Recent Annual Filings for HPQ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $39,909,000,000 $53,559,000,000 $8,000,000,000 $2,564,000,000 $3,749,000,000 $-3,082,000,000 $21,000,000
2023 $37,004,000,000 $53,718,000,000 $50,262,000,000 $2,755,000,000 $3,571,000,000 $-2,894,000,000 $87,000,000
2022 $38,587,000,000 $62,983,000,000 $58,307,000,000 $3,776,000,000 $4,463,000,000 $-2,068,000,000 $-1,154,000,000
2021 $38,610,000,000 $63,487,000,000 $58,185,000,000 $7,486,000,000 $6,409,000,000 $-5,962,000,000 $-565,000,000
2020 $34,681,000,000 $56,639,000,000 $53,177,000,000 $2,826,000,000 $4,316,000,000 $-2,973,000,000 $327,000,000
2019 $33,467,000,000 $58,756,000,000 $54,879,000,000 $2,772,000,000 $4,654,000,000 $-4,845,000,000 $-629,000,000
2018 $34,622,000,000 $58,472,000,000 $54,408,000,000 $5,900,000,000 $4,528,000,000 $-5,643,000,000 $-1,831,000,000
2016 $29,010,000,000 $48,238,000,000 $44,689,000,000 $2,279,000,000 $3,230,000,000 $-14,423,000,000 $-11,145,000,000