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Consolidated Statements of Changes in Equity - CAD ($)
$ in Thousands
Total
Shareholders' Capital [Member]
Contributed Surplus [Member]
Accumulated Other Comprehensive Income [Member]
Deficit [Member]
Attributable To Shareholders Of Corporation [Member]
Non-controlling Interest [Member]
Beginning Balance at Dec. 31, 2022 $ 1,230,529 $ 2,299,533 $ 72,555 $ 159,714 $ (1,301,273) $ 1,230,529  
Net earnings 289,244       289,244 289,244  
Other comprehensive income (loss) (12,238)     (12,238)   (12,238)  
Acquisition share consideration 75,588 75,588       75,588  
Settlement of Executive Performance and Restricted Share Units 19,206 19,206       19,206  
Share repurchases (29,955) (29,955)       (29,955)  
Redemption of non-management directors share units 757 757       757  
Share-based compensation expense 2,531   2,531     2,531  
Ending Balance at Dec. 31, 2023 1,575,662 2,365,129 75,086 147,476 (1,012,029) 1,575,662  
Net earnings 111,330       111,195 111,195 $ 135
Other comprehensive income (loss) 51,544     51,544   51,544  
Share options exercised 686 978 (292)     686  
Settlement of Executive Performance and Restricted Share Units 20,367 21,846 (1,479)     20,367  
Share repurchases (86,570) (86,570)       (86,570)  
Redemption of non-management directors share units   346 (346)        
Share-based compensation expense 4,588   4,588     4,588  
Funding from non-controlling interest 4,392           4,392
Ending Balance at Dec. 31, 2024 $ 1,681,999 $ 2,301,729 $ 77,557 $ 199,020 $ (900,834) $ 1,677,472 $ 4,527