Competition by GLW's Divisions
(Most recent Quarter in Millions of $)
Select the Relationship:
Select the Category:
COMPANY NAME
TICKER
DIVISION NAME
REVENUE
INCOME
MARGIN
Corning Inc
GLW
Telecommunications
800.0
77.0
9.63 %
Adtran Holdings Inc
ADTN
Total
272.2
-75.6
-
AKTS
Total
7.5
-23.3
-
Alpine 4 Holdings Inc
ALPP
Total
25.4
-41.0
-
Amplitech Group Inc
AMPG
Total
2.3
-4.7
-
Amphenol Corporation
APH
Cable Products
81.4
10.2
12.53 %
Audiocodes ltd
AUDC
Total
244.4
8.8
3.59 %
Broadcom Inc
AVGO
Total
13,072.0
-1,875.0
-
Avid Technology Inc
AVID
Total
91.0
-7.3
-
Belden Inc
BDC
Total
604.3
49.0
8.11 %
Ciena Corp
CIEN
Total
942.3
14.2
1.51 %
Clearfield Inc
CLFD
Total
48.7
-0.4
-
Commscope Holding Company Inc
COMM
Total
1,599.2
-828.7
-
Credo Technology Group Holding Ltd
CRDO
Total
59.3
-9.5
-
Cisco Systems Inc
CSCO
Routers
1,793.0
0.0
-
Dupont De Nemours Inc
DD
Electronic & Communication Technologies
532.0
5.0
0.94 %
Digi International Inc
DGII
Total
105.2
9.7
9.22 %
Amdocs Limited
DOX
Total
4,887.6
543.0
11.11 %
Eastman Chemical Co
EMN
SP segment
315.0
38.0
12.06 %
Eastman Chemical Co
EMN
Advanced Materials
624.0
98.0
15.71 %
Franklin Wireless Corp
FKWL
Total
6.2
-1.3
-
Harmonic Inc
HLIT
Total
138.5
-12.5
-
IEHC
Total
7.1
0.4
5.53 %
Infinera Corporation
INFN
Total
342.6
-48.3
-
Juniper Networks Inc
JNPR
Infrastructure
925.4
0.0
-
Kaman Corporation
KAMN
Total
203.1
1.2
0.61 %
Lumentum Holdings Inc
LITE
Total
287.3
-125.0
-
3m Company
MMM
Electro & Communications
1,378.0
342.0
24.82 %
Marvell Technology Inc
MRVL
Total
1,272.6
-47.1
-
Motorola Solutions inc
MSI
Enterprise
600.0
57.0
9.5 %
Motorola Solutions inc
MSI
Products
867.0
171.0
19.72 %
Materion Corporation
MTRN
Total
425.9
19.0
4.47 %
Macom Technology Solutions Holdings Inc
MTSI
Total
190.5
19.9
10.47 %
Maxlinear Inc
MXL
Total
91.2
-39.3
-
Netgear Inc
NTGR
Total
196.9
-84.8
-
Nve Corp
NVEC
Total
6.8
4.1
60.41 %
Optical Cable Corporation
OCC
Total
15.9
-1.6
-
Okta Inc
OKTA
Total
646.0
29.0
4.49 %
On Semiconductor Corporation
ON
Total
1,735.0
338.4
19.5 %
Preformed Line Products Company
PLPC
Total
160.1
15.1
9.46 %
Pixelworks Inc
PXLW
Total
8.5
-10.4
-
Qorvo Inc
QRVO
Total
886.7
1.1
0.13 %
Quicklogic Corp
QUIK
Total
4.1
-1.6
-
R F Industries Ltd
RFIL
Total
15.8
-4.3
-
Silicom Ltd
SILC
Total
124.1
-26.4
-
Semtech Corp
SMTC
Total
214.5
-170.3
-
Skyworks Solutions Inc
SWKS
Total
905.1
120.9
13.36 %
Te Connectivity Ltd
TEL
Network Solutions
684.0
51.0
7.46 %
Transphorm Inc
TGAN
Total
4.1
-2.7
-
Viavi Solutions Inc
VIAV
Total
252.6
-21.7
-
Encore Wire Corp
