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Supplemental Cash Flow Information - Summary Of Reconciliation Of Liabilities Arising From Financing Activities (Detail) - Long-term borrowings [member] - CAD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Accretion of bond discount    
Long-term debt, opening balance $ 331,422 $ 389,712
Debt assumed on Acquisition (Note 7) 1,022,112 0
Changes from financing cash flows 90,973 (56,975)
The effect of changes in foreign exchange rates (4,099) (406)
Amortization of deferred transaction costs 4,046 1,186
Accretion of Notes discount 2,070 0
Debt transaction costs (56,199) (2,095)
Long-term debt, closing balance $ 1,390,325 $ 331,422