NotesShare
Capital
£m
Share
Premium
£m
Treasury
Shares
Reserve
£m
Reverse
Acquisition
Reserve
£m
Other
Reserves
£m
Retained
Earnings
£m
Total
Equity
£m
Balance at 1 December 2013 12.4251.5(52.4)(116.2)(0.1)107.2202.4
Profit for the period7.37.3
Other comprehensive income:
Cash flow hedges
— Losses arising on forward foreign exchange contracts4.9(0.4)(0.4)
— Gains arising on interest rate swaps4.90.30.3
Translation of foreign subsidiary4.9(0.1)(0.1)
Total Comprehensive Income/(Expense) for the Period Ended 30 November 2014 (0.2)7.37.1
Transactions with owners:
— Issues of ordinary shares4.90.13.63.7
— Share-based payments charge4.44.4
— Disposal of treasury shares0.60.6
Total Transactions with Owners 0.13.60.64.48.7
Balance at 30 November 2014 12.5255.1(51.8)(116.2)(0.3)118.9218.2
Profit for the period11.811.8
Other comprehensive income:       
Cash flow hedges       
— Gains arising on forward contracts4.90.20.2
— Losses arising on commodity swaps4.9(0.7)(0.7)
— Gains arising on interest rate swaps4.9
Translation of foreign subsidiary4.9
Total Comprehensive Income/(Expense) for the Period Ended 29 November 2015(0.5)11.811.3
Transactions with owners:
— Issues of ordinary shares4.90.14.44.5
— Share-based payments charge7.87.8
— Reacquisition of interests in treasury shares(0.8)0.8
— Disposal of treasury shares0.10.1
Total Transactions with Owners 0.13.60.97.812.4
Balance at 29 November 2015 12.6258.7(50.9)(116.2)(0.8)138.5241.9