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Target (TGT) Free Cash Flow Bridge

Pinpoint what moved Target's free cash flow from TTM through Q2 2025 to TTM through Q2 2026 — operating cash flow shifts and capex changes, each driver sized in dollars.

FCF YoY

+17.74%

OCF YoY

+7.06%

Capex YoY

-5.49%

FCF Conversion Δ

+5.4 pp

Free cash flow bridge for Target (TGT) — TTM through Q2 2026 vs TTM through Q2 2025

Δ Free cash flow: $627.00M

FCF bridge breakdown for Target (TGT) — TTM through Q2 2026 vs TTM through Q2 2025

  • Prior Free Cash Flow$3.53B
  • Operating Cash Flow$462.00M
  • Capital Expenditure$165.00M
  • Free Cash Flow$4.16B
Identity check: drivers reconcile to ΔNI within $0.00
Want to see how cash flow is built up?Cash Flow Waterfall

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Data & methodology