Annual Report — Form 10-K Filing Table of Contents
Document/ExhibitDescriptionPagesSize
1: 10-K Annual Report HTML 1.26M
2: EX-4.D Instrument Defining the Rights of Security Holders HTML 42K
3: EX-10.A Material Contract HTML 47K
4: EX-10.J Material Contract HTML 201K
5: EX-10.S Material Contract HTML 39K
6: EX-10.U Material Contract HTML 60K
7: EX-10.V Material Contract HTML 61K
8: EX-10.W Material Contract HTML 61K
9: EX-21 Subsidiaries List HTML 31K
10: EX-23 Consent of Expert or Counsel HTML 35K
11: EX-24 Power of Attorney HTML 70K
12: EX-31.A Certification -- §302 - SOA'02 HTML 36K
13: EX-31.B Certification -- §302 - SOA'02 HTML 36K
14: EX-32.A Certification -- §906 - SOA'02 HTML 33K
15: EX-32.B Certification -- §906 - SOA'02 HTML 33K
22: R1 Cover Page HTML 95K
23: R2 Consolidated Statements of Operations HTML 118K
24: R3 Consolidated Statements of Comprehensive Income HTML 51K
25: R4 Consolidated Statements of Financial Position HTML 118K
26: R5 Consolidated Statements of Financial Position HTML 48K
(Parenthetical)
27: R6 Consolidated Statements of Cash Flows HTML 123K
28: R7 Consolidated Statements of Shareholders' HTML 77K
Investment
29: R8 Consolidated Statements of Shareholders' HTML 33K
Investment (Parenthetical)
30: R9 Summary of Accounting Policies HTML 38K
31: R10 Coronavirus (Covid-19) HTML 35K
32: R11 Revenues HTML 70K
33: R12 Cost of Sales and Selling, General and HTML 38K
Administrative Expenses
34: R13 Consideration Received from Vendors HTML 35K
35: R14 Advertising Costs HTML 34K
36: R15 Fair Value Measurements HTML 58K
37: R16 Cash and Cash Equivalents HTML 42K
38: R17 Inventory HTML 34K
39: R18 Other Current Assets HTML 39K
40: R19 Property and Equipment HTML 38K
41: R20 Other Noncurrent Assets HTML 38K
42: R21 Goodwill and Intangible Assets HTML 34K
43: R22 Accrued and Other Current Liabilities HTML 45K
44: R23 Commitments and Contingencies HTML 38K
45: R24 Commercial Paper and Long-Term Debt HTML 64K
46: R25 Derivative Financial Instruments HTML 47K
47: R26 Leases HTML 157K
48: R27 Income Taxes HTML 95K
49: R28 Other Noncurrent Liabilities HTML 42K
50: R29 Share Repurchase HTML 40K
51: R30 Share-Based Compensation HTML 80K
52: R31 Defined Contribution Plans HTML 46K
53: R32 Pension Plans HTML 156K
54: R33 Accumulated Other Comprehensive Loss HTML 48K
55: R34 Summary of Accounting Policies (Policies) HTML 110K
56: R35 Revenues (Tables) HTML 64K
57: R36 Fair Value Measurements (Tables) HTML 60K
58: R37 Cash and Cash Equivalents (Tables) HTML 40K
59: R38 Other Current Assets (Tables) HTML 39K
60: R39 Property and Equipment (Tables) HTML 35K
61: R40 Other Noncurrent Assets (Tables) HTML 39K
62: R41 Accrued and Other Current Liabilities (Tables) HTML 45K
63: R42 Commercial Paper and Long-Term Debt (Tables) HTML 68K
64: R43 Derivative Financial Instruments (Tables) HTML 45K
65: R44 Leases (Tables) HTML 113K
66: R45 Income Taxes (Tables) HTML 97K
67: R46 Other Noncurrent Liabilities (Tables) HTML 42K
68: R47 Share Repurchase (Tables) HTML 40K
69: R48 Share-Based Compensation (Tables) HTML 79K
70: R49 Defined Contribution Plans (Tables) HTML 43K
71: R50 Pension Plans (Tables) HTML 163K
72: R51 Accumulated Other Comprehensive Loss (Tables) HTML 48K
73: R52 Coronavirus (Covid-19) (Details) HTML 40K
