Chart: Revenue Flow for Target Corporation. Q3 2026, values in USD. Revenue 46%, Cost of Revenue 31%, Gross Profit 16%, Operating Income 4%, Net Income 3%.
Balance Sheet
Chart: Balance Sheet for Target Corporation. Values in currency. In Q3 2026: Total Assets 61.235, Total Liabilities 43.392, Total Equity 17.843.
Q4 2016-Q3 2026
Cash Flow
Chart: Cash Flow for Target Corporation. Values in currency. In Q3 2026: Operating Cash Flow 3.803, Free Cash Flow 2.434, Capital Expenditures 1.369.
Q4 2016-Q3 2026
Revenue Breakdown
Chart: Revenue Breakdown for Target Corporation. Values in USD billions. In Q3 2026: Revenue 26.539, Gross Profit 8.936, Operating Income 2.56.