We need all the facts first before we talk about making my mandate broader, because other regulators are still doing their work. We need to see what the Investment Dealers Association, now IIROC, come up with. They said they will tell people what the findings are. We need to see what the securities commissions do with the exempt market and its definition. Once we have all of that, we will have more of a basis to see whether there was any regulatory gap at all.
On June 16th, 2008. See this statement in context.