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GLW vs KKR Comparison

Compare GLW & KKR Stocks: Price Trends, ML Decisions, Charts, Trends, Technical Analysis and more.

Logo Corning Incorporated

GLW

Corning Incorporated

HOLD

Current Price

$177.18

Market Cap

149.7B

Sector

Industrials

ML Signal

HOLD

Logo KKR & Co. Inc.

KKR

KKR & Co. Inc.

HOLD

Current Price

$95.29

Market Cap

85.1B

Sector

Finance

ML Signal

HOLD

Company Overview

Basic Information
Metric
GLW
KKR
Founded
1851
1976
Country
United States
United States
Employees
N/A
4200
Industry
Telecommunications Equipment
Investment Managers
Sector
Industrials
Finance
Exchange
Nasdaq
Nasdaq
Market Cap
149.7B
85.1B
IPO Year
2008
N/A

Fundamental Metrics

Financial Performance
Metric
GLW
KKR
Price
$177.18
$95.29
Analyst Decision
Buy
Buy
Analyst Count
12
13
Target Price
$146.91
$132.85
AVG Volume (30 Days)
10.2M
4.0M
Earning Date
04-28-2026
05-05-2026
Dividend Yield
0.74%
0.75%
EPS Growth
215.52
N/A
EPS
0.43
N/A
Revenue
$15,629,000,000.00
N/A
Revenue This Year
$20.74
N/A
Revenue Next Year
$12.80
$25.41
P/E Ratio
$391.35
$44.27
Revenue Growth
19.14
N/A
52 Week Low
$49.47
$82.67
52 Week High
$211.79
$153.87

Technical Indicators

Market Signals
Indicator
GLW
KKR
Relative Strength Index (RSI) 47.73 48.05
Support Level $171.11 $85.25
Resistance Level $177.92 $98.79
Average True Range (ATR) 11.93 3.37
MACD -3.11 0.17
Stochastic Oscillator 26.07 66.46

Price Performance

Historical Comparison
GLW
KKR

About GLW Corning Incorporated

Corning is a provider of glass, ceramics, and optical fiber across six distinct end markets. Corning's largest segments by revenue are display glass for TVs and optical fiber for telecom networks and data centers. It also provides cover glass for smartphones as well as filters and substrates and glass for cars, produces pharmaceutical glass, and produces polysilicon for solar panels. Corning is a US producer and is vertically integrated across its products and markets.

About KKR KKR & Co. Inc.

KKR is one of the world's largest alternative asset managers, with $723.2 billion in total managed assets, including $585.0 billion in fee-earning AUM, at the end of September 2025. The company has two core segments: asset management (which includes private markets-private equity, credit, infrastructure, energy, and real estate-and public markets-primarily credit and hedge/investment fund platforms) and insurance (following the firm's initial investment in, and then ultimate purchase of, Global Atlantic Financial Group, which is engaged in retirement/annuity and life insurance lines as well as reinsurance).

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