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Fair Value Measurements (Details) - CAD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Fair Value Measurements    
Total Fair Value, Assets $ 12,402 $ 62,289
Total Fair Value, Liabilities 57,329 65,709
Level 1    
Fair Value Measurements    
Total Fair Value, Assets 433 1,768
Level 3    
Fair Value Measurements    
Total Fair Value, Liabilities 7,945 37,715
Carrying value of fair value of assets through profit or loss    
Fair Value Measurements    
Carrying Value, Assets 433 1,768
Carrying value of fair value of liabilities through profit or loss    
Fair Value Measurements    
Carrying Value, Liabilities 7,945 37,715
Amortized cost carrying value    
Fair Value Measurements    
Carrying Value, Assets 11,969 60,521
Carrying Value, Liabilities 49,603 27,994
Accounts payable and accrued liabilities    
Fair Value Measurements    
Total Fair Value, Liabilities 20,164 4,708
Accounts payable and accrued liabilities | Amortized cost carrying value    
Fair Value Measurements    
Carrying Value, Liabilities 20,164 4,708
Long-term government loan payable    
Fair Value Measurements    
Total Fair Value, Liabilities 3,558 745
Long-term government loan payable | Amortized cost carrying value    
Fair Value Measurements    
Carrying Value, Liabilities 3,777 745
Convertible notes payable    
Fair Value Measurements    
Total Fair Value, Liabilities 25,662 22,541
Convertible notes payable | Amortized cost carrying value    
Fair Value Measurements    
Carrying Value, Liabilities 25,662 22,541
Financial derivative liability - Convertible Notes    
Fair Value Measurements    
Total Fair Value, Liabilities 6,674 37,715
Financial derivative liability - Convertible Notes | Level 3    
Fair Value Measurements    
Total Fair Value, Liabilities 6,674 37,715
Financial derivative liability - Convertible Notes | Carrying value of fair value of liabilities through profit or loss    
Fair Value Measurements    
Carrying Value, Liabilities 6,674 37,715
Other financial derivative liability    
Fair Value Measurements    
Total Fair Value, Liabilities 1,271  
Other financial derivative liability | Level 3    
Fair Value Measurements    
Total Fair Value, Liabilities 1,271  
Other financial derivative liability | Carrying value of fair value of liabilities through profit or loss    
Fair Value Measurements    
Carrying Value, Liabilities 1,271  
Cash and cash equivalents    
Fair Value Measurements    
Total Fair Value, Assets 7,952 58,626
Cash and cash equivalents | Amortized cost carrying value    
Fair Value Measurements    
Carrying Value, Assets 7,952 58,626
Restricted cash    
Fair Value Measurements    
Total Fair Value, Assets 938 938
Restricted cash | Amortized cost carrying value    
Fair Value Measurements    
Carrying Value, Assets 938 938
Receivables    
Fair Value Measurements    
Total Fair Value, Assets 3,079 957
Receivables | Amortized cost carrying value    
Fair Value Measurements    
Carrying Value, Assets 3,079 957
Marketable securities    
Fair Value Measurements    
Total Fair Value, Assets 433 1,768
Marketable securities | Level 1    
Fair Value Measurements    
Total Fair Value, Assets 433 1,768
Marketable securities | Carrying value of fair value of assets through profit or loss    
Fair Value Measurements    
Carrying Value, Assets $ 433 $ 1,768