The Charles Schwab Corporation
SCHW
Ci-dessous : le cours en direct de The Charles Schwab Corporation (SCHW), un graphique 1 an, 8 indicateurs (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Volume) et le mode de comparaison. Ajoutez à votre portefeuille, mettez en favori ou définissez des alertes de prix.
The Charles Schwab Corporation (SCHW) est une entreprise du secteur Financial Services basée en United States. Active dans Capital Markets, elle emploie environ 33,500 personnes. Sur l'année écoulée, SCHW a évolué entre 83.96 et 107.5 USD. Le PER (TTM) avoisine 20.19 pour une capitalisation d'environ 176.63B USD. Le rendement en dividendes actuel est de 1.26%.
- Prev close
- $102.80
- Volume (24h)
- $615.02M
- Market cap
- $176.63B
- Currency
- USD
Score
53/ 100 · Mitigé
- Valeur60
- Qualité72
- Momentum37
- Croissance60
- Risque75
- Dividende57
- Liquidité8
Composé à partir de données de marché publiques. Informatif uniquement — pas un conseil en investissement.
Projection de tendance
Là où la tendance récente pointe si elle se poursuit.
- +5 barres
- 102.323 +0.75%
- +20 barres
- 103.3851 +1.80%
- +60 barres
- 103.7989 +2.20%
- +120 barres
- 103.8141 +2.22%
Continuation par régression linéaire — pas une prédiction, pas un conseil en investissement. ±1σ ≈ 68% · ±2σ ≈ 95%: ±0.0391 USD.
Interprétation
Les signaux composites paraissent mitigés. Force : profil de risque avec faiblesse : liquidité du bilan. Le prix est près du tiers supérieur de la plage récente, la tendance est ascendante.
Observation descriptive — ce n'est pas un conseil en investissement.
Décomposition du score
Les valeurs brutes derrière chaque pilier pour voir ce que le score composite mesure.
- Valeur60/100
Valeur semble robuste — porté par PER (20.19).
PER:20.19P/B:4.16PEG:1.21 - Qualité72/100
Qualité semble robuste — porté par Marge brute (97.46%).
ROE:19.08%ROA:1.97%Marge nette:37.99%Marge brute:97.46% - Momentum37/100
Momentum semble faible — porté par Variation 52 sem (5.52%).
Variation 52 sem:5.52% - Croissance60/100
Croissance semble robuste — porté par Croissance BPA (38.60%).
Croissance CA:15.80%Croissance BPA:38.60% - Risque75/100
Risque semble solide — porté par Dette / capitaux (120.77).
Bêta:0.76Dette / capitaux:120.77Intérêts à découvert:0.00% - Dividende57/100
Dividende semble mitigé — porté par Taux de distribution (22.47%).
Rendement dividende:1.26%Taux de distribution:22.47% - Liquidité8/100
Liquidité semble fragile — porté par Ratio courant (0.63).
Ratio courant:0.63Ratio rapide:0.63
Calculé à partir de données de marché publiques — informatif, pas un conseil en investissement.
Niveaux de référence
Retracements et extensions de Fibonacci sur la plage récente.
Référence uniquement — ce n'est pas un conseil en investissement.
Ces coordonnées décrivent les regroupements de prix passés, pas où acheter ou vendre. Faites vos propres recherches avant toute transaction.
