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Supplemental Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2023
Disclosure of cash flow statement [Abstract]  
Changes in other operating activities
The following tables summarize other adjustments for non-cash statement of earnings items:
Other operating activities20232022
Adjustments for non-cash statement of earnings items:
Unrealized foreign exchange losses$5.6 $12.9 
Gains on derivatives (Note 10(d))(8.3)(7.3)
Share-based compensation expense (Note 23)5.5 3.9 
(Gains) losses on disposition of mineral properties, plant and equipment(7.9)2.4 
$(5.1)$11.9 
Changes in non-cash working capital
The following tables summarize other adjustments for changes in operating working capital items: 
Changes in non-cash operating working capital items:20232022
Trade and other receivables$45.9 $(12.6)
Inventories38.5 (49.9)
Prepaid expenses9.4 2.5 
Accounts payable and accrued liabilities(10.0)20.7 
Provisions(14.9)(2.7)
 $68.9 $(42.0)
Cash and cash equivalents
Cash and Cash EquivalentsDecember 31,
2023
December 31,
2022
Cash in banks$399.6 $107.0