Target Corporation

TGT · NYSE
Analyze with AI
2/1/2025
1/31/2024
1/31/2023
1/31/2022
Operating Activities
Net Income$4,091$4,138$2,780$6,946
Dep. & Amort.$2,981$2,801$2,700$2,642
Deferred Tax-$180$298$582$522
Stock-Based Comp.$304$251$220$228
Change in WC$145$1,039-$2,436-$1,445
Other Non-Cash$26$94$172-$268
Operating Cash Flow$7,367$8,621$4,018$8,625
Investing Activities
PP&E Inv.-$2,891-$4,806-$5,528-$3,544
Net Acquisitions$0$0$8$356
Inv. Purchases$0$0-$24-$7
Inv. Sales/Matur.$0$0$16$7
Other Inv. Act.$31$46$24$34
Investing Cash Flow-$2,860-$4,760-$5,504-$3,154
Financing Activities
Debt Repay.-$398-$147$2,462$825
Stock Issued$0$0$0$0
Stock Repurch.-$1,007-$127-$2,646-$7,188
Dividends Paid-$2,046-$2,011-$1,836-$1,548
Other Fin. Act.-$99$0-$176-$160
Financing Cash Flow-$3,550-$2,285-$2,196-$8,071
Forex Effect$0$0$0$0
Net Chg. in Cash$957$1,576-$3,682-$2,600
Supplemental Information
Beg. Cash$3,805$2,229$5,911$8,511
End Cash$4,762$3,805$2,229$5,911
Free Cash Flow$4,476$3,815-$1,510$5,081