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  1. Thanks for helping make GitHub safe for everyone.
  2. ## Security
  3. GitHub takes the security of our software products and services seriously, including all of the open source code repositories managed through our GitHub organizations, such as [GitHub](https://github.com/GitHub).
  4. Even though [open source repositories are outside of the scope of our bug bounty program](https://bounty.github.com/index.html#scope) and therefore not eligible for bounty rewards, we will ensure that your finding gets passed along to the appropriate maintainers for remediation.
  5. ## Reporting Security Issues
  6. If you believe you have found a security vulnerability in any GitHub-owned repository, please report it to us through coordinated disclosure.
  7. **Please do not report security vulnerabilities through public GitHub issues, discussions, or pull requests.**
  8. Instead, please send an email to opensource-security[@]github.com.
  9. Please include as much of the information listed below as you can to help us better understand and resolve the issue:
  10. * The type of issue (e.g., buffer overflow, SQL injection, or cross-site scripting)
  11. * Full paths of source file(s) related to the manifestation of the issue
  12. * The location of the affected source code (tag/branch/commit or direct URL)
  13. * Any special configuration required to reproduce the issue
  14. * Step-by-step instructions to reproduce the issue
  15. * Proof-of-concept or exploit code (if possible)
  16. * Impact of the issue, including how an attacker might exploit the issue
  17. This information will help us triage your report more quickly.
  18. ## Policy
  19. - Insights
  20. Thank You. #22653
  21. Closed
  22. 1 task done
  23. zakwarlord7 opened this issue 1 minute ago · 0 comments
  24. Comments
  25. @zakwarlord7
  26. zakwarlord7 commented 1 minute ago
  27. Code of Conduct
  28. I have read and agree to the GitHub Docs project's Code of Conduct
  29. What article on docs.github.com is affected?
  30. ahaava <3 :
  31. What changes are you suggesting?
  32. tty
  33. Additional information
  34. v,
  35. @zakwarlord7 zakwarlord7 added the content Problems or updates in the docs content on docs.github.com.label 1 minute ago
  36. @zakwarlord7
  37. Author
  38. zakwarlord7 commented 44 seconds ago
  39. Request Date : 07-29-2022
  40. Response Date : 07-29-2022
  41. Tracking Number : 102393399156
  42. Customer File Number : 132624428
  43. Wage and Income Transcript
  44. SSN Provided : XXX-XX-1725
  45. Tax Periood Requested : December, 2020
  46. Form W-2 Wage and Tax Statement
  47. EMployer :
  48. Employer's IDentification Number (EIN) :
  49. INTU
  50. 2700 C
  51. Employee :
  52. Reciepient's Identification Number :xxx-xx-1725
  53. ZACH T WOOD
  54. 5222 B
  55. Submission Type : Original document
  56. Wages, Tips and Other Compensation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5105000.00
  57. eral Income Tax Withheld . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1881380.00
  58. Social Security Wages :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . 137700.00
  59. Social Security Tax Withheld :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .853700
  60. Medicare Wages and Tips : .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .510500000
  61. Medicare Tax Withheld :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .118166700
  62. Social Security Tips :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .00000
  63. Allocated Tips :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .00000
  64. Dependent Care Benefits :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .000000
  65. Deffered Compensation :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .00000
  66. Code "Q" Nontaxable Combat Pay :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .00000
