Schwab Surges 2.3% Amid Record Earnings and Tariff-Driven Momentum
Generated by AI AgentTickerSnipe
Friday, Jul 18, 2025 11:14 am ET2min read
SCHW--AI-Driven Trading Signals - 24/7 Market Opportunities. Ultra-Timely & Actionable - Translate events directly into clear portfolio strategies. Diverse Assets Coverage - Options, 0DTE, ETFs, and Cryptos.
Summary
• Charles SchwabSCHW-- (SCHW) jumps 2.3% to $95.26, hitting a 52-week high of $97.50
• Q2 revenue grows 25% YoY to $5.85B, with adjusted EPS soaring 56% to $1.14
• Tariff-related trading activity and $80.3B in core net new assets drive optimism
The Charles Schwab Corporation (SCHW) is surging amid a blockbuster earnings report, fueled by 25% revenue growth and a record $1.14 adjusted EPS. With trading volumes up 38% and $80.3B in core net new assets, Schwab is capitalizing on tariff-driven market volatility. The stock trades near its 52-week high, with bulls eyeing a potential breakout above $97.50.
Tariff-Driven Trading Surge and Record Earnings Fuel Schwab's Rally
Schwab's 2.3% intraday gain is directly tied to its Q2 results, which showed a 60% year-over-year profit jump driven by $2.8B in capital returns and a 31% surge in core net new assets. The firm capitalized on heightened trading activity around Trump-era tariff speculation, with margin balances flat at $83.4B and daily average trades rising 38% YoY. Management highlighted $10.4B in reduced high-cost funding and a 23% trading revenue increase as key drivers, aligning with broader market optimism about Schwab's diversified revenue model.
Options Playbook: High-Leverage Calls and Strategic Strikes
• 200-day MA: 79.62 (well below current price)
• 30-day MA: 90.12 (support level)
• RSI: 68.08 (neutral, not overbought)
• MACD: 1.21 (bullish divergence from signal line)
• Bollinger Bands: Price at 95.26 (above middle band at 91.09)
Schwab’s technicals suggest a continuation of its bullish trend, with key support at the 91.09 Bollinger middle band and resistance near the 97.50 52-week high. The RSI remains in neutral territory, while the MACD histogram shows positive divergence, reinforcing the case for a breakout. With $80.3B in core net new assets and rising trading volumes, Schwab’s fundamentals support a short-to-midterm rally.
Top Option 1: SCHW20250725C95
• Code: SCHW20250725C95
• Type: Call
• Strike: 95
• Expiry: July 25
• IV: 23.65% (moderate)
• LVR: 66.08% (high leverage)
• Delta: 0.5332 (balanced sensitivity)
• Theta: -0.2874 (strong time decay)
• Gamma: 0.1193 (high price sensitivity)
• Turnover: 107,898 (liquid)
This call offers a 66% leverage ratio and 23.65% implied volatility, ideal for a 5% upside scenario where payoff would be $2.38 (max(0, 95.26*1.05 - 95)). The high gamma ensures responsiveness to price swings, while the moderate IV balances risk/reward.
Top Option 2: SCHW20250725C96
• Code: SCHW20250725C96
• Type: Call
• Strike: 96
• Expiry: July 25
• IV: 23.28% (moderate)
• LVR: 99.11% (very high leverage)
• Delta: 0.4130 (moderate sensitivity)
• Theta: -0.2391 (strong time decay)
• Gamma: 0.1187 (high price sensitivity)
• Turnover: 53,903 (liquid)
This contract provides a 99% leverage ratio and 23.28% IV, with a 5% upside payoff of $2.76 (max(0, 95.26*1.05 - 96)). The high gamma and moderate delta make it ideal for capturing Schwab’s near-term momentum. Aggressive bulls may consider SCHW20250725C96 into a breakout above $96.
Backtest The Charles Schwab Stock Performance
The backtest of the Schwab U.S. Broad Market ETF (SCHW) after an intraday percentage change greater than 2% shows mixed results. While the 3-day win rate is 49.14%, the 10-day win rate is slightly higher at 51.81%, and the 30-day win rate is also positive at 51.81%, the returns over these periods are relatively modest, with a maximum return of only 0.26% over 30 days. This suggests that while SCHW has a decent chance of positive returns following a 2% intraday surge, the overall impact on long-term performance is muted.
Schwab's Bullish Momentum: Key Levels to Watch for Sustained Gains
Schwab’s rally is underpinned by strong fundamentals and technicals, with the 91.09 Bollinger middle band and 90.11 30-day MA acting as critical support levels. A sustained close above $97.50 would validate a breakout, while a pullback to $91.09 could reignite buying. Sector leader JPMorgan ChaseJPM-- (JPM) is up 0.15%, offering a benchmark for broader market sentiment. Investors should monitor Schwab’s options liquidity and the 95.26 price level for potential entry points. For immediate action, consider the SCHW20250725C95 call as a core position into the July 25 expiration.
• Charles SchwabSCHW-- (SCHW) jumps 2.3% to $95.26, hitting a 52-week high of $97.50
• Q2 revenue grows 25% YoY to $5.85B, with adjusted EPS soaring 56% to $1.14
• Tariff-related trading activity and $80.3B in core net new assets drive optimism
The Charles Schwab Corporation (SCHW) is surging amid a blockbuster earnings report, fueled by 25% revenue growth and a record $1.14 adjusted EPS. With trading volumes up 38% and $80.3B in core net new assets, Schwab is capitalizing on tariff-driven market volatility. The stock trades near its 52-week high, with bulls eyeing a potential breakout above $97.50.
