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    Target Corporation

    TGT

    95.42

    USD
    +3.27
    (+3.55%)
    Day's range
    91.88
    95.53
    52 wk Range
    87.35
    167.4

    Key ratios

    P/E Ratio
    10.77
    Price/Book
    2.97
    Debt/Equity
    35.58%
    Return on equity
    28.50%
    Dividend Yield
    4.68%
    EBITDA
    5.57B

    Statements Highlights

    Period EndingJan 30, 2021Jan 29, 2022Jan 28, 2023Feb 03, 2024Feb 01, 2025
    Total Revenue93,561,000,000106,005,000,000109,120,000,000107,412,000,000106,566,000,000
    Gross Profit27,384,000,00031,042,000,00026,891,000,00029,676,000,00030,064,000,000
    Operating Income6,539,000,0008,946,000,0003,848,000,0005,707,000,0005,566,000,000
    Net Income4,368,000,0006,946,000,0002,780,000,0004,138,000,0004,091,000,000
    Total Assets51,248,000,00053,811,000,00053,335,000,00055,356,000,00057,769,000,000
    Total Current Liabilities20,125,000,00021,747,000,00019,500,000,00019,304,000,00020,799,000,000
    Total Equity14,440,000,00012,827,000,00011,232,000,00013,432,000,00014,666,000,000
    Free Cash Flow7,876,000,0005,081,000,000-1,510,000,0003,815,000,0007,367,000,000
    Cash from Operations10,525,000,0008,625,000,0004,018,000,0008,621,000,0007,367,000,000
    Cash from Investing-2,591,000,000-3,154,000,000-5,504,000,000-4,760,000,000-2,860,000,000
    Cash from Financing-2,000,000,000-8,071,000,000-2,196,000,000-2,285,000,000-3,550,000,000
    Net Change in Cash5,934,000,000-2,600,000,000-3,682,000,0001,576,000,000957,000,000

    Dividends

    Analyst Recomendations

    Overall consensus
    Buy