@CamelUp
#563720x17559efac103ac7f361be37ec0b93888d4c55aac
~165d· 4516 markets · 75968 tradesVol: $16,508,1522026-08-02 06:04:42
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
Good
80-100Elite
60-79Diamond
40-59Gold
0-39Standard
Score Components
62% (2781/4516)15.8/20
1.37x (win $1,147,572 / loss $838,305)7.1/15
Annualised Sharpe 2.84715/15
Sortino 4.31110/10
$+0.0458 per $1 invested2.3/10
HHI 44 (4516 markets)10/10
96/158 profitable days (61%)7.7/10
Max DD 51% of peak ($158,753 / $309,439)3.7/10
Badges
8Sniper
Win rate 62%
Profitable
PnL $+367,935
Contrarian
54% entries < $0.55
DCA Master
Avg 16.8 entries/market
Whale
$6,755,000 invested
Consistent
96/158 profitable days
High Roller
$13,842/day
Win Streak
16 wins in a row
Categories
2💰 FINANCE#3$400,208Vol: $14,942,452
⚽ SPORTS#1,880,545$-34,826Vol: $1,544,638
Overview
#1Net PnL
$367,904
Polymarket official
Total Volume
$16,508,152
Total Redeem
$425,318
Portfolio
$0
Predictions
4516
total markets
Trades
64352B / 11616S
Daily Volume
$0
Account Age
~165d
Periods
#2Today
$-26
Vol: $0
Week
$-40,403
Vol: $0
Month
$-19
Vol: $0
All Time
$367,904
Vol: $16,508,152
PnL Analysis
#3Realized profit from closed cash flows — may differ from Polymarket UI while positions are still open. Methodology
Win Rate (events)
62%
2781W / 1735L events
Realized PnL
$367,935
Win Rate
62%
2781W / 1735L
Profit Factor
1.37x
Avg Win
$413
Avg Loss
$-495
Outlier Sensitivity: Top-3 = $139,587 (0.37938043224966783% of PnL)
Top Winners
S&P 500 (SPX) Up or Down on February 12?$62,259
Suns vs. Timberwolves$44,923
Warriors vs. Knicks$32,406
Texans vs. Patriots: O/U 41.5$31,893
S&P 500 (SPX) Up or Down on March 5?$24,565
S&P 500 (SPX) Up or Down on February 13?$24,529
Trail Blazers vs. Pacers$22,500
Raptors vs. Bulls$19,622
S&P 500 (SPX) Up or Down on July 24?$18,881
S&P 500 (SPX) Up or Down on January 16?$18,564
Top Losers
Spread: Rams (-3.5)$-101,116
Will Opendoor reach $6 in April?$-52,387
Pacers vs. 76ers$-49,500
Mavericks vs. Pelicans$-32,884
Will Microsoft (MSFT) close above $410 on February 9?$-26,792
Will Opendoor (OPEN) close at $4.00-$5.00 on the final day of trading of the week of Feb 16 – Feb 20?$-18,781
S&P 500 (SPX) Up or Down on March 2?$-18,073
S&P 500 (SPX) Up or Down on March 20?$-17,339
S&P 500 (SPX) Up or Down on January 23?$-17,203
Will S&P 500 (SPX) close over $6,500 on the final trading day of March 2026?$-14,778
Risk Metrics
#4Sharpe
0.148
Sortino
0.153
HHI
47
Diversified
EV per $1
$0.046
Kelly %
15.0%
Half-Kelly
7.5%
Top-1 market
3.2%
Top-5 markets
9.4%
Behavior Analysis
#5Trades / Day
155.7
Very active
Markets / Day
9.3
Active Hours
13/24
Extended
Peak Hour
14:00 UTC
Median Gap
12s
between trades
Avg Gap
3.7m
between trades
Night Trading
0%
22:00–06:00 UTC
Size Variance
8.52
Variable
Session Statistics
Sessions
50
Avg Duration
134 min
Avg Trades / Session
606.4
Bot Detection
#635
LIKELY HUMAN (fast interface)LOW probability
7 indicators analyzed
Trade Speed
HIGH
Night Activity
LOW
Active Hours
MEDIUM
Trade Frequency
HIGH
Size Consistency
LOW
Market Coverage
MEDIUM
Median gap 12s — suspiciously fastCV 8.51 — diverse sizes (human-like)0% night trades — normal pattern13/24 hours — normal schedule156 trades/day — automation9.3 markets/day — normal54% maker — normal mix
Timing Patterns
#7Peak hour: 14:00 UTC
0
4
8
12
16
20
DCA Analysis
#8Avg entries/market
16.82
Price Levels
#9Low (<20c)18%
Mid (20-55c)35.6%
High (>55c)46.4%
Sessions
#122/20/2026, 2:31:26 PM1546 trades$253,912388 min
2/5/2026, 2:31:21 PM1491 trades$207,337250 min
2/9/2026, 2:31:21 PM1550 trades$204,16260 min
2/4/2026, 2:31:26 PM1615 trades$192,558287 min
3/15/2026, 8:55:17 PM375 trades$191,936163 min
1/30/2026, 2:31:52 PM1655 trades$133,516362 min
3/18/2026, 10:52:13 PM1 trades$127,5020 min
1/23/2026, 3:15:14 PM679 trades$127,308255 min
2/12/2026, 2:31:23 PM961 trades$121,312271 min
1/21/2026, 2:31:22 PM720 trades$120,232177 min
3/16/2026, 9:58:33 PM38 trades$117,98418 min
2/2/2026, 2:31:36 PM929 trades$106,549191 min
2/6/2026, 2:31:27 PM582 trades$96,04415 min
1/18/2026, 9:53:44 PM1 trades$94,2050 min
2/3/2026, 2:31:20 PM950 trades$92,540152 min
2/11/2026, 2:31:19 PM1225 trades$87,155251 min
2/17/2026, 2:31:33 PM793 trades$80,580136 min
3/2/2026, 2:31:23 PM592 trades$75,270197 min
5/5/2026, 1:31:30 PM964 trades$69,541200 min
3/5/2026, 2:33:43 PM157 trades$69,33259 min
Equity Curve
#13Cumulative PnL by market end date Profit Loss Today
11-18
01-02
02-10
03-19
05-08
06-17
07-29
Faded bars = markets ending in the future (PnL from early exits)
Max drawdown: 11 days (recovered)
Profile
#14Specialization
MIXED
0% weather
Holding Style
ACTIVE SELLER
15.3% sell
DCA Style
HEAVY
avg 16.82/mkt
Entry Bias
HIGH $
L18 / M35.6 / H46.4