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Other assets
12 Months Ended
Dec. 31, 2024
Subclassifications of assets, liabilities and equities [abstract]  
Other assets Other assets:
As at
Dec 31 2024Dec 31 2023
Cash flow hedges (note 19)
$128,414 $121,108 
Chile VAT receivable
15,834 17,824 
Restricted cash for debt service and major maintenance of vessels (a)
14,305 15,772 
Fair value of Egypt gas supply contract derivatives (note 19)
14,341 — 
Fair value of New Zealand gas supply contract derivatives (note 19)8,713 20,402 
Deposit for catalyst supply6,274 — 
Investment in Carbon Recycling International
5,620 5,620 
Defined benefit pension plans (note 21)
3,733 5,718 
Other
16,855 15,416 
Total other assets214,089 201,860 
Less current portion (b)
(30,820)(3,893)
$183,269 $197,967 
a) Restricted cash
The Company holds $14.3 million (2023 - $15.8 million) of restricted cash for the funding of debt service and major maintenance accounts.
b) Current portion of other assets
Other assets presented as current assets as at December 31, 2024 includes $27.7 million (2023 - $0.5 million) for the current portion of the cash flow hedge (see note 19), and $3.1 million (2023 - $3.4 million) of restricted cash for major maintenance, in particular the anticipated major maintenance costs of four vessels