diff --git a/SECURITY.md b/SECURITY.md
index d9a8762..6d3816c 100644
--- a/SECURITY.md
+++ b/SECURITY.md
@@ -27,5 +27,509 @@ Please include as much of the information listed below as you can to help us bet
 This information will help us triage your report more quickly.
 
 ## Policy
+- Insights
+Thank You. #22653
+ Closed
+1 task done
+zakwarlord7 opened this issue 1 minute ago · 0 comments
+Comments
+@zakwarlord7
+zakwarlord7 commented 1 minute ago
+Code of Conduct
+ I have read and agree to the GitHub Docs project's Code of Conduct
+What article on docs.github.com is affected?
+ahaava <3 :
 
+What changes are you suggesting?
+tty
+
+Additional information
+v,
+
+@zakwarlord7 zakwarlord7 added the content Problems or updates in the docs content on docs.github.com.label 1 minute ago
+@zakwarlord7
+Author
+zakwarlord7 commented 44 seconds ago
+                            Request Date : 07-29-2022
+
+                            Response Date : 07-29-2022                                  
+
+                            Tracking Number : 102393399156 
+
+                            Customer File Number : 132624428
+Wage and Income Transcript
+
+SSN Provided : XXX-XX-1725
+
+Tax Periood Requested : December, 2020
+
+Form W-2 Wage and Tax Statement
+
+EMployer :
+
+Employer's IDentification Number (EIN) :
+
+INTU
+
+2700 C
+
+Employee :
+
+Reciepient's Identification Number :xxx-xx-1725
+
+ZACH T WOOD
+
+5222 B
+
+Submission Type : Original document
+
+Wages, Tips and Other Compensation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5105000.00
+
+eral Income Tax Withheld . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1881380.00
+
+Social Security Wages :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . 137700.00
+
+Social Security Tax Withheld :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .853700
+
+Medicare Wages and Tips : .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .510500000
+
+Medicare Tax Withheld :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .118166700
+
+Social Security Tips :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .00000
+
+Allocated Tips :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .00000
+
+Dependent Care Benefits :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .000000
+
+Deffered Compensation :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .00000
+
+Code "Q" Nontaxable Combat Pay :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .00000
+
+Code "W" Employer Contributions tp a Health Savings Account :. . . . . . . . . . . . . . . . . . . . . . . . . .00000
+
+Code "Y" Defferels under a section 409A nonqualified Deferred Compensation plan :. . . . . . . . . . . . . . . . . .00000
+
+Code "Z" Income under section 409A on a nonqualified Deferred Compensation plan :. . . . . . . . . . . . . . . . .00000
+
+Code "R" Employer's Contribution to MSA :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ...00000
+
+Code "T" Expenses Incurred for Qualified Adoptions :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ..00000
+
+Code "V" Income from exercise of non-statutory stock options :. . . . . . . . . . . . . . . . . . . . . . . . . . . . 00000
+
+Code "AA" Designated Roth Contributions under a Section 401 (k) Plan :. . . . . . . . . . . . . . . . . . . ..00000
+
+Code "BB" Designated Roth Contributions under a Section 403 (b) Plan :. . . . . . . . . . . . . . . . . . . . .00000
+
+Code "DD" Cost of Employer-Sponsored Health Coverage :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. 00000
+
+Code "EE" Designated ROTH Contributions Under a Governmental Section 457 (b) Plan :
+
+Code "FF" Permitted benefits under a qualified small employer health reimbursment arrangement :$0.00 0
+
+Code "GG" Income from Qualifid Equity Grants Under Section 83 (i) :$0.00
+
+Code "HH" Aggregate Defferals Under section 83(i) Elections as of the Close of the Calendar Year :$0.00
+
+Third Party Sick Pay Indicator :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .Unanswered
+
+Retirement Plan Indicator :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . .Unanswered
+
+Statutory Employee :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . .Not Statutory Employee
+
+W2 Submission Type :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ...Original document
+
+W2 WHC SSN Validation Code :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Correct SSN
+
+The U.S. Internal Revenue Code of 1986, as amended, the Treasury Regulations promulgated thereunder, published
+
+pronouncements of the Internal Revenue Service, which may be cited or used as precedents, and case law, any of which
+
+may be changed at any time with retroactive effect.
+
+No opinion is expressed on any matters other than those specifically referred to above.
