It hurts, of course, but I don't want to go all the way to the basement with the full position. Unfortunately, the management has acted rather unfortunate, many acquisitions are not paying off. In addition, producer prices are rising sharply. The stop-loss sale covers approx. 45% of my position. I am letting the rest continue to run, also in order to continue to receive the large dividend (in May).
I have set the next sell limit a further 15% lower, at which point the entire position would be closed.