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Consolidated Statements of Loss
$ in Thousands
12 Months Ended
Dec. 31, 2022
CAD ($)
Dec. 31, 2022
$ / shares
Dec. 31, 2021
CAD ($)
$ / shares
Profit or loss [abstract]      
Revenue $ 1,617,194   $ 986,847
Expenses:      
Operating 1,124,601   698,144
General and administrative 180,988   95,931
Earnings before income taxes, loss on redemption and repurchase of unsecured senior notes, loss (gain) on investments and other assets, finance charges, foreign exchange, gain on asset disposals, and depreciation and amortization 311,605   192,772
Depreciation and amortization 279,035   282,326
Gain on asset disposals (29,926)   (8,516)
Foreign exchange 1,278   393
Finance charges 87,813   91,431
Loss (gain) on investments and other assets (12,452)   400
Loss on redemption and repurchase of unsecured senior notes 0   9,520
Loss before income taxes (14,143)   (182,782)
Income taxes:      
Current 4,362   3,203
Deferred 15,788   (8,599)
Income taxes 20,150   (5,396)
Net loss $ (34,293)   $ (177,386)
Net loss per share:      
Basic | (per share)   $ (2.53) $ (13.32)
Diluted | (per share)   $ (2.53) $ (13.32)