Corning Incorporated

GLW Technology Hardware, Equipment & Parts NYSE

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$123.31

$-11.43 (-8.48%)

Open: $129.44 | High: $132.08 | Low: $122.38 | Prev Close: $134.74

Market Cap: $105.79B

Volume: 17.2M | Avg: 9.4M

Last updated: March 09, 2026 at 02:02 AM
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This stock appears in the following dashboards:

Investment Rating
B-

Sell

Overall Score: 40/100


Rating Breakdown:
DCF Score 3/5
60%
Neutral
ROE Score 4/5
80%
Buy
ROA Score 4/5
80%
Buy
D/E Score 1/5
20%
Strong Sell
P/E Score 1/5
20%
Strong Sell
P/B Score 1/5
20%
Strong Sell

Stock Score Analysis
C

Stock Score: 591

Comprehensive Quality Assessment


Component Breakdown:
Efficiency 40
Financial Health 65
Growth 85
Market Sentiment 0
Risk 40
Lower is better
Valuation 6
Momentum 55

Valuation Metrics
Valuation Ratios
P/E Ratio 67.75
P/B Ratio 8.98
P/S Ratio 6.77
EPS $1.82
Beta 1.02
Shares Outstanding 857.95M

Price Range & Moving Averages
52-Week High $162.10
52-Week Low $37.31
SMA 50 $111.88
SMA 200 $80.63

Dividend Information
Dividend Yield 0.91%
Annual Dividend $1.12

Earnings
Next Earnings April 28, 2026 01:30 PM ET
Financial Ratios
Margins
Gross Margin 35.9%
Operating Margin 14.7%
Net Margin 10.2%

Returns
ROE 14.1%
ROA 5.2%

Liquidity & Leverage
Debt/Equity 0.87
Current Ratio 1.59
Quick Ratio 1.04
Balance Sheet
Total Assets $30.98B
Total Liabilities $18.67B
Total Equity $11.81B

Cash $1.53B
Total Debt $10.22B
Net Debt $8.70B
Income Statement
Revenue $15.63B
Gross Profit $5.51B
Operating Income $2.33B
Net Income $1.60B

EBITDA $3.73B
Revenue/Share $18.17
Cash Flow
Operating CF $2.69B
CapEx $1.28B
Free Cash Flow $1.41B

Book Value/Share $14.31
Tangible Book/Share $10.65
Equity/Share $13.73
Technical Indicators
RSI (14) 48.63 Neutral
MACD
9.01 Signal: 11.47
Volatility 88.06%
Trading Signal Bearish
Performance & Returns
Total Returns
1 Year +156.2%

Risk-Adjusted Returns
Sharpe Ratio 2.87 Excellent
Volatility (Ann.) 45.55% High Risk

vs S&P 500 (SPY)
GLW (1Y) +156.2%
S&P 500 (1Y) +13.03%
Alpha (Excess Return) +143.17%
Sector Comparison (Technology)
Compared to 66 peers in Technology
Metric GLW Sector Avg Percentile
P/E Ratio 67.75 18.84 85%
P/B Ratio 8.98 12.23 60%
ROE (%) 14.13% 25.62% 39%
Net Margin (%) 10.21% 17.83% 27%
Stock Score 591 547.0 64%
1Y Return (%) +156.20 % +19.12 % 94%
Percentile: 0% = worst in sector, 100% = best in sector
📊 Historical Price Analysis (Last 200 Days)
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Technical Analysis
Ticker Close SMA 5 SMA 8 SMA 13 SMA 50 SMA 200 RSI (14) MACD Volatility (%) Volume Signal SMA Decision
GLW $123.31 $144.11 $147.68 $144.66 $112.80 $81.06 48.63 9.01 88.06% 5571065 Weak Short Price Below SMAs
Candlestick Patterns

