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Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2022
Disclosure of cash flow statement [Abstract]  
Supplemental Cash Flow Information
27. SUPPLEMENTAL CASH FLOW INFORMATION
The following tables summarize other adjustments for non-cash statement of earnings items, changes in operating working capital items and significant non-cash items:
Other operating activities20222021
Adjustments for non-cash statement of earnings items:
Unrealized foreign exchange losses$12,840 $6,703 
Interest expense (Note 25)5,311 3,660 
Gains on derivatives (Note 8(d))(7,336)(5,393)
Share-based compensation expense3,936 5,128 
Losses (gains) on disposition of mineral properties, plant and equipment (Note 11)2,439 (32,167)
$17,190 $(22,069)
The following tables summarize other adjustments for non-cash statement of earnings items, changes in operating working capital items and significant non-cash items: 
Changes in non-cash operating working capital items:20222021
Trade and other receivables$(12,692)$(2,874)
Inventories(50,035)(82,885)
Prepaid expenses2,546 1,049 
Accounts payable and accrued liabilities20,711 18,086 
Provisions(2,567)(4,445)
 $(42,037)$(71,069)
Cash and Cash EquivalentsDecember 31,
2022
December 31,
2021
Cash in banks$107,005 $283,550