kodak stock: KODK (Eastman Kodak) guide
Kodak stock (Eastman Kodak Company, ticker: KODK)
kodak stock refers to the publicly traded shares of Eastman Kodak Company, listed on the New York Stock Exchange under the ticker symbol KODK. This article covers why investors follow kodak stock, listing and trading details, historical price behavior, major corporate events that materially affected the shares, typical financial metrics to monitor, governance and analyst coverage, principal risks, and authoritative sources for up-to-date information.
Company overview
Eastman Kodak Company is an American technology company founded in 1888 and headquartered in Rochester, New York. Kodak historically built its reputation on photography, film, and imaging. In recent decades the company has repositioned toward commercial print systems, advanced materials and chemicals, and brand and licensing businesses. These business lines help explain why many market participants continue to follow kodak stock — the company operates in industries tied to printing, packaging, specialty chemicals, and intellectual property monetization, each with distinct cyclical and structural characteristics.
Listing and ticker information
Kodak stock trades on the New York Stock Exchange under the symbol KODK and is quoted in U.S. dollars. Normal trading hours on the NYSE occur on weekdays; extended pre-market and after-hours sessions may also show quotes but with lower liquidity. As of this article, kodak stock is represented by a single class of common shares listed on the exchange.
Investors should consult the company's investor relations page and official SEC filings for the latest corporate disclosures, including the definitive share count, authorized share structure, and any recent or proposed changes to listing status.
Market data and trading characteristics
Price history and performance
Kodak stock has exhibited episodic and sometimes dramatic price moves over the past several years driven by news events, corporate actions, and retail trading interest. Notable historical episodes include a large spike tied to a 2020 government-related announcement (covered below) and further swings related to asset sales, restructuring, and changes in licensing activity.
As of recent reporting in mid‑2024, kodak stock continued to show elevated volatility relative to many large-cap industrial names. Investors tracking price performance commonly look at 52-week ranges, trailing returns, and longer multi-year charts to contextualize short-term moves. For the most recent 52-week high/low and historical charts, consult market-data providers and the company’s investor-relations quote pages.
Trading volume and liquidity
Trading volume for kodak stock can vary widely by day, often rising sharply around material corporate announcements or heightened retail interest. Average daily volume is an important liquidity metric: higher average volume generally supports tighter spreads and better execution, while low average volume or a small public float can result in wider spreads and more price slippage on large orders.
Public float and insider ownership affect available shares for trading. Periodic filings disclose insider holdings and any share repurchase or issuance programs that change the float. Institutional ownership levels and notable block holders can also influence liquidity and price behavior.
Short interest and retail interest
Kodak stock has at times attracted elevated short interest and concentrated retail attention. Elevated short-interest percentages can amplify volatility when positions cover, but they also attract closer regulatory and media scrutiny. Conversely, strong retail interest — often visible on social trading platforms and message boards — can drive sharp, momentum-driven moves that may be unrelated to near-term fundamentals.
As of 2024-06-01, according to public market-data pages and social feeds, kodak stock continued to receive notable retail discussion and periodic sentiment-driven volume spikes (source: market-data providers and social-feeds monitoring services). Investors should check up-to-date short-interest reports and platform sentiment indicators for current levels before drawing conclusions.
Notable corporate events affecting the stock
2020 government loan announcement and price spike
A widely publicized turning point for kodak stock occurred in 2020 when an announcement involving a government loan and proposed support for Kodak’s pivot to pharmaceutical ingredient manufacturing triggered a dramatic market reaction. The announcement led to an abrupt and very large increase in the market price and trading activity for kodak stock.
That episode led to intense scrutiny from regulators and market participants because of the speed and magnitude of the price move and questions about the timing and dissemination of information to the market. The 2020 episode remains a key case study for how corporate press, government interactions, and market structure can combine to produce outsized equity moves.
Insider trading and legal actions
Following the 2020 price spike, authorities and prosecutors reviewed trading patterns and communications around the announcement. Some individuals faced investigations and charges tied to trading activity prior to or contemporaneous with disclosures. Kodak and regulatory agencies also saw class-action lawsuits and shareholder litigation related to disclosures and corporate governance during the period of dramatic moves.
As of 2024-06-01, public records show that various legal and regulatory matters arising from that episode and subsequent corporate events have influenced investor perception of kodak stock; readers should consult court filings and regulatory releases for precise outcomes and dates (source: SEC releases and court dockets as reported by financial news outlets).
Pension reversion and balance sheet transactions
Kodak has engaged in significant balance-sheet and pension-related transactions in recent years. Pension termination or reversion actions, large asset sales, and annuity purchases have altered reported cash levels and long-term liabilities. These transactions can materially affect how investors view the company’s financial flexibility and near-term funding needs.
For example, when a company completes pension reversion or transfers liabilities to insurers, short-term reported debt or pension obligations may decrease while cash outflows occur to purchase annuities. Such moves change both leverage metrics and cash-position narratives about kodak stock; verifying the precise accounting treatment requires reviewing the company’s 10-K and 8-K filings describing the transaction timelines and amounts.
Other material transactions
Beyond pension and loan-related items, Kodak has executed asset sales, rights or licensing agreements, and strategic partnerships that materially altered its revenue mix or cash position. Large licensing deals or the sale of property and technology assets can be transformative for both reported revenues and one-time gains or losses. Investors following kodak stock should track press releases and periodic filings that disclose these material transactions and any subsequent uses of proceeds.
Financials and valuation metrics
Key fundamentals that investors monitor for kodak stock include market capitalization, revenue trends across business segments (e.g., print vs. advanced materials), trailing and forward EPS (if positive), gross and operating margins, and balance-sheet items such as cash, long-term debt, and pension obligations.
