MetaCap

Corning (GLW) vs Verizon Communications (VZ)

Head-to-head comparison of performance, valuation, growth, profitability and dividends. Prices delayed 15 minutes; data as of Oct 9, 2026.

Summary

Corning (GLW) has outperformed Verizon Communications (VZ) over the past year, gaining 75.5% versus a gain of 12.2%. Over five years, GLW leads with a +302.7% price change compared with -11.3% for VZ. Verizon Communications is the larger company by market cap ($192.57 billion vs $131.65 billion), about 1.5 times the size, while Corning is growing revenue faster (+19.1% vs +2.5%).

On valuation, Verizon Communications trades at a lower forward P/E (8.8x vs 35.0x for Corning). Verizon Communications offers the higher dividend yield (6.03% vs 0.73%). Verizon Communications converts more of its revenue into profit, with a net margin of 12.4% versus 10.2%.

Summary generated from market data by MetaCap's automated system. Methodology

Relative performance

GLW+75.53%VZ+12.17%
+204%+92%-21%
Oct 8, 20251 yearOct 8, 2026
GLW+311.28%VZ-12.94%
+522%+226%-69%
Oct 4, 20215 yearsOct 5, 2026

Percent change in share price from the first common trading day shown; excludes dividends.

Head-to-head

GLW versus VZ key metrics
MetricGLWVZ
Share price$152.83$46.35
Market cap$131.65B$192.57B
1-day change-6.38%+1.27%
YTD return+74.54%+13.80%
1-year return+75.53%+12.17%
5-year return+302.71%-11.33%
P/E ratio (TTM)70.1112.07
Forward P/E34.968.77
EPS (TTM)$2.18$3.84
Dividend yield0.73%6.03%
Annual dividend$1.12$2.80
Revenue (latest FY)$15.63B$138.19B
Revenue growth (YoY)+19.14%+2.52%
Net income (latest FY)$1.60B$17.17B
Gross margin35.97%—
Operating margin14.58%21.17%
Net margin10.21%12.43%
52-week high$271.78$51.68
52-week low$77.39$38.39
Distance from 52-week high-43.77%-10.31%
Analyst consensusbuybuy
Avg. price target upside+22.82%+10.29%
Average volume10.28M21.91M
Shares outstanding861.39M4.15B
Employees67,20097,600
SectorIndustrialsTelecommunications
IndustryTelecommunications EquipmentTelecommunications Equipment

Highlighted cells mark the higher value for growth, returns, margins and yield, and the lower value for P/E ratios. Highlighting is a mechanical comparison, not a recommendation.

Key differences

  • GLW has outperformed VZ by 63.4 percentage points over the past year.
  • Corning trades at a higher earnings multiple (70.1x vs 12.1x trailing P/E).
  • Verizon Communications offers a meaningfully higher dividend yield (6.03% vs 0.73%).
  • Corning grew revenue faster in its latest fiscal year (+19.14% vs +2.52%).
  • The two companies sit in different sectors: Corning in Industrials and Verizon Communications in Telecommunications.

About Corning

GLW stock →

Corning Incorporated operates in optical communications, display, specialty materials, automotive, and life sciences businesses in the United States, Canada, Mexico, Japan, Taiwan, China, South Korea, Germany, and internationally. The company provides optical fibers and cables; and hardware and equipment products, such as cable assemblies, fiber optic hardware and connectors, optical components and couplers, closures, network interface devices, and other accessories for the telecommunications industry, businesses, governments, and individuals.

Industrials · Telecommunications Equipment · 67,200 employees

About Verizon Communications

VZ stock →

Verizon Communications Inc., through its subsidiaries, engages in the provision of communications, technology, information, and streaming products and services to consumers, businesses, and governmental entities worldwide. It operates in two segments, Verizon Consumer Group (Consumer) and Verizon Business Group (Business).

Telecommunications · Telecommunications Equipment · 97,600 employees

GLW vs VZ FAQ

Which is bigger, Corning or Verizon Communications?

Verizon Communications (VZ) is larger, with a market capitalization of $192.57B compared with $131.65B for Corning (GLW).

Which stock has performed better over the past year, GLW or VZ?

GLW returned +75.53% over the past 12 months, compared with +12.17% for VZ (price return, excluding dividends). Past performance does not predict future results.

Which has the lower P/E ratio, GLW or VZ?

VZ has the lower trailing P/E at 12.1, versus 70.1 for GLW. A lower P/E is not by itself a sign of a better investment; it can reflect slower expected growth or higher risk.

Which pays a higher dividend, Corning or Verizon Communications?

Verizon Communications has the higher yield at 6.03%, compared with 0.73% for Corning.

Are Corning and Verizon Communications in the same industry?

Yes. Both are classified in the Telecommunications Equipment industry within the Industrials sector.

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