TGT Dividend: Target Corp Yield Insights
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TGT
Target Corp (TGT) Price
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TGT Financial
Target Corp
$90.74
-0.54%
$-0.5
$90.97
0.25%
$0.23
360
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Final Score
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Income
Balance sheet
Cash flow
Annual
Quarterly
TGT Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
02/01/2025
02/03/2024
01/28/2023
01/29/2022
01/30/2021
Revenue
105,640
106,566
107,412
109,120
106,005
93,561
Revenue Growth (YoY)
-2%
-1%
-2%
3%
13%
20%
Cost of Revenue
76,285
76,502
77,736
82,229
74,963
65,951
Gross Profit
29,355
30,064
29,676
26,891
31,042
27,610
Selling, General & Admin
20,108
21,901
21,452
20,592
19,665
18,553
Research & Development
--
--
--
--
--
--
Operating Expenses
22,680
24,430
23,867
22,977
22,009
20,783
Other Non Operating Income (Expenses)
100
106
92
48
47
-16
Pretax Income
5,097
5,261
5,297
3,418
8,907
5,546
Income Tax Expense
1,169
1,170
1,159
638
1,961
1,178
Net Income
3,928
4,091
4,138
2,780
6,946
4,368
Net Income Growth
-12%
-1%
49%
-60%
59%
33%
Shares Outstanding (Diluted)
455.6
461.8
462.8
464.7
492.7
505.4
Shares Change (YoY)
-2%
0%
0%
-6%
-3%
-2%
EPS (Diluted)
8.62
8.85
8.94
5.98
14.1
8.64
EPS Growth
-11%
-1%
50%
-57.99%
63%
36%
Free Cash Flow
2,944
4,476
3,815
-1,510
5,081
7,876
Free Cash Flow Per Share
6.46
9.69
8.24
-3.24
10.31
15.58
Gross Margin
27.78%
28.21%
27.62%
24.64%
29.28%
29.51%
Operating Margin
6.31%
5.28%
5.4%
3.58%
8.52%
7.29%
Profit Margin
3.71%
3.83%
3.85%
2.54%
6.55%
4.66%
Free Cash Flow Margin
2.78%
4.2%
3.55%
-1.38%
4.79%
8.41%
EBITDA
9,247
8,163
8,224
6,299
11,377
9,057
EBITDA Margin
8.75%
7.66%
7.65%
5.77%
10.73%
9.68%
D&A For EBITDA
2,572
2,529
2,415
2,385
2,344
2,230
EBIT
6,675
5,634
5,809
3,914
9,033
6,827
EBIT Margin
6.31%
5.28%
5.4%
3.58%
8.52%
7.29%
Effective Tax Rate
22.93%
22.23%
21.88%
18.66%
22.01%
21.24%
Follow-Up Questions
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