Target Corp
Target Corp Free Cash Flow
  • Target Corp annual free cash flow was $1.21 Billion in fiscal year 2022. The annual free cash flow Decreased $-3.25 Billion from $4.46 Billion (in 2021) to $1.21 Billion (in 2022).
    This Decreased represents a free cash flow growth of -72.88% Billion year over year.


  • Target Corp quarterly free cash flow was $2.95 Billion in the quarter ending in Oct 22.
    The quarterly free cash flow Increased $2.95 Billion from $0 (in ) to $2.95 Billion (in Oct 22).
    This Increased represents a free cash flow growth of +8.95% year over year.


  • In the last 5 years from 2018 to 2022 :
    • Highest free cash flow of Target Corp was $4.46 Billion in fiscal year 2021.
    • Lowest free cash flow of Target Corp was $-1.43 Billion in fiscal year 2019.
    • Average free cash flow of Target Corp was $1.25 Billion.


  • Explore additional financial metrics for Target Corp.
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  • Definition of Free Cash Flow :
    Free Cash Flow is the amount that remains with the company after accounting for operating expenses and cost of maintaining its capital assets. For more details on free cash flow, examples and formulas, refer to our glossary.
Target Corp: Free Cash Flow
Target Corp : Free Cash Flow Details
2022

Target Corp annual free cash flow was $1.21 Billion in fiscal year 2022.
Target Corp quarterly free cash flow was $1.03 Billion (Jan) , $2.77 Billion (Apr) , $5.54 Billion (Jul) , and $2.95 Billion (Oct) in fiscal year 2022.

2021

Target Corp annual free cash flow was $4.46 Billion in fiscal year 2021.
Target Corp quarterly free cash flow was $2.71 Billion (Oct) 0 () 0 () 0 () in fiscal year 2021.

2021

Target Corp annual free cash flow was $690.85 Million in fiscal year 2021.
Target Corp quarterly free cash flow was $2.71 Billion (Oct) 0 () 0 () 0 () in fiscal year 2021.

2021

Target Corp annual free cash flow was $-1.43 Billion in fiscal year 2021.
Target Corp quarterly free cash flow was $2.71 Billion (Oct) 0 () 0 () 0 () in fiscal year 2021.

Target Corp : Free Cash Flow (year over year growth)
Target Corp : Free Cash Flow (Year Over Year Growth) Details
2022

Target Corp annual free cash flow Decreased -72.88% during fiscal year 2022 compared to 2021.
This represents an Decreased in free cash flow of -$3.25 Billion from $1.21 Billion (in 2022) to $4.46 Billion (in 2021).

2021

Target Corp annual free cash flow Increased +545.22% during fiscal year 2021 compared to 2020.
This represents an Increased in free cash flow of +$3.77 Billion from $4.46 Billion (in 2021) to $690.85 Million (in 2020).

2020

Target Corp annual free cash flow Increased +-148.43% during fiscal year 2020 compared to 2019.
This represents an Increased in free cash flow of +$2.12 Billion from $690.85 Million (in 2020) to $-1.43 Billion (in 2019).

Target Corp: Free Cash Flow - Annual (Tabular)
Period Free Cash Flow Y/Y Growth
2022 $1.21 Billion -72.88%
2021 $4.46 Billion +545.22%
2020 $690.85 Million +-148.43%
Target Corp : Free Cash Flow - Quarterly (Tabular)
Period Free Cash Flow Y/Y Growth
Oct 22 $2.95 Billion +8.95%