Nothing to do with the company, just a bad day for the market overall. All these lessors are high beta stocks, meaning they have a greater volatility than the market in general. If you plan on staying in them get used to it. I use this to my advantage by always selling the leader and buying the lagger. Once the companies share prices met again I divide my shares evenly and wait for the the next divergence and trade the leader for the laggar. This strategy has allowed me to increase my total outstanding shares by approx 20% per year on average. This, combined with divi's from from 2 of the 3 companies, undervalued stock price and the potential for long term growth makes these lessors hard to beat.