Consolidated statement of comprehensive income for the 52 weeks ended 27 November 2011


52 weeks
ended
27 November
2011
£'000
52 weeks
ended
28 November
2010
£'000
Loss for the period attributable to the owners of the parent (503) (7,211)
Other comprehensive income/(expense):

Cash flow hedges

— Gains arising on forward foreign exchange contracts 568 818
— Gains transferred to property, plant and equipment (1,232) (92)
— Losses arising on interest rate swaps (52)
Foreign exchange loss on translation of foreign subsidiary (1)
Other comprehensive (expense)/income for the period, net of tax (717) 726
Total comprehensive expense for the period attributable to the owners of the parent (1,220) (6,485)