Last quarter we thought the results would all be positive, but it turned out to be less then what we hoped for. I believe it was caused by using money for more ownership. It was a bit of bad news in otherwise good results.
Do you think there now also can be some hidden bears that could be of negative influence on the EPS?
I think (like I've been saying for some time) they really have turned the corner when it comes to negative surprises, but could it be I'm missing something?