173.54
58.41 (00.34%)
As of Mar 06, 2024
TARGET CORP [TGT]
As of Aug 30, 2024 | Source: Quarterly Report to the SEC
Company Overview
Target Corp purpose is to help all families discover the joy of everyday life. We offer to our customers, referred to as "guests," everyday essentials and fashionable, differentiated merchandise at discounted prices.
Country | United States |
Headquarters | Minneapolis, Minnesota |
Phone Number | 6123046073 |
Industry | General Merchandise Stores |
Employees | 415,000 |
CEO | Brian C. Cornell |
Website | target.com |
Key fundamental financials profit of $971 million Revenue of $25,398 million earnings per share of $2.10 Current Reporting Revenue Net Income Profit/Loss Oct 2023 $25,398 million $971 million profit J...
Key fundamental financials profit of $835 million Revenue of $24,773 million earnings per share of $1.80 Current Reporting Revenue Net Income Profit/Loss Jul 2023 $24,773 million $835 million profit A...
Key fundamental financials profit of $950 million Revenue of $25,322 million earnings per share of $2.05 Current Reporting Revenue Net Income Profit/Loss Apr 2023 $25,322 million $950 million profit O...
Key fundamental financials profit of $950 million earnings per share of $2.05 Revenue of $25,322 million Target Corp [TGT] has reported $950 million profit for the fiscal quarter ending Apr 29, 2023 w...
Target Corp [TGT] has posted annual profit of $2,780 million for the year ended Jan 28,2023. The company based in Minnesota(MN)reported a risein revenue to $109,120 milion for the year when compared t...
Financial Overview
Revenue | 25,452 M |
Operating Revenue | 1,635 M |
Profits | 1,192 M |
Net Cash | -308 M |
Management Effectiveness
Return on Equity | 8.26% |
Return on Assets | 2.13% |
Turnover Ratio | 0.46 M |
EBITDA | 2,261 M |
Profit Ratios
Gross Margin | 7,653 M |
Operating Margin | 6.42% |
Profit as % of Revenues | 642.03% |
Profit as % of Assets | 2.14% |
Profit as % of Stockholder Equity | 8.26% |
Balance Sheet and Cash Flow Measures
Total Assets | 55,995 M |
Total Liabilities | 41,566 M |
Operating Cash Flow | 3,339 M |
Investing Cash Flow | -1,305 M |
Financing Cash Flow | -2,342 M |