he's just hedged with options which cost a fraction of what the actual shares cost
he's playing both sides, short on APT stock, call options on SQ vice versa...
If APT rockets up, he'd lose out on the short but make a decent gain on the SQ call
If APT tanks, he'd make bank on his short and just lose the cost of options premium which isn't much
but your right, he wouldn't make as much profit if he just chose a side to stick with, but his risk is reduced
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