Revenue: $90.234B; YoY +12.0%, QoQ -6.5%. Gross Profit: $53.873B; YoY +15.1%, QoQ -3.6%. Gross Margin: 59.70%. Operating Income: $30.606B; YoY +20.2%, QoQ -1.2%. Operating Margin: 33.9%. Net Income: $34.54B; YoY +45.97%, QoQ +30.16%. EPS (diluted): $2.81; YoY +48.69%, QoQ +30.88%. Free Cash Flow: $18.95B; FCF Margin ~21.0%. Cash Flow: Operating cash flow $36.15B; Capex $17.20B; Cash & Equivalents $23.26B; Total Cash & Investments $95.33B. Balance Sheet: Total Assets $475.37B; Total Liabilities $130.11B; Total Stockholdersβ Equity $345.27B. Net Debt: $0.30B; Cash Ratio 0.254; Current Ratio 1.77. Return metrics: ROA 7.27%, ROE 10.0%, ROCE 7.98%. Valuation multiples: P/E 13.64x, Price/Sales 20.88x, P/FCF 99.40x, P/BV 5.46x. Dividend yield 0.129%; Dividend payout ~7.05% of earnings. Share repurchases: $15.07B in the quarter; Dividends paid: $2.43B.