Target Corporation (TGT)

Last Closing Price: 88.93 (2025-09-17)

Cash Flow from Investing Activities (Quarterly)

Cash Flow from Investing Activities: The total change in cash resulting from a company's investments.

Target Corporation (TGT) had Cash Flow from Investing Activities of $-1.85B for the most recently reported fiscal quarter, ending 2025-07-31.

Figures for fiscal quarter ending 2025-07-31
Income Statement Financials
$25.21B
$935.00M
$17.90B
$7.31B
$23.89B
$1.32B
$-99.00M
$1.22B
$1.22B
$935.00M
$935.00M
$935.00M
$935.00M
$1.32B
--
454.60M
455.60M
$2.06
$2.05
Balance Sheet Financials
$19.03B
$33.57B
$38.82B
$57.85B
$19.22B
$15.32B
$23.21B
$42.43B
$15.42B
$15.42B
$15.42B
454.40M
Cash Flow Statement Financials
$2.36B
Cash Flow from Investing Activities
$-1.85B
$-926.00M
$4.76B
$4.34B
$-421.00M
$133.00M
$-1.02B
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Fundamental Metrics & Ratios
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