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.