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u/iratebutisave
REDDIT_SCRAPED
User invested $25k in GME through 4,200 call contracts (8/5 expiry) and 100 shares, citing seven technical and fundamental factors: triple bottom pattern formation, highest sustained borrow utilization in GME history, exploding FTDs, increasing direct registration reducing float, loaded options chain (2.8M OTM calls), conditions similar to March run-up, and personal conviction. Key risks include options expiry timing, reliance on technical patterns, liquidity constraints, and short squeeze speculation.