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Other assets (Tables)
12 Months Ended
Dec. 31, 2020
Subclassifications of assets, liabilities and equities [abstract]  
Schedule of other assets
As at
Dec 31
2020
Dec 31
2019
Restricted cash for debt service (a)
$26,915 $22,648 
Restricted cash for debt service and major maintenance of vessels (a)
15,064 13,505 
Restricted cash relating to government grants 3,260 
Chile VAT receivable
22,118 20,874 
Deferred financing fees8,813 3,010 
Investment in Carbon Recycling International
4,620 4,620 
Defined benefit pension plans (note 21)
4,794 5,856 
Other
16,839 17,218 
Total other assets$99,163 $90,991 
Less current portion (b)
(6,634)(8,180)
$92,529 $82,811