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Debt - Additional Information (Detail)
$ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2018
CAD ($)
Dec. 31, 2018
USD ($)
Dec. 31, 2018
USD ($)
Dec. 31, 2017
USD ($)
Oct. 31, 2017
CAD ($)
Disclosure Of Borrowings [line items]          
Outstanding balance amount     $ 35,859 $ 38,380  
Outstanding letters of credit $ 38 $ 261      
Accrued interest payable     184 193  
Term loan financing agreement with canadian creditor [member]          
Disclosure Of Borrowings [line items]          
Maturity date May 1, 2021 May 1, 2021      
Outstanding balance amount     34,385    
Amortization period of borrowings 15 years 15 years      
Term loan financing agreement with canadian creditor [member] | Promissory Notes [member]          
Disclosure Of Borrowings [line items]          
Carrying value of assets pledged as collateral     $ 114,554 $ 120,815  
Term loan financing agreement with canadian creditor [member] | Floating interest rate [member]          
Disclosure Of Borrowings [line items]          
Interest rate 7.082%   7.082% 5.885%  
Loan agreement with Canadian Chartered Bank [member] | Village Farms Clean Energy Inc [member]          
Disclosure Of Borrowings [line items]          
Maturity date Maturity date of June 2023 Maturity date of June 2023      
Outstanding balance amount     $ 1,279 $ 1,658  
Non-revolving fixed rate loan face amount $ 3,000        
Uncommitted, non-revolving credit facility amount $ 300        
Letters of guarantee maximum term 365 days 365 days      
Uncommitted credit facility for financing capital expenditures $ 700        
Loan received         $ 250
Uncommitted credit facility repayment period five-year five-year      
Interest rate basis Interest rate of CA$ prime rate plus 200 basis points Interest rate of CA$ prime rate plus 200 basis points      
Outstanding balance amount     $ 138 192  
Loan agreement with Canadian Chartered Bank [member] | Fixed interest rate [member] | Village Farms Clean Energy Inc [member]          
Disclosure Of Borrowings [line items]          
Interest rate 4.98%   4.98%    
Operating loan with Canadian Chartered Bank [member]          
Disclosure Of Borrowings [line items]          
Maturity date Maturity date on May 31, 2021 Maturity date on May 31, 2021      
Loan received     $ 2,000 0  
Revolving operating loan maximum borrowing amount $ 13,000        
Outstanding letters of credit $ 38 $ 261      
Operating loan with Canadian Chartered Bank [member] | Promissory Notes [member]          
Disclosure Of Borrowings [line items]          
Carrying value of assets pledged as collateral     $ 38,007 $ 32,883