Revenue: $489.87M, YoY +96.6%, QoQ +13.6%. Gross profit: $331.25M, margin ~67.6%, YoY +54.4%, QoQ +9.6%. Operating income: $208.40M, margin ~42.5%, YoY +172.9%, QoQ -13.5%. Net income: $95.22M, margin ~19.4%, YoY +73.3%, QoQ -1.2%. EPS: $1.58, YoY +154.8%, QoQ -4.2%. EBITDA: $243.46M, EBITDA margin ~49.7% of revenue. Operating cash flow: $208.01M; Free cash flow: $200.53M; FCF per share: $3.33. Balance sheet: Total assets $8.3019B; Total liabilities $7.13497B; Total stockholdersβ equity $1.16365B. Cash and equivalents $0.8728B; Short-term investments $3.9052B; Long-term investments $4.0402B. Net debt $2.1940B; Debt/Capitalization ~72.5%; Current ratio 1.355; DSO ~336.5 days; Deferred revenue current ~$2.27383B; Deferred revenue non-current ~$60.088M. Key valuation metrics (preliminary): P/B ~3.62; P/E ~11.06; EV/FCF ~21.0. Cash balance supports liquidity to fund operations and potential strategic initiatives.