
Mostly just short MSTR + long IBIT (or short mNAV, as they call it). Initially started with the safer play of a deep ITM put. Bought some calls to decrease margin requirements along the way. Paper handed 8/27 when I made the huge mistake of closing the 200k short mNAV, but still some profit.
I think both MSTR and IBIT will go lower, but it's too much distraction. mods, please ban me for a year
receipts up until 8/27. IBKR doesn't let me download the last few months
