Current stock page

Financial Data

TGT Financial Data

Revenue · Earnings · Margins · Balance Sheet · Cash Flow

Consumer DefensiveDiscount StoresScore data as of Sep 4, 2026

TGT

Financial Data
Target Corporation
Consumer Defensive· Discount Stores
AIQ Score
NeutralAIQ Edge 9/10
Relative Leader / Watch
Strong Relative Position
Score data as of Sep 4, 2026
Last price
$164.44
+$0.43 (+0.26%)
Latest market quote
Momentum75
Value58
Quality54
Risk Resilience58
Sentiment
View financial data

Financial Data Overview

Detailed revenue, earnings, margins, balance sheet, cash flow, valuation metrics, technical indicators, and risk measures for deeper research.

Quarterly periods
8
Fundamental metrics
10
Technical indicators
12
Risk measures
6

Quarterly Financial Statements

Updated Sep 5, 2026.

Income statement
8 periods
Metric2026-08-012026-05-022026-01-312025-11-012025-08-022025-05-032025-02-012025-01-31
Revenue$26.54B$25.44B$30.45B$25.27B$25.21B$23.85B$30.92B$30.92B
Gross Profit$8.94B$7.38B$8.11B$7.13B$7.31B$6.72B$8.04B$8.04B
Operating Income$2.56B
Net Income$1.88B$781M$1.05B$689M$935M$1.04B$1.1B$1.1B
EPS$4.13$1.72$2.31$1.52$2.05$2.28$2.42$2.42
Cash flow statement
8 periods
Metric2026-08-012026-05-022026-01-312025-11-012025-08-022025-05-032025-02-012025-01-31
Operating Cash Flow$3.8B$716M$3.08B$1.13B$2.08B$275M$3.29B$3.29B
Capital Expenditure-$1.37B-$1.04B-$790M-$978M-$1.07B-$790M-$923M-$923M
Free Cash Flow$2.43B-$319M$2.29B$149M$1.01B-$515M$2.37B$2.37B
Net Cash Provided By Operating Activities$3.8B$716M$3.08B$1.13B$2.08B$275M$3.29B$3.29B
Balance sheet
8 periods
Metric2026-08-012026-05-022026-01-312025-11-012025-08-022025-05-032025-02-012025-01-31
Total Assets$61.24B$58.01B$59.49B$59.99B$57.85B$56.19B$57.77B$57.77B
Total Debt$18.7B$18.83B$20.29B$20.04B$19.97B$19.04B$19.88B$19.88B
Cash And Cash Equivalents$5.41B
Total Liabilities$43.39B$41.62B$43.33B$44.49B$42.43B$41.24B$43.1B$43.1B
Total Stockholders Equity$17.84B$16.4B$16.17B$15.5B$15.42B$14.95B$14.67B$14.67B
Key financial metrics
8 periods
Metric2026-08-012026-05-022026-01-312025-11-012025-08-022025-05-032025-02-012025-01-31
P/E ratio8.7518.7311.4115.2912.1310.6914.2814.28
P/B ratio3.683.572.962.722.942.964.34.3
P/S ratio2.472.31.571.671.81.862.042.04
Debt To Equity1.051.151.261.291.31.271.361.36
Free Cash Flow Yield3.71%
Financial ratios
8 periods
Metric2026-08-012026-05-022026-01-312025-11-012025-08-022025-05-032025-02-012025-01-31
P/E ratio8.75
P/B ratio3.683.572.962.722.942.964.34.3
P/S ratio2.472.31.571.671.81.862.042.04
Return On Equity10.52%4.76%6.46%4.44%6.06%6.93%7.52%7.52%
Debt To Equity1.05

Current Stock Metrics

Current fundamental, technical, and risk readings in one place.

Fundamental metrics
Pe
16.92
multipleSep 4, 2026
Pb
4.17
multipleSep 4, 2026
Revenue Growth Yoy
4.31
percentSep 4, 2026
EPS Growth Yoy
140.12
percentSep 4, 2026
Gross Margin
29.3
percentSep 4, 2026
Operating Margin
5.59
percentSep 4, 2026
ROE
26.66
percentSep 4, 2026
ROIC
11.35
percentSep 4, 2026
Debt To Equity
1.05
ratioSep 4, 2026
FCF Yield
6.12
percentSep 4, 2026
Technical indicators
Close
164.44
priceSep 4, 2026
Volume
2,866,300
volumeSep 4, 2026
Rsi14
67.37
indexSep 4, 2026
MACD
5.07
indexSep 4, 2026
MACD Signal
5.56
indexSep 4, 2026
MACD Histogram
-0.49
indexSep 4, 2026
Adx14
35.65
indexSep 4, 2026
Sma50
147.04
priceSep 4, 2026
Sma200
122.5
priceSep 4, 2026
Atr14
4.38
priceSep 4, 2026
Historical Volatility
0.32
percentSep 4, 2026
Volume Ma20
4,879,671
volumeSep 4, 2026
Risk measures
Resilience Score
58
score_0_100Sep 4, 2026
Beta
0.97
ratioSep 4, 2026
Volatility Annual
30.27
percentSep 4, 2026
Max Drawdown
-13.83
percentSep 4, 2026
Sharpe Ratio
1.92
ratioSep 4, 2026
Var95
-3.03
percentSep 4, 2026

Detailed Metrics

Additional measures remain available here while the decision pages stay focused.

Additional fundamental metrics

No additional fundamental metrics are available.

Additional technical indicators

No additional technical indicators are available.

Additional risk measures

No additional risk measures are available.

TGT Financial Data FAQ

What is Target Corporation's revenue?

Target Corporation's revenue is one of the core financial data points for TGT. Use it with revenue growth, margins, and EPS to understand whether sales are translating into earnings power.

Is Target Corporation's revenue growing?

Revenue growth shows whether Target Corporation is expanding from prior periods. Compare growth with margins and free cash flow because faster sales growth is more valuable when profitability holds up.

What is TGT's EPS?

TGT's EPS, or earnings per share, helps connect net income to each share. EPS should be compared with EPS growth, P/E ratio, and analyst expectations.

What is Target Corporation's net income?

Target Corporation's net income shows profit after costs, taxes, and other expenses. It should be read with revenue, operating margin, EPS, and free cash flow.

How much free cash flow does Target Corporation generate?

Free cash flow shows how much cash Target Corporation generates after capital spending. It is useful for judging reinvestment capacity, buybacks, debt reduction, and valuation support.

How much cash and debt does Target Corporation have?

Cash and debt help frame TGT's balance-sheet flexibility. Compare liquidity and leverage with free cash flow and profitability before judging financial strength.