Revenue: $36.032 million; YoY +12.57%, QoQ -1.44%. Gross Profit: $24.143 million; YoY +19.36%, QoQ -2.22%. Operating Income: $8.799 million; YoY +36.44%, QoQ -5.11%. Net Income: $7.159 million; YoY +35.25%, QoQ -2.57%. EPS: $0.83 (basic), $0.84 (diluted); YoY +18.57%, QoQ -3.49%. EBITDA: $11.962 million; EBITDARatio 0.33198; Operating Margin 24.42%; Net Margin 19.87%; ROA 0.263%, ROE 2.75%. Balance sheet strength evidenced by total assets of $2.723 billion, cash and cash equivalents of $96.4 million, and a sizable investment portfolio with long-term investments of $1.939 billion. Cash flow from operations: $24.008 million; free cash flow: $23.349 million; net debt: $114.001 million. Leverage remains modest with debt of $210.752 million and debt-to-capitalization around 0.447. Dividends paid during the period totaled $2.511 million with a dividend payout ratio of 35.1%.