Revenue: $1,295,558,000 in QQ3 2025, YoY +0.96%, QoQ +13.94% (vs QQ2 2025). Gross Profit: $751,529,000, margin 58.01%, YoY +10.86%, QoQ +31.46%. Operating Income: $581,165,000, margin 44.86%, YoY -0.66%, QoQ +51.18%. Net Income: $392,752,000, margin 30.32%, YoY +8.50%, QoQ +59.95%. EPS (Diluted): $10.54, YoY +10.24%, QoQ +61.07%. EBITDA: $661,305,000, EBITDA margin 51.04%. Net Debt: $2,485,162,000; Cash & Equivalents: $467,034,000; Total Debt: $2,952,196,000. Cash Flow: Operating cash flow $117,749,000; Capex $33,221,000; Free Cash Flow $84,528,000. Balance Sheet: Total Assets $5,763,049,000; Total Liabilities $4,527,114,000; Total Equity $895,375,000. Liquidity and leverage indicators point to solid profitability and cash generation, offset by elevated leverage (net debt/EBITDA โ 3.75x). Shareholder capital return included a $30,000,000 share repurchase and dividends of $82,481,000 in the period.