
@Samwisealways
#84,690900x60b4ac0604ffc5de2113fa8f4d6f8e611be8f1b8
~41d· 27 markets · 127 tradesVol: $32,7252026-08-02 07:58:57
SMART SCORE SYSTEM
Composite trader rating.
0 to 100.
Smart Score aggregates PnL consistency, win rate, risk management, diversification, timing patterns, and trading behavior into a single 0‑100 score. Combined with bot detection that analyzes trade timing gaps, order patterns, and execution speed.
90
Elite
80-100Elite
60-79Diamond
40-59Gold
0-39Standard
Score Components
95% (18/19)20/20
13.05x (win $764 / loss $59)15/15
Annualised Sharpe 17.49715/15
Sortino 61.53210/10
$+0.0436 per $1 invested2.2/10
HHI 849 (19 markets)8.3/10
13/14 profitable days (93%)10/10
Max DD 8% of peak ($59 / $705)10/10
Badges
5Sniper
Win rate 95%
Profitable
PnL $+932
Consistent
13/14 profitable days
Cool Head
Max DD 8%
Win Streak
13 wins in a row
Categories
4₿ CRYPTO#34,525$783Vol: $26,011
🏛️ POLITICS#1,471,468$-53Vol: $4,353
📈 ECONOMICS#7,073$261Vol: $1,670
💰 FINANCE#621,035$-59Vol: $692
Overview
#1Net PnL
$932
Polymarket official
Total Volume
$32,725
Total Redeem
$2,070
Portfolio
$0
Predictions
27
total markets
Trades
48B / 79S
Daily Volume
$0
Account Age
~41d
Periods
#2Week
$9
Vol: $0
Month
$-16
Vol: $0
All Time
$932
Vol: $32,725
PnL Analysis
#3Realized profit from closed cash flows — may differ from Polymarket UI while positions are still open. Methodology
Win Rate (events)
95%
18W / 1L events
Realized PnL
$932
Win Rate
95%
18W / 1L
Profit Factor
13.05x
Avg Win
$42
Avg Loss
$-59
Outlier Sensitivity: Top-3 = $328 (0.3521684535883319% of PnL)
Top Winners
EdgeX FDV above $1B one day after launch?$117
No change in Fed interest rates after January 2026 meeting?$114
Fed decreases interest rates by 25 bps after October 2025 meeting?$98
Will Ethereum hit $5,000 by December 31?$68
Backpack FDV above $300M one day after launch?$53
Fed decreases interest rates by 25 bps after December 2025 meeting?$50
Will XRP reach $4.00 before 2026?$42
Based FDV above $200M one day after launch?$39
Will Hyperliquid hit $100 in 2025?$36
Will Solana dip to $90 before 2026?$30
Top Losers
Nothing Ever Happens: MicroStrategy$-59
Risk Metrics
#4Sharpe
0.882
Sortino
inf
HHI
123
Diversified
EV per $1
$0.120
Kelly %
87.6%
Half-Kelly
43.8%
Top-1 market
7.3%
Top-5 markets
19.7%
Behavior Analysis
#5Trades / Day
0.4
Moderate
Markets / Day
0.1
Active Hours
20/24
Around the clock
Peak Hour
2:00 UTC
Median Gap
2.0h
between trades
Avg Gap
4.9h
between trades
Night Trading
42%
22:00–06:00 UTC
Size Variance
2.12
Variable
Session Statistics
Sessions
50
Avg Duration
0 min
Avg Trades / Session
2.3
Bot Detection
#620
LIKELY HUMAN (fast interface)LOW probability
7 indicators analyzed
Trade Speed
LOW
Night Activity
MEDIUM
Active Hours
HIGH
Trade Frequency
LOW
Size Consistency
LOW
Market Coverage
LOW
Median gap 7232s — normal for humanCV 2.12 — diverse sizes (human-like)42% night trades — never sleeps20/24 hours — extended activity0 trades/day — normal0.1 markets/day — normal37% maker — normal mix
Timing Patterns
#7Peak hour: 2:00 UTC
0
4
8
12
16
20
DCA Analysis
#8Avg entries/market
2.11
Price Levels
#9Low (<20c)2.1%
Mid (20-55c)4.2%
High (>55c)93.8%
Sessions
#123/14/2026, 11:30:43 PM2 trades$5,0201 min
4/2/2026, 6:54:37 AM1 trades$2,1990 min
7/29/2026, 2:35:39 AM21 trades$1,7480 min
3/27/2026, 2:54:31 AM2 trades$1,4851 min
7/3/2026, 9:14:11 AM11 trades$1,3140 min
3/26/2026, 5:59:37 AM1 trades$1,2620 min
3/4/2026, 4:37:57 AM3 trades$1,0223 min
2/10/2026, 3:23:09 AM1 trades$7160 min
10/30/2025, 6:22:59 AM3 trades$6481 min
6/24/2026, 3:08:49 PM1 trades$6090 min
5/14/2026, 9:46:35 AM2 trades$6040 min
3/31/2026, 1:43:05 PM5 trades$5570 min
9/19/2025, 4:01:36 AM1 trades$5530 min
12/1/2025, 9:00:24 AM3 trades$5223 min
1/9/2026, 10:26:18 AM3 trades$5011 min
12/11/2025, 12:56:13 AM1 trades$4560 min
12/1/2025, 12:19:20 AM3 trades$4555 min
11/5/2025, 8:37:05 AM1 trades$3890 min
11/6/2025, 11:21:43 AM2 trades$3871 min
3/29/2026, 9:49:42 AM2 trades$3770 min
Equity Curve
#13Cumulative PnL by market end date Profit Loss Today
09-19
11-15
11-23
12-09
01-12
03-25
03-30
Faded bars = markets ending in the future (PnL from early exits)
Max drawdown: 32 days (recovered)
Profile
#14Specialization
MIXED
0% weather
Holding Style
ACTIVE SELLER
62.2% sell
DCA Style
MODERATE
avg 2.11/mkt
Entry Bias
HIGH $
L2.1 / M4.2 / H93.8