Attributable to the equity holders of the Company
Other reserves
Share
capital
£m
Share
premium
account
£m
Investment
in own
shares
£m
Capital
redemption reserve
£m
Hedging
reserve
£m
Retained
earnings
£m
Total
equity
£m
Balance at 29 March 20132.0151.0(13.2)0.30.6158.0298.7
Total comprehensive income for the period
Profit for the period55.555.5
Other comprehensive income
Cash flow hedges:
Fair value changes in the period(3.0)(3.0)
Transfers to inventory1.11.1
Transfers to net profit:
Cost of sales(0.1)(0.1)
Income tax on other comprehensive income0.80.8
Total other comprehensive income for the period net of tax(1.2)(1.2)
Total comprehensive income for the period(1.2)55.554.3
Transactions with owners
Share options exercised2.12.1
Share-based payment transactions1.01.0
Purchase of own shares(3.2)(3.2)
Income tax on share-based payment transactions0.90.9
Dividends to equity holders(27.7)(27.7)
Total transactions with owners(1.1)(25.8)(26.9)
Balance at 28 March 20142.0151.0(14.3)0.3(0.6)187.7326.1
Total comprehensive income for the period
Profit for the period65.865.8
Other comprehensive income
Cash flow hedges:
Fair value changes in the period7.97.9
Transfers to inventory(1.4)(1.4)
Transfers to net profit:
Cost of sales(3.4)(3.4)
Income tax on other comprehensive income(1.2)(1.2)
Total other comprehensive income for the period net of tax1.91.9
Total comprehensive income for the period1.965.867.7
Transactions with owners
Share options exercised0.70.7
Share-based payment transactions1.41.4
Purchase of own shares
Income tax on share-based payment transactions0.20.2
Dividends to equity holders(28.4)(28.4)
Total transactions with owners0.7(26.8)(26.1)
Balance at 3 April 20152.0151.0(13.6)0.31.3226.7367.7

The Notes to the Financial Statements are an integral part of these consolidated financial statements.