ZYBERNO
Stock Report
Updated Aug 30, 2026

PBF ENERGY INC. (PBF)

Energy • NYSE

$71.28
PBF Energy Inc. is an American petroleum refiner headquartered in Parsippany, New Jersey. The company operates six refineries across the East Coast, Gulf Coast, and West Coast of the United States with a total refining capacity of approximately 1 million barrels per day, producing gasoline, diesel, jet fuel, and other petroleum products.

Professional Investment Analysis

ZYBERNO SCORE
Is it a great business? Is it getting better?
33.0/100
WEAK BUSINESS
PBF ENERGY INC. (PBF) scores 33/100 — weak fundamentals with mixed indicators requiring careful analysis before acting.
📊 How is the Zyberno Score calculated? +
VALUATION SIGNAL
MARGIN OF SAFETY
Is this stock cheap or expensive relative to what the business has historically generated for owners?
Margin of Safety unavailable — insufficient data for the owner-earnings DCF.
Is the market underestimating or overestimating what this business is capable of going forward?
+9.0%
Market Underestimates
💰 How is Margin of Safety calculated? +
📈 How is Brina Gap calculated? +

Critical Financial Health Indicators

Return on Equity (Profitability):GOOD (16.4%)
Debt-to-Equity (Solvency Risk):GOOD (0.36x)
Operating Margin (Operational Efficiency):POOR (4.4%)
Return on Capital (Capital Efficiency):AVERAGE (14.9%)
📊 Valuation Trilogy
Three interconnected metrics for complete valuation analysis
Click any metric for full methodology and detailed analysis
Zyberno's Verdict

PBF ENERGY INC. (PBF) stock report — Zyberno Score 33/100 (WEAK BUSINESS). Full financial analysis on Zyberno.

According to Zyberno's DCF model, PBF ENERGY INC. (PBF) shows a Brina Gap of +9.0%, which strengthens the case: based on the company's ROIC (14.9%) and reinvestment rate (29.5%), the business can fundamentally grow at 4.4% — but the current enterprise value implies the market expects -4.6%.

Over the trailing twelve months, PBF generated -$362.30M in Owner Earnings. Capital was deployed as follows: $127.20M paid as dividends, $943.60M invested in capital expenditures. Reinvestment rate: 29.5%.

DIVISION I: EXECUTIVE SUMMARY
A. Market Valuation

Market Price & Capitalization (2)

Current Price:71.28
Market Cap:$8.44B

Valuation Multiples (4)

P/B Ratio:1.29x
P/S Ratio:0.25x
Peg Ratio:-999.00x

Enterprise Metrics (2)

Enterprise Value:$9.47B
Ev Ebitda Ratio:4.72x

Price Action & Momentum (3)

Momentum Percentile:93 / 100
% of 52-Week High:94.2%
B. Profitability Assessment

Return Metrics (7)

ROA:6.8%
Reinvestment Rate:29.5%
Fundamental Growth Rate (g):4.4%
Market-Implied Growth Rate:-4.6%

Margin Analysis (3)

Operating Margin Ttm:4.4%
Net Margin Ttm:2.8%
Ebitda Margin:5.8%

TTM Performance (3)

Gross Margin Ttm:3.9%
Operating Margin Ttm:4.4%
Net Margin Ttm:2.8%

Yield Metrics (2)

Earnings Yield:$10.94
Dividend Yield:1.5%
C. Log-Linear Regression Growth Trends

Earnings Surprise (SUE) (3)

EPS Surprise vs Expected:4,652.5%
Latest Earnings Filed:2026-07-30

Revenue Growth (Linear) (1)

Revenue Growth Rate (Linear):-8.1%

Earnings Growth (Linear) (1)

Net Income Growth Rate (Linear):-22.4%

Cash Flow Growth (Linear) (2)

Free Cash Flow Growth Rate (Linear):-50.0%
Operating Cash Flow Growth Rate (Linear):-50.0%

Operating Growth (Linear) (1)

Operating Income Growth Rate (Linear):-31.4%
D. Financial Stability

Liquidity Ratios (3)

Current Ratio:1.33x
Quick Ratio:0.67x
Cash Ratio:0.20x

Leverage Analysis (3)

Debt To Equity Ttm:0.36x
Debt-to-Equity Ratio:0.36x
Debt To Ebitda:0.96x

Coverage Ratios (2)

Interest Coverage Ratio:-0.31x
Times Interest Earned:-0.31

Capital Structure (4)

Working Capital:1,448,300,000.00
Cash And Cash Equivalents:894,100,000.00
Long Term Debt:$1.75B
Net Debt:$1.03B
DIVISION II: FINANCIAL STATEMENTS ANALYSIS
A. Income Statement Analysis

Revenue Components (2)

Revenue TTM: $34.37B
Linear Growth: -8.1%
📊 Click to view full PBF Revenue analysis & methodology →
Cost Of Revenue Ttm:$33.04B

Profitability Breakdown (2)

Gross profit TTM: $1.33B
Linear Growth: -31.7%
📊 Click to view full PBF Gross Profit analysis & methodology →
Operating income TTM: $1.52B
Linear Growth: -31.4%
📊 Click to view full PBF Operating Income analysis & methodology →