+
+Gross Profit 146698000000 42337000000 37497000000 35653000000 31211000000 30,818,000,000 25,056,000,000 19,744,000,000 22,177,000,000 25,055,000,000 22,931,000,000
+
+Revenue as Reported, Supplemental 257637000000 75325000000 65118000000 61880000000 55314000000 56,898,000,000 46,173,000,000 38,297,000,000 41,159,000,000 46,075,000,000
+40,499,000,0 257637000000 75325000000 65118000000 61880000000 55314000000
+
+56,898,000,000 46,173,000,000 38,297,000,000 41,159,000,000 64,133,000,000 34,071,000,000
+
+Other Revenue 6,428,000,000
+
+Cost of Revenue 110939000000 32988000000 27621000000 26227000000 24103000000
+
+-26,080,000,000 -21,117,000,000 -18,553,000,000 -18,982,000,000 -21,020,000,000 -17,568,000,000
+
+Cost of Goods and Services 110939000000 32988000000 27621000000 26227000000 24103000000
+
+-26,080,000,000 -21,117,000,000 -18,553,000,000 -18,982,000,000 -21,020,000,000 -17,568,000,000
+
+Operating Income/Expenses 67984000000 20452000000 16466000000 16292000000 14774000000
+
+-15,167,000,000 -13,843,000,000 -13,361,000,000 -14,200,000,000 -15,789,000,000 -13,754,000,000
+
+Selling, General and Administrative Expenses 36422000000 11744000000 8772000000 8617000000
+
+7289000000 -8,145,000,000 -6,987,000,000 -6,486,000,000 -7,380,000,000 -8,567,000,000
+
+-7,200,000,000
+
+General and Administrative Expenses 13510000000 4140000000 3256000000 3341000000
+
+2773000000 -2,831,000,000 -2,756,000,000 -2,585,000,000 -2,880,000,000 -2,829,000,000
+
+-2,591,000,000
+
+Selling and Marketing Expenses 22912000000 7604000000 5516000000 5276000000 4516000000
+
+-5,314,000,000 -4,231,000,000 -3,901,000,000 -4,500,000,000 -5,738,000,000 -4,609,000,000
+
+Research and Development Expenses 31562000000 8708000000 7694000000 7675000000
+
+7485000000 -7,022,000,000 -6,856,000,000 -6,875,000,000 -6,820,000,000 -7,222,000,000
+
+-6,554,000,000
+
+Total Operating Profit/Loss 78714000000 21885000000 21031000000 19361000000 16437000000
+
+15,651,000,000 11,213,000,000 6,383,000,000 7,977,000,000 9,266,000,000 9,177,000,000
+
+Non-Operating Income/Expenses, Total 12020000000 2517000000 2033000000 2624000000
+
+4846000000 3,038,000,000 2,146,000,000 1,894,000,000 -220,000,000 1,438,000,000 -549,000,000
+
+Total Net Finance Income/Expense 1153000000 261000000 310000000 313000000 269000000
+
+333,000,000 412,000,000 420,000,000 565,000,000 604,000,000 608,000,000
+
+Net Interest Income/Expense 1153000000 261000000 310000000 313000000 269000000
+
+333,000,000 412,000,000 420,000,000 565,000,000 604,000,000 608,000,000
+
+Interest Expense Net of Capitalized Interest 346000000 117000000 77000000 76000000 76000000 -53,000,000 -48,000,000 -13,000,000 -21,000,000 -17,000,000 -23,000,000
+
+Interest Income 1499000000 378000000 387000000 389000000 345000000 386,000,000 460,000,000 433,000,000 586,000,000 621,000,000 631,000,000
+
+Net Investment Income 12364000000 2364000000 2207000000 2924000000 4869000000
+
+3,530,000,000 1,957,000,000 1,696,000,000 -809,000,000 899,000,000 -1,452,000,000
+
+Gain/Loss on Investments and Other Financial Instruments 12270000000 2478000000 2158000000
+
+2883000000 4751000000 3,262,000,000 2,015,000,000 1,842,000,000 -802,000,000 399,000,000
+
+-1,479,000,000
+
+Income from Associates, Joint Ventures and Other Participating Interests 334000000 49000000 188000000
+
+92000000 5000000 355,000,000 26,000,000 -54,000,000 74,000,000 460,000,000 -14,000,000
+
+Gain/Loss on Foreign Exchange 240000000 163000000 139000000 51000000 113000000 -87,000,000 -84,000,000 -92,000,000 -81,000,000 40,000,000 41,000,000
+
+Irregular Income/Expenses 0 0 0 0 0 0 0 0
+
+Other Irregular Income/Expenses 0 0 0 0 0 0 0 0
+
+Other Income/Expense, Non-Operating 1497000000 108000000 484000000 613000000 292000000 -825,000,000 -223,000,000 -222,000,000 24,000,000 -65,000,000 295,000,000
+
+Pretax Income 90734000000 24402000000 23064000000 21985000000 21283000000 18,689,000,000 13,359,000,000 8,277,000,000 7,757,000,000 10,704,000,000 8,628,000,000
+
+Provision for Income Tax 14701000000 3760000000 4128000000 3460000000 3353000000 -3,462,000,000 -2,112,000,000 -1,318,000,000 -921,000,000 -33,000,000 -1,560,000,000
+
+Net Income from Continuing Operations 76033000000 20642000000 18936000000 18525000000 17930000000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
+
+Net Income after Extraordinary Items and Discontinued Operations 76033000000 20642000000 18936000000 18525000000 17930000000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
+
+Net Income after Non-Controlling/Minority Interests 76033000000 20642000000 18936000000 18525000000 17930000000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
+
+Net Income Available to Common Stockholders 76033000000 20642000000 18936000000 18525000000 17930000000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
+
+Diluted Net Income Available to Common Stockholders 76033000000 20642000000 18936000000 18525000000 17930000000 15,227,000,000 11,247,000,000 6,959,000,000 6,836,000,000 10,671,000,000 7,068,000,000
+
+Income Statement Supplemental Section
+
+Reported Normalized and Operating Income/Expense Supplemental Section
+
+Total Revenue as Reported, Supplemental 257637000000 75325000000 65118000000 61880000000 55314000000 56,898,000,000 46,173,000,000 38,297,000,000 41,159,000,000 46,075,000,000 40,499,000,000
