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Target (TGT) Operating Cash Flow History

Quarter End Operating Cash Flow
$ 000,000's
2021-May-01 1,139
2021-Jan-30 3,481
2020-Oct-31 1,928
2020-Aug-01 3,832
2020-May-02 1,284
2020-Feb-01 2,958
2019-Nov-02 1,347
2019-Aug-03 2,489
2019-May-04 323
2019-Feb-02 2,349
2018-Nov-03 900
2018-Aug-04 2,210
2018-May-05 514
2018-Feb-03 2,440
2017-Oct-28 1,569
Full historical financial data for Target for 1994 - 2021 is included in the US Historical Financials dataset.