- RésistanceExtension Fib +161.8%136.3462 USD+34.25% du prix actuel
- RésistanceExtension Fib +100%123.98 USD+22.08% du prix actuel
- RésistanceExtension Fib +61.8%116.3362 USD+14.55% du prix actuel
- RésistanceExtension Fib +27.2%109.4127 USD+7.73% du prix actuel
- Actuel101.56 USD
- SupportRetracement Fib 23.6%99.2476 USD-2.28% du prix actuel
- SupportRetracement Fib 38.2%96.3262 USD-5.15% du prix actuel
- SupportPoint médian Fib 50%93.965 USD-7.48% du prix actuel
- SupportRetracement Fib 61.8%91.6038 USD-9.80% du prix actuel
- SupportRetracement Fib 78.6%88.2421 USD-13.11% du prix actuel
- SupportExtension Fib −27.2%78.5173 USD-22.69% du prix actuel
- SupportExtension Fib −61.8%71.5938 USD-29.51% du prix actuel
- SupportExtension Fib −100%63.95 USD-37.03% du prix actuel
Financials
- 52w high
- $107.50
- 52w low
- $83.96
- 52w change
- 5.52%
- Day high
- $102.80
- Day low
- $100.81
- P/E (TTM)
- 20.19
- Forward P/E
- 13.5
- PEG
- 1.21
- Price / Book
- 4.16
- Beta (5Y)
- 0.76
- Enterprise value
- 146.37B
- EV / Revenue
- 5.9
- EPS (TTM)
- $5.03
- Forward EPS
- $7.52
- Dividend yield
- 1.26%
- Dividend rate
- $1.28
- Payout ratio
- 22.47%
- Revenue (TTM)
- 24.8B
- Total cash
- 96.47B
- Total debt
- 59.46B
- Debt / Equity
- 120.77
- Current ratio
- 0.63
- Quick ratio
- 0.63
- Profit margin
- 37.99%
- Gross margin
- 97.46%
- Return on assets
- 1.97%
- Return on equity
- 19.08%
- Shares outstanding
- 1.74B
- Float
- 1.64B
The Charles Schwab Corporation, together with its subsidiaries, operates as a savings and loan holding company that provides wealth management, securities brokerage, banking, asset management, custody, and financial advisory services in the United States and internationally. The company operates in two segments, Investor Services and Advisor Services. It offers brokerage accounts with equity and fixed income trading, margin lending, options trading, futures and forex trading, and cash management capabilities, including money market funds, and certificates of deposit; third-party mutual funds through the Mutual Fund Marketplace and Mutual Fund OneSource service, as well as mutual fund trading and clearing services to broker-dealers; exchange-traded funds; advisory solutions for managed portfolios, separately managed accounts, customized personal advice for tailored portfolios, specialized planning, and full-time portfolio management; banking products comprising checking and savings accounts, first lien residential real estate mortgage loans, home equity lines of credit, and pledged asset lines; and trust custody services, personal trust reporting services, and administrative trustee services. It provides digital and software based trading platforms; research tools, and multichannel support, real-time market data, options trading; equity compensation plan sponsors full-service recordkeeping for stock plans, stock options, restricted stock, performance shares, and stock appreciation rights; retirement plan services; mutual fund clearing services; and advisor services, including interactive tools and educational content. The Company operates through branch offices. The Charles Schwab Corporation was founded in 1971 and is headquartered in Westlake, Texas.
Analyst & Risk
- Beta (vs S&P 500)
- 0.76
- less volatile
- 52-week change
- 5.52%
- Short % of float
- 0.00%
- Short ratio (days)
- 0
- Debt / Equity
- 120.77
- very high leverage
- Current ratio
- 0.63
- Quick ratio
- 0.63
- ROE
- 19.08%
- ROA
- 1.97%
- PEG ratio
- 1.21
- fair
- EV / Revenue
- 5.9
- Revenue growth
- 15.80%
- Earnings growth
- 38.60%
- Total cash
- 96.47B
- Total debt
- 59.46B
- Insider holdings
- 6.17%
- Institutional
- 88.64%
Recent rating changes
- 2026-07-20BMO CapitalOutperform → Market Performdown
- 2026-07-15Piper SandlerNeutral → Neutralmain
- 2026-07-10Morgan StanleyOverweight → Overweightmain
- 2026-07-09BarclaysOverweight → Overweightmain
- 2026-07-08UBSBuy → Buymain
- 2026-05-15Raymond JamesOutperform → Outperformmain
- 2026-05-15TD CowenBuy → Buymain
- 2026-05-15Piper SandlerNeutral → Neutralmain
Financial documents
- Corporate Changes & Voting Matters8-K2026-06-29
- Annual report of employee stock purchase11-K2026-06-10
- Corporate Changes & Voting Matters8-K2026-06-01
- Corporate Changes & Voting Matters8-K2026-05-22
- Corporate Changes & Voting Matters8-K2026-05-21
- Periodic Financial Reports10-Q2026-05-08
- Corporate Changes & Voting Matters8-K2026-04-22
- Proxy StatementsDEFA14A2026-04-17
- Corporate Changes & Voting Matters8-K2026-04-16
- Annual Report to ShareholdersARS2026-04-06
- Proxy StatementsPRE 14A2026-03-27
- Offering RegistrationsS-82026-03-02
Actualités récentes
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- Big Tech earnings test tech's big rotation: What to watch this weekYahoo Finance21h ago
- Earnings Calendar and Analysis for This Week (July 20-24)Kiplinger2d ago
- Curious about Charles Schwab (SCHW) Q2 Performance? Explore Wall Street Estimates for Key MetricsZacks3d ago
- Q&A: How a 12-Year Succession Plan Helped HB Wealth GrowWealth Management2d ago
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