+
+Total Operating Profit/Loss as Reported, Supplemental 78714000000 21885000000 21031000000 19361000000 16437000000 15,651,000,000 11,213,000,000 6,383,000,000 7,977,000,000 9,266,000,000 9,177,000,000
+
+Reported Effective Tax Rate 0 0 0 0 0 0 0 0
+
+Reported Normalized Income 6,836,000,000
+
+Reported Normalized Operating Profit 7,977,000,000
+
+Other Adjustments to Net Income Available to Common Stockholders
+
+Discontinued Operations
+
+Basic EPS        333.90        31        28        28        27        23        17        10        10        15        10
+
+Basic EPS from Continuing Operations        114        31        28        28        27        22        17        10        10        15        10
+
+Basic EPS from Discontinued Operations                                                                                        
+
+Diluted EPS        3330.90        31        28        27        26        22        16        10        10        15        10
+
+Diluted EPS from Continuing Operations 3330.90 31 28 27 26 22 16 10 10 15        
+
+Diluted EPS from Discontinued Operations                                                                                        
+
+Basic Weighted Average Shares Outstanding 667650000 662664000 665758000 668958000 673220000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
+
+Diluted Weighted Average Shares Outstanding 677674000 672493000 676519000 679612000 682071000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
+
+Reported Normalized Diluted EPS
+
+Basic EPS        114        31        28        28        27        23        17        10        10        15        10
+
+Diluted EPS        112        31        28        27        26        22        16        10        10        15        10
+
+
+
+Basic WASO 667650000 662664000 665758000 668958000 673220000 675,581,000 679,449,000 681,768,000 686,465,000 688,804,000 692,741,000
+
+Diluted WASO 677674000 672493000 676519000 679612000 682071000 682,969,000 685,851,000 687,024,000 692,267,000 695,193,000 698,199,000
+
+Fiscal year end September 28th., 2022. | USD                                                                                        
+
+
+
+31622,6:39 PM                                                                                        
+
+
+
+    Morningstar.com Intraday Fundamental Portfolio View Print Report                                                                
+Print 3/6/2022 at 6:37 PM
+
+Current Value
+
+                                                                                        15,335,150,186,014
+
+
+
+
+
+
+
+GOOGL_income-statement_Quarterly_As_Originally_Reported Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020                                        
+
+
+
+
+Net Cash Flow from Continuing Operating Activities, Indirect 24934000000 25539000000 37497000000 31211000000 
+30818000000
+
+Cash Generated from Operating Activities                24934000000        25539000000        21890000000        
+19289000000 22,677,000,000
+
+                    Income/Loss before Non-Cash Adjustment                20642000000        25539000000        21890000000        
+19289000000 22,677,000,000
+
+Total Adjustments for Non-Cash Items                6517000000        18936000000        18525000000        17930000000        
+15,227,000,000
+
+Depreciation, Amortization and Depletion, Non-Cash Adjustment                3439000000        3797000000        4236000000        2592000000        5,748,000,000                                        
+
+
+
+
+Depreciation and Amortization, Non-Cash Adjustment                3439000000        3304000000        2945000000        
+2753000000 3,725,000,000
+
+Depreciation, Non-Cash Adjustment                3215000000        3304000000        2945000000        2753000000        
+3,725,000,000
+
+Amortization, Non-Cash Adjustment                224000000        3085000000        2730000000        2525000000        
+3,539,000,000
+
+Stock-Based Compensation, Non-Cash Adjustment                3954000000        219000000        215000000        
+228000000 186,000,000
+
+Taxes, Non-Cash Adjustment                1616000000        3874000000        3803000000        3745000000        
+3,223,000,000
+
+Investment Income/Loss, Non-Cash Adjustment                2478000000        1287000000        379000000        
+1100000000 1,670,000,000
+
+Gain/Loss on Financial Instruments, Non-Cash Adjustment                2478000000        2158000000        2883000000        
+4751000000 -3,262,000,000
+
+Other Non-Cash Items                14000000        2158000000        2883000000        4751000000        -3,262,000,000                                                
+Changes in Operating Capital 2225000000 64000000 8000000 255000000 392,000,000
+
+Change in Trade and Other Receivables                5819000000        2806000000        871000000        1233000000        
+1,702,000,000 Change in Trade/Accounts Receivable 5819000000 2409000000
+3661000000 2794000000 -5,445,000,000
+
+Change in Other Current Assets                399000000        2409000000        3661000000        2794000000        
+-5,445,000,000
+
