Quarter (9)
 

Net sales

    $     3,072.0         $     3,403.9         $     3,373.1         $     3,413.6         $     2,804.3         $     3,147.5         $     3,141.3         $     3,210.0    

Gross profit

    598.7         757.3         790.0         680.9         651.3         760.0         797.3         704.9    

Income (loss) from discontinued operations, net of tax

    0.1         —         —         —         3.0         0.6         (10.6)        (4.5)   

Net income (loss) attributable to ConAgra Foods, Inc.

    93.8         180.2         280.1         (86.2)        148.2         202.7         216.6         250.1    

Earnings per share (2):

                                                               

Basic earnings per share:

                                                               

Income (loss) from continuing operations attributable to ConAgra Foods, Inc. common stockholders

    $ 0.23         $ 0.43         $ 0.68         $ (0.21)        $ 0.32         $ 0.46         $ 0.54         $ 0.62    

Income (loss) from discontinued operations attributable to ConAgra Foods, Inc. common stockholders

    —         —         —         —         0.01         —         (0.03)        (0.01)   
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss) attributable to ConAgra Foods, Inc. common stockholders

    $ 0.23         $ 0.43         $ 0.68         $ (0.21)        $ 0.33         $ 0.46         $ 0.51         $ 0.61    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Diluted earnings per share:

                                                               

Income (loss) from continuing operations attributable to ConAgra Foods, Inc. common stockholders

    $ 0.22         $ 0.43         $ 0.67         $ (0.21)        $ 0.32         $ 0.46       $ 0.52         $ 0.61    

Income (loss) from discontinued operations attributable to ConAgra Foods, Inc. common stockholders

    —         —         —         —         0.01         —         (0.02)        (0.01)   
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss) attributable to ConAgra Foods, Inc. common stockholders

    $ 0.22         $ 0.43         $ 0.67         $ (0.21)        $ 0.33         $ 0.46         $ 0.50         $ 0.60    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Dividends declared per common share

    $ 0.23         $ 0.24         $ 0.24         $ 0.24         $ 0.20         $ 0.23         $ 0.23         $ 0.23    

Share price:

                                                               

High

    $ 26.53         $ 25.95         $ 27.18         $ 26.75         $ 25.23         $ 22.95         $ 23.58         $ 25.58    

Low

    22.72         22.99         24.31         25.11         21.36         21.14         21.48         22.48    

 

(1) Amounts differ from previously filed quarterly reports due to the adoption of a change in accounting method for pension during the fourth quarter of fiscal 2012. See additional detail in Note 1.

 

(2) Basic and diluted earnings per share are calculated independently for each of the quarters presented. Accordingly, the sum of the quarterly earnings per share amounts may not agree with the total year.

 

(3) For the quarter ended August 28, 2011, the retrospective change in accounting method for pension increased net income by $8.5 million and earnings per share, basic and diluted by $0.02.

 

(4) For the quarter ended November 27, 2011, the retrospective change in accounting method for pension increased net income by $8.4 million and earnings per share, basic and diluted by $0.02.

 

(5) For the quarter ended February 26, 2012, the retrospective change in accounting method for pension increased net income by $8.5 million and earnings per share, basic and diluted by $0.02.

 

(6) For the quarter ended August 29, 2010, the retrospective change in accounting method for pension increased net income by $1.8 million.
(7) For the quarter ended November 28, 2010, the retrospective change in accounting method for pension increased net income by $1.8 million and diluted earnings per share by $0.01.

 

(8) For the quarter ended February 27, 2011, the retrospective change in accounting method for pension increased net income by $1.8 million and basic earnings per share by $0.01.

 

(9) For the quarter ended May 29, 2011, the retrospective change in accounting method for pension decreased net income by $4.8 million and earnings per share, basic and diluted by $0.01.
XML 47 R67.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring Activities (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Acquisition-related restructuring [Member]
     
Liabilities for various initiatives and changes      
Costs incurred and charged to expense $ 4.3    
Balance at May 27, 2012 4.3    
Administrative efficiency restructuring plan [Member]
     
Liabilities for various initiatives and changes      
Costs incurred and charged to expense 16.3    
Costs Paid or Otherwise Settled (13.1)    
Changes in estimates (0.8)    
Balance at May 27, 2012 2.4    
Network optimization plan [Member]
     
Liabilities for various initiatives and changes      
Balance at May 29, 2011 4.8    
Costs incurred and charged to expense 11.3    
Costs Paid or Otherwise Settled (8.9)    
Changes in estimates 0.6    
Balance at May 27, 2012 7.8    
2010 plan [Member]
     
Liabilities for various initiatives and changes      
Costs incurred and charged to expense 2.6 25.7 39.2
Severance and related costs [Member] | Acquisition-related restructuring [Member]
     
Liabilities for various initiatives and changes      
Costs incurred and charged to expense 4.3    
Balance at May 27, 2012 4.3    
Severance and related costs [Member] | Administrative efficiency restructuring plan [Member]
     
Liabilities for various initiatives and changes      
Costs incurred and charged to expense 9.2    
Costs Paid or Otherwise Settled (6.3)    
Changes in estimates (0.8)    
Balance at May 27, 2012 2.1    
Severance and related costs [Member] | Network optimization plan [Member]
     
Liabilities for various initiatives and changes      
Balance at May 29, 2011 4.8    
Costs incurred and charged to expense 3.8    
Costs Paid or Otherwise Settled (2.2)    
Changes in estimates 0.6    
Balance at May 27, 2012 7.0    
Plan implementation costs [Member] | Administrative efficiency restructuring plan [Member]
     
Liabilities for various initiatives and changes      
Costs incurred and charged to expense 7.1    
Costs Paid or Otherwise Settled (6.8)    
Balance at May 27, 2012 0.3    
Plan implementation costs [Member] | Network optimization plan [Member]
     
Liabilities for various initiatives and changes      
Costs incurred and charged to expense 7.5    
Costs Paid or Otherwise Settled (6.7)    
Balance at May 27, 2012 $ 0.8    
XML 48 R111.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 11) (USD $)
In Millions, unless otherwise specified
May 27, 2012
Estimated future gross benefit payments and Medicare Part D subsidy receipts  
2013 $ (3.8)
2014 (3.2)
2015 (3.2)
2016 (3.2)
2017 (3.1)
Succeeding 5 years (13.0)
Pension Benefits [Member]
 
Estimated future gross benefit payments and Medicare Part D subsidy receipts  
2013 154.2
2014 158.4
2015 163.2
2016 168.4
2017 174.2
Succeeding 5 years 966.1
Health Care and Life Insurance Benefit Payments [Member]
 
Estimated future gross benefit payments and Medicare Part D subsidy receipts  
2013 31.1
2014 28.6
2015 28.1
2016 27.5
2017 26.6
Succeeding 5 years $ 115.9
XML 49 R61.htm IDEA: XBRL DOCUMENT v2.4.0.6
Acquisitions (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended 3 Months Ended
May 27, 2012
May 31, 2012
Kangaroo Brands' Pita Chip [Member]
May 31, 2012
Odom's Tennessee Pride [Member]
Mar. 31, 2012
Del Monte Canada [Member]
Nov. 30, 2011
National pretzel company [Member]
Feb. 26, 2012
ATFL [Member]
Nov. 27, 2011
ATFL [Member]
Jun. 28, 2010
American Pie LLC [Member]
Apr. 12, 2010
Elan Nutrition, Inc [Member]
Acquisitions (Textual) [Abstract]                  
Cash paid to acquire assets and assumed liabilities   $ 47.9 $ 94.9 $ 185.6 $ 301.9     $ 131.0 $ 103.5
Cash paid to acquire the entity             4.9    
Purchase price allocated to goodwill   41.2 30.5 36.1 177.8   132.5 51.5 66.4
Purchase price allocated to brands, trademarks and other intangibles     24.5 86.8 68.2     61.3 33.6
Purchase price allocated to trademarks             40.0    
Percentage of interest acquired             52.00%    
Percentage of non-controlling interest under the equity method 50.00%           48.00%    
Gain on acquisition of controlling interest in Agro Tech Foods Ltd. $ 58.7         $ 58.7      
XML 50 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
Operating Leases (Tables)
12 Months Ended
May 27, 2012
Operating Leases [Abstract]  
Summary of non-cancellable operating lease
         

2013

  $ 82.8    

2014

    72.6    

2015

    62.5    

2016

    52.4    

2017

    38.7    

Later years

    135.4    
   

 

 

 
      $     444.4    
XML 51 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies
12 Months Ended
May 27, 2012
Summary of Significant Accounting Policies [Abstract]  
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

1.  SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

Fiscal Year—The fiscal year of ConAgra Foods, Inc. (“ConAgra Foods”, “Company”, “we”, “us”, or “our”) ends the last Sunday in May. The fiscal years for the consolidated financial statements presented consist of 52-week periods for fiscal years 2012, 2011, and 2010.

Basis of Consolidation—The consolidated financial statements include the accounts of ConAgra Foods, Inc. and all majority-owned subsidiaries. In addition, the accounts of all variable interest entities for which we have been determined to be the primary beneficiary are included in our consolidated financial statements from the date such determination is made. All significant intercompany investments, accounts, and transactions have been eliminated.

Investments in Unconsolidated Affiliates—The investments in, and the operating results of, 50%-or-less-owned entities not required to be consolidated are included in the consolidated financial statements on the basis of the equity method of accounting or the cost method of accounting, depending on specific facts and circumstances.

We review our investments in unconsolidated affiliates for impairment whenever events or changes in business circumstances indicate that the carrying amount of the investments may not be fully recoverable. Evidence of a loss in value that is other than temporary include, but are not limited to, the absence of an ability to recover the carrying amount of the investment, the inability of the investee to sustain an earnings capacity which would justify the carrying amount of the investment, or, where applicable, estimated sales proceeds which are insufficient to recover the carrying amount of the investment. Management’s assessment as to whether any decline in value is other than temporary is based on our ability and intent to hold the investment and whether evidence indicating the carrying value of the investment is recoverable within a reasonable period of time outweighs evidence to the contrary. Management generally considers our investments in equity method investees to be strategic long-term investments. Therefore, management completes its assessments with a long-term viewpoint. If the fair value of the investment is determined to be less than the carrying value and the decline in value is considered to be other than temporary, an appropriate write-down is recorded based on the excess of the carrying value over the best estimate of fair value of the investment.

Cash and Cash Equivalents—Cash and all highly liquid investments with an original maturity of three months or less at the date of acquisition, including short-term time deposits and government agency and corporate obligations, are classified as cash and cash equivalents.

Inventories—We principally use the lower of cost (determined using the first-in, first-out method) or market for valuing inventories other than merchandisable agricultural commodities. Grain and flour inventories are principally stated at market value.

Property, Plant and Equipment—Property, plant and equipment are carried at cost. Depreciation has been calculated using the straight-line method over the estimated useful lives of the respective classes of assets as follows:

 

     

Land improvements

  1 - 40 years 

Buildings

  15 - 40 years

Machinery and equipment

  3 - 20 years 

Furniture, fixtures, office equipment and other

  5 - 15 years 

We review property, plant and equipment for impairment whenever events or changes in business circumstances indicate that the carrying amount of the assets may not be fully recoverable. Recoverability of an asset considered “held-and-used” is determined by comparing the carrying amount of the asset to the undiscounted net cash flows expected to be generated from the use of the asset. If the carrying amount is greater than the undiscounted net cash flows expected to be generated by the asset, the asset’s carrying amount is reduced to its estimated fair value. An asset considered “held-for-sale” is reported at the lower of the asset’s carrying amount or fair value.

 

Goodwill and Other Identifiable Intangible Assets—Goodwill and other identifiable intangible assets with indefinite lives (e.g., brands or trademarks) are not amortized and are tested annually for impairment of value and whenever events or changes in circumstances indicate the carrying amount of the asset may be impaired. A significant amount of judgment is involved in determining if an indicator of impairment has occurred. Such indicators may include deterioration in general economic conditions, adverse changes in the markets in which an entity operates, increases in input costs that have negative effects on earnings and cash flows, or a trend of negative or declining cash flows over multiple periods, among others. The fair value that could be realized in an actual transaction may differ from that used to evaluate the impairment of goodwill and other intangible assets.

In September 2011, new accounting guidance was issued for testing goodwill for impairment. The guidance provides an entity the option to first assess qualitative factors to determine whether the existence of events or circumstances leads to a determination that it is more likely than not (more than 50%) that the estimated fair value of a reporting unit is less than its carrying amount. If an entity elects to perform a qualitative assessment and determines that an impairment is more likely than not, the entity is then required to perform the existing two-step quantitative impairment test, otherwise no further analysis is required. An entity also may elect not to perform the qualitative assessment and, instead, proceed directly to the two-step quantitative impairment test.

In the third quarter of fiscal 2012, in conjunction with management’s annual review of goodwill, we early adopted the new guidance. Under the qualitative assessment, various events and circumstances that would affect the estimated fair value of a reporting unit are identified (similar to impairment indicators above). Furthermore, management considers the results of the most recent two-step quantitative impairment test completed for a reporting unit (this would be fiscal 2011 in which the estimated fair values of all reporting units were substantially in excess of their carrying values) and compares the weighted average cost of capital (WACC) between the current and prior years for each reporting unit.

Under the two-step quantitative impairment test, the evaluation of impairment involves comparing the current fair value of each reporting unit to its carrying value, including goodwill. The first step of the test compares the carrying value of a reporting unit, including goodwill, with its fair value. We estimate the fair value using level 3 inputs as defined by the fair value hierarchy. Refer to Note 21 for the definition of the levels in the fair value hierarchy. The inputs used to calculate the fair value include a number of subjective factors, such as estimates of future cash flows, estimates of our future cost structure, discount rates for our estimated cash flows, required level of working capital, assumed terminal value, and time horizon of cash flow forecasts. If the carrying value of a reporting unit exceeds its fair value, we complete the second step of the test to determine the amount of goodwill impairment loss to be recognized. In the second step, we estimate an implied fair value of the reporting unit’s goodwill by allocating the fair value of the reporting unit to all of the assets and liabilities other than goodwill (including any unrecognized intangible assets). The impairment loss is equal to the excess of the carrying value of the goodwill over the implied fair value of that goodwill.

During the fiscal 2012 annual review of goodwill, management performed the qualitative assessment for all reporting units and concluded that it was more likely than not that their estimated fair values exceeded their carrying values. As such, no further analysis was required.

Identifiable intangible assets with definite lives (e.g., licensing arrangements with contractual lives or customer relationships) are amortized over their estimated useful lives and tested for impairment whenever events or changes in circumstances indicate the carrying amount of the asset may be impaired. Identifiable intangible assets with definite lives are evaluated for impairment using a process similar to that used in evaluating elements of property, plant and equipment. If impaired, the asset is written down to its fair value.

Fair Values of Financial Instruments—Unless otherwise specified, we believe the carrying value of financial instruments approximates their fair value.

 

Environmental Liabilities—Environmental liabilities are accrued when it is probable that obligations have been incurred and the associated amounts can be reasonably estimated. We use third-party specialists to assist management in appropriately measuring the obligations associated with environmental liabilities. Such liabilities are adjusted as new information develops or circumstances change. We do not discount our environmental liabilities as the timing of the anticipated cash payments is not fixed or readily determinable. Management’s estimate of our potential liability is independent of any potential recovery of insurance proceeds or indemnification arrangements. We do not reduce our environmental liabilities for potential insurance recoveries.

Employment-Related Benefits—Employment-related benefits associated with pensions, postretirement health care benefits, and workers’ compensation are expensed as such obligations are incurred. The recognition of expense is impacted by estimates made by management, such as discount rates used to value these liabilities, future health care costs, and employee accidents incurred but not yet reported. We use third-party specialists to assist management in appropriately measuring the obligations associated with employment-related benefits.

In May 2012, we elected to change our method of accounting for pension benefits. Historically, we have recognized actuarial gains and losses in accumulated other comprehensive income (loss) in the consolidated balance sheets upon each plan remeasurement, amortizing them into operating results over the average future service period of active employees in these plans, to the extent such gains and losses were in excess of 10% of the greater of the market-related value of plan assets or the plan’s projected benefit obligation (“the corridor”). We have elected to immediately recognize actuarial gains and losses in our operating results in the year in which they occur, to the extent they exceed the corridor, eliminating the amortization. Actuarial gains and losses outside the corridor, to the extent they occur, will be recognized annually as of our measurement date, which is our fiscal year-end, or when measurement is required otherwise under generally accepted accounting principles. Additionally, for purposes of calculating the expected return on plan assets, we will no longer use the market-related value of plan assets, an averaging technique permitted under generally accepted accounting principles, but instead will use the fair value of plan assets. These changes are intended to improve the transparency of our operating results by more quickly recognizing the effects of changes in plan asset values and the impact of current interest rates on plan obligations.

These changes have been reported through retrospective application of the new policies to all periods presented, by recalculating all actuarial gains and losses under the new method back to a reasonable period of time when actuarial gains and losses recognized were immaterial. The Company also considered the impact of the revised pension expense on cost of goods sold in its assessment of the impact of all adjustments in application of the new policy. The impacts of all adjustments made to the financial statements are summarized below:

Consolidated Statement of Operations

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Selling, general and administrative expenses

  $     1,511.1     $     1,509.9     $     (1.2   $     1,819.4     $     1,987.7     $     168.3  

Cost of goods sold

    9,389.6       9,389.6             8,953.7       8,966.3       12.6  

Income tax expense

    421.0       421.6       0.6       360.9       292.3       (68.6

Income from continuing operations

    830.3       830.9       0.6       742.6       630.3       (112.3

Net income

    818.8       819.4       0.6       723.3       611.0       (112.3

Net income attributable to ConAgra Foods, Inc.

    817.0       817.6       0.6       725.8       613.5       (112.3

Earnings per share from continuing operations-basic

  $ 1.92     $ 1.92     $     $ 1.68     $ 1.43     $ (0.25

Earnings per share attributable to ConAgra Foods-basic

  $ 1.90     $ 1.90     $     $ 1.63     $ 1.38     $ (0.25

Earnings per share from continuing operations-diluted

  $ 1.90     $ 1.90     $     $ 1.66     $ 1.41     $ (0.25

Earnings per share attributable to ConAgra Foods-diluted

  $ 1.88     $ 1.88     $     $ 1.62     $ 1.37     $ (0.25

Consolidated Balance Sheet

 

                         
    May 29, 2011  
    Previously
Reported*
    Revised     Effect of
Change
 

Retained earnings

  $     4,821.8     $     4,690.3     $     (131.5

Accumulated other comprehensive loss

    (222.7     (91.2     131.5  

Consolidated Statement of Cash Flows

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Cash flows from operating activities:

                                               

Net income

  $ 818.8     $ 819.4     $ 0.6     $ 723.3     $ 611.0     $     (112.3

Income from continuing operations

    830.3       830.9       0.6       742.6       630.3       (112.3

Pension expense

          54.0       54.0             227.4       227.4  

Other items

    267.5       212.9           (54.6     89.7       (25.4     (115.1

Net cash flows from operating activities

        1,352.3           1,352.3                 1,472.7           1,472.7        

 

Consolidated Statement of Common Stockholders’ Equity

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported*
    Revised     Effect of
Change
    Previously
Reported*
    Revised     Effect of
Change
 

Retained earnings:

                                               

Beginning balance

  $     4,385.3     $     4,253.2     $     (132.1   $     4,010.7     $     3,990.9     $ (19.8

Net income

    817.0       817.6       0.6       725.8       613.5           (112.3

Ending balance

    4,821.8       4,690.3       (131.5     4,385.3       4,253.2       (132.1

Accumulated other comprehensive loss:

                                               

Beginning balance

    (285.3     (153.2     132.1       (103.7     (83.9     19.8  

Pensions and postretirement healthcare benefits

    24.2       23.6       (0.6     (178.1     (65.8     112.3  

Ending balance

    (222.7     (91.2     131.5       (285.3     (153.2     132.1  

Total equity

    4,676.7       4,676.7             4,897.1       4,897.1        

Consolidated Statement of Comprehensive Income

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Net income

  $     818.8     $     819.4     $     0.6     $     723.3     $     611.0     $     (112.3

Pension and postretirement healthcare liabilities, net of tax

    24.2       23.6       (0.6     (178.1     (65.8     112.3  

 

* Retained earnings also reflects the impact of the change related to income taxes as discussed in Note 16.

Revenue Recognition—Revenue is recognized when title and risk of loss are transferred to customers upon delivery based on terms of sale and collectability is reasonably assured. Revenue is recognized as the net amount to be received after deducting estimated amounts for discounts, trade allowances, and returns of damaged and out-of-date products. Changes in the market value of inventories of merchandisable agricultural commodities, and the fair values of forward cash purchase and sales contracts, and exchange-traded futures and options contracts are recognized in earnings immediately.

Shipping and Handling—Amounts billed to customers related to shipping and handling are included in net sales. Shipping and handling costs are included in cost of goods sold.

Marketing Costs—We promote our products with advertising, consumer incentives, and trade promotions. Such programs include, but are not limited to, discounts, coupons, rebates, and volume-based incentives. Advertising costs are expensed as incurred. Consumer incentives and trade promotion activities are recorded as a reduction of revenue or as a component of cost of goods sold based on amounts estimated as being due to customers and consumers at the end of the period, based principally on historical utilization and redemption rates. Advertising and promotion expenses totaled $364.5 million, $371.9 million, and $409.1 million in fiscal 2012, 2011, and 2010, respectively, and are included in selling, general and administrative expenses.

Research and Development—We incurred expenses of $86.0 million, $81.4 million, and $77.9 million for research and development activities in fiscal 2012, 2011, and 2010, respectively.

Comprehensive IncomeComprehensive income includes net income, currency translation adjustments, certain derivative-related activity, changes in the value of available-for-sale investments, and changes in prior service cost and net actuarial gains/losses from pension (only amounts within the corridor) and postretirement health care plans. We generally deem our foreign investments to be essentially permanent in nature and, as such, we do not provide for taxes on currency translation adjustments arising from converting the investment in a foreign currency to U.S. dollars. When we determine that a foreign investment, as well as undistributed earnings, are no longer permanent in nature, estimated taxes are provided for the related deferred taxes, if any, resulting from currency translation adjustments. We reclassified $6.0 million of foreign currency translation net losses to net income in fiscal 2012 due to our acquisition of a majority interest in Agro Tech Foods Limited in India (“ATFL”) and the related remeasurement of our previously held noncontrolling equity interest in ATFL to fair value (see Note 3). We reclassified $1.6 million of foreign currency translation net gains to net income due to the disposal or substantial liquidation of foreign subsidiaries in fiscal 2011.

The following is a rollforward of the balances in accumulated other comprehensive income (loss), net of tax (except for currency translation adjustment):

 

                                                         
    Currency
Translation
Adjustment,
Net of
Reclassification
Adjustments
        Net
Derivative
Adjustment, Net
of  Reclassification
Adjustments
        Unrealized
Loss on
Available-
For-Sale
Securities, Net
of
Reclassification
Adjustments
        Pension and
Postretirement
Adjustments
        Accumulated
Other
Comprehensive
Income (Loss)
 

Balance at May 31, 2009

  $ 52.6         $ (1.2       $ (1.2       $ (134.1       $ (83.9

Current-period change

    (3.7         0.2                     (65.8         (69.3
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 30, 2010

    48.9           (1.0         (1.2         (199.9         (153.2

Current-period change

    45.7           (7.2         (0.1         23.6           62.0  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 29, 2011

    94.6           (8.2         (1.3         (176.3         (91.2

Current-period change

    (52.0         (89.1         (0.1         (66.7         (207.9
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 27, 2012

  $             42.6         $             (97.3       $             (1.4       $         (243.0       $         (299.1
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

The following details the income tax expense (benefit) on components of other comprehensive income (loss):

 

                         
    2012     2011     2010  

Net derivative adjustment

  $         (52.7   $         (4.2   $         0.1  

Unrealized losses on available-for-sale securities

    (0.1     (0.1      

Pension and postretirement healthcare liabilities

    (35.4     15.8       (40.0

Foreign Currency Transaction Gains and Losses—We recognized net foreign currency transaction gains (losses) from continuing operations of $(3.9) million, $3.9 million, and $(6.2) million in fiscal 2012, 2011, and 2010, respectively, in selling, general and administrative expenses.

Use of Estimates—Preparation of financial statements in conformity with generally accepted accounting principles requires management to make estimates and assumptions. These estimates and assumptions affect reported amounts of assets, liabilities, revenues, and expenses as reflected in the consolidated financial statements. Actual results could differ from these estimates.

Reclassifications—Certain prior year amounts have been reclassified to conform with current year presentation.

 

XML 52 R116.htm IDEA: XBRL DOCUMENT v2.4.0.6
Business Segments and Related Information (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
May 27, 2012
Feb. 26, 2012
Nov. 27, 2011
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
May 27, 2012
May 29, 2011
May 30, 2010
Net sales                      
Net sales $ 3,413.6 $ 3,373.1 $ 3,403.9 $ 3,072.0 $ 3,210.0 $ 3,141.3 $ 3,147.5 $ 2,804.3 $ 13,262.6 $ 12,303.1 $ 12,014.9
Operating profit                      
Operating profit                 1,599.6 1,635.9 1,605.1
Equity method investment earnings                      
Equity method investment earnings                 44.9 26.4 22.1
Operating profit plus equity method investment earnings                      
Total operating profit plus equity method investment earnings                 1,644.5 1,662.3 1,627.2
General corporate expenses                 (770.4) (232.3) (544.2)
Interest expense, net                 (204.0) (177.5) (160.4)
Income tax expense                 (195.8) (421.6) (292.3)
Income from continuing operations                 474.3 830.9 630.3
Less: Income (loss) attributable to noncontrolling interests                 6.5 1.8 (2.5)
Income from continuing operations attributable to ConAgra Foods, Inc.                 467.8 829.1 632.8
Identifiable assets                      
Total assets 11,441.9       11,408.7       11,441.9 11,408.7 11,738.0
Additions to property plant and equipment                      
Additions to property, plant and equipment                 336.7 466.2 482.3
Depreciation and amortization                      
Depreciation and amortization                 371.8 360.9 324.1
Consumer foods [Member]
                     
Net sales                      
Net sales                 8,376.8 8,002.0 7,939.7
Operating profit                      
Operating profit                 1,053.3 1,126.4 1,061.8
Equity method investment earnings                      
Equity method investment earnings                 4.9 5.7 5.2
Operating profit plus equity method investment earnings                      
Total operating profit plus equity method investment earnings                 1,058.2 1,132.1 1,067.0
Identifiable assets                      
Total assets 8,220.9       7,277.3       8,220.9 7,277.3 7,065.0
Additions to property plant and equipment                      
Additions to property, plant and equipment                 169.3 208.7 277.4
Depreciation and amortization                      
Depreciation and amortization                 193.6 180.3 148.6
Commercial foods [Member]
                     
Net sales                      
Net sales                 4,885.8 4,301.1 4,075.2
Operating profit                      
Operating profit                 546.3 509.5 543.3
Equity method investment earnings                      
Equity method investment earnings                 40.0 20.7 16.9
Operating profit plus equity method investment earnings                      
Total operating profit plus equity method investment earnings                 586.3 530.2 560.2
Identifiable assets                      
Total assets 2,384.9       2,466.8       2,384.9 2,466.8 2,230.7
Additions to property plant and equipment                      
Additions to property, plant and equipment                 97.4 187.0 158.6
Depreciation and amortization                      
Depreciation and amortization                 94.5 87.6 78.4
Corporate [Member]
                     
Identifiable assets                      
Total assets 836.1       1,664.6       836.1 1,664.6 2,135.0
Additions to property plant and equipment                      
Additions to property, plant and equipment                 70.0 70.5 46.3
Depreciation and amortization                      
Depreciation and amortization                 83.6 93.0 97.1
Held for sale [Member]
                     
Identifiable assets                      
Total assets                     $ 307.3
XML 53 R62.htm IDEA: XBRL DOCUMENT v2.4.0.6
Payment-in-Kind Notes Receivable (Details) (USD $)
12 Months Ended
May 30, 2010
May 31, 2009
Trading and merchandising operations [Member]
May 31, 2009
Notes due June 2010 [Member]
May 31, 2009
Notes due June 2011 [Member]
May 31, 2009
Notes due June 2012 [Member]
Payment-in-Kind Notes Receivable (Textual) [Abstract]          
Face amount of debt securities received in proceeds from divestiture of businesses   $ 550,000,000      
Payment-in-kind debt securities issued by the purchaser, initial estimated fair value   479,400,000      
Notes issued, principal amount     99,990,000 200,035,000 249,975,000
Notes issued, coupon rate     10.50% 10.75% 11.00%
Payment-in-Kind Notes Receivable (Additional Textual) [Abstract]          
Carrying amount of debt securities received for first tranche 115,400,000        
Carrying amount of debt securities received for second and third tranches 554,200,000        
Gain due to receipt of payment in advance $ 25,000,000        
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Senior Long-Term Debt Subordinated Debt And Loan Agreements (Tables)
12 Months Ended
May 27, 2012
Credit Facilities and Borrowings [Abstract]  
Summary of Senior Long-Term Debt, Subordinated Debt And Loan Agreements
                 
    2012     2011  

Senior Debt

               

8.25% senior debt due September 2030

  $         300.0     $         300.0  

7.0% senior debt due October 2028

    382.2       382.2  

6.7% senior debt due August 2027

    9.2       9.2  

7.125% senior debt due October 2026

    372.4       372.4  

7.0% senior debt due April 2019

    500.0       500.0  

5.819% senior debt due June 2017

    500.0       500.0  

5.875% senior debt due April 2014

    500.0       500.0  

6.75% senior debt due September 2011

          342.7  

2.00% to 9.59% lease financing obligations due on various dates through 2029

    106.0       105.4  

Other indebtedness

    73.1       67.0  
   

 

 

   

 

 

 

Total face value senior debt

  $ 2,742.9     $ 3,078.9  
   

 

 

   

 

 

 

Subordinated Debt

               

9.75% subordinated debt due March 2021

  $ 195.9     $ 195.9  
   

 

 

   

 

 

 

Total face value subordinated debt

    195.9       195.9  
   

 

 

   

 

 

 

Total debt face value

    2,938.8       3,274.8  

Unamortized discounts/premiums

    (59.8     (68.3

Adjustment due to hedging activity

    17.7       27.3  

Less current installments

    (38.1     (363.5
   

 

 

   

 

 

 

Total long-term debt

  $ 2,858.6     $ 2,870.3  
   

 

 

   

 

 

 
Aggregate minimum principal maturities of the long-term debt
         

2013

  $          38.1  

2014

    508.9  

2015

    82.1  

2016

    5.4  

2017

    14.7  
Net interest expense
                                 
    2012         2011         2010  

Long-term debt

  $     213.2         $     231.1         $     257.7  

Short-term debt

    0.3           0.2           0.1  

Interest income

    (4.0         (42.2         (85.2

Interest capitalized

    (5.5         (11.6         (12.2
   

 

 

       

 

 

       

 

 

 
    $ 204.0         $ 177.5         $ 160.4  
   

 

 

       

 

 

       

 

 

 
XML 56 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements
12 Months Ended
May 27, 2012
Fair Value Measurements [Abstract]  
FAIR VALUE MEASUREMENTS

21. FAIR VALUE MEASUREMENTS

FASB guidance establishes a three-level fair value hierarchy based upon the assumptions (inputs) used to price assets or liabilities. The three levels of inputs used to measure fair value are as follows:

Level 1—Unadjusted quoted prices in active markets for identical assets or liabilities,

Level 2—Observable inputs other than those included in Level 1, such as quoted prices for similar assets and liabilities in active markets or quoted prices for identical assets or liabilities in inactive markets, and

 

Level 3—Unobservable inputs reflecting our own assumptions and best estimate of what inputs market participants would use in pricing the asset or liability.

