Trades of the decade Apr.13.21:
I want to check these next year to see how I did.
If the market crashes because of AMC and GME, I will earn life changing money.
Company
Stock/Option
Expiry
Price of option
Average purchase price
AAPL
Put Option
Jun 17 2022
60
0.93
AMC
Stock
9.255
AMC
Call Options
Too many to count
ARKK
Put Options
Jan 21 2022
47.96
1.25
GME
Stock
141.01
GME
Call Option
Jan 21 2022
950
8.10
KALA
Call Option
Jul 16 2021
10
2.50
ONCT
Call Option
Jul 15 2021
5
4.40
SPXU
Call Option
Jan 20 2023
15
15
Call Option
Jan 21 2022
18
10
SQQQ
Call Option
Jan 21 2022
1
15.15
TSLA
Put Option
Dec 17 2021
100
1.44
Let’s check in on these predictions in a year from now and see what happens.
Update May.2.21:
Proof of my portfolio

Update - May.29.21
I added FAZ options to my portfolio (3x inverse leveraged ETF for the financial sector) as I think some of the banks are going to collapse.
Update - Oct.12.21
I added UVXY to my portfolio as a leveraged bet on the VIX exploding with volatility the next year.
Added GDXJ because I think gold explodes up when the deflationary bubble comes, especially as commodities and precious metals go higher.
Took a flier on MMAT (Metamaterials), a Canadian company because of interesting intel that they're shorted into oblivion but can't go bankrupt. We'll see.
Added a BBBY put for the same reason, but they missed their latest earnings so the shorts won out. Can't win them all.
Bought a ton more GME and reshuffled from AMC because I think GME is the nuke to the market while AMC is its smaller brother. Both will do well so just wanted to diversify risk.
KALA and SKLZ are obviously gone.
I'm going all the way. History will see if I'm right or not.