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Summary of Changes in Long Term Borrowings (Detail) - CAD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Disclosure of long term debt [Line Items]    
Beginning balance $ 917,678 $ 1,088,257
Changes from financing cash flows:    
Proceeds From Senior Credit Facility 27,978 162,649
Acquired long-term debt   60,387
Repayment of long-term debt   (50,690)
Repayment of unsecured senior notes 155,682 99,950
Repayment of Senior Credit Facility 10,981 222,216
Repayment of Real Estate Credit Facility 37,656 2,381
Gain on repurchase of unsecured senior notes 0 (137)
Amortization of debt issue costs 3,090 3,210
Reclassification of loan commitment fees (1,594)  
Foreign exchange 69,636 (21,451)
Current   2,848
Long-term 812,469 914,830
Ending balance 812,469 917,678
Senior Credit Facility [Member]    
Disclosure of long term debt [Line Items]    
Beginning balance   59,620
Changes from financing cash flows:    
Proceeds From Senior Credit Facility 27,978 162,649
Repayment of Senior Credit Facility 10,981 222,216
Foreign exchange 255 (53)
Long-term 17,252  
Ending balance 17,252  
Unsecured Senior Notes [Member]    
Disclosure of long term debt [Line Items]    
Beginning balance 892,000 1,013,229
Changes from financing cash flows:    
Repayment of unsecured senior notes 155,682 99,950
Gain on repurchase of unsecured senior notes   (137)
Foreign exchange 68,772 (21,142)
Long-term 805,090 892,000
Ending balance 805,090 892,000
Canadian Real Estate Credit Facility [Member]    
Disclosure of long term debt [Line Items]    
Beginning balance 25,933 17,667
Changes from financing cash flows:    
Acquired long-term debt   9,697
Repayment of Real Estate Credit Facility 25,933 1,431
Current   1,915
Long-term   24,018
Ending balance   25,933
U.S. Real Estate Credit Facility [Member]    
Disclosure of long term debt [Line Items]    
Beginning balance 11,114 12,322
Changes from financing cash flows:    
Repayment of Real Estate Credit Facility 11,723 950
Foreign exchange 609 (258)
Current   933
Long-term   10,181
Ending balance   11,114
CWC Syndicated Loan [Member]    
Changes from financing cash flows:    
Acquired long-term debt   50,690
Repayment of long-term debt   (50,690)
Debt Issue Costs and Original Issue Discount [Member]    
Disclosure of long term debt [Line Items]    
Beginning balance (11,369) (14,581)
Changes from financing cash flows:    
Amortization of debt issue costs 3,090 3,210
Reclassification of loan commitment fees (1,594)  
Foreign exchange   2
Long-term (9,873) (11,369)
Ending balance $ (9,873) $ (11,369)