13F

DG DOLLAR GENERAL CORP

2026Q1 · CUSIP 256677105 · Sector: Consumer

Danger · Dual-confirm: breadth + price
Holders
1,146
Δ holders QoQ
-22
Breadth percentile
Top 93%
Whale holders
309
Δ whales
+2
Inst. holding value
$24.9B
New positions
139
Closed positions
161
Price momentum (1Q)
-28.7%
Put / Call
27/29

Breadth history (34 quarters)

2018Q1: Δ+3 · h=710 2018Q2: Δ+15 · h=725 2018Q3: Δ+31 · h=756 2018Q4: Δ+28 · h=784 2019Q1: Δ+60 · h=844 2019Q2: Δ+5 · h=849 2019Q3: Δ+59 · h=908 2019Q4: Δ+69 · h=977 2020Q1: Δ-15 · h=962 2020Q2: Δ+120 · h=1082 2020Q3: Δ+38 · h=1120 2020Q4: Δ+73 · h=1193 2021Q1: Δ-23 · h=1170 2021Q2: Δ-28 · h=1142 2021Q3: Δ-5 · h=1137 2021Q4: Δ+100 · h=1237 2022Q1: Δ-37 · h=1200 2022Q2: Δ+28 · h=1228 2022Q3: Δ+34 · h=1262 2022Q4: Δ+6 · h=1268 2023Q1: Δ-31 · h=1237 2023Q2: Δ-74 · h=1163 2023Q3: Δ-129 · h=1034 2023Q4: Δ+84 · h=1118 2024Q1: Δ-9 · h=1109 2024Q2: Δ-58 · h=1051 2024Q3: Δ-129 · h=922 2024Q4: Δ-16 · h=906 2025Q1: Δ+7 · h=913 2025Q2: Δ+111 · h=1024 2025Q3: Δ+29 · h=1053 2025Q4: Δ+115 · h=1168 2026Q1: Δ-22 · h=1146 2018Q1: holders=710 2018Q2: holders=725 2018Q3: holders=756 2018Q4: holders=784 2019Q1: holders=844 2019Q2: holders=849 2019Q3: holders=908 2019Q4: holders=977 2020Q1: holders=962 2020Q2: holders=1082 2020Q3: holders=1120 2020Q4: holders=1193 2021Q1: holders=1170 2021Q2: holders=1142 2021Q3: holders=1137 2021Q4: holders=1237 2022Q1: holders=1200 2022Q2: holders=1228 2022Q3: holders=1262 2022Q4: holders=1268 2023Q1: holders=1237 2023Q2: holders=1163 2023Q3: holders=1034 2023Q4: holders=1118 2024Q1: holders=1109 2024Q2: holders=1051 2024Q3: holders=922 2024Q4: holders=906 2025Q1: holders=913 2025Q2: holders=1024 2025Q3: holders=1053 2025Q4: holders=1168 2026Q1: holders=1146 -129 -64.5 +0 +64.5 +129 6399861332 18Q119Q120Q121Q122Q123Q124Q125Q126Q1 Δ holders (bar) Holders (line)

Past Lit Events & Aftermath 16 lit events

Period Percentile Next-1Q return Next-2Q return
2025Q4 Top 3% -28.7%
2025Q3 Top 10% +47.8% +2.3%
2025Q2 Top 1% -6.6% +36.8%
2023Q4 Top 5% +0.8% -13.0%
2022Q3 Top 2% -10.9% -15.6%
2022Q2 Top 3% -3.6% -9.2%
2021Q4 Top 4% +2.7% +31.2%
2020Q4 Top 7% +2.2% +19.3%

Options Sentiment

Put holders
27
QoQ: 0
Call holders
29
QoQ: +4

See methodology →

Fundamentals

PE (TTM)
17.1
EPS (TTM)
$7.07
EPS YoY
+34.9%
Revenue (TTM)
$43.1B
Revenue YoY
+4.7%
Quarterly Revenue & EPS (4Y)
2022-07-29: $9.4B 2022-10-28: $9.5B 2023-02-03: $10.2B 2023-05-05: $9.3B 2023-08-04: $9.8B 2023-11-03: $9.7B 2024-02-02: $9.9B 2024-05-03: $9.9B 2024-08-02: $10.2B 2024-11-01: $10.2B 2025-01-31: $10.3B 2025-05-02: $10.4B 2025-08-01: $10.7B 2025-10-31: $10.6B 2026-01-30: $10.9B 2026-05-01: $10.8B 2022-07-29: EPS 2.98 2022-10-28: EPS 2.33 2023-02-03: EPS 2.96 2023-05-05: EPS 2.34 2023-08-04: EPS 2.13 2023-11-03: EPS 1.26 2024-02-02: EPS 1.82 2024-05-03: EPS 1.65 2024-08-02: EPS 1.70 2024-11-01: EPS 0.89 2025-01-31: EPS 0.87 2025-05-02: EPS 1.78 2025-08-01: EPS 1.86 2025-10-31: EPS 1.28 2026-01-30: EPS 1.93 2026-05-01: EPS 2.00 0B 5.5B 10.9B $B 0.00 1.64 3.28 2022202320242025202605/26 Revenue EPS

Quarterly figures; EPS split-adjusted, early quarters hidden when not calibrable

P/E (TTM) over time
4Y median 16 2023-05-05: PE 14.72023-08-04: PE 11.12023-11-03: PE 142024-02-02: PE 19.62024-05-03: PE 17.52024-08-02: PE 12.92024-11-01: PE 122025-01-31: PE 15.62025-05-02: PE 20.92025-08-01: PE 19.32025-10-31: PE 23.32026-01-30: PE 18.32026-05-01: PE 15.3 10 17 24 20222023202420252026

P/E = close 47 days after quarter-end (filing date) ÷ TTM EPS then; loss quarters hidden

As of 2026-05-01 · SEC filings (XBRL)