0000316709-21-000072.txt : 20211015 0000316709-21-000072.hdr.sgml : 20211015 20211015162502 ACCESSION NUMBER: 0000316709-21-000072 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20211015 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20211015 DATE AS OF CHANGE: 20211015 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SCHWAB CHARLES CORP CENTRAL INDEX KEY: 0000316709 STANDARD INDUSTRIAL CLASSIFICATION: SECURITY BROKERS, DEALERS & FLOTATION COMPANIES [6211] IRS NUMBER: 943025021 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-09700 FILM NUMBER: 211326323 BUSINESS ADDRESS: STREET 1: 3000 SCHWAB WAY CITY: WESTLAKE STATE: TX ZIP: 76262 BUSINESS PHONE: 817-859-5000 MAIL ADDRESS: STREET 1: 3000 SCHWAB WAY CITY: WESTLAKE STATE: TX ZIP: 76262 8-K 1 schw-20211015.htm 8-K schw-20211015
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 8-K

CURRENT REPORT
Pursuant to Section 13 OR 15(d) of The Securities Exchange Act of 1934

Date of Report (date of earliest event reported): October 15, 2021

The Charles Schwab Corporation

(Exact name of registrant as specified in its charter)

Commission File Number:  1-9700
Delaware
94-3025021
(State or other jurisdiction of incorporation or organization)
(I.R.S. Employer Identification No.)

3000 Schwab Way, Westlake, TX 76262
(Address of principal executive offices, including zip code)

(817) 859-5000
(Registrant’s telephone number, including area code)

N/A
(Former name or former address, if changed since last report)

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading Symbol(s)Name of each exchange on which registered
Common Stock – $.01 par value per shareSCHWNew York Stock Exchange
Depositary Shares, each representing a 1/40th ownership interest in a share of 5.95% Non-Cumulative Preferred Stock, Series DSCHW PrDNew York Stock Exchange
Depositary Shares, each representing a 1/40th ownership interest in a share of 4.450% Non-Cumulative Preferred Stock, Series JSCHW PrJNew York Stock Exchange
Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).

Emerging growth company

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ☐



Item 2.02Results of Operations and Financial Condition

On October 15, 2021, The Charles Schwab Corporation issued a press release announcing its financial results for the quarter ended September 30, 2021. A copy of the press release is furnished as Exhibit 99.1 to this report.

Item 9.01Financial Statements and Exhibits
(d)
Exhibits
Exhibit No.Description
99.1
104Cover Page Interactive Data File – the cover page interactive data file does not appear in the Interactive Data File because its XBRL tags are embedded within the Inline XBRL document.





Signature(s)


    Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.



THE CHARLES SCHWAB CORPORATION
Date:October 15, 2021By:/s/ Peter Crawford
Peter Crawford
Executive Vice President and Chief Financial Officer





EX-99.1 2 a3q21exhibit991093021.htm EX-99.1 Document

EXHIBIT 99.1

News Release

Contacts:
cslogoa03a.jpg
MEDIA:
Mayura Hooper
Charles Schwab
Phone: 415-667-1525
INVESTORS/ANALYSTS:
Jeff Edwards
Charles Schwab
Phone: 415-667-1524

SCHWAB REPORTS RECORD QUARTERLY EARNINGS PER SHARE
Core Net New Assets Rise 28% Sequentially to $139.0 Billion, a Third Quarter Record
Total Client Assets Reach $7.61 Trillion, up 14% Year-to-Date

    WESTLAKE, Texas, October 15, 2021 – The Charles Schwab Corporation announced today that its net income for the third quarter of 2021 was a record $1.5 billion compared with $1.3 billion for the second quarter of 2021, and $698 million for the third quarter of 2020. Net income for the nine months ended September 30, 2021 was $4.3 billion, compared with $2.2 billion for the year-earlier period. The company’s financial results include TD Ameritrade from October 6, 2020 forward, as well as certain acquisition and integration-related costs and the amortization of acquired intangibles. For the third quarter and first nine months of 2021, these transaction-related expenses totaled $257 million and $828 million, respectively, on a pre-tax basis. In addition, the company’s results for the first nine months of 2021 included a non-deductible charge of approximately $200 million regarding a previously disclosed regulatory matter.

Three Months Ended September 30,%Nine Months Ended September 30,%
Financial Highlights (1)
20212020Change20212020Change
Net revenues (in millions)$4,570 $2,448 87%$13,812 $7,515 84%
Net income (in millions)
GAAP$1,526 $698 119%$4,275 $2,164 98%
Adjusted (1)
$1,722 $749 130%$4,895 $2,318 111%
Diluted earnings per common share
GAAP$.74 $.48 54%$2.06 $1.54 34%
Adjusted (1)
$.84 $.51 65%$2.39 $1.66 44%
Pre-tax profit margin
GAAP44.0 %36.3 %41.2 %37.6 %
Adjusted (1)
49.6 %39.1 %47.2 %40.3 %
Return on average common
    stockholders’ equity (annualized)12 %10 %11 %12 %
Return on tangible
common equity (annualized) (1)
23 %12 %21 %14 %
Note: All per-share results are rounded to the nearest cent, based on weighted-average diluted common shares outstanding.
(1) Further details on non-GAAP financial measures and a reconciliation of such measures to GAAP reported results are included on pages 10-11 of this release.

CEO Walt Bettinger said, “Guided by our “Through Clients’ Eyes” strategy, Schwab continues to drive robust business momentum as we support investors through an uneven economic recovery. While bullish sentiment largely persisted throughout the third quarter, debates regarding the overall pace of economic growth, the potential path of inflation, and the ultimate impact of certain global market disruptions weighed on this optimism – contributing to the S&P 500® ending September essentially flat versus June 30. Through it all, investors consistently turned to Schwab as a trusted financial partner, opening over a million new brokerage accounts for the fourth consecutive quarter – bringing year-to-date new brokerage accounts to 6.0 million. We generated core net new assets of $139.0 billion in the quarter, pushing asset gathering for the first nine months of the year to $396.0 billion, representing an 8% annualized organic growth rate.

