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TARGET CORP Investing Cash Flow 2008-2027 | TGT

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What is investing cash flow?

Investing cash flow represents cash used for or generated from investment activities, including capital expenditures, acquisitions, and investment purchases or sales.

What is TARGET CORP's current investing cash flow?

TARGET CORP (TGT) annual investing cash flow for 2026 was $-3.65B, a 27.59% decline from 2025. TARGET CORP investing cash flow for the quarter ending May 2, 2026 was $-1.03B.

What was TARGET CORP's investing cash flow in 2025?

TARGET CORP annual investing cash flow for 2025 was $-2.86B, a 39.92% increase from 2024.

What was TARGET CORP's investing cash flow in 2024?

TARGET CORP annual investing cash flow for 2024 was $-4.76B, a 13.52% increase from 2023.

Investing Cash Flow History

Year-over-year comparison from 10-K annual reports

Key Statistics
Trend Direction
Stable
CAGRN/A
FY2021
$-2.59B
FY2026
$-3.65B
08091011121314151617181920212223242526
5 years selected
Investing Cash Flow History
PeriodValueChangeSource
FY2026$-3.65B-27.6%10-K
FY2025$-2.86B+39.9%10-K
FY2024$-4.76B+13.5%10-K
FY2023$-5.50B-74.5%10-K
FY2022$-3.15B-21.7%10-K
FY2021$-2.59B+12.0%10-K
FY2020$-2.94B+13.8%10-K
FY2019$-3.42B-11.1%10-K
FY2018$-3.08B-108.8%10-K
FY2017$-1.47B-390.0%10-K
FY2016$508.0M+126.4%10-K
FY2015$-1.93B-610.7%10-K
FY2014$-271.0M+90.5%10-K
FY2013$-2.85B+31.7%10-K
FY2012$-4.18B-139.7%10-K
FY2011$-1.74B-2.4%10-K
FY2010$-1.70B+61.1%10-K
FY2009$-4.37B+29.4%10-K
FY2008$-6.20B-10-K
Company: TARGET CORPTicker: TGTSector: ConsumerIndustry: Retail-Variety StoresView company profile →