It would be interesting to know -- but let me emphasize I am not asking anyone to volunteer any information here — but it would just be interesting to look at what different investors’ strategies have been to cope with the major losses here — (eg., averaging down, or not…) and where the “break even” point now is for the old-timers here. I have the impression this varies hugely, as the pattern of behavior has made it so difficult to form any coping strategy.