Tariff-Driven Trading Surge and Record Earnings Fuel Schwab's Rally
Schwab's 2.3% intraday gain is directly tied to its Q2 results, which showed a 60% year-over-year profit jump driven by $2.8B in capital returns and a 31% surge in core net new assets. The firm capitalized on heightened trading activity around Trump-era tariff speculation, with margin balances flat at $83.4B and daily average trades rising 38% YoY. Management highlighted $10.4B in reduced high-cost funding and a 23% trading revenue increase as key drivers, aligning with broader market optimism about Schwab's diversified revenue model.
Options Playbook: High-Leverage Calls and Strategic Strikes
• 200-day MA: 79.62 (well below current price)
• 30-day MA: 90.12 (support level)
• RSI: 68.08 (neutral, not overbought)
• MACD: 1.21 (bullish divergence from signal line)
• Bollinger Bands: Price at 95.26 (above middle band at 91.09)
Schwab’s technicals suggest a continuation of its bullish trend, with key support at the 91.09 Bollinger middle band and resistance near the 97.50 52-week high. The RSI remains in neutral territory, while the MACD histogram shows positive divergence, reinforcing the case for a breakout. With $80.3B in core net new assets and rising trading volumes, Schwab’s fundamentals support a short-to-midterm rally.
Top Option 1: SCHW20250725C95
• Code: SCHW20250725C95
• Type: Call
• Strike: 95
• Expiry: July 25
• IV: 23.65% (moderate)
• LVR: 66.08% (high leverage)
• Delta: 0.5332 (balanced sensitivity)
• Theta: -0.2874 (strong time decay)
• Gamma: 0.1193 (high price sensitivity)
• Turnover: 107,898 (liquid)
This call offers a 66% leverage ratio and 23.65% implied volatility, ideal for a 5% upside scenario where payoff would be $2.38 (max(0, 95.26*1.05 - 95)). The high gamma ensures responsiveness to price swings, while the moderate IV balances risk/reward.
Top Option 2: SCHW20250725C96
• Code: SCHW20250725C96
• Type: Call
• Strike: 96
• Expiry: July 25
• IV: 23.28% (moderate)
• LVR: 99.11% (very high leverage)
• Delta: 0.4130 (moderate sensitivity)
• Theta: -0.2391 (strong time decay)
• Gamma: 0.1187 (high price sensitivity)
• Turnover: 53,903 (liquid)
This contract provides a 99% leverage ratio and 23.28% IV, with a 5% upside payoff of $2.76 (max(0, 95.26*1.05 - 96)). The high gamma and moderate delta make it ideal for capturing Schwab’s near-term momentum. Aggressive bulls may consider SCHW20250725C96 into a breakout above $96.
Backtest The Charles Schwab Stock Performance
The backtest of the Schwab U.S. Broad Market ETF (SCHW) after an intraday percentage change greater than 2% shows mixed results. While the 3-day win rate is 49.14%, the 10-day win rate is slightly higher at 51.81%, and the 30-day win rate is also positive at 51.81%, the returns over these periods are relatively modest, with a maximum return of only 0.26% over 30 days. This suggests that while SCHW has a decent chance of positive returns following a 2% intraday surge, the overall impact on long-term performance is muted.
Schwab's Bullish Momentum: Key Levels to Watch for Sustained Gains
Schwab’s rally is underpinned by strong fundamentals and technicals, with the 91.09 Bollinger middle band and 90.11 30-day MA acting as critical support levels. A sustained close above $97.50 would validate a breakout, while a pullback to $91.09 could reignite buying. Sector leader JPMorgan ChaseJPM-- (JPM) is up 0.15%, offering a benchmark for broader market sentiment. Investors should monitor Schwab’s options liquidity and the 95.26 price level for potential entry points. For immediate action, consider the SCHW20250725C95 call as a core position into the July 25 expiration.
TickerSnipe ofrece análisis profesional de las acciones a nivel diario, utilizando herramientas técnicas para ayudarte a comprender las tendencias del mercado y aprovechar las oportunidades de comercio a corto plazo.
Latest Articles
Unlock Market-Moving Insights.
Subscribe to PRO Articles.
Already have an account? Sign in
Unlock Market-Moving Insights.
Subscribe to PRO Articles.
Already have an account? Sign in
Stay ahead of the market.
Get curated U.S. market news, insights and key dates delivered to your inbox.
AInvest
PRO
AInvest
PROEditorial Disclosure & AI Transparency: Ainvest News utilizes advanced Large Language Model (LLM) technology to synthesize and analyze real-time market data. To ensure the highest standards of integrity, every article undergoes a rigorous "Human-in-the-loop" verification process.
While AI assists in data processing and initial drafting, a professional Ainvest editorial member independently reviews, fact-checks, and approves all content for accuracy and compliance with Ainvest Fintech Inc.’s editorial standards. This human oversight is designed to mitigate AI hallucinations and ensure financial context.
Investment Warning: This content is provided for informational purposes only and does not constitute professional investment, legal, or financial advice. Markets involve inherent risks. Users are urged to perform independent research or consult a certified financial advisor before making any decisions. Ainvest Fintech Inc. disclaims all liability for actions taken based on this information. Found an error?Report an Issue
Summary