  67. Code "W" Employer Contributions tp a Health Savings Account :. . . . . . . . . . . . . . . . . . . . . . . . . .00000
  68. Code "Y" Defferels under a section 409A nonqualified Deferred Compensation plan :. . . . . . . . . . . . . . . . . .00000
  69. Code "Z" Income under section 409A on a nonqualified Deferred Compensation plan :. . . . . . . . . . . . . . . . .00000
  70. Code "R" Employer's Contribution to MSA :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ...00000
  71. Code "T" Expenses Incurred for Qualified Adoptions :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ..00000
  72. Code "V" Income from exercise of non-statutory stock options :. . . . . . . . . . . . . . . . . . . . . . . . . . . . 00000
  73. Code "AA" Designated Roth Contributions under a Section 401 (k) Plan :. . . . . . . . . . . . . . . . . . . ..00000
  74. Code "BB" Designated Roth Contributions under a Section 403 (b) Plan :. . . . . . . . . . . . . . . . . . . . .00000
  75. Code "DD" Cost of Employer-Sponsored Health Coverage :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. 00000
  76. Code "EE" Designated ROTH Contributions Under a Governmental Section 457 (b) Plan :
  77. Code "FF" Permitted benefits under a qualified small employer health reimbursment arrangement :$0.00 0
  78. Code "GG" Income from Qualifid Equity Grants Under Section 83 (i) :$0.00
  79. Code "HH" Aggregate Defferals Under section 83(i) Elections as of the Close of the Calendar Year :$0.00
  80. Third Party Sick Pay Indicator :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .Unanswered
  81. Retirement Plan Indicator :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . .Unanswered
  82. Statutory Employee :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . .Not Statutory Employee
  83. W2 Submission Type :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ...Original document
  84. W2 WHC SSN Validation Code :. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Correct SSN
  85. The U.S. Internal Revenue Code of 1986, as amended, the Treasury Regulations promulgated thereunder, published
  86. pronouncements of the Internal Revenue Service, which may be cited or used as precedents, and case law, any of which
  87. may be changed at any time with retroactive effect.
  88. No opinion is expressed on any matters other than those specifically referred to above.
  89. 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
  90. 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
  91. 40,499,000,0 257637000000 75325000000 65118000000 61880000000 55314000000
  92. 56,898,000,000 46,173,000,000 38,297,000,000 41,159,000,000 64,133,000,000 34,071,000,000
  93. Other Revenue 6,428,000,000
  94. Cost of Revenue 110939000000 32988000000 27621000000 26227000000 24103000000
  95. -26,080,000,000 -21,117,000,000 -18,553,000,000 -18,982,000,000 -21,020,000,000 -17,568,000,000
  96. Cost of Goods and Services 110939000000 32988000000 27621000000 26227000000 24103000000
  97. -26,080,000,000 -21,117,000,000 -18,553,000,000 -18,982,000,000 -21,020,000,000 -17,568,000,000
  98. Operating Income/Expenses 67984000000 20452000000 16466000000 16292000000 14774000000
  99. -15,167,000,000 -13,843,000,000 -13,361,000,000 -14,200,000,000 -15,789,000,000 -13,754,000,000
  100. Selling, General and Administrative Expenses 36422000000 11744000000 8772000000 8617000000
  101. 7289000000 -8,145,000,000 -6,987,000,000 -6,486,000,000 -7,380,000,000 -8,567,000,000
  102. -7,200,000,000
  103. General and Administrative Expenses 13510000000 4140000000 3256000000 3341000000
  104. 2773000000 -2,831,000,000 -2,756,000,000 -2,585,000,000 -2,880,000,000 -2,829,000,000
  105. -2,591,000,000
  106. Selling and Marketing Expenses 22912000000 7604000000 5516000000 5276000000 4516000000
  107. -5,314,000,000 -4,231,000,000 -3,901,000,000 -4,500,000,000 -5,738,000,000 -4,609,000,000