Bottom Line Performance (3)

Net income TTM: $946.20M
Linear Growth: -22.4%
📊 Click to view full PBF Net Income analysis & methodology →
Income Before Tax:$1.25B
Ebitda Ttm:2,005,800,000.00

Operating Expenses (5)

Operating Expenses:32,387,600,000.00
R And D Expense:0.00
Sga Expense:419,800,000.00
Income Tax Expense:$298.40M
Interest Expense:175,000,000.00

Expense Ratios (3)

R And D To Revenue Percentage:0.0%
Sga To Revenue Percentage:3.6%
Ebitda Margin:5.8%
B. Balance Sheet Analysis

Asset Composition (5)

Total Assets:$14.72B
Current Assets:$5.83B
Ppe Net:5,741,800,000.00
Goodwill:0.00
Intangible Assets:$8.10M

Liability Structure (4)

Total Liabilities:8,173,300,000.00
Current Liabilities:4,384,100,000.00
Long Term Debt:$1.75B
Short Term Debt:$175.30M

Equity & Capital (3)

Equity:$6.55B
Retained Earnings:$4.19B
Common Stock:0.00

Working Capital Items (3)

Accounts Receivable:0.00
Inventory:2,893,900,000.00
Accounts Payable:3,398,900,000.00

Special Items (2)

Contract Liabilities:21,300,000.00
Stock Based Compensation:8,400,000.00
C. Cash Flow Analysis

Operating Activities (2)

Operating cash flow TTM: $259.70M
Linear Growth: -50.0%
Free cash flow TTM: -$683.90M
Linear Growth: -50.0%
📊 Click to view full PBF Free Cash Flow analysis & methodology →

Investment Activities (2)

Investing Cash Flow:-$401.80M
Capital Expenditures Ttm:943,600,000.00

Financing Activities (3)

Financing Cash Flow:$739.40M
Dividends Paid Ttm:127,200,000.00
Stock Repurchase:0.00

Capital Transactions (3)

Common Stock Issuance:0.00
Long Term Debt Issuance:$0.00
Long Term Debt Repayments:$0.00

Non-Cash Items (1)

Depreciation Amortization Ttm:488,400,000.00
DIVISION III: OPERATIONAL METRICS
A. Per Share Analysis

Earnings Per Share (3)

EPS (Basic TTM):7.96
Eps diluted TTM: $7.80
Linear Growth: -20.4%
📊 Click to view full PBF EPS analysis & methodology →
Earnings Per Share Ttm:$7.99

Revenue & Cash Per Share (2)

Sales Per Share Ttm:290.39
Operating Cash Flow Per Share:-$0.66

Book Value & Capital (2)

Book Value Per Share:$55.30
Cash Per Share:7.55

Dividend Policy (1)

Dividend Payout Ratio:13.80x
B. Operational Efficiency

Asset Utilization (2)

Asset Turnover Ttm:2.48x
Working Capital Turnover Ttm:23.73x

Receivables Management (2)

Receivables Turnover Ttm:-999.00x
Days Sales Outstanding Ttm:-999.00

Inventory Management (2)

Inventory Turnover Ttm:11.42x
Days Inventory Outstanding Ttm:31.97

Payables & Cash Cycle (2)

Days Payable Outstanding:37.55
Cash Conversion Cycle:-1,004.58
C. Quality & Risk Metrics

Financial Quality Scores (2)

Financial Strength Score:80.00
Quality Score:35.00

Market Metrics (2)

Beta:0.00x
Volatility Category:unknown
DIVISION IV: INVESTMENT ANALYSIS
A. Value Investment Framework

Owner Earnings Analysis (1)

-$362.30M

Damodaran Growth Analysis (4)

Reinvestment Rate:29.5%
Fundamental Growth Rate (g):4.4%
Market-Implied Growth Rate:-4.6%
B. Log-Linear Regression Growth Analysis

Growth Rates (Log-Linear Regression) (3)

Revenue Growth Rate (Linear):-8.1%
Net Income Growth Rate (Linear):-22.4%
Operating Income Growth Rate (Linear):-31.4%

Cash Flow Growth Rates (2)

Free Cash Flow Growth Rate (Linear):-50.0%
Operating Cash Flow Growth Rate (Linear):-50.0%

Other Growth Rates (2)

Gross Profit Growth Rate (Linear):-31.7%
Book Value Growth Rate (Linear):3.8%
C. Company Profile & Context

Corporate Information (6)

Symbol:PBF
Company Name:PBF ENERGY INC.
Sector:Energy
Industry:Oil & Gas Refining
Exchange:NYSE
Country:United States

Market Classification (3)

Market Cap Category:N/A
Price Category:high
Volume Category:N/A

Share Structure (3)

Shares Outstanding:118.37M
Shares Outstanding Basic:118.37M
Shares Outstanding Diluted:121.07M

Data Processing Info (3)

Processing Version:v3.0
Last Updated:2026-08-30 07:25:55 UTC
Data Timestamp:2026-08-30T07:25:55.011342
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