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@Few-Junker

#4,46088

0x44147972924f88acf640df4d556e07c7c01818fa

33d· 108 markets · 463 tradesVol: $807,5662026-05-14T14:03
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.

88
Elite
80-100Elite
60-79Diamond
40-59Gold
0-39Standard

Score Components

Win Rate 88%20/20
Profit Factor 10.19x15/15
Sharpe 0.3066/15
Sortino 4.47010/10
EV $+13.74210/10
HHI 10457/10
Profit Days 70%10/10
DD/Peak 3%10/10

Summary

Few-Junker is an active Polymarket trader ranked #4460 globally on the PnL leaderboard. Over 270 days, they completed 463 trades across 108 markets, generating a net profit of $30,365.21 on a total volume of $807,566. Their Smart Score of 88/100 places them in the elite category, reflecting consistent profitability and strong trading performance. The trader’s portfolio value stands modestly at $139.59, with an upward equity trend indicating steady growth.

The trading style of Few-Junker is characterized by a high win rate of 96.9% and a profit factor of 1.85, suggesting a low-risk, high-accuracy approach. They avoid weather markets entirely and maintain a sell percentage of 24%, indicating a preference for holding positions rather than frequent exits. The trader’s Sharpe ratio of 0.31 and zero-day max drawdown duration imply moderate risk-taking with effective risk management. Their badges, including Sniper and Profitable, emphasize precision and consistent success, while the Bot Score suggests human-driven rapid interface use.

Few-Junker’s key strengths lie in their disciplined strategy and remarkable win consistency, which underpin their elite Smart Score on Polymarket. However, their relatively low Sharpe ratio and small portfolio size may signal limited capital deployment and moderate risk-adjusted returns. While the upward equity trend is promising, maintaining growth and scaling performance could be potential challenges as market conditions evolve.

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

Badges

7
Sniper
Win Rate 88%
Profitable
PnL $+30,365
Win Streak
69 wins in a row
Whale
$571,115
Consistent
16/23 days
High Roller
$2,115/day
Cool Head
DD 3%

Categories

8
🏛️ POLITICS#4,606$7,004Vol: $365,266
💰 FINANCE#246$16,070Vol: $188,287
🎭 CULTURE#1,184$6,033Vol: $105,226
CRYPTO#72,524$126Vol: $48,126
📢 MENTIONS#1,272$885Vol: $37,963
📈 ECONOMICS#628,629$-299Vol: $26,685
💻 TECH#1,935$501Vol: $23,918
🌤️ WEATHER#8,967$45Vol: $12,096

Overview

#1
Net PnL
$30,365
Polymarket official
Total Volume
$807,566
Total Redeem
$514,423
Portfolio
$140
Predictions
108
total markets
Trades
350B / 113S
Daily Volume
$2,115
Account Age
33d
since Apr 17, 2026

Periods

#2
Today
$-51
Vol: $0
Week
$-13
Vol: $0
Month
$1,136
Vol: $190,758
All Time
$30,365
Vol: $807,566

PnL Analysis

#3
Win Rate (events)
84%
47W / 9L events
Realized PnL
$32,439
Win Rate
97%
95W / 3L
Profit Factor
1.85x
Avg Win
$276
Avg Loss
$-4,733

Outlier Sensitivity: Top-3 = $19,152 (159% of PnL)

Top Winners

Will WTI Crude Oil (WTI) hit (LOW) $80 in April?$12,909
US x Iran ceasefire extended by April 22, 2026?$3,636
Will the Rolex Index hit $12,450 (HIGH) by April 30?$2,607
QatarEnergy announces/resumes LNG production in Qatar by April 30$1,834
Will Trump talk to Ursula von der Leyen in April?$1,330
Will Trump post "POTUS" this week on Truth Social?$783
Will the Rolex Index hit $12,300 (HIGH) by April 30?$497
Will the Patek Index hit $106,500 (HIGH) by April 30?$368
DeepSeek V4 released by April 28?$365
Will Trump say "Go ahead" 3+ times during healthcare event?$207