+Change in Payables and Accrued Expenses                6994000000        1255000000        199000000        7000000        
+-738,000,000
+
+Change in Trade and Other Payables                1157000000        3157000000        4074000000        4956000000        
+6,938,000,000
+
+Change in Trade/Accounts Payable                1157000000        238000000        130000000        982000000        
+963,000,000
+
+Change in Accrued Expenses                5837000000        238000000        130000000        982000000        963,000,000                                        
+
+
+
+
+Change in Deferred Assets/Liabilities                368000000        2919000000        4204000000        3974000000        
+5,975,000,000
+
+Change in Other Operating Capital                3369000000        272000000        3000000        137000000        207,000,000                                        
+
+
+
+Change in Prepayments and Deposits                        3041000000        1082000000        785000000        740,000,000                                                
+Cash Flow from Investing Activities 11016000000
+
+Cash Flow from Continuing Investing Activities                11016000000        10050000000        9074000000        
+5383000000 -7,281,000,000
+
+Purchase/Sale and Disposal of Property, Plant and Equipment, Net                6383000000        10050000000        
+9074000000 5383000000 -7,281,000,000
+
+Purchase of Property, Plant and Equipment                6383000000        6819000000        5496000000        5942000000        
+-5,479,000,000
+
+Sale and Disposal of Property, Plant and Equipment                        6819000000        5496000000        5942000000        
+-5,479,000,000
+
+Purchase/Sale of Business, Net                385000000                                                                        
+
+Purchase/Acquisition of Business                385000000        259000000        308000000        1666000000        -370,000,000                                        
+
+Purchase/Sale of Investments, Net                4348000000        259000000        308000000        1666000000        -370,000,000                                        
+
+Purchase of Investments                40860000000        3360000000        3293000000        2195000000        -1,375,000,000                                        
+
+Sale of Investments                36512000000        35153000000        24949000000        37072000000        -36,955,000,000                                        
+Other Investing Cash Flow 100000000 31793000000 21656000000 39267000000 35,580,000,000
+
+Purchase/Sale of Other Non-Current Assets, Net 388000000 23000000 30000000 -57,000,000
+
+Sales of Other Non-Current Assets
+
+Cash Flow from Financing Activities 16511000000 15254000000
+
+Cash Flow from Continuing Financing Activities 16511000000 15254000000 15991000000 13606000000 -9,270,000,000
+
+Issuance of/Payments for Common Stock, Net 13473000000 12610000000 15991000000 13606000000 -9,270,000,000
+Payments for Common Stock 13473000000 12610000000 12796000000 11395000000 -7,904,000,000
+
+Proceeds from Issuance of Common Stock 12796000000 11395000000 -7,904,000,000
+
+Issuance of/Repayments for Debt, Net 115000000 42000000
+
+Issuance of/Repayments for Long Term Debt, Net 115000000 42000000 1042000000 37000000 -57,000,000
+
+Proceeds from Issuance of Long Term Debt 6250000000 6350000000 1042000000 37000000 -57,000,000
+
+Repayments for Long Term Debt                6365000000        6392000000        6699000000        900000000        0                                        
+
+Proceeds from Issuance/Exercising of Stock Options/Warrants                2923000000        2602000000        7741000000        937000000        -57000000   2453000000        2184000000        1647000000-                                        
+
+Other Financing Cash Flow                                                                                        
+
+Cash and Cash Equivalents, End of Period                                                                                        
+
+Change in Cash                0                300000000        10000000        338,000,000,000                                        
+Effect of Exchange Rate Changes 20945000000 23719000000 23630000000 26622000000 26,465,000,000
+
+Cash and Cash Equivalents, Beginning of Period 25930000000 235000000000 3175000000 300000000 6,126,000,000
+
+Cash Flow Supplemental Section                181000000000        146000000000        183000000        143000000        210,000,000                                        
+
+Change in Cash as Reported, Supplemental                23719000000000        23630000000000        26622000000000        26465000000000        20,129,000,000,000                                        
+
+Income Tax Paid, Supplemental                2774000000        89000000        2992000000                6,336,000,000                                        
+
+Cash and Cash Equivalents, Beginning of Period                13412000000        157000000                        -4,990,000,000                                        
+
+12 Months Ended_________________________________________________________Q42020                        Q42019                                        
