Target Corporation ( TGT) - Key Metrics

TGT Revenue per Share metrics

Date Revenue per Share Net Income per Share Operating Cash Flow Free Cash Flow per Share
2026Q2 $58.40 $4.13 $8.37 $5.36
2026Q1 $56.07 $1.72 $1.58 -$0.70
2025Q4 $67.23 $2.31 $6.79 $5.05
2025Q3 $55.70 $1.52 $2.48 $0.33
2025Q2 $55.46 $2.06 $4.58 $2.22

TGT Payout ratio and Price per Earnings ratio

Date Payout ratio PE ratio
2026Q2 27.60% 8.75
2026Q1 66.07% 18.73
2025Q4 49.38% 11.41
2025Q3 75.18% 15.25
2025Q2 54.44% 12.11

TGT Free Cash Flow Yield and Dividend Yield

DateFree Cash Flow YieldDividend Yield
2026Q2 3.71% 0.79%
2026Q1 -0.55% 0.88%
2025Q4 4.79% 1.08%
2025Q3 0.35% 1.23%
2025Q2 2.22% 1.12%

TGT

Price: $155.83

52 week price:
83.44
170.75

Dividend Yield: 2.80%

5-year range yield:
1.38%
5.33%

Forward Dividend Yield: 2.98%

Payout Ratio: 46.23%

Payout Ratio Range:
-12.54%
336.36%

Dividend Per Share: 4.64 USD

Earnings Per Share: 9.27 USD

P/E Ratio: 17.63

Exchange: NYQ

Sector: Consumer Defensive

Industry: Discount Stores

Country: United States

Volume: 3.5 million

Ebitda: 1.5 billion

Market Capitalization: 74.2 billion

Average Dividend Frequency: 4

Years Paying Dividends: 44

DGR3: 6.16%

DGR5: 11.51%

DGR10: 8.09%

DGR20: 14.17%

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