The following table presents our financial assets and liabilities measured at fair value on a recurring basis based upon the level within the fair value hierarchy in which the fair value measurements fall, as of May 27, 2012:

 

                                             
    Level 1    

 

  Level 2    

 

  Level 3    

 

  Total  

Assets:

                                           

Derivative assets

    $     13.8           $     44.9           $     —           $     58.7  

Available-for-sale securities

    1.6                               1.6  

Deferred compensation assets

    5.8                               5.8  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total assets

    $     21.2           $     44.9           $     —           $     66.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Liabilities:

                                           

Derivative liabilities

    $           $ 215.4           $           $ 215.4  

Deferred and share-based compensation liabilities

    27.1                               27.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total liabilities

    $     27.1           $     215.4           $     —           $     242.5  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

The following table presents our financial assets and liabilities measured at fair value on a recurring basis based upon the level within the fair value hierarchy in which the fair value measurements fall, as of May 29, 2011:

 

                                             
    Level 1    

 

  Level 2    

 

  Level 3    

 

  Total  

Assets:

                                           

Derivative assets

    $     16.3           $     55.2           $     —           $     71.5  

Available-for-sale securities

    1.7                               1.7  

Deferred compensation assets

    7.4                               7.4  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total assets

    $ 25.4           $ 55.2           $     —           $ 80.6  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Liabilities:

                                           

Derivative liabilities

    $           $ 92.2           $           $ 92.2  

Deferred and share-based compensation liabilities

    29.1                               29.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

Total liabilities

    $     29.1           $     92.2           $           $ 121.3  
   

 

 

   

 

 

 

 

   

 

 

 

 

   

 

 

 

 

 

During fiscal 2010, a partially completed production facility with a carrying amount of $39.3 million was written-down to its fair value of $6.0 million, resulting in an impairment charge of $33.3 million, which is included in selling, general and administrative expenses in the Consumer Foods segment. The fair value measurement used to determine this impairment was based on the market approach and reflected anticipated sales proceeds for these assets. This production facility was sold in fiscal 2011, resulting in no material gain or loss.

During fiscal 2010, we decided to close our meat snack production facility in Garner, North Carolina (see Note 6). We recognized an impairment charge of $16.5 million to write-down the associated property, plant and equipment with a carrying amount of $45.5 million to its fair value of $29.0 million. The fair value measurement used to determine this impairment was based on the income approach, which utilized cash flow projections consistent with the most recent Slim Jim ® business plan, a terminal value, and a discount rate equivalent to a market participant’s weighted-average cost of capital.

 

During fiscal 2010, noncurrent assets held for sale from our discontinued Gilroy Foods & FlavorsTM business with a carrying amount of $88.7 million were written-down to their fair value of $30.4 million, resulting in an impairment charge of $58.3 million ($39.3 million after-tax), which is included in results of discontinued operations (see Note 2). The fair value measurement used to determine this impairment was based on the market approach and reflected anticipated sales proceeds for these assets.

The carrying amount of long-term debt (including current installments) was $2.9 billion as of May 27, 2012 and $3.2 billion as of May 29, 2011. Based on current market rates provided primarily by outside investment bankers, the fair value of this debt at May 27, 2012 and May 29, 2011 was estimated at $3.5 billion and $3.6 billion, respectively.

XML 57 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits
12 Months Ended
May 27, 2012
Pension and Postretirement Benefits [Abstract]  
PENSION AND POSTRETIREMENT BENEFITS

20. PENSION AND POSTRETIREMENT BENEFITS

The Company and its subsidiaries have defined benefit pension plans (“plans”) for eligible salaried and hourly employees. Benefits are based on years of credited service and average compensation or stated amounts for each year of service. We also sponsor postretirement plans which provide certain medical and dental benefits (“other benefits”) to qualifying U.S. employees.

We recognize the funded status of our plans and other benefits in the consolidated balance sheets. For our plans, we also recognize as a component of accumulated other comprehensive loss, the net of tax results of the actuarial gains or losses within the corridor and prior service costs or credits that arise during the period but are not recognized in net periodic benefit cost. For our other benefits, we also recognize as a component of accumulated other comprehensive income (loss), the net of tax results of the gains or losses and prior service costs or credits that arise during the period but are not recognized in net periodic benefit cost. These amounts will be adjusted out of accumulated other comprehensive income (loss) as they are subsequently recognized as components of net periodic benefit cost.

During the second quarter of fiscal 2012, we amended certain of our postretirement benefit plans to incorporate design changes. As a result of the plan amendments, we remeasured our postretirement obligation at September 8, 2011. The discount rate used to measure the other postretirement benefits obligation at September 8, 2011 was 4.3% compared to the May 29, 2011 discount rate of 4.9%. All other significant assumptions remained unchanged from the May 29, 2011 measurement date. Calculated gains of $27.6 million as a result of the remeasurement, primarily due to favorable plan amendments, were recognized as a credit to other comprehensive loss. As a result of these plan amendments, our net expense related to these plans was reduced by approximately $5.2 million during fiscal 2012.

 

The changes in benefit obligations and plan assets at May 27, 2012 and May 29, 2011 are presented in the following table.

 

                                 
    Pension Benefits     Other Benefits  
    2012     2011     2012     2011  

Change in Benefit Obligation

                               

Benefit obligation at beginning of year

    $     2,881.4       $     2,614.1       $     322.6       $     324.9  

Service cost

    68.7       59.7       0.6       0.6  

Interest cost

    149.2       147.5       13.2       16.3  

Plan participants’ contributions

                6.7       6.9  

Amendments

    5.3       1.5       (40.6     (9.0

Actuarial loss

    337.5       190.9       11.6       19.4  

Special termination benefits

          1.3              

Benefits paid

    (138.8     (133.6     (36.0     (36.5

Business combinations

    25.0             4.6        
   

 

 

   

 

 

   

 

 

   

 

 

 

Benefit obligation at end of year

    $ 3,328.3       $ 2,881.4       $ 282.7       $ 322.6  
   

 

 

   

 

 

   

 

 

   

 

 

 

Change in Plan Assets

                               

Fair value of plan assets at beginning of year

    $ 2,543.9       $ 2,144.6     $ 0.1     $ 4.0  

Actual return on plan assets

    24.8       418.3              

Employer contributions

    326.4       129.4       29.3       25.7  

Plan participants’ contributions

                6.7       6.9  

Investment and administrative expenses

    (14.2     (14.8            

Benefits paid

    (138.8     (133.6     (36.0     (36.5

Business combinations

    24.5                    
   

 

 

   

 

 

   

 

 

   

 

 

 

Fair value of plan assets at end of year

    $ 2,766.6       $ 2,543.9       $ 0.1       $ 0.1  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

The funded status and amounts recognized in our consolidated balance sheets at May 27, 2012 and May 29, 2011 were:

 

                                 
    Pension Benefits     Other Benefits  
    2012     2011     2012     2011  

Funded status

   $ (561.7    $ (337.5    $ (282.6    $ (322.5

Amounts Recognized in Consolidated Balance Sheets

                               

Other assets

   $ 3.9      $ 14.7      $      $  

Other accrued liabilities

    (8.8     (8.7     (26.8     (27.5

Other noncurrent liabilities

    (556.8     (343.5     (255.8     (295.0
   

 

 

   

 

 

   

 

 

   

 

 

 

Net amount recognized

   $     (561.7    $     (337.5    $     (282.6    $     (322.5
   

 

 

   

 

 

   

 

 

   

 

 

 

Amounts Recognized in Accumulated Other Comprehensive (Income) Loss (Pre-tax)

                               

Actuarial net loss

   $ 332.0      $ 205.9      $ 80.5      $ 75.6  

Net prior service cost (benefit)

    17.9       15.7       (39.3     (12.2
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

   $ 349.9      $ 221.6      $ 41.2      $ 63.4  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted-Average Actuarial Assumptions Used to Determine Benefit Obligations At May 27, 2012 and May 29, 2011

                               

Discount rate

    4.50     5.30     3.90     4.90

Long-term rate of compensation increase

    4.25     4.25     N/A       N/A  

The accumulated benefit obligation for all defined benefit pension plans was $3.2 billion and $2.8 billion at May 27, 2012 and May 29, 2011, respectively.

The projected benefit obligation, accumulated benefit obligation, and fair value of plan assets for pension plans with accumulated benefit obligations in excess of plan assets at May 27, 2012 and May 29, 2011 were:

 

                 
    2012     2011  

Projected benefit obligation

  $     3,159.7     $     2,505.6  

Accumulated benefit obligation

    3,057.2       2,436.1  

Fair value of plan assets

    2,594.1       2,153.4  

 

Components of pension benefit and other postretirement benefit costs were:

 

                                                 
    Pension Benefits     Other Benefits  
    2012     2011     2010     2012     2011     2010  

Service cost

  $ 68.7     $ 59.7     $ 49.8     $ 0.6     $ 0.6     $ 0.5  

Interest cost

    149.2       147.5       148.1       13.2       16.3       18.3  

Expected return on plan assets

    (196.0     (168.0     (142.3           (0.1     (0.3

Amortization of prior service cost (benefit)

    3.0       3.2       3.2       (13.6     (9.6     (9.4

Settlement loss

                1.9                    

Special termination benefits

          1.3                          

Recognized net actuarial (gain) loss

    396.9       10.3       165.8       7.6       4.6       (0.1

Curtailment loss

                0.9                    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Benefit cost—Company plans

    421.8       54.0       227.4       7.8       11.8       9.0  

Pension benefit cost—multiemployer plans

    8.5       9.2       9.7                    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total benefit cost

  $     430.3     $     63.2     $     237.1     $     7.8     $     11.8     $     9.0  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Other changes in plan assets and benefit obligations recognized in other comprehensive (income) loss were:

 

                                 
    Pension Benefits     Other Benefits  
    2012     2011     2012     2011  

Net actuarial (gain) loss

  $ 521.4     $ (44.5   $ 12.4     $ 18.9  

Prior service cost (benefit)

    5.3       1.5       (40.6     (9.1

Amortization of prior service (cost) benefit

    (3.0     (3.2     13.6       9.6  

Recognized net actuarial loss

    (396.9     (10.3     (7.6     (4.6
   

 

 

   

 

 

   

 

 

   

 

 

 

Net amount recognized

  $     126.8     $     (56.5   $     (22.2   $     14.8  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted-Average Actuarial Assumptions

Used to Determine Net Expense

 

                                                 
    Pension Benefits     Other Benefits  
      2012         2011         2010         2012         2011         2010    

Discount rate

    5.30     5.80     6.90     4.30     5.40     6.60

Long-term rate of return on plan assets

    7.75     7.75     7.75     N/A       3.50     4.50

Long-term rate of compensation increase

    4.25     4.25     4.25     N/A       N/A       N/A  

We amortize prior service cost for our pension plans and postretirement plans, as well as amortizable gains and losses for our postretirement plans, in equal annual amounts over the average expected future period of vested service. For plans with no active participants, average life expectancy is used instead of average expected useful service.

The amounts in accumulated other comprehensive income (loss) expected to be recognized as components of net expense during the next year are as follows:

 

         
   

Pension Benefits

 

Other Benefits

Prior service cost (benefit)

  $                3.5   $              (8.2)

Net actuarial loss

  NA   7.8 

 

Plan Assets

The fair value of plan assets, summarized by level within the fair value hierarchy described in Note 21, as of May 27, 2012, were as follows:

 

                                 
    Level 1     Level 2     Level 3     Total  

Cash and cash equivalents

  $ 1.8     $ 319.8     $     $ 321.6  

Equity securities:

                               

U.S. equity securities

    616.2       7.3             623.5  

International equity securities

    395.1       126.7             521.8  

Fixed income securities:

                               

Government bonds

    99.9       160.6             260.5  

Corporate bonds

    9.5       199.1             208.6  

Mortgage-backed bonds

    82.4       70.3             152.7  

Real estate funds

    5.7             83.2       88.9  

Multi-strategy hedge funds

                379.1       379.1  

Private equity funds

                64.2       64.2  

Master limited partnerships

    137.5                   137.5  

Private energy funds

                1.6       1.6  

Net receivables for unsettled transactions

    6.6                   6.6  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $     1,354.7     $     883.8     $     528.1     $     2,766.6  
   

 

 

   

 

 

   

 

 

   

 

 

 

The fair value of plan assets, summarized by level within the fair value hierarchy described in Note 21, as of May 29, 2011, were as follows:

 

                                 
    Level 1     Level 2     Level 3     Total  

Cash and cash equivalents

  $ 2.7     $ 121.5     $     $ 124.2  

Equity securities:

                               

U.S. equity securities

    625.7       7.7             633.4  

International equity securities

    473.1       131.5             604.6  

Fixed income securities:

                               

Government bonds

    53.4       155.1             208.5  

Corporate bonds

    103.5       169.5             273.0  

Mortgage-backed bonds

    31.5       58.9             90.4  

Real estate funds

    7.8             70.3       78.1  

Multi-strategy hedge funds

                346.0       346.0  

Private equity funds

                56.0       56.0  

Master limited partnerships

    125.2                   125.2  

Net receivables for unsettled transactions

    4.5                   4.5  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $     1,427.4     $     644.2     $     472.3     $     2,543.9  
   

 

 

   

 

 

   

 

 

   

 

 

 

Level 1 assets are valued based on quoted prices in active markets for identical securities. The majority of the Level 1 assets listed above include the common stock of both U.S. and international companies, mutual funds, master limited partnership units, and real estate investment trusts, all of which are actively traded and priced in the market. Level 2 assets are valued based on other significant observable inputs including quoted prices for similar securities, yield curves, indices, etc. The Level 2 assets listed above consist primarily of commingled equity investments where values are based on the net asset value of the underlying investments held, individual fixed income securities where values are based on quoted prices of similar securities and observable market data, and commingled fixed income investments where values are based on the net asset value of the underlying investments held. Level 3 assets are those where the fair value is determined based on unobservable inputs. The Level 3 assets listed above consist of alternative investments where active market pricing is not readily available and, as such, we use net asset values as an estimate of fair value as a practical expedient. For real estate funds, the value is based on the net asset value provided by the investment manager who uses market data and independent third party appraisals to determine fair market value. For the multi-strategy hedge funds, the value is based on the net asset values provided by a third party administrator. For private equity and private energy funds, the investment manager provides the valuation using, among other things, comparable transactions, comparable public company data, discounted cash flow analysis, and market conditions.

Level 3 investments are generally considered long-term in nature with varying redemption availability. Certain of our Level 3 investments, with a fair value of approximately $462.0 million as of May 27, 2012, have the ability to impose customary redemption gates which may further restrict or limit the redemption of invested funds therein. As of May 27, 2012, Level 3 investments with a fair value of $4.5 million have imposed such gates.

As of May 27, 2012, we have unfunded commitments for additional investments of $23 million in the private equity funds, $23 million in the private energy funds, and $5 million in real estate funds. We expect unfunded commitments to be funded from plan assets rather than the general assets of the Company.

To develop the expected long-term rate of return on plan assets assumption for the pension plans, we consider the current asset allocation strategy, the historical investment performance, and the expectations for future returns of each asset class.

Our pension plan weighted-average asset allocations and our target asset allocations at May 27, 2012 and May 29, 2011, by asset category were as follows:

 

                                 
    May 27,
     2012    
   

 

  May 29,
     2011    
   

 

  Target
Allocation
 

Equity securities

    41         49         38

Debt securities

    23         22         22

Real estate funds

    3         3         6

Multi-strategy hedge funds

    14         14         15

Private equity

    2         2         7

Other

    17         10         12
   

 

 

       

 

 

   

 

 

 

 

 

Total

    100         100         100
   

 

 

       

 

 

   

 

 

 

 

 

The Company’s investment strategy reflects the expectation that equity securities will outperform debt securities over the long term. Assets are invested in a prudent manner to maintain the security of funds while maximizing returns within the Company’s Investment Policy guidelines. The strategy is implemented utilizing indexed and actively managed assets from the categories listed.

The investment goals are to provide a total return that, over the long term, increases the ratio of plan assets to liabilities subject to an acceptable level of risk. This is accomplished through diversification of assets in accordance with the Investment Policy guidelines. Investment risk is mitigated by periodic rebalancing between asset classes as necessitated by changes in market conditions within the Investment Policy guidelines.

 

Other investments are primarily made up of cash and master limited partnerships.

Level 3 Gains and Losses

The change in the fair value of the Plan’s Level 3 assets is summarized as follows:

 

                                 
    Fair Value
May 29,
2011
    Net Realized
and  Unrealized
Gains (Losses)
    Net,
Purchases
and Sales
    Fair Value
May  27,

2012
 

Real estate funds

    $ 70.3       $ 2.4       $ 10.6       $ 83.2  

Multi-strategy hedge funds

    346.0       38.2       (5.1     379.1  

Private equity

    56.0       2.5       5.7       64.2  

Private energy

          (0.5     2.0       1.6  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

    $     472.3       $     42.6       $       13.2       $     528.1  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

                                 
    Fair Value
May  30,

2010
    Net Realized
and  Unrealized
Gains (Losses)
    Net,
Purchases
and Sales
    Fair Value
May  29,

2011
 

Real estate funds

    $ 61.4       $ 7.5       $ 1.4       $ 70.3  

Multi-strategy hedge funds

    22.1       34.1       289.8       346.0  

Private equity

    39.1       8.1       8.8       56.0  

Contracts with insurance companies

    31.2       (2.4     (28.8      
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

    $     153.8       $       47.3       $     271.2       $     472.3  
   

 

 

   

 

 

   

 

 

   

 

 

 

Assumed health care cost trend rates have a significant effect on the benefit obligation of the postretirement plans.

 

                 

Assumed Health Care Cost Trend Rates at:

  May 27,
2012
    May 29,
2011
 

Initial health care cost trend rate

    7.5     7.5

Ultimate health care cost trend rate

    5.0     5.0

Year that the rate reaches the ultimate trend rate

    2016       2016  

A one percentage point change in assumed health care cost rates would have the following effect:

 

                 
    One  Percent
Increase
    One  Percent
Decrease
 

Effect on total service and interest cost

  $         0.6     $         (0.5

Effect on postretirement benefit obligation

    14.8       (13.3

We currently anticipate making contributions of approximately $19.7 million to our company-sponsored pension plans in fiscal 2013. This estimate is based on current tax laws, plan asset performance, and liability assumptions, which are subject to change. We anticipate making contributions of $30.9 million to the postretirement plans in fiscal 2013.

 

The following table presents estimated future gross benefit payments and Medicare Part D subsidy receipts for our plans:

 

                         
    Pension
Benefits
    Health Care and Life
Insurance
 
    Benefit
Payments
    Subsidy
Receipts
 

2013

  $         154.2     $         31.1     $         (3.8

2014

    158.4       28.6       (3.2

2015

    163.2       28.1       (3.2

2016

    168.4       27.5       (3.2

2017

    174.2       26.6       (3.1

Succeeding 5 years

    966.1       115.9       (13.0

Multiemployer Pension Plans

The Company contributes to several multiemployer defined benefit pension plans under collective bargaining agreements that cover certain of its union-represented employees. The risks of participating in such plans are different from the risks of single-employer plans, in the following respects:

 

  a) Assets contributed to a multiemployer plan by one employer may be used to provide benefits to employees of other participating employers.

 

  b) If a participating employer ceases to contribute to the plan, the unfunded obligations of the plan may be borne by the remaining participating employers.

 

  c) If the Company ceases to have an obligation to contribute to a multiemployer plan in which it had been a contributing employer, it may be required to pay to the plan an amount based on the underfunded status of the plan and on the history of the Company’s participation in the plan prior to the cessation of its obligation to contribute. The amount that an employer that has ceased to have an obligation to contribute to a multiemployer plan is required to pay to the plan is referred to as a withdrawal liability.

The Company’s participation in multiemployer plans for the fiscal year ended May 27, 2012 is outlined in the table below. For each plan that is individually significant to the Company the following information is provided:

 

   

The “EIN / PN” column provides the Employer Identification Number and the three-digit plan number assigned to a plan by the Internal Revenue Service.

 

   

The most recent Pension Protection Act Zone Status available for 2011 and 2010 is for plan years that ended in calendar years 2011 and 2010, respectively. The zone status is based on information provided to the Company by each plan. A plan in the “red” zone has been determined to be in “critical status”, based on criteria established under the Internal Revenue Code (“Code”), and is generally less than 65% funded. A plan in the “yellow” zone has been determined to be in “endangered status”, based on criteria established under the Code, and is generally less than 80% funded. A plan in the “green” zone has been determined to be neither in “critical status” nor in “endangered status”, and is generally at least 80% funded.

 

   

The “FIP/RP Status Pending/Implemented” column indicates whether a Funding Improvement Plan, as required under the Code to be adopted by plans in the “yellow” zone, or a Rehabilitation Plan, as required under the Code to be adopted by plans in the “red” zone, is pending or has been implemented by the plan as of the end of the plan year that ended in calendar year 2011.

 

   

Contributions by the Company are the amounts contributed in the Company’s fiscal periods ending in the specified year.

 

   

The “Surcharge Imposed” column indicates whether the Company contribution rate for its fiscal year that ended on May 27, 2012 included an amount in addition to the contribution rate specified in the applicable collective bargaining agreement, as imposed by a plan in “critical status”, in accordance with the requirements of the Code.

 

   

The last column lists the expiration dates of the collective bargaining agreements pursuant to which the Company contributes to the plans.

For plans that are not individually significant to ConAgra Foods the total amount of contributions is presented in the aggregate.

 

                                     
          Pension Protection Act
Zone Status
 

FIP /

RP Status

Pending /

Implemented

 

Contributions by

the Company

(millions)

       Expiration
Dates of
Collective
Bargaining
Agreements
Pension Fund   EIN / PN   2011   2010     FY12   FY11   FY10   Surcharge
Imposed
 
Bakery and Confectionary Union and Industry International Pension Plan   52-6118572

/ 001

  Green

12/31/2011-
went to
RED status
3/30/2012

  Green
12/31/2010
  No   $1.3   $1.1   $1.0   No   8/14/2011
to
2/28/2013
Central States, Southeast and Southwest Areas Pension Fund   36-6044243

/ 001

  Red
12/31/2011
  Red

12/31/2010

  Implemented   1.2   1.8   1.7   No   6/1/2014
Western Conference of Teamsters Pension Plan   91-6145047

/ 001

  Green
12/31/2011
  Green
12/31/2010
  N/A   5.2   5.4   6.2   No   07/01/2012
to
05/31/2013

Other Plans

  0.8   0.9   0.8        

Total Contributions

  $8.5   $9.2   $9.7        

On January 11, 2012, a significant contributor to the Bakery and Confectionary Union and Industry International Pension Fund (“Fund”), announced that it had filed voluntary petitions for reorganization under Chapter 11 of the U.S. Bankruptcy Code. It is also stated it plans to modify its labor agreements in order to emerge from Chapter 11 with a new cost structure. It is not yet clear what impact these actions will have on the amount of its Fund withdrawal liability. As such, the effect of the bankruptcy on our future contributions or withdrawal liability is not yet known and cannot be reasonably estimated as of May 27, 2012.

The Company was not listed in the Forms 5500 filed by any of the plans to which it contributes as providing more than 5% of the plan’s total contributions for plan years ending in calendar years 2010 or 2009. At the date our financial statements were issued, Forms 5500 were not available for plan years ending in calendar year 2011.

Certain of our employees are covered under defined contribution plans. The expense related to these plans was $24.2 million, $21.2 million, and $22.8 million in fiscal 2012, 2011, and 2010, respectively.

XML 58 R100.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Change in Plan Assets      
Fair value of plan assets at beginning of year $ 2,543.9    
Investment and administrative expenses (1,997.7) (1,509.9) (1,987.7)
Fair value of plan assets at end of year 2,766.6 2,543.9  
Pension Benefits [Member]
     
Change in Benefit Obligation      
Benefit obligation at beginning of year 2,881.4 2,614.1  
Service cost 68.7 59.7 49.8
Interest cost 149.2 147.5 148.1
Amendments 5.3 1.5  
Actuarial loss 337.5 190.9  
Special termination benefits   1.3  
Benefits paid (138.8) (133.6)  
Business combination 25.0    
Benefit obligation at ending of year 3,328.3 2,881.4 2,614.1
Change in Plan Assets      
Fair value of plan assets at beginning of year 2,543.9 2,144.6  
Actual return on plan assets 24.8 418.3  
Employer contributions 326.4 129.4  
Investment and administrative expenses (14.2) (14.8)  
Benefits paid (138.8) (133.6)  
Business combination 24.5    
Fair value of plan assets at end of year 2,766.6 2,543.9 2,144.6
Other Benefits [Member]
     
Change in Benefit Obligation      
Benefit obligation at beginning of year 322.6 324.9  
Service cost 0.6 0.6 0.5
Interest cost 13.2 16.3 18.3
Plan participants' contributions 6.7 6.9  
Amendments (40.6) (9.0)  
Actuarial loss 11.6 19.4  
Benefits paid (36.0) (36.5)  
Business combination 4.6    
Benefit obligation at ending of year 282.7 322.6 324.9
Change in Plan Assets      
Fair value of plan assets at beginning of year 0.1 4.0  
Employer contributions 29.3 25.7  
Plan participants' contributions 6.7 6.9  
Benefits paid (36.0) (36.5)  
Fair value of plan assets at end of year $ 0.1 $ 0.1 $ 4.0
XML 59 R56.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Details 3) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Summary of income tax expense (benefit) on components of other comprehensive income (loss)      
Net derivative adjustment $ (52.7) $ (4.2) $ 0.1
Unrealized losses on available-for-sale securities (0.1) (0.1)  
Pension and postretirement healthcare liabilities $ (35.4) $ 15.8 $ (40.0)
XML 60 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
Other Noncurrent Liabilities (Tables)
12 Months Ended
May 27, 2012
Other Noncurrent Liabilities [Abstract]  
Other noncurrent liabilities
                     
    May 27, 2012         May 29, 2011  

Postretirement health care and pension obligations

  $     846.5         $     674.1  

Noncurrent income tax liabilities

    693.5           770.5  

Environmental liabilities (see Note 18)

    71.2           70.2  

Other

    283.5           287.0  
   

 

 

       

 

 

 
      1,894.7           1,801.8  

Less current portion

    (72.6         (65.7
   

 

 

       

 

 

 
    $ 1,822.1         $ 1,736.1  
   

 

 

       

 

 

 
XML 61 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Business Segments and Related Information
12 Months Ended
May 27, 2012
Business Segments and Related Information [Abstract]  
BUSINESS SEGMENTS AND RELATED INFORMATION

22.  BUSINESS SEGMENTS AND RELATED INFORMATION

We report our operations in two reporting segments: Consumer Foods and Commercial Foods. The Consumer Foods reporting segment includes branded, private label, and customized food products, which are sold in various retail and foodservice channels, principally in North America. The products include a variety of categories (meals, entrees, condiments, sides, snacks, and desserts) across frozen, refrigerated, and shelf-stable temperature classes. The Commercial Foods reporting segment includes commercially branded foods and ingredients, which are sold principally to foodservice, food manufacturing, and industrial customers. The Commercial Foods segment’s primary products include: specialty potato products, milled grain ingredients, a variety of vegetable products, seasonings, blends, and flavors which are sold under brands such as Lamb Weston®, ConAgra Mills ®, and Spicetec Flavors & Seasonings TM. We do not aggregate operating segments when determining our reporting segments.

 

Intersegment sales have been recorded at amounts approximating market. Operating profit for each of the segments is based on net sales less all identifiable operating expenses. General corporate expense, net interest expense, and income taxes have been excluded from segment operations. In the first quarter of fiscal 2012, we changed the manner in which the expenses associated with certain administrative functions are recognized in segment results. In 2012, we also changed our accounting method for pension. Accordingly, segment results of the prior periods have been reclassified to reflect these changes.

 

                                 
    2012    

 

  2011    

 

  2010  

Net sales

                               

Consumer Foods

  $     8,376.8         $     8,002.0         $     7,939.7  

Commercial Foods

    4,885.8           4,301.1           4,075.2  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Total net sales

  $ 13,262.6         $ 12,303.1         $ 12,014.9  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Operating profit

                               

Consumer Foods

  $ 1,053.3         $ 1,126.4         $ 1,061.8  

Commercial Foods

    546.3           509.5           543.3  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Total operating profit

  $ 1,599.6         $ 1,635.9         $ 1,605.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Equity method investment earnings

                               

Consumer Foods

  $ 4.9         $ 5.7         $ 5.2  

Commercial Foods

    40.0           20.7           16.9  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Total equity method investment earnings

  $ 44.9         $ 26.4         $ 22.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Operating profit plus equity method investment earnings

                               

Consumer Foods

  $ 1,058.2         $ 1,132.1         $ 1,067.0  

Commercial Foods

    586.3           530.2           560.2  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Total operating profit plus equity method investment
earnings

  $ 1,644.5         $ 1,662.3         $ 1,627.2  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

General corporate expenses

  $ (770.4       $ (232.3       $ (544.2

Interest expense, net

    (204.0         (177.5         (160.4

Income tax expense

    (195.8         (421.6         (292.3
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Income from continuing operations

    474.3           830.9           630.3  

Less: Income (loss) attributable to noncontrolling
interests

    6.5           1.8           (2.5
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Income from continuing operations attributable to
ConAgra Foods, Inc.

  $ 467.8         $ 829.1         $ 632.8  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

 

 

                         
    2012         2011         2010      

Identifiable assets

                       

Consumer Foods

    $     8,220.9         $     7,277.3         $     7,065.0    

Commercial Foods

    2,384.9         2,466.8         2,230.7    

Corporate

    836.1         1,664.6         2,135.0    

Held for sale

    —         —         307.3    
   

 

 

   

 

 

   

 

 

 

Total

    $ 11,441.9         $ 11,408.7         $ 11,738.0    
   

 

 

   

 

 

   

 

 

 

Additions to property, plant and equipment

                       

Consumer Foods

    $ 169.3         $ 208.7         $ 277.4    

Commercial Foods

    97.4         187.0         158.6    

Corporate

    70.0         70.5         46.3    
   

 

 

   

 

 

   

 

 

 

Total

    $ 336.7         $ 466.2         $ 482.3    
   

 

 

   

 

 

   

 

 

 

Depreciation and amortization

                       

Consumer Foods

    $ 193.6         $ 180.3         $ 148.6    

Commercial Foods

    94.6         87.6         78.4    

Corporate

    83.6         93.0         97.1    
   

 

 

   

 

 

   

 

 

 

Total

    $ 371.8         $ 360.9         $ 324.1    
   

 

 

   

 

 

   

 

 

 

Net sales by product type within each segment were:

 

                         
    2012         2011         2010      

Net sales

                       

Consumer Foods:

                       

Grocery

    $     3,358.0         $     3,258.7         $     3,381.8    

Frozen

    1,990.6         1,965.2         1,846.7    

Snacks

    1,237.6         1,209.8         1,229.3    

International

    841.5         714.2         659.4    

Store Brands

    631.9         528.8         454.7    

Other Brands

    317.2         325.3         367.8    
   

 

 

   

 

 

   

 

 

 

Total Consumer Foods

    $ 8,376.8         $ 8,002.0         $ 7,939.7    
   

 

 

   

 

 

   

 

 

 

Commercial Foods:

                       

Specialty Potatoes

    $ 2,631.0         $ 2,375.3         $ 2,277.6    

Milled Products

    1,804.9         1,520.5         1,413.3    

Seasonings, Blends, and Flavors

    449.9         405.3         384.3    
   

 

 

   

 

 

   

 

 

 

Total Commercial Foods

    $ 4,885.8         $ 4,301.1         $ 4,075.2    
   

 

 

   

 

 

   

 

 

 

Total net sales

    $ 13,262.6         $ 12,303.1         $ 12,014.9    
   

 

 

   

 

 

   

 

 

 

 

Presentation of Derivative Gains (Losses) for Economic Hedges of Forecasted Cash Flows in Segment Results

Derivatives used to manage commodity price risk and foreign currency risk are not designated for hedge accounting treatment. We believe these derivatives provide economic hedges of certain forecasted transactions. As such, these derivatives (except those related to our milling operations, see Note 19) are recognized at fair market value with realized and unrealized gains and losses recognized in general corporate expenses. The gains and losses are subsequently recognized in the operating results of the reporting segments in the period in which the underlying transaction being economically hedged is included in earnings.

