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AVGO vs GLW

AVGO
Broadcom Inc.
NEUTRAL
Price
$350.63
Market Cap
$1.66T
Sector
Technology
AI Confidence
85%
GLW
Corning Incorporated
NEUTRAL
Price
$82.06
Market Cap
$70.61B
Sector
Technology
AI Confidence
72%

Valuation

P/E Ratio
AVGO
68.48
GLW
52.6
Forward P/E
AVGO
19.65
GLW
35.52
P/B Ratio
AVGO
20.79
GLW
5.75
P/S Ratio
AVGO
24.35
GLW
4.73
EV/EBITDA
AVGO
46.0
GLW
23.1

Profitability

Gross Margin
AVGO
76.73%
GLW
35.98%
Operating Margin
AVGO
44.94%
GLW
14.56%
Profit Margin
AVGO
36.57%
GLW
9.16%
ROE
AVGO
33.37%
GLW
12.74%
ROA
AVGO
10.66%
GLW
4.42%

Growth

Revenue Growth
AVGO
29.5%
GLW
20.9%
Earnings Growth
AVGO
31.6%
GLW
--

Financial Health

Debt/Equity
AVGO
0.83
GLW
0.77
Current Ratio
AVGO
1.9
GLW
1.56
Quick Ratio
AVGO
1.67
GLW
0.74

Dividends

Dividend Yield
AVGO
0.74%
GLW
1.36%
Payout Ratio
AVGO
47.17%
GLW
71.79%

AI Verdict

AVGO NEUTRAL

Broadcom exhibits a dichotomy between elite operational performance and poor deterministic value metrics. While the Piotroski F-Score of 4/9 indicates stable health, the stock trades at a massive premium to its Graham Number ($44.08) and Intrinsic Value ($151.04). This valuation gap is partially justified by a very attractive PEG ratio (0.68) and strong forward P/E (19.65), suggesting high growth expectations. However, aggressive insider selling by the CEO and CFO, combined with a bearish technical trend, offsets the strong analyst 'strong_buy' consensus.

Strengths
Exceptional profitability with 76.73% gross margins and 44.94% operating margins
Strong growth trajectory with ~30% YoY increases in both revenue and earnings
Impressive earnings track record with consistent beats over 25 quarters
Risks
Severe overvaluation relative to defensive fair value (Graham Number)
Strong bearish insider sentiment with 14 sell transactions and 0 buys
Technical trend is currently 0/100 (Bearish)
GLW NEUTRAL

Corning Incorporated (GLW) trades at a premium valuation with strong recent price momentum—up 78.8% over the past year and 154.6% over five years—reflecting solid execution and cyclical tailwinds in display and optical communications. The company has delivered consistent earnings beats over the last four quarters, with accelerating YoY EPS growth of 24.1% and robust 20.9% revenue growth, outpacing the sector average. However, elevated valuation metrics, including a P/E of 52.60 and forward P/E of 35.52, imply significant optimism already priced in, while insider selling activity over the past six months raises caution. Relative to peers like TE Connectivity and Synopsys, GLW exhibits stronger growth than some but lags in profitability and return metrics, creating a mixed fundamental picture despite healthy balance sheet leverage and dividend stability.

Strengths
Revenue growth of 20.9% YoY outpaces the Technology sector average of 19.36% and peer group, indicating strong demand across key end markets.
Consistent earnings beat streak: 3 out of the last 4 quarters beat estimates, with an average surprise of 3.79% and accelerating YoY EPS growth of 24.1%.
Solid financial leverage profile with Debt/Equity of 0.77, in line with sector average of 0.78, suggesting prudent capital structure management.
Risks
Elevated valuation with P/E of 52.60 and Price/Book of 5.75, significantly above historical norms and implying limited margin of safety despite growth.
Weak profitability relative to peers: profit margin of 9.16% lags sector average of 18.03%, and ROE of 12.74% trails peer median, indicating lower capital efficiency.
Insider selling pressure: $18.17M in net insider sales over the last 6 months, including CFO and CTO transactions, signaling potential lack of confidence at the top.

Compare Another Pair

AVGO vs GLW: Head-to-Head Comparison

This page compares Broadcom Inc. (AVGO) and Corning Incorporated (GLW) across key fundamental metrics including valuation ratios, profitability margins, growth rates, financial health indicators, and dividend metrics. Each metric highlights the better-performing stock so you can quickly identify relative strengths and weaknesses.

Our AI engine independently analyzes each company's financials, competitive position, and market conditions to produce a verdict (Bullish, Neutral, or Bearish) along with key strengths and risks. Use this comparison alongside your own research to make informed investment decisions.

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