Ticker: GLW

Corning

Materials Technology Hardware, Equipment & Parts
Price 164.75
Reco Hold Potential 58 Risk 70 Updated 2026-09-09

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Description

Company and Business Model

Corning Incorporated is a technology company specializing in glass, ceramics, and related materials and technologies. Its core products include display glass for televisions and smartphones, optical fiber and cable, and specialty glass for various applications. Major business segments are Display Technologies, Optical Communications, Environmental Technologies, and Life Sciences. The primary revenue sources are from sales of display glass and optical communications products.

Investment Profile

The investment profile of Corning is more aligned with balanced investors, given its moderate dividend yield and stable revenue streams. The company exhibits characteristics suitable for those seeking a mix of growth and income, though it faces some risks related to market volatility and revenue fluctuations.

Fundamental metrics (experimental) Updated: 2026-09-05
EPS (TTM) — earnings per share for the last 12 months, $
2.21
Revenue QoQ — quarter-over-quarter revenue growth
8.7%
EPS surprise
3.3%
20d volatility
3.3%
Dividend yield
0.7%
last ex-date
2026-08-31
AI recommendation changes
Date Before After Reason
2026-08-29 Buy Hold Weak momentum and high risk; hold position advised.
2026-08-27 Hold Buy Positive EPS surprise, but mixed momentum signals.
2026-08-19 Buy Hold Weak momentum and high risk; cautious approach advised.
Analyst forecasts
Date Analyst Action Target Price Then
2026-08-02 Truist Financial Rating Upgraded — → 175 138.25
2026-07-29 Morgan Stanley Target Lowered 180 → 165 125.88
2026-07-29 Mizuho Securities Target Lowered 270 → 210 125.88
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