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Supplemental Cash Flow Information (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Other operating activities    
Unrealized foreign exchange (gains) losses $ (21.3) $ 5.6
Losses (gains) on derivatives (Note 10(d)) 25.1 (8.3)
Share-based compensation expense (Note 22) 0.4 5.5
Loss from associates 0.0 0.4
Losses (gains) on disposition of mineral properties, plant and equipment 1.4 (1.2)
Adjustments for non-cash statement of earnings items 5.6 2.0
Changes in non-cash operating working capital items:    
Trade and other receivables (61.1) 45.9
Inventories (67.8) 38.5
Prepaid expenses (18.7) 9.4
Accounts payable and accrued liabilities 22.6 (25.7)
Legal provisions (2.8) (14.9)
Changes in non-cash working capital (127.8) 53.2
Cash and Cash Equivalents    
Cash in banks $ 862.8 $ 399.6