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Other Financial Assets (Tables)
12 Months Ended
Dec. 31, 2017
Text block1 [abstract]  
Disclosure of Other Financial Assets
    

December 31

2017

$

   

December 31

2016

$

 

Investments held for self-insured liabilities

    147.1       141.1  

Holdbacks on long-term contracts

    39.6       33.9  

Indemnifications

    2.4       2.4  

Other

    6.3       3.6  
    195.4       181.0  

Less current portion

    9.3       20.9  

Long-term portion

    186.1       160.1  
Disclosure of Fair Value and Amortized Cost

Their fair value and amortized cost are as follows:

 

                                                                                                               
     

 

December 31

2017

$

    

December 31

2016

$

 
   Fair Value      Amortized
Cost/Cost
     Fair Value      Amortized
Cost/Cost
 

Bonds

     97.7         98.6         93.0         93.1   

Equity securities

     49.4         48.3         46.6         39.9   

Term deposits

                   1.5         1.5   
         

Total

     147.1         146.9         141.1         134.5   
Disclosure of the Bond Portfolio Stated at Fair Value

The terms to maturity of the bond portfolio, stated at fair value, are as follows:

 

    

December 31

2017

$

   

December 31

2016

$

 

Within one year

    5.6       18.6  

After one year but not more than five years

    73.5       64.8  

More than five years

    18.6       9.6  
     

Total

    97.7       93.0