52 weeks
ended
30 November
2014
£m
52 weeks
ended
1 December
2013
£m
Profit/(loss) for the period7.3(12.5)
Other comprehensive income:
Items that will not be reclassified to profit or loss
Cash flow hedges
— Gains arising on interest rate swaps0.4
 0.4
Items that may be subsequently reclassified to profit or loss
Cash flow hedges
— (Losses)/gains arising on forward foreign exchange contracts(0.4)0.5
— Losses/(gains) transferred to property, plant and equipment0.3(0.3)
Translation of foreign subsidiary(0.1)
 (0.2)0.2
Other comprehensive (expense)/income for the period, net of tax(0.2)0.6
Total comprehensive income/(expense) for the period7.1(11.9)