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Fair value measurement - Summary of carrying values and fair values of financial instruments (Details) - USD ($)
$ in Millions
Dec. 31, 2021
Dec. 31, 2020
Trade and other payables    
FINANCIAL LIABILITIES    
Carrying value $ 124.3 $ 115.7
Fair value 124.3 115.7
Long-term debt    
FINANCIAL LIABILITIES    
Carrying value 491.0 489.2
Fair value 530.8 548.0
Gold stream obligation    
FINANCIAL LIABILITIES    
Carrying value 194.0 217.9
Fair value 194.0 217.9
New Afton    
FINANCIAL LIABILITIES    
Carrying value 467.4 436.1
Fair value 467.4 436.1
Cash and cash equivalents    
FINANCIAL ASSETS    
Carrying value 481.5 186.3
Fair value 481.5 186.3
Trade and other receivables    
FINANCIAL ASSETS    
Carrying value 14.2 65.2
Fair value 14.2 65.2
Provisionally priced contracts    
FINANCIAL ASSETS    
Carrying value 1.2 8.9
Fair value 1.2 8.9
Gold and copper swap contracts    
FINANCIAL ASSETS    
Carrying value (1.8) (9.8)
Fair value (1.8) (9.8)
Foreign exchange forward contracts    
FINANCIAL ASSETS    
Carrying value 1.5 0.0
Fair value 1.5 0.0
Proceeds due from income tax refunds at Mesquite    
FINANCIAL ASSETS    
Carrying value 12.8 12.8
Fair value 12.8 12.8
Investments    
FINANCIAL ASSETS    
Carrying value 59.5 46.2
Fair value $ 59.5 $ 46.2