The following table presents the net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk of certain forecasted transactions, under this methodology:

 

                 
    Fiscal Year Ended  
    May 27,
2012
    May 29,
2011
 

Net derivative gains (losses) incurred

    $     (66.8)        $     35.1    

Less: Net derivative gains allocated to reporting segments

    24.4         0.6    
   

 

 

   

 

 

 

Net derivative gains (losses) recognized in general corporate expenses

    $ (91.2)        $ 34.5    
   

 

 

   

 

 

 

Net derivative gains allocated to Consumer Foods

    $ 24.9         $ 3.6    

Net derivative losses allocated to Commercial Foods

    (0.5)        (3.0)   
   

 

 

   

 

 

 

Net derivative gains included in segment operating profit

    $ 24.4         $ 0.6    
   

 

 

   

 

 

 

Based on our forecasts of the timing of recognition of the underlying hedged items, we expect to reclassify losses of $46.6 million and $12.3 million to segment operating results in fiscal 2013 and 2014 and thereafter, respectively. Amounts allocated, or to be allocated, to segment operating results during fiscal 2012 and thereafter include $32.3 million of net gains recognized prior to fiscal 2012.

At May 27, 2012, ConAgra Foods and its subsidiaries had approximately 26,100 employees, primarily in the United States. Approximately 42% of our employees are parties to collective bargaining agreements. Of the employees subject to collective bargaining agreements, approximately 43% are parties to collective bargaining agreements that are scheduled to expire during fiscal 2013.

Our operations are principally in the United States. With respect to operations outside of the United States, no single foreign country or geographic region was significant with respect to consolidated operations for fiscal 2012, 2011, and 2010. Foreign net sales, including sales by domestic segments to customers located outside of the United States, were approximately $1.6 billion, $1.3 billion, and $1.2 billion in fiscal 2012, 2011, and 2010, respectively. Our long-lived assets located outside of the United States are not significant.

Our largest customer, Wal-Mart Stores, Inc. and its affiliates, accounted for approximately 17%, 18%, and 18% of consolidated net sales for fiscal 2012, 2011, and 2010, respectively, primarily in the Consumer Foods segment.

Wal-Mart Stores, Inc. and its affiliates accounted for approximately 15% of consolidated net receivables as of both May 27, 2012 and May 29, 2011, primarily in the Consumer Foods segment.

 

XML 62 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Quarterly Financial Data (Unaudited)
12 Months Ended
May 27, 2012
Quarterly Financial Data [Abstract]  
QUARTERLY FINANCIAL DATA (Unaudited)

23. QUARTERLY FINANCIAL DATA (Unaudited)

 

                                                                 
    2012 (1)     2011 (1)  
    First
Quarter (3)
    Second
Quarter (4)
    Third
Quarter (5)
    Fourth
Quarter
    First
Quarter (6)
    Second
Quarter (7)
    Third
Quarter (8)
    Fourth
Quarter (9)
 

Net sales

    $     3,072.0         $     3,403.9         $     3,373.1         $     3,413.6         $     2,804.3         $     3,147.5         $     3,141.3         $     3,210.0    

Gross profit

    598.7         757.3         790.0         680.9         651.3         760.0         797.3         704.9    

Income (loss) from discontinued operations, net of tax

    0.1         —         —         —         3.0         0.6         (10.6)        (4.5)   

Net income (loss) attributable to ConAgra Foods, Inc.

    93.8         180.2         280.1         (86.2)        148.2         202.7         216.6         250.1    

Earnings per share (2):

                                                               

Basic earnings per share:

                                                               

Income (loss) from continuing operations attributable to ConAgra Foods, Inc. common stockholders

    $ 0.23         $ 0.43         $ 0.68         $ (0.21)        $ 0.32         $ 0.46         $ 0.54         $ 0.62    

Income (loss) from discontinued operations attributable to ConAgra Foods, Inc. common stockholders

    —         —         —         —         0.01         —         (0.03)        (0.01)   
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss) attributable to ConAgra Foods, Inc. common stockholders

    $ 0.23         $ 0.43         $ 0.68         $ (0.21)        $ 0.33         $ 0.46         $ 0.51         $ 0.61    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Diluted earnings per share:

                                                               

Income (loss) from continuing operations attributable to ConAgra Foods, Inc. common stockholders

    $ 0.22         $ 0.43         $ 0.67         $ (0.21)        $ 0.32         $ 0.46       $ 0.52         $ 0.61    

Income (loss) from discontinued operations attributable to ConAgra Foods, Inc. common stockholders

    —         —         —         —         0.01         —         (0.02)        (0.01)   
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss) attributable to ConAgra Foods, Inc. common stockholders

    $ 0.22         $ 0.43         $ 0.67         $ (0.21)        $ 0.33         $ 0.46         $ 0.50         $ 0.60    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Dividends declared per common share

    $ 0.23         $ 0.24         $ 0.24         $ 0.24         $ 0.20         $ 0.23         $ 0.23         $ 0.23    

Share price:

                                                               

High

    $ 26.53         $ 25.95         $ 27.18         $ 26.75         $ 25.23         $ 22.95         $ 23.58         $ 25.58    

Low

    22.72         22.99         24.31         25.11         21.36         21.14         21.48         22.48    

 

(1) Amounts differ from previously filed quarterly reports due to the adoption of a change in accounting method for pension during the fourth quarter of fiscal 2012. See additional detail in Note 1.

 

(2) Basic and diluted earnings per share are calculated independently for each of the quarters presented. Accordingly, the sum of the quarterly earnings per share amounts may not agree with the total year.

 

(3) For the quarter ended August 28, 2011, the retrospective change in accounting method for pension increased net income by $8.5 million and earnings per share, basic and diluted by $0.02.

 

(4) For the quarter ended November 27, 2011, the retrospective change in accounting method for pension increased net income by $8.4 million and earnings per share, basic and diluted by $0.02.

 

(5) For the quarter ended February 26, 2012, the retrospective change in accounting method for pension increased net income by $8.5 million and earnings per share, basic and diluted by $0.02.

 

(6) For the quarter ended August 29, 2010, the retrospective change in accounting method for pension increased net income by $1.8 million.

 

 

(7) For the quarter ended November 28, 2010, the retrospective change in accounting method for pension increased net income by $1.8 million and diluted earnings per share by $0.01.

 

(8) For the quarter ended February 27, 2011, the retrospective change in accounting method for pension increased net income by $1.8 million and basic earnings per share by $0.01.

 

(9) For the quarter ended May 29, 2011, the retrospective change in accounting method for pension decreased net income by $4.8 million and earnings per share, basic and diluted by $0.01.
XML 63 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Cash Flows (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Cash flows from operating activities:      
Net income $ 474.4 $ 819.4 $ 611.0
Income (loss) from discontinued operations 0.1 (11.5) (19.3)
Income from continuing operations 474.3 830.9 630.3
Adjustments to reconcile income from continuing operations to net cash flows from operating activities:      
Depreciation and amortization 371.8 360.9 324.1
Gain on sale of businesses     (14.3)
Gain on acquisition of controlling interest in Agro Tech Foods Ltd. (58.7)    
Asset impairment charges 8.6 19.8 64.4
Impairment charges related to Garner accident     31.5
Insurance recoveries recognized related to Garner accident   (109.4) (58.1)
Receipts from insurance carriers related to Garner accident   64.5 50.2
Earnings of affiliates less than (in excess of) distributions (17.6) (13.1) 8.5
Share-based payments expense 41.8 44.8 55.8
Proceeds from settlement of interest rate swaps   31.5  
Pension expense 421.8 54.0 227.4
Contributions to Company pension plans (326.4) (129.4) (122.6)
Non-cash interest income on payment-in-kind notes     (67.9)
Receipt of interest on payment-in-kind notes earned in prior years   102.8 6.2
Gain on collection of payment-in-kind note   (25.0)  
Other items (including noncurrent deferred income taxes) (11.3) 212.9 (25.4)
Change in operating assets and liabilities excluding effects of business acquisitions and dispositions:      
Accounts receivable (4.3) 2.8 (90.1)
Inventories 14.9 (190.7) 199.6
Prepaid expenses and other current assets 7.5 31.6 (20.0)
Accounts payable 82.1 185.0 73.9
Accrued payroll 48.4 (139.2) 96.9
Other accrued liabilities (3.2) 5.3 59.6
Net cash flows from operating activities - continuing operations 1,049.7 1,340.0 1,430.0
Net cash flows from operating activities - discontinued operations 2.3 12.3 42.7
Net cash flows from operating activities 1,052.0 1,352.3 1,472.7
Cash flows from investing activities:      
Additions to property, plant and equipment (336.7) (466.2) (482.3)
Purchase of businesses, net of cash acquired (635.2) (131.1) (103.5)
Receipts from insurance carriers related to Garner accident   18.0 34.8
Purchase of secured loan (39.6)    
Sale of property, plant and equipment 9.7 18.9 88.4
Purchase of intangible assets (62.5) (18.0) (3.0)
Proceeds from collection of payment-in-kind notes   412.5 91.9
Sale of businesses     21.7
Net cash flows from investing activities - continuing operations (1,064.3) (165.9) (352.0)
Net cash flows from investing activities - discontinued operations   254.8 (3.3)
Net cash flows from investing activities (1,064.3) 88.9 (355.3)
Cash flows from financing activities:      
Net short-term borrowings 40.0    
Repayment of long-term debt (363.6) (294.3) (15.8)
Repurchase of ConAgra Foods common shares (352.4) (825.0) (100.0)
Cash dividends paid (388.6) (374.5) (346.7)
Exercise of stock options and issuance of other stock awards 213.2 59.7 54.7
Other items 1.8 2.1 3.9
Net cash flows from financing activities - continuing operations (849.6) (1,432.0) (403.9)
Net cash flows from financing activities - discontinued operations   (0.1) (0.6)
Net cash flows from financing activities (849.6) (1,432.1) (404.5)
Effect of exchange rate changes on cash and cash equivalents (7.5) 10.1 (2.9)
Net change in cash and cash equivalents (869.4) 19.2 710.0
Cash and cash equivalents at beginning of Year 972.4 953.2 243.2
Cash and cash equivalents at end of Year $ 103.0 $ 972.4 $ 953.2
XML 64 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Valuation and Qualifying Accounts
12 Months Ended
May 27, 2012
Valuation and Qualifying Accounts [Abstract]  
Valuation and Qualifying Accounts

Valuation and Qualifying Accounts

For the Fiscal Years ended May 27, 2012, May 29, 2011, and May 30, 2010

(Dollars in millions)

 

                                         

Description

  Balance at
Beginning
of Period
    Additions
Charged

to Costs  and
Expenses
    Other     Deductions
from
Reserves
    Balance at
Close of
Period
 

Year ended May 27, 2012

                                       

Allowance for doubtful receivables

  $ 7.8       1.0       2.2 (1)      5.1 (2)    $ 5.9  

Year ended May 29, 2011

                                       

Allowance for doubtful receivables

  $ 8.5       0.2             0.9 (2)    $ 7.8  

Year ended May 30, 2010

                                       

Allowance for doubtful receivables

  $       13.8       1.1             6.4 (2)    $       8.5  

 

(1) Primarily allowances acquired through fiscal 2012 business acquisitions.
(2) Bad debts charged off, less recoveries.
XML 65 R83.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Payments (Details)
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Weighted average Black-Scholes assumptions for stock options granted      
Expected volatility (%) 22.89% 22.83% 22.94%
Dividend yield (%) 3.97% 3.51% 3.77%
Risk-free interest rates (%) 1.38% 1.72% 2.31%
Expected life of stock option (years) 4 years 9 months 4 years 9 months 26 days 4 years 9 months
XML 66 R114.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Details) (Fair Value, Measurements, Recurring [Member], USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
Assets:    
Derivative assets $ 58.7 $ 71.5
Available-for-sale securities 1.6 1.7
Deferred compensation assets 5.8 7.4
Total assets 66.1 80.6
Liabilities:    
Derivative liabilities 215.4 92.2
Deferred and share-based compensation liabilities 27.1 29.1
Total liabilities 242.5 121.3
Level 1 [Member]
   
Assets:    
Derivative assets 13.8 16.3
Available-for-sale securities 1.6 1.7
Deferred compensation assets 5.8 7.4
Total assets 21.2 25.4
Liabilities:    
Deferred and share-based compensation liabilities 27.1 29.1
Total liabilities 27.1 29.1
Level 2 [Member]
   
Assets:    
Derivative assets 44.9 55.2
Total assets 44.9 55.2
Liabilities:    
Derivative liabilities 215.4 92.2
Total liabilities 215.4 92.2
Level 3 [Member]
   
Assets:    
Derivative assets      
Available-for-sale securities      
Deferred compensation assets      
Total assets      
Liabilities:    
Derivative liabilities      
Deferred and share-based compensation liabilities      
Total liabilities      
XML 67 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Other Identifiable Intangible Assets (Tables)
12 Months Ended
May 27, 2012
Goodwill and Other Identifiable Intangible Assets [Abstract]  
Change in the carrying amount of goodwill
                                 
    Consumer
Foods
        Commercial
Foods
        Total  

Balance as of May 30, 2010

  $   3,421.3         $   128.6         $   3,549.9  

Acquisitions

    51.5                     51.5  

Translation and other

    6.9           1.1           8.0  
   

 

 

       

 

 

       

 

 

 

Balance as of May 29, 2011

  $ 3,479.7         $ 129.7         $ 3,609.4  
   

 

 

       

 

 

       

 

 

 

Acquisitions

    418.8                     418.8  

Translation and other

    (11.8         (1.0         (12.8
   

 

 

       

 

 

       

 

 

 

Balance as of May 27, 2012

  $ 3,886.7         $ 128.7         $ 4,015.4  
   

 

 

       

 

 

       

 

 

 
Other identifiable intangible assets
                                             
    2012         2011  
    Gross
Carrying
Amount
        Accumulated
Amortization
        Gross
Carrying
Amount
        Accumulated
Amortization
 

Non-amortizing intangible assets

  $ 947.7         $         $ 771.2         $  

Amortizing intangible assets

    313.8           70.0           213.9           48.8  
   

 

 

       

 

 

       

 

 

       

 

 

 

Total

  $     1,261.5         $     70.0         $     985.1         $     48.8  
   

 

 

       

 

 

       

 

 

       

 

 

 
XML 68 R53.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Details)
12 Months Ended
May 27, 2012
Land improvements [Member] | Maximum [Member]
 
Property plant and equipment estimated useful lives of respective classes of assets  
Property, Plant and Equipment, Useful Life 40 years
Land improvements [Member] | Minimum [Member]
 
Property plant and equipment estimated useful lives of respective classes of assets  
Property, Plant and Equipment, Useful Life 1 year
Buildings [Member] | Maximum [Member]
 
Property plant and equipment estimated useful lives of respective classes of assets  
Property, Plant and Equipment, Useful Life 40 years
Buildings [Member] | Minimum [Member]
 
Property plant and equipment estimated useful lives of respective classes of assets  
Property, Plant and Equipment, Useful Life 15 years
Machinery and equipment [Member] | Maximum [Member]
 
Property plant and equipment estimated useful lives of respective classes of assets  
Property, Plant and Equipment, Useful Life 20 years
Machinery and equipment [Member] | Minimum [Member]
 
Property plant and equipment estimated useful lives of respective classes of assets  
Property, Plant and Equipment, Useful Life 3 years
Furniture, fixtures, office equipment and other [Member] | Maximum [Member]
 
Property plant and equipment estimated useful lives of respective classes of assets  
Property, Plant and Equipment, Useful Life 15 years
Furniture, fixtures, office equipment and other [Member] | Minimum [Member]
 
Property plant and equipment estimated useful lives of respective classes of assets  
Property, Plant and Equipment, Useful Life 5 years
XML 69 R72.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Other Identifiable Intangible Assets (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Goodwill and Other Identifiable Intangible Assets (Additional Textual) [Abstract]      
Weighted average life in years of amortizing intangible assets 14 years    
Recognized amortization expense $ 21.1 $ 17.8 $ 7.8
Estimated amortization expense, maximum 23.9    
Estimated amortization expense average over the next five years 21.4    
Estimated amortization expense, minimum 20.1    
Marie Callender Trademark [Member] | Consumer foods [Member]
     
Goodwill and Other Identifiable Intangible Assets (Textual) [Abstract]      
Acquired intangible assets $ 57.5    
XML 70 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Earnings (USD $)
In Millions, except Per Share data, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Consolidated Statements of Earnings [Abstract]      
Net sales $ 13,262.6 $ 12,303.1 $ 12,014.9
Costs and expenses:      
Cost of goods sold 10,435.7 9,389.6 8,966.3
Selling, general and administrative expenses 1,997.7 1,509.9 1,987.7
Interest expense, net 204.0 177.5 160.4
Income from continuing operations before income taxes and equity method investment earnings 625.2 1,226.1 900.5
Income tax expense 195.8 421.6 292.3
Equity method investment earnings 44.9 26.4 22.1
Income from continuing operations 474.3 830.9 630.3
Income (loss) from discontinued operations, net of tax 0.1 (11.5) (19.3)
Net income 474.4 819.4 611.0
Less: Net income (loss) attributable to noncontrolling interests 6.5 1.8 (2.5)
Net income attributable to ConAgra Foods, Inc. $ 467.9 $ 817.6 $ 613.5
Earnings per share - basic      
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders $ 1.13 $ 1.92 $ 1.43
Loss from discontinued operations attributable to ConAgra Foods, Inc. common stockholders   $ (0.02) $ (0.05)
Net income attributable to ConAgra Foods, Inc. common stockholders $ 1.13 $ 1.90 $ 1.38
Earnings per share - diluted      
Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders $ 1.12 $ 1.90 $ 1.41
Loss from discontinued operations attributable to ConAgra Foods, Inc. common stockholders   $ (0.02) $ (0.04)
Net income attributable to ConAgra Foods, Inc. common stockholders $ 1.12 $ 1.88 $ 1.37
XML 71 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Payments (Tables)
12 Months Ended
May 27, 2012
Share-Based Payments [Abstract]  
Weighted average Black-Scholes assumptions for stock options granted
                         
    2012     2011     2010  

Expected volatility (%)

    22.89       22.83       22.94  

Dividend yield (%)

    3.97       3.51       3.77  

Risk-free interest rates (%)

    1.38       1.72       2.31  

Expected life of stock option (years)

    4.75       4.82       4.75  
Summary of the option activity
                                     

Options

      Number
of Options
(in Millions)
    Weighted
Average
Exercise
Price
    Average
Remaining
Contractual
Term
(Years)
    Aggregate
Intrinsic
Value (in
Millions)
 

Outstanding at May 29, 2011

        35.1     $     22.81                  

Granted

        4.1     $ 26.15                  

Exercised

        (9.9   $ 21.97             $     41.5  

Forfeited

        (0.9   $ 23.67                  

Expired

        (0.7   $ 25.73                  
       

 

 

                         

Outstanding at May 27, 2012

        27.7     $ 23.51       3.76     $ 60.6  
       

 

 

                         

Exercisable at May 27, 2012

        19.0     $ 23.33       3.02     $ 45.4  
       

 

 

                         
Changes in nonvested share units
                     

Share Units

     

Share Units

(in millions)

    Weighted
Average
Grant-Date
Fair Value
 

Nonvested share units at May 29, 2011

        3.25     $     19.56  

Granted

        1.81     $ 26.11  

Vested/Issued

        (0.91   $ 19.06  

Forfeited

        (0.32   $ 20.64  
       

 

 

         

Nonvested share units at May 27, 2012

        3.83     $ 21.43  
       

 

 

         
Summary of the activity for performance share awards
                     

Performance Shares

 

 

  Shares
(in  Millions)
    Weighted
Average
Grant-Date
Fair Value
 

Nonvested performance shares at May 29, 2011

        1.37     $     20.42  

Granted

        0.51     $ 26.11  

Adjustments for performance results attained

        0.16     $ 20.48  

Vested/Issued

        (0.60   $ 20.48  

Forfeited

        (0.17   $ 22.24  
       

 

 

         

Nonvested performance shares at May 27, 2012

        1.27     $ 22.44  
       

 

 

         
XML 72 R96.htm IDEA: XBRL DOCUMENT v2.4.0.6
Contingencies (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
May 27, 2012
May 29, 2011
Feb. 22, 2009
May 27, 2012
Hogs
May 31, 2012
Contingencies (Textual) [Abstract]          
Reserves for Beatrice environmental matters $ 71.2 $ 70.2   $ 71.2  
Additional Contingencies (Textual) [Abstract]          
Maximum period of guarantee under leases and other commercial obligations guarantee agreement       4 years  
Minimum quantity of hogs to be purchased under hog purchase agreement through 2013       1,200,000  
Face value of federal income tax credits 21.2     21.2  
Dispute coverage charge with insurance carrier     24.8    
Loan principal and accrued interest 40     40  
Term of loan under certain agreement years       11 years  
Loan purchase under agreement 41     41  
Recognized charges in connection with peanut butter matters       17.5  
Amount receive on opinion related to defense costs   11.8      
Claim amount for disputed coverage 25        
Amount of compensatory damage between company and Westside         78
Amount of punitive damage against company         100
Accrued deductible amount         3
Beatrice [Member]
         
Contingencies (Textual) [Abstract]          
Number of sites under environmental matters for which acquired company has a liability       36  
Number of sites under environmental matters for which acquired company is making payments       32  
Reserves for Beatrice environmental matters 70.0     70.0  
Maximum period expected for disbursements on environmental matters       18 years  
Leases and other commercial obligations guarantee [Member]
         
Contingencies (Textual) [Abstract]          
Guarantee obligation under purchase agreement 10.9     10.9  
Potato supply agreement guarantee [Member]
         
Contingencies (Textual) [Abstract]          
Amount of supplier loans effectively guaranteed 43.6     43.6  
Onion supply agreement guarantee [Member]
         
Contingencies (Textual) [Abstract]          
Guarantee obligation under purchase agreement $ 25.0     $ 25.0  
XML 73 R113.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details Textual) (USD $)
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Sep. 08, 2011
Pension and Postretirement Benefits (Textual) [Abstract]        
Expenses related to the defined contribution plans $ 24,200,000 $ 21,200,000 $ 22,800,000  
Discount rate   4.90%   4.30%
Calculated gains as a result of the remeasurement recognized as a credit to other comprehensive loss 27,600,000      
Reduction in net expense related to benefit retirement plan 5,200,000      
Maximum [Member]
       
Pension and Postretirement Benefits (Additional Textual) [Abstract]        
Red zone multiemployer plans funded percentage 65.00%      
Yellow zone multiemployer plans funded percentage 80.00%      
Minimum [Member]
       
Pension and Postretirement Benefits (Additional Textual) [Abstract]        
Green zone multiemployer plan funded percentage 80.00%      
Percentage of plan's total contribution under Forms 5500 5.00%      
Level 3 [Member]
       
Pension and Postretirement Benefits (Additional Textual) [Abstract]        
Fair value investments ability to impose customary redemption gates 462,000,000      
Fair value investments impose customary redemption gates 4,500,000      
Pension Benefits [Member]
       
Pension and Postretirement Benefits (Additional Textual) [Abstract]        
Accumulated benefit obligation 3,200,000,000 2,800,000,000    
Contribution to pension plan and other postretirement plans 19,700,000      
Pension and Postretirement Benefits (Textual) [Abstract]        
Discount rate 4.50% 5.30%    
Calculated gains as a result of the remeasurement recognized as a credit to other comprehensive loss (332,000,000) (205,900,000)    
Other Benefits [Member]
       
Pension and Postretirement Benefits (Additional Textual) [Abstract]        
Contribution to pension plan and other postretirement plans 30,900,000      
Pension and Postretirement Benefits (Textual) [Abstract]        
Discount rate 3.90% 4.90%    
Calculated gains as a result of the remeasurement recognized as a credit to other comprehensive loss (80,500,000) (75,600,000)    
Private equity [Member]
       
Pension and Postretirement Benefits (Additional Textual) [Abstract]        
Unfunded commitment for additional investment 23,000,000      
Private energy funds [Member]
       
Pension and Postretirement Benefits (Additional Textual) [Abstract]        
Unfunded commitment for additional investment 23,000,000      
Real estate funds [Member]
       
Pension and Postretirement Benefits (Additional Textual) [Abstract]        
Unfunded commitment for additional investment $ 5,000,000      
XML 74 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Common Stockholders' Equity (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
May 27, 2012
Feb. 26, 2012
Nov. 27, 2011
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
May 27, 2012
May 29, 2011
May 30, 2010
Beginning balance       $ 4,676.7         $ 4,676.7 $ 4,897.1 $ 4,689.1
Stock option and incentive plans                 255.5 105.0 110.7
Currency translation adjustment, net of reclassification adjustment                 (56.4) 45.7 (3.7)
Repurchase of common shares                 (352.4) (825.0) (100.0)
Unrealized loss on securities                 (0.1) (0.1)  
Derivative adjustment, net of reclassification adjustment                 (89.1) (7.2) 0.2
Activities of noncontrolling interests                 (0.2) 0.1 3.0
Pension and postretirement healthcare liabilities, net of tax                 (66.7) 23.6 (65.8)
Dividends declared on common stock; $0.79 per share,$0.89 per share,$0.95 per share.                 (391.8) (380.1) (349.9)
Net income (loss) attributable to ConAgra Foods, Inc. (86.2) 280.1 180.2 93.8 250.1 216.6 202.7 148.2 467.9 817.6 613.5
Ending Balance 4,536.0       4,676.7       4,536.0 4,676.7 4,897.1
Common Stock
                     
Beginning balance                     2,835.9
Opening balance, shares                     567.2
Stock option and incentive plans                     3.8
Stock option and incentive plans, shares                     0.7
Ending Balance 2,839.7       2,839.7       2,839.7 2,839.7 2,839.7
Ending Balance, shares 567.9       567.9       567.9 567.9 567.9
Additional Paid-in Capital
                     
Beginning balance       899.1         899.1 897.5 884.4
Stock option and incentive plans                 3.9 3.5 15.1
Activities of noncontrolling interests                 (1.5) (1.9) (2.0)
Ending Balance 901.5       899.1       901.5 899.1 897.5
Retained Earnings
                     
Beginning balance       4,690.3         4,690.3 4,253.2 3,990.9
Stock option and incentive plans                 (1.3) (0.4) (1.3)
Dividends declared on common stock; $0.79 per share,$0.89 per share,$0.95 per share.                 (391.8) (380.1) (349.9)
Net income (loss) attributable to ConAgra Foods, Inc.                 467.9 817.6 613.5
Ending Balance 4,765.1       4,690.3       4,765.1 4,690.3 4,253.2
Accumulated Other Comprehensive Income (Loss)
                     
Beginning balance       (91.2)         (91.2) (153.2) (83.9)
Currency translation adjustment, net of reclassification adjustment                 (52.0) 45.7 (3.7)
Unrealized loss on securities                 (0.1) (0.1)  
Derivative adjustment, net of reclassification adjustment                 (89.1) (7.2) 0.2
Pension and postretirement healthcare liabilities, net of tax                 (66.7) 23.6 (65.8)
Ending Balance (299.1)       (91.2)       (299.1) (91.2) (153.2)
Treasury Stock
                     
Beginning balance       (3,668.2)         (3,668.2) (2,945.1) (2,938.2)
Stock option and incentive plans                 252.9 101.9 93.1
Repurchase of common shares                 (352.4) (825.0) (100.0)
Ending Balance (3,767.7)       (3,668.2)       (3,767.7) (3,668.2) (2,945.1)
Noncontrolling Interest
                     
Beginning balance       7.0         7.0 5.0 0
Currency translation adjustment, net of reclassification adjustment                 (4.4)    
Activities of noncontrolling interests                 1.3 2.0 5.0
Ending Balance $ 96.5       $ 7.0       $ 96.5 $ 7.0 $ 5.0
XML 75 R94.htm IDEA: XBRL DOCUMENT v2.4.0.6
Operating Leases (Details) (USD $)
In Millions, unless otherwise specified
May 27, 2012
Summary of non-cancellable operating lease  
2013 $ 82.8
2014 72.6
2015 62.5
2016 52.4
2017 39.0
Later years 140.7
Operating leases, total $ 450.0
XML 76 R59.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discontinued Operations and Divestitures (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended 1 Months Ended
May 30, 2010
May 29, 2011
Frozen handhelds operations [Member]
May 29, 2011
Gilroy foods & flavors [Member]
May 30, 2010
Gilroy foods & flavors [Member]
Feb. 28, 2010
Lucks [Member]
Discontinued Operations and Divestitures (Textual) [Abstract]          
Consideration of divestiture of business $ 21.7 $ 8.8   $ 245.7 $ 22.0
Impairment and related charges before tax (31.5) 21.7   59.2  
Impairment and related charges after tax   14.2   39.9  
Period of purchase certain ingredients at prices approximating market rates     5 years    
Pre-tax gains from disposal of businesses 14.3       14.3
After-tax gains from sale of businesses         $ 9.0
XML 77 R99.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Financial Instruments (Details Textual) (USD $)
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Derivative Financial Instruments (Textual) [Abstract]      
Hedge period for the anticipated consumption of commodity inputs Up to 36 Months    
Net notional amount of interest rate derivatives $ 500,000,000    
Net gain recognized on interest rate swap contracts   23,000,000 8,500,000
Net loss recognized on senior long-term debt   29,700,000 5,100,000
Proceeds from settlement of interest rate swaps 31,500,000    
Unamortized amount of debt instruments being hedged 17,700,000    
Amounts representing a right to reclaim cash collateral included in prepaid expenses and other current assets 13,200,000 7,800,000  
Maximum amount of loss due to the credit risk of the counterparties 44,900,000    
Foreign currency options collar contracts [Member]
     
Derivatives Fair Value [Abstract]      
Net notional value of foreign currency derivatives 0 86,400,000  
Forward and cross currency swaps contracts [Member]
     
Derivatives Fair Value [Abstract]      
Net notional value of foreign currency derivatives 455,700,000 292,700,000  
Open commodity sales contracts [Member]
     
Derivatives Fair Value [Abstract]      
Notional value of open commodity contracts 1,300,000,000 1,200,000,000  
Open commodity purchase contracts [Member]
     
Derivatives Fair Value [Abstract]      
Notional value of open commodity contracts 1,900,000,000 1,000,000,000  
Cash Flow Hedging [Member]
     
