What bothers me is I still don't see this as having bad fundamentals - earnings are down but not terrible and are likely to greatly increase in the following year as a glut of large projects kick off.
I bought in @ $1.24 last year and have enjoyed some decent dividends since so am not massivly annoyed by the recent lacklustre performance - however I am keen to see what this one does next year (I'm cautiously optimistic).