I can see how margin calls give a reason to be upset, but that aside - try not to take too much from the current SP if you have a longer term view. There is supposedly an information block at the moment and so I ask you this - if the SP had retained its strength over the last few weeks instead of falling, would you be as worried? It's only investor's expectations dictating the SP.
Don't forget how well the SP was going before the IRR was released - seems to me no one was in the know then, same thing could be happening now.
That said, the lack of information put to the market from the company is very frustrating and I totally understand if people no longer want to be associated with such a stock.
Just be careful guys and don't let your emotions dictate your decisions.
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