  108. Research and Development Expenses 31562000000 8708000000 7694000000 7675000000
  109. 7485000000 -7,022,000,000 -6,856,000,000 -6,875,000,000 -6,820,000,000 -7,222,000,000
  110. -6,554,000,000
  111. Total Operating Profit/Loss 78714000000 21885000000 21031000000 19361000000 16437000000
  112. 15,651,000,000 11,213,000,000 6,383,000,000 7,977,000,000 9,266,000,000 9,177,000,000
  113. Non-Operating Income/Expenses, Total 12020000000 2517000000 2033000000 2624000000
  114. 4846000000 3,038,000,000 2,146,000,000 1,894,000,000 -220,000,000 1,438,000,000 -549,000,000
  115. Total Net Finance Income/Expense 1153000000 261000000 310000000 313000000 269000000
  116. 333,000,000 412,000,000 420,000,000 565,000,000 604,000,000 608,000,000
  117. Net Interest Income/Expense 1153000000 261000000 310000000 313000000 269000000
  118. 333,000,000 412,000,000 420,000,000 565,000,000 604,000,000 608,000,000
  119. 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
  120. 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
  121. Net Investment Income 12364000000 2364000000 2207000000 2924000000 4869000000
  122. 3,530,000,000 1,957,000,000 1,696,000,000 -809,000,000 899,000,000 -1,452,000,000
  123. Gain/Loss on Investments and Other Financial Instruments 12270000000 2478000000 2158000000
  124. 2883000000 4751000000 3,262,000,000 2,015,000,000 1,842,000,000 -802,000,000 399,000,000
  125. -1,479,000,000
  126. Income from Associates, Joint Ventures and Other Participating Interests 334000000 49000000 188000000
  127. 92000000 5000000 355,000,000 26,000,000 -54,000,000 74,000,000 460,000,000 -14,000,000
  128. 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
  129. Irregular Income/Expenses 0 0 0 0 0 0 0 0
  130. Other Irregular Income/Expenses 0 0 0 0 0 0 0 0
  131. 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
  132. 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
  133. 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
  134. 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
  135. 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
  136. 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
  137. 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
  138. 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
  139. Income Statement Supplemental Section
  140. Reported Normalized and Operating Income/Expense Supplemental Section
  141. 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
  142. 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
  143. Reported Effective Tax Rate 0 0 0 0 0 0 0 0
  144. Reported Normalized Income 6,836,000,000
  145. Reported Normalized Operating Profit 7,977,000,000
  146. Other Adjustments to Net Income Available to Common Stockholders
  147. Discontinued Operations
  148. Basic EPS 333.90 31 28 28 27 23 17 10 10 15 10
  149. Basic EPS from Continuing Operations 114 31 28 28 27 22 17 10 10 15 10
  150. Basic EPS from Discontinued Operations
  151. Diluted EPS 3330.90 31 28 27 26 22 16 10 10 15 10
  152. Diluted EPS from Continuing Operations 3330.90 31 28 27 26 22 16 10 10 15
  153. Diluted EPS from Discontinued Operations
  154. 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
  155. 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
  156. Reported Normalized Diluted EPS
  157. Basic EPS 114 31 28 28 27 23 17 10 10 15 10
  158. Diluted EPS 112 31 28 27 26 22 16 10 10 15 10
  159. 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
  160. 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
  161. Fiscal year end September 28th., 2022. | USD
  162. 31622,6:39 PM
  163. Morningstar.com Intraday Fundamental Portfolio View Print Report
  164. Print 3/6/2022 at 6:37 PM
  165. Current Value
  166. 15,335,150,186,014
  167. GOOGL_income-statement_Quarterly_As_Originally_Reported Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020
