Target Financial Ratios for Analysis 2009-2024 | TGT

Fifteen years of historical annual and quarterly financial ratios and margins for Target (TGT).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024202320222021202020192018201720162015201420132012201120102009
0.910.920.991.030.890.830.960.941.121.160.911.171.151.711.631.66
0.530.590.510.440.490.480.490.500.480.470.410.470.460.500.500.56
1.191.441.070.880.971.000.981.160.980.910.771.071.111.021.101.37
27.6324.6429.2829.2729.7629.2729.6930.0629.2029.3929.8030.3830.8630.8730.2629.53
5.313.538.446.995.965.455.816.927.496.257.257.617.627.797.156.78
5.313.538.446.995.965.455.816.927.496.257.257.617.627.797.156.78
7.926.0010.939.659.308.749.2110.2210.499.1810.0510.4010.6710.8910.259.59
4.933.138.405.935.364.884.995.646.675.035.786.906.386.675.925.44
3.852.556.554.674.203.904.013.894.56-2.252.774.094.194.333.813.41
1.942.051.971.831.831.831.801.881.831.761.601.521.501.541.471.47
6.546.095.396.216.105.615.955.916.076.196.046.466.106.136.356.83
-----------12.5511.7910.959.388.03
-----------29.0930.9633.3338.9045.43
30.8124.7554.1530.2527.6325.9424.9624.3425.6317.5016.6020.0218.5118.8516.2116.15
30.8124.7554.1530.2527.6325.9424.9624.3425.6317.5016.6020.0218.5118.8516.2116.15
7.485.2112.918.527.647.107.227.128.255.956.056.886.286.685.595.02
14.5910.2126.3316.8214.1113.6212.7712.1313.349.209.7410.629.929.398.177.10
29.0924.4027.2228.8323.4721.8221.5119.6921.5221.8625.6425.6623.6422.0020.6118.22
18.638.6517.5120.8313.8011.2012.609.359.416.9810.168.037.957.237.795.73
8.30-3.2310.3715.678.054.778.066.777.194.337.334.591.614.405.541.19

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
0.900.860.910.870.830.880.920.860.820.870.990.971.041.071.031.051.111.010.890.830.840.880.830.830.820.900.960.960.920.960.941.021.051.161.121.081.141.231.161.021.020.920.910.900.901.061.171.181.231.251.151.301.381.511.711.561.711.691.631.581.801.711.66
0.490.490.530.540.550.580.590.560.560.550.510.460.440.430.440.480.530.560.490.480.470.510.480.480.480.500.490.500.490.500.500.520.510.500.480.470.460.470.470.440.430.410.410.440.440.450.470.470.490.490.460.510.520.490.500.510.510.490.500.520.540.550.56
1.061.161.191.281.341.401.441.491.431.341.070.920.860.850.880.951.141.280.971.010.971.121.001.051.001.020.981.121.091.151.161.161.101.130.980.960.910.900.910.800.790.780.770.920.900.861.071.131.161.101.111.241.161.031.021.111.081.001.101.171.231.331.37
30.0728.8726.6828.5428.1627.3923.7325.7922.6426.6526.5729.0331.3230.9227.7131.4731.7826.0327.1030.7031.4730.5226.4529.6631.1530.7326.9230.5931.3530.9728.9429.8330.9030.9426.7629.3730.8530.4228.4629.4630.4229.4727.7329.7031.3830.7928.3031.0432.0330.8728.8431.2632.5231.4329.2131.0532.3531.4328.8930.5431.6330.4326.33
6.425.285.845.194.835.243.693.851.235.356.767.849.819.816.488.5510.012.395.125.377.196.444.864.606.376.204.915.026.577.125.796.457.728.1010.034.977.636.747.295.246.036.1411.484.076.616.098.945.957.487.627.996.448.007.938.606.208.157.978.045.727.646.925.92
6.425.285.845.194.835.243.693.851.235.356.767.849.819.816.488.5510.012.395.125.377.196.444.864.606.376.204.915.026.577.125.796.457.728.1010.034.977.636.747.295.246.036.1411.484.076.616.098.945.957.487.627.996.448.007.938.606.208.157.978.045.727.646.925.92
