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Target TGT Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$781M-24.6%$1.05B-5.2%$689M-19.3%$935M-21.6%$1.04B+10.0%
$813M+3.3%$803M+4.8%$773M+2.5%$771M+3.8%$787M+9.6%
$54M-21.7%$84M+12.0%$64M-20.0%$64M-16.9%$69M-4.2%
$173M+381%-$34M+72.1%-$133M-79.7%$76M+258%$36M-43.8%
$13M-95.8%-$2.59B$2.02B-21.3%-$167M-119%$308M+297%
-$557M+58.6%-$1.16B$1.78B-3.1%-$1.34B-156%
-$408M-185%-$143M-291%
$85M+158%-$146M-290%
$42M+950%$4M+162%
$716M+160%$3.08B-6.4%$1.13B+52.5%$2.08B-6.9%$275M-75.0%
$1.04B+31.0%$885M-4.1%$978M+49.3%$1.07B+68.1%$790M+17.2%
-$1.03B-31.3%-$859M+6.4%-$937M-47.1%-$1.07B-68.1%-$787M-17.3%
$516M+1.2%$516M+0.6%$518M+0.4%$509M0.0%$510M+0.4%
$0-100%$0-100%$150M-57.3%$8M-94.8%$250M
$0-100%$993M$991M
$1.03B-32.7%$34M+25.9%$38M+5.6%$37M-96.5%$1.53B+4,694%
$89M+48.3%$2M+100%$3M-25.0%$2M-33.3%$60M-34.1%
-$1.64B-20.1%-$552M+47.0%-$709M-327%-$1.36B-116%
-$1.95B-4.2%$1.67B+25.4%-$519M-711%$1.45B+1,459%-$1.88B-833%
$157.25M+2.3%$157.25M+2.3%$157.25M+2.3%$157.25M+2.3%
$0-100%$4M-42.9%$59M+638%$24M-86.8%$17M-86.1%
$45M-35.7%$90M-73.7%$172M+219%$49M-66.9%$70M-67.3%
-$319M+38.1%$2.19B-7.4%$149M+77.4%$1.01B-36.9%-$515M-221%
-$319M+38.1%$2.19B-7.4%$149M+77.4%$1.01B-36.9%-$515M-221%

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Questions, answered.

How much cash does Target generate?
Target (TGT) generated $7.0B in operating cash flow over the trailing twelve months.
What is Target's free cash flow?
After $4.0B of capital expenditures, Target's free cash flow was $3.0B over the trailing twelve months, down 14.2% year over year.
Where does Target's cash flow data come from?
Every line is extracted from Target's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.