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CAPITAL AND FINANCIAL RISK MANAGEMENT - Liquidity risk (Details) - USD ($)
$ in Millions
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Debt repayments      
Cash and cash equivalents $ 352.4 $ 418.1 $ 531.5
Liquidity risk | Long-term debt      
Debt repayments      
Contractual cash flow 3,047.8    
Liquidity risk | 2024 | Long-term debt      
Debt repayments      
Contractual cash flow 141.4    
Liquidity risk | 2025-2028 | Long-term debt      
Debt repayments      
Contractual cash flow 1,776.7    
Liquidity risk | 2029+ | Long-term debt      
Debt repayments      
Contractual cash flow $ 1,129.7