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FAIR VALUE OF FINANCIAL INSTRUMENTS (Details) - CAD ($)
$ in Millions
Mar. 31, 2025
Mar. 31, 2024
Disclosure of fair value measurement of assets [line items]    
Financial assets (liabilities) $ (2,645.9) $ (2,485.9)
Financial assets (liabilities), at fair value (2,661.4) (2,478.9)
Financial liabilities at fair value through profit or loss, category | Forward foreign currency contracts | Level 2    
Disclosure of fair value measurement of assets [line items]    
Financial assets (liabilities) (6.4) (0.6)
Financial assets (liabilities), at fair value (6.4) (0.6)
Financial liabilities at amortised cost | Accounts payable and accrued liabilities | Level 2    
Disclosure of fair value measurement of assets [line items]    
Financial liabilities (914.4) (775.8)
Financial liabilities, at fair value (914.4) (775.8)
Financial liabilities at amortised cost | Total long-term debt | Level 2    
Disclosure of fair value measurement of assets [line items]    
Financial liabilities (2,684.7) (2,529.9)
Financial liabilities, at fair value (2,700.6) (2,524.4)
Financial liabilities at amortised cost | Other non-current liabilities | Level 2    
Disclosure of fair value measurement of assets [line items]    
Financial liabilities (91.4) (87.1)
Financial liabilities, at fair value (84.8) (78.0)
Financial assets at fair value through profit or loss, category | Cash and cash equivalents | Level 1    
Disclosure of fair value measurement of assets [line items]    
Credit loss allowances 293.7 160.1
Financial assets, at fair value 293.7 160.1
Financial assets at fair value through profit or loss, category | Equity swap agreements | Level 2    
Disclosure of fair value measurement of assets [line items]    
Financial assets (liabilities) 13.0 (15.8)
Financial assets (liabilities), at fair value 13.0 (15.8)
Financial assets at fair value through other comprehensive income, category | Foreign currency and interest rate swap agreements | Level 2    
Disclosure of fair value measurement of assets [line items]    
Financial assets (liabilities) (14.4) 4.8
Financial assets (liabilities), at fair value (14.4) 4.8
Financial assets at fair value through other comprehensive income, category | Forward foreign currency contracts | Level 2    
Disclosure of fair value measurement of assets [line items]    
Financial assets (liabilities) (31.9) (8.7)
Financial assets (liabilities), at fair value (31.9) (8.7)
Financial assets at fair value through other comprehensive income, category | Equity investments | Level 3    
Disclosure of fair value measurement of assets [line items]    
Credit loss allowances 1.4 1.4
Financial assets, at fair value 1.4 1.4
Loans and receivables | Accounts receivable | Level 2    
Disclosure of fair value measurement of assets [line items]    
Credit loss allowances 567.7 570.8
Financial assets, at fair value 567.7 570.8
Loans and receivables | Investment in finance leases | Level 2    
Disclosure of fair value measurement of assets [line items]    
Credit loss allowances 142.0 147.9
Financial assets, at fair value 135.8 140.3
Loans and receivables | Other non-current assets | Level 2    
Disclosure of fair value measurement of assets [line items]    
Credit loss allowances 79.5 47.0
Financial assets, at fair value $ 79.5 $ 47.0