Group Statement of Changes in Equity

for the period ended 26 December 2015

Share CapitalShare PremiumCash Flow Hedging ReserveCapital Levy AccountRevenue ReservesAnnual Bonus FundRedeemable Loan StockMembers Equity InterestNon-controlling InterestsTotal
€ ‘000€ ‘000€ ‘000€ ‘000€ ‘000€ ‘000€ ‘000€ ‘000€ ‘000€ ‘000
 
At 28 December 201319,52332365256371,3094,50020,501416,4861,363417,849
Profit for the year----18,899--18,899(107)18,792
Other comprehensive income/(expense) for the year:
Remeasurement of net defined benefit obligation----(24,664)--(24,664)-(24,664)
Cash flow hedges
- Change in value of hedging instrument--(5,108)----(5,108)-(5,108)
- Reclassification to profit and loss--(333)----(333)-(333)
Currency translation differences----28,082--28,08213228,214
Total tax on components of other comprehensive income--838-3,571--4,409-4,409
Transfers to/from annual bonus fund----(4,500)-4,500---
Redemption of loan stock (note 7)------(4,455)(4,455)-(4,455)
Issue/redemption of shares1-----(45)(44)-(44)
         
At 27 December 201419,52432(4,238)256392,6974,50020,501433,2721,388434,660
 
Profit for the year----55,334--55,334(502)54,832
Other comprehensive income/(expense) for the year:
Remeasurement of net defined benefit obligation----13,548--13,548-13,548
Cash flow hedges
- Change in value of hedging instrument--902----902-902
- Reclassification to profit and loss--5,108----5,108-5,108
Currency translation differences----29,937--29,93713830,075
Total tax on components of other comprehensive income--(1,059)-(1,929)--(2,988)-(2,988)
Transfers to/from annual bonus fund----(4,000)(500)4,500---
Recognition of call option liability----(3,352)--(3,352)-(3,352)
Non-controlling interests arising on business combinations and acquisition of non-controlling interests (note 10)-------(544)(544)
Redemption of loan stock (note 7)------(5,940)(5,940)-(5,940)
Issue of shares45-----(45)-9797
         
At 26 December 201519,56932713256482,2354,00019,016525,821577526,398

A description of each reserve account is included in note 21.