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 12,530 12,511 12,513
Change - 78.13% -12.06% -8.62% -1.88% 14.24% -0.15% 0.02%
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 4,943 4,906 4,943
Change - 55.98% -13.06% -39.85% 28.92% 32.62% -0.75% 0.77%
Free Cash Flow (FCF) 1 5,081 -1,510 3,815 4,476 2,835 2,058 2,666 2,874
Change - -129.72% 352.65% 17.33% -36.66% -27.42% 29.53% 7.83%
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% 7.81% 7.94% 8.1%
EBIT Margin (%) 8.8% 3.57% 5.31% 5.22% 4.56% 4.9% 5.01% 5.22%
EBT Margin (%) 8.4% 3.13% 4.93% 4.94% 4.55% 4.52% 4.63% 4.76%
Net margin (%) 6.55% 2.55% 3.85% 3.84% 3.54% 3.45% 3.53% 3.55%
FCF margin (%) 4.79% -1.38% 3.55% 4.2% 2.71% 1.89% 2.38% 2.49%
FCF / Net Income (%) 73.15% -54.32% 92.19% 109.41% 76.52% 54.82% 67.47% 70.1%

Profitability

        
ROA 12.72% 5.19% 7.61% 7.23% 6.32% 6.18% 6.42% 6.1%
ROE 49.03% 23.11% 33.56% 29.12% 24.03% 22.4% 22.07% 21.77%

Financial Health

        
Leverage (Debt/EBITDA) 0.65x 2.11x 1.42x 1.29x 1.39x 1.47x 1.41x 1.34x
Debt / Free cash flow 1.54x -9.21x 3.21x 2.5x 3.87x 6.09x 4.69x 4.35x

Capital Intensity

        
CAPEX / Current Assets (%) 3.34% 5.07% 4.47% 2.71% 3.56% 4.54% 4.38% 4.29%
CAPEX / EBITDA (%) 29.61% 83.81% 55.88% 33.41% 47.12% 58.16% 55.13% 52.89%
CAPEX / FCF (%) 69.75% -366.09% 125.98% 64.59% 131.46% 240.2% 184.04% 171.99%

Items per share

        
Cash flow per share 1 17.51 8.646 18.63 15.95 14.4 16.03 16.91 17.19
Change - -50.61% 115.44% -14.36% -9.71% 11.32% 5.48% 1.63%
Dividend per Share 1 3.38 4.14 4.38 4.46 4.54 4.55 4.526 4.955
Change - 22.49% 5.8% 1.83% 1.79% 0.23% -0.54% 9.48%
Book Value Per Share 1 27.22 24.4 29.09 32.19 35.7 38.04 41.09 43.96
Change - -10.36% 19.24% 10.65% 10.88% 6.56% 8.04% 6.96%
EPS 1 14.1 5.98 8.94 8.86 8.13 8.271 8.769 9.223
Change - -57.59% 49.5% -0.89% -8.24% 1.73% 6.02% 5.18%
Nbr of stocks (in thousands) 479,124 460,310 461,662 458,212 452,806 454,191 454,191 454,191
Announcement Date 3/1/22 2/28/23 3/5/24 3/4/25 3/3/26 - - -
1USD
Estimates
2027 *2028 *
P/E 15.7x 14.8x
PBR 3.42x 3.17x
EV / Sales 0.66x 0.64x
Yield 3.49% 3.48%

EPS & Dividend

Y-o-Y evolution of P/E

Year-on-year evolution of the Yield

Trader
Investor
Global
Quality
ESG MSCI
AA
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
38
Last Close Price
130.21USD
Average target price
133.70USD
Spread / Average Target
+2.68%

Quarterly revenue - Rate of surprise

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