Recent Annual Filings for TGT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $57,769,000,000 $106,566,000,000 $101,305,000,000 $4,093,000,000 $7,367,000,000 $-3,550,000,000 $957,000,000
2024 $55,356,000,000 $107,412,000,000 $102,115,000,000 $4,097,000,000 $8,621,000,000 $-2,285,000,000 $1,576,000,000
2023 $53,335,000,000 $109,120,000,000 $105,702,000,000 $2,914,000,000 $4,018,000,000 $-2,196,000,000 $-3,682,000,000
2022 $53,811,000,000 $106,005,000,000 $97,098,000,000 $7,149,000,000 $8,625,000,000 $-8,071,000,000 $-2,600,000,000
2021 $51,248,000,000 $93,561,000,000 $88,015,000,000 $4,480,000,000 $10,525,000,000 $-2,000,000,000 $5,934,000,000
2020 $42,779,000,000 $78,112,000,000 $73,922,000,000 $3,218,000,000 $7,117,000,000 $-3,152,000,000 $1,021,000,000
2019 $41,290,000,000 $75,356,000,000 $71,680,000,000 $2,879,000,000 $5,973,000,000 $-3,644,000,000 $-1,087,000,000
2018 $38,999,000,000 $71,879,000,000 $68,233,000,000 $2,942,000,000 $6,923,000,000 $-3,717,000,000 $131,000,000