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Condensed Consolidated Statements of Changes in Common Stockholders' Investment - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Feb. 29, 2024
Feb. 28, 2023
Feb. 29, 2024
Feb. 28, 2023
Beginning Balance     $ 26,088  
Net income $ 879 $ 771 2,857 $ 2,434
Other comprehensive (loss) income, net of tax benefit (expense) of $2, ($5), ($8), and $23 (41) 77 (8) (205)
Ending Balance 26,375 24,733 26,375 24,733
Common Stock        
Beginning Balance 32 32 32 32
Ending Balance 32 32 32 32
Additional Paid-In Capital        
Beginning Balance 3,849 3,487 3,769 3,712
Purchase of treasury stock 4 218 (30) (82)
Employee incentive plans and other 45 30 159 105
Ending Balance 3,898 3,735 3,898 3,735
Retained Earnings        
Beginning Balance 36,605 33,557 35,259 32,782
Net income 879 771 2,857 2,434
Cash dividends declared ($1.26, $1.15, $3.78, and $4.60 per share) (310) (288) (942) (1,176)
Ending Balance 37,174 34,040 37,174 34,040
Accumulated Other Comprehensive Loss        
Beginning Balance (1,294) (1,385) (1,327) (1,103)
Other comprehensive (loss) income, net of tax benefit (expense) of $2, ($5), ($8), and $23 (41) 77 (8) (205)
Ending Balance (1,335) (1,308) (1,335) (1,308)
Treasury Stock        
Beginning Balance (12,426) (11,576) (11,645) (10,484)
Purchase of treasury stock (1,011) (218) (1,985) (1,418)
Employee incentive plans and other 43 28 236 136
Ending Balance $ (13,394) $ (11,766) $ (13,394) $ (11,766)