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Financial Instruments (Details)
$ in Thousands, $ in Millions
12 Months Ended
Dec. 31, 2024
CAD ($)
Dec. 31, 2023
CAD ($)
Nov. 15, 2024
CAD ($)
Nov. 14, 2024
CAD ($)
Oct. 31, 2017
USD ($)
Financial Instruments [Line Items]          
Maximum exposure to credit risk $ 721,300 $ 1,754,600      
Allowance for doubtful accounts 8,900 6,500      
Borrowings before deferred financing costs 3,098,100 3,199,200      
Derivative liabilities 617,135 $ 604,280 $ 604,280  
Net increase impact of 5 percent increase (decrease) 185,000 146,400      
Other comprehensive income impact of 5 percent increase (decrease) $ 13,400 68,600      
Interest rates 4.75%        
Short-term investments $ 13,300        
Cash and cash equivalents   $ 245,200      
Discount rate cash flow 7.30% 7.40%      
Bottom of range [Member]          
Financial Instruments [Line Items]          
Discount rate used to discount Canadian dollar cash flows 4.37% 4.06%      
Top of range [Member]          
Financial Instruments [Line Items]          
Discount rate used to discount Canadian dollar cash flows 4.63% 5.59%      
North American [Member]          
Financial Instruments [Line Items]          
Risk percentage 48% 49%      
International customers [Member]          
Financial Instruments [Line Items]          
Risk percentage 52% 51%      
Term Loan B - Canadian Facility [Member]          
Financial Instruments [Line Items]          
Variable interest rate (in Dollars)         $ 1,800.0
Term Loan B - Canadian Facility [Member] | Bottom of range [Member]          
Financial Instruments [Line Items]          
Interest rates         1.72%
Term Loan B - Canadian Facility [Member] | Top of range [Member]          
Financial Instruments [Line Items]          
Interest rates         2.04%
Interest Rates Floor [Member]          
Financial Instruments [Line Items]          
Interest rates 0.25%        
Net income loss impact of 0.25 percent change in interest rates $ 4,700 $ 5,100