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Equity - Hedging Reserve Schedule (Details) - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 06, 2022
Dec. 02, 2021
Sep. 11, 2020
Apr. 20, 2018
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Notional Value $ 93,607,000 $ 536,532,000        
Fair Value - Assets 1,286,000 33,558,000        
Fair Value - Liabilities 146,000 0        
Cash flow hedges - effective portion of changes in fair value (Note 15) (6,164,000) 32,293,000        
Cash flow hedges - recycling into P&L (Note 15) (25,749,000)          
Forward cap contracts            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Change in FV recognized in OCI   466,000        
Fx Euro hedge            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Notional Value 0 18,398,000        
Fair Value - Assets 0 1,032,000        
Fair Value - Liabilities 0 0        
Cash flow hedges - effective portion of changes in fair value (Note 15) 0 1,032,000        
Cash flow hedges - recycling into P&L (Note 15) (1,032,000)          
Change in FV recognized in OCI (1,000,000.0)          
$173.6 million facility - Cap Quebec and Cap Pembroke | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Facility size 173,600,000 173,600,000        
$173.6 million facility - Cap Quebec and Cap Pembroke | $173.6 million facility - Cap Quebec and Cap Pembroke | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Notional Value 0 56,838,000       $ 173,600,000
Fair Value - Assets 0 1,791,000        
Fair Value - Liabilities 0 0        
Cash flow hedges - effective portion of changes in fair value (Note 15) (314,000) 4,757,000        
Cash flow hedges - recycling into P&L (Note 15) (1,456,000)          
$173.6 million facility - Cap Corpus Christi and Cap Port Arthur | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Facility size 173,600,000 173,600,000        
$173.6 million facility - Cap Corpus Christi and Cap Port Arthur | $173.6 million facility - Cap Corpus Christi and Cap Port Arthur | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Notional Value 0 60,164,000        
Fair Value - Assets 0 5,202,000        
Fair Value - Liabilities 0 0        
Cash flow hedges - effective portion of changes in fair value (Note 15) (1,256,000) 3,830,000        
Cash flow hedges - recycling into P&L (Note 15) (3,860,000)          
$713.0 million facility            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Notional Value 713,000,000.0       $ 713,000,000  
$713.0 million facility | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Facility size 713,000,000 713,000,000        
Notional Value 0 223,667,000        
Fair Value - Assets 0 17,819,000        
Fair Value - Liabilities 0 0        
Cash flow hedges - effective portion of changes in fair value (Note 15) (4,823,000) 12,859,000        
Cash flow hedges - recycling into P&L (Note 15) (12,599,000)          
$73.45 million facility - Cedar and Cypress            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Notional Value 73,450,000     $ 73,450,000    
$73.45 million facility - Cedar and Cypress | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Facility size 73,450,000 73,500,000        
$73.45 million facility - Cedar and Cypress | $73.45 million facility - Cedar and Cypress | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Notional Value 0 71,155,000        
Fair Value - Assets 0 5,465,000        
Fair Value - Liabilities 0 0        
Cash flow hedges - effective portion of changes in fair value (Note 15) (298,000) 5,465,000        
Cash flow hedges - recycling into P&L (Note 15) (5,167,000)          
$150.0 million facility | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Facility size 150,000,000 150,000,000        
Notional Value 93,607,000 106,310,000        
Fair Value - Assets 1,286,000 2,249,000        
Fair Value - Liabilities 146,000 0        
Cash flow hedges - effective portion of changes in fair value (Note 15) (1,108,000) $ 2,249,000        
Cash flow hedges - recycling into P&L (Note 15) 0          
$447.0 million facility | Interest rate swaps            
Disclosure of maturity analysis for derivative financial liabilities [line items]            
Facility size 447,000,000          
Notional Value 0   $ 447,000,000      
Fair Value - Assets 0          
Fair Value - Liabilities 0          
Cash flow hedges - effective portion of changes in fair value (Note 15) 1,635,000          
Cash flow hedges - recycling into P&L (Note 15) $ (1,635,000)