---------------------------------------------------------------
6.074.975.604.864.334.753.323.430.834.966.517.459.4210.786.105.749.531.684.494.836.615.794.414.005.755.524.403.625.876.355.615.595.825.549.334.126.785.846.604.393.485.229.123.125.614.668.415.746.386.536.625.236.836.787.684.956.966.776.984.476.355.564.82
4.683.844.333.823.373.752.792.690.704.014.985.807.228.674.874.487.361.453.563.835.094.513.473.494.494.284.732.834.034.183.793.704.213.906.593.124.323.71-12.142.041.382.512.581.983.572.984.233.764.204.134.613.384.344.325.013.434.374.304.642.853.943.523.11
0.450.450.580.450.470.490.590.480.500.500.580.470.490.480.550.450.480.440.550.430.440.430.560.410.440.430.570.400.430.420.570.430.430.410.540.420.430.430.530.370.380.380.450.370.390.380.470.340.350.370.460.340.360.370.470.350.360.360.450.330.340.340.44
1.411.491.971.231.401.461.771.151.311.221.641.221.531.591.921.221.771.691.901.141.381.351.781.011.341.341.951.111.391.411.841.151.291.321.841.201.461.471.881.221.491.491.761.171.391.432.061.221.471.521.911.141.381.421.931.131.361.482.001.131.371.482.15
----------------------------------------------3.893.003.033.043.592.872.842.793.362.622.532.462.902.182.071.992.42
----------------------------------------------23.1330.0229.7229.6025.0631.3531.7132.3126.8034.3435.5636.5431.0741.3843.5345.2237.20
8.266.8110.297.766.968.197.806.461.739.3712.0410.7812.2314.029.567.6113.442.547.046.127.937.127.065.567.166.439.334.296.066.157.485.495.404.8910.973.595.544.596.873.212.383.467.662.113.813.017.713.904.434.396.203.644.664.526.683.604.454.306.102.914.073.704.44
8.266.8110.297.766.968.197.806.461.739.3712.0410.7812.2314.029.567.6113.442.547.046.127.937.127.065.567.166.439.334.296.066.157.485.495.404.8910.973.595.544.596.873.212.383.467.662.113.813.017.713.904.434.396.203.644.664.526.683.604.454.306.102.914.073.704.44
2.131.712.501.731.571.821.641.280.351.982.872.733.544.152.692.003.520.631.951.612.261.951.931.412.001.842.701.131.731.752.191.581.681.543.531.151.921.622.331.130.881.302.790.741.381.132.651.281.491.512.101.151.551.602.371.191.561.552.100.951.341.181.38
4.243.454.873.543.103.443.222.820.764.185.855.866.877.925.313.936.311.133.603.204.233.523.712.913.763.224.772.153.083.083.732.622.642.445.711.893.002.433.611.811.352.054.501.182.131.654.092.062.262.263.321.772.252.323.331.752.192.213.071.411.851.651.95
31.2629.9229.0927.1125.9725.1424.4023.9423.0123.2427.2228.7030.3530.1528.8326.6025.1422.3423.4722.7923.1521.7021.8221.2321.2320.9421.5120.3920.2419.9019.6919.6420.1421.1321.5221.4322.1122.2021.8625.8125.9326.0225.6425.5725.3925.7625.6624.9924.3124.0023.6422.7322.3722.1022.0021.0221.1321.1120.6119.9019.4218.7818.22
7.202.3718.6311.537.352.738.651.19-0.10-2.9817.5111.446.882.2620.8313.9410.142.5413.808.085.450.6211.206.825.080.9512.608.205.302.359.355.012.540.419.416.114.472.496.983.212.370.8110.167.466.404.978.035.063.731.947.954.393.411.517.233.962.481.557.794.012.721.335.73
4.380.928.303.041.25-0.73-3.23-8.14-5.53-5.0110.376.414.221.2115.6710.027.361.078.053.472.77-0.634.771.491.65-0.578.064.513.161.506.772.991.39-0.067.194.343.381.964.331.211.060.087.333.123.493.624.591.581.340.711.61-1.13-0.060.604.401.781.181.025.542.131.370.621.19