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UNINCORPOATED ARRANGEMENT SMM FUNDING ARRANGEMENT (Tables)
12 Months Ended
Dec. 31, 2023
Joint Arrangements [Abstract]  
Schedule of Repurchase Option Liability
The Côté repurchase option liability as at December 31, 2023 consists of:
Notes

Balance, December 31, 2022
$— 
Funding obligations contributed by SMM250.0 
Incremental funding by SMM due to increased ownership77.1 
Repurchase option fees1
3123.7 
Côté Gold repurchase price at December 31, 2023
350.8 
Deferred cost on waiver of operator fee(6.5)
Amortization of deferred operator fee1.0 
Balance, December 31, 2023
$345.3 
1.Repurchase option fees of $23.7 million was capitalized to Côté Gold construction in progress.