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Financial Instruments -Fair values of the group's financial instruments (Details) - CAD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Bonds Payable. | Financial liabilities measured at amortized cost    
Financial Instruments    
Financial Liabilities Carrying Amount $ 35,538 $ 35,227
Financial Liabilities Fair Value 35,422 36,693
Loan payable | Financial liabilities fair value through profit or loss    
Financial Instruments    
Financial Liabilities Carrying Amount 7,424 6,817
Financial Liabilities Fair Value 7,424 6,817
FVTPL | Equity securities    
Financial Instruments    
Financial Assets Carrying Amount 4,033 8,564
Financial Assets Fair Value 4,033 8,564
FVTPL | Debt securities    
Financial Instruments    
Financial Assets Carrying Amount 774 770
Financial Assets Fair Value 774 770
FVTPL | Investment funds    
Financial Instruments    
Financial Assets Carrying Amount 1,675 2,761
Financial Assets Fair Value 1,675 2,761
FVTPL | Long-term loan receivable    
Financial Instruments    
Financial Assets Carrying Amount 1,146  
Financial Assets Fair Value 1,146  
FVTOCI | Debt securities    
Financial Instruments    
Financial Assets Carrying Amount 26,246 10,786
Financial Assets Fair Value 26,246 $ 10,786
Amortized cost | Long-term loan receivable    
Financial Instruments    
Financial Assets Carrying Amount 7,168  
Financial Assets Fair Value $ 7,168