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Cash and Cash Equivalents (Tables)
12 Months Ended
Dec. 31, 2019
Text block [abstract]  
Summary of Cash and Cash Equivalents
The Company’s policy is to invest cash in excess of operating requirements in highly liquid investments. For the purpose of the consolidated statements of cash flows, cash and cash equivalents consist of the following:
 
    
    December 31
2019
$
  
    December 31
2018
$
 
Cash
  
 
208.1
 
  176.5 
Unrestricted investments
  
 
15.4
 
  8.7 
Cash and deposits
  
 
223.5
 
  185.2 
Bank indebtedness
  
 
(19.5
  - 
Cash and cash equivalents
  
 
204.0
 
  185.2