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Other Financial Assets - Summary of Changes in Other Financial Assets (Details)
$ in Thousands
12 Months Ended
Mar. 31, 2018
CAD ($)
Disclosure Of Financial Assets [Line Items]  
Beginning balance $ 24,030
Additions 22,439
Fair Value Through Other Comprehensive Income 38,673
Fair Value Through Profit or Loss 78,172
Interest revenue 149
Ending balance $ 163,463
TerrAscend Corp | Warrants  
Disclosure Of Financial Assets [Line Items]  
Accounting method FVTPL
Additions $ 7,540
Fair Value Through Profit or Loss 67,614
Ending balance $ 75,154
AusCann Group Holdings Ltd. | Shares  
Disclosure Of Financial Assets [Line Items]  
Accounting method FVOCI
Beginning balance $ 18,328
Additions 1,214
Fair Value Through Other Comprehensive Income 19,544
Ending balance $ 39,086
AusCann Group Holdings Ltd. | Options  
Disclosure Of Financial Assets [Line Items]  
Accounting method FVTPL
Beginning balance $ 5,702
Fair Value Through Profit or Loss 4,785
Ending balance $ 10,487
James E. Wagner Cultivation Ltd. | Warrants  
Disclosure Of Financial Assets [Line Items]  
Accounting method FVTPL
Additions $ 112
Fair Value Through Profit or Loss 702
Ending balance $ 814
James E. Wagner Cultivation Ltd. | Shares  
Disclosure Of Financial Assets [Line Items]  
Accounting method FVTOCI
Additions $ 3,863
Fair Value Through Other Comprehensive Income 6,728
Ending balance $ 10,591
James E. Wagner Cultivation Ltd. | Royalty Interest  
Disclosure Of Financial Assets [Line Items]  
Accounting method amortized cost
Additions $ 2,500
Interest revenue 162
Ending balance $ 2,662
Agripharm Corp. | Warrants  
Disclosure Of Financial Assets [Line Items]  
Accounting method FVTPL
Additions $ 586
Fair Value Through Profit or Loss (139)
Ending balance $ 447
Agripharm Corp. | Royalty Interest  
Disclosure Of Financial Assets [Line Items]  
Accounting method amortized cost
Additions $ 2,414
Interest revenue (88)
Ending balance $ 2,326
Vapium Incorporated | Shares  
Disclosure Of Financial Assets [Line Items]  
Accounting method cost
Additions $ 1,210
Ending balance $ 1,210
Radicle Medical Marijuana Inc | Repayable Debenture  
Disclosure Of Financial Assets [Line Items]  
Accounting method amortized cost
Additions $ 3,000
Interest revenue 75
Ending balance $ 3,075
HydRx Farms Ltd. | Warrants  
Disclosure Of Financial Assets [Line Items]  
Accounting method FVTPL
Fair Value Through Profit or Loss $ 5,210
Ending balance $ 5,210
HydRx Farms Ltd. | Shares  
Disclosure Of Financial Assets [Line Items]  
Accounting method FVTOCI
Fair Value Through Other Comprehensive Income $ 12,401
Ending balance $ 12,401