Polydata

@Boomlala

#26172

0xe40172522c7c64afa2d052ddae6c92cd0f417b88

556d· 30246 markets · 8571 tradesVol: $59,354,2782026-06-19T18:45
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.

72
Very Good
80-100Elite
60-79Diamond
40-59Gold
0-39Standard

Score Components

Win Rate 29%0/20
Profit Factor 3.81x15/15
Sharpe 0.4318/15
Sortino 0.9269/10
EV $+2.64010/10
HHI 5710/10
Profit Days 68%9/10
DD/Peak 19%10/10

Summary

Boomlala is a highly active trader on Polymarket, ranked #261 globally with a net profit of approximately $630,490. Over 512 days, they completed 8,571 trades across 987 markets, generating a total volume exceeding $59 million. Their smart score of 72/100 and bot score of 80/100 indicate a sophisticated, largely automated trading approach. Despite a significant trading volume, Boomlala maintains a stable portfolio value around $32,720 with an equity trend that remains flat over time.

The trader’s strategy favors a contrarian style with a strong focus on dollar-cost averaging (DCA), as reflected in badges like Contrarian and DCA Master. Boomlala exhibits a high win rate of 84.2% and a profit factor of 3.56, indicating consistent profitability with moderate risk. Their trading pattern involves minimal selling (7%) and no exposure to weather markets, suggesting a preference for less volatile or niche markets. The Sharpe ratio of 0.43 shows moderate risk-adjusted returns, while the zero-day max drawdown duration implies effective risk management and quick recovery from losses.

Boomlala’s key strengths include disciplined automated execution and a solid win rate, which contribute to their high profitability on Polymarket. However, their relatively low Sharpe ratio and flat equity trend could signal limited upside volatility or constrained portfolio growth. Additionally, the heavy reliance on automated strategies might pose risks if market conditions shift suddenly. Overall, Boomlala demonstrates a robust trading profile balanced between steady gains and risk control.

Analysis based on the last 250 closed positions. Full trading history — coming soon.

Badges

9
Profitable
PnL $+630,490
Contrarian
70% entries <$0.50
Diamond Hands
7% sell
DCA Master
avg 8.1 entries/market
Bot
Score 80/100
Win Streak
59 wins in a row
Whale
$421,170
Consistent
157/231 days
Cool Head
DD 19%

Categories

2
SPORTS#146$630,405Vol: $59,330,693
🏛️ POLITICS#31,631$369Vol: $1,900

Overview

#1
Net PnL
$630,490
Polymarket official
Total Volume
$59,354,278
Total Redeem
$74,431
Portfolio
$32,720
Predictions
30246
total markets
Trades
7979B / 592S
Daily Volume
$823
Account Age
556d
since Dec 11, 2024

Periods

#2
Today
$-1,325
Vol: $51,012
Week
$-42,543
Vol: $559,933
Month
$-54,760
Vol: $2,258,443
All Time
$630,490
Vol: $59,354,278

PnL Analysis

#3
Win Rate (events)
37%
269W / 465L events
Realized PnL
$1,248,339
Win Rate
84%
229W / 43L
Profit Factor
3.56x
Avg Win
$105
Avg Loss
$-157

Outlier Sensitivity: Top-3 = $3,907 (22.7% of PnL)

Top Winners

Will Czechia win on 2026-06-18?$1,821
Johan Manzambi: 1+ goals$1,134
Spread: Athletics (-3.5)$953
Ruben Vargas: 1+ goals$740
Ghana vs. Panama: O/U 8.5 Total Corners$592
Los Angeles Angels vs. Athletics: O/U 9.5$587
Detroit Tigers vs. Houston Astros: O/U 7.5$567
Toronto Blue Jays vs. Boston Red Sox$566
Uzbekistan vs. Colombia: O/U 3.5$478
Spread: Athletics (-4.5)$432

Top Losers

Tampa Bay Rays vs. Los Angeles Dodgers$-661
Los Angeles Angels vs. Arizona Diamondbacks$-631
Luis Díaz: 1+ goals$-554
Cleveland Guardians vs. Milwaukee Brewers$-425
Jonathan David: 2+ goals$-419
Kansas City Royals vs. Washington Nationals$-344
Chicago White Sox vs. New York Yankees: O/U 7.5$-342
San Francisco Giants vs. Milwaukee Brewers: O/U 10.5$-335
Cleveland Guardians vs. Milwaukee Brewers: O/U 6.5$-296
Canada vs. Qatar: O/U 8.5 Total Corners$-289

