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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
12 Months Ended
Mar. 31, 2024
Fair Value Measurement [Abstract]  
Disclosure of fair value measurement of assets
The carrying values and fair values of financial instruments, by category, are as follows:
20242023
LevelCarrying valueFair valueCarrying valueFair value
TotalTotalTotalTotal
Financial assets (liabilities) measured at FVTPL
Cash and cash equivalentsLevel 1$160.1 
$
160.1 $217.6 $217.6 
Equity swap agreementsLevel 2(15.8)(15.8)(11.8)(11.8)
Forward foreign currency contractsLevel 2(0.6)(0.6)(5.3)(5.3)
Derivatives assets (liabilities) designated in a hedge relationship
Foreign currency and interest rate swap agreementsLevel 24.8 4.8 10.5 10.5 
Forward foreign currency contractsLevel 2(8.7)(8.7)(20.5)(20.5)
Financial assets (liabilities) measured at amortized cost
Accounts receivable(1)
Level 2570.8 570.8 555.3 555.3 
Investment in finance leasesLevel 2147.9 140.3 125.7 126.1 
Other non-current assets(2)
Level 247.0 47.0 32.1 32.1 
Accounts payable and accrued liabilities(3)
Level 2(775.8)(775.8)(799.3)(799.3)
Total long-term debt(4)
Level 2(2,529.9)(2,524.4)(2,800.3)(2,788.2)
Other non-current liabilities(5)
Level 2(87.1)(78.0)(137.6)(125.1)
Financial assets measured at FVOCI
Equity investmentsLevel 31.4 1.4 1.4 1.4 
$(2,485.9)$(2,478.9)$(2,832.2)$(2,807.2)
(1) Includes trade receivables, accrued receivables and certain other receivables.
(2) Includes non-current receivables and certain other non-current assets.
(3) Includes trade accounts payable, accrued liabilities, interest payable and current royalty obligations.
(4) Excludes lease liabilities. The carrying value of long-term debt excludes transaction costs.
(5) Includes non-current royalty obligations and other non-current liabilities.
Disclosure of fair value measurement of liabilities
The carrying values and fair values of financial instruments, by category, are as follows:
20242023
LevelCarrying valueFair valueCarrying valueFair value
TotalTotalTotalTotal
Financial assets (liabilities) measured at FVTPL
Cash and cash equivalentsLevel 1$160.1 
$
160.1 $217.6 $217.6 
Equity swap agreementsLevel 2(15.8)(15.8)(11.8)(11.8)
Forward foreign currency contractsLevel 2(0.6)(0.6)(5.3)(5.3)
Derivatives assets (liabilities) designated in a hedge relationship
Foreign currency and interest rate swap agreementsLevel 24.8 4.8 10.5 10.5 
Forward foreign currency contractsLevel 2(8.7)(8.7)(20.5)(20.5)
Financial assets (liabilities) measured at amortized cost
Accounts receivable(1)
Level 2570.8 570.8 555.3 555.3 
Investment in finance leasesLevel 2147.9 140.3 125.7 126.1 
Other non-current assets(2)
Level 247.0 47.0 32.1 32.1 
Accounts payable and accrued liabilities(3)
Level 2(775.8)(775.8)(799.3)(799.3)
Total long-term debt(4)
Level 2(2,529.9)(2,524.4)(2,800.3)(2,788.2)
Other non-current liabilities(5)
Level 2(87.1)(78.0)(137.6)(125.1)
Financial assets measured at FVOCI
Equity investmentsLevel 31.4 1.4 1.4 1.4 
$(2,485.9)$(2,478.9)$(2,832.2)$(2,807.2)
(1) Includes trade receivables, accrued receivables and certain other receivables.
(2) Includes non-current receivables and certain other non-current assets.
(3) Includes trade accounts payable, accrued liabilities, interest payable and current royalty obligations.
(4) Excludes lease liabilities. The carrying value of long-term debt excludes transaction costs.
(5) Includes non-current royalty obligations and other non-current liabilities.