Target Corporation (0LD8.L)

Consumer Cyclical | Specialty Retail
Income Statement (Quarterly) 2025-08-02 2025-05-03 2025-02-01 2025-01-31
Revenue 25,211,000,000 23,846,000,000 30,915,000,000 30,915,000,000
Cost of Revenue 18,535,000,000 17,783,000,000 23,448,000,000 23,448,000,000
Gross Profit 6,676,000,000 6,063,000,000 7,467,000,000 7,467,000,000
Operating Expenses
R&D Expenses 0 0 0 0
SG&A Expenses 5,325,000,000 5,184,000,000 5,864,000,000 5,864,000,000
Operating Expenses 5,325,000,000 5,184,000,000 5,969,000,000 5,969,000,000
Operating Income 1,351,000,000 879,000,000 1,498,000,000 1,498,000,000
Interest Expense 116,000,000 116,000,000 90,000,000 90,000,000
Income Before Tax 1,218,000,000 1,382,000,000 1,406,000,000 1,406,000,000
Income Tax Expense 283,000,000 346,000,000 303,000,000 303,000,000
Net Income 935,000,000 1,036,000,000 1,103,000,000 1,103,000,000
Per Share
EPS 2.05 2.28 2.42 2.42
EPS Diluted 0.00 0.00 0.00 0.00
Income Statement (Annual) 2027-01-31 2025-02-01 2025-01-31 2024-02-03 2024-01-31
Revenue 106,566,000,000 106,566,000,000 106,566,000,000 107,412,000,000 107,412,000,000
Cost of Revenue 76,502,000,000 79,031,000,000 79,031,000,000 80,151,000,000 80,151,000,000
Gross Profit 30,064,000,000 27,535,000,000 27,535,000,000 27,261,000,000 27,261,000,000
Operating Expenses
R&D Expenses 0 0 0 0 0
SG&A Expenses 21,796,000,000 21,901,000,000 21,901,000,000 21,452,000,000 21,452,000,000
Operating Expenses 24,498,000,000 21,901,000,000 21,901,000,000 21,452,000,000 21,452,000,000
Operating Income 5,566,000,000 5,634,000,000 5,634,000,000 5,809,000,000 5,809,000,000
Interest Expense 434,000,000 411,000,000 411,000,000 502,000,000 502,000,000
Income Before Tax 5,261,000,000 5,261,000,000 5,261,000,000 5,297,000,000 5,297,000,000
Income Tax Expense 1,170,000,000 1,170,000,000 1,170,000,000 1,159,000,000 1,159,000,000
Net Income 4,091,000,000 4,091,000,000 4,091,000,000 4,138,000,000 4,138,000,000
Per Share
EPS 8.89 8.89 8.89 8.96 8.96
EPS Diluted 0.00 0.00 0.00 0.00 0.00
Balance Sheet (Quarterly) 2025-02-01 2025-01-31 2024-02-03 2024-01-31
Assets
Cash and Cash Equivalents 869,000,000 869,000,000 3,805,000,000 3,805,000,000
Short Term Investments 3,893,000,000 3,893,000,000 0 0
Net Receivables 1,541,000,000 1,541,000,000 1,404,000,000 1,404,000,000
Inventory 12,740,000,000 12,740,000,000 11,886,000,000 11,886,000,000
Total Current Assets 19,454,000,000 19,454,000,000 17,498,000,000 17,498,000,000
Property Plant Equipment 36,785,000,000 36,785,000,000 36,458,000,000 36,458,000,000
Goodwill and Intangibles 631,000,000 631,000,000 631,000,000 631,000,000
Total Assets 57,769,000,000 57,769,000,000 55,356,000,000 55,356,000,000
Liabilities
Account Payables 13,053,000,000 13,053,000,000 12,098,000,000 12,098,000,000
Short Term Debt 1,989,000,000 1,989,000,000 1,445,000,000 1,445,000,000
Total Current Liabilities 20,799,000,000 20,799,000,000 19,304,000,000 19,304,000,000
Long Term Debt 17,886,000,000 17,886,000,000 18,201,000,000 18,201,000,000
Total Liabilities 43,103,000,000 43,103,000,000 41,924,000,000 41,924,000,000
Shareholders Equity
Retained Earnings 8,090,000,000 8,090,000,000 7,093,000,000 7,093,000,000
Total Shareholders Equity 14,666,000,000 14,666,000,000 13,432,000,000 13,432,000,000
Balance Sheet (Annual) 2025-02-01 2025-01-31 2024-02-03 2024-01-31 2023-01-31
Assets
Cash and Cash Equivalents 869,000,000 869,000,000 3,805,000,000 3,805,000,000 2,229,000,000
Short Term Investments 3,893,000,000 3,893,000,000 0 0 0
Net Receivables 1,541,000,000 1,541,000,000 1,404,000,000 1,404,000,000 1,695,000,000
Inventory 12,740,000,000 12,740,000,000 11,886,000,000 11,886,000,000 13,499,000,000
