52 Weeks
Ended
27 November
2016
£m
52 Weeks
Ended
29 November
2015
£m
Profit for the period12.011.8
Other comprehensive income:
Items that may be subsequently reclassified to profit or loss
Cash flow hedges
— Gains arising on forward contracts0.10.2
— Gains arising on commodity swaps0.8
— Losses arising on commodity swaps(0.2)(0.7)
Foreign exchange gains on translation of foreign subsidiary0.3
Other comprehensive income for the period, net of tax1.0(0.5)
Total comprehensive income for the period13.011.3

The Notes to the Consolidated Financial Statements form part of these financial statements.

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