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Restructuring and Other Charges (Tables)
3 Months Ended
Jan. 31, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Activities by Plan
HP’s restructuring activities summarized by plan were as follows:
Fiscal 2023 Plan
Severance and EERNon-labor
Other prior-year plans(1)
Total
In millions
Accrued balance as of October 31, 2024$120 $11 $$138 
Charges44 12 — 56 
Cash payments(56)(3)(1)(60)
Non-cash and other adjustments(2)(10)— (12)
Accrued balance as of January 31, 2025$106 $10 $$122 
Total costs incurred to date as of January 31, 2025$651 $69 $878 $1,598 
Reflected in the Consolidated Condensed Balance Sheets
Other current liabilities$106 $$$114 
Other non-current liabilities$— $$— $
Accrued balance as of October 31, 2023$88 $18 $$108 
Charges43 48 
Cash payments(63)(6)(3)(72)
Non-cash and other adjustments— (2)— 
Accrued balance as of January 31, 2024$70 $14 $— $84 
(1)     Primarily includes the fiscal 2020 plan along with other legacy plans, all of which are substantially complete. HP does not expect any further material activity associated with these plans.