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Supplemental Cash Flow Information - Schedule of Reconciliation of Liabilities arising from Financing Activities (Details) - CAD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Indebtedness [Member]    
Schedule of Reconciliation of the Liabilities Arising from Financing Activities [Line Items]    
Beginning balance $ 3,096,615 $ 3,197,019
Cash inflows 404,996  
Cash outflows (4,501) (147,908)
Amortization of deferred financing costs, prepayment options, warrants and loss on repayment 3,692 822
Gain on repurchase of debt (6,896) (193,690)
Interest paid
Interest accrued 16,481
Non-cash transfer from deferred charges to indebtedness of debt issue costs and warrants (102,375)  
Non-cash transfers  
Non-cash additions
Impact of foreign exchange (98,880) 71,952
Ending balance 3,309,132 2,928,195
Satellite performance incentive payments [Member]    
Schedule of Reconciliation of the Liabilities Arising from Financing Activities [Line Items]    
Beginning balance 15,060 18,271
Cash inflows  
Cash outflows (1,400) (2,971)
Amortization of deferred financing costs, prepayment options, warrants and loss on repayment
Gain on repurchase of debt
Interest paid
Interest accrued
Non-cash transfer from deferred charges to indebtedness of debt issue costs and warrants  
Non-cash transfers (430)  
Non-cash additions
Impact of foreign exchange (492) 417
Ending balance 12,738 15,717
Lease liabilities [Member]    
Schedule of Reconciliation of the Liabilities Arising from Financing Activities [Line Items]    
Beginning balance 33,375 33,339
Cash inflows  
Cash outflows (2,175) (1,808)
Amortization of deferred financing costs, prepayment options, warrants and loss on repayment
Gain on repurchase of debt
Interest paid (1,558) (1,121)
Interest accrued 1,558 1,121
Non-cash transfer from deferred charges to indebtedness of debt issue costs and warrants  
Non-cash transfers  
Non-cash additions 9,491 2,099
Impact of foreign exchange 31 (95)
Ending balance $ 40,722 $ 33,535