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Consolidated Statements of Loss
$ in Thousands
12 Months Ended
Dec. 31, 2021
CAD ($)
Dec. 31, 2021
$ / shares
Dec. 31, 2020
CAD ($)
Dec. 31, 2020
$ / shares
Profit or loss [abstract]        
Revenue $ 986,847   $ 935,753  
Expenses:        
Operating 698,144   583,420  
General and administrative 95,931   70,869  
Restructuring 0   18,061  
Earnings before income taxes, gain on redemption and repurchase of unsecured senior notes, finance charges, foreign exchange, impairment of goodwill, reversal of impairment of property, plant and equipment, loss on asset decommissioning, gain on asset disposals and depreciation and amortization 192,772   263,403  
Depreciation and amortization 282,326   316,322  
Gain on asset disposals (8,516)   (11,931)  
Foreign exchange 393   4,542  
Finance charges 91,431   107,468  
Loss on investments and other assets 400   0  
Loss (gain) on redemption and repurchase of unsecured senior notes 9,520   (43,814)  
Loss before income taxes (182,782)   (109,184)  
Income taxes:        
Current 3,203   5,290  
Deferred (8,599)   5,664  
Income taxes (5,396)   10,954  
Net earnings (loss) $ (177,386)   $ (120,138)  
Net loss per share:        
Basic | $ / shares   $ (13.32)   $ (8.76)
Diluted | $ / shares   $ (13.32)   $ (8.76)