Derivatives Fair Value [Abstract]      
Unrealized loss associated with derivative deferred in accumulated other comprehensive loss $ 153,900,000    
XML 78 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discontinued Operations and Divestitures (Tables)
12 Months Ended
May 27, 2012
Discontinued Operations and Divestitures [Abstract]  
Comparative financial results of the discontinued operations
                                 
    2012         2011         2010  

Net sales

  $         0.5         $         92.4         $         355.2  
   

 

 

       

 

 

       

 

 

 

Long-lived asset impairment charge

              (21.7         (58.3

Income (loss) from operations of discontinued operations before income taxes

    0.1           (18.6         (38.9
   

 

 

       

 

 

       

 

 

 

Income (loss) before income taxes

    0.1           (18.6         (38.9

Income tax benefit

              7.1           19.6  
   

 

 

       

 

 

       

 

 

 

Income (loss) from discontinued operations, net of tax

  $ 0.1         $ (11.5       $ (19.3
   

 

 

       

 

 

       

 

 

 
XML 79 R65.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring Activities (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended 36 Months Ended
May 27, 2012
May 31, 2012
Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost $ 18.4  
Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 18.8  
Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 83.2  
2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 67.5 67.5
Accelerated depreciation [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 8.5  
Accelerated depreciation [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 1.5  
Accelerated depreciation [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 22.4  
Accelerated depreciation [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   19.1
Inventory write-offs and related costs [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 11.6  
Inventory write-offs and related costs [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   0.7
Cost of goods sold [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 8.5  
Cost of goods sold [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 34.0  
Cost of goods sold [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   19.8
Asset impairment charge [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 27.3  
Asset impairment charge [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   17.5
Severance and related costs [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 9.9  
Severance and related costs [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 8.8  
Severance and related costs [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 9.8  
Severance and related costs [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   16.8
Other, net [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 8.5  
Other, net [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 12.1  
Other, net [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   13.4
Selling, general and administrative expenses [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 9.9  
Selling, general and administrative expenses [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 18.8  
Selling, general and administrative expenses [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 49.2  
Selling, general and administrative expenses [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   47.7
Consumer foods [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 18.4  
Consumer foods [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 13.5  
Consumer foods [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 67.2  
Consumer foods [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   63.9
Consumer foods [Member] | Accelerated depreciation [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 8.5  
Consumer foods [Member] | Accelerated depreciation [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 22.4  
Consumer foods [Member] | Accelerated depreciation [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   19.1
Consumer foods [Member] | Inventory write-offs and related costs [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 11.2  
Consumer foods [Member] | Inventory write-offs and related costs [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   0.7
Consumer foods [Member] | Cost of goods sold [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 8.5  
Consumer foods [Member] | Cost of goods sold [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 33.6  
Consumer foods [Member] | Cost of goods sold [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   19.8
Consumer foods [Member] | Asset impairment charge [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 13.3  
Consumer foods [Member] | Asset impairment charge [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   17.5
Consumer foods [Member] | Severance and related costs [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 9.9  
Consumer foods [Member] | Severance and related costs [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 6.5  
Consumer foods [Member] | Severance and related costs [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 9.7  
Consumer foods [Member] | Severance and related costs [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   16.8
Consumer foods [Member] | Other, net [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 7.0  
Consumer foods [Member] | Other, net [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 10.6  
Consumer foods [Member] | Other, net [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   9.8
Consumer foods [Member] | Selling, general and administrative expenses [Member] | Acquisition-related restructuring [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 9.9  
Consumer foods [Member] | Selling, general and administrative expenses [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 13.5  
Consumer foods [Member] | Selling, general and administrative expenses [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 33.6  
Consumer foods [Member] | Selling, general and administrative expenses [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   44.1
Commercial foods [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 1.3  
Commercial foods [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 16.0  
Commercial foods [Member] | Inventory write-offs and related costs [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 0.4  
Commercial foods [Member] | Cost of goods sold [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 0.4  
Commercial foods [Member] | Asset impairment charge [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 14.0  
Commercial foods [Member] | Severance and related costs [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 0.1  
Commercial foods [Member] | Other, net [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 1.3  
Commercial foods [Member] | Other, net [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 1.5  
Commercial foods [Member] | Selling, general and administrative expenses [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 1.3  
Commercial foods [Member] | Selling, general and administrative expenses [Member] | Network optimization plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 15.6  
Corporate [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 4.0  
Corporate [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   3.6
Corporate [Member] | Accelerated depreciation [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 1.5  
Corporate [Member] | Severance and related costs [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 2.3  
Corporate [Member] | Other, net [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 0.2  
Corporate [Member] | Other, net [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   3.6
Corporate [Member] | Selling, general and administrative expenses [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost 4.0  
Corporate [Member] | Selling, general and administrative expenses [Member] | 2010 plan [Member]
   
Summary of expected realization of restructuring pre tax expenses    
Restructuring and related cost, expected cost   $ 3.6
XML 80 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Capital Stock
12 Months Ended
May 27, 2012
Capital Stock [Abstract]  
CAPITAL STOCK

14.  CAPITAL STOCK

We have authorized shares of preferred stock as follows:

Class B—$50 par value; 150,000 shares

Class C—$100 par value; 250,000 shares

Class D—without par value; 1,100,000 shares

Class E—without par value; 16,550,000 shares

There were no preferred shares issued or outstanding as of May 27, 2012.

We have repurchased our shares of common stock from time to time after considering market conditions and in accordance with repurchase limits authorized by our Board of Directors. In February 2010, our Board of Directors approved a $500.0 million share repurchase program with no expiration date. Upon receipt of payment for the final two outstanding tranches of the Notes from the purchaser of the trading and merchandising business, during fiscal 2011, our Board of Directors increased our share repurchase authorization by the amount of the payment, which was $554.2 million. In December 2011, our Board of Directors approved a $750.0 million increase to the share repurchase program. We repurchased approximately 13.8 million shares of our common stock for approximately $352.4 million, 36.2 million shares of our common stock for approximately $825.0 million, and approximately 4.0 million shares of our common stock for approximately $100.0 million in fiscal 2012, 2011, and 2010, respectively, under this program.

XML 81 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
Acquisitions (Tables)
12 Months Ended
May 27, 2012
Acquisitions [Abstract]  
Pro forma Results
                         
    For the Fiscal Years Ended May  
    2012     2011     2010  

Pro forma net sales

  $     13,749.7     $     12,979.1     $     12,653.5  

Pro forma net income

  $ 497.7     $ 873.6     $ 667.3  

Pro forma net income from continuing operations per share-basic

  $ 1.21     $ 2.03     $ 1.50  

Pro forma net income from continuing operations per share-diluted

  $ 1.19     $ 2.01     $ 1.49  
XML 82 R98.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Financial Instruments (Details 1) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk      
Total gain from derivative instruments not designated as hedging instruments $ 66.1 $ 32.1 $ 152.1
Commodity Contracts [Member] | Cost of goods sold [Member]
     
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk      
Total gain from derivative instruments not designated as hedging instruments 52.1 58.1 149.0
Commodity Contracts [Member] | Selling, general and administrative expenses [Member]
     
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk      
Total gain from derivative instruments not designated as hedging instruments (0.1) 2.1  
Foreign Exchange Contracts [Member] | Cost of goods sold [Member]
     
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk      
Total gain from derivative instruments not designated as hedging instruments 5.4 (20.2) 0.5
Foreign Exchange Contracts [Member] | Selling, general and administrative expenses [Member]
     
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk      
Total gain from derivative instruments not designated as hedging instruments 8.7 (7.9)  
Others [Member] | Selling, general and administrative expenses [Member]
     
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and the foreign currency risk      
Total gain from derivative instruments not designated as hedging instruments     $ 2.6
XML 83 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pre-Tax Income and Income Taxes
12 Months Ended
May 27, 2012
Pre-Tax Income and Income Taxes [Abstract]  
PRE-TAX INCOME AND INCOME TAXES

16.  PRE-TAX INCOME AND INCOME TAXES

Pre-tax income from continuing operations (including equity method investment earnings) consisted of the following:

 

                                 
    2012         2011         2010  

United States

  $         492.6         $         1,177.7         $         856.0  

Foreign

    177.5           74.8           66.6  
   

 

 

       

 

 

       

 

 

 
    $ 670.1         $ 1,252.5         $ 922.6  
   

 

 

       

 

 

       

 

 

 

 

The provision for income taxes included the following:

 

                                     
        2012    

 

  2011    

 

  2010  

Current

                                   

Federal

      $     163.9         $     157.3         $     259.0  

State

        23.7           21.0           27.5  

Foreign

        27.5           11.9           14.4  
       

 

 

       

 

 

       

 

 

 
          215.1           190.2           300.9  

Deferred

                                   

Federal

        (13.4         219.2           (8.5

State

        (5.2         9.8           (6.5

Foreign

        (0.7         2.4           6.4  
       

 

 

       

 

 

       

 

 

 
          (19.3         231.4           (8.6
       

 

 

       

 

 

       

 

 

 
        $ 195.8         $ 421.6         $ 292.3  
       

 

 

       

 

 

       

 

 

 

Income taxes computed by applying the U.S. Federal statutory rates to income from continuing operations before income taxes are reconciled to the provision for income taxes set forth in the consolidated statements of earnings as follows:

 

                                     
    

 

  2012         2011         2010  

Computed U.S. Federal income taxes

      $     232.2         $     438.3         $     322.9  

State income taxes, net of U.S. Federal tax impact

        12.0           20.0           15.7  

Tax credits and domestic manufacturing deduction

        (20.5         (27.5         (27.3

Foreign tax credits and related items, net

        (0.6         (0.2         (4.3

IRS audit adjustments and settlement

        0.8           0.5           (17.4

Non-taxable gain from investment in ATFL

        (20.5                    

Change in valuation allowance

        (7.1         2.1           (4.6

Other

        (0.5         (11.6         7.3  
       

 

 

       

 

 

       

 

 

 
        $ 195.8         $ 421.6         $ 292.3  
       

 

 

       

 

 

       

 

 

 

Income taxes paid, net of refunds, were $191.5 million, $172.3 million, and $290.5 million in fiscal 2012, 2011, and 2010, respectively.

 

The tax effect of temporary differences and carryforwards that give rise to significant portions of deferred tax assets and liabilities consisted of the following:

 

                                                 
        2012   2011  
        Assets         Liabilities         Assets         Liabilities  

Property, plant and equipment

      $         $ 488.1         $         $ 452.3  

Goodwill, trademarks and other intangible assets

                  681.3                     642.7  

Accrued expenses

        25.4                     15.9            

Compensation related liabilities

        74.7                     66.2            

Pension and other postretirement benefits

        310.7                     230.9            

Derivative cash flow hedge

        57.2                     4.4            

Other liabilities that will give rise to future tax deductions

        115.2                     121.5            

Net operating loss carryforwards

        42.7                     52.1            

Other

        67.4           31.4           46.4           24.1  
       

 

 

       

 

 

       

 

 

       

 

 

 
          693.3           1,200.8           537.4           1,119.1  

Less: Valuation allowance

        (43.7                   (50.8          
       

 

 

       

 

 

       

 

 

       

 

 

 

Net deferred taxes

      $     649.6         $     1,200.8         $     486.6         $     1,119.1  
       

 

 

       

 

 

       

 

 

       

 

 

 

At May 27, 2012 and May 29, 2011, net deferred tax assets of $106.3 million and $93.4 million, respectively, were included in prepaid expenses and other current assets. At May 27, 2012 and May 29, 2011, net deferred tax liabilities of $657.5 million and $725.9 million, respectively, were included in other noncurrent liabilities.

The liability for gross unrecognized tax benefits at May 27, 2012 was $48.7 million, excluding a related liability of $14.0 million for gross interest and penalties. Included in the balance at May 27, 2012 were $3.1 million of tax positions for which the ultimate deductibility is highly certain but for which there is uncertainty about the timing of such deductibility. Because of the impact of deferred tax accounting, the disallowance of the shorter deductibility period would not affect the annual effective tax rate but would accelerate the payment of cash to the taxing authority to an earlier period. Any associated interest and penalties imposed would affect the tax rate. As of May 29, 2011, our gross liability for unrecognized tax benefits was $56.5 million, excluding a related liability of $14.7 million for gross interest and penalties.

The net amount of unrecognized tax benefits at May 27, 2012 and May 29, 2011 that, if recognized, would favorably impact our effective tax rate was $30.3 million and $35.7 million, respectively.

We accrue interest and penalties associated with uncertain tax positions as part of income tax expense.

We conduct business and file tax returns in numerous countries, states, and local jurisdictions. The U.S. Internal Revenue Service (“IRS”) has completed its audit for tax years through fiscal 2009 and all resulting significant items for fiscal 2009 and prior years have been settled with the IRS. Other major jurisdictions where we conduct business generally have statutes of limitations ranging from 3 to 5 years.

We estimate that it is reasonably possible that the amount of gross unrecognized tax benefits will decrease by up to $9 million over the next twelve months due to various federal, state, and foreign audit settlements and the expiration of statutes of limitations.

 

The change in the unrecognized tax benefits for the year ended May 27, 2012 was:

 

         
    2012  

Beginning balance on May 29, 2011

  $       56.5  

Increases from positions established during prior periods

    1.2  

Decreases from positions established during prior periods

    (0.4

Increases from positions established during the current period

    4.3  

Decreases relating to settlements with taxing authorities

    (6.7

Reductions resulting from lapse of applicable statute of limitation

    (6.1

Other adjustments to liability

    (0.1
   

 

 

 

Ending balance on May 27, 2012

  $ 48.7  
   

 

 

 

We have approximately $62.7 million of foreign net operating loss carryforwards ($40.9 million expire between fiscal 2013 and 2033 and $21.7 million have no expiration dates). Substantially all of our foreign tax credits will expire in fiscal 2018. State tax credits of approximately $16.7 million expire in various years ranging from fiscal 2013 to 2017.

We have recognized a valuation allowance for the portion of the net operating loss carryforwards, tax credit carryforwards, and other deferred tax assets we believe are not more likely than not to be realized. The net impact on income tax expense related to changes in the valuation allowance for fiscal 2012 was a benefit of $7.1 million. For fiscal 2011 and 2010, changes in the valuation allowance were a charge of $2.1 million and a benefit of $4.6 million, respectively. The current year change principally relates to decreases to the valuation allowances for foreign net operating losses, offset by increases related to state net operating losses and credits.

As of May 27, 2012, undistributed earnings of the Company’s foreign subsidiaries amounted to approximately $400 million. Those earnings are considered to be indefinitely reinvested and accordingly, no U.S. federal income taxes have been provided thereon. We have not provided U.S. deferred taxes on cumulative earnings of non-U.S. affiliates and associated companies that the Company considers to be reinvested indefinitely. It is not practicable to estimate the amount of U.S. income taxes that would be incurred in the event that we were to repatriate the cumulative earnings of non-U.S. affiliates and associated companies. Deferred taxes are provided for earnings of non-U.S. affiliates and associated companies when we determine that such earnings are no longer indefinitely reinvested.

During the fourth quarter of fiscal 2012, we determined that, upon adoption of accounting guidance for income taxes in 1993, we failed to establish deferred income tax liabilities for the difference between the book bases and income tax bases of a certain subset of our brands that had been acquired as part of a business combination completed in 1990. Accordingly, we have retrospectively corrected our consolidated balance sheets and consolidated statements of common stockholders’ equity by increasing noncurrent liabilities and decreasing retained earnings by $31.8 million for all periods presented.

XML 84 R68.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring Activities (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended 36 Months Ended 12 Months Ended 18 Months Ended
May 27, 2012
Acquisition-related restructuring [Member]
May 27, 2012
Administrative efficiency restructuring plan [Member]
May 27, 2012
2010 plan [Member]
May 29, 2011
2010 plan [Member]
May 30, 2010
2010 plan [Member]
May 31, 2012
2010 plan [Member]
May 27, 2012
Network optimization plan [Member]
May 27, 2012
Network optimization plan [Member]
Restructuring Activities (Textual) [Abstract]                
Restructuring and related cost, expected cost $ 18.4 $ 18.8 $ 67.5     $ 67.5 $ 83.2  
Restructuring and Related Cost, Incurred Cost 4.5 16.7         41.8 72.4
Expenses that have resulted or will result in cash outflows 9.9 17.3 28.3       26.0  
Non-cash expenses 8.5 1.5 39.2       57.2  
Costs incurred and charged to expense $ 4.3 $ 16.3 $ 2.6 $ 25.7 $ 39.2   $ 11.3  
XML 85 R108.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 8) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
Change in the fair value of the Plan assets    
Fair Value, Beginning Balance $ 472.3 $ 153.8
Net Realized and Unrealized Gains (Losses) 42.6 47.3
Net, Purchases and Sales 13.2 271.2
Fair Value, Ending Balance 528.1 472.3
Real estate funds [Member]
   
Change in the fair value of the Plan assets    
Fair Value, Beginning Balance 70.3 61.4
Net Realized and Unrealized Gains (Losses) 2.4 7.5
Net, Purchases and Sales 10.6 1.4
Fair Value, Ending Balance 83.2 70.3
Multi-strategy hedge funds [Member]
   
Change in the fair value of the Plan assets    
Fair Value, Beginning Balance 346.0 22.1
Net Realized and Unrealized Gains (Losses) 38.2 34.1
Net, Purchases and Sales (5.1) 289.8
Fair Value, Ending Balance 379.1 346.0
Private equity [Member]
   
Change in the fair value of the Plan assets    
Fair Value, Beginning Balance 56.0 39.1
Net Realized and Unrealized Gains (Losses) 2.5 8.1
Net, Purchases and Sales 5.7 8.8
Fair Value, Ending Balance 64.2 56.0
Private energy [Member]
   
Change in the fair value of the Plan assets    
Net Realized and Unrealized Gains (Losses) (0.5)  
Net, Purchases and Sales 2.0  
Fair Value, Ending Balance 1.6  
Contracts with Insurance Companies [Member]
   
Change in the fair value of the Plan assets    
Fair Value, Beginning Balance   31.2
Net Realized and Unrealized Gains (Losses)   (2.4)
Net, Purchases and Sales   $ (28.8)
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XML 87 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Common Stockholders' Equity (Parenthetical) (USD $)
3 Months Ended 12 Months Ended
May 27, 2012
Feb. 26, 2012
Nov. 27, 2011
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
May 27, 2012
May 29, 2011
May 30, 2010
Dividends declared per common share $ 0.24 $ 0.24 $ 0.24 $ 0.23 $ 0.23 $ 0.23 $ 0.23 $ 0.20 $ 0.95 $ 0.89 $ 0.79
Retained Earnings
                     
Dividends declared per common share                 $ 0.95 $ 0.89 $ 0.79
XML 88 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Comprehensive Income (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Consolidated Statements of Comprehensive Income [Abstract]      
Net income $ 474.4 $ 819.4 $ 611.0
Other comprehensive income (loss):      
Derivative adjustment, net of reclassification adjustment (89.1) (7.2) 0.2
Unrealized losses on available-for-sale securities, net of tax (0.1) (0.1)  
Currency translation adjustment:      
Unrealized translation gains (losses) (62.4) 47.3 (3.7)
Reclassification adjustment for losses (gains) included in net income 6.0 (1.6)  
Pension and postretirement healthcare liabilities, net of tax (66.7) 23.6 (65.8)
Comprehensive income 262.1 881.4 541.7
Comprehensive income (loss) attributable to noncontrolling interests 2.1 1.8 (2.5)
Comprehensive income attributable to ConAgra Foods, Inc. $ 260.0 $ 879.6 $ 544.2
XML 89 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share
12 Months Ended
May 27, 2012
Earnings Per Share [Abstract]  
EARNINGS PER SHARE

9.  EARNINGS PER SHARE

Basic earnings per share is calculated on the basis of weighted average outstanding common shares. Diluted earnings per share is computed on the basis of basic weighted average outstanding common shares adjusted for the dilutive effect of stock options, restricted stock awards, and other dilutive securities.

 

The following table reconciles the income and average share amounts used to compute both basic and diluted earnings per share:

 

                                 
    2012         2011         2010  

Net Income available to ConAgra Foods, Inc. common stockholders:

                               

Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders

  $     467.8         $     829.1         $     632.8  

Income (loss) from discontinued operations, net of tax, attributable to ConAgra Foods, Inc. common stockholders

    0.1           (11.5         (19.3
   

 

 

       

 

 

       

 

 

 

Net income attributable to ConAgra Foods, Inc. common stockholders

    467.9           817.6           613.5  

Less: Increase in redemption value of noncontrolling interests in excess of earnings allocated

    (1.5         (1.9         (1.5
   

 

 

       

 

 

       

 

 

 

Net income available to ConAgra Foods, Inc. common stockholders

  $ 466.4         $ 815.7         $ 612.0  
   

 

 

       

 

 

       

 

 

 

Weighted Average Shares Outstanding:

                               

Basic weighted average shares outstanding

    412.9           429.7           443.6  

Add: Dilutive effect of stock options, restricted stock awards, and other dilutive securities

    5.4           4.6           3.5  
   

 

 

       

 

 

       

 

 

 

Diluted weighted average shares outstanding

    418.3           434.3           447.1  
   

 

 

       

 

 

       

 

 

 

At the end of fiscal 2012, 2011, and 2010, there were 11.3 million, 15.8 million, and 18.8 million stock options outstanding, respectively, that were excluded from the computation of shares contingently issuable upon exercise of the stock options because exercise prices exceeded the annual average market value of our common stock.

XML 90 R103.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 3) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
Pension Benefits [Member]
   
Other changes in plan assets and benefit obligations recognized in other comprehensive (income) loss    
Net actuarial (gain) loss $ 521.4 $ (44.5)
Prior service cost (benefit) 5.3 1.5
Amortization of prior service (cost) benefit (3.0) (3.2)
Recognized net actuarial (loss) (396.9) (10.3)
Net amount recognized 126.8 (56.5)
Other Benefits [Member]
   
Other changes in plan assets and benefit obligations recognized in other comprehensive (income) loss    
Net actuarial (gain) loss 12.4 18.9
Prior service cost (benefit) (40.6) (9.1)
Amortization of prior service (cost) benefit 13.6 9.6
Recognized net actuarial (loss) (7.6) (4.6)
Net amount recognized $ (22.2) $ 14.8
XML 91 R93.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pre- Tax Income and Income Taxes (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Pre Tax Income and Income Taxes (Textual) [Abstract]      
Income taxes paid, net of refunds $ 191.5 $ 172.3 $ 290.5
Net deferred tax Assets, included in prepaid expenses and other current assets 106.3 93.4  
Net deferred tax liabilities, included in other noncurrent liabilities 657.5 725.9  
Gross unrecognized tax benefits 48.7 56.5  
Unrecognized liabilities for gross interest and penalties 14.0 14.7  
Unrecognized tax benefits with uncertainty of timing of deductibility 3.1    
Unrecognized tax benefits that would favorably impact effective tax rate 30.3 35.7  
Statutes of limitations in other major jurisdictions 3 to 5 years    
Estimated decrease in gross unrecognized tax benefits, maximum 9    
Foreign net operating loss carryforwards 62.7    
Foreign net operating loss carryforwards (expiring between 2013 to 2033) 40.9    
Foreign net operating loss carryforwards with no expiration dates 21.7    
State tax credits 16.7    
Impact on income tax expense related to changes to valuation allowance 7.1    
Charges related to change in valuation allowance   2.1 4.6
Undistributed earnings of foreign subsidiaries 400    
Retrospective effect on financials with increase in noncurrent liabilities and decrease in retained earnings $ 31.8    
XML 92 R91.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pre- Tax Income and Income Taxes (Details 3) (USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
Tax effect of temporary differences and carryforwards    
Property, plant and equipment $ 488.1 $ 452.3
Goodwill, trademarks and other intangible assets 681.3 642.7
Accrued expenses 25.4 15.9
Compensation related liabilities 74.7 66.2
Pension and other postretirement benefits 310.7 230.9
Derivative cash flow hedge 57.2 4.4
Other liabilities that will give rise to future tax deductions 115.2 121.5
Net operating loss carryforwards 42.7 52.1
Other assets 67.4 46.4
Other Liabilities 31.4 24.1
Deferred tax liabilities gross 1,200.8 1,119.1
Deferred Tax Assets, Gross, Total 693.3 537.4
Less: Valuation allowance (43.7) (50.8)
Net deferred taxes Assets, Total 649.6 486.6
Net deferred taxes Liabilities, Total $ 1,200.8 $ 1,119.1
XML 93 R122.htm IDEA: XBRL DOCUMENT v2.4.0.6
Valuation and Qualifying Accounts (Details) (Allowance for Doubtful Accounts [Member], USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Allowance for Doubtful Accounts [Member]
     
Valuation and Qualifying Accounts      
Balance at Beginning of Period $ 7.8 $ 8.5 $ 13.8
Additions Charged to Costs and Expenses 1.0 0.2 1.1
Deductions from Reserves 5.1 0.9 6.4
Other 2.2    
Balance at Close of Period $ 5.9 $ 7.8 $ 8.5
XML 94 R119.htm IDEA: XBRL DOCUMENT v2.4.0.6
Business Segments and Related Information (Details Textual) (USD $)
12 Months Ended
May 27, 2012
Segment
Employee
May 29, 2011
May 30, 2010
Business Segments and Related Information (Textual) [Abstract]      
2013 $ 46,600,000    
2014 and after 12,300,000    
Derivative gain (loss) of previous year to be reclassified to segment operating results 32,300,000    
Percentage of consolidated net sales in consumer food segment accounted by Wal-Mart Stores, Inc. and its affiliates 17.00% 18.00% 18.00%
Percentage of consolidated net receivables in commercial foods accounted by Wal-Mart Stores, Inc. and its affiliates 15.00% 15.00%  
Number of reportable segments 2    
Number of employees 26,100    
Percentage of employees in party to collective bargaining agreements 42.00%    
Percentage of employees in party to collective bargaining agreements schedule to expire in next year 43.00%    
Foreign net sales, including sales by domestic segments to customers $ 1,600,000,000 $ 1,300,000,000 $ 1,200,000,000
XML 95 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information (USD $)
12 Months Ended
May 27, 2012
Jun. 24, 2012
Nov. 25, 2011
Document and Entity Information [Abstract]      
Entity Registrant Name CONAGRA FOODS INC /DE/    
Entity Central Index Key 0000023217    
Document Type 10-K    
Document Period End Date May 27, 2012    
Amendment Flag false    
Document Fiscal Year Focus 2012    
Document Fiscal Period Focus FY    
Current Fiscal Year End Date --05-27    
Entity Well-known Seasoned Issuer Yes    
Entity Voluntary Filers No    
Entity Current Reporting Status Yes    
Entity Filer Category Large Accelerated Filer    
Entity Public Float     $ 9,865,276,377
Entity Common Stock, Shares Outstanding   407,683,921  
XML 96 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Inventories
12 Months Ended
May 27, 2012
Inventories [Abstract]  
INVENTORIES

10.  INVENTORIES

The major classes of inventories are as follows:

 

                     
    2012         2011  

Raw materials and packaging

  $ 563.8         $ 639.5  

Work in progress

    96.5           83.1  

Finished goods

    1,122.4           992.9  

Supplies and other

    86.9           87.9  
   

 

 

       

 

 

 

Total

  $     1,869.6         $     1,803.4  
   

 

 

       

 

 

 
XML 97 R80.htm IDEA: XBRL DOCUMENT v2.4.0.6
Senior Long-Term Debt, Subordinated Debt and Loan Agreements (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 3.25%    
Proceed from issued Senior Notes $ 2,938.8 $ 3,274.8  
Repayment of debt 363.6 294.3 15.8
Senior Long-Term Debt Subordinated Debt and Loan Agreements (Additional Textual) [Abstract]      
Debt of consolidated variable interest entities 30.1 43.5  
Interest paid from continuing and discontinued operations 211.9 231.7 244.3
Reduction of net interest expense due to impact of interest rate swap contracts 9.9 14.5 1.2
Proceeds from termination of interest rate swap contract   31.5  
Increase in interest expense due to the net impact of previously closed interest rate swap agreements 0.2 1.0 0.7
Percentage of consolidated capital base if exceeded by funded debt than repay borrowings as per multi-year revolving credit facility 65.00%    
Fixed charges coverage if range in than repay borrowings as per multi-year revolving credit facility 1.75 to 1.0    
8.25% senior debt due September 2030 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 8.25%    
7.0% senior debt due October 2028 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 7.00%    
6.7% senior debt due August 2027 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 6.70%    
7.125% senior debt due October 2026 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 7.125%    
7.0% senior debt due April 2019 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 7.00%    
5.819% senior debt due June 2017 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 5.819%    
5.875% senior debt due April 2014 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 5.875%    
6.75% senior debt due September 2011 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 6.75%    
Repayment of debt 342.7    
2.00% to 9.59% lease financing obligations due on various dates through 2029 [Member] | Maximum [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 9.59%    
2.00% to 9.59% lease financing obligations due on various dates through 2029 [Member] | Minimum [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 2.00%    
9.75% subordinated debt due March 2021 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 9.75%    
7.875% senior debt due September 2010 [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Long-term debt interest rate 7.875%    
Repayment of debt   248.0  
Lamb Weston BSW [Member]
     
Long Term Debt Instruments (Textual) [Abstract]      
Repayment of debt   $ 35.4  
XML 98 R90.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pre-Tax Income and Income Taxes (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Income tax reconciliation      
Computed U.S. Federal income taxes $ 232.2 $ 438.3 $ 322.9
State income taxes, net of U.S. Federal tax impact 12.0 20.0 15.7
Tax credits and domestic manufacturing deduction (20.5) (27.5) (27.3)
Foreign tax credits and related items, net (0.6) (0.2) (4.3)
IRS audit adjustments and settlements 0.8 0.5 (17.4)
Non-taxable gain from investment in ATFL (20.5)    
Change in valuation allowance (7.1) 2.1 (4.6)
Other (0.5) (11.6) 7.3
Income tax expense (benefit) continuing operations, total $ 195.8 $ 421.6 $ 292.3
XML 99 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Balance Sheets (USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
Current assets    
Cash and cash equivalents $ 103.0 $ 972.4
Receivables, less allowance for doubtful accounts of $5.9 and $7.8 924.8 849.4
Inventories 1,869.6 1,803.4
Prepaid expenses and other current assets 321.4 274.1
Total current assets 3,218.8 3,899.3
Property, plant and equipment    
Land and land improvements 202.1 201.3
Buildings, machinery and equipment 4,729.2 4,440.1
Furniture, fixtures, office equipment and other 905.2 871.9
Construction in progress 159.2 184.8
Property, plant and equipment 5,995.7 5,698.1
Less accumulated depreciation (3,253.8) (3,028.0)
Property, plant and equipment, net 2,741.9 2,670.1
Goodwill 4,015.4 3,609.4
Brands, trademarks and other intangibles, net 1,191.5 936.3
Other assets 274.3 293.6
Total assets 11,441.9 11,408.7
Current liabilities    
Notes Payable 40.0  
Current installments of long-term debt 38.1 363.5
Accounts payable 1,190.3 1,083.7
Accrued payroll 177.2 124.1
Other accrued liabilities 779.6 554.3
Total current liabilities 2,225.2 2,125.6
Senior long-term debt, excluding current installments 2,662.7 2,674.4
Subordinated debt 195.9 195.9
Other noncurrent liabilities 1,822.1 1,736.1
Total liabilities 6,905.9 6,732.0
Commitments and contingencies (Notes 17 and 18)      
Common stockholders' equity    
Common stock of $5 par value, authorized 1,200,000,000 shares; issued 567,907,172 2,839.7 2,839.7
Additional paid-in capital 901.5 899.1
Retained earnings 4,765.1 4,690.3
Accumulated other comprehensive loss (299.1) (91.2)
Less treasury stock, at cost, common shares 160,294,748 and 157,412,899 (3,767.7) (3,668.2)
Total ConAgra Foods common stockholders' equity 4,439.5 4,669.7
Noncontrolling interests 96.5 7.0
Total common stockholders' equity 4,536.0 4,676.7
Total liabilities and stockholders' equity $ 11,441.9 $ 11,408.7
XML 100 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
Payment-in-Kind Notes Receivable
12 Months Ended
May 27, 2012
Payment-in-Kind Notes Receivable [Abstract]  
PAYMENT-IN-KIND NOTES RECEIVABLE

4. PAYMENT-IN-KIND NOTES RECEIVABLE

In connection with the divestiture of the trading and merchandising operations in fiscal 2009, we received $550.0 million (face value) of payment-in-kind debt securities (the “Notes”) issued by the purchaser of the divested business. The Notes were recorded at an initial estimated fair value of $479.4 million.

