PBF Energy Inc.

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash flows from operating activities:
Adjustments to reconcile net income to net cash provided by operating activities:
Net Income (Loss) Attributable to Parent $170.8m $415.5m $128.3m $319.4m ($1.4b) $231.0m $2.9b $2.1b ($533.8m) ($158.5m)
Net Income (Loss) Available to Common Stockholders, Basic $225.5m $414.5m $127.6m $318.9m ($1.4b) $231.0m $2.9b $2.1b ($533.9m) ($158.6m)
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest $225.5m $483.4m $175.3m $375.2m ($1.3b) $315.5m $3.0b $2.2b ($540.2m) ($160.5m)
Depreciation, Depletion and Amortization $105.5m $144.0m $207.6m $258.1m $325.9m $221.1m $262.0m $314.4m $358.3m $371.6m
Depreciation $116.6m $147.0m $162.2m $178.0m $223.0m $229.6m $236.5m $243.2m $255.5m $261.7m
Depreciation, Amortization and Accretion, Net $232.9m $299.9m $378.6m $447.5m $581.1m $483.8m $533.9m $591.6m $643.0m $662.8m
Deferred Income Tax Expense (Benefit) $244.8m $313.8m $32.7m $103.7m $1.6m $11.7m $420.2m $537.0m ($239.2m) ($77.9m)
Deferred income taxes $244.8m $313.8m $32.7m $103.7m $1.6m $11.7m $420.2m $537.0m ($239.2m) ($77.9m)
Share-based Payment Arrangement, Noncash Expense $22.7m $26.8m $26.0m $37.3m $34.2m $35.6m $54.3m $51.5m $44.3m $39.0m
Payment, Tax Withholding, Share-based Payment Arrangement $5.3m $4.8m $2.1m $0
Gain (Loss) on Extinguishment of Debt ($25.5m) $0 $0 ($22.2m) $79.9m ($66.1m) ($5.7m) $0 $0
Gain (Loss) on Disposition of Property Plant Equipment, Excluding Oil and Gas Property and Timber Property ($11.4m) ($1.5m) $43.1m $29.9m $477.8m $3.0m ($900k) $1.3m ($400k) ($705.2m)
Gain (Loss) on Disposition of Property Plant Equipment ($11.4m) ($1.5m) $43.1m $29.9m $477.8m $3.0m ($900k) $1.3m ($400k) $93.1m
Income (Loss) from Equity Method Investments ($45.3m) ($47.4m) ($62.2m)
Income Tax Expense (Benefit) $137.7m $315.6m $33.5m $104.3m $2.1m $12.1m $584.8m $723.8m ($228.4m) ($74.1m)
Operating Lease, Expense $52.3m
Loss on extinguishment of debt $0 $25.5m $0 $0 $22.2m ($79.9m) $66.1m $5.7m $0 $0
Loss from equity method investment $0 $0 $45.3m $47.4m $62.2m
Loss (gain) on formation of SBR equity method investment $0 $0 ($925.1m) $8.7m $0
Equity method investment - contribution $0 $0 ($15.4m) ($35.0m) ($25.0m)
Equity method investment - return of capital $0 $0 $846.0m $1.8m $3.4m
Contribution of assets to SBR equity method investment $0 $0 ($748.3m) ($8.7m) $0
Changes in operating assets and liabilities:
Additional Financial Items
Increase (Decrease) in Accounts Receivable $165.4m $332.4m ($234.3m) $116.1m ($322.1m) $764.7m $178.8m ($93.8m) ($197.5m) $1.7m
Increase (Decrease) in Inventories ($236.6m) $54.7m $3.3m $6.3m ($392.2m) $149.3m $258.5m $409.0m ($587.9m) $280.8m
Increase (Decrease) in Accounts Payable $217.6m $34.6m ($111.7m) $137.5m ($206.6m) $480.7m ($95.7m) $124.7m ($196.7m) $3.5m
General and Administrative Expense $166.5m $214.8m $277.0m $284.0m $248.5m $247.3m $468.7m $362.5m $260.4m $332.3m
