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Target Corporation (TGT)

Consumer Defensive Discount Stores
144.50 $
+0.0% vs. previous close
Closing price · As of: 31. Jul 2026

Target Corporation (TGT) by the numbers: income statement, balance sheet and cash flow, by year or by quarter. In the most recent period (Q1 26), "Operating Cash Flow" came in at 716 million USD. Tick rows to compare them in a chart.

All figures in millions of USD.

Cash Flow TGT
Tick rows to compare them in a chart (up to 4) Q2 23 Q3 23 Q4 23 Q1 24 Q2 24 Q3 24 Q4 24 Q1 25 Q2 25 Q3 25 Q4 25 Q1 26 LTM
2,133 1,934 3,289 1,101 2,238 739 3,289 275 2,083 1,127 3,077 716 7,003
683 722 729 718 743 639 766 787 771 773 803 813 3,160
64 69 75 72 77 80 75 69 64 64 84 54 266
132 270
483 -29 1,064 -664 221 -852 1,440 -1,649 232 -273 1,287 -1,063 183
1,220 1,127 854 674 639 655 923 790 1,074 978 790 1,035 3,877
-2,821 -3,910 -850 -671 -634 -637 -918 -787 -1,066 -937 -859 -1,033 -3,895
499 507 508 508 509 516 513 510 509 518 516 516 2,059
-3.0 -3.0 -3.0 -91 -158 -351 -501 -250 -8.0 -150 -250 -89 -497
-116 -42 705 -27 -543 956 -38 -34 -1,032 -148
-618 -552 -544 -631 -1,711 -166 -1,042 -1,363 437 -709 -552 -1,637 -2,461
296 293 -1,001 -201 -107 -64 1,329 -1,875 1,454 -519 1,666 -1,954 647
913 807 2,435 427 1,599 84 2,366 -515 1,009 149 2,287 -319 3,126

LTM = last twelve months (sum of the four most recent quarters).

Data as of: July 31, 2026 · Source: fundamental data & SEC filings (annual and quarterly reports, 10-K/10-Q)

Note: pure fact-based analysis, not investment advice and not a solicitation to buy or sell. All figures without guarantee.

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