Revenue: $1,548,490,000; YoY +0.53%, QoQ +31.32%
Gross Profit: $306,224,000; Gross Margin 19.78%; YoY -76.75%, QoQ +522.76%
Operating Income: $301,578,000; Operating Margin 19.48%; YoY -24.54%, QoQ +586.03%
Net Income: $195,417,000; Net Margin 12.62%; YoY -23.91%, QoQ +2117.31%
EPS: $0.95; YoY -25.20%, QoQ +2023.08%
Cash Flow and Capital Allocation
Net Cash Provided by Operating Activities: $453,903,000
Depreciation & Amortization: $224,313,000
Capital Expenditures: $(963,163,000)
Free Cash Flow: $(509,260,000)
Net Change in Cash: $(381,383,000)
Cash at End of Period: $1,153,161,000
Balance Sheet and Leverage
Total Assets: $19,305,427,000
Total Liabilities: $11,954,986,000
Total Debt: $6,259,350,000; Net Debt: $5,106,189,000
Shareholders’ Equity: $7,350,441,000
Current Ratio: 1.99; Quick Ratio: 1.817
Long-Term Debt: $4,456,254,000; Debt-to-Capitalization: 0.463; Debt-to-Equity: 0.862
Interest Coverage: 4.15x
EBITDA Margin: 34.44%
Gross Margin: 19.78%; Operating Margin: 19.48%; Net Margin: 12.62%