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Restructuring and Other Charges (Tables)
6 Months Ended
Apr. 30, 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 $$138 
Charges141 20 — 161 
Cash payments(110)(6)(2)(118)
Non-cash and other adjustments(16)— (15)
Accrued balance as of April 30, 2025$152 $$$166 
Total costs incurred to date as of April 30, 2025$748 $77 $878 $1,703 
Reflected in the Consolidated Condensed Balance Sheets
Other current liabilities$152 $$$160 
Other non-current liabilities$— $$— $
Accrued balance as of October 31, 2023$88 $18 $$108 
Charges93 102 
Cash payments(100)(9)(3)(112)
Non-cash and other adjustments(2)(2)(2)
Accrued balance as of April 30, 2024$83 $13 $— $96 
HP’s restructuring charges for the three months ended April 30, 2025 summarized by the plans outlined below were as follows:
Fiscal 2023 Plan
Severance and EERNon-labor
Other prior-year plans (1)
Total
In millions
For the three months ended April 30, 2025$97 $$— $105 
(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.