Hewlett Packard
2HP.DE
€21.11 1.01%
Exchange: XETRA | Sector: Technology | Industry: Communication Equipment
Q3 2024
Published: Sep 5, 2024

Earnings Highlights

  • Revenue of $7.71B up 10.1% year-over-year
  • EPS of $0.38 increased by 8.3% from previous year
  • Gross margin of 31.6%
  • Net income of 512.00M
  • "N/A" - N/A

Hewlett Packard Enterprise Company (2HP.DE) QQ3 2024 Earnings Analysis – Revenue Growth, Margin Resilience and Strategic Position in Data Center and Hybrid IT

Executive Summary

Hewlett Packard Enterprise (HPE) reported a solid Q3 2024 (QQ3 2024) with revenue of USD 7.71 billion and a healthy gross margin of 31.6%, delivering an operating margin of 7.1% and net margin near 6.6%. Year-over-year revenue growth of 10.1% and quarter-over-quarter growth of 7.35% reflect continued demand for data center modernization, AI-enabled workloads, and hybrid IT solutions, supported by strength in HPE’s portfolio of ProLiant servers, HPC/Cray offerings, and Aruba networking. Operating cash flow of USD 1.15 billion and free cash flow of USD 0.61 billion underline robust cash generation, enabling discretionary capital allocation including modest buybacks and sustained dividend policy, while leaving room to fund ongoing strategic initiatives. Balance sheet and liquidity remain solid: total assets USD 60.85 billion, cash and cash equivalents USD 3.64 billion, and total debt USD 11.80 billion (net debt USD 8.16 billion). The company posted a positive net cash delta in the quarter (USD 0.98 billion), supported by operating cash flow and disciplined capital expenditure (USD 0.54 billion). The reported metrics imply a business that is navigating a competitive, cyclical market with a focus on high-margin, high-value solutions and coherent capital allocation. Going forward, management commentary (when available) would likely emphasize continued demand for data center modernization, AI-ready infrastructure, and Aruba edge networking, along with potential monetization of as-a-service offerings (e.g., GreenLake). The primary factors to monitor are demand visibility in server and HPC markets, supply chain normalization, currency effects, and the pace of diversification into software and as-a-service recurring revenue streams.

Key Performance Indicators

Revenue

7.71B
QoQ: 7.35% | YoY:10.11%

Gross Profit

2.44B
31.63% margin
QoQ: 6.65% | YoY:-2.83%

Operating Income

547.00M
QoQ: 13.49% | YoY:16.14%

Net Income

512.00M
QoQ: 63.06% | YoY:10.34%

EPS

0.39
QoQ: 62.50% | YoY:8.33%

Revenue Trend

Margin Analysis

Key Insights

Revenue: USD 7.71B; YoY +10.11%; QoQ +7.35%. Gross Profit: USD 2.439B; Gross Margin 31.63%; YoY -2.83%; QoQ +6.65%. Operating Income: USD 0.547B; Operating Margin 7.09%; YoY +16.14%; QoQ +13.49%. Net Income: USD 0.512B; Net Margin 6.64%; YoY +10.34%; QoQ +63.06%. EPS: USD 0.39 (diluted USD 0.38); YoY +8.33%; QoQ +62.50%. EBITDA: USD 1.227B; EBITDA Margin 15.9%. Cash Flow: Operating cash flow USD 1.154B; Free cash flow USD 0.611B; Net change in cash USD +0.981B; Cash at end of period USD 3.905B. ...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 9,136.00 0.19 +18.5% View
Q2 2025 7,588.00 -0.82 +5.7% View
Q1 2025 7,810.00 0.44 +16.0% View
Q4 2024 8,458.00 1.00 +15.1% View
Q3 2024 7,710.00 0.38 +10.1% View