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Total client assets ended September at $7.61 trillion, up from $6.69 trillion at year-end 2020. In addition, while the third quarter is often viewed as a slower period for client activity, engagement levels showed persistent strength through the summer months – daily average trade volumes softened only modestly versus the prior quarter to 5.5 million.”

Mr. Bettinger continued, “We believe our ‘no trade-offs’ approach to combining value, service, transparency and trust has enabled us to continue meeting the needs of the expanding population of individual investors and independent investment advisors who look to Schwab for support. Clients remained highly engaged with our banking services during the third quarter, as demonstrated by a 21% increase in mortgage originations and 66% growth in Pledged Asset Line® balances on a year-over-year basis. Additionally, investor interest in low-cost investing solutions elevated our Schwab-managed ETFs to a record $251.6 billion in assets, up 49% year-over-year. Retail clients also sought out our help and guidance; over $437 billion of assets were enrolled in one of our advisory offerings at month-end September, representing an increase of 24% from a year ago. Finally, in support of our independent investment advisors we further enhanced the digital onboarding experience for new accounts to include integrated funding, end-client editing capabilities, and detailed status tracking, among other improvements. This streamlined and collaborative functionality minimizes the potential for errors and delays, saving advisors time to focus on creating and building relationships.”

“I am incredibly proud of all the great work our team of talented employees have poured into serving our clients and each other this year and throughout the pandemic,” Mr. Bettinger concluded. “Their unwavering focus has kept the TD Ameritrade integration on track, helped advance our other key strategic initiatives, and yielded outstanding operating and financial performance for our company. As such, we rewarded them by implementing a special 5% pay increase, effective at the end of September. Additionally, to better reflect the changing ways our employees live and work, we introduced a hybrid workplace program designed to provide greater flexibility while still maintaining our strong, interconnected culture. Investing in our talent, alongside other platform and service investments, allows us to continue building the future of modern wealth management.”

CFO Peter Crawford added, “Consistent execution of our strategy and sustained business momentum, in combination with our diversified revenue model, helped produce impressive financial performance in the third quarter. Net interest revenue grew 4% versus the second quarter of 2021, driven by further expansion of our interest-earning asset base, including strength in lending activity and rising investment portfolio balances. This expansion more than offset a decline in securities lending revenue as well as a lower average yield on outstanding margin loans. Asset management and administration fees increased 5% sequentially, driven by rising balances in both proprietary and third-party mutual fund and ETF offerings and advisory solutions. Trading revenue edged up 1% as a higher proportion of derivatives bolstered revenue per trade in the third quarter, offsetting the impact of an 8% slowdown in activity overall. Turning to expenses, our total GAAP spending declined 9% sequentially to $2.6 billion, which included $104 million in acquisition and integration-related costs and $153 million in amortization of acquired intangibles. Exclusive of these items (1), adjusted total expenses were down 8% quarter-over-quarter. The sequential declines in GAAP and adjusted expenses largely reflect lower Other expenses due to the non-recurring nature of the regulatory charge in the second quarter. The combination of our revenue growth and steady expense discipline enabled us to produce a 44.0% pre-tax profit margin – 49.6% on an adjusted basis (1) – our highest quarterly level since late 2019.”

Mr. Crawford concluded, “As we navigated the third quarter’s mixed macroeconomic environment, we worked to further enhance our liquidity position and streamline our capital structure. In August, we issued $850 million in long-term senior notes, marking our third debt issuance in 2021. We also completed a tender offer to exchange nearly $2 billion of TD Ameritrade Holding Corporation debt for an equal amount of equivalent Charles Schwab Corporation debt. Both organic client activity and the previously announced bank deposit account migrations helped our consolidated balance sheet reach $607.5 billion as of September 30, and the company’s preliminary Tier 1 Leverage Ratio was 6.3%. Our ongoing ability to maintain a healthy balance sheet and strong capital base enabled us to deliver a 12% return on equity and 23% ROTCE (1) for the quarter. Supported by the outstanding work of the entire Schwab team, we continue to operate from a position of strength, leveraging our sustained business momentum to keep building long-term stockholder value.”

(1) Further details on non-GAAP financial measures and a reconciliation of such measures to GAAP reported results are included on pages 10-11 of this release.

Commentary from the CFO
Periodically, our Chief Financial Officer provides insight and commentary regarding Schwab’s financial picture at: https://www.aboutschwab.com/cfo-commentary. The most recent commentary, which provides perspective on recent account activity was posted on May 14, 2021.

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Forward-Looking Statements
This press release contains forward-looking statements relating to business momentum; growth in the client base, accounts and assets; integration of TD Ameritrade; strategic initiatives; investments to attract and retain talent, improve service and the client experience, expand products, services and offerings to meet client needs, diversify revenues, and drive scale and efficiency; balance sheet and capital base strength; and stockholder value. These forward-looking statements reflect management’s expectations as of the date hereof. Achievement of these expectations and objectives is subject to risks and uncertainties that could cause actual results to differ materially from the expressed expectations.

Important factors that may cause such differences include, but are not limited to, the company’s ability to attract and retain clients and independent investment advisors and grow those relationships and client assets; develop and launch new and enhanced products, services, and capabilities, as well as enhance its infrastructure and capacity, in a timely and successful manner; hire and retain talent; support client activity levels; successfully implement integration strategies and plans; monetize client assets; and manage expenses. Other important factors include general market conditions, including equity valuations, trading activity, the level of interest rates – which can impact money market fund fee waivers, and credit spreads; market volatility; client use of the company’s advisory solutions and other products and services; client sensitivity to rates; level of client assets, including cash balances; capital and liquidity needs and management; the migration of bank deposit account balances; balance sheet cash; the scope and duration of the COVID-19 pandemic and actions taken by governmental authorities to contain the spread of the virus and the economic impact; adverse developments in the resolution and settlement amount of the pending regulatory matter; and other factors set forth in the company’s most recent reports on Form 10-K and Form 10-Q.

