I knew it was a little bit unfair to ask that, but the reason I asked it is that when you assess the risk, it must be more than just the risk you see in the Canadian market; it must also take into effect the global market, particularly the United States and the slowdown.
This next question might be unfair. It's a subjective question, but I wanted your position or your thinking on it. Is the slowdown in the United States going to be deep and long, or shallow and short?