GLW - Corning Inc Stock Analysis

Corning Inc (GLW) is a publicly traded company listed on the Large. It operates in the Electronic Components industry, part of the broader Technology sector. The company has a market capitalization of 153.67B, generates annual revenue of 16.32B, and reports net income of 1.81B. As of the latest data, the stock is trading at 178.55 USD.

From a valuation and risk perspective, the stock presents the following profile: The stock is trading at a high valuation compared to the market average, suggesting investor optimism or growth expectations. The PEG ratio is within a normal range, suggesting the stock is fairly priced for its expected growth. The company maintains a healthy balance between debt and equity, which is typical for stable businesses. The dividend yield (0.66%) is modest, often associated with growth-oriented companies. The stock has average market volatility, aligning with general market movement.

Analyst recommendation stands at Hold (3.95), indicating current market sentiment. Institutional ownership is reported at 73.32%, reflecting confidence from large investors. Over the last 12 months, the stock has shown a performance of 270.28%, trading within a 52-week range of 47.40 - 211.79.

GLW - Corning Inc

178.55
Analyst Consensus
Hold 3.95
GLW – Analyst Rating Summary
Analyst Pie Chart
  • Strong Buy: 6
  • Buy: 8
  • Hold: 7
  • Sell: 0
  • Strong Sell: 0
  • Total Analysts:  21

Last update: 2026-05-19 04:39:54
Index: S&P 500 P/E: 85.70 EPS (ttm): 2.08 Insider Own: 8.23% Shs Outstand: 907.00M Perf Week: -13.91%
Market Cap: 153.67B Forward P/E: 42.21 EPS next Y: 4.23 Insider Trans: -0.65% Shs Float: 789.77M Perf Month: 8.62%
Income(ttm): 1.81B PEG: 1.38 EPS next Q: 0.76 Inst Own: 73.32% Short Float: 1.92% Perf Quarter: 36.80%
Revenue(ttm): 16.32B P/S: 9.42 EPS this Y: 26.62% Inst Trans: -1.49% Short Ratio: 1.14 Perf Half Y: 116.79%
Book/sh: 13.02 P/B: 13.71 EPS next Y: 32.56% ROA: 6.17% Short Interest: 15.16M Perf Year: 270.28%
Cash/sh: 2.07 P/C: 86.38 EPS next 5Y: 30.49% ROE: 16.07% 52W Range: 47.40 - 211.79 Perf YTD: 103.92%
Dividend Est.: 1.17 (0.66%) P/FCF: 102.44 EPS past 3/5Y: 6.07% 27.86% ROIC: 8.88% 52W High: 211.79 -15.69% Beta: 1.15
Dividend TTM: 1.12 (0.63%) Quick Ratio: 1.06 Sales past 3/5Y: 3.40% 6.68% Gross Margin: 35.64% 52W Low: 47.40 276.69% Perf 5Y: 311.60%
Dividend Ex-Date: May 29, 2026 Current Ratio: 1.61 EPS Y/Y TTM: 298.15% Oper. Margin: 16.13% RSI (14): 51.59 Volatility: 7.59% 6.56%
Employees: 67200 Debt/Eq: 0.84 Sales Y/Y TTM: 20.05% Profit Margin: 11.09% Recom: 1.90 Target Price: 204.62
Option/Short: Yes / Yes LT Debt/Eq: 0.73 EPS Q/Q: 134.97% Payout: 61.12% Rel Volume: 1.26 Prev Close: 191.81
Sales Surprise: 1.09% EPS Surprise: 1.19% Sales Q/Q: 20.05% Earnings: Apr 28 BMO Avg Volume: 13.32M Price: 178.55
SMA20: 0.91% SMA50: 12.95% SMA200: 66.18% Undervalued: 14.6%
Volume: 16,841,128 Change: -6.91%
Graham's revised valuation formula
Discounted cash flow (DCF) model
Margin of safety

About Corning Inc

Corning, Inc. engages in the provision of glass for notebook computers, flat panel desktop monitors, display televisions, and other information display applications, carrier network and enterprise network products for the telecommunications industry, ceramic substrates for gasoline and diesel engines in automotive and heavy-duty vehicle markets, laboratory products for the scientific community and polymer products for biotechnology applications, optical materials for the semiconductor industry and the scientific community, and polycrystalline silicon products and other technologies. It operates through the following segments: Optical Communications, Display, Specialty Materials, Automotive, and Life Sciences. The Optical Communications segment is classified into two main product groupings: carrier and enterprise network. The carrier network group consists of products and solutions for optical-based communications infrastructure for services such as video, data, and voice communications. The enterprise network group consists primarily of optical-based communication networks sold to businesses, governments, and individuals for their own use. The Display Technologies segment manufactures glass substrates for flat panel displays, including organic light-emitting diodes and liquid crystal displays that are used primarily in televisions, notebook computers, desktop monitors, tablets, and handheld devices. The Specialty Materials segment is involved in the manufacture of products that provide material formulations for glass, glass ceramics and crystals, and precision metrology instruments and software. The Automotive segment manufactures ceramic substrates and filter products for emissions control in mobile applications around the world as well as technical glass and optic products and solutions for the interior and exterior of vehicles. The Life Sciences segment develops, manufactures, and supplies laboratory products. The company was founded by Amory Houghton Sr. in 1851 and is headquartered in Corning, NY.

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