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104 EUR
0.1
0.10%
Last update Apr 2, 5:25 PM CEST
Market closed
Day range
103.050003
104
Previous close
104.099998
Open
103.050003
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Target Corporation
104.00
0.10
0.10%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2026 2025 2024 2023
Operating activities 6.4B 7.1B 7.9B 4.5B
Net income 3.7B 4.1B 4.1B 2.7B
Depreciation 3.1B 3.0B 2.8B 2.6B
Deferred taxes -55M -180M 298M 559.1M
StockBased compensation 281M 304M 251M 211.4M
Other non cash items -100M 26M 94M 165.2M
Accounts receivable
Accounts payable -501M 1.0B -1.2B -2.1B
Other assets liabilities -58M -1.2B 1.5B 408.3M
Investing activities 78M 3M 24M 7.7M
Capital expenditures 3M 24M 7.7M
Net intangibles
Net acquisitions 0 0
Purchase of investments
Sale of investments
Other investing activity 78M
Financing activities -2.2B -3.6B -2.3B -2.1B
Long term debt issuance 2.0B 741M 0 2.5B
Long term debt payments -1.6B -1.1B -147M -156.6M
Short term debt issuance
Common stock issuance
Common stock repurchase -408M -1.0B 0 -2.5B
Common dividends -2.1B -2.0B -2.0B -1.8B
Other financing charges -67M -99M -127M -172.9M
End cash position 5.5B 4.8B 3.8B 2.1B
Income tax paid 1.1B 1.1B 374M 204.6M
Interest paid 629M 615M 605M 431.4M
Free cash flow 2.8B 4.5B 3.8B -1.5B
Access the full /cash_flow historical dataset via the API — starting from the Pro plan (individual) and the Venture plan (business) and above.
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