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Fair Value Measurements - Schedule of Fair Value Hierarchy for Assets (Details) - CAD ($)
$ in Millions
Dec. 31, 2023
Dec. 31, 2022
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets $ 204.5 $ 156.8
Recurring fair value measurement | Notes payable    
Disclosure of fair value measurement of assets and liabilities [line items]    
Liabilities 82.8 62.4
Recurring fair value measurement | Derivative financial instruments    
Disclosure of fair value measurement of assets and liabilities [line items]    
Liabilities   2.3
Recurring fair value measurement | Investments held for self-insured liabilities    
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets 204.5 156.8
Recurring fair value measurement | Derivative financial instruments    
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets 20.0 3.1
Recurring fair value measurement | Level 1 | Notes payable    
Disclosure of fair value measurement of assets and liabilities [line items]    
Liabilities 0.0 0.0
Recurring fair value measurement | Level 1 | Derivative financial instruments    
Disclosure of fair value measurement of assets and liabilities [line items]    
Liabilities   0.0
Recurring fair value measurement | Level 1 | Investments held for self-insured liabilities    
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets 0.0 0.0
Recurring fair value measurement | Level 1 | Derivative financial instruments    
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets 0.0 0.0
Recurring fair value measurement | Level 2 | Notes payable    
Disclosure of fair value measurement of assets and liabilities [line items]    
Liabilities 0.0 0.0
Recurring fair value measurement | Level 2 | Derivative financial instruments    
Disclosure of fair value measurement of assets and liabilities [line items]    
Liabilities   2.3
Recurring fair value measurement | Level 2 | Investments held for self-insured liabilities    
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets 204.5 156.8
Recurring fair value measurement | Level 2 | Derivative financial instruments    
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets 20.0 3.1
Recurring fair value measurement | Level 3 | Notes payable    
Disclosure of fair value measurement of assets and liabilities [line items]    
Liabilities 82.8 62.4
Recurring fair value measurement | Level 3 | Derivative financial instruments    
Disclosure of fair value measurement of assets and liabilities [line items]    
Liabilities   0.0
Recurring fair value measurement | Level 3 | Investments held for self-insured liabilities    
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets 0.0 0.0
Recurring fair value measurement | Level 3 | Derivative financial instruments    
Disclosure of fair value measurement of assets and liabilities [line items]    
Assets $ 0.0 $ 0.0