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Other assets (Tables)
12 Months Ended
Dec. 31, 2022
Subclassifications of assets, liabilities and equities [abstract]  
Schedule of other assets
As at
Dec 31 2022Dec 31 2021
Cash flow hedges (note 19)
$322,748 $56,802 
Chile VAT receivable
18,343 18,493 
Restricted cash for debt service and major maintenance of vessels (a)
14,349 13,053 
Fair value of Egypt gas supply contract derivative (note 19)11,220  
Investment in Carbon Recycling International
5,620 4,620 
Defined benefit pension plans (note 21)
3,977 5,017 
Deferred financing fees1,119 1,431 
Other
18,357 9,612 
Total other assets395,733 109,028 
Less current portion (b)
(39,346)(9,842)
$356,387 $99,186