74: R53 Revenues - Disaggregation of Revenue (Details) HTML 58K
75: R54 Revenues - Narrative (Details) HTML 49K
76: R55 Revenues - Gift Card Liability Activity (Details) HTML 37K
77: R56 Advertising Costs (Details) HTML 33K
78: R57 Fair Value Measurements - Schedule of Fair Value HTML 49K
Measurements - Recurring Basis (Details)
79: R58 Fair Value Measurements - Schedule of Significant HTML 37K
Financial Instruments not Measured at Fair Value
(Details)
80: R59 Fair Value Measurements - Narrative (Details) HTML 35K
81: R60 Cash and Cash Equivalents - Narrative (Details) HTML 40K
82: R61 Cash and Cash Equivalents - Schedule of Cash and HTML 42K
Cash Equivalents (Details)
83: R62 Other Current Assets (Details) HTML 41K
84: R63 Property and Equipment (Details) HTML 51K
85: R64 Other Noncurrent Assets (Details) HTML 39K
86: R65 Goodwill and Intangible Assets - Goodwill HTML 37K
(Details)
87: R66 Goodwill and Intangible Assets - Intangible Assets HTML 60K
(Details)
88: R67 Accrued and Other Current Liabilities (Details) HTML 55K
89: R68 Commitments and Contingencies (Details) HTML 47K
90: R69 Commercial Paper and Long-Term Debt - Schedule of HTML 59K
Carrying Value and Maturities of Debt Portfolio
(Details)
91: R70 Commercial Paper and Long-Term Debt - Schedule of HTML 44K
Required Principal Payments (Details)
92: R71 Commercial Paper and Long-Term Debt - Narrative HTML 76K
(Details)
93: R72 Commercial Paper and Long-Term Debt - Schedule of HTML 41K
Commercial Paper (Details)
94: R73 Derivative Financial Instruments - Narrative HTML 45K
(Details)
95: R74 Derivative Financial Instruments - Effect of HTML 37K
Hedges On Debt (Details)
96: R75 Derivative Financial Instruments - Effect of HTML 38K
Hedges on Net Interest Expense (Details)
97: R76 Leases - Narrative (Details) HTML 39K
98: R77 Leases - Lease Assets and Liabilities (Details) HTML 62K
99: R78 Leases - Lease Cost (Details) HTML 47K
100: R79 Leases - Maturity of Lease Liabilities (Details) HTML 92K
101: R80 Leases - Lease Term and Discount Rate (Details) HTML 42K
102: R81 Leases - Other Information (Details) HTML 38K
103: R82 Income Taxes - Narrative (Details) HTML 47K
104: R83 Income Taxes - Schedule of Tax Rate Reconciliation HTML 52K
- Continuing Operations (Details)
105: R84 Income Taxes - Schedule of Provision for Income HTML 59K
Taxes (Details)
106: R85 Income Taxes - Schedule of Net Deferred Tax HTML 63K
Asset/(Liability) (Details)
107: R86 Income Taxes - Schedule of Reconciliation of HTML 43K
Liability for Unrecognized Tax Benefits (Details)
108: R87 Other Noncurrent Liabilities (Details) HTML 48K
109: R88 Share Repurchase (Details) HTML 38K
110: R89 Share-Based Compensation - Narrative (Details) HTML 74K
111: R90 Share-Based Compensation - Schedule of Restricted HTML 66K
Stock Activity and Performance Share Unit Activity
(Details)
112: R91 Share-Based Compensation - Schedule of Stock HTML 63K
Option Activity (Details)
113: R92 Share-Based Compensation - Schedule of Stock HTML 38K
Option Exercises (Details)
114: R93 Defined Contribution Plans (Details) HTML 55K
115: R94 Pension Plans - Schedule of Recognition of HTML 45K
Funded/(Underfunded) Status (Details)
116: R95 Pension Plans - Schedule of Estimated Future HTML 44K
Benefit Payments (Details)
