Mullen reported CAD1.15B in Equity Capital and Reserves for its fiscal quarter ending in March of 2026.





Equity Capital And Reserves Change Date
Air Canada CAD 2.72B 129M Mar/2026
Altagas CAD 8.94B 230M Mar/2026
Badger Infrastructure Solutions USD 296.08M 3.33M Dec/2025
Black Diamond CAD 397.46M 18.54M Dec/2025
Calfrac Well Services CAD 664.28M 3.62M Dec/2025
Canadian Energy Services CAD 843.56M 42.04M Mar/2026
Cargojet CAD 741.9M 500K Mar/2026
Chorus Aviation CAD 507.84M 46.54M Dec/2025
Enbridge CAD 57.42B 1.9B Mar/2026
Enerflex CAD 1.09B 62M Dec/2025
Ensign Energy Services CAD 1.28B 27.58M Dec/2025
Exchange Income CAD 1.78B 25.34M Mar/2026
Heartland Express USD 749.03M 6.29M Mar/2026
Marten Transport USD 764.21M 3.42M Mar/2026
Mattr Corp CAD 723.32M 11.61M Sep/2024
Mullen CAD 1.15B 5.25M Mar/2026
Pam Transportation Services USD 239.51M 5.4M Sep/2025
Pason Systems CAD 487M 4.76M Mar/2026
Precision Drilling CAD 1.62B 29.28M Mar/2026
Secure Energy Services CAD 792M 16M Dec/2025
TFI International USD 2.66B 17.47M Mar/2026
TransCanada CAD 25.28B 235M Mar/2026
Trican Well Service CAD 705.25M 9.4M Mar/2026