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financial statements

The full income statement, balance sheet, and cash-flow statement for Target Corporation (TGT), plus valuation ratios — straight from SEC filings. Switch between annual, quarterly, and trailing-twelve-month figures, pick how far back to look, and flip the time order. Every line has a trend sparkline.

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As-reported fiscal years.
Line itemTrendFY2026FY2026FY2025FY2023FY2022
Income Statementas ofJan 31 ’26as ofFeb 1 ’25as ofFeb 3 ’24as ofJan 28 ’23as ofJan 29 ’22
Revenue
105B
YoY-1.7%
107B
YoY-0.8%
107B
YoY-1.6%
109B
YoY+2.9%
106B
YoY+13.3%
Cost of revenue
75.5B
YoY-1.3%
76.5B
YoY-1.7%
77.8B
YoY-5.4%
82.3B
YoY+9.8%
75.0B
YoY+13.3%
Selling, general & administrative
21.5B
YoY-2.0%
22.0B
YoY+2.4%
21.5B
YoY+4.3%
20.6B
YoY+4.2%
19.8B
YoY+6.1%
Operating income
5.12B
YoY-8.1%
5.57B
YoY-2.5%
5.71B
YoY+48.3%
3.85B
YoY-57.0%
8.95B
YoY+36.8%
Interest expense
445M
YoY+8.3%
411M
YoY-18.1%
502M
YoY+5.0%
478M
YoY+13.5%
421M
YoY-56.9%
Other non-operating income
95.0M
YoY-10.4%
106M
YoY+15.2%
92.0M
YoY+91.7%
48.0M
YoY-87.4%
382M
YoY+2487.5%
Pre-tax income
4.77B
YoY-9.4%
5.26B
YoY-0.7%
5.30B
YoY+55.0%
3.42B
YoY-61.6%
8.91B
YoY+60.6%
Income tax
1.06B
YoY-9.2%
1.17B
YoY+0.9%
1.16B
YoY+81.7%
638M
YoY-67.5%
1.96B
YoY+66.5%
3.71B
YoY-9.4%
4.09B
YoY-1.1%
4.14B
YoY+48.8%
2.78B
YoY-60.0%
6.95B
YoY+59.0%
$8.13
YoY-8.2%
$8.86
YoY-0.9%
$8.94
YoY+49.5%
$5.98
YoY-57.6%
$14.10
YoY+63.2%
Balance Sheetas ofJan 31 ’26as ofFeb 1 ’25as ofFeb 3 ’24as ofJan 28 ’23as ofJan 29 ’22
20.0B
YoY+2.8%
19.5B
YoY+11.2%
17.5B
YoY-2.0%
17.8B
YoY-17.3%
21.6B
YoY+3.9%
59.5B
YoY+3.0%
57.8B
YoY+4.4%
55.4B
YoY+3.8%
53.3B
YoY-0.9%
53.8B
YoY+5.0%
21.2B
YoY+2.1%
20.8B
YoY+7.7%
19.3B
YoY-1.0%
19.5B
YoY-10.3%
21.7B
YoY+8.1%
Long-term debt
14.4B
YoY+3.6%
13.9B
YoY-1.7%
14.2B
YoY+0.1%
14.1B
YoY+22.2%
11.6B
YoY+8.7%
Deferred revenue (non-current)
358M
YoY-7.7%
388M
YoY-7.4%
419M
YoY-6.7%
449M
YoY-6.3%
479M
YoY-5.9%
Non-current lease liability
3.46B
YoY-3.4%
3.58B
YoY+9.2%
3.28B
YoY+24.3%
2.64B
YoY+5.8%
2.49B
YoY+12.4%
Deferred tax liabilities
2.27B
YoY-1.7%
2.30B
YoY-7.1%
2.48B
YoY+12.9%
2.20B
YoY+40.2%
