SAMdashada: I think you forgot to write "so far" with Q2 reporting not yet complete, but if the presently reported action is indicitice of the complete report, I think it's understandable that institutions would overall retreat given the Q2 uncertainty generated by the russian deal, strat delay, press attacks,...those that sold in Q2 are likely to buy back in Q3/Q4 at cheaper prices (moreso in Q3 than Q4). That's why they call 'em "smart money".
nilremerlin