Revenue: $8,864,104,000; YoY: -3.38%; QoQ: -9.24%
Gross Profit: $389,352,000; Gross Margin: 4.39%
EBITDA: $480,375,000; EBITDA Margin: 5.42%
Operating Income: $124,637,000; Operating Margin: 1.41%
Net Income: $260,483,000; Net Margin: 2.94%
Cash Flow from Operations: -$337,818,000
Free Cash Flow: -$457,800,000
Net Cash Provided by Financing Activities (net): $644,209,000
Cash and Cash Equivalents, End of Period: $457,521,000
Total Debt: $3,689,241,000; Net Debt: $3,231,720,000
Total Assets: $20,743,613,000; Total Liabilities: $9,536,791,000; Total Stockholders’ Equity: $11,203,345,000
Current Assets: $9,900,320,000; Current Liabilities: $6,968,495,000; Current Ratio: ~1.42x
Equity Base: Strong with Accumulated Other Comprehensive Income of ~$8.94B and total equity of ~$11.20B
Notes: Q1 2026 results include a notable positive contribution from total other income ( ~$147.6M ), lifting income before tax to ~$272.2M and net income to ~$260.5M despite operating profitability being more modest.