eastman kodak stock — investor guide
Eastman Kodak Company (KODK) — stock
This article explains eastman kodak stock (NYSE: KODK) for investors and traders. In the sections below you will find a concise summary of what the equity represents, listing and trading details, material corporate events and catalysts that moved the share price, typical financial and ownership metrics, practical places to track the ticker, and the main risks investors should weigh. The presentation is neutral, beginner‑friendly, and points you to official filings and market data for real‑time figures.
Note: eastman kodak stock appears frequently in this article as the core topic. Prices, market‑cap, float, and short‑interest change daily — always confirm current numbers from company investor relations, SEC filings, and market data services before making decisions.
Quick facts / infobox summary
- Ticker: KODK (commonly quoted as NYSE: KODK)
- Security type: Common stock (U.S. equity)
- Exchange: New York Stock Exchange (NYSE)
- ISIN: US2774611095 (verify in official filings)
- Typical data sources: Eastman Kodak investor relations, SEC EDGAR filings, major market data sites and broker platforms
- Sector / industry: Industrials / Imaging, Advanced Materials & Specialty Chemicals, Brand Licensing
- Headquarters: Rochester, New York, U.S.
- Founded: 1888 (Eastman Kodak Company founding year)
- Website: official Kodak investor relations page (consult company IR for current filings and figures)
As of the most recent company statements and market‑data providers, values such as market capitalization, daily trading volume, shares outstanding, and float vary frequently. As of June 2024, investors routinely consult Yahoo Finance, TradingView, MarketWatch, and company SEC filings for current numeric values.
Company overview (context for the stock)
The equity known as eastman kodak stock represents ownership in Eastman Kodak Company, a long‑established U.S. company historically known for photography products. Today the company operates in several areas relevant to investors:
- Imaging and printing products and services (traditional photographic paper and films, specialty inks and printing supplies).
- Advanced materials and chemicals used in industrial and commercial processes.
- Brand licensing for consumer products that use the Kodak name.
- Diversified business activities including components and services for commercial printing and packaging.
The company's strategic shifts — from legacy consumer photography toward industrial materials, licensing and specialty chemicals — are central to how analysts and investors evaluate eastman kodak stock. Corporate strategy, patent positions, contract wins, and larger macro demand for printing and specialty materials can affect revenue and, therefore, the equity's fundamentals.
Listing and trading information
eastman kodak stock trades on the New York Stock Exchange under the ticker KODK. Regular market hours follow NYSE schedules, with pre‑market and after‑hours trading available through many broker platforms. Retail and institutional traders can view live quotes and historical charts on major market data services.
Typical considerations for traders:
- Liquidity: trading liquidity for KODK can vary considerably depending on market interest; average daily volume is tracked on most market‑data sites and can spike dramatically during news events.
- Quotes and delays: different providers show real‑time or delayed quotes; retail platforms and data services indicate whether feeds are real‑time or delayed.
- Options: KODK typically has listed equity options; availability and liquidity should be checked on your trading platform.
For users who prefer a single platform to access trading and wallet services, Bitget provides a user interface for equities exposure via available trading instruments and for managing digital assets through Bitget Wallet (where applicable for tokenized products). Always confirm which instruments are available in your jurisdiction.
Historical stock performance
eastman kodak stock has a long and volatile market history that reflects the company's structural transformation, significant corporate events, and episodic speculative interest.
- Long term: The company's operating footprint and corporate restructuring have produced multiple phases of valuation and share‑price rebasings over decades.
- Volatility: KODK has experienced sharp price moves during specific corporate announcements and during episodes of speculative retail interest. These price moves can cause large gaps between intraday highs and lows and inflate short‑term volume.
- Historical charts: daily and long‑term charts are available on major data services like Macrotrends, Yahoo Finance, MarketWatch, and TradingView for researchers and traders.
Notable price episodes and volatility
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2012–2013 bankruptcy and reorganization: Kodak's well‑known financial restructuring and chapter 11 proceedings in the early 2010s materially affected its equity structure and investor perception.