1.57B
YoY+58.2%
Other non-current liabilities
2.04B
YoY-3.5%
2.12B
YoY+9.1%
1.94B
YoY+10.2%
1.76B
YoY+8.0%
1.63B
YoY-16.0%
Total non-current liabilities
22.1B
YoY-0.9%
22.3B
YoY-1.4%
22.6B
YoY+0.1%
22.6B
YoY+17.5%
19.2B
YoY+15.3%
16.2B
YoY+10.2%
14.7B
YoY+9.2%
13.4B
YoY+19.6%
11.2B
YoY-12.4%
12.8B
YoY-11.2%
Cash Flowas ofJan 31 ’26as ofFeb 1 ’25as ofFeb 3 ’24as ofJan 28 ’23as ofJan 29 ’22
6.56B
YoY-10.9%
7.37B
YoY-14.5%
8.62B
YoY+114.6%
4.02B
YoY-53.4%
8.63B
YoY-18.1%
-3.65B
YoY-27.6%
-2.86B
YoY+39.9%
-4.76B
YoY+13.5%
-5.50B
YoY-74.5%
-3.15B
YoY-21.7%
-2.19B
YoY+38.4%
-3.55B
YoY-55.4%
-2.29B
YoY-4.1%
-2.20B
YoY+72.8%
-8.07B
YoY-303.6%
Net change in cash
726M
YoY-24.1%
957M
YoY-39.3%
1.58B
YoY+142.8%
-3.68B
YoY-41.6%
-2.60B
YoY-143.8%
Interest paid
629M
YoY+2.3%
615M
YoY+1.7%
605M
YoY+34.7%
449M
YoY+8.5%
414M
YoY-55.9%
Income taxes paid
1.09B
YoY+3.4%
1.05B
YoY+182.1%
374M
YoY+75.6%
213M
YoY-89.7%
2.06B
YoY+100.1%
Valuation Ratiosas ofJan 31 ’26as ofFeb 1 ’25as ofFeb 3 ’24as ofJan 28 ’23as ofJan 29 ’22
Market cap
47.8B
YoY-24.4%
63.2B
YoY-5.9%
67.2B
YoY-13.4%
77.6B
YoY-25.6%
104B
YoY+15.0%
P/E
12.7×
YoY-12.4%
14.5×
YoY-21.4%
18.5×
YoY-17.8%
22.5×
YoY+43.6%
15.7×
YoY-34.0%
P/S
0.5×
YoY-22.9%
0.6×
YoY-6.0%
0.6×
YoY-11.9%
0.7×
YoY-30.6%
1.0×
YoY+0.4%
P/B
3.1×
YoY-29.5%
4.4×
YoY-18.3%
5.4×
YoY-23.8%
7.0×
YoY-8.5%
7.7×
YoY+13.0%
P/FCF
15.9×
YoY+13.9%
14.0×
YoY-24.2%
18.4×
17.8×
YoY+44.9%
Earnings yield
7.9%
YoY+14.2%
6.9%
YoY+27.2%
5.4%
YoY+21.6%
4.4%
YoY-30.4%
6.4%
YoY+51.5%
FCF yield
6.3%
YoY-12.2%
7.2%
YoY+32.0%
5.4%
5.6%
YoY-31.0%
Dividend yield
4.3%
YoY+33.1%
3.2%
YoY+7.4%
3.0%
YoY+22.5%
2.5%
YoY+58.2%
1.6%
YoY+4.2%
Source filing10-K10-K10-K10-K10-K

About this data

Source: TGT's SEC filings (10-K / 10-Q). Annual columns are as-reported fiscal years; quarterly columns are as-reported fiscal quarters (Q4 derived as full-year minus the first three quarters where a company doesn't file a standalone Q4); TTM (quarterly) rolls the trailing four quarters at every quarter end, TTM (yearly) samples that one year apart; balance-sheet rows show the period-end balance. Valuation ratios are sampled as of each period end. View all TGT filings on SEC EDGAR → Not investment advice.