Recent Annual Filings for SCHW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $479,843,000,000 $19,606,000,000 $11,914,000,000 $9,225,000,000 $2,670,000,000 $-47,060,000,000 $-8,959,000,000
2023 $493,178,000,000 $18,837,000,000 $12,459,000,000 $9,557,000,000 $19,587,000,000 $-61,245,000,000 $15,753,000,000
2022 $551,772,000,000 $20,762,000,000 $11,374,000,000 $-14,329,000,000 $2,057,000,000 $-68,723,000,000 $-34,618,000,000
2021 $667,270,000,000 $18,520,000,000 $10,807,000,000 $-648,000,000 $2,118,000,000 $96,323,000,000 $22,778,000,000
2020 $549,009,000,000 $11,691,000,000 $7,391,000,000 $8,605,000,000 $6,852,000,000 $143,982,000,000 $24,983,000,000
2019 $294,005,000,000 $10,721,000,000 $5,873,000,000 $4,044,000,000 $9,325,000,000 $-13,939,000,000 $7,350,000,000
2018 $296,482,000,000 $10,132,000,000 $5,570,000,000 $3,440,000,000 $12,456,000,000 $47,166,000,000 $19,067,000,000
2017 $243,274,000,000 $8,618,000,000 $4,968,000,000 $2,365,000,000 $1,263,000,000 $22,599,000,000 $3,389,000,000