I assume all market players, besides those who are too big too fail or actively pushed for the small crisis - have lost at least a part of their profits, even while the big drop happened very fast. Now i assume the super-volatility is over and the market is becoming more based and acting like a more reasonable exchange. We should just not getting too depressed about it, high risk, high reward is the name of the game, even while you should take a very thorough look at each single invesment you do.