The Notes were issued in three tranches: $99,990,000 original principal amount of 10.5% notes due June 19, 2010; $200,035,000 original principal amount of 10.75% notes due June 19, 2011; and $249,975,000 original principal amount of 11.0% notes due June 19, 2012. The Notes permitted payment of interest in cash or additional notes.

During fiscal 2010, we received $115.4 million as payment in full of all principal and interest due on the first tranche of the Notes, in advance of the scheduled maturity date. During fiscal 2011, we received $554.2 million as payment in full of all principal and interest due on the second and third tranches of the Notes, in advance of the scheduled maturity dates. As a result, we recognized a gain of $25.0 million in fiscal 2011.

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Acquisitions
12 Months Ended
May 27, 2012
Acquisitions [Abstract]  
ACQUISITIONS

3. ACQUISITIONS

In May 2012, we acquired Kangaroo Brands’ pita chip operations for $47.9 million in cash, plus assumed liabilities. Approximately $41.2 million of the purchase price was allocated to goodwill pending determination of the fair values of assets and liabilities acquired. The amount allocated to goodwill is deductible for income tax purposes. This business is included in the Consumer Foods segment.

 

In May 2012, we acquired Odom’s Tennessee Pride for $94.9 million in cash, plus assumed liabilities. The business manufactures Odom’s Tennessee Pride® frozen breakfast products and other sausage products. Approximately $30.5 million of the purchase price was allocated to goodwill and $24.5 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is not deductible for income tax purposes. This business is included in the Consumer Foods segment.

In March 2012, we acquired Del Monte Canada for $185.6 million in cash, plus assumed liabilities. The acquisition includes all Del Monte® branded packaged fruit, fruit snacks, and vegetable products in Canada, as well as Aylmer® brand tomato products. Approximately $36.1 million of the purchase price was allocated to goodwill and $86.9 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is not deductible for income tax purposes. This business is included in the Consumer Foods segment.

In November 2011, we acquired National Pretzel Company for $301.9 million in cash, net of cash acquired, plus assumed liabilities. National Pretzel Company is a private label supplier and branded producer of pretzels and related products. All products are produced at its manufacturing facilities in California and Pennsylvania. Approximately $178.5 million of the purchase price was allocated to goodwill and $68.2 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is deductible for income tax purposes. This business is included in the Consumer Foods segment.

In November 2011, we acquired an additional equity interest in ATFL for $4.9 million in cash, net of cash acquired, plus assumed liabilities. ATFL is a publicly traded company in India that markets food and food ingredients to consumers and institutional customers in India. Approximately $132.5 million of the acquisition value was allocated to goodwill and $40.0 million was allocated to trade names. The amount allocated to goodwill is not deductible for income tax purposes. As a result of this additional investment, we now have a majority interest (approximately 52%) in ATFL, and we have consolidated the financial statements of ATFL beginning in the third quarter of fiscal 2012. Prior to our acquisition of a majority interest in ATFL, we accounted for our noncontrolling interest (approximately 48% of the outstanding common shares) under the equity method. In accordance with the acquisition method of accounting, in the third quarter of fiscal 2012, we remeasured our previously held noncontrolling equity interest in ATFL at fair value and recorded a gain of approximately $58.7 million in selling, general and administrative expenses, which represents the excess of the fair value over the carrying value of our noncontrolling equity interest in ATFL. The fair value of ATFL was determined based upon the closing price of ATFL common shares as the date of the acquisition of this additional investment. Consolidated financial results of ATFL are included in the Consumer Foods segment.

In June 2010, we acquired the assets of American Pie, LLC (“American Pie”) for $131.0 million in cash plus assumed liabilities. American Pie is a manufacturer of frozen fruit pies, thaw and serve pies, fruit cobblers, and pie crusts under the licensed Marie Callender’s ® and Claim Jumper® trade names, as well as frozen dinners, pot pies, and appetizers under the Claim Jumper® trade name. Approximately $51.5 million of the purchase price was allocated to goodwill and $61.3 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is deductible for income tax purposes. This business is included in the Consumer Foods segment.

In April 2010, we acquired Elan Nutrition, Inc., a privately held formulator and manufacturer of private label snack and nutrition bars, for $103.5 million in cash, plus assumed liabilities. Approximately $66.4 million of the purchase price was allocated to goodwill and $33.6 million was allocated to brands, trademarks and other intangibles. The amount allocated to goodwill is not deductible for income tax purposes. This business is included in the Consumer Foods segment.

For each of these acquisitions, the amounts allocated to goodwill were primarily attributable to anticipated synergies, product portfolios, and other intangibles that do not qualify for separate recognition.

 

Under the acquisition method of accounting, the assets acquired and liabilities assumed in these acquisitions were recorded at their respective estimated fair values at the date of acquisition. The fair values of the assets and liabilities related to the ATFL, Del Monte Canada, Odom’s Tennessee Pride, and Kangaroo Brands’ pita chip operations are subject to refinement as we complete our analyses relative to the fair values at the respective acquisition dates.

The following unaudited pro forma financial information presents the combined results of operations as if the acquisitions of National Pretzel Company, the majority interest in ATFL, Del Monte Canada, Odoms Tennessee Pride, and the Kangaroo Brands’ pita chip operations (the acquirees) had occurred at the beginning of each period presented. The acquirees’ pre-acquisition results have been added to ConAgra Foods’ historical results. The pro forma results contained in the table below include adjustments for amortization of acquired intangibles and depreciation expense, as well as related income taxes. These pro forma results may not necessarily reflect the actual results of operations that would have been achieved, nor are they necessarily indicative of future results of operations.

 

                         
    For the Fiscal Years Ended May  
    2012     2011     2010  

Pro forma net sales

  $     13,749.7     $     12,979.1     $     12,653.5  

Pro forma net income

  $ 497.7     $ 873.6     $ 667.3  

Pro forma net income from continuing operations per share-basic

  $ 1.21     $ 2.03     $ 1.50  

Pro forma net income from continuing operations per share-diluted

  $ 1.19     $ 2.01     $ 1.49  
XML 102 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Payments
12 Months Ended
May 27, 2012
Share-Based Payments [Abstract]  
SHARE-BASED PAYMENTS

15.  SHARE-BASED PAYMENTS

In accordance with stockholder-approved plans, we issue share-based payments under various stock-based compensation arrangements, including stock options, restricted stock units, performance shares, and other share-based awards.

On September 25, 2009, the stockholders approved the ConAgra Foods 2009 Stock Plan, which authorized the issuance of up to 29.5 million shares of ConAgra Foods common stock. At May 27, 2012, approximately 22.9 million shares were reserved for granting additional options, restricted stock units, performance shares, or other share-based awards.

Stock Option Plan

We have stockholder-approved stock option plans that provide for granting of options to employees for the purchase of common stock at prices equal to the fair value at the date of grant. Options become exercisable under various vesting schedules (typically three to five years) and generally expire seven to ten years after the date of grant.

The fair value of each option is estimated on the date of grant using a Black-Scholes option-pricing model with the following weighted average assumptions for stock options granted:

 

                         
    2012     2011     2010  

Expected volatility (%)

    22.89       22.83       22.94  

Dividend yield (%)

    3.97       3.51       3.77  

Risk-free interest rates (%)

    1.38       1.72       2.31  

Expected life of stock option (years)

    4.75       4.82       4.75  

The expected volatility is based on the historical market volatility of our stock over the expected life of the stock options granted. The expected life represents the period of time that the awards are expected to be outstanding and is based on the contractual term of each instrument, taking into account employees’ historical exercise and termination behavior.

 

A summary of the option activity as of May 27, 2012 and changes during the fifty-two weeks then ended is presented below:

 

                                     

Options

      Number
of Options
(in Millions)
    Weighted
Average
Exercise
Price
    Average
Remaining
Contractual
Term
(Years)
    Aggregate
Intrinsic
Value (in
Millions)
 

Outstanding at May 29, 2011

        35.1     $     22.81                  

Granted

        4.1     $ 26.15                  

Exercised

        (9.9   $ 21.97             $     41.5  

Forfeited

        (0.9   $ 23.67                  

Expired

        (0.7   $ 25.73                  
       

 

 

                         

Outstanding at May 27, 2012

        27.7     $ 23.51       3.76     $ 60.6  
       

 

 

                         

Exercisable at May 27, 2012

        19.0     $ 23.33       3.02     $ 45.4  
       

 

 

                         

We recognize compensation expense using the straight-line method over the requisite service period. During fiscal 2012, 2011, and 2010, the Company granted 4.1 million options, 6.2 million options, and 7.9 million options, respectively, with a weighted average grant date value of $3.26, $3.31, and $2.73, respectively. The total intrinsic value of options exercised was $41.5 million, $9.3 million, and $8.4 million for fiscal 2012, 2011, and 2010, respectively. The closing market price of our common stock on the last trading day of fiscal 2012 was $25.25 per share.

Compensation expense for stock option awards totaled $15.4 million, $19.9 million, and $22.0 million for fiscal 2012, 2011, and 2010, respectively. The tax benefit related to the stock option expense for fiscal 2012, 2011, and 2010 was $5.7 million, $7.4 million, and $8.2 million, respectively.

At May 27, 2012, we had $12.4 million of total unrecognized compensation expense, net of estimated forfeitures, related to stock options that will be recognized over a weighted average period of 1.2 years.

Cash received from option exercises for the fiscal years ended May 27, 2012, May 29, 2011, and May 30, 2010 was $217.8 million, $71.6 million, and $70.3 million, respectively. The actual tax benefit realized for the tax deductions from option exercises totaled $15.4 million, $3.4 million, and $3.1 million for fiscal 2012, 2011, and 2010, respectively.

Share Unit Plans

In accordance with stockholder-approved plans, we issue stock under various stock-based compensation arrangements, including restricted stock units and other share-based awards (“share units”). These awards generally have requisite service periods of three to five years. Under each arrangement, stock is issued without direct cost to the employee. We estimate the fair value of the share units based upon the market price of our stock at the date of grant. Certain share unit grants do not provide for the payment of dividend equivalents to the participant during the requisite service period (vesting period). For those grants, the value of the grants is reduced by the net present value of the foregone dividend equivalent payments. We recognize compensation expense for share unit awards on a straight-line basis over the requisite service period. The compensation expense for our share unit awards totaled $25.5 million, $21.2 million, and $19.6 million for fiscal 2012, 2011, and 2010, respectively. The tax benefit related to the compensation expense for fiscal 2012, 2011, and 2010 was $9.5 million, $7.9 million, and $7.3 million, respectively.

 

The following table summarizes the nonvested share units as of May 27, 2012, and changes during the fifty-two weeks then ended:

 

                     

Share Units

     

Share Units

(in millions)

    Weighted
Average
Grant-Date
Fair Value
 

Nonvested share units at May 29, 2011

        3.25     $     19.56  

Granted

        1.81     $ 26.11  

Vested/Issued

        (0.91   $ 19.06  

Forfeited

        (0.32   $ 20.64  
       

 

 

         

Nonvested share units at May 27, 2012

        3.83     $ 21.43  
       

 

 

         

During fiscal 2012, 2011, and 2010, we granted 1.8 million share units, 1.6 million share units, and 1.1 million share units, respectively, with a weighted average grant date value of $26.11, $21.55, and $19.41, respectively.

The total intrinsic value of share units vested was $23.2 million, $14.5 million, and $18.7 million during fiscal 2012, 2011, and 2010, respectively.

At May 27, 2012, we had $33.9 million of total unrecognized compensation expense, net of estimated forfeitures, related to share unit awards that will be recognized over a weighted average period of 1.9 years.

Performance-Based Share Plan

Performance shares are granted to selected executives and other key employees with vesting contingent upon meeting various Company-wide performance goals. The performance goals for the performance periods ending in fiscal 2012 and fiscal 2013 are based upon our earnings before interest and taxes and our return on average invested capital measured over a defined performance period. The performance goals for the performance period ending in fiscal 2014 are based upon our operating cash flow return on operations, a measure of operating cash flow as a percentage of invested capital measured over a defined performance period, and revenue growth. The awards actually earned will range from zero to three hundred percent of the targeted number of performance shares for the performance period ending in fiscal 2012; from zero to two hundred percent of the targeted number of performance shares for the performance period ending in fiscal 2013; and from zero to two hundred twenty percent of the targeted number of performance shares for the performance period ending in fiscal 2014. For the performance period ending in fiscal 2014, a payout equal to 25% of the approved target incentive is required to be paid out if we achieve a threshold level of cash flow return on operations. Awards, if earned, will be paid in shares of our common stock. The value of the performance shares granted in fiscal 2010, 2011, and 2012 was adjusted based upon the market price of our stock at the end of each reporting period and amortized as compensation expense over the vesting period.

 

A summary of the activity for performance share awards as of May 27, 2012 and changes during the fifty-two weeks then ended is presented below:

 

                     

Performance Shares

 

 

  Shares
(in  Millions)
    Weighted
Average
Grant-Date
Fair Value
 

Nonvested performance shares at May 29, 2011

        1.37     $     20.42  

Granted

        0.51     $ 26.11  

Adjustments for performance results attained

        0.16     $ 20.48  

Vested/Issued

        (0.60   $ 20.48  

Forfeited

        (0.17   $ 22.24  
       

 

 

         

Nonvested performance shares at May 27, 2012

        1.27     $ 22.44  
       

 

 

         

The compensation expense for our performance share awards totaled $0.8 million, $4.0 million, and $14.7 million for fiscal 2012, 2011, and 2010, respectively. The tax benefit related to the compensation expense for fiscal 2012, 2011, and 2010 was $0.3 million, $1.5 million, and $5.4 million, respectively.

The total intrinsic value of share units vested (including shares paid in lieu of dividends) during fiscal 2012, 2011, and 2010 was $16.0 million, $7.4 million, and $24.8 million, respectively.

Based on estimates at May 27, 2012, the Company had $6.8 million of total unrecognized compensation expense, net of estimated forfeitures, related to performance shares that will be recognized over a weighted average period of 2.0 years.

Accounting guidance requires the benefits of tax deductions in excess of recognized compensation expense to be reported as a financing cash flow, rather than as an operating cash flow in our statements of cash flows. In fiscal 2012, our net operating cash flows decreased and our net financing cash flows increased by approximately $8.7 million. Because the tax deduction in fiscal 2010 was less than the recognized compensation expenses, our net operating cash flows increased and our net financing cash flows decreased by approximately $1.5 million for fiscal 2010. There was no impact on our statement of cash flows for fiscal 2011.

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Credit Facilities and Borrowings
12 Months Ended
May 27, 2012
Credit Facilities and Borrowings [Abstract]  
CREDIT FACILITIES AND BORROWINGS

11.  CREDIT FACILITIES AND BORROWINGS

At May 27, 2012, we had a $1.50 billion multi-year revolving credit facility with a syndicate of financial institutions that matures in September 2016. The multi-year facility has historically been used principally as a back-up facility for our commercial paper program. As of May 27, 2012, there were no outstanding borrowings under the credit facility. Borrowings under the multi-year facility bear interest at 1.1% over LIBOR and may be prepaid without penalty. The multi-year revolving credit facility requires us to repay borrowings if our consolidated funded debt exceeds 65% of our consolidated capital base, or if our fixed charges coverage ratio, each as defined in the credit agreement, is less than 1.75 to 1.0 on a four-quarter rolling basis. As of May 27, 2012, we were in compliance with the credit agreement’s financial covenants.

 

We finance our short-term liquidity needs with bank borrowings, commercial paper borrowings, and bankers’ acceptances. As of May 27, 2012, we had $40 million outstanding under our commercial paper program at an average weighted interest rate of 0.26%. We had no material short-term borrowings outstanding in fiscal 2011.

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Share-Based Payments (Details 1) (USD $)
In Millions, except Per Share data, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Summary of the option activity      
Outstanding at May 29, 2011, Number of Options 35.1    
Outstanding at May 29, 2011, Weighted Average Exercise Price $ 22.81    
Granted, Number of Options 4.1 6.2 7.9
Granted, Weighted Average Exercise Price $ 26.15    
Exercised, Number of Options (9.9)    
Exercised, Weighted Average Exercise Price $ 21.97    
Exercised, Aggregate Value Intrinsic Value $ 41.5    
Forfeited, Number of Options (0.9)    
Forfeited, Weighted Average Exercise Price $ 23.67    
Expired, Number of Options (0.7)    
Expired, Weighted Average Exercise Price $ 25.73    
Outstanding at May 27, 2012, Number of Options 27.7 35.1  
Outstanding at May 27, 2012, Weighted Average Exercise Price $ 23.51 $ 22.81  
Outstanding at May 27, 2012, Average Remaining Contractual Term 3 years 9 months 4 days    
Outstanding at May 27, 2012, Aggregate Intrinsic Value 60.6    
Exercisable at May 27, 2012, Number of Options 19.0    
Exercisable at May 27, 2012, Weighted Average Exercise Price $ 23.33    
Exercisable at May 27, 2012, Average Remaining Contractual Term 3 years 7 days    
Exercisable at May 27, 2012, Average Intrinsic Value $ 45.4    
XML 105 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Variable Interest Entities
12 Months Ended
May 27, 2012
Variable Interest Entities [Abstract]  
VARIABLE INTEREST ENTITIES

7. VARIABLE INTEREST ENTITIES

Variable Interest Entities Consolidated

We own a 49.99% interest in Lamb Weston BSW, LLC (“Lamb Weston BSW”), a potato processing venture with Ochoa Ag Unlimited Foods, Inc. (“Ochoa”). We provide all sales and marketing services to Lamb Weston BSW. Under certain circumstances, we could be required to compensate Ochoa for lost profits resulting from significant production shortfalls (“production shortfalls”). Commencing on June 1, 2018, or on an earlier date under certain circumstances, we have a contractual right to purchase the remaining equity interest in Lamb Weston BSW from Ochoa (the “call option”). We are currently subject to a contractual obligation to purchase all of Ochoa’s equity investment in Lamb Weston BSW at the option of Ochoa (the “put option”). The purchase prices under the call option and the put option (the “options”) are based on the book value of Ochoa’s equity interest at the date of exercise, as modified by an agreed-upon rate of return for the holding period of the investment balance. The agreed-upon rate of return varies depending on the circumstances under which any of the options are exercised. As of May 27, 2012, the price at which Ochoa had the right to put its equity interest to us was $34.3 million. This amount is presented within other liabilities in our consolidated balance sheet. We have determined that Lamb Weston BSW is a variable interest entity and that we are the primary beneficiary of the entity. Accordingly, we consolidate the financial statements of Lamb Weston BSW.

In the first quarter of fiscal 2011, we repaid $35.4 million of bank borrowings of Lamb Weston BSW and took assignment of a promissory note from a lender of the joint venture, the balance of which was $36.1 million at May 27, 2012. The promissory note is due in December 2015. The promissory note is currently accruing interest at a rate of LIBOR plus 200 basis points with a floor of 3.25%. In addition, as of May 27, 2012, we provided lines of credit of up to $15.0 million to Lamb Weston BSW. Borrowings under the lines of credit bear interest at a rate of LIBOR plus 200 basis points with a floor of 3.25%. The amounts owed by Lamb Weston BSW to the Company are not reflected in our consolidated balance sheets, as they are eliminated in consolidation.

Our variable interests in Lamb Weston BSW include an equity investment in the venture, the options, the promissory note, certain fees paid to us by Lamb Weston BSW for sales and marketing services, the contingent obligation related to production shortfalls, and the lines of credit advanced to Lamb Weston BSW. Our maximum exposure to loss as a result of our involvement with this venture is equal to our equity investment in the venture, the balance of the promissory note extended to the venture, the amount, if any, advanced under the lines of credit, and the amount, if any, by which the put option exercise price exceeds the fair value of the noncontrolling interest in Lamb Weston BSW on, or after, the put option exercise date. Also, in the event of a production shortfall, we could be required to compensate the other equity owner of Lamb Weston BSW for lost profits. It is not possible to determine the maximum exposure to losses from the potential exercise of the put option or from potential production shortfalls. However, we do not expect to incur material losses resulting from these potential exposures.

We also consolidate the assets and liabilities of several entities from which we lease corporate aircraft. Each of these entities has been determined to be a variable interest entity and we have been determined to be the primary beneficiary of each of these entities. Under the terms of the aircraft leases, we provide guarantees to the owners of these entities of a minimum residual value of the aircraft at the end of the lease term. We also have fixed price purchase options on the aircraft leased from these entities. Our maximum exposure to loss from our involvement with these entities is limited to the difference between the fair value of the leased aircraft and the amount of the residual value guarantees at the time we terminate the leases (the leases expire thru October 2012). The total amount of the residual value guarantees for these aircraft at the end of the respective lease terms is $28.9 million.

 

Due to the consolidation of these variable interest entities, we reflected in our consolidated balance sheets:

 

                     
    May 27,
2012
        May 29,
2011
 

Cash and cash equivalents

  $         10.2         $         5.3  

Receivables, less allowance for doubtful accounts

    20.9           18.9  

Inventories

    1.6           1.5  

Prepaid expenses and other current assets

    0.2           0.3  

Property, plant and equipment, net

    82.9           91.8  

Goodwill

    18.8           18.8  

Brands, trademarks and other intangibles, net

    8.3           9.0  
   

 

 

       

 

 

 

Total assets

  $  142.9         $  145.6  
   

 

 

       

 

 

 

Current installments of long-term debt

  $ 30.1         $ 13.4  

Accounts payable

    17.9           13.1  

Accrued payroll

    0.5           0.4  

Other accrued liabilities

    1.0           0.7  

Senior long-term debt, excluding current installments

              30.1  

Other noncurrent liabilities (minority interest)

    28.9           26.7  
   

 

 

       

 

 

 

Total liabilities

  $ 78.4         $ 84.4  
   

 

 

       

 

 

 

The liabilities recognized as a result of consolidating the Lamb Weston BSW entity do not represent additional claims on our general assets. The creditors of Lamb Weston BSW have claims only on the assets of Lamb Weston BSW. The assets recognized as a result of consolidating Lamb Weston BSW are the property of the venture and are not available to us for any other purpose, other than as a secured lender under the promissory note and lines of credit.

Variable Interest Entities Not Consolidated

We also have variable interests in certain other entities that we have determined to be variable interest entities, but for which we are not the primary beneficiary. We do not consolidate the financial statements of these entities.

We hold a 50% interest in Lamb Weston RDO, a potato processing venture. We provide all sales and marketing services to Lamb Weston RDO. We receive a fee for these services based on a percentage of the net sales of the venture. We reflect the value of our ownership interest in this venture in other assets in our consolidated balance sheets, based upon the equity method of accounting. The balance of our investment was $14.8 million and $13.6 million at May 27, 2012 and May 29, 2011, respectively, representing our maximum exposure to loss as a result of our involvement with this venture. The capital structure of Lamb Weston RDO includes owners’ equity of $29.6 million and term borrowings from banks of $42.5 million as of May 27, 2012. We have determined that we do not have the power to direct the activities that most significantly impact the economic performance of this venture.

We lease certain office buildings from entities that we have determined to be variable interest entities. The lease agreements with these entities include fixed-price purchase options for the assets being leased, representing our only variable interest in these lessor entities. These leases are accounted for as operating leases, and accordingly, there are no material assets or liabilities associated with these entities included in our balance sheets. We have no material exposure to loss from our variable interests in these entities. We have determined that we do not have the power to direct the activities that most significantly impact the economic performance of these entities. In making this determination, we have considered, among other items, the terms of the lease agreements, the expected remaining useful lives of the assets leased, and the capital structure of the lessor entities.

XML 106 R60.htm IDEA: XBRL DOCUMENT v2.4.0.6
Acquisitions (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Business Acquisition, Pro Forma Information [Abstract]      
Pro forma net sales $ 13,749.7 $ 12,979.1 $ 12,653.5
Pro forma net income $ 497.7 $ 873.6 $ 667.3
Pro forma net income from continuing operations per share - basic $ 1.21 $ 2.03 $ 1.50
Pro forma net income from continuing operations per share - diluted $ 1.19 $ 2.01 $ 1.49
XML 107 R110.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 10) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
Percentage point change in assumed health care cost trend rates  
Effect on total service and interest cost One Percent Increase $ 0.6
Effect on total service and interest cost One Percent Decrease (0.5)
Effect on postretirement benefit obligation One Percent Increase 14.8
Effect on postretirement benefit obligation One Percent Decrease $ (13.3)
XML 108 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
Garner, North Carolina Accident
12 Months Ended
May 27, 2012
Garner, North Carolina Accident [Abstract]  
GARNER, NORTH CAROLINA ACCIDENT

5. GARNER, NORTH CAROLINA ACCIDENT

On June 9, 2009, an accidental explosion occurred at our manufacturing facility in Garner, North Carolina (the “Garner accident”). This facility was the primary production facility for our Slim Jim® branded meat snacks.

 

The costs incurred and insurance recoveries recognized, for fiscal 2011 and 2010, were reflected in our consolidated financial statements as follows:

 

                                                                         
        Fiscal Year Ended May 29, 2011         Fiscal Year Ended May 30, 2010  
        Consumer
Foods
        Corporate         Total         Consumer
Foods
        Corporate         Total  

Cost of goods sold:

                                                                       

Inventory write-downs and other costs

      $ 0.9         $         $ 0.9         $     11.9         $         $     11.9  

Selling, general and administrative expenses:

                                                                       

Fixed asset impairments, clean-up costs, etc.

        2.6           0.6           3.2           47.5           2.6           50.1  

Insurance recoveries recognized

        (109.4                   (109.4         (58.1                   (58.1
       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

        (106.8         0.6           (106.2         (10.6         2.6           (8.0
       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Net loss (gain)

      $     (105.9       $     0.6         $     (105.3       $ 1.3         $     2.6         $ 3.9  
       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

The amounts in the table above exclude actual lost profits due to the interruption of the meat snacks business in the periods presented, but do reflect the recovery of the related business interruption insurance claim in fiscal 2011.

During fiscal 2011, the Company settled its property and business interruption claims related to the Garner accident with our insurance providers. The total payments received from the insurers in fiscal 2010 and 2011 were $167.5 million and all previously deferred balances were immediately recognized upon settlement of the insurance claim in fiscal 2011. The insurance recoveries recognized in fiscal 2011, included in selling, general and administrative expenses, totaled $109.4 million, representing $84.0 million of reimbursement for business interruption, a $21.3 million gain on involuntary conversion of property, plant and equipment, and recovery of other expenses incurred of $4.1 million.

XML 109 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring Activities
12 Months Ended
May 27, 2012
Restructuring Activities [Abstract]  
RESTRUCTURING ACTIVITIES

6.  RESTRUCTURING ACTIVITIES

Acquisition-related restructuring

We anticipate incurring costs in connection with actions we take to attain synergies when integrating recently acquired businesses. These costs, collectively referred to as “acquisition-related exit costs”, include severance and other costs associated with consolidating facilities and administrative functions. In connection with the acquisition-related exit costs, we expect to incur pre-tax cash and non-cash charges for asset impairments, accelerated depreciation, severance, relocation, and site closure costs of $18.4 million. We anticipate that we will recognize the following pre-tax cash and non-cash acquisition-related exit costs, all within our Consumer Foods reporting segment, during fiscal 2012 to 2014 (amounts include charges recognized in fiscal 2012):

 

         
    Total  

Accelerated depreciation

  $ 8.5  
   

 

 

 

Total cost of goods sold

    8.5  
   

 

 

 

Severance and related costs

    9.9  
   

 

 

 

Total selling, general and administrative expenses

    9.9  
   

 

 

 

Consolidated total

  $     18.4  
   

 

 

 

Included in the above estimates are $9.9 million of charges which have resulted or will result in cash outflows and $8.5 million of non-cash charges.

During fiscal 2012, we recognized the following pre-tax charges in our consolidated statement of earnings, all within our Consumer Foods reporting segment, for acquisition-related exit costs:

 

         
    Total  

Accelerated depreciation

  $     0.2  
   

 

 

 

Total cost of goods sold

    0.2  
   

 

 

 

Severance and related costs

    4.3  
   

 

 

 

Total selling, general and administrative expenses

    4.3  
   

 

 

 

Consolidated total

  $ 4.5  
   

 

 

 

Liabilities recorded for acquisition-related exit costs and changes therein for fiscal 2012 were as follows:

 

                                 
    Balance at
May  29,
2011
        Costs Incurred
and Charged
to Expense
        Balance at
May  27,
2012
 

Severance and related costs

  $         —         $         4.3         $         4.3  
   

 

 

       

 

 

       

 

 

 

Total

  $         $ 4.3         $ 4.3  
   

 

 

       

 

 

       

 

 

 

Administrative Efficiency Restructuring Plan

In August 2011, we made a decision to reorganize our Consumer Foods sales function and certain other administrative functions within our Commercial Foods and Corporate reporting segments. These actions, collectively referred to as the “Administrative Efficiency Plan,” are intended to improve the efficiency and effectiveness of the affected sales and administrative functions. In connection with the Administrative Efficiency Plan, we expect to incur approximately $18.8 million of charges, primarily for severance and costs of employee relocation. We anticipate that we will recognize the following pre-tax expenses associated with the Administrative Efficiency Plan in the fiscal 2012 to 2013 timeframe (amounts include charges recognized in fiscal 2012):

 

                                             
    Consumer
Foods
        Commercial
Foods
        Corporate         Total  

Accelerated depreciation

  $         —         $         —         $         1.5         $         1.5  

Severance and related costs

    6.5                     2.3           8.8  

Other, net

    7.0           1.3           0.2           8.5  
   

 

 

       

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    13.5           1.3           4.0           18.8  
   

 

 

       

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 13.5         $ 1.3         $ 4.0         $ 18.8  
   

 

 

       

 

 

       

 

 

       

 

 

 

\

Included in the above estimates are $17.3 million of charges that have resulted or will result in cash outflows and $1.5 million of non-cash charges.

