HPE (amounts are split adjusted)
Hewlett Packard Enterprise’s issued dividends to investors are listed below.
| Declared |
Ex-Date* |
Record* |
Payable |
Amount |
| 03/09/26 |
03/24/26 |
03/24/26 |
04/23/26 |
0.1425 USD |
| 12/04/25 |
12/19/25 |
12/19/25 |
01/16/26 |
0.1425 USD |
| 09/03/25 |
09/18/25 |
09/18/25 |
10/17/25 |
0.13 USD |
| 06/03/25 |
06/18/25 |
06/18/25 |
07/17/25 |
0.13 USD |
| 03/06/25 |
03/21/25 |
03/21/25 |
04/18/25 |
0.13 USD |
| 12/05/24 |
12/20/24 |
12/20/24 |
01/16/25 |
0.13 USD |
| 09/04/24 |
09/18/24 |
09/19/24 |
10/18/24 |
0.13 USD |
| 06/04/24 |
06/18/24 |
06/19/24 |
07/18/24 |
0.13 USD |
| 02/29/24 |
03/14/24 |
03/15/24 |
04/12/24 |
0.13 USD |
| 11/28/23 |
12/12/23 |
12/13/23 |
01/11/24 |
0.13 USD |
| 08/29/23 |
09/13/23 |
09/14/23 |
10/13/23 |
0.12 USD |
| 05/30/23 |
06/14/23 |
06/15/23 |
07/14/23 |
0.12 USD |
| 03/02/23 |
03/16/23 |
03/17/23 |
04/14/23 |
0.12 USD |
| 11/29/22 |
12/13/22 |
12/14/22 |
01/13/23 |
0.12 USD |
| 08/30/22 |
09/09/22 |
09/12/22 |
10/07/22 |
0.12 USD |
| 06/01/22 |
06/10/22 |
06/13/22 |
07/08/22 |
0.12 USD |
| 03/01/22 |
03/10/22 |
03/11/22 |
04/08/22 |
0.12 USD |
| 11/30/21 |
12/09/21 |
12/10/21 |
01/07/22 |
0.12 USD |
| 09/02/21 |
09/10/21 |
09/13/21 |
10/06/21 |
0.12 USD |
| 06/01/21 |
06/15/21 |
06/16/21 |
07/07/21 |
0.12 USD |
| 03/02/21 |
03/09/21 |
03/10/21 |
04/07/21 |
0.12 USD |
| 12/01/20 |
12/08/20 |
12/09/20 |
01/06/21 |
0.12 USD |
| 08/25/20 |
09/08/20 |
09/09/20 |
10/07/20 |
0.12 USD |
| 04/20/20 |
06/09/20 |
06/10/20 |
07/01/20 |
0.12 USD |
| 01/30/20 |
03/10/20 |
03/11/20 |
04/01/20 |
0.12 USD |
| 10/23/19 |
12/10/19 |
12/11/19 |
01/02/20 |
0.12 USD |
| 06/26/19 |
09/10/19 |
09/11/19 |
10/02/19 |
0.1125 USD |
| 04/04/19 |
06/11/19 |
06/12/19 |
07/03/19 |
0.1125 USD |
| 01/31/19 |
03/12/19 |
03/13/19 |
04/03/19 |
0.1125 USD |
| 09/20/18 |
12/11/18 |
12/12/18 |
01/02/19 |
0.1125 USD |
| 07/19/18 |
09/11/18 |
09/12/18 |
10/03/18 |
0.1125 USD |
| 04/05/18 |
06/12/18 |
06/13/18 |
07/05/18 |
0.1125 USD |
| 01/18/18 |
03/13/18 |
03/14/18 |
04/04/18 |
0.075 USD |
| 11/09/17 |
12/12/17 |
12/13/17 |
01/03/18 |
0.075 USD |
| 07/20/17 |
09/12/17 |
09/13/17 |
10/04/17 |
0.065 USD |
| 03/23/17 |
06/12/17 |
06/14/17 |
07/05/17 |
0.065 USD |
| 01/26/17 |
03/13/17 |
03/15/17 |
04/05/17 |
0.065 USD |
| 11/10/16 |
12/12/16 |
12/14/16 |
01/04/17 |
0.065 USD |
| 07/28/16 |
10/10/16 |
10/12/16 |
10/31/16 |
0.055 USD |
| 03/24/16 |
06/06/16 |
06/08/16 |
07/06/16 |
0.055 USD |
| 01/28/16 |
03/07/16 |
03/09/16 |
04/06/16 |
0.055 USD |
| 11/12/15 |
12/07/15 |
12/09/15 |
01/06/16 |
0.055 USD |
*For date clarification, go to: http://www.sec.gov/answers/dividen.htm
*The Ex-Date set per SEC Rule 15c6-1(a) during T+2 was 1 business day pre-Record Date (started 09/05/17); Effective 05/28/24, with T+1 settlement, the ex-date is the same as record date. DTC is working with the organized securities exchanges and FINRA to determine when the ex-date shift will occur. This change should have no impact on DTC Corporate Action output such as CA Web or ISO 20022 to clients.