About Charles Schwab
The Charles Schwab Corporation (NYSE: SCHW) is a leading provider of financial services, with 32.7 million active brokerage accounts, 2.2 million corporate retirement plan participants, 1.6 million banking accounts, and approximately $7.61 trillion in client assets. Through its operating subsidiaries, the company provides a full range of wealth management, securities brokerage, banking, asset management, custody, and financial advisory services to individual investors and independent investment advisors. Its broker-dealer subsidiaries, Charles Schwab & Co., Inc., TD Ameritrade, Inc., and TD Ameritrade Clearing, Inc., (members SIPC, https://www.sipc.org), and their affiliates offer a complete range of investment services and products including an extensive selection of mutual funds; financial planning and investment advice; retirement plan and equity compensation plan services; referrals to independent, fee-based investment advisors; and custodial, operational and trading support for independent, fee-based investment advisors through Schwab Advisor Services. Its primary banking subsidiary, Charles Schwab Bank, SSB (member FDIC and an Equal Housing Lender), provides banking and lending services and products. More information is available at https://www.aboutschwab.com.

TD Ameritrade, Inc. and TD Ameritrade Clearing, Inc. are separate but affiliated companies and subsidiaries of TD Ameritrade Holding Corporation. TD Ameritrade Holding Corporation is a wholly owned subsidiary of The Charles Schwab Corporation. TD Ameritrade is a trademark jointly owned by TD Ameritrade IP Company, Inc. and The Toronto-Dominion Bank.

- 3 -



THE CHARLES SCHWAB CORPORATION
Consolidated Statements of Income
(In millions, except per share amounts)
(Unaudited)




Three Months Ended
September 30,
Nine Months Ended
September 30,
2021202020212020
Net Revenues
Interest revenue$2,153 $1,432 $6,236 $4,626 
Interest expense(123)(89)(348)(322)
Net interest revenue2,030 1,343 5,888 4,304 
Asset management and administration fees (1)
1,101 860 3,164 2,488 
Trading revenue964 181 3,135 562 
Bank deposit account fees323 — 1,011 — 
Other152 64 614 161 
Total net revenues4,570 2,448 13,812 7,515 
Expenses Excluding Interest
Compensation and benefits1,303 840 4,051 2,556 
Professional services250 194 723 574 
Occupancy and equipment246 155 722 449 
Advertising and market development119 66 363 203 
Communications144 73 457 226 
Depreciation and amortization140 97 404 284 
Amortization of acquired intangible assets153 25 461 43 
Regulatory fees and assessments64 36 208 106 
Other140 73 733 250 
Total expenses excluding interest2,559 1,559 8,122 4,691 
Income before taxes on income2,011 889 5,690 2,824 
Taxes on income485 191 1,415 660 
Net Income1,526 698 4,275 2,164 
Preferred stock dividends and other120 83 364 171 
Net Income Available to Common Stockholders$1,406 $615 $3,911 $1,993 
Weighted-Average Common Shares Outstanding:
Basic1,888 1,289 1,885 1,288 
Diluted1,898 1,294 1,895 1,294 
Earnings Per Common Shares Outstanding (2):
Basic$.74 $.48 $2.07 $1.55 
Diluted$.74 $.48 $2.06 $1.54 

(1) Includes fee waivers of $83 million and $246 million for the three and nine months ended September 30, 2021, respectively, and $44 million and $59 million for the three and nine months ended September 30, 2020, respectively.
(2) For the three and nine months ended September 30, 2021, the Company had voting and nonvoting common stock outstanding. As the participation rights, including dividend and liquidation rights, are identical between the voting and nonvoting stock classes, basic and diluted earnings per share are the same for each class.
        
