$158.04
$0.00 (0.00%)
End-of-day quote: 05/04/2024
NYSE:TGT

Target Annual Report

Year Year 2023 2022 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021
Rev. Revenue
$109.12B $106.01B $46.84B $52.62B $59.49B $63.37B $64.95B $65.36B $67.39B $69.87B $73.30B $71.28B $72.62B $73.79B $70.27B $72.71B $75.36B $78.11B $93.56B
GM % Gross Margin %
24.64% 29.28% 31.29% 31.25% 30.06% 30.00% 28.31% 29.12% 30.72% 30.86% 30.60% 29.80% 29.39% 29.20% 30.06% 29.69% 29.27% 29.76% 29.51%
OM Operating Margin
3.63% 8.55% 7.69% 8.22% 8.52% 8.32% 6.52% 7.00% 7.67% 7.68% 7.88% 6.84% 6.42% 6.91% 7.11% 6.02% 5.61% 6.05% 7.30%
EPS Earnings Per Share
$0.00 $6.02 $6.02 $13.56 $9.42 $6.39 $5.39 $4.71 $5.01 $4.69 $4.27 $3.25 $4.76 $4.24 $3.86 $3.23 $2.86 $3.33 $3.19 $2.71 $2.07
Div. Dividends
$4.14 $3.38 $0.29 $0.38 $0.46 $0.52 $0.62 $0.67 $0.92 $1.15 $1.38 $1.58 $1.90 $2.20 $2.36 $2.46 $2.54 $2.62 $2.70
PR % Payout Ratio %
68.77% 24.93% 14.01% 14.02% 14.42% 15.62% 21.68% 20.74% 23.83% 27.12% 28.99% 48.62% 44.50% 46.91% 47.11% 52.23% 47.12% 41.00% 28.66%
Sha. Shares
460.35m 471.27m 890.64m 874.07m 859.77m 818.74m 752.71m 744.64m 704.04m 669.29m 645.29m 632.93m 640.21m 602.23m 556.16m 541.68m 517.76m 504.2m 500.88m
OCF Operating Cash Flow
$4.02B $8.63B $3.26B $4.45B $4.86B $4.13B $4.43B $5.88B $5.27B $5.43B $5.33B $6.52B $4.47B $5.96B $5.44B $6.94B $5.97B $7.12B $10.53B
FCF Free Cash Flow
$-1510.00M $5.08B $191.00M $1.06B $934.00M $-244.00M $883.00M $4.15B $3.14B $1.07B $2.05B $3.07B $2.65B $4.41B $3.89B $4.39B $2.46B $4.09B $7.88B
FCFS Free Cash Flow Per Share
$-3.27 $10.41 $0.21 $1.21 $1.08 $-0.29 $1.15 $5.52 $4.34 $1.57 $4.54 $7.30 $4.22 $7.20 $6.75 $8.05 $4.65 $8.01 $15.73