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Fair value of financial instruments (Details) - CAD ($)
$ in Thousands
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Statement Line Items [Line Items]        
Equities $ 1,752 $ (8,694) [1] $ 13,795 $ 5,702
Financial assets not measured at fair value        
Cash and cash equivalent 10,417 20,439 [2] $ 40,560 [2] $ 18,624 [2]
Loans receivable – current 69,949 62,439    
Loans Receivable Non-Current (Level 3) 34,726 39,317    
Financial liabilities measured at fair value        
Derivative financial liability 964 [1]    
Financial liabilities not measured at fair value        
Accounts payable and accruals 11,254 9,454 [1]    
Credit facilities 76,472 76,465    
Debentures 44,039 42,156 [1]    
Convertible debentures 12,373 11,889    
Level 1 [Member]        
Statement Line Items [Line Items]        
Equities      
Partnership interest and other      
Financial assets not measured at fair value        
Cash and cash equivalent 10,417 20,439    
Loans receivable – current    
Loans Receivable Non-Current (Level 3)      
Financial liabilities not measured at fair value        
Accounts payable and accruals      
Credit facilities      
Debentures      
Convertible debentures      
Level 2 [Member]        
Statement Line Items [Line Items]        
Equities 99      
Partnership interest and other      
Financial assets not measured at fair value        
Cash and cash equivalent    
Loans receivable – current 69,647 62,439    
Loans Receivable Non-Current (Level 3)      
Financial liabilities measured at fair value        
Derivative financial liability   964    
Financial liabilities not measured at fair value        
Accounts payable and accruals 11,253 9,454    
Credit facilities 76,472 76,465    
Debentures 44,867 44,782    
Convertible debentures 12,373 11,889    
Level 3 [Member]        
Statement Line Items [Line Items]        
Equities 20,491      
Partnership interest and other 200      
Financial assets not measured at fair value        
Cash and cash equivalent    
Loans receivable – current    
Loans Receivable Non-Current (Level 3) 34,396 41,595    
Financial liabilities not measured at fair value        
Accounts payable and accruals      
Credit facilities      
Debentures      
Convertible debentures      
Mandatorily at FVTPL [Member]        
Statement Line Items [Line Items]        
Equities 20,590      
Partnership interest and other 200      
Total financial assets measured at fair value 20,790      
Financial assets not measured at fair value        
Cash and cash equivalent    
Loans receivable – current    
Loans Receivable Non-Current (Level 3)      
Total financial assets not measured at fair value      
Financial liabilities measured at fair value        
Derivative financial liability   964    
Total Financial liabilities measured at fair value   964    
Financial liabilities not measured at fair value        
Accounts payable and accruals      
Credit facilities      
Debentures      
Convertible debentures      
Financial asset at amortized cost [Member]        
Statement Line Items [Line Items]        
Equities      
Partnership interest and other      
Total financial assets measured at fair value      
Financial assets not measured at fair value        
Cash and cash equivalent 10,417 20,439    
Loans receivable – current 69,949 62,439    
Loans Receivable Non-Current (Level 3) 34,726 39,317    
Total financial assets not measured at fair value 115,092 122,195    
Financial liabilities not measured at fair value        
Accounts payable and accruals      
Credit facilities      
Debentures      
Convertible debentures      
Other Financial Liabilities [Member]        
Statement Line Items [Line Items]        
Equities      
Partnership interest and other      
Total financial assets measured at fair value      
Financial assets not measured at fair value        
Cash and cash equivalent    
Loans receivable – current      
Loans Receivable Non-Current (Level 3)      
Total financial assets not measured at fair value      
Financial liabilities not measured at fair value        
Accounts payable and accruals 11,254 9,454    
Credit facilities 76,472 76,465    
Debentures 44,039 42,156    
Convertible debentures 12,373 11,889    
Total Financial liabilities not measured at fair value 144,138 139,964    
Total Carrying Value [Member]        
Statement Line Items [Line Items]        
Equities 20,590      
Partnership interest and other 200      
Total financial assets measured at fair value 20,790      
Financial assets not measured at fair value        
Cash and cash equivalent 10,417 20,439    
Loans receivable – current 69,949 62,439    
Loans Receivable Non-Current (Level 3) 34,726 39,317    
Total financial assets not measured at fair value 115,092 122,195    
Financial liabilities measured at fair value        
Derivative financial liability   964    
Total Financial liabilities measured at fair value   964    
Financial liabilities not measured at fair value        
Accounts payable and accruals 11,254 9,454    
Credit facilities 76,472 76,465    
Debentures 44,039 42,156    
Convertible debentures 12,373 11,889    
Total Financial liabilities not measured at fair value 144,138 139,964    
Total Fair Value [Member]        
Statement Line Items [Line Items]        
Equities 20,590      
Partnership interest and other 200      
Financial assets not measured at fair value        
Cash and cash equivalent 10,417 20,439    
Loans receivable – current 69,647 62,439    
Loans Receivable Non-Current (Level 3) 34,396 41,595    
Financial liabilities measured at fair value        
Derivative financial liability   964    
Financial liabilities not measured at fair value        
Accounts payable and accruals 11,253 9,454    
Credit facilities 76,472 76,465    
Debentures 44,867 44,782    
Convertible debentures $ 12,373 $ 11,889    
[1] The consolidated statement of Financial position as at December 31, 2019 reflects the adoption of IFRS 16 on January 1, 2019. The comparative information has not been restated.
[2] The consolidated statement of cash flows for the years ended December 31, 2019 and December 31, 2018 reflects the adoption of IFRS 16 on January 1, 2019 and IFRS 9 on January 1, 2018. The comparative information has not been restated.