- 4 -


THE CHARLES SCHWAB CORPORATION
Financial and Operating Highlights
(Unaudited)
Q3-21 % change20212020
vs.vs.ThirdSecondFirstFourthThird
(In millions, except per share amounts and as noted)Q3-20Q2-21QuarterQuarterQuarterQuarterQuarter
Net Revenues
Net interest revenue51 %%$2,030 $1,947 $1,911 $1,809 $1,343 
Asset management and administration fees28 %%1,101 1,047 1,016 987 860 
Trading revenueN/M%964 955 1,216 854 181 
Bank deposit account feesN/M(4)%323 337 351 355 — 
Other138 %(37)%152 241 221 171 64 
Total net revenues87 %%4,570 4,527 4,715 4,176 2,448 
Expenses Excluding Interest
Compensation and benefits55 %(1)%1,303 1,318 1,430 1,398 840 
Professional services29 %%250 247 226 269 194 
Occupancy and equipment59 %%246 239 237 254 155 
Advertising and market development80 %(7)%119 128 116 123 66 
Communications97 %(13)%144 166 147 127 73 
Depreciation and amortization44 %%140 135 129 130 97 
Amortization of acquired intangible assetsN/M(1)%153 154 154 147 25 
Regulatory fees and assessments78 %(3)%64 66 78 57 36 
Other92 %(61)%140 355 238 195 73 
Total expenses excluding interest64 %(9)%2,559 2,808 2,755 2,700 1,559 
Income before taxes on income126 %17 %2,011 1,719 1,960 1,476 889 
Taxes on income154 %%485 454 476 341 191 
Net Income119 %21 %$1,526 $1,265 $1,484 $1,135 $698 
Preferred stock dividends and other45 %(19)%120 148 96 85 83 
Net Income Available to Common Stockholders129 %26 %$1,406 $1,117 $1,388 $1,050 $615 
Earnings per common share (1):
Basic54 %25 %$.74 $.59 $.74 $.57 $.48 
Diluted54 %25 %$.74 $.59 $.73 $.57 $.48 
Dividends declared per common share— — $.18 $.18 $.18 $.18 $.18 
Weighted-average common shares outstanding:
Basic46 %— 1,888 1,886 1,882 1,848 1,289 
Diluted47 %— 1,898 1,896 1,892 1,855 1,294 
Performance Measures
Pre-tax profit margin44.0 %38.0 %41.6 %35.3 %36.3 %
Return on average common stockholders’ equity (annualized) (2)
12 %10 %12 %11 %10 %
Financial Condition (at quarter end, in billions)
Cash and cash equivalents25 %13 %$34.3 $30.3 $48.6 $40.3 $27.5 
Cash and investments segregated43 %%42.3 39.9 40.4 50.4 29.6 
Receivables from brokerage clients — netN/M%86.6 82.2 74.7 64.4 25.4 
Available for sale securities24 %%377.0 359.6 341.6 337.4 303.8 
Bank loans — net42 %%31.6 28.9 25.4 23.8 22.3 
Total assets45 %%607.5 574.5 563.5 549.0 419.4 
Bank deposits23 %%395.3 368.6 369.9 358.0 320.7 
Payables to brokerage clients118 %%113.1 105.0 101.3 104.2 52.0 
Short-term borrowingsN/M(14)%3.0 3.5 2.5 — — 
Long-term debt150 %%19.5 18.7 17.7 13.6 7.8 
Stockholders’ equity83 %— 57.4 57.5 55.6 56.1 31.3 
Other
Full-time equivalent employees (at quarter end, in thousands)47 %— 32.4 32.5 32.0 32.0 22.1 
Capital expenditures — purchases of equipment, office facilities, and
        property, net (in millions)
44 %(22)%$176 $225 $209 $200 $122 
Expenses excluding interest as a percentage of average client assets
        (annualized)
0.13 %0.15 %0.16 %0.17 %0.14 %
Clients’ Daily Average Trades (DATs) (in thousands)
N/M(8)%5,549 6,042 8,414 5,796 1,460 
Number of Trading Days— %64.0 63.0 61.0 63.0 64.0 
Revenue Per Trade (3)
40 %%$2.71 $2.51 $2.37 $2.34 $1.94 
Note: The above table reflects the recognition of TD Ameritrade’s assets acquired and liabilities assumed at fair value as of October 6, 2020. Results of operations and metrics are inclusive of TD Ameritrade beginning October 6, 2020.
(1) Beginning in the fourth quarter of 2020, the Company had voting and nonvoting common stock outstanding. As the participation rights, including dividend and liquidation rights, are identical between the voting and nonvoting stock classes, basic and diluted earnings per share are the same for each class.
(2) Return on average common stockholders’ equity is calculated using net income available to common stockholders divided by average common stockholders’ equity.
(3) Revenue per trade is calculated as trading revenue divided by DATs multiplied by the number of trading days.
N/M Not meaningful. Percentage changes greater than 200% are presented as not meaningful.

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THE CHARLES SCHWAB CORPORATION
Net Interest Revenue Information
(In millions, except ratios or as noted)
(Unaudited)
Three Months Ended
September 30,
Nine Months Ended
September 30,
2021202020212020
Average
Balance
Interest
Revenue/
Expense
Average
Yield/
Rate
Average
Balance
Interest
Revenue/
Expense
Average
Yield/
Rate
Average
Balance
Interest
Revenue/
Expense
Average
Yield/
Rate
Average
Balance
Interest
Revenue/
Expense
Average
Yield/
Rate
Interest-earning assets
Cash and cash equivalents$38,732 $11 0.12 %$32,628 $0.10 %$39,848 $27 0.09 %$40,410 $112 0.37 %
Cash and investments segregated42,617 0.04 %33,214 14 0.16 %43,914 19 0.06 %30,162 128 0.56 %
Receivables from brokerage clients80,873 628 3.04 %21,242 125 2.31 %74,831 1,800 3.17 %19,442 404 2.73 %
Available for sale securities (1)
362,204 1,187 1.30 %276,081 1,103 1.59 %348,477 3,381 1.29 %236,204 3,434 1.93 %
Bank loans30,235 161 2.12 %21,668 134 2.46 %27,336 448 2.18 %20,248 411 2.70 %
Total interest-earning assets554,661 1,992 1.42 %384,833 1,384 1.43 %534,406 5,675 1.41 %346,466 4,489 1.72 %
Securities lending revenue (2)
159 47 557 133 
Other interest revenue (2)
Total interest-earning assets (3)
$554,661 $2,153 1.54 %$384,833 $1,432 1.47 %$534,406 $6,236 1.55 %$346,466 $4,626 1.77 %
Funding sources
Bank deposits$384,561 $14 0.01 %$310,685 $12 0.02 %$371,974 $40 0.01 %$275,860 $81 0.04 %
Payables to brokerage clients92,498 0.01 %40,169 0.01 %89,087 0.01 %36,001 10 0.04 %
Short-term borrowings (4)
3,485 0.34 %— 0.12 %2,617 0.32 %16 — 0.29 %
Long-term debt19,030 99 2.10 %7,992 69 3.46 %17,225 281 2.18 %8,014 212 3.53 %
Total interest-bearing liabilities499,574 119 0.09 %358,851 82 0.09 %480,903 334 0.09 %319,891 303 0.13 %
Non-interest-bearing funding sources (3)
55,087 25,982 53,503 26,575 
Securities lending expense (2)
10 16 26 
Other interest expense (2)
— (3)(2)(7)
Total funding sources (3)
$554,661 $123 0.09 %$384,833 $89 0.09 %$534,406 $348 0.09 %$346,466 $322 0.13 %
Net interest revenue$2,030 1.45 %$1,343 1.38 %$5,888 1.46 %$4,304 1.64 %
(1) Amounts have been calculated based on amortized cost.
(2) Beginning in the fourth quarter of 2020, securities lending revenue has been reclassified from broker-related receivables and other revenue. Securities lending expense has been reclassified from other expense. Prior period amounts have been reclassified to reflect this change.
(3) Beginning in the fourth quarter of 2020, broker-related receivables were removed from total interest-earning assets and netted against non-interest-bearing funding sources, resulting in an immaterial reduction to total interest-earning assets and total funding sources. Prior period amounts have been reclassified to reflect this change.
(4) Interest revenue or expense was less than $500 thousand in the period or periods presented.
- 6 -


