Notes52 weeks
ended
30 November
2014
£m
52 weeks
ended
1 December
2013
£m
Cash flows from operating activities
Profit/(loss) before tax7.2(12.5)
Adjustments for: 
— Depreciation, amortisation and impairment losses3.1 3.255.043.7
— Movement in provisions3.111.90.6
— Share of profit in joint venture3.4(2.4)(0.9)
— Share-based payments charge2.64.43.3
— Foreign exchange movements0.1
— Net finance costs2.7 4.59.19.8
Changes in working capital: 
— Movement in inventories(3.6)(6.4)
— Movement in trade and other receivables(1.5)(13.7)
— Movement in trade and other payables 13.843.6
Cash generated from operations84.067.5
Interest paid(9.7)(7.1)
Net cash flows from operating activities 74.360.4
Cash flows from investing activities 
Purchase of property, plant and equipment(53.0)(60.7)
Borrowing costs capitalised in property, plant and equipment(1.1)
Purchase of intangible assets(25.8)(15.7)
Interest received0.50.3
Net cash flows from investing activities (78.3)(77.2)
Cash flows from financing activities 
Proceeds from the issue of ordinary share capital net of transaction costs4.113.73.8
Proceeds from the sale and leaseback of property, plant and equipment53.5
Proceeds from the sale and leaseback of intangible assets4.4
Repayment of borrowings(2.9)(2.5)
Repayments of obligations under finance leases(30.5)(21.6)
Settlement of forward foreign exchange contracts(0.5)0.1
Net cash flows from financing activities (30.2)37.7
Net (decrease)/increase in cash and cash equivalents(34.2)20.9
Cash and cash equivalents at the beginning of the period110.589.6
Exchange adjustments
Cash and cash equivalents at the end of the period3.976.3110.5