Mullen reported CAD1.05B in Debt for its fiscal quarter ending in March of 2026.





Debt Change Date
Air Canada CAD 12.3B 725M Mar/2026
Altagas CAD 10.54B 259M Dec/2025
Badger Infrastructure Solutions USD 242.07M 21.79M Mar/2025
Black Diamond CAD 380.16M 113.07M Mar/2026
Calfrac Well Services CAD 175.22M 46.72M Mar/2026
Canadian Energy Services CAD 469.91M 11.63M Mar/2026
Cargojet CAD 916.8M 77.8M Mar/2026
Chorus Aviation CAD 383.42M 9.26M Mar/2026
Enbridge CAD 105.25B 1.54B Dec/2025
Enerflex CAD 654M 67M Dec/2025
Ensign Energy Services CAD 972.35M 5.31M Mar/2026
Exchange Income CAD 2.43B 72.82M Dec/2025
Heartland Express USD 200.75M 99.25M Dec/2024
Marten Transport USD 194K 56K Dec/2025
Mattr Corp CAD 331.94M 405K Sep/2024
Mullen CAD 1.05B 4.46M Mar/2026
Pam Transportation Services USD 288.71M 27M Sep/2024
Pason Systems CAD 27.53M 11.14M Dec/2025
Precision Drilling CAD 744.24M 9.64M Dec/2025
Secure Energy Services CAD 1.02B 157M Dec/2025
TFI International USD 3.18B 43.28M Mar/2026
TransCanada CAD 61.81B 1.72B Mar/2026
Trican Well Service CAD 116.36M 48.81M Dec/2025