During fiscal 2012, we recognized the following pre-tax charges in our consolidated statement of earnings for the Administrative Efficiency Plan:

 

                                             
    Consumer
Foods
        Commercial
Foods
        Corporate         Total  

Accelerated depreciation

  $         —         $         —         $         1.1         $         1.1  

Severance and related costs

    6.2                     2.2           8.4  

Other, net

    6.0           1.0           0.2           7.2  
   

 

 

       

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    12.2           1.0           3.5           16.7  
   

 

 

       

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 12.2         $ 1.0         $ 3.5         $ 16.7  
   

 

 

       

 

 

       

 

 

       

 

 

 

Liabilities recorded for the various initiatives and changes therein for fiscal 2012 under the Administrative Efficiency Plan were as follows:

 

                                                         
    Balance at
May  29,
2011
        Costs Incurred
and Charged
to Expense
        Costs Paid
or  Otherwise
Settled
        Changes  in
Estimates
        Balance at
May  27,
2012
 

Severance and related costs

  $         —         $         9.2         $         (6.3       $         (0.8       $         2.1  

Plan implementation costs

              7.1           (6.8                   0.3  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Total

  $         $ 16.3         $ (13.1       $ (0.8       $ 2.4  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Network Optimization Plan

During the third quarter of fiscal 2011, our Board of Directors approved a plan recommended by executive management designed to optimize our manufacturing and distribution networks. The plan consists of projects that involve, among other things, the exit of certain manufacturing facilities, the disposal of underutilized manufacturing assets, and actions designed to optimize our distribution network. The plan is expected to be implemented by the end of fiscal 2014 and is intended to improve the efficiency of our manufacturing operations and reduce costs. This plan is referred to as the Network Optimization Plan, which we previously referred to as the 2011 plan.

In connection with the Network Optimization Plan, we expect to incur pre-tax cash and non-cash charges of $83.2 million. We have recognized, and/or expect to recognize, expenses associated with the Network Optimization Plan, including but not limited to, impairments of property, plant and equipment, accelerated depreciation, severance and related costs, and plan implementation costs (e.g., consulting, employee relocation, etc.). We anticipate that we will recognize the following pre-tax expenses associated with the Network Optimization Plan in the fiscal 2011 to 2014 timeframe (amounts include charges recognized in fiscal 2011 and 2012):

 

                                 
    Consumer
Foods
        Commercial
Foods
        Total  

Accelerated depreciation

  $         22.4         $         —         $         22.4  

Inventory write-offs and related costs

    11.2           0.4           11.6  
   

 

 

       

 

 

       

 

 

 

Total cost of goods sold

    33.6           0.4           34.0  
   

 

 

       

 

 

       

 

 

 

Asset impairment

    13.3           14.0           27.3  

Severance and related costs

    9.7           0.1           9.8  

Other, net

    10.6           1.5           12.1  
   

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    33.6           15.6           49.2  
   

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 67.2         $ 16.0         $ 83.2  
   

 

 

       

 

 

       

 

 

 

Included in the above estimates are $26.0 million of charges which have resulted or will result in cash outflows and $57.2 million of non-cash charges.

During fiscal 2012, we recognized the following pre-tax charges in our consolidated statement of earnings for the Network Optimization Plan:

 

                                 
    Consumer
Foods
        Commercial
Foods
        Total  

Accelerated depreciation

  $         15.5         $         —         $         15.5  

Inventory write-offs and related costs

    6.7           0.1           6.8  
   

 

 

       

 

 

       

 

 

 

Total cost of goods sold

    22.2           0.1           22.3  
   

 

 

       

 

 

       

 

 

 

Asset impairment

    4.7           3.5           8.2  

Severance and related costs

    4.6                     4.6  

Other, net

    5.2           1.5           6.7  
   

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    14.5           5.0           19.5  

Consolidated total

  $ 36.7         $ 5.1         $ 41.8  
   

 

 

       

 

 

       

 

 

 

We recognized the following cumulative (plan inception to May 27, 2012) pre-tax charges related to the Network Optimization Plan in our consolidated statement of earnings:

 

                                 
    Consumer
Foods
        Commercial
Foods
        Total  

Accelerated depreciation

  $         20.5         $         —         $         20.5  

Inventory write-offs and related costs

    6.9           0.4           7.3  
   

 

 

       

 

 

       

 

 

 

Total cost of goods sold

    27.4           0.4           27.8  
   

 

 

       

 

 

       

 

 

 

Asset impairment

    13.3           14.0           27.3  

Severance and related costs

    9.5           0.1           9.6  

Other, net

    6.2           1.5           7.7  
   

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    29.0           15.6           44.6  
   

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 56.4         $ 16.0         $ 72.4  
   

 

 

       

 

 

       

 

 

 

 

Liabilities recorded for the various initiatives and changes therein for fiscal 2012 under the Network Optimization Plan were as follows:

 

                                                         
    Balance at
May  29,
2011
        Costs Incurred
and  Charged
to Expense
        Costs Paid
or  Otherwise
Settled
        Changes  in
Estimates
        Balance at
May  27,
2012
 

Severance and related costs

  $         4.8         $         3.8         $         (2.2       $         0.6         $         7.0  

Plan implementation costs

              7.5           (6.7                   0.8  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Total

  $ 4.8         $ 11.3         $ (8.9       $ 0.6         $ 7.8  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

2010 Restructuring Plan

During the fourth quarter of fiscal 2010, our Board of Directors approved a plan recommended by executive management related to the long-term production of our meat snack products. The plan provided for the closure of our meat snacks production facility in Garner, North Carolina and the movement of production to our existing facility in Troy, Ohio. Since the Garner accident, the Troy facility has been producing a portion of our meat snack products. By the end of fiscal 2011, the plan was substantially implemented and the facility had become our primary meat snacks production facility.

Also in the fourth quarter of fiscal 2010, we made a decision to consolidate certain administrative functions from Edina, Minnesota to Naperville, Illinois. We completed the transition of these functions in fiscal 2011. This plan, together with the plan to move production of our meat snacks from Garner, North Carolina to Troy, Ohio, is collectively referred to as the 2010 restructuring plan (“2010 plan”).

At the end of fiscal 2012, the implementation of the 2010 plan was substantially complete.

In connection with the 2010 plan, we incurred pre-tax cash and non-cash charges of $67.5 million, of which $2.6 million was recognized in fiscal 2012, $25.7 million was recognized in fiscal 2011 and $39.2 million was recognized in fiscal 2010. We have recognized expenses associated with the 2010 plan, including but not limited to, impairments of property, plant and equipment, accelerated depreciation, severance and related costs, and plan implementation costs (e.g., consulting, employee relocation, etc.). We recognized the following pre-tax expenses associated with the 2010 plan in the fiscal 2010 to 2012 timeframe (plan inception to May 27, 2012):

 

                                 
    Consumer
Foods
        Corporate         Total  

Accelerated depreciation

  $         19.1         $         —         $         19.1  

Inventory write-offs

    0.7                     0.7  
   

 

 

       

 

 

       

 

 

 

Total cost of goods sold

    19.8                     19.8  
   

 

 

       

 

 

       

 

 

 

Asset impairment

    17.5                     17.5  

Severance and related costs

    16.8                     16.8  

Other, net

    9.8           3.6           13.4  
   

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    44.1           3.6           47.7  
   

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 63.9         $ 3.6         $ 67.5  
   

 

 

       

 

 

       

 

 

 

Included in the above results are $28.3 million of charges which have resulted in cash outflows and $39.2 million of non-cash charges.

 

XML 110 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Other Identifiable Intangible Assets
12 Months Ended
May 27, 2012
Goodwill and Other Identifiable Intangible Assets [Abstract]  
GOODWILL AND OTHER IDENTIFIABLE INTANGIBLE ASSETS

8.   GOODWILL AND OTHER IDENTIFIABLE INTANGIBLE ASSETS

The change in the carrying amount of goodwill for fiscal 2012 and 2011 was as follows:

 

                                 
    Consumer
Foods
        Commercial
Foods
        Total  

Balance as of May 30, 2010

  $   3,421.3         $   128.6         $   3,549.9  

Acquisitions

    51.5                     51.5  

Translation and other

    6.9           1.1           8.0  
   

 

 

       

 

 

       

 

 

 

Balance as of May 29, 2011

  $ 3,479.7         $ 129.7         $ 3,609.4  
   

 

 

       

 

 

       

 

 

 

Acquisitions

    418.8                     418.8  

Translation and other

    (11.8         (1.0         (12.8
   

 

 

       

 

 

       

 

 

 

Balance as of May 27, 2012

  $ 3,886.7         $ 128.7         $ 4,015.4  
   

 

 

       

 

 

       

 

 

 

Other identifiable intangible assets were as follows:

 

                                             
    2012         2011  
    Gross
Carrying
Amount
        Accumulated
Amortization
        Gross
Carrying
Amount
        Accumulated
Amortization
 

Non-amortizing intangible assets

  $ 947.7         $         $ 771.2         $  

Amortizing intangible assets

    313.8           70.0           213.9           48.8  
   

 

 

       

 

 

       

 

 

       

 

 

 

Total

  $     1,261.5         $     70.0         $     985.1         $     48.8  
   

 

 

       

 

 

       

 

 

       

 

 

 

Non-amortizing intangible assets are comprised of brands and trademarks.

Amortizing intangible assets, carrying a weighted average life of approximately 14 years, are principally composed of customer relationships and licensing arrangements. For fiscal 2012, 2011, and 2010, we recognized amortization expense of $21.1 million, $17.8 million, and $7.8 million, respectively. Based on amortizing assets recognized in our balance sheet as of May 27, 2012, amortization expense is estimated to average approximately $21.4 million for each of the next five years, with a high expense of $23.9 million in fiscal year 2013 and decreasing to a low expense of $20.1 million in fiscal year 2017.

Refer to Note 3 for details of acquisition-related changes to goodwill.

In the first quarter of fiscal 2012, we acquired the Marie Callender’s ® brand trademarks for $57.5 million in cash. This intangible asset is presented in the Consumer Foods segment.

XML 111 R64.htm IDEA: XBRL DOCUMENT v2.4.0.6
Garner, North Carolina Accident (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended 24 Months Ended
May 29, 2011
May 30, 2010
May 29, 2011
Garner Facility [Member]
May 29, 2011
Garner Facility [Member]
Garner North Carolina Accident (Textual) [Abstract]        
Insurance Recoveries $ 109.4 $ 58.1   $ 167.5
Reimbursement of business     84.0  
Gain on involuntary conversion of assets     21.3  
Recovery of other expenses     $ 4.1  
XML 112 R120.htm IDEA: XBRL DOCUMENT v2.4.0.6
Quarterly Financial Data (Unaudited) (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
May 27, 2012
Feb. 26, 2012
Nov. 27, 2011
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
May 27, 2012
May 29, 2011
May 30, 2010
Quarterly Financial Data [Abstract]                      
Net sales $ 3,413.6 $ 3,373.1 $ 3,403.9 $ 3,072.0 $ 3,210.0 $ 3,141.3 $ 3,147.5 $ 2,804.3 $ 13,262.6 $ 12,303.1 $ 12,014.9
Gross profit 680.9 790.0 757.3 598.7 704.9 797.3 760.0 651.3      
Income (loss) from discontinued operations, net of tax       0.1 (4.5) (10.6) 0.6 3.0 0.1 (11.5) (19.3)
Net income (loss) attributable to ConAgra Foods, Inc. $ (86.2) $ 280.1 $ 180.2 $ 93.8 $ 250.1 $ 216.6 $ 202.7 $ 148.2 $ 467.9 $ 817.6 $ 613.5
Basic earnings per share:                      
Income (loss) from continuing operations attributable to ConAgra Foods, Inc. common stockholders $ (0.21) $ 0.68 $ 0.43 $ 0.23 $ 0.62 $ 0.54 $ 0.46 $ 0.32 $ 1.13 $ 1.92 $ 1.43
Income (loss) from discontinued operations attributable to ConAgra Foods, Inc. common stockholders         $ (0.01) $ (0.03)   $ 0.01   $ (0.02) $ (0.05)
Net income attributable to ConAgra Foods, Inc. common stockholders $ (0.21) $ 0.68 $ 0.43 $ 0.23 $ 0.61 $ 0.51 $ 0.46 $ 0.33 $ 1.13 $ 1.90 $ 1.38
Diluted earnings per share:                      
Income (loss) from continuing operations attributable to ConAgra Foods, Inc. common stockholders $ (0.21) $ 0.67 $ 0.43 $ 0.22 $ 0.61 $ 0.52 $ 0.46 $ 0.32 $ 1.12 $ 1.90 $ 1.41
Income (loss) from discontinued operations attributable to ConAgra Foods, Inc. common stockholders         $ (0.01) $ (0.02)   $ 0.01   $ (0.02) $ (0.04)
Net income attributable to ConAgra Foods, Inc. common stockholders $ (0.21) $ 0.67 $ 0.43 $ 0.22 $ 0.60 $ 0.50 $ 0.46 $ 0.33 $ 1.12 $ 1.88 $ 1.37
Dividends declared per common share $ 0.24 $ 0.24 $ 0.24 $ 0.23 $ 0.23 $ 0.23 $ 0.23 $ 0.20 $ 0.95 $ 0.89 $ 0.79
Share price:                      
High $ 26.75 $ 27.18 $ 25.95 $ 26.53 $ 25.58 $ 23.58 $ 22.95 $ 25.23      
Low $ 25.11 $ 24.31 $ 22.99 $ 22.72 $ 22.48 $ 21.48 $ 21.14 $ 21.36      
XML 113 R85.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Payments (Details 2) (USD $)
In Millions, except Per Share data, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Changes in nonvested share units      
Granted, Shares Units 1.80 1.60 1.10
Share Units [Member]
     
Changes in nonvested share units      
Nonvested share units at May 29, 2011, Share Units 3.25    
Granted, Shares Units 1.81    
Vested/issued, Share Units (0.91)    
Forfeited, Share Units (0.32)    
Nonvested share units at May 29, 2011, Weighted Average Grant-date Fair Value 19.56    
Nonvested share units at May 27, 2012, Share Units 3.83    
Granted, Weighted Average Grant-Date Fair Value 26.11    
Vested/issued, Weighted Average Grant-Date Fair Value 19.06    
Forfeited, Weighted Average Grant-Date Fair Value 20.64    
Nonvested share units at May 27, 2012, Weighted Average Grant-Date Fair Value 21.43    
XML 114 R66.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring Activities (Details 1) (USD $)
In Millions, unless otherwise specified
12 Months Ended 18 Months Ended
May 27, 2012
May 27, 2012
Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost $ 4.5  
Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 16.7  
Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 41.8 72.4
Accelerated depreciation [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 0.2  
Accelerated depreciation [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 1.1  
Accelerated depreciation [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 15.5 20.5
Inventory write-offs and related costs [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 6.8 7.3
Cost of goods sold [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 0.2  
Cost of goods sold [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 22.3 27.8
Asset impairment charge [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 8.2 27.3
Severance and related costs [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 8.4  
Severance and related costs [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 4.6 9.6
Other, net [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 4.3  
Other, net [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 7.2  
Other, net [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 6.7 7.7
Selling, general and administrative expenses [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 4.3  
Selling, general and administrative expenses [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 16.7  
Selling, general and administrative expenses [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 19.5 44.6
Consumer foods [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 4.5  
Consumer foods [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 12.2  
Consumer foods [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 36.7 56.4
Consumer foods [Member] | Accelerated depreciation [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 0.2  
Consumer foods [Member] | Accelerated depreciation [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 15.5 20.5
Consumer foods [Member] | Inventory write-offs and related costs [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 6.7 6.9
Consumer foods [Member] | Cost of goods sold [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 0.2  
Consumer foods [Member] | Cost of goods sold [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 22.2 27.4
Consumer foods [Member] | Asset impairment charge [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 4.7  
Consumer foods [Member] | Asset impairment charge [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost   13.3
Consumer foods [Member] | Severance and related costs [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 6.2  
Consumer foods [Member] | Severance and related costs [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 4.6 9.5
Consumer foods [Member] | Other, net [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 4.3  
Consumer foods [Member] | Other, net [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 6.0  
Consumer foods [Member] | Other, net [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 5.2 6.2
Consumer foods [Member] | Selling, general and administrative expenses [Member] | Acquisition-related restructuring [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 4.3  
Consumer foods [Member] | Selling, general and administrative expenses [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 12.2  
Consumer foods [Member] | Selling, general and administrative expenses [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 14.5 29.0
Commercial foods [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 1.0  
Commercial foods [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 5.1 16.0
Commercial foods [Member] | Inventory write-offs and related costs [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 0.1 0.4
Commercial foods [Member] | Cost of goods sold [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 0.1 0.4
Commercial foods [Member] | Asset impairment charge [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 3.5 14.0
Commercial foods [Member] | Severance and related costs [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost   0.1
Commercial foods [Member] | Other, net [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 1.5  
Commercial foods [Member] | Other, net [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 1.0  
Commercial foods [Member] | Other, net [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost   1.5
Commercial foods [Member] | Selling, general and administrative expenses [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 1.0  
Commercial foods [Member] | Selling, general and administrative expenses [Member] | Network optimization plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 5.0 15.6
Corporate [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 3.5  
Corporate [Member] | Accelerated depreciation [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 1.1  
Corporate [Member] | Severance and related costs [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 2.2  
Corporate [Member] | Other, net [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost 0.2  
Corporate [Member] | Selling, general and administrative expenses [Member] | Administrative efficiency restructuring plan [Member]
   
Summary of incurred restructuring pre tax expenses    
Restructuring and Related Cost, Incurred Cost $ 3.5  
XML 115 R102.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Pension Benefits [Member]
     
Changes in benefit obligations and plan assets      
Service cost $ 68.7 $ 59.7 $ 49.8
Interest cost 149.2 147.5 148.1
Expected return on plan assets (196.0) (168.0) (142.3)
Amortization of prior service cost (benefit) 3.0 3.2 3.2
Settlement loss     1.9
Special termination benefits   1.3  
Recognized net actuarial (gain) loss 396.9 10.3 165.8
Curtailment loss     0.9
Benefit cost-Company plans 421.8 54.0 227.4
Pension benefit cost multiemployer plans 8.5 9.2 9.7
Total benefit cost 430.3 63.2 237.1
Other Benefits [Member]
     
Changes in benefit obligations and plan assets      
Service cost 0.6 0.6 0.5
Interest cost 13.2 16.3 18.3
Expected return on plan assets   (0.1) (0.3)
Amortization of prior service cost (benefit) (13.6) (9.6) (9.4)
Recognized net actuarial (gain) loss 7.6 4.6 (0.1)
Benefit cost-Company plans 7.8 11.8 9.0
Total benefit cost $ 7.8 $ 11.8 $ 9.0
XML 116 R63.htm IDEA: XBRL DOCUMENT v2.4.0.6
Garner, North Carolina Accident (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 29, 2011
May 30, 2010
Cost of goods sold:    
Inventory write-downs and other costs $ 0.9 $ 11.9
Selling, general and administrative expenses:    
Fixed asset impairments, clean-up costs, etc. 3.2 50.1
Insurance recoveries recognized (109.4) (58.1)
Total selling, general and administrative expenses (106.2) (8.0)
Net loss (gain) (105.3) 3.9
Consumer foods [Member]
   
Cost of goods sold:    
Inventory write-downs and other costs 0.9 11.9
Selling, general and administrative expenses:    
Fixed asset impairments, clean-up costs, etc. 2.6 47.5
Insurance recoveries recognized (109.4) (58.1)
Total selling, general and administrative expenses (106.8) (10.6)
Net loss (gain) (105.9) 1.3
Corporate [Member]
   
Selling, general and administrative expenses:    
Fixed asset impairments, clean-up costs, etc. 0.6 2.6
Total selling, general and administrative expenses 0.6 2.6
Net loss (gain) $ 0.6 $ 2.6
XML 117 R92.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pre- Tax Income and Income Taxes (Details 4) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
Change in the unrecognized tax benefits  
Beginning balance on May 29, 2011 $ 56.5
Increases from positions established during prior periods 1.2
Decreases from positions established during prior periods (0.4)
Increases from positions established during the current period 4.3
Decreases relating to settlements with taxing authorities (6.7)
Reductions resulting from lapse of applicable statute of limitation (6.1)
Other adjustments to liability (0.1)
Ending balance on May 27, 2012 $ 48.7
XML 118 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Summary of Significant Accounting Policies (Tables)
12 Months Ended
May 27, 2012
Summary of Significant Accounting Policies [Abstract]  
Property plant and equipment estimated useful lives of respective classes of assets
     

Land improvements

  1 - 40 years 

Buildings

  15 - 40 years

Machinery and equipment

  3 - 20 years 

Furniture, fixtures, office equipment and other

  5 - 15 years 
Impacts Adjustments Made to Financial Statements

Consolidated Statement of Operations

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Selling, general and administrative expenses

  $     1,511.1     $     1,509.9     $     (1.2   $     1,819.4     $     1,987.7     $     168.3  

Cost of goods sold

    9,389.6       9,389.6             8,953.7       8,966.3       12.6  

Income tax expense

    421.0       421.6       0.6       360.9       292.3       (68.6

Income from continuing operations

    830.3       830.9       0.6       742.6       630.3       (112.3

Net income

    818.8       819.4       0.6       723.3       611.0       (112.3

Net income attributable to ConAgra Foods, Inc.

    817.0       817.6       0.6       725.8       613.5       (112.3

Earnings per share from continuing operations-basic

  $ 1.92     $ 1.92     $     $ 1.68     $ 1.43     $ (0.25

Earnings per share attributable to ConAgra Foods-basic

  $ 1.90     $ 1.90     $     $ 1.63     $ 1.38     $ (0.25

Earnings per share from continuing operations-diluted

  $ 1.90     $ 1.90     $     $ 1.66     $ 1.41     $ (0.25

Earnings per share attributable to ConAgra Foods-diluted

  $ 1.88     $ 1.88     $     $ 1.62     $ 1.37     $ (0.25

Consolidated Balance Sheet

 

                         
    May 29, 2011  
    Previously
Reported*
    Revised     Effect of
Change
 

Retained earnings

  $     4,821.8     $     4,690.3     $     (131.5

Accumulated other comprehensive loss

    (222.7     (91.2     131.5  

Consolidated Statement of Cash Flows

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Cash flows from operating activities:

                                               

Net income

  $ 818.8     $ 819.4     $ 0.6     $ 723.3     $ 611.0     $     (112.3

Income from continuing operations

    830.3       830.9       0.6       742.6       630.3       (112.3

Pension expense

          54.0       54.0             227.4       227.4  

Other items

    267.5       212.9           (54.6     89.7       (25.4     (115.1

Net cash flows from operating activities

        1,352.3           1,352.3                 1,472.7           1,472.7        
                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported*
    Revised     Effect of
Change
    Previously
Reported*
    Revised     Effect of
Change
 

Retained earnings:

                                               

Beginning balance

  $     4,385.3     $     4,253.2     $     (132.1   $     4,010.7     $     3,990.9     $ (19.8

Net income

    817.0       817.6       0.6       725.8       613.5           (112.3

Ending balance

    4,821.8       4,690.3       (131.5     4,385.3       4,253.2       (132.1

Accumulated other comprehensive loss:

                                               

Beginning balance

    (285.3     (153.2     132.1       (103.7     (83.9     19.8  

Pensions and postretirement healthcare benefits

    24.2       23.6       (0.6     (178.1     (65.8     112.3  

Ending balance

    (222.7     (91.2     131.5       (285.3     (153.2     132.1  

Total equity

    4,676.7       4,676.7             4,897.1       4,897.1        

Consolidated Statement of Comprehensive Income

 

                                                 
    Fiscal Year Ended May 29, 2011     Fiscal Year Ended May 30, 2010  
    Previously
Reported
    Revised     Effect of
Change
    Previously
Reported
    Revised     Effect of
Change
 

Net income

  $     818.8     $     819.4     $     0.6     $     723.3     $     611.0     $     (112.3

Pension and postretirement healthcare liabilities, net of tax

    24.2       23.6       (0.6     (178.1     (65.8     112.3  

 

* Retained earnings also reflects the impact of the change related to income taxes as discussed in Note 16.
Balances in accumulated other comprehensive income (loss), net of tax
                                                         
    Currency
Translation
Adjustment,
Net of
Reclassification
Adjustments
        Net
Derivative
Adjustment, Net
of  Reclassification
Adjustments
        Unrealized
Loss on
Available-
For-Sale
Securities, Net
of
Reclassification
Adjustments
        Pension and
Postretirement
Adjustments
        Accumulated
Other
Comprehensive
Income (Loss)
 

Balance at May 31, 2009

  $ 52.6         $ (1.2       $ (1.2       $ (134.1       $ (83.9

Current-period change

    (3.7         0.2                     (65.8         (69.3
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 30, 2010

    48.9           (1.0         (1.2         (199.9         (153.2

Current-period change

    45.7           (7.2         (0.1         23.6           62.0  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 29, 2011

    94.6           (8.2         (1.3         (176.3         (91.2

Current-period change

    (52.0         (89.1         (0.1         (66.7         (207.9
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Balance at May 27, 2012

  $             42.6         $             (97.3       $             (1.4       $         (243.0       $         (299.1
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 
Income tax expense benefit on components of other comprehensive income loss
                         
    2012     2011     2010  

Net derivative adjustment

  $         (52.7   $         (4.2   $         0.1  

Unrealized losses on available-for-sale securities

    (0.1     (0.1      

Pension and postretirement healthcare liabilities

    (35.4     15.8       (40.0
XML 119 R51.htm IDEA: XBRL DOCUMENT v2.4.0.6
Business Segments and Related Information (Tables)
12 Months Ended
May 27, 2012
Business Segments and Related Information [Abstract]  
Segment operations
                                 
    2012    

 

  2011    

 

  2010  

Net sales

                               

Consumer Foods

  $     8,376.8         $     8,002.0         $     7,939.7  

Commercial Foods

    4,885.8           4,301.1           4,075.2  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Total net sales

  $ 13,262.6         $ 12,303.1         $ 12,014.9  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Operating profit

                               

Consumer Foods

  $ 1,053.3         $ 1,126.4         $ 1,061.8  

Commercial Foods

    546.3           509.5           543.3  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Total operating profit

  $ 1,599.6         $ 1,635.9         $ 1,605.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Equity method investment earnings

                               

Consumer Foods

  $ 4.9         $ 5.7         $ 5.2  

Commercial Foods

    40.0           20.7           16.9  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Total equity method investment earnings

  $ 44.9         $ 26.4         $ 22.1  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Operating profit plus equity method investment earnings

                               

Consumer Foods

  $ 1,058.2         $ 1,132.1         $ 1,067.0  

Commercial Foods

    586.3           530.2           560.2  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Total operating profit plus equity method investment
earnings

  $ 1,644.5         $ 1,662.3         $ 1,627.2  
   

 

 

   

 

 

 

 

   

 

 

 

 

 

General corporate expenses

  $ (770.4       $ (232.3       $ (544.2

Interest expense, net

    (204.0         (177.5         (160.4

Income tax expense

    (195.8         (421.6         (292.3
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Income from continuing operations

    474.3           830.9           630.3  

Less: Income (loss) attributable to noncontrolling
interests

    6.5           1.8           (2.5
   

 

 

   

 

 

 

 

   

 

 

 

 

 

Income from continuing operations attributable to
ConAgra Foods, Inc.

  $ 467.8         $ 829.1         $ 632.8  
   

 

 

   

 

 

 

 

   

 

 

 

 

 
                         
    2012         2011         2010      

Identifiable assets

                       

Consumer Foods

    $     8,220.9         $     7,277.3         $     7,065.0    

Commercial Foods

    2,384.9         2,466.8         2,230.7    

Corporate

    836.1         1,664.6         2,135.0    

Held for sale

    —         —         307.3    
   

 

 

   

 

 

   

 

 

 

Total

    $ 11,441.9         $ 11,408.7         $ 11,738.0    
   

 

 

   

 

 

   

 

 

 

Additions to property, plant and equipment

                       

Consumer Foods

    $ 169.3         $ 208.7         $ 277.4    

Commercial Foods

    97.4         187.0         158.6    

Corporate

    70.0         70.5         46.3    
   

 

 

   

 

 

   

 

 

 

Total

    $ 336.7         $ 466.2         $ 482.3    
   

 

 

   

 

 

   

 

 

 

Depreciation and amortization

                       

Consumer Foods

    $ 193.6         $ 180.3         $ 148.6    

Commercial Foods

    94.6         87.6         78.4    

Corporate

    83.6         93.0         97.1    
   

 

 

   

 

 

   

 

 

 

Total

    $ 371.8         $ 360.9         $ 324.1    
   

 

 

   

 

 

   

 

 

 
Net sales by product type segment
                         
    2012         2011         2010      

Net sales

                       

Consumer Foods:

                       

Grocery

    $     3,358.0         $     3,258.7         $     3,381.8    

Frozen

    1,990.6         1,965.2         1,846.7    

Snacks

    1,237.6         1,209.8         1,229.3    

International

    841.5         714.2         659.4    

Store Brands

    631.9         528.8         454.7    

Other Brands

    317.2         325.3         367.8    
   

 

 

   

 

 

   

 

 

 

Total Consumer Foods

    $ 8,376.8         $ 8,002.0         $ 7,939.7    
   

 

 

   

 

 

   

 

 

 

Commercial Foods:

                       

Specialty Potatoes

    $ 2,631.0         $ 2,375.3         $ 2,277.6    

Milled Products

    1,804.9         1,520.5         1,413.3    

Seasonings, Blends, and Flavors

    449.9         405.3         384.3    
   

 

 

   

 

 

   

 

 

 

Total Commercial Foods

    $ 4,885.8         $ 4,301.1         $ 4,075.2    
   

 

 

   

 

 

   

 

 

 

Total net sales

    $ 13,262.6         $ 12,303.1         $ 12,014.9    
   

 

 

   

 

 

   

 

 

 
Allocation of net derivative gains (losses) from economic hedges of forecasted commodity consumption and foreign currency risk
                 
    Fiscal Year Ended  
    May 27,
2012
    May 29,
2011
 

Net derivative gains (losses) incurred

    $     (66.8)        $     35.1    

Less: Net derivative gains allocated to reporting segments

    24.4         0.6    
   

 

 

   

 

 

 

Net derivative gains (losses) recognized in general corporate expenses

    $ (91.2)        $ 34.5    
   

 

 

   

 

 

 

Net derivative gains allocated to Consumer Foods

    $ 24.9         $ 3.6    

Net derivative losses allocated to Commercial Foods

    (0.5)        (3.0)   
   

 

 

   

 

 

 

Net derivative gains included in segment operating profit

    $ 24.4         $ 0.6    
   

 

 

   

 

 

 
XML 120 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
Other Noncurrent Liabilities
12 Months Ended
May 27, 2012
Other Noncurrent Liabilities [Abstract]  
OTHER NONCURRENT LIABILITIES

13.  OTHER NONCURRENT LIABILITIES

Other noncurrent liabilities consisted of:

 

                     
    May 27, 2012         May 29, 2011  

Postretirement health care and pension obligations

  $     846.5         $     674.1  

Noncurrent income tax liabilities

    693.5           770.5  

Environmental liabilities (see Note 18)

    71.2           70.2  

Other

    283.5           287.0  
   

 

 

       

 

 

 
      1,894.7           1,801.8  

Less current portion

    (72.6         (65.7
   

 

 

       

 

 

 
    $ 1,822.1         $ 1,736.1  
   

 

 

       

 

 

 

 

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Fair Value Measurements (Details Textual) (USD $)
12 Months Ended
May 30, 2010
May 27, 2012
May 29, 2011
Fair value measurements (Textual) [Abstract]      
Carrying value of assets impaired $ 45,500,000    
Fair value of assets impaired 29,000,000    
Fair Value Measurements (Additional Textual) [Abstract]      
Impairment charge related to Associated Property, plant and equipment 16,500,000    
Carrying amount of long-term debt   2,900,000,000 3,200,000,000
Long-term debt at fair value   3,500,000,000 3,600,000,000
Consumer Food [Member]
     
Fair value measurements (Textual) [Abstract]      
Carrying value of assets impaired 39,300,000    
Fair value of assets impaired 6,000,000    
Impairment charge on partially completed Production facility included in selling, general and administrative expenses 33,300,000    
Gilroy Foods & Flavors [Member]
     
Fair value measurements (Textual) [Abstract]      
Impairment charge on partially completed Production facility included in selling, general and administrative expenses 58,300,000    
Carrying amount of noncurrent assets held for sale from discontinued business 88,700,000    
Fair value of noncurrent assets held for sale from discontinued business 30,400,000    
Recognized impairment and related charges, after-tax $ 39,300,000    
XML 123 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
Contingencies
12 Months Ended
May 27, 2012
Contingencies [Abstract]  
CONTINGENCIES

18.  CONTINGENCIES

In fiscal 1991, we acquired Beatrice Company (“Beatrice”). As a result of the acquisition and the significant pre-acquisition contingencies of the Beatrice businesses and its former subsidiaries, our consolidated post-acquisition financial statements reflect liabilities associated with the estimated resolution of these contingencies. These include various litigation and environmental proceedings related to businesses divested by Beatrice prior to its acquisition by us. The litigation includes suits against a number of lead paint and pigment manufacturers, including ConAgra Grocery Products and the Company as alleged successors to W. P. Fuller Co., a lead paint and pigment manufacturer owned and operated by Beatrice until 1967. Although decisions favorable to us have been rendered in Rhode Island, New Jersey, Wisconsin, and Ohio, we remain a defendant in active suits in Illinois and California. The Illinois suit seeks class-wide relief in the form of medical monitoring for elevated levels of lead in blood. In California, a number of cities and counties have joined in a consolidated action seeking abatement of the alleged public nuisance. We have had successful outcomes in every case decided to date and although exposure in the remaining cases is unlikely, it is reasonably possible. However, given the range of potential remedies, it is not possible to estimate this exposure.