  168. Net Cash Flow from Continuing Operating Activities, Indirect 24934000000 25539000000 37497000000 31211000000
  169. 30818000000
  170. Cash Generated from Operating Activities 24934000000 25539000000 21890000000
  171. 19289000000 22,677,000,000
  172. Income/Loss before Non-Cash Adjustment 20642000000 25539000000 21890000000
  173. 19289000000 22,677,000,000
  174. Total Adjustments for Non-Cash Items 6517000000 18936000000 18525000000 17930000000
  175. 15,227,000,000
  176. Depreciation, Amortization and Depletion, Non-Cash Adjustment 3439000000 3797000000 4236000000 2592000000 5,748,000,000
  177. Depreciation and Amortization, Non-Cash Adjustment 3439000000 3304000000 2945000000
  178. 2753000000 3,725,000,000
  179. Depreciation, Non-Cash Adjustment 3215000000 3304000000 2945000000 2753000000
  180. 3,725,000,000
  181. Amortization, Non-Cash Adjustment 224000000 3085000000 2730000000 2525000000
  182. 3,539,000,000
  183. Stock-Based Compensation, Non-Cash Adjustment 3954000000 219000000 215000000
  184. 228000000 186,000,000
  185. Taxes, Non-Cash Adjustment 1616000000 3874000000 3803000000 3745000000
  186. 3,223,000,000
  187. Investment Income/Loss, Non-Cash Adjustment 2478000000 1287000000 379000000
  188. 1100000000 1,670,000,000
  189. Gain/Loss on Financial Instruments, Non-Cash Adjustment 2478000000 2158000000 2883000000
  190. 4751000000 -3,262,000,000
  191. Other Non-Cash Items 14000000 2158000000 2883000000 4751000000 -3,262,000,000
  192. Changes in Operating Capital 2225000000 64000000 8000000 255000000 392,000,000
  193. Change in Trade and Other Receivables 5819000000 2806000000 871000000 1233000000
  194. 1,702,000,000 Change in Trade/Accounts Receivable 5819000000 2409000000
  195. 3661000000 2794000000 -5,445,000,000
  196. Change in Other Current Assets 399000000 2409000000 3661000000 2794000000
  197. -5,445,000,000
  198. Change in Payables and Accrued Expenses 6994000000 1255000000 199000000 7000000
  199. -738,000,000
  200. Change in Trade and Other Payables 1157000000 3157000000 4074000000 4956000000
  201. 6,938,000,000
  202. Change in Trade/Accounts Payable 1157000000 238000000 130000000 982000000
  203. 963,000,000
  204. Change in Accrued Expenses 5837000000 238000000 130000000 982000000 963,000,000
  205. Change in Deferred Assets/Liabilities 368000000 2919000000 4204000000 3974000000
  206. 5,975,000,000
  207. Change in Other Operating Capital 3369000000 272000000 3000000 137000000 207,000,000
  208. Change in Prepayments and Deposits 3041000000 1082000000 785000000 740,000,000
  209. Cash Flow from Investing Activities 11016000000
  210. Cash Flow from Continuing Investing Activities 11016000000 10050000000 9074000000
  211. 5383000000 -7,281,000,000
  212. Purchase/Sale and Disposal of Property, Plant and Equipment, Net 6383000000 10050000000
  213. 9074000000 5383000000 -7,281,000,000
  214. Purchase of Property, Plant and Equipment 6383000000 6819000000 5496000000 5942000000
  215. -5,479,000,000
  216. Sale and Disposal of Property, Plant and Equipment 6819000000 5496000000 5942000000
  217. -5,479,000,000
  218. Purchase/Sale of Business, Net 385000000
  219. Purchase/Acquisition of Business 385000000 259000000 308000000 1666000000 -370,000,000
  220. Purchase/Sale of Investments, Net 4348000000 259000000 308000000 1666000000 -370,000,000
  221. Purchase of Investments 40860000000 3360000000 3293000000 2195000000 -1,375,000,000
  222. Sale of Investments 36512000000 35153000000 24949000000 37072000000 -36,955,000,000
  223. Other Investing Cash Flow 100000000 31793000000 21656000000 39267000000 35,580,000,000
  224. Purchase/Sale of Other Non-Current Assets, Net 388000000 23000000 30000000 -57,000,000
  225. Sales of Other Non-Current Assets
  226. Cash Flow from Financing Activities 16511000000 15254000000
  227. Cash Flow from Continuing Financing Activities 16511000000 15254000000 15991000000 13606000000 -9,270,000,000
