Thank you very much, Mr. Sweet.
Before we move on to the second round, I'd like to get a comment from Treasury Board on one of the issues raised by Mr. Sweet. It is one of the major problems here, as I see it, and that is the analysis that's done.
It's based on cash-based needs of the government and accrual-based needs of the government, and it does create some anomalies in that the most economical method is not picked because of this. Is there any movement to change the methodology available to the Department of Public Works so that they can have more flexibility in decision-making?