Retirement Plans [Abstract] | Period [Axis] |
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2015-05-01 - 2016-04-30 |
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Retirement Plans [Abstract] | |
Change In Benefit Obligation |
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Change in Projected Benefit Obligation
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April 30,
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(in millions)
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2016
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2015
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Projected Benefit obligation, beginning of fiscal year
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$
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114.3
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$
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106.6
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Service cost
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1.5
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1.2
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Interest cost
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3.1
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3.4
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Plan participants' contributions
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0.3
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0.3
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Actuarial (gain) loss
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(2.2)
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14.7
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Benefits payments
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(3.1)
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(2.2)
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Assumption changes
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(0.6)
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0.6
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Curtailment/settlement
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(2.5)
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(0.3)
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Currency translation adjustment
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(4.0)
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(10.0)
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Projected benefit obligation, end of fiscal year
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$
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106.8
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$
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114.3
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Accumulated benefit obligation, end of fiscal year
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$
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101.5
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$
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109.2
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Change In Plan Assets |
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Change in Plan Assets
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April 30,
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(in millions)
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2016
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2015
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Fair value of plan assets, beginning of fiscal year
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$
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74.9
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$
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74.2
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Actual return on plan assets
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(0.3)
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6.1
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Employer contribution
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2.5
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2.3
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Plan participants' contributions
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0.3
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0.3
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Benefits payments
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(2.8)
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(1.8)
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Settlements
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(2.0)
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-
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Other
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(0.7)
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-
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Currency translation adjustment
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(3.4)
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(6.2)
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Fair value of plan assets, end of fiscal year
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$
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68.5
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$
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74.9
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Funded status, end of fiscal year
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$
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(38.3)
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$
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(39.4)
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Amounts Recognized In The Consolidated Balance Sheets |
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Amounts Recognized on Our Consolidated Balance Sheets
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April 30,
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(in millions)
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2016
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2015
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Non-current asset
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$
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0.2
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$
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1.0
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Current liability
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(0.1)
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(0.1)
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Non-current liability
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(38.4)
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(40.3)
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Total
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$
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(38.3)
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$
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(39.4)
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Amounts Recognized In Accumulated Other Comprehensive Income (Loss) |
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Amounts Recognized in Accumulated Other Comprehensive Income (Loss)
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April 30,
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(in millions)
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2016
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2015
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May 31, 2014
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Net actuarial gain (loss)
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$
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(19.7)
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$
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(19.9)
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$
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(8.5)
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Prior service cost
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(0.4)
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(1.0)
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(1.4)
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Tax
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4.0
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4.6
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2.5
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Total amounts recognized in accumulated
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other comprehensive income (loss)
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$
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(16.1)
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$
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(16.3)
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$
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(7.4)
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Components Of Net Periodic Pension Cost |
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Components of Net Periodic Pension Cost
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Year Ended
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11 Months Ended
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Year Ended
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(in millions)
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April 30, 2016
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April 30, 2015
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May 31, 2014
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Service cost
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$
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1.5
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$
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1.2
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$
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1.4
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Interest cost
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3.1
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3.4
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4.2
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Amortization of prior service cost
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0.2
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0.2
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1.9
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Amortization of net actuarial (gain) loss
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0.7
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0.3
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0.6
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Expected return on plan assets
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(3.8)
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(3.7)
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(3.9)
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Curtailment/settlement
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0.1
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-
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-
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Net periodic pension cost
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$
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1.8
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$
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1.4
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$
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4.2
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Other Changes In Plan Assets And Benefit Obligations Recognized In Other Comprehensive Income (Loss) |
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Year Ended
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11 Months Ended
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Year Ended
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(in millions)
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April 30, 2016
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April 30, 2015
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May 31, 2014
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Net actuarial gain (loss)
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$
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0.2
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$
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(11.4)
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$
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1.7
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Prior service cost
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0.8
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0.6
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2.0
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Amortization of prior service cost
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(0.2)
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(0.2)
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(1.9)
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Tax
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(0.6)
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2.1
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(0.3)
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Total recognized in other comprehensive income (loss)
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$
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0.2
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$
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(8.9)
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$
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1.5
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Total recognized in net periodic benefit costs and
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other comprehensive income (loss)
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$
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(1.6)
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$
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(10.3)
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$
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(2.7)
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Estimated Amortization To Be Recognized As Part Of Net Periodic Pension Cost |
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(in millions)
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Net actuarial (gain) loss
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$
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0.6
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Prior service cost
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$
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0.2
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Schedule of Accumulated Benefit Obligations in Excess of Fair Value of Plan Assets |
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April 30,
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(in millions)
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2016
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2015
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Projected benefit obligation
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$
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106.5
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$
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113.0
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Accumulated benefit obligation
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$
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101.1
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$
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107.8
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Fair value of plan assets
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$
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68.0
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$
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72.5
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Schedule of Fair Value of Plan Assets |
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April 30, 2016
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Fair Value Measurements Using Inputs Considered as
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(in millions)
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Level 1
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Level 2
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Level 3
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Fair Value
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Assets
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Equity securities
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$
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-
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$
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40.2
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$
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-
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$
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40.2
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Debt securities
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-
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19.2
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-
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19.2
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Other
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0.4
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8.7
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-
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9.1
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Total
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$
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0.4
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$
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68.1
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$
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-
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$
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68.5
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April 30, 2015
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Fair Value Measurements Using Inputs Considered as
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(in millions)
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Level 1
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Level 2
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Level 3
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Fair Value
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Assets
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Equity securities
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$
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-
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$
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42.9
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$
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-
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$
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42.9
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Debt securities
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-
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21.4
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-
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21.4
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Other
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0.3
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10.3
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-
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10.6
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Total
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$
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0.3
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$
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74.6
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$
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-
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$
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74.9
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Weighted-Average Assumptions Used To Determine Benefit Obligations |
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Weighted-Average Assumptions Used to Determine Benefit Obligations
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April 30,
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May 31,
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2016
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2015
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2014
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Projected benefit obligation
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Discount rate
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2.9
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%
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2.9
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%
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3.9
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%
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Rate of compensation increase
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2.5
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%
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2.5
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%
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2.9
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%
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Net periodic benefit cost
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Discount rate
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2.9
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%
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3.7
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%
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4.0
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%
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Expected rate of return on plan assets
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5.2
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%
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5.5
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%
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5.5
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%
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Rate of compensation increase
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2.5
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%
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2.5
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%
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3.1
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%
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The Asset Allocation For Pension Plans By Asset Category |
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Target
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Percentage of
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Allocation
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Plan Assets at
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Fiscal 2017
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April 30, 2016
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Equity securities
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58.7
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%
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58.7
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%
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Debt instruments
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28.0
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%
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28.0
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%
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Other
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13.3
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%
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13.3
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%
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Future Benefit Payments Related To Our Defined Benefit Plans |
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(in millions)
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Fiscal 2017
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$
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2.2
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Fiscal 2018
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2.5
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Fiscal 2019
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2.2
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Fiscal 2020
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2.4
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Fiscal 2021
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2.3
|
Fiscal 2022 through 2026
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14.7
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Total
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$
|
26.3
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