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Debt, Derivatives and Hedging Activities - Summary of Debt Outstanding (Details) - USD ($)
Nov. 30, 2019
May 31, 2019
Debt due within one year    
Debt due within one year $ 199,788,000 $ 312,264,000
Debt issuance costs (212,000) (236,000)
Debt due after one year    
Debt issuance costs (14,666,000) (16,150,000)
Total debt due after one year 2,538,606,000 2,537,507,000
Term loan due 2020    
Debt due within one year    
Debt due within one year $ 200,000,000 200,000,000
Debt due after one year    
Variable borrowing rate 2.44%  
Senior notes    
Debt due after one year    
Face value $ 2,550,000,000.0  
Senior notes | Senior Notes, 4.30%, 2022 Maturity    
Debt due after one year    
Debt due after one year, gross $ 250,000,000 250,000,000
Stated interest rate 4.30%  
Senior notes | Senior Notes, 2.90%, 2022 Maturity    
Debt due after one year    
Debt due after one year, gross $ 650,000,000 650,000,000
Stated interest rate 2.90%  
Senior notes | Senior Notes, 3.25%, 2023 Maturity    
Debt due after one year    
Debt due after one year, gross $ 300,000,000 300,000,000
Stated interest rate 3.25%  
Senior notes | Senior Notes, 2.78%, 2023 Maturity    
Debt due after one year    
Debt due after one year, gross $ 51,467,000 51,684,000
Stated interest rate 2.78%  
Senior notes | Senior Notes, 2.78%, 2023 Maturity | G&K Services    
Debt due after one year    
Stated interest rate 3.73%  
Face value $ 50,000,000.0  
Senior notes | Senior Notes, 3.11%, 2025 Maturity    
Debt due after one year    
Debt due after one year, gross $ 51,805,000 51,973,000
Stated interest rate 3.11%  
Senior notes | Senior Notes, 3.11%, 2025 Maturity | G&K Services    
Debt due after one year    
Stated interest rate 3.88%  
Face value $ 50,000,000.0  
Senior notes | Senior Notes, 3.70%, 2027 Maturity    
Debt due after one year    
Debt due after one year, gross $ 1,000,000,000 1,000,000,000
Stated interest rate 3.70%  
Senior notes | Senior Notes, 6.15%, 2037 Maturity    
Debt due after one year    
Debt due after one year, gross $ 250,000,000 250,000,000
Stated interest rate 6.15%  
Commercial paper    
Debt due within one year    
Debt due within one year $ 0 $ 112,500,000
Debt due after one year    
Variable borrowing rate   2.68%