Saturday 10 October 2026 Export all TGT data to Excel Powerpack

Target Corporation

TGT Consumer Defensive Discount Stores

Target Corporation’s revenue for fiscal 2026 (year ended January 2026) was $104.8 billion, down 1.68% from fiscal 2025. In the quarter to July 2026, revenue grew 5.27%, EPS grew 100.5%, free cash flow grew 141.2% and total debt fell 6.68%, each against the same quarter a year earlier. Member of the S&P 500; dividend growth for twenty-five consecutive years.

153.64 1.12 −0.72%
Market cap
$70.3B
P/E
15.9×
Fwd P/E
14.9×
Dividend yield
2.98%
F-score
6/9
Altman Z
2.90
Beneish M
n/a
Dividend safety
73/100
Older periods Oct '25 Jan '26 Apr '26 Jul '26
P/E ratio

+8 more quarters

11.20 13.41 17.05 14.93
P/S ratio
0.40 0.47 0.55 0.61
P/FCF ratio
13.98 17.54 19.43 14.73
P/Operating CF
37.33 16.16 82.24 17.26
P/B ratio
2.71 3.08 3.59 3.68
Price to Tangible BV
2.71 3.08 3.59 3.68
EV/Sales
0.52 0.58 0.67 0.70
EV/EBITDA
6.59 7.36 8.91 8.22
EV/Operating CF
8.08 9.25 10.10 8.67
EV/FCF
18.19 21.41 23.35 16.97
Quick Ratio
0.18 0.26 0.18 0.26
Current Ratio
0.97 0.94 0.93 0.99
Net Debt/EBITDA
7.37 5.02 6.10 2.97
Debt/Assets
27.50% 27.66% 26.57% 25.08%
Debt/Equity
1.06 1.02 0.94 0.86
Asset Turnover
1.78 1.79 1.86 1.81
Operating CF/Net income
1.64 2.94 0.92 2.03
Capex/Depreciation
(1.27) (1.10) (1.27) (1.75)
Interest Coverage
8.24 14.08 9.70 26.12
Research and Development Expense of Revenue
0.00% 0.00% 0.00% 0.00%
Selling, General and Administrative Expense of Revenue
21.91% 19.86% 21.86% 21.57%
Intangible Assets out of Total Assets
0.00 0.00 0.00 0.00
Share Based Compensation of Revenue
0.25% 0.28% 0.21% 0.38%
Graham Net Nets
(0.57) (0.47) (0.40) (0.34)
Graham Number
79.78 80.89 78.65 92.48
Earnings Yield
8.93% 7.46% 5.87% 6.70%
Free Cash Flow Yield
7.15% 5.70% 5.15% 6.79%
Revenue per Share
55.70 67.06 56.07 58.40
Operating CF per Share
2.48 6.78 1.58 8.37
Capex per Share
(2.16) (1.95) (2.28) (3.01)
Free Cash Flow per Share
0.33 4.83 (0.70) 5.36
Cash per Share
8.42 12.09 7.79 11.91
Shareholders Equity per Share
34.17 35.60 36.13 39.27
Interest Debt per Share
0.00 0.00 0.00 0.00
Book value per Share
34.17 35.60 36.13 39.27
Free Cash Flow
149.00 2,192.00 (319.00) 2,434.00
Working Capital
(540.00) (1,225.00) (1,319.00) (252.00)
Capital Expenditures
(978.00) (885.00) (1,035.00) (1,369.00)
Net Current Asset Value
(23,788.00) (23,320.00) (23,550.00) (22,464.00)
EV/EBIT
10.52 11.86 14.80 12.55
Capex to Sales
0.04 0.03 0.04 0.05
Price to Operating Income
8.08 9.72 12.32 10.90
Other line items
Average Payables
14,105.50 12,837.50 12,005.50 12,662.50
Average Inventory
15,030.50 12,522.00 12,682.50 13,065.00
Average Assets
59,261.00 58,629.50 57,097.50 59,543.00
Average Common Equity
14,995.00 15,415.50 15,671.00 16,631.50

Fold the line items

Columns are period end dates