See Transactions Columns and Settings for directions on setting up your Transactions display.
Name | Description |
Date | The date the transaction occurred. For trade orders this reflects the date the order was filled. |
Action | This indicates whether a action was a Buy, Sell, Sell Short, or is left blank for monetary transactions. |
Quantity |
The number of stock or mutual fund shares bought, sold or sold short. For fixed income securities, this number reflects the face value of the security you bought or sold. For options, this reflects the number of option contracts you bought or sold. For monetary transactions, this field will display a dash (—). |
Symbol |
The unique 1-5 characters used to represent the security. Symbols are defined by the different markets or exchanges. Sometimes a security might not have a symbol, in which case, an internal Schwab reference # will be used. For monetary transactions, this field will display a zero. |
Description | This field provides a description of the security or an explanation of the transaction. |
Price | This indicates the price you paid or received for the purchase or sale of a unit of the security. For example, if you bought 10 shares of ABC at $90 a share, the price would be $90. For monetary transactions, this field will display $0.00. |
Amount | This indicates the total amount of the transaction. Numbers inside ( ) indicate money was deducted from your account. Numbers without the brackets mean money was deposited into your account. |
Commission | Displays the commission paid for a specific transaction. If no commission applied or if the trade was executed today, you will see an asterisk (*). |
Settlement Date | The date by which an executed securities transaction must be settled, either by paying for a purchase or by delivering a sold asset. In a regular-way delivery of stocks, the settlement date is usually trade day + 3 business days (T+3). |
Notes | If a symbol in the Transactions tab has a note associated with it in the Notes tool, the Notes icon ![]() |