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Consolidated Statements of Changes in Equity - CAD ($)
$ in Thousands
Total
Share capital [Member]
Contributed surplus [Member]
Retained earnings [member]
Foreign currency translation adjustments [Member]
Hedging reserve [Member]
Accumulated other comprehensive income [member]
Beginning Balance at Dec. 31, 2021 $ 1,353,754 $ 375,524 $ 658,615 $ 274,962 $ 44,544 $ 109 $ 44,653
Net loss (100,943)     (100,943)      
Other comprehensive income (loss) 84,156       84,185 (29) 84,156
Common shares issued (Note 6 and 23) 213,942 213,942          
Effect of stock option plans (Note 23 and 24) 1,818 361 1,457        
Dividends (9,819)     (9,819)      
Ending Balance at Dec. 31, 2022 1,542,908 589,827 660,072 164,200 128,729 80 128,809
Net loss (110,924)     (110,924)      
Other comprehensive income (loss) (27,307)       (26,973) (334) (27,307)
Effect of stock option plans (Note 23 and 24) 1,729 1,771 (42)        
Dividends (12,384)     (12,384)      
Ending Balance at Dec. 31, 2023 $ 1,394,022 $ 591,598 $ 660,030 $ 40,892 $ 101,756 $ (254) $ 101,502