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Other Assets (Tables)
12 Months Ended
Dec. 31, 2020
Subclassifications of assets, liabilities and equities [abstract]  
Schedule of Other Assets
December 31
2020
December 31
2019
$$
Financial assets
Investments held for self-insured liabilities174.9 153.0 
Holdbacks on long-term contracts25.9 33.9 
Other12.4 12.6 
Non-financial assets
Investments in joint ventures and associates8.3 8.8 
Other11.8 16.9 
233.3 225.2 
Less current portion - financial34.7 11.6 
Less current portion - non-financial7.4 6.5 
Long-term portion191.2 207.1 
Summary of Fair Value and Amortized Cost
Their fair value and amortized cost are as follows:
December 31
2020
December 31
2019
$
$
Fair ValueAmortized
Cost/Cost
Fair ValueAmortized
Cost/Cost
Bonds115.5 112.6 102.8 103.4 
Equity securities59.4 54.7 50.2 46.1 
Total174.9 167.3 153.0 149.5 
Disclosure of the Bond Portfolio Stated at Fair Value The terms to maturity of the bond portfolio, stated at fair value, are as follows:
December 31
2020
December 31
2019
$$
Within one year31.4 9.5 
After one year but not more than five years77.5 79.9 
More than five years6.6 13.4 
Total115.5 102.8