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FINANCIAL INSTRUMENTS (Floating-to-fixed interest rate swap contracts outstanding) (Details) - USD ($)
Dec. 31, 2023
Jan. 01, 2023
Disclosure of detailed information about hedging instruments [line items]    
Long-term debt (note 12) $ 685,000,000 $ 780,000,000
Term Loan, Interest At Variable U.S. LIBOR-based Interest Rate Plus A Spread Ranging From 1% to 3% Due April 2025    
Disclosure of detailed information about hedging instruments [line items]    
Long-term debt (note 12) 300,000,000  
Cash flow hedges | Interest rate risk    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 225,000,000  
Cash flow hedges | Interest rate risk | Term Loan, Interest At Variable U.S. LIBOR-based Interest Rate Plus A Spread Ranging From 1% to 3% Due April 2025    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 125,000,000  
Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on April 30, 2023    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 25,000,000 75,000,000
Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2024    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 50,000,000 50,000,000
Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2025 With 1.06% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 25,000,000 25,000,000
Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2025 With 0.78% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount   50,000,000
Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On June 30, 2026 With 1.59% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount   25,000,000
Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On June 30, 2026 With 1.23% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount   25,000,000
Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on August 25, 2023    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 25,000,000 50,000
Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on August 25, 2026    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 50,000,000 50,000
Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on June 17, 2021    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount   $ 100,000,000
Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 6, 2022    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount 50,000,000  
Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On May 30, 2025    
Disclosure of detailed information about hedging instruments [line items]    
Notional amount $ 25,000,000  
Cash flow hedges | Interest rate risk | Fixed rate | Floating-to-fixed interest rate swap, maturing on April 30, 2023    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate 1.06% 2.85%
Cash flow hedges | Interest rate risk | Fixed rate | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2024    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate 0.70% 1.51%
Cash flow hedges | Interest rate risk | Fixed rate | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2025 With 1.06% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate 1.52% 1.06%
Cash flow hedges | Interest rate risk | Fixed rate | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2025 With 0.78% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate   0.78%
Cash flow hedges | Interest rate risk | Fixed rate | Floating-To-Fixed Interest Rate Swap Contracts Maturing On June 30, 2026 With 1.59% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate   1.59%
Cash flow hedges | Interest rate risk | Fixed rate | Floating-To-Fixed Interest Rate Swap Contracts Maturing On June 30, 2026 With 1.23% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate   1.23%
Cash flow hedges | Interest rate risk | Fixed rate | Floating-to-fixed interest rate swap, maturing on August 25, 2023    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate 3.20% 1.18%
Cash flow hedges | Interest rate risk | Fixed rate | Floating-to-fixed interest rate swap, maturing on August 25, 2026    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate 1.12% 1.34%
Cash flow hedges | Interest rate risk | Fixed rate | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 6, 2022    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate 1.44%  
Cash flow hedges | Interest rate risk | Fixed rate | Floating-To-Fixed Interest Rate Swap Contracts Maturing On May 30, 2025    
Disclosure of detailed information about hedging instruments [line items]    
Interest rate 1.17%  
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value $ 10,184,000 $ 16,460,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on April 30, 2023    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value 1,130,000 435,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2024    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value 2,414,000 2,124,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2025 With 1.06% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value 439,000 1,839,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2025 With 0.78% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value   3,346,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On June 30, 2026 With 1.59% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value   443,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On June 30, 2026 With 1.23% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value   1,999,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on August 25, 2023    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value 373,000 1,394,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on August 25, 2026    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value 3,589,000 4,880,000
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 6, 2022    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value 646,000  
Financial assets included in prepaid expenses, deposits and other current assets | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On May 30, 2025    
Disclosure of detailed information about hedging instruments [line items]    
Financial assets, carrying value 1,593,000  
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value 0 0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on April 30, 2023    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value 0 0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2024    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value 0 0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2025 With 1.06% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value 0 0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 30, 2025 With 0.78% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value   0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On June 30, 2026 With 1.59% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value   0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On June 30, 2026 With 1.23% Fixed Rate    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value   0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on August 25, 2023    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value 0 0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-to-fixed interest rate swap, maturing on August 25, 2026    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value 0 $ 0
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On April 6, 2022    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value 0  
Accounts payable and accrued liabilities(1) | Cash flow hedges | Interest rate risk | Floating-To-Fixed Interest Rate Swap Contracts Maturing On May 30, 2025    
Disclosure of detailed information about hedging instruments [line items]    
Financial liabilities, carrying value $ 0