Mullen reported CAD1.19B in Debt for its fiscal quarter ending in June of 2025.


Debt Change Date
Air Canada CAD 11.79B 932M Jun/2025
Altagas CAD 10.28B 412M Jun/2025
Badger Infrastructure Solutions USD 242.07M 21.79M Mar/2025
Black Diamond CAD 267.08M 4.43M Jun/2025
Calfrac Well Services CAD 373.08M 28.68M Jun/2025
Canadian Energy Services CAD 456.47M 19.69M Mar/2025
Cargojet CAD 959.7M 119.3M Jun/2025
Chorus Aviation CAD 384.28M 132.1M Jun/2025
Enbridge CAD 101.05B 2.06B Jun/2025
Enerflex CAD 777M 82M Dec/2024
Ensign Energy Services CAD 997.68M 78.25M Jun/2025
Exchange Income CAD 2.46B 181.31M Jun/2025
Marten Transport USD 385K 385K Mar/2025
Mattr Corp CAD 331.94M 405K Sep/2024
Mullen CAD 1.19B 193.58M Jun/2025
Pason Systems CAD 15.13M 280K Jun/2025
Precision Drilling CAD 749.6M 119.82M Jun/2025
Secure Energy Services CAD 711M 257M Mar/2025
TFI International USD 3.02B 66.27M Jun/2025
TransCanada CAD 59.43B 2.56B Jun/2025
Trican Well Service CAD 19.68M 16.24M Jun/2025