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Supplemental Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2022
Text block1 [abstract]  
Summary of Supplemental Cash Flow Information
  In $000s
  
Year Ended
                            December 31, 2022
 
 
Year Ended
                            December 31, 2021
 
 
  
 
 
 
 
 
Change in
non-cash
working capital:
  
 
Trade receivables and other
   $ (5,498    $ (4,213
   
 
 
Trade and other payables
  
 
2,608
 
     1,872  
   
 
 
Net increase
(decrease)
in cash
  
$
(2,890
)
 
  
$
(2,341
   
 
 
Significant
non-cash
transactions:
  
 
 
 
        
   
 
 
Financial instrument received on disposal of Stream, royalty and other interests
  
$
14,123
 
   $ -  
   
 
 
Sandbox investment in associate received on disposal of Stream, royalty and other interests
  
 
18,564
 
     -  
   
 
 
Financial instrument received on disposal of Entrée investment in associate
  
 
33,781
 
     -  
   
 
 
Common shares issued on acquisition of BaseCore portfolio of Stream, royalty and other interests
  
 
(75,304      -  
   
 
 
Common shares issued on acquisition of Nomad portfolio of Stream, royalty and other interests
  
 
(454,089      -  
   
 
 
Financial instruments received on disposal of Hod Maden investment in associate
  
 
68,348
 
     -  
   
 
 
Financial instrument disposed of on disposal of Hod Maden investment in associate
  
 
(33,311      -  
   
 
 
Horizon Copper investment in associate received on disposal of Hod Maden investment in associate
  
 
10,687
 
     -  
   
 
 
Common shares received in consideration of a convertible debenture payment
  
 
-
 
     13,965