THE CHARLES SCHWAB CORPORATION
Asset Management and Administration Fees Information
(In millions, except ratios or as noted)
(Unaudited)

Three Months Ended
September 30,
Nine Months Ended
September 30,
2021202020212020
Average
Client
Assets
RevenueAverage
Fee
Average
Client
Assets
RevenueAverage
Fee
Average
Client
Assets
RevenueAverage
Fee
Average
Client
Assets
RevenueAverage
Fee
Schwab money market funds before fee
  waivers
$149,508 $112 0.30 %$199,822 $153 0.30 %$158,749 $348 0.29 %$205,544 $469 0.30 %
Fee waivers(83)(44)(246)(59)
Schwab money market funds149,508 29 0.08 %199,822 109 0.22 %158,749 102 0.09 %205,544 410 0.27 %
Schwab equity and bond funds, ETFs, and
  collective trust funds (CTFs)
441,344 99 0.09 %306,899 75 0.10 %411,312 279 0.09 %290,759 219 0.10 %
Mutual Fund OneSource® and other non-
  transaction fee funds
234,582 188 0.32 %197,809 154 0.31 %228,643 540 0.32 %187,153 436 0.31 %
Other third-party mutual funds and ETFs (1)
918,363 187 0.08 %469,822 85 0.07 %888,003 533 0.08 %446,007 235 0.07 %
Total mutual funds, ETFs, and CTFs (2)
$1,743,797 503 0.11 %$1,174,352 423 0.14 %$1,686,707 1,454 0.12 %$1,129,463 1,300 0.15 %
Advice solutions (2)
Fee-based$463,827 511 0.44 %$307,983 373 0.48 %$445,521 1,469 0.44 %$277,297 999 0.48 %
Non-fee-based90,649 — — 73,850 — — 87,758 — — 71,438 — — 
Total advice solutions$554,476 511 0.37 %$381,833 373 0.39 %$533,279 1,469 0.37 %$348,735 999 0.38 %
Other balance-based fees (3)
632,806 68 0.04 %443,929 51 0.05 %604,995 195 0.04 %428,191 150 0.05 %
Other (4)
19 13 46 39 
Total asset management and administration fees$1,101 $860 $3,164 $2,488 
(1) Beginning in the fourth quarter of 2020, includes third-party money funds related to the acquisition of TD Ameritrade.
(2) Advice solutions include managed portfolios, specialized strategies, and customized investment advice such as Schwab Private ClientTM, Schwab Managed PortfoliosTM, Managed Account Select®, Schwab Advisor Network®, Windhaven® Strategies, ThomasPartners® Strategies, Schwab Index Advantage® advised retirement plan balances, Schwab Intelligent Portfolios®, Institutional Intelligent Portfolios®, Schwab Intelligent Portfolios Premium®, TD Ameritrade AdvisorDirect®, Essential Portfolios, Selective Portfolios, and Personalized Portfolios; as well as legacy non-fee advice solutions including Schwab Advisor Source and certain retirement plan balances. Average client assets for advice solutions may also include the asset balances contained in the mutual fund and/or ETF categories listed above. For the total end of period view, please see the Monthly Activity Report.
(3) Includes various asset-related fees, such as trust fees, 401(k) recordkeeping fees, and mutual fund clearing fees and other service fees.
(4) Includes miscellaneous service and transaction fees relating to mutual funds and ETFs that are not balance-based.
- 7 -


THE CHARLES SCHWAB CORPORATION
Growth in Client Assets and Accounts
(Unaudited)

