v3.25.4
Long-Term Debt - Schedule of Senior Secured Notes (Details) - CAD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Schedule of Minimum Hedging Requirements [Abstract]    
Principal, Balance $ 343,852 $ 396,780
Unamortized financing costs, Balance [1] (14,922) (20,430)
Long-term debt, Balance 328,930 376,350
Principal, Balance 343,852
Unamortized financing costs, Balance [1] (14,922)
Long-term debt, Balance 328,930
Principal, Redemption payments (329,315) (84,278)
Unamortized financing costs, Redemption payments [1] (19,738) (4,214)
Long-term debt, Redemption payments (349,053) (88,492)
Principal, Non-cash financing expense
Unamortized financing costs, Non-cash financing expense [1] 34,077 10,655
Long-term debt, Non-cash financing expense 34,077 10,655
Principal, Foreign exchange (14,537) 31,350
Unamortized financing costs, Foreign exchange [1] 583 (933)
Long-term debt, Foreign exchange $ (13,954) $ 30,417
[1] Unamortized financing costs include accrued redemption premiums, unamortized issuance costs, and the unamortized portion of the original issue discount.