Risk Metrics

#4
Sharpe
0.431
Sortino
0.925
HHI
57
Diversified
EV per $1
$2.640
Kelly %
69.8%
Half-Kelly
34.9%
Top-1 market
6%
Top-5 markets
10.1%

Behavior Analysis

#5
Trades / Day
105.8
Very active
Markets / Day
12.2
Active Hours
24/24
Around the clock
Peak Hour
0:00 UTC
Median Gap
58s
between trades
Avg Gap
15.8m
between trades
Night Trading
38%
22:00–06:00 UTC
Size Variance
1.77
Variable
Session Statistics
Sessions
50
Avg Duration
4 min
Avg Trades / Session
7.7

Bot Detection

#6
80
BOT (automated trading)HIGH probability

8 indicators analyzed

Trade Speed
MEDIUM
Night Activity
LOW
Active Hours
HIGH
Trade Frequency
HIGH
Size Consistency
LOW
Market Coverage
MEDIUM
Median gap 58s — typical for humanSize CV 1.77 — diverse, typical for human37% at night — bot never sleeps24/24 hours — around the clockSession CV 1.16 — human randomness106 trades/day — automation12 markets/day — mass coverage950 total positions — large-scale activity

Timing Patterns

#7

Peak hour: 0:00 UTC

0
4
8
12
16
20

DCA Analysis

#8
Avg entries/market
8.1
Active DCA
<=1
151 entries
<=2
278 entries
<=5
564 entries
<=10
776 entries
<=20
902 entries
<=50
972 entries
>50
12 entries

Price Levels

#9
Low (<20c)16%
Mid (20-55c)62.4%
High (>55c)21.6%

City Stats

#10

YES bias: 57.8%

Other$15,608
Toronto$566
Houston$513
Chicago$422
Seattle$335
Miami$271
Los Angeles$127
Dallas$0
Atlanta$-219
San Francisco$-390

Bracket Analysis

#11
Avg brackets/event
1.8
Events covered
560

Single bracket

<=1
402 brackets
<=2
492 brackets
<=3
523 brackets
<=4
534 brackets
<=5
540 brackets
<=8
549 brackets
>8
11 brackets

Sessions

#12
3/30/2026, 5:50:39 PM1 trades$00 min
3/30/2026, 6:48:41 PM1 trades$00 min
3/31/2026, 3:17:33 PM26 trades$19517 min
4/1/2026, 2:05:09 PM1 trades$1040 min
4/1/2026, 3:35:15 PM5 trades$794 min
4/1/2026, 4:02:25 PM1 trades$170 min
4/1/2026, 4:10:45 PM1 trades$20 min
4/1/2026, 4:59:19 PM1 trades$60 min
4/1/2026, 5:09:41 PM4 trades$932 min
4/1/2026, 6:09:13 PM1 trades$380 min
4/1/2026, 6:14:17 PM5 trades$1421 min
4/1/2026, 6:32:33 PM1 trades$10 min
4/1/2026, 8:20:43 PM1 trades$1750 min
4/2/2026, 12:11:31 AM1 trades$300 min
4/2/2026, 12:22:21 AM1 trades$300 min
4/2/2026, 12:48:49 AM13 trades$1,33816 min
4/2/2026, 1:09:39 AM4 trades$562 min
4/2/2026, 1:46:43 AM11 trades$6876 min
4/2/2026, 1:58:43 AM1 trades$1020 min
4/2/2026, 2:10:31 AM1 trades$140 min

Equity Curve

#13
Cumulative PnL by market end date Profit Loss Today
01-31
07-01
08-20
11-24
04-10
05-18
06-25

Faded bars = markets ending in the future (PnL from early exits)

Profile

#14
Specialization
MIXED
0% weather
Holding Style
HOLD
6.9% sell
DCA Style
HEAVY
avg 8.1/mkt
Hedging
SINGLE
avg 1.8 br/event