@Canine-Practice
#2,039950x30f91b6df5a62ab2e504045e25fd449a23affbfc
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.
Score Components
Summary
Canine-Practice is a highly active trader on Polymarket, ranked #2039 globally with a net profit of $88,137.91. Over 930 days, they have executed 8,212 trades across 433 markets, accumulating a total volume of over $5.2 million. Their elite Smart Score of 95/100 reflects consistent performance, supported by a 71.2% win rate and a strong profit factor of 7.33. Despite this success, their portfolio value remains modest at $3,386, and the Sharpe ratio of 0.51 indicates moderate risk-adjusted returns.
The trading style of Canine-Practice is diverse, engaging in various markets without exposure to weather-related events. Their sell percentage is relatively low at 21%, suggesting a preference for holding positions rather than frequent profit taking. The trader exhibits contrarian and sniper traits, combining disciplined entry timing with a Dollar Cost Averaging (DCA) approach. The flat equity trend and zero-day max drawdown duration imply stable risk management and timely adjustments. Canine-Practice’s activity pattern suggests a consistent, steady engagement rather than speculative bursts.
Strengths for Canine-Practice include a high win rate and profit factor, indicating effective market selection and risk control. Their elite Smart Score signifies superior trading skill on Polymarket. However, the relatively low Sharpe ratio and modest portfolio size compared to volume traded suggest room for optimizing capital efficiency. The low sell percentage may also signal potential overexposure to market downturns if positions are held too long. Overall, Canine-Practice demonstrates a disciplined, data-driven approach with balanced risk, though careful monitoring of portfolio growth and drawdowns is advisable.
Badges
9Categories
9Overview
#1Periods
#2PnL Analysis
#3Outlier Sensitivity: Top-3 = $9,938 (24.2% of PnL)
Top Winners
Top Losers
Risk Metrics
#4Behavior Analysis
#5Bot Detection
#67 indicators analyzed
Timing Patterns
#7Peak hour: 13:00 UTC
DCA Analysis
#858 entries
94 entries
172 entries
246 entries
336 entries
413 entries
20 entries
Price Levels
#9City Stats
#10YES bias: 33.8%
Bracket Analysis
#11Moderate coverage
148 brackets
176 brackets
186 brackets
195 brackets
201 brackets
209 brackets
7 brackets
Sessions
#12Equity Curve
#13Faded bars = markets ending in the future (PnL from early exits)