Inventory Write-down ($521.3m)
Operating Expenses $1.4b $1.7b $1.7b $1.8b
Payments of Financing Costs $0 $17.1m $16.2m
Proceeds from Stock Options Exercised ($10.5m) $14.0m $0 $0
Stock-based compensation expense $22.7m $26.8m $26.0m $37.3m $34.2m $35.6m $54.3m $51.5m $44.3m $39.0m
Change in fair value of catalyst obligations $2.2m ($5.6m) $9.7m $11.8m ($8.5m) $2.0m ($1.1m) $0 $0
Change in Tax Receivable Agreement liability ($12.9m) ($250.9m) ($13.9m) $0 ($373.5m) $48.3m $290.3m ($2.0m) $0 $0
Non-cash lower of cost or market inventory adjustment ($521.3m) ($295.5m) $351.3m ($250.2m) $268.0m ($669.6m) $0 $0 $0 $313.0m
Change in fair value of contingent consideration, net $0 ($800k) ($93.7m) $32.4m $48.3m ($45.8m) ($3.3m) $0
Pension and other post-retirement benefit costs $38.0m $42.2m $47.4m $44.8m $55.7m $50.8m $47.6m $47.9m $51.9m $52.6m
Gain on insurance recoveries, net $0 $0 ($832.5m)
Insurance proceeds $0 $0 $532.9m
(Gain) loss on sale of assets $11.4m $1.5m ($43.1m) ($29.9m) ($477.8m) ($3.0m) $900k ($1.3m) $400k ($93.1m)
Accounts receivable ($165.4m) ($332.4m) $234.3m ($116.1m) $322.1m ($764.7m) ($178.8m) $93.8m $197.5m ($1.7m)
Inventories $236.6m ($54.7m) ($3.3m) ($6.3m) $392.2m ($149.3m) ($258.5m) ($409.0m) $587.9m ($280.8m)
Prepaid and other current assets ($54.3m) $73.5m $10.1m $2.7m ($1.8m) ($16.2m) ($5.4m) ($102.0m) $19.9m $53.5m
Accounts payable $217.6m $34.6m ($111.7m) $137.5m ($206.6m) $480.7m ($95.7m) $124.7m ($196.7m) $3.5m
Accrued expenses $217.8m $359.5m ($227.1m) $208.1m $116.0m $797.9m $881.0m ($743.5m) ($475.9m) $24.1m
Deferred revenue $9.2m ($4.4m) $11.2m $100k $27.1m ($4.5m) ($2.1m) $23.5m ($20.3m) ($23.0m)
Payment related to Tax Receivable Agreement $0 $0 ($44.8m) ($125.4m)
Other assets and liabilities ($27.8m) ($53.1m) $7.5m ($55.2m) ($63.1m) ($75.3m) $500k ($114.7m) ($37.2m) ($54.4m)
Expenditures for deferred turnaround costs ($198.7m) ($379.1m) ($266.0m) ($299.3m) ($188.1m) ($117.7m) ($311.6m) ($473.5m) ($576.7m) ($379.5m)
Expenditures for other assets ($42.5m) ($31.1m) ($17.1m) ($44.7m) ($9.1m) ($28.9m) ($66.0m) ($40.5m) ($40.7m) ($77.1m)
Proceeds from sale of assets $24.7m $0 $48.3m $36.3m $543.1m $7.2m $0 $4.4m $0 $170.3m
Distributions to PBF Energy Company LLC members other than PBF Energy ($21.9m) ($4.6m) ($2.1m) ($3.2m) ($400k) $0 ($8.6m) ($5.3m) ($1.6m) ($900k)
Redemption of 2025 7.25% Senior Notes ($194.5m) ($736.5m) ($6.8m) ($7.0m) ($524.7m) ($154.2m) ($1.3b) ($666.2m) $0 $0
Proceeds from revolver borrowings $550.0m $490.0m $0 $1.4b $1.4b $0 $400.0m $0 $200.0m $3.2b
Repayments of revolver borrowings ($200.0m) ($490.0m) ($350.0m) ($1.4b) ($550.0m) $0 ($1.4b) $0 $0 ($3.3b)
Redemption of PBFX 2023 Senior Notes $0 $0 ($525.0m) $0 $0
Settlements of precious metal catalyst obligations ($6.5m) ($8.8m) ($31.7m) ($56.2m) ($3.1m) $0 $0
Payments on financing leases $0 $0 ($12.4m) ($17.8m) ($11.3m) ($14.1m) ($12.2m) ($11.2m)
Proceeds from insurance premium financing $0 $0 $2.1m $13.0m $123.2m $115.6m
