Target Corporation

TGT · NYSE
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11/1/2025
8/2/2025
5/3/2025
1/31/2025
Valuation
PEG Ratio-0.59-1.20-1.850.47
FCF Yield0.35%2.22%-1.16%3.76%
EV / EBITDA33.4028.8926.3934.46
Quality
ROIC1.91%2.61%1.72%3.02%
Gross Margin28.23%26.48%25.43%24.15%
Cash Conversion Ratio1.642.230.272.98
Growth
Revenue 3-Year CAGR-0.52%-0.74%-1.05%-0.79%
Free Cash Flow Growth-85.23%295.92%-121.77%2,716.67%
Safety
Net Debt / EBITDA9.287.407.056.67
Interest Coverage8.2411.657.5816.64
Efficiency
Inventory Turnover1.221.441.361.84
Cash Conversion Cycle5.484.196.203.28