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July–August 2020 government contract/loan announcement: eastman kodak stock experienced a sharp spike following a U.S. government–backed loan announcement for Kodak to support pharmaceutical manufacturing; the episode produced dramatic intraday volatility and intense media coverage. As of July 28, 2020, financial press reported that the stock price jumped many multiples intraday on the news.
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Post‑announcement scrutiny: the 2020 spike led to regulatory and media scrutiny, and trading patterns normalized after the announcements and subsequent investigations were publicized. Media reports at the time documented regulatory inquiries and questions about disclosure and insider trading around the announcement.
These episodes illustrate how corporate news, government contracts, regulatory actions, and retail investor interest can combine to produce outsized short‑term moves in eastman kodak stock.
Major corporate events and catalysts affecting the stock
Investors in eastman kodak stock should track corporate developments that historically moved the price. These include:
- Government contracts or loans: announcements of material government‑backed loans or contracts can be major catalysts. The 2020 pharmaceutical‑manufacturing loan announcement is a prominent example.
- Earnings releases: quarterly and annual results, and accompanying guidance, drive fundamental reassessments.
- Balance‑sheet and pension transactions: one‑time accounting gains or liabilities related to pensions can materially affect reported equity and cash available to shareholders.
- Capital structure changes: debt refinancing, equity issuances, buybacks, or share consolidations can change per‑share metrics and market sentiment.
- Legal and regulatory developments: investigations, fines, or litigation outcomes affect perceived governance and legal risk.
Pension reversion / pension‑related transactions
Eastman Kodak has engaged in pension‑related actions that have affected reported financials and investor perception. Pension termination, reversion, or lump‑sum annuity purchases are the kinds of transactions that can create one‑time cash outflows or accounting adjustments. Such transactions are disclosed in SEC filings and company press releases. Investors should consult the company’s most recent Form 10‑K or Form 10‑Q and related pension footnotes for quantifiable impacts.
As an example of how these items are disclosed: As of mid‑2024, investors monitoring Kodak’s filings should look for pension settlement disclosures that specify the cash requirements and accounting treatment; such details are necessary for understanding balance‑sheet effects and reported earnings volatility.
Legal, regulatory, and insider‑trading matters
Regulatory scrutiny and investigations have featured in past episodes that affected eastman kodak stock. The 2020 government‑loan announcement was followed by public and regulatory attention. Press reports and regulatory filings at the time documented related inquiries. These events historically influence market sentiment and trading behavior.
Investors should search SEC filings and authoritative press reports for any named enforcement actions, insider trading cases, or regulatory findings relevant to KODK.
Financials and fundamentals
Where to find financials:
- Primary source: Eastman Kodak’s SEC filings (Form 10‑K for annual reports, Form 10‑Q for quarterly reports, and current reports on Form 8‑K for material events). These are the definitive sources for revenue, net income, earnings per share, and balance‑sheet data.
- Market data providers: Yahoo Finance, MarketWatch, TradingView, and Macrotrends summarize historical income statements and key ratios.
Typical fundamentals to monitor for eastman kodak stock:
- Revenue: the company reports revenue by segment and region; trends reflect demand in printing, materials, and licensing.
- Profitability: Kodak has experienced profitability swings; net income and operating margins can move with one‑time items and cyclical demand.
- EPS and valuation multiples: the P/E ratio may be not meaningful in periods of negative earnings; investors often look at EV/EBITDA or adjusted metrics.
- Cash flow and liquidity: free cash flow and cash on hand are relevant given past restructuring and pension exposures.
All current numerical values should be validated against the latest 10‑Q or 10‑K and the company’s investor‑relations updates.
Ownership, float and short interest
Ownership profile for eastman kodak stock typically includes a mix of institutional holders and retail investors, with periodic surges in retail participation during high‑news periods.
- Institutional ownership: reported on major data sites and in proxy filings; institutions often hold a measurable percentage of outstanding shares but that proportion can change.
- Retail participation: episodes of speculative interest have increased retail ownership and trading volume in the past.
