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Supplemental cash flow information (Tables)
12 Months Ended
Dec. 31, 2020
Statement Of Cash Flows Disclosure [Abstract]  
Statements of detailed information of cash flow
20202019
Changes in non-cash working capital:
Accounts receivable$143,717$58,488
Inventories(376,908)113,388
Supplies and prepaid expenses(3,999)3,612
Accounts payable and accrued liabilities36,514(53,477)
Reclamation payments(17,640)(32,390)
Other25,3996,857
Total$(192,917)$96,478
Reconciliation of liabilities arising from financing activities
Long-termInterestLeaseDividendsShare
debtpayableobligationpayablecapitalTotal
Balance at January 1, 2020$996,718$3,030$12,869$-$1,862,749$2,875,366
Changes from financing cash flows:
Dividends paid---(31,638)-(31,638)
Interest paid-(65,280)(267)--(65,547)
Lease principal payments--(3,716)--(3,716)
Shares issued, stock option plan----5,3755,375
Repayment of long-term debt(400,000)----(400,000)
Proceeds of long-term debt397,539----397,539
Total cash changes(2,461)(65,280)(3,983)(31,638)5,375(97,987)
Non-cash changes:
Amortization of issue costs1,284----1,284
Dividends declared---31,638-31,638
Interest expense-66,228267--66,495
Right-of-use asset additions--2,221--2,221
Right-of-use asset cancellations--(2,165)--(2,165)
Joint operation lease obligations--(1,361)--(1,361)
Shares issued, stock option plan----1,5861,586
Foreign exchange--103--103
Total non-cash changes1,28466,228(935)31,6381,58699,801
Balance at December 31, 2020$995,541$3,978$7,951$-$1,869,710$2,877,180