Recent Annual Filings for PBF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,703,200,000 $33,115,300,000 $33,814,300,000 $-535,900,000 $43,400,000 $-249,300,000 $-1,247,400,000
2023 $14,387,800,000 $38,324,800,000 $35,373,300,000 $2,151,200,000 $1,338,500,000 $-1,420,000,000 $-420,100,000
2022 $13,549,100,000 $46,830,300,000 $42,677,100,000 $2,954,000,000 $4,772,000,000 $-2,899,000,000 $862,100,000
2021 $11,641,400,000 $27,253,400,000 $26,656,200,000 $341,900,000 $477,300,000 $-356,800,000 $-268,000,000
2020 $10,499,800,000 $15,115,900,000 $16,532,700,000 $-1,334,100,000 $-631,600,000 $2,452,700,000 $794,600,000
2019 $9,132,400,000 $24,508,200,000 $23,859,200,000 $389,400,000 $933,500,000 $-3,300,000 $217,600,000
2018 $8,005,415,000 $27,186,093,000 $26,827,973,000 $178,274,000 $837,938,000 $-128,076,000 $24,265,000
2017 $8,117,993,000 $21,786,637,000 $21,056,419,000 $482,457,000 $685,861,000 $-172,103,000 $-173,253,000