DICK'S SPORTING GOODS, INC. - Common Stock (DKS)

Historical Holders from Q1 2014 to Q4 2025

Symbol
DKS on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
65,851,559
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
62,160,893
Holdings value
$13,807,465,658
% of all portfolios
0.02%
Number of holders
723
Number of buys
408
Number of sells
279
Average buys %
+0%
Average sells %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of DICK'S SPORTING GOODS, INC. - Common Stock (DKS) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
WELLINGTON MANAGEMENT GROUP LLP 10% +2% $1,492,620,407 +$24,443,978 6,716,859 +1.7% Wellington Management Group LLP 31 Oct 2025
FMR LLC 10% -9.1% $1,464,536,079 +$44,503,555 6,590,478 +3.1% FMR LLC 30 Sep 2025
VANGUARD GROUP INC 10% $1,111,659,374 5,850,223 The Vanguard Group 31 Mar 2025
BlackRock, Inc. 9.8% $1,056,149,009 5,521,193 BlackRock, Inc. 30 Jun 2025
As of 30 Sep 2025 DICK'S SPORTING GOODS, INC. - Common Stock (DKS) has 723 institutional shareholders that have filed 13F forms with the Securities Exchange Commission (SEC). These institutions hold a total of 62,160,893 shares of 65,851,559 outstanding shares and own 94% of the company stock as of 30 Sep 2025.

Top 25 institutional shareholders of DICK'S SPORTING GOODS, INC. - Common Stock (DKS) own 69% of the company based on 13F filings as of 30 Sep 2025

Filer Ownership Nb Shares Share Change % Portfolio % Holdings Value
VANGUARD GROUP INC 10% 6,719,011 +18% 0.02% $1,493,098,624
WELLINGTON MANAGEMENT GROUP LLP 10% 6,606,860 +84% 0.26% $1,468,176,429
FMR LLC 10% 6,599,779 -0.53% 0.08% $1,466,602,727
BlackRock, Inc. 9.8% 6,465,020 +13% 0.03% $1,436,656,708
BANK OF AMERICA CORP /DE/ 5.4% 3,545,944 +588% 0.06% $787,979,641
STATE STREET CORP 4% 2,606,541 +18% 0.02% $579,225,541
DIMENSIONAL FUND ADVISORS LP 2.2% 1,423,102 +58% 0.07% $316,223,953
MORGAN STANLEY 2.1% 1,398,116 +32% 0.02% $310,689,889
GEODE CAPITAL MANAGEMENT, LLC 1.8% 1,210,741 +19% 0.02% $268,242,773
Sachem Head Capital Management LP 1.5% 1,008,600 +55% 6.3% $224,131,092
Hamlin Capital Management, LLC 1.1% 708,924 3.6% $157,537,091
Bank of New York Mellon Corp 1.1% 699,747 +13% 0.03% $155,497,804
NORTHERN TRUST CORP 1% 663,256 +13% 0.02% $147,388,748
RAYMOND JAMES FINANCIAL INC 0.98% 642,592 +274% 0.05% $142,796,880
Castle Hook Partners LP 0.94% 620,180 +12304% 2.1% $137,816,400
BROWNING WEST LP 0.89% 585,000 0% 8.4% $129,998,700
LSV ASSET MANAGEMENT 0.85% 559,950 -5.7% 0.27% $124,432,000
LORD, ABBETT & CO. LLC 0.81% 535,383 +16% 0.35% $118,973,000
MAVERICK CAPITAL LTD 0.81% 533,000 1.6% $118,443,260
Atreides Management, LP 0.73% 481,386 -45% 2.8% $106,973,597
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 0.69% 452,715 +17% 0.02% $100,602,327
GOLDMAN SACHS GROUP INC 0.64% 423,680 -3.4% 0.01% $94,150,222
CIBC Private Wealth Group LLC 0.63% 415,091 +0.54% 0.16% $92,241,482
AMERICAN CENTURY COMPANIES INC 0.63% 412,661 +139% 0.05% $91,701,906
BARCLAYS PLC 0.6% 396,829 +52% 0.03% $88,183,340

