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Restructuring, Impairment, and Other Exit Costs (Tables)
6 Months Ended
Nov. 25, 2018
Restructuring, Impairment, and Other Exit Costs [Abstract]  
Schedule of restructuring and impairment charges [Table Text Block]
Quarter EndedSix-Month Period Ended
In MillionsNov. 25, 2018Nov. 26, 2017Nov. 25, 2018Nov. 26, 2017
Asset impairments$205.8$-$205.8$-
Charges associated with restructuring actions previously announced3.62.22.419.7
Total$209.4$2.2$208.2$19.7
Schedule of restructuring charges and project-related costs presentation [Table Text Block]
Quarter EndedSix-Month Period Ended
In MillionsNov. 25, 2018Nov. 26, 2017Nov. 25, 2018Nov. 26, 2017
Restructuring, impairment, and other exit costs$209.4$1.6$208.0$6.8
Cost of sales-0.60.212.9
Total restructuring and impairment charges209.42.2208.219.7
Project-related costs classified in cost of sales$-$4.2$1.2$5.4
Rollforward of restructuring and other exit cost reserves [Table Text Block]
In MillionsSeveranceContract TerminationOtherExit CostsTotal
Reserve balance as of May 27, 2018$66.0$0.1$0.7$66.8
Fiscal 2019 charges, including foreign currency translation(6.4)0.91.9(3.6)
Utilized in fiscal 2019(20.9)(1.0)(2.3)(24.2)
Reserve balance as of Nov. 25, 2018$38.7$-$0.3$39.0