Q3-21 % Change20212020
vs.vs.ThirdSecondFirstFourthThird
(In billions, at quarter end, except as noted)Q3-20Q2-21QuarterQuarterQuarterQuarterQuarter
Assets in client accounts
Schwab One®, certain cash equivalents and bank deposits
36 %%$503.9 $469.5 $467.3 $458.4 $370.3 
Bank deposit account balancesN/M(5)%153.3 161.9 164.2 165.9 — 
Proprietary mutual funds (Schwab Funds® and Laudus Funds®) and CTFs
Money market funds (1)
(22)%(3)%147.7 151.9 163.6 176.1 190.3 
Equity and bond funds and CTFs (2)
33 %%167.4 165.9 152.9 142.9 125.5 
Total proprietary mutual funds and CTFs— (1)%315.1 317.8 316.5 319.0 315.8 
Mutual Fund Marketplace® (3)
Mutual Fund OneSource® and other non-transaction fee funds
15 %(2)%234.7 240.2 227.3 223.9 203.6 
Mutual fund clearing services19 %— 271.9 271.3 248.7 252.9 228.4 
Other third-party mutual funds (4)
71 %%1,450.1 1,441.5 1,375.8 1,304.6 848.1 
Total Mutual Fund Marketplace53 %— 1,956.7 1,953.0 1,851.8 1,781.4 1,280.1 
Total mutual fund assets42 %— 2,271.8 2,270.8 2,168.3 2,100.4 1,595.9 
Exchange-traded funds (ETFs)
Proprietary ETFs (2)
49 %%251.6 245.2 220.9 198.8 168.9 
Other third-party ETFs131 %%1,183.7 1,158.8 1,035.1 947.3 512.6 
Total ETF assets111 %%1,435.3 1,404.0 1,256.0 1,146.1 681.5 
Equity and other securities105 %— 2,976.7 2,988.8 2,721.0 2,504.7 1,453.2 
Fixed income securities12 %(1)%356.8 359.6 364.5 377.1 318.0 
Margin loans outstandingN/M%(83.8)(79.8)(72.2)(60.9)(23.6)
Total client assets73 %%$7,614.0 $7,574.8 $7,069.1 $6,691.7 $4,395.3 
Client assets by business
Investor Services74 %— $4,137.7 $4,146.2 $3,865.9 $3,667.9 $2,377.7 
Advisor Services72 %%3,476.3 3,428.6 3,203.2 3,023.8 2,017.6 
Total client assets73 %%$7,614.0 $7,574.8 $7,069.1 $6,691.7 $4,395.3 
Net growth in assets in client accounts (for the quarter ended)
Net new assets by business
Investor Services (5)
N/M30 %$57.9 $44.5 $65.1 $939.2 $18.9 
Advisor Services (6)
151 %26 %81.1 64.3 68.7 751.5 32.3 
Total net new assets171 %28 %$139.0 $108.8 $133.8 $1,690.7 $51.2 
Net market (losses) gainsN/MN/M(99.8)396.9 243.6 605.7 234.0 
Net growth (decline)(86)%(92)%$39.2 $505.7 $377.4 $2,296.4 $285.2 
New brokerage accounts (in thousands, for the quarter ended) (7)
99 %(29)%1,178 1,657 3,153 15,774 592 
Client accounts (in thousands)
Active brokerage accounts127 %%32,675 32,265 31,902 29,629 14,393 
Banking accounts%— 1,580 1,574 1,608 1,499 1,486 
Corporate retirement plan participants28 %%2,207 2,149 2,105 2,054 1,722 
(1) Total client assets in purchased money market funds are located at: https://www.aboutschwab.com/investor-relations.
(2) Includes balances held on and off the Schwab platform. As of September 30, 2021, off-platform equity and bond funds, CTFs, and ETFs were $21.0 billion, $6.0 billion, and $87.5 billion, respectively.
(3) Excludes all proprietary mutual funds and ETFs.
(4) As of September 30, 2021, third-party money funds were $14.2 billion.
(5) First quarter of 2021 includes an outflow of $14.4 billion from a mutual fund clearing services client. Fourth quarter of 2020 includes inflows of $890.7 billion related to the acquisition of TD Ameritrade.
(6) Fourth quarter of 2020 includes inflows of $680.6 billion related to the acquisition of TD Ameritrade. Third quarter of 2020 includes an inflow of $8.5 billion related to the acquisition of Wasmer, Schroeder & Company, LLC.
(7) Fourth quarter of 2020 includes 14.5 million new brokerage accounts related to the acquisition of TD Ameritrade.
N/M Not meaningful. Percentage changes greater than 200% are presented as not meaningful.
- 8 -


