Mullen reported CAD340.64M in Trade Debtors for its fiscal quarter ending in June of 2025.


Trade Debtors Change Date
Air Canada CAD 1.17B 58M Jun/2025
Altagas CAD 1.35B 440M Jun/2025
Badger Infrastructure Solutions USD 167.78M 3.17M Mar/2025
Black Diamond CAD 78.19M 6.37M Jun/2025
Calfrac Well Services CAD 324.38M 73.27M Jun/2025
Canadian Energy Services CAD 449.48M 46.06M Jun/2025
Cargojet CAD 187.8M 92.9M Jun/2025
Chorus Aviation CAD 99.05M 46.28M Jun/2025
Enbridge CAD 5.53B 2.19B Jun/2025
Enerflex CAD 607M 53M Dec/2024
Ensign Energy Services CAD 271.99M 38.46M Jun/2025
Exchange Income CAD 677.36M 2.29M Jun/2025
Marten Transport USD 98.82M 1.15M Jun/2025
Mattr Corp CAD 206.83M 10.18M Sep/2024
Mullen CAD 340.64M 29.68M Jun/2025
Pason Systems CAD 76.45M 14.44M Jun/2025
Precision Drilling CAD 323.14M 74.54M Jun/2025
Secure Energy Services CAD 446M 58M Mar/2025
TFI International USD 949.83M 21.24M Jun/2025
TransCanada CAD 2.56B 31M Jun/2025
Trican Well Service CAD 161.71M 68.1M Jun/2025