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TGT

Target Corporation (TGT)

Last Price$130.54.4%
Market Cap$70.8B
Financial profile score
7/10
LTM Revenue
$107.3B
+0.6% YoY
LTM Net Income
$4.5B
+8.6% YoY
LTM Free Cash Flow
$5,268.0M
+15.0% YoY
Net Debt
$15.2B
Short-term financial position
0.9x
Current Assets / Current Liabilities

TGT Income statement

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TGT Balance sheet

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TGT Key balance sheet metrics

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TGT Cash flow statement

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TGT Key cash flow statement metrics

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FAQ

What are Target Corporation (TGT) Key Income Statement Metrics?

As of today, Target Corporation last 12-month Revenue is $107.3B , EBITDA is $8.9B and Net Income is $4.5B , based on the financial report for Aug 03, 2024 (Q3 2024).

What are Target Corporation (TGT) Key Balance Sheet Metrics?

As of today, Target Corporation Total Assets are $56.0B and Total Liabilities are $41.6B , based on the financial report for Aug 03, 2024 (Q3 2024).

What are Target Corporation (TGT) Key Cash Flow Statement Metrics?

As of today, Target Corporation last 12-month Cash Flow from Operating Activities is $2,238.0M, Cash Flow from Investing Activities is ($634.0M) and Cash Flow from Financing Activities is ($1,711.0M), based on the financial report for Aug 03, 2024 (Q3 2024).

What is Target Corporation (TGT) Free Cash Flow?

As of today, Target Corporation last 12-month Free Cash Flow is $5,268.0M , based on the financial report for Aug 03, 2024 (Q3 2024).