Mullen reported CAD14.5M in Interest Expense on Debt for its fiscal quarter ending in December of 2025.





Interest Expense On Debt Change Date
Air Canada CAD 149M 15M Mar/2026
Altagas CAD 119M 1000K Mar/2026
Badger Infrastructure Solutions USD 4.62M 767K Dec/2025
Black Diamond CAD 4.01M 786K Dec/2025
Calfrac Well Services CAD -844K 9.04M Dec/2025
Canadian Energy Services CAD 5.42M 1.58M Sep/2025
Cargojet CAD 5.3M 5.8M Mar/2026
Chorus Aviation CAD 3.96M 390K Sep/2025
Enbridge CAD 1.28B 23M Dec/2025
Enerflex CAD 18M 3M Dec/2025
Ensign Energy Services CAD 17.36M 1.43M Dec/2025
Exchange Income CAD 33M 743K Dec/2025
Heartland Express USD 2.51M 393K Dec/2025
Marten Transport USD 947.23M 946.73M Mar/2026
Mattr Corp CAD 7.26M 661K Sep/2024
Mullen CAD 14.5M 1.33M Dec/2025
Pam Transportation Services USD 4.9M 1.97M Dec/2025
Pason Systems CAD 567K 233K Sep/2025
Precision Drilling CAD 12.36M 444K Mar/2026
Secure Energy Services CAD 10M 0 Dec/2024
TFI International USD 36.94M 1.54M Mar/2026
TransCanada CAD 838M 882M Mar/2026
Trican Well Service CAD 2.6M 2.05M Dec/2025