Group Statement of Comprehensive Income

for the period ended 26 December 2015

Profit for the period54,83218,792
Other comprehensive income
- Remeasurement of net defined benefit obligation13,548(24,664)
- Cash flow hedges
- Change in value of hedging instrument902(5,108)
- Reclassification to profit and loss5,108(333)
- Currency translation differences30,07528,214
- Total tax on components of other comprehensive income(2,988)4,409
Other comprehensive income for the year, net of tax46,6452,518
Total comprehensive income for the year101,47721,310
Total comprehensive income attributable to:
Owners of the parent101,84121,285
Non-controlling interest(364)25