The Charles Schwab Corporation Monthly Activity Report For September 2021
20202021      Change
SepOctNovDecJanFebMarAprMayJunJulAugSepMo.Yr.
Market Indices (at month end)
Dow Jones Industrial Average27,782 26,502 29,639 30,606 29,983 30,932 32,982 33,875 34,529 34,503 34,935 35,361 33,844 (4)%22 %
Nasdaq Composite11,168 10,912 12,199 12,888 13,071 13,192 13,247 13,963 13,749 14,504 14,673 15,259 14,449 (5)%29 %
Standard & Poor’s® 500
3,363 3,270 3,622 3,756 3,714 3,811 3,973 4,181 4,204 4,298 4,395 4,523 4,308 (5)%28 %
Client Assets (in billions of dollars)
Beginning Client Assets4,489.7 4,395.3 5,878.5 6,421.0 6,691.7 6,759.6 6,900.5 7,069.1 7,336.1 7,395.7 7,574.8 7,642.7 7,838.2 
Net New Assets (1)
20.0 1,596.9 32.1 61.7 34.2 37.0 62.6 37.2 28.1 43.5 44.3 51.8 42.9 (17)%115 %
Net Market (Losses) Gains(114.4)(113.7)510.4 209.0 33.7 103.9 106.0 229.8 31.5 135.6 23.6 143.7 (267.1)
Total Client Assets (at month end)4,395.3 5,878.5 6,421.0 6,691.7 6,759.6 6,900.5 7,069.1 7,336.1 7,395.7 7,574.8 7,642.7 7,838.2 7,614.0 (3)%73 %
Core Net New Assets (2)
20.0 25.6 32.1 61.7 34.2 51.4 62.6 37.2 28.1 43.5 44.3 51.8 42.9 (17)%115 %
Receiving Ongoing Advisory Services (at month end) (3)
Investor Services361.2 425.3 457.1 471.8 472.4 481.3 495.2 511.1 517.8 525.1 531.9 542.5 530.1 (2)%47 %
Advisor Services (4)
1,870.1 2,505.5 2,715.7 2,828.3 2,840.6 2,913.3 2,997.9 3,112.5 3,150.4 3,209.3 3,256.5 3,333.4 3,253.2 (2)%74 %
Client Accounts (at month end, in thousands)
Active Brokerage Accounts14,393 29,013 29,202 29,629 30,534 31,523 31,902 31,877 32,110 32,265 32,386 32,513 32,675 — 127 %
Banking Accounts 1,486 1,496 1,504 1,499 1,518 1,542 1,608 1,562 1,584 1,574 1,578 1,594 1,580 (1)%%
Corporate Retirement Plan Participants1,722 2,072 2,045 2,054 2,069 2,093 2,105 2,116 2,130 2,149 2,159 2,188 2,207 %28 %
Client Activity
New Brokerage Accounts (in thousands) (5)
184 14,718 430 626 1,095 1,211 847 609 549 499 402 402 374 (7)%103 %
Client Cash as a Percentage of Client Assets (6)
12.8 %13.4 %12.4 %12.3 %12.2 %11.8 %11.5 %10.9 %10.8 %10.5 %10.4 %10.3 %10.8 %50 bp(200) bp
Derivative Trades as a Percentage of Total Trades14.5 %20.5 %19.4 %18.9 %17.4 %16.6 %18.5 %20.4 %20.9 %20.6 %22.2 %23.1 %23.1 %— 860 bp
Selected Average Balances (in millions of dollars)
Average Interest-Earning Assets (7,8)
392,784 442,119 466,677 482,394 517,306 514,885 520,074 527,194 528,642 536,146 546,579 552,372 565,379 %44 %
Average Margin Balances (8)
22,780 48,095 53,916 59,142 62,999 69,064 71,266 72,863 75,921 78,410 79,910 81,021 81,705 %N/M
Average Bank Deposits Account Balances (8,9)
— 132,030 162,315 163,463 167,980 167,433 164,866 162,392 160,459 161,377 151,275 150,896 152,330 %N/M
Mutual Fund and Exchange-Traded Fund
  Net Buys (Sells) (10,11) (in millions of dollars)
Equities(1,372)(1,305)10,980 13,875 8,234 14,246 16,301 13,422 9,854 10,873 7,418 8,808 7,596 
Hybrid(12)(553)(402)359 407 832 1,133 877 390 666 569 335 
Bonds6,857 6,765 5,956 12,169 13,601 9,334 8,237 8,940 5,906 10,101 6,917 8,044 6,232 
Net Buy (Sell) Activity (in millions of dollars)
Mutual Funds (10)
757 (2,260)2,832 6,336 5,713 6,273 6,190 5,754 2,022 5,872 2,644 3,876 (308)
Exchange-Traded Funds (11)
4,716 7,167 13,702 20,067 16,529 18,139 19,481 17,485 13,739 15,492 12,357 13,545 14,471 
Money Market Funds(6,627)(4,021)(5,908)(7,332)(5,248)(4,405)(4,528)(5,153)(3,988)(3,806)(2,501)(1,372)(1,512)
Note: Certain supplemental details related to the information above can be found at: https://www.aboutschwab.com/financial-reports.
(1) February 2021 includes an outflow of $14.4 billion from a mutual fund clearing services client. October 2020 includes an inflow of $1.6 trillion related to the acquisition of TD Ameritrade.
(2) Net new assets before significant one-time inflows or outflows, such as acquisitions/divestitures or extraordinary flows (generally greater than $10 billion) relating to a specific client. These flows may span multiple reporting periods.
(3) Beginning in December 2020, AdvisorDirect® assets are presented as Investor Services. In December 2020, $46.5 billion and $50.4 billion for October and November, respectively, were reclassified from Advisor Services to Investor Services.
(4) Excludes Retirement Business Services.
(5) October 2020 includes 14.5 million new brokerage accounts related to the acquisition of TD Ameritrade.
(6) Schwab One®, certain cash equivalents, bank deposits, third-party bank deposit accounts, and money market fund balances as a percentage of total client assets.
(7) Represents average total interest-earning assets on the company’s balance sheet.
(8) October 2020 averages reflect a full month of Schwab balances and 26 days of TD Ameritrade balances following the acquisition closing on October 6, 2020. Calculating the consolidated daily average from the closing date onwards would result in Average Interest- Earning Assets, Average Margin Balances, and Average Bank Deposit Account Balances of $450,004 million, $52,744 million, and $157,414 million, respectively.
(9) Represents average TD Ameritrade clients’ uninvested cash sweep account balances held in deposit accounts at third-party financial institutions.
(10) Represents the principal value of client mutual fund transactions handled by Schwab, including transactions in proprietary funds. Includes institutional funds available only to Investment Managers. Excludes money market fund transactions.
(11) Represents the principal value of client ETF transactions handled by Schwab, including transactions in proprietary ETFs.
N/M Not meaningful. Percentage changes greater than 200% are presented as not meaningful.
- 9 -

THE CHARLES SCHWAB CORPORATION
Non-GAAP Financial Measures
(In millions, except ratios and per share amounts)
(Unaudited)
In addition to disclosing financial results in accordance with generally accepted accounting principles in the U.S. (GAAP), Schwab’s third quarter earnings release contains references to the non-GAAP financial measures described below. We believe these non-GAAP financial measures provide useful supplemental information about the financial performance of the Company, and facilitate meaningful comparison of Schwab’s results in the current period to both historic and future results. These non-GAAP measures should not be considered a substitute for, or superior to, financial measures calculated in accordance with GAAP, and may not be comparable to non-GAAP financial measures presented by other companies.

Schwab’s use of non-GAAP measures is reflective of certain adjustments made to GAAP financial measures as described below.
Non-GAAP Adjustment or MeasureDefinitionUsefulness to Investors and Uses by Management
Acquisition and integration-related costs and amortization of acquired intangible assetsSchwab adjusts certain GAAP financial measures to exclude the impact of acquisition and integration-related costs incurred as a result of the Company’s acquisitions, amortization of acquired intangible assets, and, where applicable, the income tax effect of these expenses.

Adjustments made to exclude amortization of acquired intangible assets are reflective of all acquired intangible assets, which were recorded as part of purchase accounting. These acquired intangible assets contribute to the Company’s revenue generation. Amortization of acquired intangible assets will continue in future periods over their remaining useful lives.
We exclude acquisition and integration-related costs and amortization of acquired intangible assets for the purpose of calculating certain non-GAAP measures because we believe doing so provides additional transparency of Schwab’s ongoing operations, and is useful in both evaluating the operating performance of the business and facilitating comparison of results with prior and future periods.

Acquisition and integration-related costs fluctuate based on the timing of acquisitions and integration activities, thereby limiting comparability of results among periods, and are not representative of the costs of running the Company’s ongoing business. Amortization of acquired intangible assets is excluded because management does not believe it is indicative of the Company’s underlying operating performance.
Return on tangible common equityReturn on tangible common equity represents annualized adjusted net income available to common stockholders as a percentage of average tangible common equity. Tangible common equity represents common equity less goodwill, acquired intangible assets — net, and related deferred tax liabilities.Acquisitions typically result in the recognition of significant amounts of goodwill and acquired intangible assets. We believe return on tangible common equity may be useful to investors as a supplemental measure to facilitate assessing capital efficiency and returns relative to the composition of Schwab’s balance sheet.

