If you're talking about VBILX (or BIV as an ETF) I have the same problem. It's been pretty good on average but I'm getting anxious about the future. As far as ARR, I'm out for now and until the dividend is known there is too much risk. It won't be long 'til we find out what's happening.
sorry for your loss - diversity is the only thing that can float any portfolio - mine is making good money - ARR is part of one of my portfolio's -one needs to diversify even more - a low risk and a high risk is how I do it - me happy not complaining
But the value of the portfolio is plummeting, Result: I get a bit more yield but not nearly enough to offset the decline in the portfolio.