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TGT - Target Corp

363


$114.24

-$0.81 (-0.704%)
3/19/26, 5:46 PM
Stock Unlock LogoScore

3.41/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Metric Margins Overview
Metrics
4
KPIs
View as %
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Target Corp

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Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Operating Margin
0.54%
0.4%
5.85%
6.06%
4.94%
2025-11-01
6.32%
2025-08-02
6.07%
2026-01-31
Net Margin
-13.83%
-10.54%
3.7%
3.65%
3.54%
2026-01-31
3.95%
2025-05-03
3.54%
2026-01-31
Gross Margin
-0.56%
-0.42%
27.88%
27.86%
27.74%
2025-11-01
28.05%
2025-05-03
27.93%
2026-01-31
Free Cash Flow Margin
-24.47%
-18.94%
2.92%
2.82%
2.71%
2026-01-31
3.34%
2025-05-03
2.71%
2026-01-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2026-01-312025-11-012025-08-022025-05-032025-02-01
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Margins
Gross Margin
27.93%
27.74%
27.79%
28.05%
42K%
11051
8532759
8384077
6289829
4776763
203678
8952385
5274846
7038062
3535642
360883
7881313
915910
SGA Margin
19.36%
19.15%
19.03%
19.58%
42K%
552837
2297755
6046725
5950150
2770552
405072
890109
8984485
4982765
1658722
7975602
1876508
3744182
Operating Margin
6.07%
4.94%
6.32%
6.05%
42K%
9497443
6686621
5078712
2380792
3164014
5994524
2926439
9451553
2297824
370138
8435301
3578275
195279
EBITDA Margin
9.06%
7.89%
9.23%
8.93%
42K%
6844887
2035084
3891766
5297735
4017968
3299973
6626324
7407825
6796702
7254323
9700620
2130061
3138491
Net Margin
3.54%
3.58%
3.72%
3.95%
42K%
8248250
8450615
9562866
922779
3125609
3352599
2113875
2238673
3639173
6780462
392254
4407469
4253033
Free Cash Flow Margin
2.71%
2.86%
2.79%
3.34%
42K%
4209754
1131083
4223480
6540805
628896
7366101
4679829
1657648
4121860
9557368
5595246
729597
9033192
Operating Cash Flow Margin
6.26%
6.44%
6.05%
6.18%
42K%
7757216
1681365
590218
6298139
5190968
1258952
114547
9953590
1483069
1582906
67985
3863469
5637287
Valuation Metrics
Market Cap
47,757,492
42,131,890
45,332,086
44,241,000
42,069,000
3926944
5487792
3737544
5207396
4880943
2849763
8283854
941590
5922080
9666268
7722575
4515897
823581
Enterprise Value
58,725,492
54,808,890
57,447,086
56,827,000
42,069,000
5697945
6521131
459465
6167443
3846526
9032943
1761170
2629164
810507
9535195
569898
975644
3523894
Price to Sales
0.46
0.4
0.43
0.42
42,069
7765212
8830407
9444656
900849
9203768
4590288
3389299
6491107
3488471
4719563
5274843
9690996
4936504
Price to Gross
1.63
1.44
1.54
1.49
42,069
6093920
6824919
4833068
8569912
1402837
3467448
4570659
8510341
3505920
8472757
5815064
8425012
1343612
Price to Operating Cash Flow
7.28
6.22
7.1
6.76
42,069
7117218
3516749
4575027
7449973
6406128
7023385
2843856
1393382
8509266
1193214
644164
9477474
9592491
Price to Operating Income
7.51
8.1
6.79
6.91
42,069
3590825
9530775
7604381
5928230
697662
3123818
494151
7437275
2038608
2362414
3871387
6944792
7057565
Price to Earnings
12.89
11.2
11.54
10.57
42,069
3452434
4857745
1567395
