Guys i was reading an interesting article, cannot remember where, on the week-end about how institutional investors seem to close out their quaters and half years with "window dressing" and doing so with the idea of buying shares, almost and any "reasonable" (might be slightly higher than they should be but medium term sure to return a profit-they hope) price, just to show that the portfolios they hold/invest are not just sitting on cash but do trade and do "make profits". Anyone have an opinion on if this might/will affect the market for the next day or two till end June begining July?