52 Weeks
Ended
29 November
2015
£m
52 Weeks
Ended
30 November
2014
£m
Profit for the period11.87.3
Other comprehensive income:
Items that may be subsequently reclassified to profit or loss
Cash flow hedges
— Losses arising on hedging contracts(0.7)(0.4)
— Gains transferred to property, plant and equipment0.3
Foreign exchange loss on translation of foreign subsidiary(0.1)
  (0.7)(0.2)
Other comprehensive income for the period, net of tax(0.7)(0.2)
Total comprehensive income for the period 11.17.1