Payments of insurance premium financing $0 $0 ($111.9m) ($106.6m)
Transactions in connection with stock-based compensation plans, net ($2.1m) ($4.6m) $67.8m $38.3m $1.4m $2.9m
Payments of contingent consideration $0 $0 ($12.2m) ($3.1m) ($80.1m) $0 $0
Accrued and unpaid capital expenditures $35.6m $26.8m $90.2m $37.2m $32.1m $104.0m $166.1m $145.0m $85.5m $220.1m
Assets acquired or remeasured under operating and financing leases $434.9m $702.0m ($106.6m) $54.7m $271.6m $288.6m $156.2m
Settlement of affiliate note payable to fund investment in SBR working capital $0 $0 ($74.9m) $0 $0
Interest, net of capitalized interest of $30.0, $18.6 and $38.2 in 2025, 2024 and 2023, respectively $166.5m $164.4m $154.0m $206.9m $307.0m $249.7m $103.6m $93.1m $156.9m
Income taxes $3.8m $0 $699k $2.7m $2.1m $5.7m $148.9m $299.0m $17.7m $4.0m
Net Cash Provided by (Used in) Operating Activities $651.9m $685.9m $837.9m $933.5m ($631.6m) $477.3m $4.8b $1.3b $43.4m ($78.0m)
Cash flows from investing activities:
Payments to Acquire Property, Plant, and Equipment $298.7m $306.7m $317.5m $404.9m $196.2m $249.1m $633.3m $659.6m $390.9m $705.2m
Net Cash Provided by (Used in) Investing Activities ($1.4b) ($687.0m) ($685.6m) ($712.6m) ($1.0b) ($388.5m) ($1.0b) ($338.6m) ($1.0b) ($480.2m)
Cash flows from financing activities:
Proceeds from Issuance of Long-term Debt $0 $725.0m $0 $0 $2.3b $0 $0 $496.6m $0 $788.5m
Repayments of Long-term Debt $194.5m $0
Proceeds from Issuance of Common Stock $0
Payments for Repurchase of Common Stock $743k $1.0m $8.2m $4.9m $1.6m $0 $156.4m $532.5m $329.1m $0
Share repurchases of PBF Energy’s Class A common stock ($743k) ($1.0m) ($8.2m) ($4.9m) ($1.6m) $0 ($156.4m) ($532.5m) ($329.1m) $0
Dividends paid $117 $132 $139 $144
Dividend payments ($117.5m) ($131.7m) ($138.9m) ($143.5m) ($35.9m) $0 ($24.7m) ($105.8m) ($119.0m) ($125.6m)
Proceeds from (Payments for) Other Financing Activities $1.6m ($35.0m) ($1.2m) ($31.3m) ($35.8m) ($100k) ($12.7m)
Deferred financing costs and other $0 ($17.1m) ($16.2m) $1.6m ($35.0m) ($1.2m) ($31.3m) ($35.8m) ($100k) ($12.7m)
Net Cash Provided by (Used in) Financing Activities $544.0m ($172.1m) ($128.1m) ($3.3m) $2.5b ($356.8m) ($2.9b) ($1.4b) ($249.3m) $550.0m
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect $794.6m ($268.0m) $862.1m ($420.1m) ($1.2b) ($8.2m)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $1.6b $1.3b $2.2b $1.8b $536.1m $527.9m
Net change in cash and cash equivalents $24.3m $217.6m $794.6m ($268.0m) $862.1m ($420.1m) ($1.2b) ($8.2m)
Cash and cash equivalents, beginning of period $597.3m $814.9m $1.6b $1.3b $2.2b $1.8b $536.1m $527.9m
Supplemental disclosure of cash flow information:
Interest Paid, Excluding Capitalized Interest, Operating Activities $154.0m $206.9m $307.0m $249.7m $103.6m $93.1m $156.9m
Income Taxes Paid, Net $3.8m $0 $699k $2.7m $2.1m $5.7m $148.9m $299.0m $17.7m $4.0m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.