Corning (GLW)

16.14 +0.69  +4.47%  May 17, 8:00PM
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    GLW Total Returns Comparison

    This total returns chart shows the returns to an investor from both price appreciation and dividends (dividends are assumed to be reinvested). Corning is up 29.43% over the last year vs S&P 500 Total Return up 30.71%, ABB up 43.32%, and TE Connectivity up 49.93%.

    GLW Fundamentals

    Fundamental analysis of a business involves analyzing its financial statements and health, its management and competitive advantages. The key financial statements of a company are the income statement, balance sheet and cash flow statement.

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    GLW Profile

    Exchange: NYSE
    Sector: Technology
    Industry: Electronic Components

    Corning Incorporated is an American manufacturer of glass, ceramics and related materials, primarily for industrial and scientific applications. The company was known as Corning Glass Works until 1989, when it changed its name to Corning Incorporated. In 1998 Corning divested itself of its consumer lines of CorningWare and Corelle tableware and Pyrex cookware selling them to World Kitchen, but still holds an interest of about 8%. As of 2008 Corning had five major business sectors: Display Technologies, Environmental Technologies, Life Sciences, Telecommunications and Specialty Materials. Corning is also involved in several joint equity ventures, including Dow Corning and two companies, Quest Diagnostics and Covance, that were spun off from Corning. Corning Incorporated was founded in 1851 and is based in Corning, New York.

    Recent Quotes

    Symbol Price Chg Chg % Market Cap
    GLW 16.14 +0.69 +4.47% 23.77B
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