Jan'05 | Jan'06 | Feb'07 | Feb'08 | Jan'09 | Jan'10 | Jan'11 | Jan'12 | Feb'13 | Feb'14 | Jan'15 | Jan'16 | Jan'17 | Feb'18 | Feb'19 | Feb'20 | Jan'21 | Jan'22 | Jan'23 | Feb'24 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Free Cash Flow | $127.0M | $1,063.0M | $934.0M | ($244.0M) | $883.0M | $4,152.0M | $3,142.0M | $1,066.0M | $2,048.0M | $3,067.0M | $2,653.0M | $4,406.0M | $3,889.0M | $4,390.0M | $2,457.0M | $4,090.0M | $7,876.0M | $5,081.0M | ($1,510.0M) | $3,815.0M |
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As of today, Target Corporation's last 12-month Free Cash Flow is $4,545.0M, based on the financial report for Nov 02, 2024 (Q4 2024).
Over the last year, Target Corporation's Free Cash Flow growth was 24.8%. The average annual Free Cash Flow growth rates for Target Corporation have been (17.0%) over the past three years, 5.6% over the past five years.
Over the last year, Target Corporation's Free Cash Flow growth was 24.8%, which is higher than industry growth of 0.9%. It indicates that Target Corporation's Free Cash Flow growth is Good.