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Dynamic quotes 
OFFON

TARGET CORPORATION

(TGT)
  Report
SummaryQuotesChartsNewsRatingsCalendarCompanyFinancialsConsensusRevisions 
Valuation
Fiscal Period: January 2019 2020 2021 2022 2023 2024
Capitalization1 37 74458 10890 725101 661--
Enterprise Value (EV)1 47 46367 03094 894107 242107 882107 900
P/E ratio 13,1x18,0x21,0x15,7x16,1x15,1x
Yield 3,51%2,28%1,49%1,44%1,58%1,72%
Capitalization / Revenue 0,50x0,74x0,97x0,95x0,93x0,90x
EV / Revenue 0,63x0,86x1,01x1,01x0,99x0,96x
EV / EBITDA 7,49x9,56x10,5x9,51x9,65x9,36x
Price to Book 3,32x5,00x6,34x7,62x6,82x5,85x
Nbr of stocks (in thousands) 521 834506 737500 773479 124--
Reference price (USD) 72,3115181212212212
Announcement Date 03/05/201903/03/202003/02/2021---
1 USD in Million
Previous periodNext period
Estimates
Income Statement Evolution (Annual data)
Fiscal Period: January 2019 2020 2021 2022 2023 2024
Net sales1 75 35678 11293 561106 492109 105112 845
EBITDA1 6 3347 0159 00811 28211 17911 531
Operating profit (EBIT)1 4 1104 6586 5238 7338 6269 033
Operating Margin 5,45%5,96%6,97%8,20%7,91%8,00%
Pre-Tax Profit (EBT)1 3 6764 1905 5468 5978 1508 593
Net income1 2 9373 2814 3686 7226 2846 573
Net margin 3,90%4,20%4,67%6,31%5,76%5,82%
EPS2 5,516,368,6413,513,214,1
Dividend per Share2 2,542,622,703,043,353,65
Announcement Date 03/05/201903/03/202003/02/2021---
1 USD in Million
2 USD
Previous periodNext period
Income Statement Evolution (Quarterly data)
Fiscal Period: January 2022 Q1 2022 Q2 2022 Q3 2022 Q4 2023 Q1 2023 Q2
Net sales1 24 19725 16025 65231 53224 06425 693
EBITDA1 3 3843 1072 6682 5072 5572 974
Operating profit (EBIT)1 2 3742 4672 0101 8801 9082 351
Operating Margin 9,81%9,81%7,84%5,96%7,93%9,15%
Pre-Tax Profit (EBT)1 2 6092 3701 9111 7831 8472 246
Net income1 2 0971 8171 4881 3881 4281 726
Net margin 8,67%7,22%5,80%4,40%5,93%6,72%
EPS2 4,173,653,042,832,893,62
Dividend per Share ------
Announcement Date 05/19/202108/18/202111/17/2021---
1 USD in Million
2 USD
Previous periodNext period
Balance Sheet Analysis
Fiscal Period: January 2019 2020 2021 2022 2023 2024
Net Debt1 9 7198 9224 1695 5816 2216 239
Net Cash position1 ------
Leverage (Debt / EBITDA) 1,53x1,27x0,46x0,49x0,56x0,54x
Free Cash Flow1 2 4574 0907 8765 4124 4235 175
ROE (Net Profit / Equities) 25,6%28,4%33,0%45,4%43,4%41,4%
Shareholders' equity1 11 47411 56513 24814 80414 47015 866
ROA (Net Profit / Asset) 7,20%7,81%9,29%12,9%12,2%12,4%
Assets1 40 79642 03447 01952 30851 49553 077
Book Value Per Share2 21,823,028,627,831,136,3
Cash Flow per Share2 11,213,820,819,018,720,5
Capex1 3 5163 0272 6493 3574 2284 189
Capex / Sales 4,67%3,88%2,83%3,15%3,87%3,71%
Announcement Date 03/05/201903/03/202003/02/2021---
1 USD in Million
2 USD
Previous periodNext period
Key data
Capitalization (USD) 101 660 512 921
Net sales (USD) 93 561 000 000
Number of employees 409 000
Sales / Employee (USD) 228 756
Free-Float 99,8%
Free-Float capitalization (USD) 101 475 547 552
Avg. Exchange 20 sessions (USD) 972 775 059
Average Daily Capital Traded 0,96%
EPS & Dividend
Year-on-year evolution of the PER
Year-on-year evolution of the Yield
Change in Enterprise Value/EBITDA