GLW · NYSE · STOCK
Corning (GLW) Stock Analysis
$149.83
52W $65.09 – $271.78
57/100
$129.03B
67.8
1.15
⚠
Buy rating, but near-term risk/reward is unfavorable
The long-term recommendation is based on the composite investment score. The near-term risk/reward is based on nearby support and resistance levels. These can differ when a strong company trades close to resistance with support further below.
Is GLW Bullish or Bearish?
Bullish.
Innellis AI committee rates Corning Inc. (GLW) Buy with a composite score of 57/100
, based on 6 analysts with 50% agreement.
Last updated August 23, 2026.
What Would Change This View
- Upgrade to Strong Buy
- Requires a committee score of 75.0 — +18.24 from today. Applies on the first day at or above the line; upgrades are never dampened.
- Downgrade to Watch
- Requires the score to fall below 55.0 — -1.76 from today. The band boundary is 60.0, but a one-step downgrade must clear a further margin first. A score oscillating around the line should not change the rating every night.
Executive Summary
The committee is genuinely divided. Growth Analyst sees a compelling case — eps growing 131.2% yoy. Risk Analyst remains cautious — bollinger bandwidth of 35.1% signals elevated volatility. This disagreement is itself the signal — the setup is not clean in either direction.
Bull & Bear Case
Bull Case
- ROE of 15.9% shows genuine earnings power backing the valuation — Value
- Dividend yield of 4.0% pays you to wait — Value
- EPS growing 131.2% YoY — Growth
- 3 consecutive earnings beats -- consistent execution — Growth
- Quarter-over-quarter growth rate is ACCELERATING, not just positive — Growth
- MACD histogram positive -- bullish momentum — Technical
Bear Case
- P/E of 75.0 is expensive by classic value standards — Value
- Price-to-book of 6.4x prices in significant intangible value — Value
- Bollinger bandwidth of 35.1% signals elevated volatility — Risk
Both cases are generated from quantitative data signals, not qualitative or
forward-looking judgement. They summarise what the numbers say today.
Price History (6M)
AI Investment Committee
Committee Consensus
As of August 23, 2026
Overall Committee Score
57/100
Agreement
50%
Analysts
6
Conviction
Contested
Sector Rank
Top 58%
of 287 Technology peers
Value Analyst
neutral
42
/ 100 · Moderate confidence
Fair value -- neither a bargain nor obviously overpriced
+ ROE of 15.9% shows genuine earnings power backing the valuation
− P/E of 75.0 is expensive by classic value standards
Growth Analyst
bullish
79
/ 100 · High confidence
Strong, accelerating growth with consistent execution
+ EPS growing 131.2% YoY
Technical Analyst
neutral
58
/ 100 · High confidence
Mixed or range-bound price action
+ MACD histogram positive -- bullish momentum
Risk Analyst
bearish
35
/ 100 · Low confidence
Elevated risk from leverage, volatility, event exposure, or portfolio concentration -- size accordingly
− Bollinger bandwidth of 35.1% signals elevated volatility
Macro Analyst
bullish
65
/ 100 · Low confidence
Macro backdrop is supportive of risk assets generally, and this name's beta works in its favor
News Analyst
bullish
62
/ 100 · Low confidence
News flow and recent filings/analyst actions are net positive
Portfolio Manager
neutral
45
/ 100 · High confidence
Portfolio-level factors are mixed -- worth a deliberate sizing decision, not a default-size position
+ Portfolio position concentration is currently healthy
− Sector concentration is already high (HHI 3069.37)
Investment Thesis Evolution
Committee score moved marginally from 56.8 to 56.8.
Comparing 2026-08-22 to 2026-08-23 (1 day apart).
Technical Analysis
RSI (14)
40.9
Neutral
MACD Histogram
0.757
Bullish Momentum
Trend Direction
Sideways
Weekly: Uptrend
Market Structure
Mixed
Support
$84.00
Resistance
$162.07
Bollinger %B
0.45
Inside Bands
Price vs Moving Averages
EMA 9
$156.54
Below
EMA 21
$158.67
Below
EMA 50
$165.88
Below
EMA 200
$144.35
Above
Fundamental Analysis
Valuation
33
Growth
84
Profitability
54
Financial Health
86
Cash Flow
70
Valuation
P/E Ratio
67.8×
P/B Ratio
10.26×
PEG Ratio
0.51
Dividend Yield
0.75%
52W High
$271.78
52W Low
$65.09
Quality & Growth
ROE
1351.7%
ROA
515.2%
Gross Margin
3632.4%
Operating Margin
1546.8%
Revenue Growth YoY
—
Debt / Equity
0.75
AI Fundamental Assessment
P/E ratio of 67.8 (rich relative to a 15-40x range); Price-to-book of 10.3x; PEG ratio of 0.5 (under 1.0 suggests growth is undervalued relative to price); Return on equity of 13.5%; Return on assets of 5.2%; Net margin of 11.2%; Gross margin of 36.3%; Current ratio of 1.81 (healthy short-term liquidity); Debt-to-equity of 0.75; Free cash flow per share is positive (2.78); Most recent quarter beat estimates by 2.2%; 3 consecutive earnings beats; EPS growth accelerating (-2.8% -> +11.4% QoQ); Average YoY EPS growth of 30.0%; Analyst estimates rising over recent quarters
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