- Float and shares outstanding: the public float and total shares outstanding are available in company filings and market data services. Low float or concentrated holdings can amplify price moves.
- Short interest: short interest (shares sold short and not yet covered) is reported bi‑monthly by exchanges and is tracked by data providers; elevated short interest can contribute to heightened volatility.
Investors should verify ownership and short‑interest metrics on a recent data provider snapshot and review the date of the reported figures.
Dividends and corporate actions
- Dividends: Eastman Kodak’s dividend policy has varied historically. At times the company has suspended or not paid regular dividends; investors should consult the latest company announcements and dividend history in SEC filings.
- Corporate actions: stock splits, reverse splits, repurchases, and issuances are material events disclosed in SEC filings. Significant capital raises or equity issuances can dilute existing shareholders and are important to monitor.
For concrete historical reference points: the company’s proxy statements and Form 8‑K filings list board‑approved buybacks or other equity actions.
Analyst coverage and market sentiment
Analyst coverage of eastman kodak stock tends to be limited compared with large‑cap industrials, and coverage levels can fluctuate. Analysts who cover the company may publish ratings, price targets, and earnings models.
Market sentiment is also shaped by retail forums, social platforms, and message boards, which in past episodes have amplified short‑term trading activity. Platforms where retail investors discuss KODK have at times contributed to intraday momentum.
Investors should balance analyst reports and retail sentiment with primary filings and audited financial statements.
Trading instruments and derivatives
- Options: KODK typically has listed options; liquidity varies and can rise during heightened interest. Options traders use calls and puts to express directional views or implement hedges.
- Shorting: the stock can be shorted where available, subject to borrow availability and margin rules. Short interest reports provide a periodic snapshot of aggregate short positions.
- Margin and leveraged products: retail traders should understand margin requirements and the elevated risk of leverage on a volatile stock like KODK.
If you trade derivatives, verify listing, contract specifications, and liquidity on your chosen trading platform. Bitget provides trading infrastructure for a range of instruments and user interfaces for order execution — check Bitget for available services in your jurisdiction.
Risks and investment considerations
This section summarizes the principal risks commonly associated with eastman kodak stock. It is not investment advice; it is a neutral list of items investors and traders typically evaluate:
- Business model risk: shifts in demand for legacy products or failure to grow new business segments can pressure revenues.
- Balance‑sheet and pension risk: material pension liabilities or one‑time settlement costs can affect liquidity and reported earnings.
- Regulatory and legal risk: investigations, enforcement actions, or litigation can affect operations and investor confidence.
- Volatility and retail‑driven spikes: the stock has a history of episodic volatility; short‑term price movements can be extreme.
- Liquidity and float concentration: low public float or concentrated holdings may increase price sensitivity to trades.
- Macro and sector risk: general economic conditions, cyclicality in industrial demand, and supply‑chain factors can affect performance.
Investors should review the company’s risk disclosures in the Form 10‑K and subsequent filings for a comprehensive, authoritative list of risks.
Historical timeline (selected)
- 1888 — Eastman Kodak Company founded in Rochester, NY.
- 2012 — Kodak entered Chapter 11 bankruptcy protection as part of a restructuring of legacy photographic business operations.
- 2013 — Kodak completed its restructuring and emerged from bankruptcy with a new operating focus and revised capital structure.
- July 2020 — As of July 28, 2020, according to multiple press reports, eastman kodak stock experienced a dramatic intraday surge after a U.S. government‑backed loan announcement related to pharmaceutical manufacturing; the episode prompted regulatory attention and media scrutiny.
- 2020–2021 — Following the 2020 announcement, regulatory inquiries and press coverage examined disclosure and trading patterns; these episodes influenced short‑term price dynamics.
- 2022–2024 — The company continued to report quarterly results, make strategic announcements, and disclose pension‑related and balance‑sheet items in SEC filings; investors tracked these filings for one‑time accounting effects and cash‑flow impacts.
