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Cash Flow Items (Details) - Schedule of adjustment for other non-cash items within operating activities - CAD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Schedule Of Adjustment For Other Non Cash Items Within Operating Activities Abstract    
Impairment of investment in associate $ 873
Equity loss of associate 207 221
Unrealized gain on convertible notes receivable (25) (104)
Accrued interest income on convertible notes receivable (39) (39)
Depreciation 84 85
Finance costs, net 72 110
Effects of exchange rate fluctuation on cash and cash equivalents (3,216) 184
Total $ (2,044) $ 457