The environmental proceedings include litigation and administrative proceedings involving Beatrice’s status as a potentially responsible party at 36 Superfund, proposed Superfund, or state-equivalent sites; these sites involve locations previously owned or operated by predecessors of Beatrice that used or produced petroleum, pesticides, fertilizers, dyes, inks, solvents, PCBs, acids, lead, sulfur, tannery wastes, and/or other contaminants. Beatrice has paid or is in the process of paying its liability share at 32 of these sites. Reserves for these matters have been established based on our best estimate of the undiscounted remediation liabilities, which estimates include evaluation of investigatory studies, extent of required clean-up, the known volumetric contribution of Beatrice and other potentially responsible parties, and its experience in remediating sites. The reserves for Beatrice-related environmental matters totaled $70.0 million as of May 27, 2012, a majority of which relates to the Superfund and state-equivalent sites referenced above. We expect expenditures for Beatrice-related environmental matters to continue for up to 18 years.

In limited situations, we will guarantee an obligation of an unconsolidated entity. At the time in which we initially provide such a guarantee, we assess the risk of financial exposure to us under these agreements. We consider the credit-worthiness of the guaranteed party, the value of any collateral pledged against the related obligation, and any other factors that may mitigate our risk. We actively monitor market and entity-specific conditions that may result in a change of our assessment of the risk of loss under these agreements.

We guarantee certain leases and other commercial obligations resulting from the 2002 divestiture of our fresh beef and pork operations. The remaining terms of these arrangements do not exceed four years and the maximum amount of future payments we have guaranteed was approximately $10.9 million as of May 27, 2012.

We have also guaranteed the performance of the divested fresh beef and pork business with respect to a hog purchase contract. The hog purchase contract requires the divested fresh beef and pork business to purchase a minimum of approximately 1.2 million hogs annually through June 1, 2013. The contract stipulates minimum price commitments, based in part on market prices, and, in certain circumstances, also includes price adjustments based on certain inputs. We have not established a liability for any of the fresh beef and pork divestiture-related guarantees, as we have determined that the likelihood of our required performance under the guarantees is remote.

We are a party to various potato supply agreements. Under the terms of certain such potato supply agreements, we have guaranteed repayment of short-term bank loans of the potato suppliers, under certain conditions. At May 27, 2012, the amount of supplier loans we have effectively guaranteed was approximately $43.6 million. We have not established a liability for these guarantees, as we have determined that the likelihood of our required performance under the guarantees is remote.

We were a party to a supply agreement with an onion processing company where we had guaranteed, under certain conditions, repayment of a secured loan (the “Secured Loan”) of this onion supplier to the onion supplier’s lender. The Secured Loan was in the amount of approximately $40 million (classified as other assets in fiscal 2012) with a remaining term of approximately 11 years. The amount of our guarantee was $25 million. We had the option to purchase the Secured Loan, and thereby assume first-priority secured rights to the underlying collateral for the amount of the Secured Loan. During the fourth quarter of fiscal 2012, we received notice from the lender that the onion supplier had defaulted on the Secured Loan and we purchased the Secured Loan from the lender for approximately $41 million, and cancelled our guarantee. The onion supplier subsequently filed for bankruptcy on April 12, 2012. Based on our estimate of the value of the collateral and our first-priority secured rights, we expect to recover the carrying value of the Secured Loan.

Federal income tax credits were generated related to our sweet potato production facility in Delhi, Louisiana. Third parties invested in certain of these income tax credits. We have guaranteed these third parties the face value of these income tax credits over their statutory lives, through fiscal 2017, in the event that the income tax credits are recaptured or reduced. The face value of the income tax credits was $21.2 million as of May 27, 2012. We believe the likelihood of the recapture or reduction of the income tax credits is remote, and therefore we have not established a liability in connection with this guarantee.

We are a party to a number of lawsuits and claims arising out of the operation of our business. Among these, there are lawsuits, claims, and matters related to the February 2007 recall of our peanut butter products. Among the matters outstanding related to the peanut butter recall are litigation we initiated against an insurance carrier to recover our settlement expenditures and defense costs, and an ongoing investigation by the U.S. Attorney’s office in Georgia. During fiscal 2012, we recognized a charge of $17.5 million in connection with peanut butter matters. This amount is in addition to a charge of $24.8 million we recognized during the third quarter of fiscal 2009 in connection with the insurance coverage dispute. With respect to the coverage dispute matter, during the fourth quarter of fiscal 2012, we received a favorable opinion related to our defense costs, pursuant to which we have received $11.8 million, which is recognized in income in fiscal 2012. During the fourth quarter of fiscal 2012, a jury verdict was rendered in our favor in the amount of approximately $25 million on the claim for disputed coverage, which is subject to appeal. This amount has not been recognized in income in fiscal 2012. With respect to the U.S. Attorney matter, in fiscal 2011, we received formal requests from the U.S. Attorney’s office in Georgia seeking a variety of records and information related to the operations of our peanut butter manufacturing facility in Sylvester, Georgia. These requests are related to the previously disclosed June 2007 execution of a search warrant at our facility following the February 2007 recall. We continue to engage in discussions with officials in regard to the investigation.

In June 2009, an accidental explosion occurred at our manufacturing facility in Garner, North Carolina. This facility was the primary production facility for our Slim Jim® branded meat snacks. On June 13, 2009, the U.S. Bureau of Alcohol, Tobacco, Firearms and Explosives announced its determination that the explosion was the result of an accidental natural gas release, and not a deliberate act. During the fourth quarter of fiscal 2011, we settled our property and business interruption claims related to the Garner accident with our insurance providers. During the fourth quarter of fiscal 2011, Jacobs Engineering Group Inc., our engineer and project manager at the site filed a declaratory judgment action against us seeking indemnity for personal injury claims brought against it as a result of the accident. In the first quarter of fiscal 2012, the Court granted our motion for summary judgment on the basis that the suit was filed prematurely. We will continue to defend this action vigorously. Any exposure in this case is expected to be limited to the applicable insurance deductible. See Note 5 for additional information related to this matter.

In April 2010, an accidental explosion occurred at our flour milling facility in Chester, Illinois. Two employees of a subcontractor and one employee of the primary contractor, Westside Salvage (“Westside”), on the site at the time of the accident suffered injuries in the accident. Suit was initiated against Westside and the Company for personal injury claims. Subsequent to the end of the fourth quarter of fiscal 2012 (on May 31, 2012), a jury in federal court returned a verdict against the Company and Westside and in favor of the three employees. The verdict was in the amount of approximately $78 million in compensatory damages apportioned between the Company and Westside and $100 million in punitive damages against the Company. While we have insurance policies in place that we believe will cover the full amount of the compensatory and punitive damages apportioned to us (other than a $3 million deductible that we accrued in a prior period), the Company intends to appeal the verdict and the damages. Any exposure in this case is expected to be limited to the applicable insurance deductible.

We are a party to several lawsuits concerning the use of diacetyl, a butter flavoring ingredient that was added to our microwave popcorn until late 2007. The cases are primarily consumer personal injury suits claiming respiratory illness allegedly due to exposures to vapors from microwaving popcorn. We have received favorable outcomes in connection with these cases to date. We do not believe these cases possess merit and continue to vigorously defend them. Any exposure in these cases is expected to be limited to the applicable insurance deductible.

After taking into account liabilities recognized for all of the foregoing matters, management believes the ultimate resolution of such matters should not have a material adverse effect on our financial condition, results of operations, or liquidity. It is reasonably possible that a change in one of the estimates of the foregoing matters may occur in the future. Costs of legal services associated with the foregoing matters are recognized in earnings as services are provided.

XML 124 R95.htm IDEA: XBRL DOCUMENT v2.4.0.6
Operating Leases (Details Textual) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Operating Leases (Additional Textual) [Abstract]      
Sale of farm land in acres     17600 acres
Proceeds in cash from sale of farmland     $ 75.0
Deferred gain from sale of farm land     29.7
Initial term of lease agreement and renewal options 10 years    
Renewal options 5 years    
Continuing Operations [Member]
     
Rent expense from operations      
Rent expense from operations 133.8 126.1 127.2
Discontinued Operations [Member]
     
Rent expense from operations      
Rent expense from operations $ 0 $ 0.4 $ 3.2
XML 125 R49.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Tables)
12 Months Ended
May 27, 2012
Pension and Postretirement Benefits [Abstract]  
Change in benefit obligations and plan assets
                                 
    Pension Benefits     Other Benefits  
    2012     2011     2012     2011  

Change in Benefit Obligation

                               

Benefit obligation at beginning of year

    $     2,881.4       $     2,614.1       $     322.6       $     324.9  

Service cost

    68.7       59.7       0.6       0.6  

Interest cost

    149.2       147.5       13.2       16.3  

Plan participants’ contributions

                6.7       6.9  

Amendments

    5.3       1.5       (40.6     (9.0

Actuarial loss

    337.5       190.9       11.6       19.4  

Special termination benefits

          1.3              

Benefits paid

    (138.8     (133.6     (36.0     (36.5

Business combinations

    25.0             4.6        
   

 

 

   

 

 

   

 

 

   

 

 

 

Benefit obligation at end of year

    $ 3,328.3       $ 2,881.4       $ 282.7       $ 322.6  
   

 

 

   

 

 

   

 

 

   

 

 

 

Change in Plan Assets

                               

Fair value of plan assets at beginning of year

    $ 2,543.9       $ 2,144.6     $ 0.1     $ 4.0  

Actual return on plan assets

    24.8       418.3              

Employer contributions

    326.4       129.4       29.3       25.7  

Plan participants’ contributions

                6.7       6.9  

Investment and administrative expenses

    (14.2     (14.8            

Benefits paid

    (138.8     (133.6     (36.0     (36.5

Business combinations

    24.5                    
   

 

 

   

 

 

   

 

 

   

 

 

 

Fair value of plan assets at end of year

    $ 2,766.6       $ 2,543.9       $ 0.1       $ 0.1  
   

 

 

   

 

 

   

 

 

   

 

 

 
Funded status and Amounts recognized in Balance Sheets
                                 
    Pension Benefits     Other Benefits  
    2012     2011     2012     2011  

Funded status

   $ (561.7    $ (337.5    $ (282.6    $ (322.5

Amounts Recognized in Consolidated Balance Sheets

                               

Other assets

   $ 3.9      $ 14.7      $      $  

Other accrued liabilities

    (8.8     (8.7     (26.8     (27.5

Other noncurrent liabilities

    (556.8     (343.5     (255.8     (295.0
   

 

 

   

 

 

   

 

 

   

 

 

 

Net amount recognized

   $     (561.7    $     (337.5    $     (282.6    $     (322.5
   

 

 

   

 

 

   

 

 

   

 

 

 

Amounts Recognized in Accumulated Other Comprehensive (Income) Loss (Pre-tax)

                               

Actuarial net loss

   $ 332.0      $ 205.9      $ 80.5      $ 75.6  

Net prior service cost (benefit)

    17.9       15.7       (39.3     (12.2
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

   $ 349.9      $ 221.6      $ 41.2      $ 63.4  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted-Average Actuarial Assumptions Used to Determine Benefit Obligations At May 27, 2012 and May 29, 2011

                               

Discount rate

    4.50     5.30     3.90     4.90

Long-term rate of compensation increase

    4.25     4.25     N/A       N/A  
Projected benefit obligation, Accumulated benefit obligation, and fair value of plan assets for pension plans with accumulated benefit obligations in excess of plan Assets.
                 
    2012     2011  

Projected benefit obligation

  $     3,159.7     $     2,505.6  

Accumulated benefit obligation

    3,057.2       2,436.1  

Fair value of plan assets

    2,594.1       2,153.4  
Components of pension benefit and other postretirement benefit costs
                                                 
    Pension Benefits     Other Benefits  
    2012     2011     2010     2012     2011     2010  

Service cost

  $ 68.7     $ 59.7     $ 49.8     $ 0.6     $ 0.6     $ 0.5  

Interest cost

    149.2       147.5       148.1       13.2       16.3       18.3  

Expected return on plan assets

    (196.0     (168.0     (142.3           (0.1     (0.3

Amortization of prior service cost (benefit)

    3.0       3.2       3.2       (13.6     (9.6     (9.4

Settlement loss

                1.9                    

Special termination benefits

          1.3                          

Recognized net actuarial (gain) loss

    396.9       10.3       165.8       7.6       4.6       (0.1

Curtailment loss

                0.9                    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Benefit cost—Company plans

    421.8       54.0       227.4       7.8       11.8       9.0  

Pension benefit cost—multiemployer plans

    8.5       9.2       9.7                    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total benefit cost

  $     430.3     $     63.2     $     237.1     $     7.8     $     11.8     $     9.0  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
Other changes in plan assets and benefit obligations recognized in other comprehensive (income) loss
                                 
    Pension Benefits     Other Benefits  
    2012     2011     2012     2011  

Net actuarial (gain) loss

  $ 521.4     $ (44.5   $ 12.4     $ 18.9  

Prior service cost (benefit)

    5.3       1.5       (40.6     (9.1

Amortization of prior service (cost) benefit

    (3.0     (3.2     13.6       9.6  

Recognized net actuarial loss

    (396.9     (10.3     (7.6     (4.6
   

 

 

   

 

 

   

 

 

   

 

 

 

Net amount recognized

  $     126.8     $     (56.5   $     (22.2   $     14.8  
   

 

 

   

 

 

   

 

 

   

 

 

 
Weighted Average Actuarial Assumption Used to Determine Net Expense
                                                 
    Pension Benefits     Other Benefits  
      2012         2011         2010         2012         2011         2010    

Discount rate

    5.30     5.80     6.90     4.30     5.40     6.60

Long-term rate of return on plan assets

    7.75     7.75     7.75     N/A       3.50     4.50

Long-term rate of compensation increase

    4.25     4.25     4.25     N/A       N/A       N/A  
Accumulated other comprehensive income (loss)
         
   

Pension Benefits

 

Other Benefits

Prior service cost (benefit)

  $                3.5   $              (8.2)

Net actuarial loss

  NA   7.8 
Fair value of plan assets

The fair value of plan assets, summarized by level within the fair value hierarchy described in Note 21, as of May 27, 2012, were as follows:

 

                                 
    Level 1     Level 2     Level 3     Total  

Cash and cash equivalents

  $ 1.8     $ 319.8     $     $ 321.6  

Equity securities:

                               

U.S. equity securities

    616.2       7.3             623.5  

International equity securities

    395.1       126.7             521.8  

Fixed income securities:

                               

Government bonds

    99.9       160.6             260.5  

Corporate bonds

    9.5       199.1             208.6  

Mortgage-backed bonds

    82.4       70.3             152.7  

Real estate funds

    5.7             83.2       88.9  

Multi-strategy hedge funds

                379.1       379.1  

Private equity funds

                64.2       64.2  

Master limited partnerships

    137.5                   137.5  

Private energy funds

                1.6       1.6  

Net receivables for unsettled transactions

    6.6                   6.6  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $     1,354.7     $     883.8     $     528.1     $     2,766.6  
   

 

 

   

 

 

   

 

 

   

 

 

 

The fair value of plan assets, summarized by level within the fair value hierarchy described in Note 21, as of May 29, 2011, were as follows:

 

                                 
    Level 1     Level 2     Level 3     Total  

Cash and cash equivalents

  $ 2.7     $ 121.5     $     $ 124.2  

Equity securities:

                               

U.S. equity securities

    625.7       7.7             633.4  

International equity securities

    473.1       131.5             604.6  

Fixed income securities:

                               

Government bonds

    53.4       155.1             208.5  

Corporate bonds

    103.5       169.5             273.0  

Mortgage-backed bonds

    31.5       58.9             90.4  

Real estate funds

    7.8             70.3       78.1  

Multi-strategy hedge funds

                346.0       346.0  

Private equity funds

                56.0       56.0  

Master limited partnerships

    125.2                   125.2  

Net receivables for unsettled transactions

    4.5                   4.5  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $     1,427.4     $     644.2     $     472.3     $     2,543.9  
   

 

 

   

 

 

   

 

 

   

 

 

 
Weighted average asset allocation and target asset allocation
                                 
    May 27,
     2012    
   

 

  May 29,
     2011    
   

 

  Target
Allocation
 

Equity securities

    41         49         38

Debt securities

    23         22         22

Real estate funds

    3         3         6

Multi-strategy hedge funds

    14         14         15

Private equity

    2         2         7

Other

    17         10         12
   

 

 

       

 

 

   

 

 

 

 

 

Total

    100         100         100
   

 

 

       

 

 

   

 

 

 

 

 
Change in the fair value of the Plan Assets
                                 
    Fair Value
May 29,
2011
    Net Realized
and  Unrealized
Gains (Losses)
    Net,
Purchases
and Sales
    Fair Value
May  27,

2012
 

Real estate funds

    $ 70.3       $ 2.4       $ 10.6       $ 83.2  

Multi-strategy hedge funds

    346.0       38.2       (5.1     379.1  

Private equity

    56.0       2.5       5.7       64.2  

Private energy

          (0.5     2.0       1.6  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

    $     472.3       $     42.6       $       13.2       $     528.1  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

                                 
    Fair Value
May  30,

2010
    Net Realized
and  Unrealized
Gains (Losses)
    Net,
Purchases
and Sales
    Fair Value
May  29,

2011
 

Real estate funds

    $ 61.4       $ 7.5       $ 1.4       $ 70.3  

Multi-strategy hedge funds

    22.1       34.1       289.8       346.0  

Private equity

    39.1       8.1       8.8       56.0  

Contracts with insurance companies

    31.2       (2.4     (28.8      
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

    $     153.8       $       47.3       $     271.2       $     472.3  
   

 

 

   

 

 

   

 

 

   

 

 

 
Assumed Health Care Cost Trend Rates
                 

Assumed Health Care Cost Trend Rates at:

  May 27,
2012
    May 29,
2011
 

Initial health care cost trend rate

    7.5     7.5

Ultimate health care cost trend rate

    5.0     5.0

Year that the rate reaches the ultimate trend rate

    2016       2016  
Percentage point change in assumed health care cost trend rates
                 
    One  Percent
Increase
    One  Percent
Decrease
 

Effect on total service and interest cost

  $         0.6     $         (0.5

Effect on postretirement benefit obligation

    14.8       (13.3
Estimated future gross benefit payments and Medicare Part D subsidy receipts
                         
    Pension
Benefits
    Health Care and Life
Insurance
 
    Benefit
Payments
    Subsidy
Receipts
 

2013

  $         154.2     $         31.1     $         (3.8

2014

    158.4       28.6       (3.2

2015

    163.2       28.1       (3.2

2016

    168.4       27.5       (3.2

2017

    174.2       26.6       (3.1

Succeeding 5 years

    966.1       115.9       (13.0
Plans not individually significant
                                     
          Pension Protection Act
Zone Status
 

FIP /

RP Status

Pending /

Implemented

 

Contributions by

the Company

(millions)

       Expiration
Dates of
Collective
Bargaining
Agreements
Pension Fund   EIN / PN   2011   2010     FY12   FY11   FY10   Surcharge
Imposed
 
Bakery and Confectionary Union and Industry International Pension Plan   52-6118572

/ 001

  Green

12/31/2011-
went to
RED status
3/30/2012

  Green
12/31/2010
  No   $1.3   $1.1   $1.0   No   8/14/2011
to
2/28/2013
Central States, Southeast and Southwest Areas Pension Fund   36-6044243

/ 001

  Red
12/31/2011
  Red

12/31/2010

  Implemented   1.2   1.8   1.7   No   6/1/2014
Western Conference of Teamsters Pension Plan   91-6145047

/ 001

  Green
12/31/2011
  Green
12/31/2010
  N/A   5.2   5.4   6.2   No   07/01/2012
to
05/31/2013

Other Plans

  0.8   0.9   0.8        

Total Contributions

  $8.5   $9.2   $9.7        
XML 126 R105.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 5) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
Pension Benefits [Member]
 
Accumulated other comprehensive income (loss)  
Prior service cost (benefit) $ 3.5
Other Benefits [Member]
 
Accumulated other comprehensive income (loss)  
Prior service cost (benefit) (8.2)
Net actuarial loss $ 7.8
XML 127 R41.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share (Tables)
12 Months Ended
May 27, 2012
Earnings Per Share [Abstract]  
Schedule of reconciliation of income and average share amounts to compute basic and diluted earnings per share
                                 
    2012         2011         2010  

Net Income available to ConAgra Foods, Inc. common stockholders:

                               

Income from continuing operations attributable to ConAgra Foods, Inc. common stockholders

  $     467.8         $     829.1         $     632.8  

Income (loss) from discontinued operations, net of tax, attributable to ConAgra Foods, Inc. common stockholders

    0.1           (11.5         (19.3
   

 

 

       

 

 

       

 

 

 

Net income attributable to ConAgra Foods, Inc. common stockholders

    467.9           817.6           613.5  

Less: Increase in redemption value of noncontrolling interests in excess of earnings allocated

    (1.5         (1.9         (1.5
   

 

 

       

 

 

       

 

 

 

Net income available to ConAgra Foods, Inc. common stockholders

  $ 466.4         $ 815.7         $ 612.0  
   

 

 

       

 

 

       

 

 

 

Weighted Average Shares Outstanding:

                               

Basic weighted average shares outstanding

    412.9           429.7           443.6  

Add: Dilutive effect of stock options, restricted stock awards, and other dilutive securities

    5.4           4.6           3.5  
   

 

 

       

 

 

       

 

 

 

Diluted weighted average shares outstanding

    418.3           434.3           447.1  
   

 

 

       

 

 

       

 

 

 
XML 128 R107.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 7)
12 Months Ended
May 27, 2012
May 29, 2011
Weighted average asset allocation and target asset allocation    
Total 100.00% 100.00%
Target Allocations 100.00%  
Equity securities [Member]
   
Weighted average asset allocation and target asset allocation    
Total 41.00% 49.00%
Target Allocations 38.00%  
Debt securities [Member]
   
Weighted average asset allocation and target asset allocation    
Total 23.00% 22.00%
Target Allocations 22.00%  
Real estate funds [Member]
   
Weighted average asset allocation and target asset allocation    
Total 3.00% 3.00%
Target Allocations 6.00%  
Multi-strategy hedge funds [Member]
   
Weighted average asset allocation and target asset allocation    
Total 14.00% 14.00%
Target Allocations 15.00%  
Private equity [Member]
   
Weighted average asset allocation and target asset allocation    
Total 2.00% 2.00%
Target Allocations 7.00%  
Other [Member]
   
Weighted average asset allocation and target asset allocation    
Total 17.00% 10.00%
Target Allocations 12.00%  
XML 129 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Balance Sheets (Parenthetical) (USD $)
In Millions, except Share data, unless otherwise specified
May 27, 2012
May 29, 2011
Consolidated Balance Sheets [Abstract]    
Allowance for doubtful accounts $ 5.9 $ 7.8
Common stock, par value $ 5 $ 5
Common stock, authorized 1,200,000,000 1,200,000,000
Common stock, issued 567,907,172 567,907,172
Treasury stock, common shares 160,294,748 157,412,899
XML 130 R88.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pre-Tax Income and Income Taxes (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Pre-tax income from continuing operations (including equity method investment earnings)      
United States $ 492.6 $ 1,177.7 $ 856.0
Foreign 177.5 74.8 66.6
Total $ 670.1 $ 1,252.5 $ 922.6
XML 131 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discontinued Operations and Divestitures
12 Months Ended
May 27, 2012
Discontinued Operations and Divestitures [Abstract]  
DISCONTINUED OPERATIONS AND DIVESTITURES

2. DISCONTINUED OPERATIONS AND DIVESTITURES

Frozen Handhelds Operations

During fiscal 2011, we completed the sale of substantially all of the assets of our frozen handhelds operations for $8.8 million in cash. We recognized impairment and related charges totaling $21.7 million ($14.2 million after-tax) in fiscal 2011. We reflected the results of these operations as discontinued operations for all periods presented.

Gilroy Foods & FlavorsTM Operations

During fiscal 2011, we completed the sale of substantially all of the assets of Gilroy Foods & Flavors TM dehydrated garlic, onion, capsicum and Controlled MoistureTM , GardenFrost®, Redi-Made TM , and fresh vegetable operations for $245.7 million in cash. Based on our estimate of proceeds from the sale of this business, we recognized impairment and related charges totaling $59.2 million ($39.9 million after-tax) in fiscal 2010. We reflected the results of these operations as discontinued operations for all periods presented.

In connection with the sale of this business, we entered into agreements to purchase certain ingredients, at prices approximating market rates, from the divested business for a period of five years. The continuing cash flows related to these agreements are not significant, and, accordingly, are not deemed to be direct cash flows of the divested business.

The results of the aforementioned businesses which have been divested are included within discontinued operations. The summary comparative financial results of discontinued operations were as follows:

 

                                 
    2012         2011         2010  

Net sales

  $         0.5         $         92.4         $         355.2  
   

 

 

       

 

 

       

 

 

 

Long-lived asset impairment charge

              (21.7         (58.3

Income (loss) from operations of discontinued operations before income taxes

    0.1           (18.6         (38.9
   

 

 

       

 

 

       

 

 

 

Income (loss) before income taxes

    0.1           (18.6         (38.9

Income tax benefit

              7.1           19.6  
   

 

 

       

 

 

       

 

 

 

Income (loss) from discontinued operations, net of tax

  $ 0.1         $ (11.5       $ (19.3
   

 

 

       

 

 

       

 

 

 

The effective tax rate for discontinued operations varies significantly from the statutory rate in certain years due to the non-deductibility of a portion of the goodwill of divested businesses and changes in estimates of income taxes.

Other Divestitures

In February 2010, we completed the sale of our Luck’s ® brand for proceeds of approximately $22.0 million, resulting in a pre-tax gain of approximately $14.3 million ($9.0 million after-tax), reflected in selling, general and administrative expenses.

XML 132 R58.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discontinued Operations and Divestitures (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
May 27, 2012
May 29, 2011
May 30, 2010
Comparative financial results of the discontinued operations                
Net sales           $ 0.5 $ 92.4 $ 355.2
Long-lived asset impairment charge             (21.7) (58.3)
Income (loss) from operations of discontinued operations before income taxes           0.1 (18.6) (38.9)
Income (loss) before income taxes           0.1 (18.6) (38.9)
Income tax benefit             7.1 19.6
Income (loss) from discontinued operations, net of tax $ 0.1 $ (4.5) $ (10.6) $ 0.6 $ 3.0 $ 0.1 $ (11.5) $ (19.3)
XML 133 R82.htm IDEA: XBRL DOCUMENT v2.4.0.6
Capital Stock (Details) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended 1 Months Ended 12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
May 27, 2012
Preferred Class B [Member]
May 27, 2012
Preferred Class C [Member]
May 27, 2012
Preferred Class D [Member]
May 27, 2012
Preferred Class E [Member]
Dec. 31, 2011
Common Stock [Member]
Feb. 28, 2010
Common Stock [Member]
Dec. 31, 2011
Common Stock [Member]
Capital Stock (Textual) [Abstract]                    
Preferred Stock, Par or Stated Value Per Share       $ 50 $ 100          
Preferred Stock, Shares Authorized       150,000 250,000 1,100,000 16,550,000      
Preferred Stock, No Par Value           $ 0 $ 0      
Preferred Stock, Shares Issued, Total 0                  
Preferred Stock, Shares Outstanding 0                  
Stock Repurchase Program, Authorized Amount               $ 750.0 $ 500.0 $ 554.2
Stock Repurchased During Period, Value $ 352.4 $ 825.0 $ 100.0              
Stock Repurchased During Period, Shares 13,800,000 36,200,000 4,000,000              
XML 134 R106.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 6) (USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
Fair value of Plan assets    
Total Assets $ 2,766.6 $ 2,543.9
Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 1,354.7 1,427.4
Level 2 [Member]
   
Fair value of Plan assets    
Total Assets 883.8 644.2
Level 3 [Member]
   
Fair value of Plan assets    
Total Assets 528.1 472.3
Cash and cash equivalents [Member]
   
Fair value of Plan assets    
Total Assets 321.6 124.2
Cash and cash equivalents [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 1.8 2.7
Cash and cash equivalents [Member] | Level 2 [Member]
   
Fair value of Plan assets    
Total Assets 319.8 121.5
U.S. equity securities [Member]
   
Fair value of Plan assets    
Total Assets 623.5 633.4
U.S. equity securities [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 616.2 625.7
U.S. equity securities [Member] | Level 2 [Member]
   
Fair value of Plan assets    
Total Assets 7.3 7.7
International equity securities [Member]
   
Fair value of Plan assets    
Total Assets 521.8 604.6
International equity securities [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 395.1 473.1
International equity securities [Member] | Level 2 [Member]
   
Fair value of Plan assets    
Total Assets 126.7 131.5
Government bonds [Member]
   
Fair value of Plan assets    
Total Assets 260.5 208.5
Government bonds [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 99.9 53.4
Government bonds [Member] | Level 2 [Member]
   
Fair value of Plan assets    
Total Assets 160.6 155.1
Corporate bonds [Member]
   
Fair value of Plan assets    
Total Assets 208.6 273.0
Corporate bonds [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 9.5 103.5
Corporate bonds [Member] | Level 2 [Member]
   
Fair value of Plan assets    
Total Assets 199.1 169.5
Mortgage-backed bonds [Member]
   
Fair value of Plan assets    
Total Assets 152.7 90.4
Mortgage-backed bonds [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 82.4 31.5
Mortgage-backed bonds [Member] | Level 2 [Member]
   
Fair value of Plan assets    
Total Assets 70.3 58.9
Real estate funds [Member]
   
Fair value of Plan assets    
Total Assets 88.9 78.1
Real estate funds [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 5.7 7.8
Real estate funds [Member] | Level 3 [Member]
   
Fair value of Plan assets    
Total Assets 83.2 70.3
Multi-strategy hedge funds [Member]
   
Fair value of Plan assets    
Total Assets 379.1 346.0
Multi-strategy hedge funds [Member] | Level 3 [Member]
   
Fair value of Plan assets    
Total Assets 379.1 346.0
Private equity [Member]
   
Fair value of Plan assets    
Total Assets 64.2 56.0
Private equity [Member] | Level 3 [Member]
   
Fair value of Plan assets    
Total Assets 64.2 56.0
Master limited partnerships [Member]
   
Fair value of Plan assets    
Total Assets 137.5 125.2
Master limited partnerships [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets 137.5 125.2
Private energy funds [Member]
   
Fair value of Plan assets    
Total Assets 1.6  
Private energy funds [Member] | Level 3 [Member]
   
Fair value of Plan assets    
Total Assets 1.6  
Net receivables for unsettled transactions [Member]
   
Fair value of Plan assets    
Total Assets 6.6 4.5
Net receivables for unsettled transactions [Member] | Level 1 [Member]
   
Fair value of Plan assets    
Total Assets $ 6.6 $ 4.5
XML 135 R69.htm IDEA: XBRL DOCUMENT v2.4.0.6
Variable Interest Entities (Details) (USD $)
In Millions, unless otherwise specified
May 27, 2012
May 29, 2011
May 30, 2010
May 31, 2009
Variable Interest Entities Reflected on condensed consolidated Balance Sheets        
Cash and cash equivalents $ 103.0 $ 972.4 $ 953.2 $ 243.2
Receivables, less allowance for doubtful accounts 924.8 849.4    
Inventories 1,869.6 1,803.4    
Prepaid expenses and other current assets 321.4 274.1    
Property, plant and equipment, net 2,741.9 2,670.1    
Goodwill 4,015.4 3,609.4 3,549.9  
Brands, trademarks and other intangibles, net 1,191.5 936.3    
Total assets 11,441.9 11,408.7 11,738.0  
Current installments of long-term debt 38.1 363.5    
Accounts payable 1,190.3 1,083.7    
Accrued payroll 177.2 124.1    
Other accrued liabilities 779.6 554.3    
Senior long-term debt, excluding current installments 2,662.7 2,674.4    
Other noncurrent liabilities (minority interest) 1,822.1 1,736.1    
Total liabilities 6,905.9 6,732.0    
Variable Interest Entities [Member]
       
Variable Interest Entities Reflected on condensed consolidated Balance Sheets        
Cash and cash equivalents 10.2 5.3    
Receivables, less allowance for doubtful accounts 20.9 18.9    
Inventories 1.6 1.5    
Prepaid expenses and other current assets 0.2 0.3    
Property, plant and equipment, net 82.9 91.8    
Goodwill 18.8 18.8    
Brands, trademarks and other intangibles, net 8.3 9.0    
Total assets 142.9 145.6    
Current installments of long-term debt 30.1 13.4    
Accounts payable 17.9 13.1    
Accrued payroll 0.5 0.4    
Other accrued liabilities 1.0 0.7    
Senior long-term debt, excluding current installments   30.1    
Other noncurrent liabilities (minority interest) 28.9 26.7    
Total liabilities $ 78.4 $ 84.4    
XML 136 R27.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Financial Instruments
12 Months Ended
May 27, 2012
Derivative Financial Instruments [Abstract]  
DERIVATIVE FINANCIAL INSTRUMENTS

19.  DERIVATIVE FINANCIAL INSTRUMENTS

Our operations are exposed to market risks from adverse changes in commodity prices affecting the cost of raw materials and energy, foreign currency exchange rates, and interest rates. In the normal course of business, these risks are managed through a variety of strategies, including the use of derivatives.

