Point72 Asset Management’s Corning GLW Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$24.6M Sell
181,100
-20,900
-10% -$2.52M 0.03% 700
2025
Q4
$17.7M Buy
+202,000
New +$17.4M 0.02% 981
2024
Q2
Sell
-89,600
Closed -$2.95M 2078
2024
Q1
$2.95M Sell
89,600
-200
-0.2% -$6.37K 0.01% 1136
2023
Q4
$2.73M Sell
89,800
-1,200
-1% -$34.3K 0.01% 1108
2023
Q3
$2.77M Sell
91,000
-8,400
-8% -$275K 0.01% 1056
2023
Q2
$3.48M Buy
99,400
+48,500
+95% +$1.59M 0.01% 926
2023
Q1
$1.8M Buy
50,900
+15,200
+43% +$529K 0.01% 997
2022
Q4
$1.14M Buy
35,700
+10,100
+39% +$328K ﹤0.01% 1026
2022
Q3
$743K Buy
25,600
+2,900
+13% +$98.2K ﹤0.01% 1108
2022
Q2
$715K Buy
+22,700
New +$782K ﹤0.01% 1141

Other funds holding GLW

Point72 Asset Management's GLW Position: Q1 2026 in Review

Point72 Asset Management reduced its Corning (GLW) stake by 77% in Q1 2026, selling an estimated $115M and leaving 282,136 shares worth $38.4M. The position accounts for 0.05% of the portfolio, ranked #486.

Point72 Asset Management first reported a position in GLW in Q4 2015 and has held it in 14 quarters since. The position peaked at $232M in Q1 2025. 2,243 funds tracked by Wall St. Rank hold GLW as of Q1 2026.

  • Point72 Asset Management held 282,136 shares of Corning worth $38.4M as of Q1 2026.
  • Point72 Asset Management sold 952,860 Corning shares in Q1 2026, an estimated $115M.
  • Corning made up 0.05% of Point72 Asset Management's portfolio in Q1 2026, its #486 holding.
  • Point72 Asset Management first reported a position in Corning in Q4 2015 and has held it in 14 quarters since.
  • Point72 Asset Management's Corning position peaked at $232M in Q1 2025.
  • 2,243 funds tracked by Wall St. Rank held Corning as of Q1 2026.

Based on Point72 Asset Management's 13F filing for Q1 2026, filed 15 May 2026.