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PBF Energy Inc.

NYSE: PBF    
Share price (12/20/24): $25.15    
Market cap (12/20/24): $2.895 billion

Plans of Reorganization, Merger, Acquisition or Similar Filter

EX-2
from SCHEDULE 13D/A ~5 pages Schedule 1
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EX-2.1
from 8-K 390 pages Subscription Agreement by and Among PBF Energy Company LLC Eni Sustainable Mobility S.P.A., and St. Bernard Renewables LLC Dated February 16, 2023
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EX-2.1
from 8-K 66 pages Agreement and Plan of Merger Dated as of July 27, 2022 by and Among PBF Energy Inc., PBF Energy Company LLC, Riverlands Merger Sub LLC, Pbfx Holdings Inc. PBF Logistics LP and PBF Logistics GP LLC
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EX-2.2
from 8-K 24 pages Amendment No. 1 to Sale and Purchase Agreement
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EX-2.1
from 8-K 110 pages Sale and Purchase Agreement by and Between Equilon Enterprises LLC D/B/a Shell Oil Products US (Seller) and PBF Holding Company LLC (Buyer) Sale and Purchase of the Shell Martinez Refinery June 11, 2019
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EX-2.1
from 8-K 27 pages Contribution Agreement by and Between PBF Energy Company LLC and PBF Logistics LP, Dated as of April 24, 2019
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EX-2.1
from 8-K 145 pages Contribution Agreement by and Between PBF Energy Company LLC and PBF Logistics LP, Dated as of February 15, 2017
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EX-2.1
from 8-K 46 pages Contribution Agreement by and Between PBF Energy Company LLC and PBF Logistics LP, Dated as of August 31, 2016
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EX-2.1
from 8-K 80 pages Exxonmobil Oil Corporation Mobil Pacific Pipeline Company (Sellers) and PBF Holding Company LLC Sale and Purchase Agreement for Refinery, Pipelines and Terminals September 29, 2015
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EX-2.1
from 8-K 84 pages Exxonmobil Oil Corporation, Mobil Pipe Line Company, Pdv Chalmette, L.L.C. and PBF Holding Company LLC Dated: June 17, 2015 Agreement for the Sale and Purchase of the Ownership Interests in Chalmette Refining, L.L.C
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EX-2
from SC 13G/A 1 page Power of Attorney for Certain Regulatory Filings Including Certain Filings Under the Securities Exchange Act of 1934 and the Investment Advisers Act of 1940
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EX-2
from SC 13G 1 page Power of Attorney for Certain Regulatory Filings Including Certain Filings Under the Securities Exchange Act of 1934 and the Investment Advisers Act of 1940
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