HP Inc. Reports Fiscal 2023 Second Quarter Results


HP INC. AND SUBSIDIARIES
CONSOLIDATED CONDENSED STATEMENTS OF CASH FLOWS
(Unaudited)
(In millions)
 
  Six months ended
  April 30, 2023  April 30, 2022
Cash flows from operating activities:   
Net earnings$1,553  $2,086 
Adjustments to reconcile net earnings to net cash provided by operating activities:   
Depreciation and amortization 421   390 
Stock-based compensation expense 262   203 
Restructuring and other charges 341   150 
Deferred taxes on earnings (817)  (5)
Other, net 36   304 
Changes in operating assets and liabilities, net of acquisitions:   
Accounts receivable 426   91 
Inventory 354   (1,270)
Accounts payable   (1,914 )     981  
Net investment in leases   (51 )     (41 )
Taxes on earnings   329       (23 )
Restructuring and other   (167 )     (146 )
Other assets and liabilities   (153 )     (555 )
Net cash provided by operating activities   620       2,165  
Cash flows from investing activities:      
Investment in property, plant and equipment, net   (322 )     (451 )
Purchases of available-for-sale securities and other investments   (5 )     (8 )
Maturities and sales of available-for-sale securities and other investments   18       7  
Collateral (posted) returned for derivative instruments   (127 )     14  
Payment made in connection with business acquisitions, net of cash acquired   (5 )     (24 )
Net cash used in investing activities   (441 )     (462 )
Cash flows from financing activities:      
Payment of short-term borrowings with original maturities less than 90 days, net   (10 )     (400 )
Proceeds from debt, net of issuance costs   117       2,060  
Payment of debt   (587 )     (96 )
Stock-based award activities and others   (86 )     (97 )
Repurchase of common stock   (100 )     (2,518 )
Cash dividends paid   (518 )     (533 )
Collateral returned for derivative instruments   (200 )      
Settlement of cash flow hedges         59  
Net cash used in financing activities   (1,384 )     (1,525 )
(Decrease) increase in cash, cash equivalents and restricted cash   (1,205 )     178  
Cash, cash equivalents and restricted cash at beginning of period   3,145       4,299  
Cash, cash equivalents and restricted cash at end of period $ 1,940     $ 4,477  

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