The work was done between June and November. We focused most of our activity on looking at the contribution agreements at the time they were being managed. The contribution agreements, I believe, were first issued in 2005. Then we looked at the internal audit and the subsequent management actions that had been put in place. But the period covered by the audit focused on the contribution agreements and the actions that management took subsequent to that, up until November 2008, to prevent recurrence of those situations.
On October 28th, 2009. See this statement in context.