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Consolidated Statements of Financial Position - CAD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Current assets    
Cash and cash equivalents $ 46,150 $ 11,523
Short-term deposits 81,690 29,243
Amounts receivable and prepaid expenses 8,220 10,026
Investment in marketable securities 3,696 3,367
Convertible notes receivable 631
Total current assets 140,387 54,159
Non-current assets    
Investment in associate 1,389 2,429
Convertible notes receivable   606
Long-term receivables and other assets 51,703 13,038
Mineral interests, property and equipment 881,497 662,279
Reclamation deposits 20,643 15,231
Total non-current assets 955,232 693,583
Total assets 1,095,619 747,742
Current liabilities    
Accounts payable and accrued liabilities 42,956 12,165
Flow-through share premium 4,183 1,366
Lease obligations 511 90
Provision for reclamation liabilities 4,343 3,680
Total current liabilities 51,993 17,301
Non-current liabilities    
Secured note 263,541
Deferred income tax liabilities 31,934 23,164
Lease obligations 1,115 182
Provision for reclamation liabilities 6,503 4,762
Total non-current liabilities 303,093 28,108
Total liabilities 355,086 45,409
Shareholders’ equity 740,533 702,333
Total liabilities and shareholders’ equity $ 1,095,619 $ 747,742