I bought the stock thinking it'd be a nice place to park my money until better opportunities turn up, but it's down a third... It seems some commodity holdings are contributing to the sell-off, based on what I read. I really should've followed Peter Lynch's strategy of selling at 10% down and admitting mistake. Anyway, would you recommend selling it now or is the downside overstated since it's so far below NAV? Or does NAV mean nothing now if everything goes down?