  228. Issuance of/Payments for Common Stock, Net 13473000000 12610000000 15991000000 13606000000 -9,270,000,000
  229. Payments for Common Stock 13473000000 12610000000 12796000000 11395000000 -7,904,000,000
  230. Proceeds from Issuance of Common Stock 12796000000 11395000000 -7,904,000,000
  231. Issuance of/Repayments for Debt, Net 115000000 42000000
  232. Issuance of/Repayments for Long Term Debt, Net 115000000 42000000 1042000000 37000000 -57,000,000
  233. Proceeds from Issuance of Long Term Debt 6250000000 6350000000 1042000000 37000000 -57,000,000
  234. Repayments for Long Term Debt 6365000000 6392000000 6699000000 900000000 0
  235. Proceeds from Issuance/Exercising of Stock Options/Warrants 2923000000 2602000000 7741000000 937000000 -57000000 2453000000 2184000000 1647000000-
  236. Other Financing Cash Flow
  237. Cash and Cash Equivalents, End of Period
  238. Change in Cash 0 300000000 10000000 338,000,000,000
  239. Effect of Exchange Rate Changes 20945000000 23719000000 23630000000 26622000000 26,465,000,000
  240. Cash and Cash Equivalents, Beginning of Period 25930000000 235000000000 3175000000 300000000 6,126,000,000
  241. Cash Flow Supplemental Section 181000000000 146000000000 183000000 143000000 210,000,000
  242. Change in Cash as Reported, Supplemental 23719000000000 23630000000000 26622000000000 26465000000000 20,129,000,000,000
  243. Income Tax Paid, Supplemental 2774000000 89000000 2992000000 6,336,000,000
  244. Cash and Cash Equivalents, Beginning of Period 13412000000 157000000 -4,990,000,000
  245. 12 Months Ended_________________________________________________________Q42020 Q42019
  246. Income Statement
  247. USD in "000'"s
  248. Repayments for Long Term Debt Dec. 31, 2020 Dec. 31, 2019
  249. Costs and expenses:
  250. Cost of revenues 182527 161,857
  251. Research and development
  252. Sales and marketing 84732 71,896
  253. General and administrative 27573 26,018
  254. European Commission fines 17946 18,464
  255. Total costs and expenses 11052 9,551
  256. Income from operations 0 1,697
  257. Other income (expense), net 141303 127,626
  258. Income before income taxes 41224 34,231
  259. Provision for income taxes 6858000000 5,394
  260. Net income 22677000000 19,289,000,000
  261. *include interest paid, capital obligation, and underweighting 22677000000 19,289,000,000
  262. 22677000000 19,289,000,000
  263. Basic net income per share of Class A and B common stock and Class C capital stock (in dollars par share)--
  264. Diluted net income per share of Class A and Class B common stock and Class C capital stock (in dollars par share)
  265. For Paperwork Reduction Act Notice, see the seperate Instructions.
  266. JPMORGAN TRUST III
  267. A/R Aging Summary
  268. As of July 28, 2022
  269. ZACHRY T WOOD
  270. Days over due 31 - 60 61 - 90 91 and over
  271. TOTAL £134,839.00
  272. Alphabet Inc.
  273. Ann. Rev. Date £43,830.00 £43,465.00 £43,100.00 £42,735.00 £42,369.00
  274. Revenues £161,857.00 £136,819.00 £110,855.00 £90,272.00 £74,989.00
  275. Cost of revenues -£71,896.00 -£59,549.00 -£45,583.00 -£35,138.00 -£28,164.00
  276. Gross profit £89,961.00 £77,270.00 £65,272.00 £55,134.00 £46,825.00
  277. Research and development -£26,018.00 -£21,419.00 -£16,625.00 -£13,948.00 -£12,282.00
  278. Sales and marketing -£18,464.00 -£16,333.00 -£12,893.00 -£10,485.00 -£9,047.00
  279. General and administrative -£9,551.00 -£8,126.00 -£6,872.00 -£6,985.00 -£6,136.00
  280. European Commission fines -£1,697.00 -£5,071.00 -£2,736.00 — —
  281. Income from operations £34,231.00 £26,321.00 £26,146.00 £23,716.00 £19,360.00
  282. Interest income
  283. @zakwarlord7 zakwarlord7 closed this as completed :
  284. See [GitHub's Safe Harbor Policy](https://docs.github.com/en/site-policy/security-policies/github-bug-bounty-program-legal-safe-harbor)