Recent Annual Filings for HPE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $71,262,000,000 $30,127,000,000 $27,937,000,000 $2,702,000,000 $4,341,000,000 $6,283,000,000 $10,524,000,000
2023 $57,153,000,000 $29,135,000,000 $27,046,000,000 $2,050,000,000 $4,428,000,000 $-1,362,000,000 $-182,000,000
2022 $57,123,000,000 $28,496,000,000 $27,714,000,000 $690,000,000 $4,593,000,000 $-1,796,000,000 $431,000,000
2021 $57,699,000,000 $27,784,000,000 $26,652,000,000 $4,460,000,000 $5,871,000,000 $-3,364,000,000 $-289,000,000
2020 $54,015,000,000 $26,982,000,000 $27,311,000,000 $-480,000,000 $2,240,000,000 $883,000,000 $545,000,000
2019 $51,803,000,000 $29,135,000,000 $27,861,000,000 $556,000,000 $3,997,000,000 $-1,548,000,000 $-1,008,000,000
2018 $55,493,000,000 $30,852,000,000 $28,994,000,000 $1,771,000,000 $2,964,000,000 $-5,592,000,000 $-4,699,000,000
2017 $61,406,000,000 $28,871,000,000 $28,246,000,000 $1,318,000,000 $889,000,000 $610,000,000 $-3,408,000,000