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SHARE CAPITAL, OPTION PLANS AND SHARE-BASED PAYMENTS - Non Option Unit Activity (Details) - USD ($)
$ / shares in Units, $ in Thousands
3 Months Ended 9 Months Ended 12 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Mar. 31, 2023
Mar. 31, 2022
Jun. 30, 2022
Weighted-Average Grant Date Fair Value          
Issuance of treasury stock (in shares) 78,650 0 490,026 491,244  
PSUs          
Units          
Beginning balance (in shares)     812,937    
Granted (in shares)     537,016    
Vested (in shares)     (224,593)    
Forfeited or expired (in shares)     (93,529)    
Ending balance (in shares) 1,031,831   1,031,831   812,937
Weighted-Average Grant Date Fair Value          
Beginning balance (in dollars per share)     $ 61.29    
Granted (in dollars per share)     54.46    
Vested (in dollars per share)     41.75    
Forfeited or expired (in dollars per share)     63.94    
Ending balance (in dollars per share) $ 61.65   $ 61.65   $ 61.29
Weighted- Average Remaining Contractual Term (years)     2 years 3 days   1 year 10 months 20 days
Aggregate Intrinsic Value ($’000's) $ 39,777   $ 39,777   $ 30,762
PSUs | Minimum          
Weighted-Average Grant Date Fair Value          
Performance target (as a percent)     0.00%    
PSUs | Maximum          
Weighted-Average Grant Date Fair Value          
Performance target (as a percent)     200.00%    
PSUs | Long Term Incentive Plan | Minimum          
Weighted-Average Grant Date Fair Value          
Granted (in dollars per share)     $ 43.10 $ 69.78  
PSUs | Long Term Incentive Plan | Maximum          
Weighted-Average Grant Date Fair Value          
Granted (in dollars per share)     $ 55.06 $ 75.15  
Restricted Share Units          
Units          
Beginning balance (in shares)     2,593,707    
Granted (in shares)     3,482,503    
Vested (in shares)     (199,055)    
Forfeited or expired (in shares)     (219,978)    
Ending balance (in shares) 5,657,177   5,657,177   2,593,707
Weighted-Average Grant Date Fair Value          
Beginning balance (in dollars per share)     $ 44.90    
Granted (in dollars per share)     30.43    
Vested (in dollars per share)     40.79    
Forfeited or expired (in dollars per share)     41.03    
Ending balance (in dollars per share) $ 35.89   $ 35.89   $ 44.90
Weighted- Average Remaining Contractual Term (years)     2 years 2 months 12 days   2 years 10 months 9 days
Aggregate Intrinsic Value ($’000's) $ 218,084   $ 218,084   $ 98,146
Restricted Share Units | Long Term Incentive Plan          
Units          
Beginning balance (in shares)     611,743    
Granted (in shares)     402,752    
Vested (in shares)     (147,223)    
Forfeited or expired (in shares)     (80,209)    
Ending balance (in shares) 787,063   787,063   611,743
Weighted-Average Grant Date Fair Value          
Beginning balance (in dollars per share)     $ 44.14    
Granted (in dollars per share)     38.81    
Vested (in dollars per share)     36.83    
Forfeited or expired (in dollars per share)     43.82    
Ending balance (in dollars per share) $ 42.13   $ 42.13   $ 44.14
Weighted- Average Remaining Contractual Term (years)     1 year 11 months 8 days   1 year 7 months 13 days
Aggregate Intrinsic Value ($’000's) $ 30,341   $ 30,341   $ 23,148
Deferred Share Units (DSUs)          
Units          
Beginning balance (in shares)     885,701    
Granted (in shares)     132,827    
Settled (in shares)     (30,273)    
Ending balance (in shares) 988,255   988,255   885,701
Weighted-Average Grant Date Fair Value          
Beginning balance (in dollars per share)     $ 31.49    
Granted (in dollars per share)     29.19    
Settled (in dollars per share)     40.46    
Ending balance (in dollars per share) $ 29.55   $ 29.55   $ 31.49
Weighted- Average Remaining Contractual Term (years)     7 months 9 days   4 months 9 days
Aggregate Intrinsic Value ($’000's) $ 38,097   $ 38,097   $ 33,515
Deferred Share Units (DSUs) | Long Term Incentive Plan          
Units          
Beginning balance (in shares)     55,520    
Ending balance (in shares) 90,906   90,906   55,520