Mullen reported CAD1.02B in Equity Capital and Reserves for its fiscal quarter ending in June of 2025.


Equity Capital And Reserves Change Date
Air Canada CAD 1.79B 205M Jun/2025
Altagas CAD 9.08B 18M Jun/2025
Badger Infrastructure Solutions USD 254.35M 3.85M Mar/2025
Black Diamond CAD 322.19M 4.86M Jun/2025
Calfrac Well Services CAD 655.81M 2.48M Jun/2025
Canadian Energy Services CAD 789.59M 39.3M Jun/2025
Cargojet CAD 731.7M 48.6M Jun/2025
Chorus Aviation CAD 537.22M 25.27M Jun/2025
Enbridge CAD 68.36B 100M Jun/2025
Enerflex CAD 1.05B 8M Dec/2024
Ensign Energy Services CAD 1.3B 67.97M Jun/2025
Exchange Income CAD 1.45B 15.57M Jun/2025
Marten Transport USD 770.72M 3.22M Jun/2025
Mattr Corp CAD 723.32M 11.61M Sep/2024
Mullen CAD 1.02B 4.88M Jun/2025
Pason Systems CAD 484.49M 14.83M Jun/2025
Precision Drilling CAD 1.66B 35.4M Jun/2025
Secure Energy Services CAD 974M 68M Mar/2025
TFI International USD 2.68B 46.36M Jun/2025
TransCanada CAD 37.38B 1.06B Jun/2025
Trican Well Service CAD 476.5M 22.33M Jun/2025