Skip to content

AOCI at other companies

Charles Schwab Corporation logo
Charles Schwab CorporationSCHW
-$10.76B+21.0%
Morgan Stanley logo
Morgan StanleyMS
-$5.51B+7.6%
Coinbase Global, Inc. logo
Coinbase Global, Inc.COIN
-$13.31M+68.4%
SoFi Technologies, Inc. logo
SoFi Technologies, Inc.SOFI
-$2.74M-197%
Tradeweb Markets Inc. logo
Tradeweb Markets Inc.TW
$7.93M+538%
Interactive Brokers Group, Inc. logo
Interactive Brokers Group, Inc.IBKR

Other financials

Income statement

See full
Revenue$1.1B+15.1%
Net income$350.0M+4.2%
EPS (diluted)$0.38+2.7%

Balance sheet

See full
Cash & equivalents$11.8B+32.4%
Total debt$223.0M+65.2%
Total equity$9.7B+21.8%
Total assets$45.5B+65.3%

Cash flow

See full
Operating cash flow$2.0B+217%

Valuation

See full
Market cap$97.39B+69.3%
Enterprise value$85.79B+81.0%
P/E51.3×+15.2×
P/S21.1×+3.5×

Profitability

See full
Net margin41.1%-7.7pp

Returns & leverage

See full
Return on equity21.5%+0.1pp
Debt / equity0.0×
Current ratio1.2×-0.1×

Where this comes from

Reported directly by Robinhood Markets, Inc. in its filing.

Tagged under the XBRL concept us-gaap:AccumulatedOtherComprehensiveIncomeLossNetOfTax.

The official record: Robinhood Markets, Inc.’s 10-Q, filed April 29, 2026, on SEC EDGAR. View the filing →

Ask your AI about Robinhood Markets, Inc.'s aoci.

Connect your AI assistant and compare it to peers, right in your chat.

Connect your AI
Harbor at dusk
Claude

Questions, answered.

What is Robinhood Markets, Inc.'s AOCI?
Robinhood Markets, Inc. (HOOD) reported AOCI of $2M in Q1 2026.
What is the long-term trend for Robinhood Markets, Inc.'s AOCI?
Over 5 years (2020 to 2025), Robinhood Markets, Inc.'s AOCI has grown at a 76.1% compound annual growth rate (CAGR), from $473K to $8M.
What does AOCI mean?
Cumulative gains or losses that are recorded directly in equity rather than the income statement.
How do you interpret AOCI?
Positive values indicate unrealized gains in assets, while negative values indicate unrealized losses, impacting total book value.
How does AOCI compare across companies?
Common in financial institutions with large investment portfolios; peers will show variance based on interest rate environments.