Thursday 19 Mar 2026 Abu Dhabi UAE
Prayer Timing
Today's Edition
Today's Edition
مادة اعلانية
Latest Update: 19 Mar 2026 22:52 Abu Dhabi Time.
Market Status: Opened
TGT
Target Corp
114.45
USD
-0.600
-0.52%
Open
114.66
Prev Close
115.05
PX_VOLUME
MARKET CAP (M)
DAY RANGE
113.45 - 116.00
52 WEEKS
83.44 - 126.00
Stock Statistics
Yearly Change
10.00%
Listed Shares (Million)
452.86
Earnings Multiple
14.15
Average 30-day trading volume
7,333,584.08
Price-to-book ratio
3.22
Earnings Per Share
8.16
Previous Dividend Distribution
4.54
Dividend Yield
3.95%
Financial Summary
Income Statements
Period Ending: Jan 31, 2026 Nov 01, 2025 Aug 02, 2025 May 03, 2025 Feb 01, 2025 Nov 02, 2024 Aug 03, 2024 May 04, 2024 Feb 03, 2024 Oct 28, 2023
Total Revenue 30,453.00 25,270.00 25,211.00 23,846.00 30,915.00 25,668.00 25,452.00 24,531.00 31,919.00 25,398.00
Gross Profit 7,429.00 6,484.00 6,676.00 6,063.00 7,390.00 6,654.00 7,027.00 6,464.00 7,894.00 6,633.00
Operating Income 1,405.00 1,144.00 1,351.00 2,065.00 1,498.00 1,169.00 1,671.00 1,296.00 1,869.00 1,381.00
Net Income 1,045.00 689.00 935.00 1,036.00 1,103.00 854.00 1,192.00 942.00 1,382.00 971.00
Profit Margin 3.43 2.73 3.71 4.34 3.57 3.33 4.68 3.84 4.33 3.82
Balance Sheet
Period Ending: Jan 31, 2026 Nov 01, 2025 Aug 02, 2025 May 03, 2025 Feb 01, 2025 Nov 02, 2024 Aug 03, 2024 May 04, 2024 Feb 03, 2024 Oct 28, 2023
Total Assets 59,490.00 59,991.00 57,851.00 56,185.00 57,769.00 58,531.00 55,995.00 55,117.00 55,356.00 56,229.00
Total Liabilities 43,325.00 44,490.00 42,431.00 41,238.00 43,103.00 44,042.00 41,566.00 41,277.00 41,924.00 43,715.00
Total Equity 16,165.00 15,501.00 15,420.00 14,947.00 14,666.00 14,489.00 14,429.00 13,840.00 13,432.00 12,514.00
Cash Flows Statements
Period Ending: Jan 31, 2026 Nov 01, 2025 Aug 02, 2025 May 03, 2025 Feb 01, 2025 Nov 02, 2024 Aug 03, 2024 May 04, 2024 Feb 03, 2024 Oct 28, 2023
Cash From Operating Activities 3,077.00 1,127.00 2,083.00 275.00 3,289.00 739.00 2,238.00 1,101.00 3,289.00 1,934.00
Cash From Investing Activities -859.00 -937.00 -1,066.00 -787.00 -918.00 -637.00 -634.00 -671.00 -850.00 -1,089.00
Cash From Financing Activities -552.00 -709.00 437.00 -1,363.00 -1,042.00 -166.00 -1,711.00 -631.00 -544.00 -552.00
Net Change in Cash 1,666.00 -519.00 1,454.00 -1,875.00 1,329.00 -64.00 -107.00 -201.00 1,895.00 293.00
* In Million of United States Dollar

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