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Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2022
Disclosure of Cash Flow Statement [Abstract]  
Supplemental Cash Flow Information
16.SUPPLEMENTAL CASH FLOW INFORMATION
Changes in working capital and income taxes received or paid:
December 31,December 31,
20222021
Amounts receivable($8.8)$2.0 
Inventory(55.2)(49.7)
Advances and prepaid expenses2.3 3.5 
Accounts payable and accrued liabilities(0.1)16.7 
Income taxes paid(1.3)(26.9)
($63.1)($54.4)
Other items:
December 31,December 31,
20222021
Unrealized gain on non-hedging derivatives$0.3 ($0.4)
Reduction of obligation to renounce flow-through exploration expenditures(2.7)— 
Employee contribution to share purchase plan2.8 — 
Reclamation activities(0.4)(1.2)
Interest received1.9 1.3 
Credit facility standby fees(2.1)(2.0)
Distribution of share-based compensation(8.5)(5.7)
Fair value adjustment for sale of silver stream (note 14)(2.6)— 
Fair value adjustment for Milestone payments (note 14)1.1 — 
Loss on disposal of assets0.7 1.5 
Other2.8 3.4 
($6.7)($3.1)