Beginning in 2021, the Company also uses adjusted diluted EPS and return on tangible common equity as components of performance criteria for employee bonus and certain executive management incentive compensation arrangements. The Compensation Committee of CSC’s Board of Directors maintains discretion in evaluating performance against these criteria.


- 10 -

THE CHARLES SCHWAB CORPORATION
Non-GAAP Financial Measures
(In millions, except ratios and per share amounts)
(Unaudited)
The tables below present reconciliations of GAAP measures to non-GAAP measures:
Three Months Ended September 30,Nine Months Ended September 30,
2021202020212020
Total Expenses Excluding InterestNet IncomeTotal Expenses Excluding InterestNet IncomeTotal Expenses Excluding InterestNet IncomeTotal Expenses Excluding InterestNet Income
Total expenses excluding interest (GAAP),
  Net income (GAAP)
$2,559 $1,526 $1,559 $698 $8,122 $4,275 $4,691 $2,164 
Acquisition and integration-related costs (1)
(104)104 (42)42 (367)367 (160)160 
Amortization of acquired intangible assets(153)153 (25)25 (461)461 (43)43 
Income tax effects (2)
N/A(61)N/A(16)N/A(208)N/A(49)
Adjusted total expenses (non-GAAP),
  Adjusted net income (non-GAAP)
$2,302 $1,722 $1,492 $749 $7,294 $4,895 $4,488 $2,318 
(1) Acquisition and integration-related costs for the three and nine months ended September 30, 2021 primarily consist of $58 million and $227 million of compensation and benefits, $35 million and $99 million of professional services, and $7 million and $30 million of occupancy and equipment. Acquisition and integration-related costs for the three and nine months ended September 30, 2020 primarily consist of professional services and compensation and benefits.
(2) The income tax effects of the non-GAAP adjustments is determined using an effective tax rate reflecting the exclusion of non-deductible acquisition costs and is used to present the acquisition and integration-related costs and amortization of acquired intangible assets on an after-tax basis.
N/A Not applicable.
Three Months Ended September 30,Nine Months Ended September 30,
2021202020212020
Amount% of Total Net RevenuesAmount% of Total Net RevenuesAmount% of Total Net RevenuesAmount% of Total Net Revenues
Income before taxes on income (GAAP),
  Pre-tax profit margin (GAAP)
$2,011 44.0 %$889 36.3 %$5,690 41.2 %$2,824 37.6 %
Acquisition and integration-related costs104 2.3 %42 1.7 %367 2.7 %160 2.1 %
Amortization of acquired intangible assets153 3.3 %25 1.1 %461 3.3 %43 0.6 %
Adjusted income before taxes on income (non-GAAP),
  Adjusted pre-tax profit margin (non-GAAP)
$2,268 49.6 %$956 39.1 %$6,518 47.2 %$3,027 40.3 %

Three Months Ended September 30,Nine Months Ended September 30,
2021202020212020
AmountDiluted EPSAmountDiluted EPSAmountDiluted EPSAmountDiluted EPS
Net income available to common stockholders (GAAP),
  Earnings per common share — diluted (GAAP)
$1,406 $.74 $615 $.48 $3,911 $2.06 $1,993 $1.54 
Acquisition and integration-related costs104 .05 42 .03 367 .19 160 .12 
Amortization of acquired intangible assets153 .08 25 .02 461 .24 43 .03 
Income tax effects(61)(.03)(16)(.02)(208)(.10)(49)(.03)
Adjusted net income available to common stockholders
  (non-GAAP), Adjusted diluted EPS (non-GAAP)
$1,602 $.84 $666 $.51 $4,531 $2.39 $2,147 $1.66 

Three Months Ended September 30,Nine Months Ended September 30,
2021202020212020
Return on average common stockholders’ equity (GAAP)
12 %10 %11 %12 %
Average common stockholders’ equity
$47,492 $25,810 $47,908 $22,511 
Less: Average goodwill(11,952)(1,735)(11,952)(1,482)
Less: Average acquired intangible assets — net(9,609)(1,268)(9,762)(693)
Plus: Average deferred tax liabilities related to goodwill
and acquired intangible assets — net
1,895 67 1,913 67 
Average tangible common equity$27,826 $22,874 $28,107 $20,403 
Adjusted net income available to common stockholders (1)
$1,602 $666 $4,531 $2,147 
Return on tangible common equity (non-GAAP)23 %12 %21 %14 %
(1) See table above for the reconciliation of net income available to common stockholders to adjusted net income available to common stockholders (non-GAAP).
- 11 -
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Document and Entity Information
Oct. 15, 2021
Entity Information [Line Items]  
Document Type 8-K
Document Period End Date Oct. 15, 2021
Entity File Number 1-9700
Entity Registrant Name SCHWAB CHARLES CORP
Entity Incorporation, State or Country Code DE
Entity Tax Identification Number 94-3025021
Entity Address, Address Line One 3000 Schwab Way
Entity Address, City or Town Westlake
Entity Address, State or Province TX
Entity Address, Postal Zip Code 76262
City Area Code 817
Local Phone Number 859-5000
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Entity Emerging Growth Company false
Entity Central Index Key 0000316709
Amendment Flag false
Common Stock [Member]  
Entity Information [Line Items]  
Title of 12(b) Security Common Stock – $.01 par value per share
Trading Symbol SCHW
Security Exchange Name NYSE
Series D Preferred Stock [Member]  
Entity Information [Line Items]  
Title of 12(b) Security Depositary Shares, each representing a 1/40th ownership interest in a share of 5.95% Non-Cumulative Preferred Stock, Series D
Trading Symbol SCHW PrD
Security Exchange Name NYSE
Series J Preferred Stock [Member]  
Entity Information [Line Items]  
Title of 12(b) Security Depositary Shares, each representing a 1/40th ownership interest in a share of 4.450% Non-Cumulative Preferred Stock, Series J
Trading Symbol SCHW PrJ
Security Exchange Name NYSE

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