Because Kodak has undergone material restructuring and non-recurring transactions in recent years, simple multiples such as P/E may be less meaningful or may vary widely across reporting periods. Analysts often adjust for one-time gains or losses, pension impacts, and discontinued operations to derive adjusted earnings metrics when valuing kodak stock.
Always consult the company's most recent annual (Form 10-K) and quarterly (Form 10-Q) filings for up-to-date figures. As of mid-2024, public market-data pages reported kodak stock market-cap and trailing revenue that reflect the company’s smaller-cap profile relative to large diversified industrial firms (source: company filings and financial-data providers, 2024 reporting).
Corporate governance and management
Corporate governance and the composition of Kodak’s board and executive leadership can materially influence investor trust in the company's strategic direction. Major insider buying or selling activity — when reported on Form 4 and disclosed in periodic filings — can signal management conviction about valuation or liquidity needs, but those signals must be interpreted carefully alongside other disclosures.
Investors tracking kodak stock should review the company’s proxy statements (DEF 14A) for board composition, committee structures, executive compensation, and recent governance proposals. Material governance changes or director appointments have historically had measurable effects on the stock's short- and medium-term sentiment.
Analyst coverage and investor sentiment
Coverage by sell-side analysts, independent research firms, and financial media varies over time for kodak stock. Ratings, price targets, and analyst commentary often respond to corporate events such as earnings releases, restructuring updates, or material asset sales.
Retail sentiment on social platforms and message boards also plays a role. Community-driven interest can create momentum effects, sometimes decoupling short-term price action from fundamentals. Monitoring sentiment sources and cross-referencing with fundamentals and filings is a prudent practice for those researching kodak stock.
Risks and considerations for investors
- Industry and technology risk: Kodak operates in sectors affected by technological shifts in printing, imaging, and specialty materials; long-term demand dynamics are important to watch.
- Pension and legacy liabilities: Pension reversion and similar transactions create accounting and cash-flow complexities that can change leverage and liquidity profiles.
- Legal and regulatory risk: Historical investigations and shareholder suits related to past announcements demonstrate that legal actions can materially affect valuation and liquidity.
- Volatility and momentum risk: kodak stock has shown episodes of strong retail-driven volatility; investors should be prepared for rapid price swings.
- Liquidity and float considerations: On certain days, limited free float and concentrated ownership can magnify price impacts from trades.
These are material risk categories to consider alongside standard equity risks. This article is neutral in tone and does not provide investment advice.
How to find authoritative information
Primary sources investors should consult when researching kodak stock include:
- Kodak's investor relations site and press releases for official corporate announcements and presentations.
- SEC filings such as the Form 10-K (annual report), Form 10-Q (quarterly reports), Form 8-K (material events), and proxy statements for governance details.
- Exchange quotes from the New York Stock Exchange for live pricing and trading status.
- Reputable financial-data providers (e.g., widely used market-data sites and research services) for historical price charts, volume, short-interest data, and analyst coverage summaries.
- Social-feeds and community platforms for retail sentiment tracking (use caution and cross-verify claims with filings and primary disclosures).
As of 2024-06-01, Kodak’s investor relations pages and major market-data platforms reported current trading data and referenced SEC filings for material disclosures (sources: Kodak investor relations and major market-data providers, reported 2024-06-01).
See also
- Eastman Kodak Company (company profile and history)
- List of companies listed on the New York Stock Exchange
- Meme-stock phenomenon and retail-driven market dynamics
- Corporate pension reversion and accounting impacts
References and further reading
Recommended starting points for up-to-date numeric data and primary documents (search these names on your chosen market-data or regulatory system): Kodak Investor Relations — stock quote and filings; Yahoo Finance — KODK quote and historical prices; MarketWatch and Morningstar for analyst summaries; major financial-media outlets for coverage of material legal and corporate events. Social-feeds like StockTwits provide threads of retail sentiment and discussion for kodak stock. Always cross-check media reports against SEC filings and company press releases.
Example dated-report references for context: As of 2024-06-01, according to Kodak’s investor-relations site and major financial-data providers, kodak stock continued to trade on the NYSE with periodic volatility tied to corporate announcements and investor sentiment (source reporting dates: 2024-06-01). As of 2024-05-30, market summaries on public financial pages highlighted ongoing trading volume variations and analyst coverage updates (source reporting dates: 2024-05-30).
Practical next steps for readers
If you are researching kodak stock for the first time, begin with the company's most recent annual and quarterly reports, then review 8-K filings for any material recent events. Monitor short-interest reports and average daily volume from market-data providers to assess liquidity. For social sentiment, follow discussion feeds but prioritize primary sources for verification.
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If you would like a separate, clearly labeled subsection on Kodak’s historical blockchain initiatives (for example KODAKOne/KodakCoin), request it and an addendum will be provided with distinct sourcing and dates.
More practical guidance
Keep these routines when tracking kodak stock: review earnings releases and management commentary, check the 8-K feed for immediate material events, track changes in insider holdings and institutional ownership from filings, and use risk-management tools if you trade the stock because of its episodic volatility.
Further exploration: explore Bitget’s educational resources for market basics and platform demonstration materials to learn execution, risk controls, and record-keeping best practices for active traders.
More up-to-date numeric figures (market cap, daily volume, and short-interest) change daily — always verify numbers from the company site, SEC filings, or a preferred market-data feed before making any decisions.
Note on sourcing and timeliness: this article includes dated references to reporting in mid-2024 to provide context. For the latest market statistics and legal outcomes, check the primary sources listed above and the company's SEC filings (10-K, 10-Q, 8-K) as a priority.
Explore more: if you want a focused data table with the latest market-cap, average daily volume, 52-week range, and recent material filings for kodak stock, request an updated snapshot and specify the target report date.





















