CORNING INC (GLW) Stock Institutional Trading Activity


CORNING INC (GLW) position changes reported by tracked institutional filers across multiple SEC 13F reporting periods. Based on recent SEC 13F filings (Q4 2025), investors with some of the largest reported share count changes include Appaloosa Management, Olstein Capital Management, Mairs & Power Growth Fund, Cullen Value Fund, and Sequoia Financial Advisors. Explore insights into buying and selling patterns, position changes, and investment conviction levels to understand institutional trading behavior and market dynamics.

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Portfolio quarterNameTypeQuantityRemainingReported stock balance
Q4 2025Olstein Capital ManagementSell-15,50030,000$2,627
Q4 2025Mairs & Power Growth FundSell-2,27690,350$7,911,046
Q4 2025Appaloosa ManagementSell-54,8001,570,200$137,486,712
Q4 2025Cullen Value FundSell-1,65067,476$5,751,012
Q3 2025Olstein Capital ManagementSell-53,50045,500$3,732
Q3 2025Sequoia Financial AdvisorsBuy2,48539,915$3,274,247
Q3 2025Mairs & Power Growth FundSell-59492,626$7,598,111
Q3 2025Appaloosa ManagementSell-125,0001,625,000$133,298,750
Q3 2025Cullen Value FundSell-2,90269,126$5,776,172
Q2 2025Dodge & Cox Stock FundSell-70039,900$2,098,341
Q2 2025Olstein Capital ManagementSell-8,00099,000$5,206
Q2 2025Sequoia Financial AdvisorsBuy8,74337,430$1,968,464
Q2 2025Mairs & Power Growth FundBuy3,97593,220$4,902,440
Q2 2025Appaloosa ManagementBuy6,3711,750,000$92,032,500
Q2 2025Cullen Value FundSell-2,18772,028$3,787,967
Q1 2025Dodge & Cox Stock FundBuy15040,600$1,858,668
Q1 2025Olstein Capital ManagementSell-39,000107,000$4,898
Q1 2025Sequoia Financial AdvisorsBuy1,24828,687$1,313,287
Q1 2025Mairs & Power Growth FundSell-3,02589,245$4,085,636
Q1 2025Appaloosa ManagementBuy243,6291,743,629$79,823,336
Q1 2025Cullen Value FundSell-1,74374,215$3,397,552
Q4 2024Yacktman Asset ManagementSell-318,000852,000$40,487,040
Q4 2024Dodge & Cox Stock FundSell-2,00040,450$1,922,184
Q4 2024Olstein Capital ManagementSell-21,000146,000$6,938
Q4 2024Sequoia Financial AdvisorsBuy5,22027,439$1,303,886
Q4 2024Mairs & Power Growth FundSell-6,91692,270$4,384,670
Q4 2024Renaissance Technologies LLCBuy171,500309,800$14,721,696
Q4 2024Appaloosa ManagementBuy1,500,0001,500,000$71,280,000
Q4 2024Cullen Value FundSell-2875,958$3,609,516
Q3 2024Yacktman Asset ManagementSell-11,0001,170,000$52,825,500

Frequently asked questions about GLW activity

  • Which institutional owners are buying GLW?

    Institutional owners buying GLW include investors who have either initiated new positions or increased their existing holdings based on recent SEC 13F filings. The activity table above highlights which funds added shares in the latest reporting periods and how their positions changed over time.

  • What does "buy" mean in GLW activity?

    "Buy" means an investor increased their reported position in GLW compared to the prior reporting period. This reflects growing exposure to CORNING INC (GLW) rather than necessarily a brand-new position (though new positions also appear as buys when prior quantity was zero).

  • Is institutional interest in GLW increasing?

    Institutional interest in GLW can be assessed by comparing the number of tracked funds adding or increasing positions versus those trimming or exiting across the periods shown. A higher number of additions typically signals increasing participation among large filers, but it should be read alongside position sizes and the full table.