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Financial risks (Tables)
12 Months Ended
Dec. 31, 2023
Financial Risk Management [Abstract]  
Disclosure of detailed information about foreign currency risk [Table Text Block]
         

December 31,

 
    2023     2022  
    $     $  
             
Cash   9,225     19,780  
Amounts receivable   1,767     4,213  
Other assets   1,037     1,194  
Accounts payable and accrued liabilities   (473 )   (37 )
Revolving credit facility   (115,000 )   -  
Net exposure, in U.S. dollars   (103,444 )   25,150  
Equivalent in Canadian dollars   (136,815 )   34,063  
Disclosure of detailed information about liquidity risk [Table Text Block]
    As at December 31, 2023  
   

Total

amount

payable

          Estimated annual payments  
    Maturity     2024     2025     2026     2027     2028-2029  
    $           $     $     $     $     $  
                                           
Revolving credit facility (i)   231,735     September 29, 2026     14,493     14,493     202,749     -     -  
Lease liabilities   10,260     December 31, 2029     1,782     1,800     1,800     1,800     3,078  
    241,995           16,275     16,293     204,549     1,800     3,078  

(i) The interest payable is based on the actual interest rates as at December 31, 2023.