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Corning Incorporated GLW

Technology · Electronic Components · United States · S&P 500

61
Profitability
49
Growth
63
Valuation
9
Financial strength
82
Momentum
100

Based on the available data, Corning Incorporated gets an algorithmic score of 61/100. It trades at 158.71 $, with a bullish technical trend (RSI 53.2) and 72.5% annual volatility.

Updated: 2026-09-30

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Strengths

  • Meaningful dividend (71.00%).

Weaknesses

  • High beta (1.51): amplifies index moves.

Fundamentals

P/E69.92
Forward P/E36.37
PEG0.95
P/B11.45
EV/EBITDA35.29
P/S8.04
ROE %16.81
ROA %5.37
Gross margin %36.39
Operating margin %15.65
Net margin %11.20
Revenue growth % (y/y)16.60
Earnings growth % (y/y)18.50
Revenue CAGR %3.27
Earnings CAGR %6.64
Debt/Equity %71.45
Current ratio1.81
FCF yield %1.04
Dividend yield %71.00
Payout %51.61

Returns

1 month+6.7 %
3 months-37.8 %
6 months+23.9 %
YTD+76.0 %
1 year+101.8 %
3 years+441.3 %
5 years+382.1 %

Risk

1-year volatility72.5 %
Beta1.51
5-year max drawdown-51.5 %
Sharpe 1A1.27

Macroeconomic context

Highly sensitive to interest rates (valued on future cash flows): rate cuts and falling bond yields help it. It depends on the corporate investment cycle (AI/cloud capex), the semiconductor supply chain (Taiwan/China) and the dollar (foreign revenue). As a US company, its valuation depends on the Fed, 10-year Treasury yields and the US earnings cycle.

How the score is calculated

The score combines profitability (ROE, ROA, net margin), growth (revenue and earnings), valuation (P/E, EV/EBITDA, free cash flow), financial strength (debt and liquidity; not applied to banks and insurers) and momentum (6 and 12-month returns and trend). It is an educational quantitative filter, not a buy or sell recommendation.

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