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NYSE · TECHNOLOGY · Statistics

Corning Incorporated valuation and key ratios.

Valuation, profitability, balance-sheet health, and risk metrics for GLW — each field resolved through TECHi's unified market-data layer.

Valuation

Market cap
$152.83B
Enterprise value
$160.93B
P/E (TTM)
85.38
Forward P/E
55.87
PEG ratio
1.39
Lower = cheaper for the growth
Price / sales
9.36
Price / book
12.94
EPS (TTM)
$2.08

Long-run compounding

CAGR since IPO and aggregate price growth.

Adjusted daily closes are annualized from the provider's historical price series; dividends are not included in this price-only return view.

CAGR since IPO
9.17%
From first adjusted close on November 1, 1999
Aggregate CAGR
99.81%
1Y, 3Y, 5Y, 10Y blended CAGR
First tracked close
$17.23
November 1, 1999
History span
27 yrs
Nov 1, 1999 to Jun 5, 2026 · 6,689 closes
Latest tracked close
$177.58
June 5, 2026
All-time high
$211.46
May 13, 2026
All-time low
$0.72
October 8, 2002
History source
Full range
Market data feed

Valuation map

P/E (TTM)85.38
Forward P/E55.87
Price / sales9.36
Price / book12.94

Risk and scale

Beta (5Y)1.16

More volatile than the market

Debt / equity0.76
Current ratio1.61

Pro formula stack

Ratios investors search for after the headline quote.

These are TECHi-computed from overview, income statement, balance sheet, and cash-flow rows when the market-data feed exposes the ingredients.

EV / revenue
9.86
Enterprise value / TTM revenue
EV / EBITDA
41.19
Enterprise value / EBITDA
FCF yield
0.98%
TTM free cash flow / market cap
Earnings yield
1.17%
Inverse P/E
Rule of 40
29.19%
Revenue growth + FCF margin
ROIC approx.
11.02%
NOPAT / invested capital
CROIC
7.88%
FCF / invested capital
TECHi quality score
7 / 7
7-point profitability, cash, leverage, and trend check

Quality and capital returns

FCF margin9.19%

TTM free cash flow / TTM revenue

FCF conversion0.83

TTM FCF / TTM net income

Gross profit / assets19.00%

Gross-profit productivity screen

Sales yield10.68%

TTM revenue / market cap

Balance-sheet and reinvestment reads

Net debt / EBITDA1.85

0.00 means net cash

Debt / FCF5.98

Total debt / TTM FCF

R&D / revenue6.85%

Tech-stock reinvestment intensity

CapEx / revenue8.61%

Capital intensity of the business

Distress and optionality read

GLW Altman Z-score: 6.52.

TECHi computes a non-financial-company Altman-style score from working capital, retained earnings, EBIT, market value, liabilities, revenue, and assets. It is not a bankruptcy prediction, but it gives pro readers a fast stress screen that most quote pages do not show beside live valuation metrics.

Altman Z-score
6.52
Higher = stronger stress profile
Net cash / share
$-8.39
Cash minus debt, per share
Working capital
$3.61B
Current assets minus current liabilities
Debt growth YoY
+10.06%
Latest quarter vs same quarter last year

Valuation read

GLW trades at 85.38× trailing earnings.

A trailing P/E above 30 means the market is paying up for GLW. That premium has to be earned with above-average revenue or earnings growth — pair this with the forward P/E (55.87) and the PEG ratio (1.39) before forming a view.

Profitability

Gross margin
36.38%
Operating margin
15.70%
Net margin
11.10%
Return on equity
16.70%
Return on assets
5.38%
Debt / equity
0.76
Current ratio
1.61
>1 = covers near-term liabilities
Beta (5Y)
1.16

Margin profile

Gross margin36.38%
Operating margin15.70%
Net margin11.10%
Return on equity16.70%

Profitability read

GLW converts 11.1% of revenue into net income.

Margins in the high single-digits to high-teens are the bulk of the index. The differentiated reads here are operating-margin direction (improving = leverage) and ROE — the latter tells you how much equity capital management actually needs.

Per-share & range

Dividend yield
0.57%
Forward yield
Shares outstanding
860.64M
52w high
$211.47
52w low
$48.94

Corporate actions

Stock split history

Market data feed

Latest split
3-for-1
October 4, 2000
Split events
1
Latest split date
Oct 4, 2000
Split source
Provider
Market data feed
DateSplitMultiplier
October 4, 20003-for-13.00

Provider and filing fields

Company statistics fields

TECHi resolves these from the strongest available provider, then falls back to official SEC filing facts and live quote-derived formulas when provider APIs go empty.

Revenue (TTM)
$16.32B
Market data feed
Gross profit (TTM)
$5.94B
Market data feed
EBITDA
$3.91B
Market data feed
Book value
$13.02
Market data feed
Revenue / share
$19.08
Market data feed
Earnings growth YoY
138.90%
Market data feed
Revenue growth YoY
20.00%
Market data feed
50-day average
$170.78
Market data feed
200-day average
$114.25
Market data feed
Dividend / share
$1.12
Market data feed
Dividend date
June 29, 2026
Market data feed
Ex-dividend date
May 29, 2026
Market data feed

Frequently asked

Common questions.

What is Corning Incorporated's market cap?

Corning Incorporated (GLW) has a market capitalization of $152.8 billion, computed from the latest share count and the live GLW quote price on TECHi.

What is GLW's P/E ratio?

GLW trades at a trailing P/E of 85.38. Forward P/E and PEG are visible alongside on the Statistics page; compare to the sector cohort on /quote/GLW/peers/.

Where do TECHi's GLW statistics come from?

Each metric on the GLW Statistics page is resolved through TECHi's unified market-data layer and displayed only when the underlying field is available or can be computed cleanly.

How current is the GLW statistics page?

Live quote-derived stats (52-week range, current ratio, beta) refresh every market session; reported fundamentals (margins, ROE, debt-to-equity) update each time the issuer files a new statement.