It's really bad when one expects another stock in one's portfolio that is totally in the toilet to bail out his/her KRY investment potential loss. I have played these two stocks that I have against each other over the years. KRY/KOOL. If I hadn't done this I would have sold KRY in the premarket last June not waiting for a home run to pay off my lose in KOOL. Now it is visa versa. Will my KOOL investment bail me out of KRY in the next several years? For what it is worth I no longer buy and hold and every future/stock/index/etf I buy has a hard stop in place if I have entered wrongly. What a gift RF through us back in June but we did not take heed. Now we blame him for our inaction and our greed.