Target Corporation - Depositary Receipt (Common Stock) - Laporan Arus Kas (TTM)

Target Corporation - Depositary Receipt (Common Stock)
BR ˙ BOVESPA
R$ 505.00 ↑0.50 (0.10%)
2025-09-05
BAHAGING PRESYO
Laporan Arus Kas (TTM)

Laporan Arus Kas Target Corporation - Depositary Receipt (Common Stock) menunjukkan perubahan posisi kas dari waktu ke waktu. Data Laporan Arus Kas meliputi Kas dari Aktivitas Operasional (CFOP), Kas dari Aktivitas Investasi, dan Kas dari Aktivitas Pendanaan.

Semua angka adalah kelipatan 1,000,000 kecuali unit per saham.

2020
10-31
2021
01-30
2021
05-01
2021
07-31
2021
10-30
2022
01-29
2022
04-30
2022
07-30
2022
10-29
2023
01-28
2023
04-29
2023
07-29
2023
10-28
2024
02-03
2024
05-04
2024
08-03
2024
11-02
2025
02-01
2025
05-03
2025
08-02
Cash From Operating Activities 10,002 10,525 10,380 8,831 9,078 8,625 6,092 5,156 3,580 4,018 6,677 7,463 8,798 8,621 8,457 8,562 7,367 7,367 6,541 6,386
Change (%) 5.23 -1.38 -14.92 2.80 -4.99 -29.37 -15.36 -30.57 12.23 66.18 11.77 17.89 -2.01 -1.90 1.24 -13.96 0.00 -11.21 -2.37
% of Cash Flow 198.97 177.37 319.38 10,513.10 -3,735.80 -331.73 -90.87 -82.48 -74.60 -109.13 3,194.74 1,492.60 920.29 547.02 370.43 455.43 483.72 769.80 -912.27 756.64
Cash From Investing Activities -2,569 -2,591 -2,012 -2,161 -2,696 -3,154 -3,937 -4,700 -5,367 -5,504 -6,158 -5,807 -5,111 -4,760 -3,829 -3,244 -2,792 -2,860 -2,976 -3,408
Change (%) 0.86 -22.35 7.41 24.76 16.99 24.83 19.38 14.19 2.55 11.88 -5.70 -11.99 -6.87 -19.56 -15.28 -13.93 2.44 4.06 14.52
% of Cash Flow -51.10 -43.66 -61.91 -2,572.62 1,109.47 121.31 58.73 75.19 111.84 149.48 -2,946.41 -1,161.40 -534.62 -302.03 -167.72 -172.55 -183.32 -298.85 415.06 -403.79
Cash From Financing Activities -2,406 -2,000 -5,118 -6,586 -6,625 -8,071 -8,859 -6,707 -3,012 -2,196 -310 -1,156 -2,731 -2,285 -2,345 -3,438 -3,052 -3,550 -4,282 -2,134
Change (%) -16.87 155.90 28.68 0.59 21.83 9.76 -24.29 -55.09 -27.09 -85.88 272.90 136.25 -16.33 2.63 46.61 -11.23 16.32 20.62 -50.16
% of Cash Flow -47.86 -33.70 -157.48 -7,840.48 2,726.34 310.42 132.14 107.29 62.76 59.64 -148.33 -231.20 -285.67 -144.99 -102.72 -182.87 -200.39 -370.95 597.21 -252.84
Cash Flow 5,027 5,934 3,250 84 -243 -2,600 -6,704 -6,251 -4,799 -3,682 209 500 956 1,576 2,283 1,880 1,523 957 -717 844
Change (%) 18.04 -45.23 -97.42 -389.29 969.96 157.85 -6.76 -23.23 -23.28 -105.68 139.23 91.20 64.85 44.86 -17.65 -18.99 -37.16 -174.92 -217.71
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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