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

Historical Holders from Q1 2014 to Q3 2025

Symbol
DKS on NYSE
CUSIP
253393102
Type / Class
Equity / Common Stock
Shares outstanding
65.9M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
62.1M
Holdings value
$13.8B
% of all portfolios
0.017%
Grand Portfolio weight change
+0.003%
Number of holders
706
Number of buys
403
Number of sells
-272
Average Value change %
0%
Average buys %
+0.005%
Average sells %
-0.009%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

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

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
WELLINGTON MANAGEMENT GROUP LLP 10.2% +2% $1.49B $24.4M 6.72M +1.66% Wellington Management Group LLP Oct 31, 2025
FMR LLC 10% -9.09% $1.46B $44.5M 6.59M +3.13% FMR LLC Sep 30, 2025
VANGUARD GROUP INC 10.39% $1.11B 5.85M The Vanguard Group Mar 31, 2025
BlackRock, Inc. 9.8% $1.06B 5.52M BlackRock, Inc. Jun 30, 2025

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

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 62.1M $13.8B +$1.87B $222.22 706
2025 Q2 54.2M $10.7B +$319M $197.81 700
2025 Q1 52.6M $10.6B -$320M $201.56 705
2024 Q4 54M $12.4B +$583M $228.84 731
2024 Q3 51.4M $10.7B -$295M $208.70 694
2024 Q2 52.5M $11.3B -$245M $214.85 683
2024 Q1 53.4M $12B -$630M $224.86 631
2023 Q4 53.6K $7.88M -$519K $146.95 7
2023 Q3 56.5M $6.13B -$401M $108.58 510
2023 Q2 58.8M $7.78B -$220M $132.19 578
2023 Q1 59.8M $8.48B +$264M $141.89 545
2022 Q4 56.3M $6.77B -$138M $120.29 512
2022 Q3 59.3M $6.2B -$115M $104.64 437
2022 Q2 60.5M $4.56B -$41.9M $75.37 416
2022 Q1 60.1M $6.02B -$300M $100.02 491
2021 Q4 63.5M $7.3B -$414M $114.99 505
2021 Q3 66.7M $7.99B -$492M $119.77 504
2021 Q2 71M $7.11B +$13.8M $100.19 435
2021 Q1 71M $5.41B +$26.2M $76.15 386
2020 Q4 71.1M $4B +$99.1M $56.21 366
2020 Q3 69.4M $4.02B +$72.5M $57.88 342
2020 Q2 68.3M $2.82B +$431M $41.26 301
2020 Q1 60.5M $1.29B -$373M $21.26 243
2019 Q4 69.8M $3.45B -$89.8M $49.49 315
2019 Q3 72.3M $2.95B -$50.1M $40.81 293
2019 Q2 73.7M $2.55B -$88.9M $34.63 313
2019 Q1 78.2M $2.88B -$104M $36.81 326
2018 Q4 81.4M $2.54B +$30.5M $31.20 336
2018 Q3 80.6M $2.86B +$168M $35.48 340
2018 Q2 75.8M $2.67B +$49.1M $35.25 334
2018 Q1 75.7M $2.65B +$24.8M $35.05 338
2017 Q4 76.6M $2.2B -$72.1M $28.74 351
2017 Q3 77.6M $2.1B -$344M $27.01 343
2017 Q2 85.9M $3.42B -$219M $39.83 397
2017 Q1 88.3M $4.3B +$648M $48.66 459
2016 Q4 84M $4.46B +$116M $53.10 459
2016 Q3 80.8M $4.58B -$32.1M $56.72 430
2016 Q2 82.5M $3.72B +$59.3M $45.06 402
2016 Q1 81.2M $3.79B +$29.5M $46.75 397
2015 Q4 83.3M $2.95B -$91.9M $35.35 387
2015 Q3 83.1M $4.12B -$17.9M $49.61 395
2015 Q2 81.4M $4.22B +$62.4M $51.77 396
2015 Q1 82.2M $4.68B -$373M $56.99 365
2014 Q4 86.3M $4.29B +$80.1M $49.65 360
2014 Q3 84.5M $3.71B -$79.1M $43.88 354
2014 Q2 86.6M $4.03B -$344M $46.56 350
2014 Q1 91.3M $4.98B -$59.1M $54.61 352