+
+Income Statement                                                                                         
+
+USD in "000'"s                                                                                        
+
+Repayments for Long Term Debt                                                                          Dec. 31, 2020               Dec. 31, 2019                                        
+
+Costs and expenses:                                                                                        
+
+Cost of revenues                                         182527                        161,857                                        
+
+Research and development                                                                                        
+
+Sales and marketing                        84732                        71,896                                        
+
+General and administrative                        27573                        26,018                                        
+
+European Commission fines                        17946                        18,464                                        
+
+Total costs and expenses                        11052                        9,551                                        
+
+Income from operations                        0                        1,697                                        
+
+Other income (expense), net                        141303                        127,626                                        
+
+Income before income taxes                        41224                        34,231                                        
+
+Provision for income taxes                        6858000000                        5,394                                        
+
+Net income                        22677000000                        19,289,000,000                                        
+
+*include interest paid, capital obligation, and underweighting                        22677000000                        19,289,000,000                                        
+
+                        22677000000                        19,289,000,000                                        
+
+Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)--                                                                                        
+
+Diluted net income per share of Class A and Class B common stock and Class C capital stock (in dollars par share)                                                                                        
+
+For Paperwork Reduction Act Notice, see the seperate Instructions.                                                                                        
+
+
+JPMORGAN TRUST III                                                                                        
+
+A/R Aging Summary                                                                                        
+
+As of July 28, 2022                                                                                        
+
+ZACHRY T WOOD
+Days over due 31 - 60 61 - 90 91 and over
+
+TOTAL                         £134,839.00
+
+ Alphabet Inc.                                                                                          
+
+ Ann. Rev. Date          £43,830.00          £43,465.00          £43,100.00          £42,735.00          £42,369.00                                                 
+
+ Revenues          £161,857.00          £136,819.00          £110,855.00          £90,272.00          £74,989.00                                                 
+
+ Cost of revenues         -£71,896.00         -£59,549.00         -£45,583.00         -£35,138.00         -£28,164.00                                                 
+
+Gross profit          £89,961.00          £77,270.00          £65,272.00          £55,134.00          £46,825.00                                                 
+
+
+ Research and development         -£26,018.00         -£21,419.00         -£16,625.00         -£13,948.00         -£12,282.00                                                 
+
+ Sales and marketing         -£18,464.00         -£16,333.00         -£12,893.00         -£10,485.00         -£9,047.00                                                 
+
+ General and administrative         -£9,551.00         -£8,126.00         -£6,872.00         -£6,985.00         -£6,136.00                                                 
+
+ European Commission fines                                                                  -£1,697.00         -£5,071.00         -£2,736.00          —          —                                                 
+
+     Income from operations                                                                                                                                                                                             £34,231.00          £26,321.00          £26,146.00          £23,716.00          £19,360.00                                                 
+
+     Interest income
+@zakwarlord7 zakwarlord7 closed this as completed  :
 See [GitHub's Safe Harbor Policy](https://docs.github.com/en/site-policy/security-policies/github-bug-bounty-program-legal-safe-harbor)