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Marketable Securities and Derivatives - Derivative Investments (Details) - CAD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Unrealized (loss) gain on derivatives (Note 20)    
Unrealized (loss) gain on derivatives (Note 20) $ (34,069) $ (14,866)
Derivatives and convertible debentures at FVTPL    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 86,409 124,942
(Disposals) additions 1,951 49,827
Transfer on loss of control of subsidiary   679
Unrealized (loss) gain on changes in fair value (35,099) (17,725)
Transfer to investment in associates (Note 7)   (3,413)
Spin-out   (69,234)
Foreign exchange 321 1,333
Ending balance 53,582 86,409
Current portion (11,791)  
Long-term portion 41,791  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 321 1,333
Inception gains amortized 709 1,526
Unrealized (loss) gain on changes in fair value (35,099) (17,725)
Unrealized (loss) gain on derivatives (Note 20) (34,069) (14,866)
Derivatives and convertible debentures at FVTPL | Micron | Level 3    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 84 1,028
(Disposals) additions 0 0
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value (84) (944)
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 0 0
Ending balance 0 84
Current portion 0  
Long-term portion 0  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 306 607
Unrealized (loss) gain on changes in fair value (84) (944)
Unrealized (loss) gain on derivatives (Note 20) 222 (337)
Derivatives and convertible debentures at FVTPL | Radient | Level 3    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 65 1,412
(Disposals) additions 0 0
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value (65) (1,347)
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 0 0
Ending balance 0 65
Current portion 0  
Long-term portion 0  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 403 919
Unrealized (loss) gain on changes in fair value (65) (1,347)
Unrealized (loss) gain on derivatives (Note 20) 338 (428)
Derivatives and convertible debentures at FVTPL | Alcanna | Level 3    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 425 2,400
(Disposals) additions (49) 0
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value (376) (1,975)
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 0 0
Ending balance 0 425
Current portion 0  
Long-term portion 0  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value (376) (1,975)
Unrealized (loss) gain on derivatives (Note 20) (376) (1,975)
Derivatives and convertible debentures at FVTPL | CTT | Level 2    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 33 20,140
(Disposals) additions 0 0
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value (33) (16,694)
Transfer to investment in associates (Note 7)   (3,413)
Spin-out   0
Foreign exchange 0 0
Ending balance 0 33
Current portion 0  
Long-term portion 0  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value (33) (16,694)
Unrealized (loss) gain on derivatives (Note 20) (33) (16,694)
Derivatives and convertible debentures at FVTPL | Capcium | Level 2    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 7,518 0
(Disposals) additions 0 4,883
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value (7,518) 2,635
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 0 0
Ending balance 0 7,518
Current portion 0  
Long-term portion 0  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value (7,518) 2,635
Unrealized (loss) gain on derivatives (Note 20) (7,518) 2,635
Derivatives and convertible debentures at FVTPL | TGOD | Level 2    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 24,162 99,471
(Disposals) additions 0 0
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value (23,030) (75,309)
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 0 0
Ending balance 1,132 24,162
Current portion (1,132)  
Long-term portion 0  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value (23,030) (75,309)
Unrealized (loss) gain on derivatives (Note 20) (23,030) (75,309)
Derivatives and convertible debentures at FVTPL | ACI | Level 2    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 10,083 0
(Disposals) additions 0 541
Transfer on loss of control of subsidiary   679
Unrealized (loss) gain on changes in fair value (6,905) 78,097
Transfer to investment in associates (Note 7)   0
Spin-out   (69,234)
Foreign exchange 0 0
Ending balance 3,178 10,083
Current portion 0  
Long-term portion 3,178  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value (6,905) 78,097
Unrealized (loss) gain on derivatives (Note 20) (6,905) 78,097
Derivatives and convertible debentures at FVTPL | Choom | Level 2    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 19,369 0
(Disposals) additions 0 20,000
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value 1,130 (631)
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 0 0
Ending balance 20,499 19,369
Current portion 0  
Long-term portion 20,499  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value 1,130 (631)
Unrealized (loss) gain on derivatives (Note 20) 1,130 (631)
Derivatives and convertible debentures at FVTPL | Investee-B | Level 3    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 14,316 0
(Disposals) additions 0 13,403
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value 1,465 (420)
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 321 1,333
Ending balance 16,102 14,316
Current portion 0  
Long-term portion 16,102  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 321 1,333
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value 1,465 (420)
Unrealized (loss) gain on derivatives (Note 20) 1,786 913
Derivatives and convertible debentures at FVTPL | High Tide | Level 2    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 10,241 0
(Disposals) additions 2,000 11,000
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value 419 (759)
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 0 0
Ending balance 12,660 10,241
Current portion (10,659)  
Long-term portion 2,001  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value 419 (759)
Unrealized (loss) gain on derivatives (Note 20) 419 (759)
Derivatives and convertible debentures at FVTPL | Namaste | Level 2    
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [line items]    
Beginning balance 113 491
(Disposals) additions 0 0
Transfer on loss of control of subsidiary   0
Unrealized (loss) gain on changes in fair value (102) (378)
Transfer to investment in associates (Note 7)   0
Spin-out   0
Foreign exchange 0 0
Ending balance 11 113
Current portion 0  
Long-term portion 11  
Unrealized (loss) gain on derivatives (Note 20)    
Foreign exchange gain 0 0
Inception gains amortized 0 0
Unrealized (loss) gain on changes in fair value (102) (378)
Unrealized (loss) gain on derivatives (Note 20) $ (102) $ (378)