7618540
4556444
9835467
4820907
5218449
5890526
4760412
4900911
8910514
9758147
Price to Free Cash Flow
16.85
14
15.4
12.52
42,069
6371529
4336005
6157103
293713
4000090
2299220
1566897
6283409
4865505
956886
3151528
3857415
4860777
Management
Return On Assets
6.23%
6.27%
6.79%
7.45%
42K%
4947120
2794600
156090
555430
846698
655942
7236473
1190690
2621282
5335617
7455280
1867268
192008
Return On Capital Employed
16.63%
13.43%
17.28%
17.22%
42K%
1159815
3624183
8673476
8881769
5659950
9706152
4674336
5857584
3950791
5724302
771909
345787
9465143
Return On Equity
22.92%
24.28%
25.47%
28.00%
42K%
4832995
4670871
1501934
5017301
7036367
8152445
5018626
6594133
8895218
8756268
5186351
2674827
2856222
Return On Invested Capital
19.53%
14.56%
20.00%
18.76%
42K%
3822024
9039028
2506760
4075947
2764628
9892510
1194124
7205514
9359009
3334042
1950986
3969933
1931632
Dividends
Dividends Per Share
4.52
4.5
4.48
4.46
42,069
7640150
5806907
9913751
9322800
9360190
6281975
6562170
5973396
8334616
1056978
9554843
1822784
1913444
Free Cash Flow Payout Ratio
72.83%
68.86%
70.38%
57.60%
42K%
625910
7254122
4660804
6402781
2742687
5565404
1566527
3808904
2065085
3629875
7696202
3700269
8273570
Payout Ratio
55.73%
55.06%
52.75%
48.64%
42K%
5702407
3719099
3749894
7913929
1121835
5375325
5362933
2942196
2014444
5979278
5201213
6074081
3607572
Stock Based Compensation
SBC as a % of FCF
--
9.04%
9.78%
8.52%
6.79%
4769568
5851374
5138892
7464186
8594366
6532434
3796761
3646597
2221661
6104778
1233193
677092
6233135
SBC as a % of OCF
--
4.02%
4.51%
4.60%
4.13%
2101727
193995
4265488
4050897
2093288
9946791
7459047
902602
2802797
4976109
9261920
8762818
7896352
SBC as a % of Revenue
--
0.26%
0.27%
0.28%
0.29%
2592965
3694360
6290712
8425658
7345334
1336103
9736918
7733096
9536918
7968568
3194762
7739686
1829952
FCF Excl. SBC Yield
--
6.50%
5.86%
7.31%
6.60%
1277517
6525863
9604792
4150518
2620523
4998727
8386449
945547
8369574
7834313
8091701
6906927
3896639
Per Share
Free Cash Flow Per Share
6.23
6.61
6.46
7.74
42,069
5929512
1376711
4099523
9042430
815984
1189534
7060839
2472676
7533372
9637893
923272
3530125
5582547
Operating Cash Flow Per Share
14.41
14.88
14.02
14.33
42,069
3255747
2734905
9377138
4075424
7477508
7011259
23722
3597500
7672644
7461845
2943442
1718702
1095952
Revenue Per Share
230.13
231.25
231.87
231.94
42,069
5224405
400227
9004329
7936298
2047326
3982234
2300299
2275388
6157482
5118110
3518704
1584406
3305785
Financial Health
Debt to EBITDA Ratio
1.73
1.99
1.69
1.64
42,069
7577196
2000533
7527233
4579614
2710067
2644393
3328067
8575050
7642637
3773414
466689
7681371
7106850
Interest Coverage Ratio
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Net Debt
10,968,000
12,677,000
12,115,000
12,586,000
42,069,000
1741912
2789247
9942048
4611483
742933
2718524
8325766
8577430
6208706
9199619
5121395
9537723
3615538
Total Debt
16,456,000
16,499,000
16,456,000
15,473,000
42,069,000
7699435
3454717
474298
249286
6512044
8709134
6777647
7753956
5684285
9346824
4816326
5651456
6211501