the market being its own living organism (in my estimation) i've found that no change in the company's status sometimes doesn't translate into a safety valve for a broken stock...i'm long in any case but 2.5k shares will put a huge dent in a portfolio very quickly...i'm not gonna pull a d.b. cooper and bail, though!
I hear you....but(!)...it seems there are two main explanations possible: 1) that it is overdue to gap back up very soon...or, 2) it's in the crapper and headed south---or at least sideways---indefinitely.
I lean toward reason 1 and a recovery likely soon....because nothing significant has happened or is pending to change the underlying value and demand of the company.
It's probably a good day to walk away from the screens for a little while....