Each bullet above is a high‑level marker. For detailed, date‑stamped items, consult the company’s investor‑relations timeline and Form 8‑K filings.
Related metrics and how to track the stock
Key metrics investors watch for eastman kodak stock include:
- Market capitalization (market cap)
- Shares outstanding and public float
- Average daily trading volume
- Revenue, net income, and EPS (basic and diluted)
- EBITDA and adjusted profitability measures
- Cash and debt balances, and covenant or maturity schedules
- Short interest and borrow availability
- Pension liabilities and any settlement costs
Where to track:
- Company investor relations site and SEC EDGAR filings for definitive disclosures and filings.
- Market data providers (Yahoo Finance, MarketWatch, TradingView, Macrotrends) for quotes, historical charts, and ratio screens.
- Broker platforms for live quotes and trade execution; verify whether quotes are real‑time.
As of June 2024, many users referenced Yahoo Finance and TradingView for intraday quotes and historical charts when monitoring eastman kodak stock. Always note the date and timestamp on any data snapshot.
See also
- Eastman Kodak Company (company overview)
- New York Stock Exchange (listing context)
- Stock market volatility and retail‑driven trading dynamics
- Pension accounting and settlement transactions
- Sources for financial data and SEC filings
References and external data sources (guidance)
This guide references types of authoritative sources investors rely on. For up‑to‑date and verifiable figures, consult:
- Eastman Kodak Company investor relations and press releases (company IR and Form 8‑K statements)
- SEC EDGAR filings (10‑K, 10‑Q, 8‑K)
- Market‑data services and aggregators (Yahoo Finance, TradingView, MarketWatch, Macrotrends)
- Financial press coverage documenting material events (for example, coverage of the July 2020 loan announcement and subsequent reporting)
Example dated reporting notes:
- As of July 28, 2020, according to major financial press coverage, eastman kodak stock experienced an outsized intraday spike after public reports of a government‑backed loan announcement.
- As of June 2024, investors typically consult up‑to‑date charts and filings on the company IR page and recognized market‑data platforms to confirm market cap, volume and short‑interest metrics.
Note: this article avoids embedding direct external links; consult the named sources by searching their site names or using your broker’s research tools.
Practical checklist for investors tracking eastman kodak stock
- Confirm the ticker (KODK) and exchange (NYSE) on your trading platform.
- Retrieve the latest Form 10‑K and most recent Form 10‑Q from SEC EDGAR for core financials.
- Check the company’s most recent press releases and Form 8‑K for material events.
- Review short interest and float data from market‑data services; note the reporting date.
- Monitor liquidity (average daily volume) and options liquidity if trading derivatives.
- Track pension disclosures and any one‑time settlement details in the notes to the financial statements.
- Cross‑reference analyst reports and independent coverage for consensus views but prioritize primary filings for factual items.
How Bitget can help
If you trade or monitor equities and related instruments, consider Bitget for a single platform experience. Bitget provides market access and trading tools; for managing on‑chain assets tied to your broader portfolio, Bitget Wallet offers custody and wallet management features. Always check that the instruments and services you need are available in your jurisdiction and that you understand product terms and risks.
Further explore Bitget features and support materials to see whether the platform fits your workflow for tracking eastman kodak stock alongside other assets.
Final notes and further reading
This guide is intended to be a neutral, practical resource about eastman kodak stock. It summarizes where the security trades, why price action has been volatile at times, which corporate and regulatory events matter, and how to access authoritative financial data.
For current numeric values — market cap, current price, shares outstanding, and short interest — please consult Eastman Kodak’s investor‑relations disclosures, the SEC EDGAR system, and reputable market‑data providers. The company’s filings and official statements are the primary source for quantifiable figures and should be the basis for any detailed analysis.
Further explore company filings and market data to stay current on developments affecting eastman kodak stock. To trade or monitor instruments related to KODK, consider Bitget’s platform and Bitget Wallet for a unified experience. Always confirm product availability and legal compliance for your jurisdiction.





















