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TGT    Target Corp    27419    
Income Statement
Revenue 25,668,000,000
Net Income 854,000,000
Profit Margin 3.33%

Balance Sheet
Current Assets 20,554,000,000
Assets 58,531,000,000
Current Liabilities 21,792,000,000
Liabilities 44,042,000,000
Equity 14,489,000,000
Shares Out 460,675,000

Cash Flow Statement
Operating Cash Flow 4,078,000,000
Investing Cash Flow -1,942,000,000

Market Analysis
Market Cap 69,907,370,550
Price 133.61
BVPS 31.45
PB 4.25
EPS 9.69
PE 15.67
PS 0.68
FCF 2,136,000,000
Dividends
Dividend Amount 1.12   
Dividend Yield 3.39%
Jan Feb Mar
Ex: 2/20 Pay: 3/10
Apr May Jun
Ex: 5/14 Pay: 6/10
Jul Aug Sep
Ex: 8/21 Pay: 9/10
Oct Nov Dec
Ex: 11/20 Pay: 12/10

Earnings
Jan Feb Mar
3/05 0.58
Apr May Jun
5/22 2.03
Jul Aug Sep
8/21 2.57
Oct Nov Dec
11/27 1.86

Find a discrepancy? The most accurate way to find company fundamental data is to view TGT documents filed with the SEC.


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