toolatetrade...these charts are for you. Pick your poison, 3 month, 6 month, 1 year, 2 year, or 5 year. AAV is worst on all of them. This is because AAV management is "worst of breed" and buying this stock because the yield is higher is a losing strategy. I'm only interested as well if we see $14. But as always that will depend on how much the others correct as well.