Daiwa analyst Kahori Tamada maintains $Target (TGT.US)$ with a hold rating, and adjusts the target price from $134 to $130.
According to TipRanks data, the analyst has a success rate of 100.0% and a total average return of 15.7% over the past year.
Furthermore, according to the comprehensive report, the opinions of $Target (TGT.US)$'s main analysts recently are as follows:
Following the company's Q3 earnings miss and less optimistic future guidance, expectations have been adjusted to reflect a predicted ongoing challenge in the next quarter. This outlook is based on persistent softness in discretionary categories and specific calendar impacts. Moreover, cost factors that negatively impacted Q3 are anticipated to continue affecting financial performance in the subsequent quarter.
The company's Q3 results fell below earlier cautious expectations due to margin pressures as inventories increased from early receipts, with Target intensifying discounts. This was further amplified by a higher proportion of sales during promotional periods and unseasonable warmth affecting apparel sales. These challenges are seen as mostly cyclical, placing the onus on the company to demonstrate resilience.
Target needs to address negative trends in home, apparel, and hardlines sectors, enhance digital channel profitability, and ensure consistency beyond seasonal or promotional periods.
Note:
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Success rate is the number of the analyst's successful ratings, divided by his/her total number of ratings over the past year. A successful rating is one based on if TipRanks' virtual portfolio earned a positive return from the stock. Total average return is the average rate of return that the TipRanks' virtual portfolio has earned over the past year. These portfolios are established based on the analyst's preliminary rating and are adjusted according to the changes in the rating.
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大和證券分析師Kahori Tamada維持$塔吉特 (TGT.US)$持有評級,並將目標價從134美元下調至130美元。
根據TipRanks數據顯示,該分析師近一年總勝率為100.0%,總平均回報率為15.7%。
此外,綜合報道,$塔吉特 (TGT.US)$近期主要分析師觀點如下:
在公司第三季度業績不及預期和對未來指導持較少樂觀態度後,預期已調整以反映下一季度可能面臨的持續挑戰。這一展望基於可自由支配類別的持續疲軟和特定日曆影響。此外,第三季度對財務表現產生負面影響的成本因素預計將繼續影響後續季度。
由於庫存從早期收貨增加,目標公司第三季度的結果低於早前謹慎的預期,這導致了利潤率壓力,同時Target加大了折扣力度。這一情況進一步因促銷期間銷售比例增加和季節性氣溫異常影響服裝銷售而加劇。這些挑戰被視爲主要是週期性的,責任落在公司自身,需展示其韌性。
Target需要解決家居、服裝和日用硬件領域的負面趨勢,提高數字渠道的盈利能力,並確保在季節性或促銷期間之外的一致性。
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