GLW

Corning Inc.
Electronic Components · Information Technology · as of 2026-08-19
Last close
$152.46
-4.7% on the session
1-year return
+135.2%
+15.9% over six months
Volatility
70.0%
annualized, trailing year
Max drawdown
-51.5%
worst peak to trough, 1y
What the numbers say

Corning Inc. is a electronic components name in the information technology sector. Over the past year it returned +135.2%, against -13.2% over three months and -6.1% over one. It trades 9.1% above its 200-day average, so the longer trend is confirming recent strength. Annualized volatility of 70.0% is very high — position sizing matters more here than the ranking does.

Its worst peak-to-trough decline over the year was -51.5%, and it has traded a median $2.0B a day — the figure that decides whether a position can actually be entered and exited at posted prices. Its daily moves correlate 0.51 with the S&P 500 proxy, so it follows the index loosely.

Where it ranks
Within Information Technology#63 of 72
Stronger than 13% of its sector on the momentum profile
Across the whole index#441 of 500

How GLW scores on all four profiles

Its standing on steadiness, defensiveness and rebound — plus the factor-by-factor breakdown behind each score, and its closest and least-correlated peers among 2 others in Electronic Components.

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Full metrics
1 day-4.7%
1 week-8.9%
1 month-6.1%
3 months-13.2%
6 months+15.9%
1 year+135.2%
12-1 momentum+150.6%
Volatility (1y, annualized)70.0%
Max drawdown (1y)-51.5%
Distance vs 200-day average+9.1%
Return per unit of risk1.93
Median daily dollar volume$2.0B
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Everything on this page is computed from daily adjusted closing prices. It contains no earnings, balance-sheet, guidance or ownership data, and it is not a valuation. Nothing here is tailored to your circumstances or a recommendation to buy or sell. Past performance does not predict future results.