The second question I have is regarding your chart.
In Exhibit 7.5, you talk about the amount of cost recovery. I just have one question. You said that there is going to be a shortfall in revenue. Revenue will be $28 million in the fiscal year 2019-20 and $24 million in 2020-21, and then it goes back up to $69 million.
Why is there such a variance in the numbers?