Sept. 18 it was at 55.53. This apparently was the last day that the market gave it to declare a 3rd quarter div. When this came and went, it then fell hard and has been crippled ever since. The point is this: in my opinion this downturn and resulting anemic malaise this stock has been in was avoidable if they had not miscalculated the enormous negative impact of not declaring a 3rd qtr. div..
In my opinion it will eventually recover, however the question is can it hold long enough for the investor to forget how they mismanaged this?