There wasn't any recognizable pattern for the GLW stock

News Sentiment
📊 Ticker 📰 Headline 💭 Sentiment 📡 Source 🔗 URL
GLW Corning (GLW) is a Top-Ranked Growth Stock: Should You Buy? Positive zacks.com Read More
GLW Corning Could Hit $144 by End of 2026 — BofA Sees $10.3B Scale-Out Revenue as the Catalyst Neutral 247wallst.com Read More
GLW Corning Expands AI Data Center Portfolio: Will it Drive Growth? Positive zacks.com Read More
GLW AI Demand, Institutions Keep Corning Flying Neutral fxempire.com Read More
GLW GLW Gains From Strength in Specialty Materials: Will it Sustain? Positive zacks.com Read More
Recent Insider Trading

No recent insider trading data available for GLW

Company Information

Corning Incorporated engages in display technologies, optical communications, environmental technologies, specialty materials, and life sciences businesses worldwide. The company's Display Technologies segment offers glass substrates for liquid crystal displays and organic light-emitting diodes used in televisions, notebook computers, desktop monitors, tablets, and handheld devices. Its Optical Communications segment provides optical fibers and cables; and hardware and equipment products, including cable assemblies, fiber optic hardware and connectors, optical components and couplers, closures, network interface devices, and other accessories. This segment also offers its products to businesses, governments, and individuals. Its Specialty Materials segment manufactures products that provide material formulations for glass, glass ceramics, crystals, precision metrology instruments, software; as well as ultra-thin and ultra-flat glass wafers, substrates, tinted sunglasses, and radiation shielding products. This segment serves various industries, including mobile consumer electronics, semiconductor equipment optics and consumables; aerospace and defense optics; radiation shielding products, sunglasses, and telecommunications components. The company's Environmental Technologies segment offers ceramic substrates and filter products for emissions control in mobile, gasoline, and diesel applications. The company's Life Sciences segment offers laboratory products comprising consumables, such as plastic vessels, liquid handling plastics, specialty surfaces, cell culture media, and serum, as well as general labware and equipment under the Corning, Falcon, Pyrex, and Axygen brands. The company was formerly known as Corning Glass Works and changed its name to Corning Incorporated in April 1989. Corning Incorporated was founded in 1851 and is headquartered in Corning, New York.


CEO Wendell Weeks
Employees 56300
Country US
IPO Date 1981-12-31
Exchange NYSE
Website https://www.corning.com
Sector Technology
Industry Hardware, Equipment & Parts
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Rating Metrics Explained
DCF Score (Discounted Cash Flow)

Measures the intrinsic value of the stock based on projected future cash flows. A higher score indicates the stock is undervalued relative to its DCF valuation.

ROE Score (Return on Equity)

Evaluates how efficiently a company generates profit from shareholders' equity. Higher ROE indicates better profitability and management effectiveness.

ROA Score (Return on Assets)

Measures how efficiently a company uses its assets to generate profit. A higher ROA means better asset utilization and operational efficiency.

D/E Score (Debt-to-Equity)

Assesses the company's financial leverage and risk. Lower debt-to-equity ratios indicate less financial risk and better balance sheet health.

P/E Score (Price-to-Earnings)

Compares stock price to earnings per share. A lower P/E ratio may indicate the stock is undervalued, while a higher ratio could suggest overvaluation or growth expectations.

P/B Score (Price-to-Book)

Compares market price to book value per share. Lower P/B ratios may indicate undervaluation relative to the company's net asset value.


Rating Recommendations:

Each metric is scored on a scale of 1-5, where the scores are determined by comparing the company's performance against industry benchmarks and historical data:

  • Strong Buy (5/5): Excellent score - strong positive indicator
    • The metric significantly outperforms industry averages (top 20% of companies)
    • Indicates exceptional financial health or attractive valuation in that category
  • Buy (4/5): Good score - positive indicator
    • Above-average performance (top 40% of companies)
    • Shows strong fundamentals with room for improvement
  • Neutral (3/5): Average score - neutral indicator
    • Performance in line with industry median (middle 20%)
    • Neither significantly positive nor negative signal
  • Sell (2/5): Below average - negative indicator
    • Below-average performance (bottom 40% of companies)
    • Suggests weakness in this particular metric
  • Strong Sell (1/5): Poor score - strong negative indicator
    • Significantly underperforms industry (bottom 20%)
    • Indicates potential risk or overvaluation in that category
Note: The overall rating combines all six component scores to provide a comprehensive investment assessment. No single metric should be used in isolation for investment decisions.