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Stockholders’ Deficit
12 Months Ended
Oct. 31, 2025
Stockholders' Equity Note [Abstract]  
Stockholders’ Deficit Stockholders’ Deficit
Share Repurchase Program
HP’s share repurchase program authorizes both open market and private repurchase transactions. In fiscal year 2025, HP executed share repurchases of 29.6 million shares and settled total shares for $0.8 billion. In fiscal year 2024, HP executed share repurchases of 62.7 million shares and settled total shares for $2.1 billion. In fiscal year 2023, HP executed share repurchases of 3.6 million shares and settled total shares for $0.1 billion. Share repurchases executed during fiscal year 2025 included 0.2 million shares settled in November 2025.
The shares repurchased in fiscal years 2025, 2024 and 2023 were all open market repurchase transactions. As of October 31, 2025, HP had approximately $8.4 billion remaining under the share repurchase authorizations approved by HP’s Board of Directors.
Changes and reclassifications related to Accumulated Other Comprehensive Loss, net of taxes
 For the years ended October 31
 202520242023
 In millions
Other comprehensive loss, net of taxes:
Unrealized components of available-for-sale debt securities
Balance at the beginning of period$14 $$
Unrealized gains arising during the period16 
Tax effects on change in unrealized components of available-for-sale securities(1)(1)(1)
Unrealized components of available-for-sale debt securities, net of taxes15 
Balance at the end of period$29 $14 $
Unrealized components of cash flow hedges
Balance at the beginning of period$47 $230 $648 
Unrealized (losses) gains arising during the period
(211)51 (427)
Losses (gains) reclassified into earnings
98 (274)(84)
Tax effects on change in unrealized components of cash flow hedges18 40 93 
Unrealized components of cash flow hedges, net of taxes(95)(183)(418)
Balance at the end of period$(48)$47 $230 
Unrealized components of defined benefit plans
Balance at the beginning of period$(496)$(437)$(323)
Unrealized gains (losses) arising during the period
30 (76)(141)
Amortization of actuarial loss and prior service benefit
21 — 
Curtailments, settlements and other— 
Tax effects on change in unrealized components of defined benefit plans(11)27 
Unrealized components of defined benefit plans, net of taxes46 (59)(114)
Balance at the end of period$(450)$(496)$(437)
Cumulative translation adjustment
Balance at the beginning of period$$(23)$(46)
Change in cumulative translation adjustment12 24 23 
Tax effect on change in cumulative translation adjustment(1)— — 
Cumulative translation adjustment, net of taxes11 24 23 
Balance at the end of period$12 $$(23)
Other comprehensive loss
$(23)$(211)$(508)
Accumulated other comprehensive loss$(457)$(434)$(223)