Iron Mountain
Sector avg: 5.2/10
Iron Mountain carries $16.4B in long-term debt, with $16.6B in scheduled principal maturities. DebtCanary scores IRM at 3/10, suggesting manageable refinancing risk.
Maturity Schedule
| Period | Amount Due |
|---|---|
| Year 1 (0-12 months) | $216M |
| Year 2 (12-24 months) | $2.3B |
| Year 3 (24-36 months) | $1.7B |
| Year 4 (36-48 months) | $2.1B |
| Year 5 (48-60 months) | $3.0B |
| Beyond 5 Years | $7.2B |
| Total Scheduled Maturities | $16.6B |
Key Metrics
Total Long-Term Debt
$16.4B
Near-Term (12mo)
$216M
Interest Coverage
N/A
Debt/Equity
N/A
Cash Coverage
0.73x
Operating Income
$1.2B
EBITDA
$2.2B
Debt / EBITDA
7.5x
Score Components
| Component | Value |
|---|---|
| Near-Term Maturity Concentration | 1.3% |
| Interest Coverage Ratio | N/A |
| Debt-to-Equity Ratio | N/A |
| Cash Coverage of Near-Term Debt | 0.73x |
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Data Source:
Financial data sourced from SEC EDGAR XBRL filings (10-K annual reports).
Fiscal period end: 2025-12-31.
Filing date: 2026-02-12.
Data last fetched: 2026-03-29.
Maturity schedules reflect the company's most recently reported debt repayment obligations.
Data quality: Partial.
View SEC EDGAR filings for Iron Mountain →