Font: Financial Modeling Prep • Sep 02, 2026
Hewlett Packard Enterprise (NYSE: HPE) is a global technology company that provides intelligent solutions for businesses. As it prepares to release its upcoming earnings report on September 2, 2026, investors are watching closely. HPE is often seen as a "dividend play" for investors seeking income, a contrast to growth-focused tech stocks like Snowflake (NYSE: SNOW), as highlighted by 24/7 Wall Street.
For its upcoming report, Wall Street analysts estimate HPE will announce an earnings per share (EPS) of $0.93. This is a significant increase from the $0.44 per share reported in the same quarter last year. The company's revenue is also expected to grow, with estimates around $11.97 billion, up from $9.14 billion a year ago.
This follows a strong second quarter where HPE surpassed earnings estimates. Despite this positive outlook and a "Buy" rating maintained by B of A Securities analyst Wamsi Mohan, as highlighted by Benzinga, HPE's shares recently slipped 2.6% to $50.87. This shows that past performance does not always predict short-term stock movements.
A key area of focus for investors is the company's AI business and its profitability. While HPE secured $1.8 billion in new AI orders in the second quarter, a Seeking Alpha article notes that the market is concerned about margins. Investors will be watching to see if HPE can turn these orders into revenue without hurting its 21.6% segment margin.
Looking at its financial health, HPE has a Debt-to-Equity ratio of 0.84, meaning it has less debt than shareholder equity. Its current ratio of 1.09 suggests it can meet its short-term financial duties. The company's Price-to-Earnings (P/E) ratio, which compares its share price to its earnings, stands at 46.65.
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