Corning Incorporated
GLW Technology Hardware, Equipment & Parts NYSE
$85.97
+$0.52 (+0.61%)
Open: $85.58 | High: $86.70 | Low: $84.93 | Prev Close: $85.45
Market Cap: $73.71B
Volume: 4.2M | Avg: 7.8M
Last updated: December 05, 2025 at 10:02 PMInvestment Rating
Neutral
Overall Score: 60/100
Rating Breakdown:
Stock Score Analysis
Stock Score: 445
Comprehensive Quality Assessment
Component Breakdown:
Valuation Metrics
| P/E Ratio | 55.11 |
| P/B Ratio | 6.41 |
| P/S Ratio | 4.94 |
| EPS | $1.56 |
| Beta | 1.11 |
| Shares Outstanding | 857.36M |
| 52-Week High | $92.57 |
| 52-Week Low | $37.31 |
| SMA 50 | $84.64 |
| SMA 200 | $61.67 |
| Dividend Yield | 1.30% |
| Annual Dividend | $1.12 |
| Next Earnings | January 28, 2026 01:30 PM ET |
Financial Ratios
| Gross Margin | 35.7% |
| Operating Margin | 13.4% |
| Net Margin | 9.2% |
| ROE | 12.4% |
| ROA | 4.6% |
| Debt/Equity | 0.80 |
| Current Ratio | 1.56 |
| Quick Ratio | 1.00 |
Balance Sheet
| Total Assets | $27.73B |
| Total Liabilities | $16.66B |
| Total Equity | $10.69B |
| Cash | $1.77B |
| Total Debt | $8.09B |
| Net Debt | $6.32B |
Income Statement
| Revenue | $13.12B |
| Gross Profit | $4.28B |
| Operating Income | $1.14B |
| Net Income | $506.00M |
| EBITDA | $2.49B |
| Revenue/Share | $17.34 |
Cash Flow
| Operating CF | $1.94B |
| CapEx | $965.00M |
| Free Cash Flow | $974.00M |
| Book Value/Share | $13.96 |
| Tangible Book/Share | $10.27 |
| Equity/Share | $13.41 |
Technical Indicators
| RSI (14) | 58.67 Neutral |
| MACD |
-0.22
Signal: -0.45
|
| Volatility | 41.09% |
| Trading Signal | Bullish |
Performance & Returns
| 1 Year | +63.22% |
| Sharpe Ratio | 1.82 Good |
| Volatility (Ann.) | 35.82% Moderate |
| GLW (1Y) | +63.22% |
| S&P 500 (1Y) | +11.86% |
| Alpha (Excess Return) | +51.36% |
Sector Comparison (Technology)
| Metric | GLW | Sector Avg | Percentile |
|---|---|---|---|
| P/E Ratio | 55.11 | 49.84 | 76% |
| P/B Ratio | 6.41 | 2.61 | 49% |
| ROE (%) | 12.40% | 49.33% | 31% |
| Net Margin (%) | 9.16% | 17.76% | 21% |
| Stock Score | 445 | 519.0 | 13% |
| 1Y Return (%) | +63.22% | +14.15% | 87% |
Historical Price Analysis (Last 200 Days)
Technical Analysis
| Ticker | Close | SMA 5 | SMA 8 | SMA 13 | SMA 50 | SMA 200 | RSI (14) | MACD | Volatility (%) | Volume | Signal | SMA Decision |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| GLW | $85.97 | $83.96 | $83.62 | $82.26 | $84.64 | $61.67 | 58.67 | -0.22 | 41.09% | 8201900 | Strong Long | Bullish Stack |
Candlestick Patterns
There wasn't any recognizable pattern for the GLW stock
News Sentiment
| 📊 Ticker | 📰 Headline | 💭 Sentiment | 📡 Source | 🔗 URL |
|---|---|---|---|---|
| GLW | Corning Stock Rises 75.9% YTD: How to Play the Stock? | Positive | zacks.com | Read More |
| GLW | Corning Incorporated (NYSE:GLW) Receives Consensus Recommendation of “Moderate Buy” from Analysts | Neutral | defenseworld.net | Read More |
| GLW | Potentially 12%-15% Consistent Income: Monthly Options Series (December 2025) | Neutral | seekingalpha.com | Read More |
| GLW | Why Is Corning (GLW) Down 7.4% Since Last Earnings Report? | Neutral | zacks.com | Read More |
| GLW | JPMorgan Has 15 Ideas for 'Bargain Hunting' Tech Stock Investors | Positive | investopedia.com | Read More |
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 |
Similar Stocks (Technology - Hardware, Equipment & Parts)
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