Top Losers

Clavicular pregnancy in 2026?$-14,104
Will Iran take military action against a Gulf State on April 6, 2$-58
Will another country conduct military action against Iran by Apri$-36

Risk Metrics

#4
Sharpe
0.306
Sortino
4.470
HHI
1045
Moderate
EV per $1
$13.742
Kelly %
79.7%
Half-Kelly
39.9%
Top-1 market
21.5%
Top-5 markets
61.5%

Behavior Analysis

#5
Trades / Day
32.6
Active
Markets / Day
7.6
Active Hours
19/24
Extended
Peak Hour
4:00 UTC
Median Gap
1.6m
between trades
Avg Gap
45.5m
between trades
Night Trading
41%
22:00–06:00 UTC
Size Variance
4.35
Variable
Session Statistics
Sessions
50
Avg Duration
2 min
Avg Trades / Session
2.4

Bot Detection

#6
35
LIKELY HUMAN (fast interface)LOW probability

6 indicators analyzed

Trade Speed
LOW
Night Activity
MEDIUM
Active Hours
HIGH
Trade Frequency
LOW
Size Consistency
LOW
Market Coverage
LOW
Median gap 94s — typical for humanSize CV 4.35 — diverse, typical for human41% at night — bot never sleeps19/24 hours — extended daySession CV 1.10 — human randomness33 trades/day — suspiciously high

Timing Patterns

#7

Peak hour: 4:00 UTC

0
4
8
12
16
20

DCA Analysis

#8
Avg entries/market
3.2
Moderate DCA
<=1
77 entries
<=2
87 entries
<=5
94 entries
<=10
103 entries
<=20
105 entries
<=50
107 entries
>50
1 entries

Price Levels

#9
Low (<20c)20.6%
Mid (20-55c)10.6%
High (>55c)68.9%

City Stats

#10

YES bias: 81.1%

Other$12,042

Bracket Analysis

#11
Avg brackets/event
1.9
Events covered
56

Single bracket

<=1
35 brackets
<=2
44 brackets
<=3
48 brackets
<=4
51 brackets
<=5
52 brackets
<=8
56 brackets
>8
0 brackets

Sessions

#12
4/17/2026, 6:03:18 PM10 trades$44,35215 min
4/17/2026, 6:24:52 PM1 trades$14,8180 min
4/17/2026, 6:38:02 PM2 trades$9,2393 min
4/17/2026, 6:50:14 PM1 trades$7160 min
4/17/2026, 7:09:02 PM1 trades$8,7000 min
4/17/2026, 7:20:42 PM1 trades$17,7480 min
4/17/2026, 7:56:52 PM5 trades$4,4626 min
4/17/2026, 8:12:38 PM1 trades$3790 min
4/17/2026, 9:03:22 PM1 trades$4,9400 min
4/18/2026, 12:50:32 AM2 trades$501 min
4/18/2026, 12:56:32 AM1 trades$190 min
4/18/2026, 1:40:34 AM2 trades$103 min
4/18/2026, 1:49:58 AM1 trades$180 min
4/18/2026, 10:58:16 PM1 trades$260 min
4/18/2026, 11:52:52 PM1 trades$36,1640 min
4/19/2026, 12:29:54 AM1 trades$350 min
4/19/2026, 12:35:30 AM2 trades$681 min
4/19/2026, 12:43:42 AM2 trades$613 min
4/19/2026, 1:19:50 AM5 trades$2,8167 min
4/19/2026, 2:03:00 AM1 trades$9640 min

Equity Curve

#13
Cumulative PnL by market end date Profit Loss Today
01-01
04-17
04-23
04-26
04-29
05-03
05-31
12-31

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

Profile

#14
Specialization
MIXED
0% weather
Holding Style
ACTIVE SELLER
24.4% sell
DCA Style
MODERATE
avg 3.2/mkt
Hedging
SINGLE
avg 1.9 br/event