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SHARE-BASED PAYMENTS (Tables)
12 Months Ended
Dec. 31, 2021
Share-based payment transaction  
Summary of share-based compensation expense recorded during the year

Years ended December 31, 

    

2021

    

2020

Share option plan expense (i)

$

0.3

$

1.0

Restricted share unit plan expense, including restricted performance shares (ii)

 

19.2

 

29.7

Deferred share units expense (iii)

 

1.4

 

1.3

Employer portion of employee share purchase plan (iv)

 

2.8

 

2.4

Total share-based compensation expense

$

23.7

$

34.4

Share option  
Share-based payment transaction  
Summary of status of the share option plan and changes during the year

2021

2020

    

    

    

Weighted average

    

    

    

Weighted average

Number of options

exercise price

Number of options

exercise price

(000’s)

(CDN$/option)

(000’s)

(CDN$/option)

Balance at January 1

 

5,601

$

4.68

 

10,170

$

5.16

Exercised

 

(1,624)

 

5.13

 

(2,566)

 

4.90

Forfeited

 

(213)

 

4.97

 

(808)

 

5.02

Expired

 

 

 

(1,195)

 

8.03

Outstanding at end of period

 

3,764

$

4.47

 

5,601

$

4.68

Exercisable at end of period

3,273

$

4.47

3,813

$

4.68

Summary of information about the stock options outstanding and exercisable

Options outstanding

Options exercisable

Weighted

Weighted

Weighted

average

Weighted

average

    

Number of

average

remaining

Number of

average

remaining

options

exercise price

contractual life

options

exercise price

contractual life

Exercise price range in CDN$:

    

(000’s)

    

(CDN$)

    

(years)

    

(000’s)

    

(CDN$)

    

(years)

3.73

4.25

 

1,335

3.87

 

0.53

 

1,335

3.89

 

0.53

4.26

 

4.75

 

1,078

 

4.58

 

3.89

 

587

 

4.59

 

3.97

4.76

 

5.06

 

1,351

 

4.98

 

2.72

 

1,351

 

4.99

 

2.72

 

  

 

3,764

$

4.47

 

2.28

 

3,273

$

4.47

 

2.05

RSUs  
Share-based payment transaction  
Summary of information about number of units of other equity instruments and their weighted average fair value

2021

2020

    

    

    

Weighted average

    

    

    

Weighted average

Number of units

fair value

Number of units

fair value

(000’s)

(CDN$/unit)

(000’s)

(CDN$/unit)

Balance at January 1

 

6,475

$

5.86

 

8,512

$

4.68

Granted

 

3,017

 

8.80

 

3,106

 

7.42

Reinvested

175

6.82

Redeemed

 

(3,748)

 

5.36

 

(4,199)

 

4.78

Forfeited

 

(626)

 

6.84

 

(944)

 

5.17

Outstanding at end of period

 

5,293

$

7.81

 

6,475

$

5.86

RPSUs  
Share-based payment transaction  
Summary of information about number of units of other equity instruments and their weighted average fair value

2021

2020

    

    

    

Weighted average

    

    

    

Weighted average

Number of units

fair value

Number of units

fair value

(000’s)

(CDN$/unit)

(000’s)

(CDN$/unit)

Balance at January 1

 

4,459

$

5.95

 

4,937

$

5.16

Granted

 

1,378

 

8.37

 

1,436

 

7.76

Reinvested

77

6.90

Redeemed

 

(1,739)

 

4.92

 

(1,575)

 

5.32

Forfeited

 

(394)

 

6.66

 

(339)

 

5.02

Outstanding at end of period

 

3,781

$

7.25

 

4,459

$

5.95

DSUs  
Share-based payment transaction  
Summary of information about number of units of other equity instruments and their weighted average fair value

Years ended December 31, 

    

2021

    

2020

DSUs granted (000's)

 

234

 

203

Weighted average grant-date fair value (CDN$/ unit)

$

7.55

$

8.66