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Equity - Hedging Reserve Schedule (Details) - USD ($)
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 06, 2022
Jun. 21, 2022
Dec. 02, 2021
Sep. 11, 2020
Apr. 20, 2018
Disclosure of maturity analysis for derivative financial liabilities [line items]              
Notional Value $ 111,545,000 $ 93,607,000          
Fair Value - Assets 2,145,000 1,286,000          
Fair Value - Liabilities 0 146,000          
Cash flow hedges - effective portion of changes in fair value (Note 15) 1,005,000 (6,164,000)          
Cash flow hedges - recycling into P&L (Note 15) 0 (25,749,000)          
Fx Euro hedge              
Disclosure of maturity analysis for derivative financial liabilities [line items]              
Notional Value   0          
Fair Value - Assets   0          
Fair Value - Liabilities   0          
Cash flow hedges - effective portion of changes in fair value (Note 15)   0          
Cash flow hedges - recycling into P&L (Note 15)   (1,032,000)          
$161.1 million facility | Interest rate swaps              
Disclosure of maturity analysis for derivative financial liabilities [line items]              
Facility size 161,100,000     $ 150,000,000      
Notional Value 111,545,000            
Fair Value - Assets 2,145,000            
Fair Value - Liabilities 0            
Cash flow hedges - effective portion of changes in fair value (Note 15) 1,005,000            
Cash flow hedges - recycling into P&L (Note 15) 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          
$173.6 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         $ 173,600,000
Fair Value - Assets   0          
Fair Value - Liabilities   0          
Cash flow hedges - effective portion of changes in fair value (Note 15)   (314,000)          
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          
$173.6 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          
Fair Value - Assets   0          
Fair Value - Liabilities   0          
Cash flow hedges - effective portion of changes in fair value (Note 15)   (1,256,000)          
Cash flow hedges - recycling into P&L (Note 15)   (3,860,000)          
$$713.0 million facility              
Disclosure of maturity analysis for derivative financial liabilities [line items]              
Notional Value           $ 713,000,000  
$$713.0 million facility | Interest rate swaps              
Disclosure of maturity analysis for derivative financial liabilities [line items]              
Facility size 713,000,000 713,000,000.0          
Notional Value   0          
Fair Value - Assets   0          
Fair Value - Liabilities   0          
Cash flow hedges - effective portion of changes in fair value (Note 15)   (4,823,000)          
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    
$73.45 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          
Fair Value - Assets   0          
Fair Value - Liabilities   0          
Cash flow hedges - effective portion of changes in fair value (Note 15)   (298,000)          
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   150,000,000.0          
Notional Value   93,607,000          
Fair Value - Assets   1,286,000          
Fair Value - Liabilities   146,000          
Cash flow hedges - effective portion of changes in fair value (Note 15)   (1,108,000)          
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 $ 447,000,000.0            
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)