There is some kind of return-on-investment discussion happening. I'm just trying to understand. What's the level of risk that we're taking, or what's the level of nonrecoupment of potential ineligible recipients that we're trying to get?
Any kind of information that you can provide about how much you've looked at so far, how much you've recovered, what that looks like and what you're planning to do until 2025 would be very helpful for the committee.