Total Current Assets 19,454,000,000 19,454,000,000 17,498,000,000 17,498,000,000 17,846,000,000
Property Plant Equipment 36,785,000,000 36,785,000,000 36,458,000,000 36,458,000,000 34,169,000,000
Goodwill and Intangibles 631,000,000 631,000,000 631,000,000 631,000,000 645,000,000
Total Assets 57,769,000,000 57,769,000,000 55,356,000,000 55,356,000,000 53,335,000,000
Liabilities
Account Payables 13,053,000,000 13,053,000,000 12,098,000,000 12,098,000,000 13,487,000,000
Short Term Debt 1,989,000,000 1,989,000,000 1,445,000,000 1,445,000,000 426,000,000
Total Current Liabilities 20,799,000,000 20,799,000,000 19,304,000,000 19,304,000,000 19,500,000,000
Long Term Debt 17,886,000,000 17,886,000,000 18,201,000,000 18,201,000,000 18,647,000,000
Total Liabilities 43,103,000,000 43,103,000,000 41,924,000,000 41,924,000,000 42,103,000,000
Shareholders Equity
Retained Earnings 8,090,000,000 8,090,000,000 7,093,000,000 7,093,000,000 5,005,000,000
Total Shareholders Equity 14,666,000,000 14,666,000,000 13,432,000,000 13,432,000,000 11,232,000,000
Cash Flow Statement (Quarterly) 2025-02-01 2025-01-31 2024-02-03 2024-01-31
Operating Activities
Net Income 4,091,000,000 4,091,000,000 4,138,000,000 4,138,000,000
Depreciation & Amortization 2,981,000,000 2,981,000,000 2,801,000,000 2,801,000,000
Stock Based Compensation 304,000,000 304,000,000 251,000,000 251,000,000
Change in Working Capital 145,000,000 145,000,000 1,039,000,000 1,039,000,000
Operating Cash Flow 7,367,000,000 7,367,000,000 8,621,000,000 8,621,000,000
Investing Activities
Capital Expenditure -2,891,000,000 -2,891,000,000 -4,806,000,000 -4,806,000,000
Investments -2,891,000,000 -2,891,000,000 -4,806,000,000 -4,806,000,000
Investing Cash Flow -2,860,000,000 -2,860,000,000 -4,760,000,000 -4,760,000,000
Financing Activities
Debt Repayment -398,000,000 -398,000,000 -147,000,000 -147,000,000
Common Stock Issued/Repurchased -1,007,000,000 -1,007,000,000 -127,000,000 -127,000,000
Dividends Paid -2,046,000,000 -2,046,000,000 -2,011,000,000 -2,011,000,000
Financing Cash Flow -3,550,000,000 -3,550,000,000 -2,285,000,000 -2,285,000,000
Summary
Free Cash Flow 4,476,000,000 4,476,000,000 3,815,000,000 3,815,000,000
Net Change in Cash 957,000,000 957,000,000 1,576,000,000 1,576,000,000
Cash Flow Statement (Annual) 2025-02-01 2025-01-31 2024-02-03 2024-01-31 2023-01-31
Operating Activities
Net Income 4,091,000,000 4,091,000,000 4,138,000,000 4,138,000,000 2,780,000,000
Depreciation & Amortization 2,981,000,000 2,981,000,000 2,801,000,000 2,801,000,000 2,700,000,000
Stock Based Compensation 304,000,000 304,000,000 251,000,000 251,000,000 220,000,000
Change in Working Capital 145,000,000 145,000,000 1,039,000,000 1,039,000,000 -2,436,000,000
Operating Cash Flow 7,367,000,000 7,367,000,000 8,621,000,000 8,621,000,000 4,018,000,000
Investing Activities
Capital Expenditure -2,891,000,000 -2,891,000,000 -4,806,000,000 -4,806,000,000 -5,528,000,000
Investments -2,891,000,000 -2,891,000,000 -4,806,000,000 -4,806,000,000 -5,528,000,000
Investing Cash Flow -2,860,000,000 -2,860,000,000 -4,760,000,000 -4,760,000,000 -5,504,000,000
Financing Activities
Debt Repayment -398,000,000 -398,000,000 -147,000,000 -147,000,000 2,462,000,000
Common Stock Issued/Repurchased -1,007,000,000 -1,007,000,000 -127,000,000 -127,000,000 -2,646,000,000
Dividends Paid -2,046,000,000 -2,046,000,000 -2,011,000,000 -2,011,000,000 -1,836,000,000
Financing Cash Flow -3,550,000,000 -3,550,000,000 -2,285,000,000 -2,285,000,000 -2,196,000,000
Summary
Free Cash Flow 4,476,000,000 4,476,000,000 3,815,000,000 3,815,000,000 -1,510,000,000
Net Change in Cash 957,000,000 957,000,000 1,576,000,000 1,576,000,000 -3,682,000,000