0001062993-24-011451.txt : 20240529 0001062993-24-011451.hdr.sgml : 20240529 20240529193731 ACCESSION NUMBER: 0001062993-24-011451 CONFORMED SUBMISSION TYPE: 4 PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20240528 FILED AS OF DATE: 20240529 DATE AS OF CHANGE: 20240529 REPORTING-OWNER: OWNER DATA: COMPANY CONFORMED NAME: Mottram Phil CENTRAL INDEX KEY: 0001864624 ORGANIZATION NAME: FILING VALUES: FORM TYPE: 4 SEC ACT: 1934 Act SEC FILE NUMBER: 001-37483 FILM NUMBER: 241000345 MAIL ADDRESS: STREET 1: 11445 COMPAQ CENTER DRIVE WEST CITY: HOUSTON STATE: TX ZIP: 77070 ISSUER: COMPANY DATA: COMPANY CONFORMED NAME: Hewlett Packard Enterprise Co CENTRAL INDEX KEY: 0001645590 STANDARD INDUSTRIAL CLASSIFICATION: COMPUTER & OFFICE EQUIPMENT [3570] ORGANIZATION NAME: 06 Technology IRS NUMBER: 473298624 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 BUSINESS ADDRESS: STREET 1: 1701 E MOSSY OAKS ROAD CITY: SPRING STATE: TX ZIP: 77389 BUSINESS PHONE: 678-259-9860 MAIL ADDRESS: STREET 1: 1701 E MOSSY OAKS ROAD CITY: SPRING STATE: TX ZIP: 77389 4 1 form4.xml STATEMENT OF CHANGES IN BENEFICIAL OWNERSHIP OF SECURITIES X0508 4 2024-05-28 0001645590 Hewlett Packard Enterprise Co HPE 0001864624 Mottram Phil C/O HEWLETT PACKARD ENTERPRISE COMPANY 1701 E MOSSY OAKS ROAD SPRING TX 77389 0 1 0 0 EVP, GM, Intelligent Edge 0 Common Stock 2024-05-28 4 M 0 17140 18.41 A 43606 D Common Stock 2024-05-28 4 F 0 8499 18.41 D 35107 D Restricted Stock Units 2024-05-28 4 M 0 17140 D Common Stock 17140 0 D Restricted Stock Units 2024-01-11 4 A 0 500.79 A Common Stock 500.79 35038.7854 D Restricted Stock Units 2024-01-11 4 A 0 1418.44 A Common Stock 1418.44 96191.4351 D Restricted Stock Units 2024-01-11 4 A 0 2388.97 A Common Stock 2388.97 157475.9668 D Each restricted stock unit represents a contingent right to receive one share of Issuer's common stock. As previously reported, on 05/28/21 the reporting person was granted 46,992 restricted stock units ("RSUs"), 15,664 of which vested on 05/28/22, 15,664 of which vested on 05/28/23, and 15,664 of which vested on 05/28/24. Dividend equivalent rights accrue with respect to these RSUs when and as dividends are paid on Issuer's common stock. The number of derivative securities in column 5 includes 124.3934 dividend equivalent rights at $16.37 per RSU credited to the reporting person's account on 01/11/24, and 116.8955 dividend equivalent rights at $17.42 per RSU credited to the reporting person's account on 04/12/24. The number of derivative securities in column 5 reflects 1,476 vested dividend equivalent rights and a de minimus adjustment of 0.2313 due to fractional rounding of the dividend equivalent rights. As previously reported, on 12/09/21 the reporting person was granted 97,529 RSUs, 32,509 of which vested on 12/09/22, 32,510 of which vested on 12/09/23, and 32,510 of which will vest on 12/09/24. Dividend equivalent rights accrue with respect to these RSUs when and as dividends are paid on Issuer's common stock. The number of derivative securities in column 5 reflects 258.1735 dividend equivalent rights at $16.37 per RSU credited to the reporting person's account on 01/11/24, and 242.6119 dividend equivalent rights at $17.42 per RSU credited to the reporting person's account on 04/12/24. As previously reported, on 12/08/22, the reporting person was granted 138,122 RSUs, 46,040 of which vested on 12/08/23, and 46,041 of which will vest on each of 12/08/24 and12/08/25. Dividend equivalent rights accrue with respect to these RSUs when and as dividends are paid on Issuer's common stock. The number of derivative securities in column 5 reflects 731.2560 dividend equivalent rights at $16.37 per RSU credited to the reporting person's account on 01/11/24, and 687.1791 dividend equivalent rights at $17.42 per RSU credited to the reporting person's account on 04/12/24. As previously reported, on 12/07/23, the reporting person was granted 155,087 RSUs, 51,695 of which will vest on 12/07/24 and 51,696 of which will vest on each of 12/07/25 and 12/07/26. Dividend equivalent rights accrue with respect to these RSUs when and as dividends are paid on Issuer's common stock. The number of derivative securities in column 5 reflects 1,231.6011 dividend equivalent rights at $16.37 per RSU credited to the reporting person's account on 01/11/24, and 1,157.3657 dividend equivalent rights at $17.42 per RSU credited to the reporting person's account on 04/12/24. Ki Hoon Kim Attorney-in-Fact for Philip J. Mottram 2024-05-29