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SUPPLEMENTAL DISCLOSURE WITH RESPECT TO CASH FLOWS (Narrative) (Details) - CAD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Disclosure Of Cash Flow Statement Explanatory [Line Items]    
Adjustments for decrease (increase) in other current assets $ 41,898 $ 535
Issuance of common shares related to property agreements 12,323,048 155,271
Issuance of common shares for acquisition of royalty interest 434 0
Change in fair value of financial instruments $ 0 $ 31
Issuance Of Common Shares Related To Property Agreements 114,785 0
Currency translation adjustment $ 273 $ 234
CTA gain (loss) on royalty interest 1,492 209
CTA gain (loss) on deferred tax asset (1,473) 0
CTA gain (loss) in the net assets of a subsidiary 243 31
Reclass of AOCI on disposal of FVOCI investment (847) 0
Issuance of share capital 199,656 132,678
Gain on investment in associates $ 11 6
Number of shares issued under restricted share unit plan 232,750  
Value of shares issued under restricted share unit plan $ 183  
Capital stock [Member]    
Disclosure Of Cash Flow Statement Explanatory [Line Items]    
Reclass of reserves on exercise of options 803 1,211
Issuance of share capital 183 0
Loans payable $ 9,682 0
Number of shares issued under restricted share unit plan 232,750  
Value of shares issued under restricted share unit plan $ 183 0
Accumulated other comprehensive income [Member]    
Disclosure Of Cash Flow Statement Explanatory [Line Items]    
Change in fair value of financial instruments   31
Reclass of AOCI on disposal of FVOCI investment $ 847 $ 0