Mullen reported CAD277.89M in Current Liabilities for its fiscal quarter ending in March of 2026.





Current Liabilities Change Date
Air Canada CAD 15.64B 1.5B Mar/2026
Altagas CAD 3.47B 91M Mar/2026
Badger Infrastructure Solutions USD 161.11M 10.93M Dec/2025
Black Diamond CAD 97.39M 2.16M Mar/2026
Calfrac Well Services CAD 267.76M 66.34M Mar/2026
Canadian Energy Services CAD 386.63M 37.37M Mar/2026
Cargojet CAD 196.7M 3.7M Mar/2026
Chorus Aviation CAD 270.98M 12.16M Mar/2026
Enbridge CAD 23.31B 2.31B Mar/2026
Enerflex CAD 879M 30M Dec/2025
Ensign Energy Services CAD 291.59M 26.36M Mar/2026
Exchange Income CAD 869.67M 64.7M Mar/2026
Heartland Express USD 112.56M 2.4M Mar/2026
Marten Transport USD 94.25M 2.02M Mar/2026
Mattr Corp CAD 250.96M 25.11M Sep/2024
Mullen CAD 277.89M 17.75M Mar/2026
Pam Transportation Services USD 117.61M 569K Sep/2025
Pason Systems CAD 88.31M 3.49M Mar/2026
Precision Drilling CAD 296.93M 3.17M Mar/2026
Secure Energy Services CAD 530M 36M Dec/2025
TFI International USD 1.2B 31.34M Mar/2026
TransCanada CAD 10.5B 543M Mar/2026
Trican Well Service CAD 117.52M 11.43M Mar/2026