Notes52 Weeks Ended
27 November
52 Weeks Ended
29 November
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 arising 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