WIRE
Total
632.0
63.3
10.01 %
Wolfspeed Inc
WOLF
Total
201.4
-573.0
-
APROX. MARKET
SUBTOTAL
39,536
-1,949
-
COMPANY NAME
TICKER
DIVISION NAME
REVENUE
INCOME
MARGIN
Corning Inc
GLW
Display technologies
789.0
303.0
38.4 %
Applied Materials Inc
AMAT
Display
151.0
25.0
16.56 %
Dupont De Nemours Inc
DD
Electronic & Communication Technologies
532.0
5.0
0.94 %
Dish Network Corporation
DISH
Total
3,568.3
-211.8
-
Dow Inc
DOW
Electronic & Specialty Materials
1,108.0
289.0
26.08 %
Gilat Satellite Networks Ltd
GILT
Total
266.1
23.5
8.83 %
Honeywell International Inc
HON
Specialty Materials
2,220.0
461.0
20.77 %
Matthews International Corp
MATW
Total
426.8
1.8
0.42 %
3m Company
MMM
Display & Graphics
910.0
152.0
16.7 %
3m Company
MMM
Safety & Graphics
1,417.0
324.0
22.87 %
Viasat Inc
VSAT
Total
1,225.4
-765.8
-
APROX. MARKET
SUBTOTAL
12,614
607
4.81 %
COMPANY NAME
TICKER
DIVISION NAME
REVENUE
INCOME
MARGIN
Corning Inc
GLW
Environmental technologies
260.0
46.0
17.69 %
Allison Transmission Holdings Inc
ALSN
Total
736.0
158.0
21.47 %
Borgwarner Inc
BWA
Total
3,603.0
317.0
8.8 %
Cummins Inc
CMI
Filtration & Other
1,543.0
123.0
7.97 %
Dover Corp
DOV
Fluid Solutions
352.0
0.0
-
Dover Corp
DOV
Total Fluid Management
585.0
144.3
24.67 %
Emerson Electric Co
EMR
Appliance Tools
502.0
111.0
22.11 %
Franklin Electric Co Inc
FELE
Total
542.8
59.3
10.93 %
Idex Corp
IEX
Total
807.2
141.2
17.49 %
Itt Inc
ITT
Motion Technologies
179.9
0.0
-
Standard Motor Products Inc
SMP
Total
389.4
17.4
4.47 %
Gentherm Incorporated
THRM
Total
365.2
15.8
4.34 %
Advanced Drainage Systems Inc
WMS
Total
815.3
162.3
19.91 %
APROX. MARKET
SUBTOTAL
10,681
1,295
12.13 %
COMPANY NAME
TICKER
DIVISION NAME
REVENUE
INCOME
MARGIN
Corning Inc
GLW
Life sciences
211.0
18.0
8.53 %
Agilent Technologies inc
A
Bio-analytical Measurement
511.0
95.0
18.59 %
Helen Of Troy Limited
HELE
Total
416.1
6.2
1.49 %
Honeywell International Inc
HON
Specialty Materials
2,220.0
461.0
20.77 %
3m Company
MMM
Health Care
1,346.0
432.0
32.1 %
Piedmont Lithium Inc
PLL
Total Life Sciences
364.3
93.9
25.78 %
Thermo Fisher Scientific Inc
TMO
Life & Laboratory Sciences
1,640.9
236.4
14.41 %
Thermo Fisher Scientific Inc
TMO
Life Sciences Solutions
1,080.4
332.7
30.79 %
Thermo Fisher Scientific Inc
TMO
Laboratory Sciences
1,638.2
249.6
15.24 %
APROX. MARKET
SUBTOTAL
9,428
1,925
20.42 %
COMPANY NAME
TICKER
DIVISION NAME
REVENUE
INCOME
MARGIN
Corning Inc
GLW
Total
3,251.0
122.0
3.75 %
ONDS
Total
1.0
-0.4
-
APROX. MARKET
SUBTOTAL
3,252
122
3.74 %
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