Commodity and commodity index futures and option contracts are used from time to time to economically hedge commodity input prices on items such as natural gas, vegetable oils, proteins, dairy, grains, and electricity.

Generally, we economically hedge a portion of our anticipated consumption of commodity inputs for periods of up to 36 months. We may enter into longer-term economic hedges on particular commodities, if deemed appropriate. As of May 27, 2012, we had economically hedged certain portions of our anticipated consumption of commodity inputs using derivative instruments with expiration dates through June 2015.

In order to reduce exposures related to changes in foreign currency exchange rates, we enter into forward exchange, option, or swap contracts from time to time for transactions denominated in a currency other than the applicable functional currency. This includes, but is not limited to, hedging against foreign currency risk in purchasing inventory and capital equipment, sales of finished goods, and future settlement of foreign-denominated assets and liabilities. As of May 27, 2012, we had economically hedged certain portions of our foreign currency risk in anticipated transactions using derivative instruments with expiration dates through May 2017.

From time to time, we may use derivative instruments, including interest rate swaps, to reduce risk related to changes in interest rates. This includes, but is not limited to, hedging against increasing interest rates prior to the issuance of long-term debt and hedging the fair value of our senior long-term debt.

Derivatives Designated as Cash Flow Hedges

We have entered into interest rate swap contracts to hedge the interest rate risk related to our forecasted issuance of long-term debt in 2014 (based on the anticipated refinancing of the senior long-term debt maturing at that time). We designated these interest rate swaps as cash flow hedges of the forecasted interest payments related to this debt issuance. The pre-tax unrealized loss associated with these derivatives, which is deferred in accumulated other comprehensive loss at May 27, 2012, was $153.9 million.

The net notional amount of these interest rate derivatives at May 27, 2012 was $500.0 million.

Hedge ineffectiveness for cash flow hedges may impact net earnings when a change in the value of a hedge does not offset the change in the value of the underlying hedged item. Depending on the nature of the hedge, ineffectiveness is recognized within cost of goods sold or selling, general and administrative expense. We do not exclude any component of the hedging instrument’s gain or loss when assessing ineffectiveness. The ineffectiveness associated with derivatives designated as cash flow hedges from continuing operations was not material to our results of operations in any period presented.

Derivatives Designated as Fair Value Hedges

During fiscal 2010, we entered into interest rate swap contracts to hedge the fair value of certain of our senior long-term debt instruments maturing in fiscal 2012 and 2014. We designated these interest rate swap contracts as fair value hedges of the debt instruments.

Changes in fair value of the derivative instruments are immediately recognized in earnings along with changes in the fair value of the items being hedged (based solely on the change in the benchmark interest rate). These gains and losses are classified within selling, general and administrative expenses. In fiscal 2011 and 2010, we recognized net gains of $23.0 million and $8.5 million, respectively, on the interest rate swap contracts and losses of $29.7 million and $5.1 million, respectively, on the senior long-term debt.

During fiscal 2011, we terminated the interest rate swap contracts and received proceeds of $31.5 million. The cumulative adjustment to the fair value of the debt instruments being hedged (the effective portion of the hedge) is included in long-term debt and is being amortized as a reduction of interest expense over the remaining lives of the debt instruments (through fiscal 2014). At May 27, 2012, the unamortized amount was $17.7 million.

The entire change in fair value of the derivative instruments was included in our assessment of hedge effectiveness.

 

Economic Hedges of Forecasted Cash Flows

Many of our derivatives do not qualify for, and we do not currently designate certain commodity or foreign currency derivatives to achieve, hedge accounting treatment. We reflect realized and unrealized gains and losses from derivatives used to economically hedge anticipated commodity consumption and to mitigate foreign currency cash flow risk in earnings immediately within general corporate expense (within cost of goods sold). The gains and losses are reclassified to segment operating results in the period in which the underlying item being economically hedged is recognized in cost of goods sold.

Economic Hedges of Fair Values—Foreign Currency Exchange Rate Risk

We may use options and cross currency swaps to economically hedge the fair value of certain monetary assets and liabilities (including intercompany balances) denominated in a currency other than the functional currency. These derivatives are marked-to-market with gains and losses immediately recognized in selling, general and administrative expenses. These substantially offset the foreign currency transaction gains or losses recognized on the monetary assets or liabilities being economically hedged.

Derivative Activity in Our Milling Operations

We also use derivative instruments within our milling operations, which are part of the Commercial Foods segment. Derivative instruments used to economically hedge commodity inventories and forward purchase and sales contracts within the milling operations are marked-to-market such that realized and unrealized gains and losses are immediately included in operating results. The underlying inventory and forward contracts being hedged are also marked-to-market with changes in market value recognized immediately in operating results.

For commodity derivative trading activities within our milling operations that are not intended to mitigate commodity input cost risk, the derivative instrument is marked-to-market each period with gains and losses included in net sales of the Commercial Foods segment. There were no material gains or losses from derivative trading activities in fiscal periods being reported.

All derivative instruments are recognized on the balance sheet at fair value. The fair value of derivative assets is recognized within prepaid expenses and other current assets, while the fair value of derivative liabilities is recognized within other accrued liabilities. In accordance with generally accepted accounting principles, we offset certain derivative asset and liability balances, as well as certain amounts representing rights to reclaim cash collateral and obligations to return cash collateral, where legal right of setoff exists. Amounts representing a right to reclaim cash collateral of $13.2 million and $7.8 million were included in prepaid expenses and other current assets in our consolidated balance sheets at May 27, 2012 and May 29, 2011, respectively.

Derivative assets and liabilities and amounts representing a right to reclaim cash collateral were reflected in our balance sheets as follows:

 

                 
    May 27,
2012
    May 29,
2011
 

Prepaid expenses and other current assets

  $         58.7     $         71.5  

Other accrued liabilities

    215.4       92.2  

 

The following table presents our derivative assets and liabilities, on a gross basis, prior to the offsetting of amounts where legal right of setoff exists at May 27, 2012:

 

                                     
    Derivative Assets    

 

  Derivative Liabilities  
    Balance Sheet Location       Fair Value         Balance Sheet Location       Fair Value  

Interest rate contracts

  Prepaid expenses and
other current assets
      $         —         Other accrued liabilities       $         153.9  
           

 

 

   

 

         

 

 

 

Total derivatives designated as hedging instruments

          $                 $ 153.9  
           

 

 

   

 

         

 

 

 

Commodity contracts

  Prepaid expenses and
other current assets
      $ 60.3         Other accrued liabilities       $ 75.6  

Foreign exchange contracts

  Prepaid expenses and
other current assets
        7.3         Other accrued liabilities         8.1  

Other

  Prepaid expenses and
other current assets
        0.6         Other accrued liabilities         0.5  
           

 

 

   

 

         

 

 

 

Total derivatives not designated as hedging instruments

          $ 68.2                 $ 84.2  
           

 

 

   

 

         

 

 

 

Total derivatives

          $ 68.2                 $ 238.1  
           

 

 

   

 

         

 

 

 

The following table presents our derivative assets and liabilities, on a gross basis, prior to the offsetting of amounts where legal right of setoff exists at May 29, 2011:

 

                         
    Derivative Assets     Derivative Liabilities  
    Balance Sheet Location   Fair Value     Balance Sheet Location   Fair Value  

Interest rate contracts

  Prepaid expenses and other

current assets

  $         —     Other accrued liabilities   $         11.8  
       

 

 

       

 

 

 

Total derivatives designated as hedging instruments

      $         $ 11.8  
       

 

 

       

 

 

 

Commodity contracts

  Prepaid expenses and other

current assets

  $ 85.4     Other accrued liabilities   $ 84.4  

Foreign exchange contracts

  Prepaid expenses and other

current assets

    1.0     Other accrued liabilities     19.2  

Other

  Prepaid expenses and other

current assets

    0.7     Other accrued liabilities     0.2  
       

 

 

       

 

 

 

Total derivatives not designated as hedging instruments

      $ 87.1         $ 103.8  
       

 

 

       

 

 

 

Total derivatives

      $ 87.1         $ 115.6  
       

 

 

       

 

 

 

 

The location and amount of gains (losses) from derivatives not designated as hedging instruments in our statements of earnings were as follows:

 

                 
    For the Fiscal Year Ended May 27, 2012  

Derivatives Not Designated as Hedging
Instruments

  Location in Consolidated Statement  of
Earnings of Gain (Loss) Recognized on Derivatives
 

 

  Amount of Gain  (Loss)
Recognized on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

  Net sales       $ (6.4

Commodity contracts

  Cost of goods sold         58.5  

Foreign exchange contracts

  Cost of goods sold         5.4  

Commodity contracts

  Selling, general and administrative expenses         (0.1

Foreign exchange contracts

  Selling, general and administrative expenses         8.7  
           

 

 

 

Total gain from derivative
instruments not designated as
hedging instruments

          $         66.1  
           

 

 

 

 

                 
    For the Fiscal Year Ended May 29, 2011  

Derivatives Not Designated as Hedging
Instruments

  Location in Consolidated Statement  of
Earnings of Gain (Loss) Recognized on Derivatives
 

 

  Amount of Gain  (Loss)
Recognized on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

  Net sales       $         3.8  

Commodity contracts

  Cost of goods sold         54.3  

Foreign exchange contracts

  Cost of goods sold         (20.2

Commodity contracts

  Selling, general and administrative expenses         2.1  

Foreign exchange contracts

  Selling, general and administrative expenses         (7.9
           

 

 

 

Total gain from derivative instruments
not designated as hedging
instruments

          $ 32.1  
           

 

 

 

 

                 
    For the Fiscal Year Ended May 30, 2010  

Derivatives Not Designated as Hedging
Instruments

  Location in Consolidated Statement  of
Earnings of Gain Recognized on Derivatives
 

 

  Amount of Gain
Recognized  on Derivatives in
Consolidated Statement of
Earnings
 

Commodity contracts

  Net sales       $         1.1  

Commodity contracts

  Cost of goods sold         147.9  

Foreign exchange contracts

  Cost of goods sold         0.5  

Other

  Selling, general and administrative expenses         2.6  
           

 

 

 

Total gain from derivative instruments
not designated as hedging
instruments

          $ 152.1  
           

 

 

 

As of May 27, 2012, our open commodity contracts had a notional value (defined as notional quantity times market value per notional quantity unit) of $1.9 billion and $1.3 billion for purchase and sales contracts, respectively. As of May 29, 2011, our open commodity contracts had a notional value of $1.0 billion and $1.2 billion for purchase and sales contracts, respectively. The notional amount of our foreign currency forward and cross currency swap contracts as of May 27, 2012 and May 29, 2011 was $455.7 million and $292.7 million, respectively. In addition, we held foreign currency option collar contracts with notional amounts of $86.4 million as of May 29, 2011. No option collar contracts were held at the end of fiscal 2012.

We enter into certain commodity, interest rate, and foreign exchange derivatives with a diversified group of counterparties. We continually monitor our positions and the credit ratings of the counterparties involved and limit the amount of credit exposure to any one party. These transactions may expose us to potential losses due to the risk of nonperformance by these counterparties. We have not incurred a material loss and do not expect to incur any such material losses. We also enter into futures and options transactions through various regulated exchanges.

At May 27, 2012, the maximum amount of loss due to the credit risk of the counterparties, had the counterparties failed to perform according to the terms of the contracts, was $44.9 million.

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'Monetary' elements on report '06223 - Disclosure - Business Segments and Related Information (Details Textual)' had a mix of different decimal attribute values. Process Flow-Through: 0110 - Statement - Consolidated Statements of Earnings Process Flow-Through: Removing column '3 Months Ended May 27, 2012' Process Flow-Through: Removing column '3 Months Ended Feb. 26, 2012' Process Flow-Through: Removing column '3 Months Ended Nov. 27, 2011' Process Flow-Through: Removing column '3 Months Ended Aug. 28, 2011' Process Flow-Through: Removing column '3 Months Ended May 29, 2011' Process Flow-Through: Removing column '3 Months Ended Feb. 27, 2011' Process Flow-Through: Removing column '3 Months Ended Nov. 28, 2010' Process Flow-Through: Removing column '3 Months Ended Aug. 29, 2010' Process Flow-Through: 0120 - Statement - Consolidated Statements of Comprehensive Income Process Flow-Through: 0130 - Statement - Consolidated Balance Sheets Process Flow-Through: Removing column 'May 30, 2010' Process Flow-Through: Removing column 'May 31, 2009' Process Flow-Through: 0131 - Statement - Consolidated Balance Sheets (Parenthetical) Process Flow-Through: 0150 - Statement - Consolidated Statements of Cash Flows cag-20120527.xml cag-20120527.xsd cag-20120527_cal.xml cag-20120527_def.xml cag-20120527_lab.xml cag-20120527_pre.xml true true XML 138 R117.htm IDEA: XBRL DOCUMENT v2.4.0.6
Business Segments and Related Information (Details 1) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
May 27, 2012
Feb. 26, 2012
Nov. 27, 2011
Aug. 28, 2011
May 29, 2011
Feb. 27, 2011
Nov. 28, 2010
Aug. 29, 2010
May 27, 2012
May 29, 2011
May 30, 2010
Net sales by product type segments                      
Total net sales $ 3,413.6 $ 3,373.1 $ 3,403.9 $ 3,072.0 $ 3,210.0 $ 3,141.3 $ 3,147.5 $ 2,804.3 $ 13,262.6 $ 12,303.1 $ 12,014.9
Consumer foods [Member]
                     
Net sales by product type segments                      
Total net sales                 8,376.8 8,002.0 7,939.7
Commercial foods [Member]
                     
Net sales by product type segments                      
Total net sales                 4,885.8 4,301.1 4,075.2
Snacks [Member] | Consumer foods [Member]
                     
Net sales by product type segments                      
Total net sales                 1,237.6 1,209.8 1,229.3
Specialty Potatoes [Member] | Commercial foods [Member]
                     
Net sales by product type segments                      
Total net sales                 2,631.0 2,375.3 2,277.6
Milled Products [Member] | Commercial foods [Member]
                     
Net sales by product type segments                      
Total net sales                 1,804.9 1,520.5 1,413.3
Seasonings, Blends, and Flavors [Member] | Commercial foods [Member]
                     
Net sales by product type segments                      
Total net sales                 449.9 405.3 384.3
Grocery [Member] | Consumer foods [Member]
                     
Net sales by product type segments                      
Total net sales                 3,358.0 3,258.7 3,381.8
International [Member] | Consumer foods [Member]
                     
Net sales by product type segments                      
Total net sales                 841.5 714.2 659.4
Store Brands [Member] | Consumer foods [Member]
                     
Net sales by product type segments                      
Total net sales                 631.9 528.8 454.7
Other Brands [Member] | Consumer foods [Member]
                     
Net sales by product type segments                      
Total net sales                 317.2 325.3 367.8
Frozen [Member] | Consumer foods [Member]
                     
Net sales by product type segments                      
Total net sales                 $ 1,990.6 $ 1,965.2 $ 1,846.7
XML 139 R74.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share (Details Textual)
In Millions, unless otherwise specified
12 Months Ended
May 27, 2012
May 29, 2011
May 30, 2010
Earnings Per Share (Textual) [Abstract]      
Stock options outstanding 11.3 15.8 18.8
XML 140 R38.htm IDEA: XBRL DOCUMENT v2.4.0.6
Restructuring Activities (Tables)
12 Months Ended
May 27, 2012
Restructuring Activities [Abstract]  
Summary of expected realization and incurred restructuring pre tax expenses
         
    Total  

Accelerated depreciation

  $ 8.5  
   

 

 

 

Total cost of goods sold

    8.5  
   

 

 

 

Severance and related costs

    9.9  
   

 

 

 

Total selling, general and administrative expenses

    9.9  
   

 

 

 

Consolidated total

  $     18.4  
   

 

 

 

During fiscal 2012, we recognized the following pre-tax charges in our consolidated statement of earnings, all within our Consumer Foods reporting segment, for acquisition-related exit costs:

 

         
    Total  

Accelerated depreciation

  $     0.2  
   

 

 

 

Total cost of goods sold

    0.2  
   

 

 

 

Severance and related costs

    4.3  
   

 

 

 

Total selling, general and administrative expenses

    4.3  
   

 

 

 

Consolidated total

  $ 4.5  
   

 

 

 
                                             
    Consumer
Foods
        Commercial
Foods
        Corporate         Total  

Accelerated depreciation

  $         —         $         —         $         1.5         $         1.5  

Severance and related costs

    6.5                     2.3           8.8  

Other, net

    7.0           1.3           0.2           8.5  
   

 

 

       

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    13.5           1.3           4.0           18.8  
   

 

 

       

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 13.5         $ 1.3         $ 4.0         $ 18.8  
   

 

 

       

 

 

       

 

 

       

 

 

 
                                             
    Consumer
Foods
        Commercial
Foods
        Corporate         Total  

Accelerated depreciation

  $         —         $         —         $         1.1         $         1.1  

Severance and related costs

    6.2                     2.2           8.4  

Other, net

    6.0           1.0           0.2           7.2  
   

 

 

       

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    12.2           1.0           3.5           16.7  
   

 

 

       

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 12.2         $ 1.0         $ 3.5         $ 16.7  
   

 

 

       

 

 

       

 

 

       

 

 

 
                                 
    Consumer
Foods
        Commercial
Foods
        Total  

Accelerated depreciation

  $         22.4         $         —         $         22.4  

Inventory write-offs and related costs

    11.2           0.4           11.6  
   

 

 

       

 

 

       

 

 

 

Total cost of goods sold

    33.6           0.4           34.0  
   

 

 

       

 

 

       

 

 

 

Asset impairment

    13.3           14.0           27.3  

Severance and related costs

    9.7           0.1           9.8  

Other, net

    10.6           1.5           12.1  
   

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    33.6           15.6           49.2  
   

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 67.2         $ 16.0         $ 83.2  
   

 

 

       

 

 

       

 

 

 
                                 
    Consumer
Foods
        Commercial
Foods
        Total  

Accelerated depreciation

  $         15.5         $         —         $         15.5  

Inventory write-offs and related costs

    6.7           0.1           6.8  
   

 

 

       

 

 

       

 

 

 

Total cost of goods sold

    22.2           0.1           22.3  
   

 

 

       

 

 

       

 

 

 

Asset impairment

    4.7           3.5           8.2  

Severance and related costs

    4.6                     4.6  

Other, net

    5.2           1.5           6.7  
   

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    14.5           5.0           19.5  

Consolidated total

  $ 36.7         $ 5.1         $ 41.8  
   

 

 

       

 

 

       

 

 

 
                                 
    Consumer
Foods
        Commercial
Foods
        Total  

Accelerated depreciation

  $         20.5         $         —         $         20.5  

Inventory write-offs and related costs

    6.9           0.4           7.3  
   

 

 

       

 

 

       

 

 

 

Total cost of goods sold

    27.4           0.4           27.8  
   

 

 

       

 

 

       

 

 

 

Asset impairment

    13.3           14.0           27.3  

Severance and related costs

    9.5           0.1           9.6  

Other, net

    6.2           1.5           7.7  
   

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    29.0           15.6           44.6  
   

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 56.4         $ 16.0         $ 72.4  
   

 

 

       

 

 

       

 

 

 
                                 
    Consumer
Foods
        Corporate         Total  

Accelerated depreciation

  $         19.1         $         —         $         19.1  

Inventory write-offs

    0.7                     0.7  
   

 

 

       

 

 

       

 

 

 

Total cost of goods sold

    19.8                     19.8  
   

 

 

       

 

 

       

 

 

 

Asset impairment

    17.5                     17.5  

Severance and related costs

    16.8                     16.8  

Other, net

    9.8           3.6           13.4  
   

 

 

       

 

 

       

 

 

 

Total selling, general and administrative expenses

    44.1           3.6           47.7  
   

 

 

       

 

 

       

 

 

 

Consolidated total

  $ 63.9         $ 3.6         $ 67.5  
   

 

 

       

 

 

       

 

 

 
Liability for initiatives and changes
                                 
    Balance at
May  29,
2011
        Costs Incurred
and Charged
to Expense
        Balance at
May  27,
2012
 

Severance and related costs

  $         —         $         4.3         $         4.3  
   

 

 

       

 

 

       

 

 

 

Total

  $         $ 4.3         $ 4.3  
   

 

 

       

 

 

       

 

 

 
                                                         
    Balance at
May  29,
2011
        Costs Incurred
and Charged
to Expense
        Costs Paid
or  Otherwise
Settled
        Changes  in
Estimates
        Balance at
May  27,
2012
 

Severance and related costs

  $         —         $         9.2         $         (6.3       $         (0.8       $         2.1  

Plan implementation costs

              7.1           (6.8                   0.3  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Total

  $         $ 16.3         $ (13.1       $ (0.8       $ 2.4  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 
                                                         
    Balance at
May  29,
2011
        Costs Incurred
and  Charged
to Expense
        Costs Paid
or  Otherwise
Settled
        Changes  in
Estimates
        Balance at
May  27,
2012
 

Severance and related costs

  $         4.8         $         3.8         $         (2.2       $         0.6         $         7.0  

Plan implementation costs

              7.5           (6.7                   0.8  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 

Total

  $ 4.8         $ 11.3         $ (8.9       $ 0.6         $ 7.8  
   

 

 

       

 

 

       

 

 

       

 

 

       

 

 

 
XML 141 R20.htm IDEA: XBRL DOCUMENT v2.4.0.6
Senior Long-Term Debt Subordinated Debt And Loan Agreements
12 Months Ended
May 27, 2012
Credit Facilities and Borrowings [Abstract]  
SENIOR LONG-TERM DEBT, SUBORDINATED DEBT AND LOAN AGREEMENTS

12.  SENIOR LONG-TERM DEBT, SUBORDINATED DEBT AND LOAN AGREEMENTS

 

                 
    2012     2011  

Senior Debt

               

8.25% senior debt due September 2030

  $         300.0     $         300.0  

7.0% senior debt due October 2028

    382.2       382.2  

6.7% senior debt due August 2027

    9.2       9.2  

7.125% senior debt due October 2026

    372.4       372.4  

7.0% senior debt due April 2019

    500.0       500.0  

5.819% senior debt due June 2017

    500.0       500.0  

5.875% senior debt due April 2014

    500.0       500.0  

6.75% senior debt due September 2011

          342.7  

2.00% to 9.59% lease financing obligations due on various dates through 2029

    106.0       105.4  

Other indebtedness

    73.1       67.0  
   

 

 

   

 

 

 

Total face value senior debt

  $ 2,742.9     $ 3,078.9  
   

 

 

   

 

 

 

Subordinated Debt

               

9.75% subordinated debt due March 2021

  $ 195.9     $ 195.9  
   

 

 

   

 

 

 

Total face value subordinated debt

    195.9       195.9  
   

 

 

   

 

 

 

Total debt face value

    2,938.8       3,274.8  

Unamortized discounts/premiums

    (59.8     (68.3

Adjustment due to hedging activity

    17.7       27.3  

Less current installments

    (38.1     (363.5
   

 

 

   

 

 

 

Total long-term debt

  $ 2,858.6     $ 2,870.3  
   

 

 

   

 

 

 

The aggregate minimum principal maturities of the long-term debt for each of the five fiscal years following May 27, 2012, are as follows:

 

         

2013

  $          38.1  

2014

    508.9  

2015

    82.1  

2016

    5.4  

2017

    14.7  

Lease financing obligations and other indebtedness included $30.1 million and $43.5 million of debt of consolidated variable interest entities at May 27, 2012 and May 29, 2011, respectively.

During fiscal 2012, we repaid the entire principal balance of $342.7 million of our 6.75% senior notes, which were due September 15, 2011.

 

During fiscal 2011, we repaid the entire principal balance of $248.0 million of our 7.875% senior notes, which were due September 15, 2010.

We consolidate the financial statements of Lamb Weston BSW. In fiscal 2011, we repaid $35.4 million of bank borrowings by our Lamb Weston BSW potato processing venture.

Our most restrictive debt agreements (the revolving credit facility and certain privately placed long-term debt) require that our consolidated funded debt not exceed 65% of our consolidated capital base, and that our fixed charges coverage ratio be greater than 1.75 to 1.0 on a four-quarter rolling basis. At May 27, 2012, we were in compliance with our debt covenants.

Net interest expense consists of:

 

                                 
    2012         2011         2010  

Long-term debt

  $     213.2         $     231.1         $     257.7  

Short-term debt

    0.3           0.2           0.1  

Interest income

    (4.0         (42.2         (85.2

Interest capitalized

    (5.5         (11.6         (12.2
   

 

 

       

 

 

       

 

 

 
    $ 204.0         $ 177.5         $ 160.4  
   

 

 

       

 

 

       

 

 

 

Interest paid from continuing and discontinued operations was $211.9 million, $231.7 million, and $244.3 million in fiscal 2012, 2011, and 2010, respectively.

Our net interest expense was reduced by $9.9 million, $14.5 million, and $1.2 million in fiscal 2012, 2011, and 2010, respectively, due to the impact of interest rate swap contracts entered into in fiscal 2010. The interest rate swaps effectively changed our interest rates on the senior long-term debt instruments maturing in fiscal 2012 and 2014 from fixed to variable. During fiscal 2011, we terminated the interest rate swap contracts and received proceeds of $31.5 million. The cumulative adjustment to the fair value of the debt instruments being hedged (the effective portion of the hedge) is being amortized as a reduction of interest expense over the remaining lives of the debt instruments (through fiscal 2014).

Our net interest expense was increased by $0.2 million, $1.0 million, and $0.7 million in fiscal 2012, 2011, and 2010, respectively, due to the net impact of previously terminated interest rate swap agreements.

XML 142 R101.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Postretirement Benefits (Details 1) (USD $)
In Millions, unless otherwise specified
May 27, 2012
Sep. 08, 2011
May 29, 2011
Amounts Recognized in Accumulated Other Comprehensive (Income) Loss (Pre-tax)      
Actuarial net loss $ (27.6)    
Weighted-Average Actuarial Assumptions Used to Determine Benefit Obligations At May 27, 2012 and May 29, 2011      
Discount rate   4.30% 4.90%
Projected benefit obligation, accumulated benefit obligation, and fair value of plan in excess of plan assets      
Projected benefit obligation 3,159.7   2,505.6
Accumulated benefit obligation 3,057.2   2,436.1
Fair value of plan assets 2,594.1   2,153.4
Pension Benefits [Member]
     
Funded status and Amounts recognized in Balance Sheets      
Funded status (561.7)   (337.5)
Amounts Recognized in Consolidated Balance Sheets      
Other assets 3.9   14.7
Other accrued liabilities (8.8)   (8.7)
Other noncurrent liabilities (556.8)   (343.5)
Net amount recognized (561.7)   (337.5)
Amounts Recognized in Accumulated Other Comprehensive (Income) Loss (Pre-tax)      
Actuarial net loss 332.0   205.9
Net prior service cost (benefit) 17.9   15.7
Total 349.9   221.6
Weighted-Average Actuarial Assumptions Used to Determine Benefit Obligations At May 27, 2012 and May 29, 2011      
Discount rate 4.50%   5.30%
Long-term rate of compensation increase 4.25%   4.25%
Other Benefits [Member]
     
Funded status and Amounts recognized in Balance Sheets      
Funded status (282.6)   (322.5)
Amounts Recognized in Consolidated Balance Sheets      
Other accrued liabilities (26.8)   (27.5)
Other noncurrent liabilities (255.8)   (295.0)
Net amount recognized (282.6)   (322.5)
Amounts Recognized in Accumulated Other Comprehensive (Income) Loss (Pre-tax)      
Actuarial net loss 80.5   75.6
Net prior service cost (benefit) (39.3)   (12.2)
Total $ 41.2   $ 63.4
Weighted-Average Actuarial Assumptions Used to Determine Benefit Obligations At May 27, 2012 and May 29, 2011      
Discount rate 3.90%   4.90%