
@Impeccable-Greatness
#2,416,152100xcf19ba47a99eee6be9925211c4f0c6cfd1c344b5
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
Impeccable-Greatness is a highly active Polymarket trader with nearly a year of continuous manual trading experience, as indicated by 364 days active and 189 trades across 114 markets. Despite significant trading volume of $139,624, their net PnL stands at negative $185.85, placing them at a low global rank of #2,416,152. Their portfolio value is minimal at $14.40, reflecting ongoing losses and a clearly downward equity trend. The trader holds a beginner-level Smart Score of 10/100 and a negative Sharpe ratio of -0.48, signaling underperformance relative to risk.
The trading style of Impeccable-Greatness is characterized by a contrarian approach, supported by a badge for contrarian trading and a modest 24% sell percentage. They exhibit a 50% win rate and a profit factor of 1.00, indicating breakeven performance with no clear edge. Their preference for markets is broad, having traded 114 different markets, but with only 1% exposure to weather markets. The trader appears to maintain a balanced risk profile but lacks sustained profitability or timing advantage, as reflected in a zero-day max drawdown duration and a Win Streak badge that may not translate to consistent gains.
Impeccable-Greatness’s key strength lies in their high trading volume and engagement, providing ample market exposure and learning opportunities. However, the ongoing losses, low Smart Score, and negative Sharpe ratio highlight significant risks, including potential overtrading and lack of effective strategy refinement. Their status as a beginner manual trader suggests that further skill development is necessary to improve performance on Polymarket and avoid continued equity decline.
Badges
3Categories
8Overview
#1Periods
#2PnL Analysis
#3Outlier Sensitivity: Top-3 = $46 (33098.8% of PnL)
Top Winners
Top Losers
Risk Metrics
#4Behavior Analysis
#5Bot Detection
#65 indicators analyzed
Timing Patterns
#7Peak hour: 16:00 UTC
DCA Analysis
#896 entries
106 entries
114 entries
114 entries
114 entries
114 entries
0 entries
Price Levels
#9City Stats
#10YES bias: 60%
Bracket Analysis
#11Single bracket
112 brackets
113 brackets
113 brackets
113 brackets
113 brackets
113 brackets
0 brackets
Sessions
#12Equity Curve
#13Faded bars = markets ending in the future (PnL from early exits)