The selling has nothing to do with the company per se, but with the world wide perception of risk. This process is referred to as the contraction phase. The only question is, when will you cry UNCLE, and sell? When you do, then you'll know why its bleeding.
I've been buying this week (also weak)...was at 12000 shares now close to 14000. i keep rereading the analysts reports and i am hooked and convinced that after the 2Q call the stock will ramp...don't think i'll live til the early sept earnings release for earnings that got booked through end of June. i'm hoping they announce earlier based on their new "system" installed earlier this year...cause i can't make it til Sept for a cake thats baked in July!