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GLW - Corning Incorporated

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Corning Incorporated

GLW

NYSE

Corning Incorporated engages in display technologies, optical communications, environmental technologies, specialty materials, and life sciences businesses worldwide. The company's Display Technologies segment offers glass substrates for liquid crystal displays and organic light-emitting diodes used in televisions, notebook computers, desktop monitors, tablets, and handheld devices. Its Optical Communications segment provides optical fibers and cables; and hardware and equipment products, including cable assemblies, fiber optic hardware and connectors, optical components and couplers, closures, network interface devices, and other accessories. This segment also offers its products to businesses, governments, and individuals. Its Specialty Materials segment manufactures products that provide material formulations for glass, glass ceramics, crystals, precision metrology instruments, software; as well as ultra-thin and ultra-flat glass wafers, substrates, tinted sunglasses, and radiation shielding products. This segment serves various industries, including mobile consumer electronics, semiconductor equipment optics and consumables; aerospace and defense optics; radiation shielding products, sunglasses, and telecommunications components. The company's Environmental Technologies segment offers ceramic substrates and filter products for emissions control in mobile, gasoline, and diesel applications. The company's Life Sciences segment offers laboratory products comprising consumables, such as plastic vessels, liquid handling plastics, specialty surfaces, cell culture media, and serum, as well as general labware and equipment under the Corning, Falcon, Pyrex, and Axygen brands. The company was formerly known as Corning Glass Works and changed its name to Corning Incorporated in April 1989. Corning Incorporated was founded in 1851 and is headquartered in Corning, New York.

44.78 USD

0.4 (0.893%)

Earnings

00.10.20.30.40.50.62023 Q22023 Q32023 Q42024 Q12024 Q22024 Q32024 Q42025 Q1EPS Consensus

Dividends

01234567Mar 8, 1982Dec 11, 1984Aug 31, 1987Jun 5, 1990Mar 2, 1993Dec 14, 1995May 28, 1998Mar 1, 2001Nov 12, 2009Aug 29, 2012May 27, 2015Feb 27, 2018Nov 12, 2020Aug 30, 2023DividendAdjusted Dividend

Splits

00.511.522.53Feb 26, 1973Feb 13, 1985Feb 15, 1989Feb 11, 1992Oct 4, 2000

From:

To:

Date

Revenue

Earnings

Estimated Earnings

Surprise

2025-04-29

3.45B

0.54

0.51

6.51%

2025-01-29

3.5B

0.57

0.56

1.79%

2024-10-29

3.39B

0.54

0.53

2.66%

2024-07-30

3.25B

0.47

0.46

1.49%

2024-04-30

2.98B

0.38

0.35

8.02%

2024-01-30

2.99B

0.39

0.4

-2.50%

2023-10-24

3.17B

0.45

0.46

-2.17%

2023-07-25

3.24B

0.45

0.46

-2.17%

2023-04-25

3.18B

0.41

0.39

5.13%

2023-01-31

3.41B

0.47

0.44

6.82%

2022-10-25

3.49B

0.51

0.51

0.00%

2022-07-26

3.62B

0.57

0.56

1.79%

2022-04-26

3.68B

0.54

0.5

8.00%

2022-01-26

3.68B

0.54

0.52

3.85%

2021-10-26

3.62B

0.56

0.58

-3.45%

2021-07-27

3.5B

0.53

0.51

3.92%

2021-04-27

3.29B

0.45

0.42

7.14%

2021-01-27

3.35B

0.52

0.48

8.33%

2020-10-27

3B

0.43

0.38

13.16%

2020-07-28

2.56B

0.25

0.11

127.27%

2020-04-28

2.39B

0.2

0.17

17.65%

2020-01-29

2.82B

0.46

0.44

4.55%

2019-10-29

2.93B

0.44

0.4

10.00%

2019-07-30

2.94B

0.45

0.44

2.27%

2019-04-30

2.81B

0.4

0.39

2.56%

2019-01-29

3.04B

0.59

0.57

3.51%

2018-10-23

3.01B

0.51

0.48

6.25%

2018-07-25

2.75B

0.38

0.37

2.70%

2018-04-24

2.5B

0.31

0.3

3.33%

2018-01-30

2.64B

0.49

0.47

4.26%

2017-10-24

2.61B

0.43

0.41

4.88%

2017-07-26

2.5B

0.42

0.4

5.00%

2017-04-25

2.38B

0.39

0.35

11.43%

2017-01-24

2.48B

0.5

0.44

13.64%

2016-10-25

2.51B

0.42

0.38

10.53%

2016-07-27

2.36B

0.37

0.32

15.62%

2016-04-26

2.05B

0.28

0.28

0.00%

2016-01-26

2.23B

0.34

0.31

9.68%

2015-10-27

2.27B

0.34

0.34

0.00%

2015-07-28

2.34B

0.38

0.37

2.70%

2015-04-28

2.27B

0.35

0.34

2.94%

2015-01-27

2.4B

0.45

0.38

18.42%

2014-10-28

2.54B

0.4

0.37

8.11%

2014-07-29

2.48B

0.37

0.37

0.00%

2014-04-28

2.29B

0.31

0.3

3.33%

2014-01-28

1.96B

0.29

0.27

7.41%

2013-10-22

2.07B

0.33

0.32

3.13%

2013-07-30

1.98B

0.32

0.31

3.23%

2013-04-24

1.81B

0.3

0.24

25.00%

2013-01-29

2.15B

0.34

0.33

3.03%

2012-10-24

2.04B

0.34

0.32

6.25%

2012-07-25

1.91B

0.31

0.31

0.00%

2012-04-25

1.92B

0.3

0.28

7.14%

2012-01-25

1.89B

0.33

0.33

0.00%

2011-10-26

2.08B

0.48

0.41

17.07%

2011-07-27

2B

0.48

0.47

2.13%

2011-04-27

1.92B

0.47

0.44

6.82%

2011-01-25

1.76B

0.46

0.47

-2.13%

2010-11-01

1.6B

0.51

0.52

-1.92%

2010-07-28

1.71B

0.58

0.52

11.54%

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