Mullen reported 12.67M in Interest Expense on Debt for its fiscal quarter ending in June of 2025.


Interest Expense On Debt Change Date
Air Canada CAD 155M 13M Jun/2025
Altagas CAD 114M 1000K Jun/2025
Badger Infrastructure Solutions USD 3.85M 693K Dec/2024
Black Diamond 3.61M 110K Jun/2025
Calfrac Well Services CAD 8.46M 269K Jun/2025
Canadian Energy Services CAD 17.53M 5.12M Mar/2025
Cargojet CAD 10.9M 500K Jun/2025
Chorus Aviation CAD 4.35M 18.57M Jun/2025
Enbridge CAD 1.21B 47M Jun/2025
Enerflex CAD 26M 3M Dec/2024
Ensign Energy Services CAD 18.98M 2.76M Jun/2025
Exchange Income CAD 32.14M 563K Jun/2025
Marten Transport 400K 500K Dec/2024
Mattr Corp CAD 7.26M 661K Sep/2024
Mullen 12.67M 1.99M Jun/2025
Pason Systems CAD 500K 303K Mar/2025
Precision Drilling CAD 14.86M 903K Jun/2025
Secure Energy Services CAD 10M 0 Dec/2024
TFI International USD 40.61M 3.85M Jun/2025
TransCanada CAD 847M 7M Jun/2025
Trican Well Service CAD 664K 74K Jun/2025