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Supplemental Cash Flow Disclosures - Summary of Reconciliation of Long Term Debt to Cash Flows Arising from Financing Activities (Details) - CAD ($)
$ in Thousands
10 Months Ended 12 Months Ended
Dec. 31, 2018
Dec. 31, 2020
Dec. 31, 2019
Supplemental Cash Flow Disclosure [Abstract]      
Beginning balance $ 7,000 $ 177,913 $ 54,636
Proceeds from Credit Facilities 32,159   82,687
Repayment of credit facilities   (84,000) (32,871)
Syndicated Credit Agreement costs   (493)  
Proceeds from term debt facility, net of costs     105,539
Proceeds from other debt instruments 8,546    
Repayment of other debt instruments     (56,173)
Promissory note issued to repurchase shares 6,931    
Debt acquired through acquisitions     33,618
Extinguishment of debt issue costs   (59,649) 488
Term Debt Facility disposed of as part of Bridge Farm consideration   (38,346)  
Accretion   2,665 3,030
Amortization of debt issue costs   $ 1,910 892
Reclassification to derivative liability     (13,933)
Ending balance $ 54,636   $ 177,913