I think in Canada and around the world there continues to be aversion to taking risk. Investors continue to be concerned about risk and they're being very careful in terms of what they invest in.
The Canadian bank ABCP market continues to perform, though certainly not as well as it did prior to the global market turmoil beginning in the summer of 2007. But you can understand why investors really do focus on where they're putting their money now. They tend to really like government securities. They tend to like Canadian banks. But the further down the list you go, the more coaxing they need to return to the market with the same vigour they had prior to August 2007.