117: R96 Pension Plans - Schedule of Net Pension Benefit HTML 53K
Expense (Details)
118: R97 Pension Plans - Schedule of Benefit Obligation HTML 38K
Weighted Average Assumptions (Details)
119: R98 Pension Plans - Schedule of Net Periodic Benefit HTML 41K
Expense Weighted Average Assumptions (Details)
120: R99 Pension Plans - Narrative (Details) HTML 61K
121: R100 Pension Plans - Schedule of Change in Projected HTML 55K
Benefit Obligation (Details)
122: R101 Pension Plans - Schedule of Change in Plan Assets HTML 53K
(Details)
123: R102 Pension Plans - Schedule of Asset Category HTML 53K
(Details)
124: R103 Pension Plans - Schedule of Fair Value HTML 61K
Measurements (Details)
125: R104 Pension Plans - Schedule of Amounts in Accumulated HTML 42K
Other Comprehensive Income (Details)
126: R105 Accumulated Other Comprehensive Loss (Details) HTML 63K
128: XML IDEA XML File -- Filing Summary XML 227K
21: XML XBRL Instance -- tgt-20210130_htm XML 2.52M
127: EXCEL IDEA Workbook of Financial Reports XLSX 129K
17: EX-101.CAL XBRL Calculations -- tgt-20210130_cal XML 360K
18: EX-101.DEF XBRL Definitions -- tgt-20210130_def XML 625K
19: EX-101.LAB XBRL Labels -- tgt-20210130_lab XML 2.22M
20: EX-101.PRE XBRL Presentations -- tgt-20210130_pre XML 1.22M
16: EX-101.SCH XBRL Schema -- tgt-20210130 XSD 235K
129: JSON XBRL Instance as JSON Data -- MetaLinks 519± 762K
130: ZIP XBRL Zipped Folder -- 0000027419-21-000010-xbrl Zip 659K
•Form S-8 No. 333-30311 pertaining to the Dayton Hudson Corporation Executive Deferred Compensation Plan, the Dayton Hudson
Corporation Highly Compensated Capital Accumulation Plan, the Dayton Hudson Corporation SMG Executive Deferred Compensation Plan, and the Dayton Hudson Corporation Director Deferred Compensation Plan;
•Form S-8 No. 333-86373 pertaining to the Dayton Hudson Corporation Long-Term Incentive Plan of 1999;
•Form S-8 Nos. 333-112260 and 333-75782 pertaining to the Dayton Hudson Corporation Highly Compensated Capital Accumulation Plan, Target Corporation Director Deferred Compensation Plan, Target Corporation Executive Deferred Compensation Plan, and the Target Corporation
SMG Executive Deferred Compensation Plan;
•Form S-8 No. 333-116096 pertaining to the Target Corporation Long-Term Incentive Plan;
•Form S-8 No. 333-131082 pertaining to the Target Corporation Director Deferred Compensation Plan, Target Corporation Executive Deferred Compensation Plan, and the Target Corporation SMG Executive Deferred Compensation Plan;
•Form S-8 No. 333-174921 pertaining to the Target Corporation 2011 Long-Term Incentive Plan;
•Form
S-8 No. 333-205027 pertaining to the Amended and Restated Target Corporation 2011 Long-Term Incentive Plan;
•Form S-8 No. 333-239155 pertaining to the Target Corporation DDCP (2013 Plan Statement), Target Corporation EDCP (2017 Plan Statement), and Target Corporation Officer EDCP (2017 Plan Statement); and
•Form S-8 No. 333-239154 pertaining to the Target Corporation 2020 Long-Term Incentive Plan;
of
our reports dated March 10, 2021, with respect to the consolidated financial statements of Target Corporation and the effectiveness of internal control over financial reporting of Target Corporation included in this Annual Report (Form 10-K) of Target Corporation for the year ended January 30, 2021.