Debt (Details) $ in Millions, $ in Millions |
3 Months Ended | 12 Months Ended | ||
|---|---|---|---|---|
Dec. 19, 2025 |
Sep. 20, 2023
USD ($)
|
Mar. 31, 2026
CAD ($)
|
Dec. 31, 2025
CAD ($)
|
|
| Debt [Line Items] | ||||
| Operating facility | $ 30.0 | |||
| Syndicated facility | 245.0 | |||
| Credit facility | 275.0 | $ 275.0 | ||
| Secured notes issued (in Dollars) | $ 300 | |||
| Interest fixed rate | 12.00% | |||
| Maturity date | Oct. 01, 2028 | |||
| Voluntarily redeemed percentage | 106.00% | |||
| Unsecured credit facility | 55.0 | |||
| Letter of Credit Facility [Member] | ||||
| Debt [Line Items] | ||||
| Letters of credit outstanding | $ 54.0 | $ 54.0 |