Revenue: $682,000,000, YoY +12.73%, QoQ +2.56% | Gross Profit: $524,000,000, YoY +13.91%, QoQ +3.15% | Gross Margin: 76.83% | Operating Income: $8,000,000, YoY swing suggests improving but still tight margins; Operating Income Margin: 1.17% | EBITDA: $43,000,000, EBITDA Margin: 6.30% | Net Income: $23,000,000, Net Margin: 3.37% | EPS (Diluted): $0.13 | Weighted Average Shares (out): 171.94M; Weighted Average Diluted: 175.28M | Operating Cash Flow: $286,000,000 | Free Cash Flow: $284,000,000 | Cash at End of Period: $415,000,000 | Cash & Short-Term Investments: $2,523,000,000 | Total Debt: $952,000,000 | Net Debt (as reported): $543,000,000 | Current Ratio: 1.30 | Quick Ratio: 1.30 | Capital allocation: common stock repurchased $35,000,000; common stock issued $33,000,000; debt repayments $40,000,000; net financing -$7,000,000