CORNING INC /NY - Common Stock, par value $0.50 per share (GLW)

Historical Holders from Q1 2014 to Q3 2025

Symbol
GLW on NYSE
Type / Class
Equity / Common Stock, par value $0.50 per share
Shares outstanding
856M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
623M
Holdings value
$51.1B
% of all portfolios
0.063%
Grand Portfolio weight change
+0%
Number of holders
1711
Number of buys
817
Number of sells
-731
Average Value change %
0%
Average buys %
+0.009%
Average sells %
-0.012%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of CORNING INC /NY - Common Stock, par value $0.50 per share (GLW)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Samsung Display Co., Ltd. 7.94% -4.5% $4.35B -$192M 68M -4.23% Samsung Display Co., Ltd. 20 Aug 2025

Institutional Holders of CORNING INC /NY - Common Stock, par value $0.50 per share (GLW)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 623M $51.1B +$212M $82.03 1,711
2025 Q2 627M $33B +$840M $52.59 1,520
2025 Q1 612M $28B -$173M $45.78 1,446
2024 Q4 615M $29.2B +$88.4M $47.52 1,459
2024 Q3 609M $27.5B -$512M $45.15 1,344
2024 Q2 623M $24.2B +$734M $38.85 1,265
2024 Q1 607M $20B +$372M $32.96 1,182
2023 Q4 594M $18.1B +$391M $30.45 1,179
2023 Q3 581M $17.7B -$168M $30.47 1,128
2023 Q2 585M $20.5B -$53.2M $35.04 1,142
2023 Q1 585M $20.6B +$286M $35.28 1,161
2022 Q4 580M $18.5B +$66.2M $31.94 1,147
2022 Q3 581M $16.9B -$436M $29.02 1,092
2022 Q2 586M $18.5B +$391M $31.51 1,108
2022 Q1 577M $21.3B -$169M $36.91 1,172
2021 Q4 582M $21.7B -$256M $37.23 1,162
2021 Q3 588M $21.4B +$286M $36.49 1,105
2021 Q2 579M $23.7B -$79.6M $40.90 1,129
2021 Q1 581M $25.3B +$337M $43.51 1,105
2020 Q4 574M $20.7B -$82.9M $36.00 1,045
2020 Q3 576M $18.7B -$263M $32.41 933
2020 Q2 584M $15.2B +$562M $25.90 882
2020 Q1 564M $11.6B -$249M $20.54 874
2019 Q4 572M $16.6B +$80.2M $29.11 983
2019 Q3 573M $16.3B +$265M $28.52 941
2019 Q2 563M $18.7B +$292M $33.23 995
2019 Q1 561M $18.6B -$117M $33.10 1,039
2018 Q4 565M $17.1B +$65.5M $30.21 999
2018 Q3 561M $19.8B -$175M $35.30 982
2018 Q2 579M $15.9B -$329M $27.51 931
2018 Q1 590M $16.5B -$1.06B $27.88 980
2017 Q4 629M $20.1B -$326M $31.99 1,043
2017 Q3 637M $19.1B -$497M $29.92 958
2017 Q2 653M $19.6B -$567M $30.05 973
2017 Q1 679M $18.3B +$1.11B $27.00 951
2016 Q4 693M $16.8B -$1.16B $24.27 920
2016 Q3 739M $17.5B -$748M $23.65 846
2016 Q2 774M $15.9B -$434M $20.48 809
2016 Q1 796M $16.6B -$2.02B $20.89 823
2015 Q4 893M $16.3B -$841M $18.28 831
2015 Q3 935M $16B -$330M $17.12 821
2015 Q2 967M $19.1B -$110M $19.73 875
2015 Q1 968M $22B -$61.6M $22.68 879
2014 Q4 971M $22.3B +$340M $22.93 873
2014 Q3 955M $18.5B -$97.8M $19.34 806
2014 Q2 953M $20.9B -$675M $21.95 826
2014 Q1 985M $20.5B -$685M $20.82 813