Projected Income Statement: Target Corporation

Forecast Balance Sheet: Target Corporation

Fiscal Period: January 2022 2023 2024 2025 2026 2027 2028 2029
Net Debt 1 7,809 13,910 12,233 11,178 10,968 11,038 10,461 9,741
Change - 78.13% -12.06% -8.62% -1.88% 0.64% -5.23% -6.88%
Announcement Date 3/1/22 2/28/23 3/5/24 3/4/25 3/3/26 - - -
1USD in Million
Estimates

Cash Flow Forecast: Target Corporation

Fiscal Period: January 2022 2023 2024 2025 2026 2027 2028 2029
CAPEX 1 3,544 5,528 4,806 2,891 3,727 5,013 4,963 4,978
Change - 55.98% -13.06% -39.85% 28.92% 34.49% -0.99% 0.31%
Free Cash Flow (FCF) 1 5,081 -1,510 3,815 4,476 2,835 3,128 2,852 3,303
Change - -129.72% 352.65% 17.33% -36.66% 10.32% -8.82% 15.83%
Announcement Date 3/1/22 2/28/23 3/5/24 3/4/25 3/3/26 - - -
1USD in Million
Estimates

Forecast Financial Ratios: Target Corporation

Fiscal Period: January 2022 2023 2024 2025 2026 2027 2028 2029

Profitability

        
EBITDA Margin (%) 11.29% 6.04% 8.01% 8.12% 7.55% 8.62% 8.1% 8.29%
EBIT Margin (%) 8.8% 3.57% 5.31% 5.22% 4.56% 5.87% 5.24% 5.38%
EBT Margin (%) 8.4% 3.13% 4.93% 4.94% 4.55% 5.62% 4.91% 5.03%
Net margin (%) 6.55% 2.55% 3.85% 3.84% 3.54% 4.28% 3.78% 3.8%
FCF margin (%) 4.79% -1.38% 3.55% 4.2% 2.71% 2.84% 2.51% 2.82%
FCF / Net Income (%) 73.15% -54.32% 92.19% 109.41% 76.52% 66.33% 66.35% 74.26%

Profitability

        
ROA 12.72% 5.19% 7.61% 7.23% 6.32% 7.47% 7.17% 7.65%
ROE 49.03% 23.11% 33.56% 29.12% 24.03% 25.81% 22.41% 22.06%

Financial Health

        
Leverage (Debt/EBITDA) 0.65x 2.11x 1.42x 1.29x 1.39x 1.16x 1.14x 1x
Debt / Free cash flow 1.54x -9.21x 3.21x 2.5x 3.87x 3.53x 3.67x 2.95x

Capital Intensity

        
CAPEX / Current Assets (%) 3.34% 5.07% 4.47% 2.71% 3.56% 4.55% 4.37% 4.25%
CAPEX / EBITDA (%) 29.61% 83.81% 55.88% 33.41% 47.12% 52.74% 53.9% 51.32%
CAPEX / FCF (%) 69.75% -366.09% 125.98% 64.59% 131.46% 160.27% 174.02% 150.7%

Items per share

        
Cash flow per share 1 17.51 8.646 18.63 15.95 14.4 19.04 17.65 17.71
Change - -50.61% 115.44% -14.36% -9.71% 32.2% -7.32% 0.36%
Dividend per Share 1 3.38 4.14 4.38 4.46 4.54 4.567 4.498 4.871
Change - 22.49% 5.8% 1.83% 1.79% 0.6% -1.52% 8.3%
Book Value Per Share 1 27.22 24.4 29.09 32.19 35.7 40.58 44.97 49.76
Change - -10.36% 19.24% 10.65% 10.88% 13.68% 10.82% 10.65%
EPS 1 14.1 5.98 8.94 8.86 8.13 10.36 9.446 9.949
Change - -57.59% 49.5% -0.89% -8.24% 27.47% -8.85% 5.32%
Nbr of stocks (in thousands) 479,124 460,310 461,662 458,212 452,806 454,297 454,297 454,297
Announcement Date 3/1/22 2/28/23 3/5/24 3/4/25 3/3/26 - - -
1USD
Estimates
2027 *2028 *
P/E 15.8x 17.3x
PBR 4.04x 3.64x
EV / Sales 0.78x 0.75x
Yield 2.79% 2.75%

EPS & Dividend



Y-o-Y evolution of P/E

 

Year-on-year evolution of the Yield

Trader
Investor
Global
Quality
ESG MSCI
-
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
38
Last Close Price
163.75USD
Average target price
161.91USD
Spread / Average Target
-1.12%

Quarterly revenue - Rate of surprise

  1. Stock Market
  2. Stocks
  3. TGT Stock
  4. TGTB34 Stock
  5. Financials Target Corporation