Institutional Holders of DICK'S SPORTING GOODS, INC. - Common Stock (DKS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 779,396 $154,296,863 +$9,999,525 $197.97 10
2025 Q3 62,160,893 $13,807,465,658 +$1,870,760,934 $222.22 723
2025 Q2 54,286,267 $10,739,655,314 +$320,749,384 $197.81 703
2025 Q1 52,627,721 $10,587,735,967 -$319,909,405 $201.56 705
2024 Q4 53,955,324 $12,352,561,497 +$583,270,602 $228.84 731
2024 Q3 51,370,999 $10,721,214,190 -$295,155,898 $208.70 694
2024 Q2 52,507,409 $11,272,037,339 -$245,216,857 $214.85 683
2024 Q1 53,415,906 $12,007,796,993 -$630,161,904 $224.86 631
2023 Q4 53,607 $7,877,649 -$519,022 $146.95 7
2023 Q3 56,471,520 $6,131,101,384 -$400,958,032 $108.58 510
2023 Q2 58,814,030 $7,775,660,685 -$219,672,854 $132.19 578
2023 Q1 59,798,454 $8,482,689,644 +$263,928,781 $141.89 545
2022 Q4 56,291,391 $6,771,682,902 -$138,466,327 $120.29 512
2022 Q3 59,288,643 $6,200,411,940 -$114,848,556 $104.64 437
2022 Q2 60,523,032 $4,561,001,322 -$41,898,302 $75.37 416
2022 Q1 60,112,506 $6,015,004,059 -$300,138,053 $100.02 491
2021 Q4 63,476,437 $7,296,491,763 -$414,279,138 $114.99 505
2021 Q3 66,699,042 $7,989,908,181 -$492,058,129 $119.77 504
2021 Q2 70,964,026 $7,110,232,334 +$13,794,455 $100.19 435
2021 Q1 71,006,454 $5,405,583,603 +$26,237,070 $76.15 386
2020 Q4 71,066,273 $3,995,685,199 +$99,060,948 $56.21 366
2020 Q3 69,365,521 $4,016,039,989 +$72,463,855 $57.88 342
2020 Q2 68,313,797 $2,819,149,716 +$430,986,355 $41.26 301
2020 Q1 60,518,983 $1,286,556,134 -$373,035,407 $21.26 243
2019 Q4 69,771,074 $3,451,238,240 -$89,807,666 $49.49 315
2019 Q3 72,309,333 $2,949,356,897 -$50,149,634 $40.81 293
2019 Q2 73,671,854 $2,550,071,396 -$88,873,474 $34.63 313
2019 Q1 78,247,900 $2,878,597,604 -$103,991,385 $36.81 326
2018 Q4 81,401,926 $2,539,910,922 +$30,467,234 $31.20 336
2018 Q3 80,606,551 $2,860,026,294 +$168,220,573 $35.48 340
2018 Q2 75,819,361 $2,672,850,823 +$49,088,326 $35.25 334
2018 Q1 75,732,912 $2,651,757,251 +$24,813,870 $35.05 338
2017 Q4 76,621,307 $2,202,663,730 -$72,071,173 $28.74 351
2017 Q3 77,614,084 $2,096,715,073 -$343,696,101 $27.01 343
2017 Q2 85,879,304 $3,419,759,971 -$218,994,540 $39.83 397
2017 Q1 88,331,096 $4,299,108,566 +$647,917,820 $48.66 459
2016 Q4 83,985,653 $4,459,190,232 +$116,124,572 $53.10 459
2016 Q3 80,833,802 $4,581,854,174 -$32,054,387 $56.72 430
2016 Q2 82,452,028 $3,715,926,037 +$59,333,885 $45.06 402
2016 Q1 81,152,679 $3,794,787,507 +$29,458,365 $46.75 397
2015 Q4 83,312,264 $2,945,366,664 -$91,899,034 $35.35 387
2015 Q3 83,108,535 $4,122,781,631 -$17,882,036 $49.61 395
2015 Q2 81,429,835 $4,216,111,500 +$62,390,968 $51.77 396
2015 Q1 82,191,533 $4,683,453,364 -$373,043,620 $56.99 365
2014 Q4 86,308,279 $4,287,817,334 +$80,081,943 $49.65 360
2014 Q3 84,515,456 $3,708,540,412 -$79,094,644 $43.88 354
2014 Q2 86,572,836 $4,030,079,710 -$343,873,877 $46.56 350
2014 Q1 91,289,308 $4,984,932,878 -$59,149,432 $54.61 352