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@Rich-Antelope

#47,49166

0x29b7982d92e4cd63e3779c093b7fdb7917405565

107d· 5813 markets · 324 tradesVol: $76,8992026-06-29T17:47
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.

66
Good
80-100Elite
60-79Diamond
40-59Gold
0-39Standard

Score Components

Win Rate 56%13/20
Profit Factor 1.43x8/15
Sharpe 0.2976/15
Sortino 0.3884/10
EV $+0.42610/10
HHI 3110/10
Profit Days 67%9/10
DD/Peak 39%6/10

Summary

Rich-Antelope is a moderately active trader on Polymarket, with 324 trades executed across 323 markets over 98 days. They currently hold a net profit of $2,115.31, placing them at rank #47491 on the global PnL leaderboard. Despite a relatively low portfolio value of $69.42, Rich-Antelope has maintained a good Smart Score of 66/100, reflecting solid overall performance in terms of profitability and consistency.

This trader shows a preference for diverse markets, given the large number of unique markets traded, but does not participate in weather markets at all. Their win rate of 62.7% suggests a moderately conservative risk profile, with a profit factor below 1 (0.71) indicating some trades are less profitable than losses. The absence of sell trades and a bot score of 35/100 imply a human-driven strategy, possibly favoring holding positions rather than quick flips. Rich-Antelope’s Sharpe ratio of 0.30 and zero max drawdown duration point to moderate risk exposure and short periods of losses.

Key strengths for Rich-Antelope include consistent trading behavior and a notable win streak, highlighted by badges such as Diamond Hands and Consistent. However, their equity trend is currently downward, which combined with a low profit factor, signals potential challenges in sustaining profitability long-term. The limited portfolio size and moderate Sharpe ratio also suggest room for improvement in risk-adjusted returns on Polymarket.

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

Badges

4
Profitable
PnL $+2,115
Diamond Hands
0% sell
Win Streak
79 wins in a row
Consistent
55/82 days

Categories

1
CRYPTO#19,027$2,115Vol: $76,899

Overview

#1
Net PnL
$2,115
Polymarket official
Total Volume
$76,899
Total Redeem
$1,178
Portfolio
$69
Predictions
5813
total markets
Trades
324B / 0S
Daily Volume
$34
Account Age
107d
since Mar 22, 2026

Periods

#2
Today
$44
Vol: $1,737
Week
$44
Vol: $2,307
Month
$194
Vol: $39,536
All Time
$2,115
Vol: $76,899

PnL Analysis

#3
Win Rate (events)
56%
250W / 200L events
Realized PnL
$2,985
Win Rate
63%
79W / 47L
Profit Factor
0.71x
Avg Win
$4
Avg Loss
$-10

Top Winners

XRP Up or Down - June 29, 5:50AM-5:55AM ET$13
Solana Up or Down - June 29, 5:50AM-5:55AM ET$12
Ethereum Up or Down - June 29, 8:00AM-8:05AM ET$11
Solana Up or Down - June 29, 8:15AM-8:30AM ET$10
Solana Up or Down - June 29, 10:05AM-10:10AM ET$10
XRP Up or Down - June 29, 9:45AM-9:50AM ET$9
Solana Up or Down - June 29, 9:45AM-10:00AM ET$8
Ethereum Up or Down - June 29, 1:15PM-1:20PM ET$8
Ethereum Up or Down - June 29, 9:55AM-10:00AM ET$8
Solana Up or Down - June 29, 10:55AM-11:00AM ET$7

Top Losers

Solana Up or Down - June 17, 3:25PM-3:30PM ET$-11
Solana Up or Down - June 20, 6:15PM-6:30PM ET$-11
Ethereum Up or Down - June 15, 9:25AM-9:30AM ET$-11
Bitcoin Up or Down - June 19, 1:50PM-1:55PM ET$-11
XRP Up or Down - June 12, 9:40AM-9:45AM ET$-11
Solana Up or Down - June 22, 2:55PM-3:00PM ET$-11
Solana Up or Down - June 12, 12:10PM-12:15PM ET$-11
Bitcoin Up or Down - June 16, 1:15AM-1:20AM ET$-11
Ethereum Up or Down - June 18, 1:40PM-1:45PM ET$-11
Solana Up or Down - June 8, 2:50PM-2:55PM ET$-11

Risk Metrics

#4
Sharpe
0.297
Sortino
0.388
HHI
32
Diversified
EV per $1
$0.426
Kelly %
0.0%
Half-Kelly
0.0%
Top-1 market
0.6%
Top-5 markets
2%

Behavior Analysis

#5
Trades / Day
5.8
Moderate
Markets / Day
5.8
Active Hours
24/24
Around the clock
Peak Hour
13:00 UTC
Median Gap
58.4m
between trades
Avg Gap
3.1h
between trades
Night Trading
12%
22:00–06:00 UTC
Size Variance
0.12
Very consistent
Session Statistics
Sessions
50
Avg Duration
0 min
Avg Trades / Session
1.1

Bot Detection

#6
35
LIKELY HUMAN (fast interface)LOW probability

6 indicators analyzed

Trade Speed
LOW
Night Activity
LOW
Active Hours
HIGH
Trade Frequency
LOW
Size Consistency
HIGH
Market Coverage
LOW
Median gap 3501s — typical for humanSize CV 0.12 — uniform orders12% at night — normal sleep pattern24/24 hours — around the clockSession CV 0.77 — human randomness450 total positions — large-scale activity

Timing Patterns

#7

Peak hour: 13:00 UTC

0
4
8
12
16
20

DCA Analysis

#8
Avg entries/market
1
Single entry
<=1
322 entries
<=2
323 entries
<=5
323 entries
<=10
323 entries
<=20
323 entries
<=50
323 entries
>50
0 entries

Price Levels

#9
Low (<20c)0.3%
Mid (20-55c)71.3%
High (>55c)28.4%

City Stats

#10

YES bias: 56.8%

Other$-143

Bracket Analysis

#11
Avg brackets/event
1
Events covered
323

Single bracket

<=1
323 brackets
<=2
323 brackets
<=3
323 brackets
<=4
323 brackets
<=5
323 brackets
<=8
323 brackets
>8
0 brackets

Sessions

#12
5/4/2026, 3:20:26 PM2 trades$220 min
5/4/2026, 4:20:26 PM1 trades$110 min
5/5/2026, 2:20:46 PM1 trades$110 min
5/6/2026, 12:15:16 PM2 trades$220 min
5/9/2026, 7:41:53 PM1 trades$100 min
5/10/2026, 7:05:18 PM1 trades$110 min
5/11/2026, 1:35:35 PM1 trades$100 min
5/12/2026, 12:11:30 AM1 trades$110 min
5/12/2026, 12:30:04 PM1 trades$110 min
5/12/2026, 4:32:35 PM1 trades$100 min
5/13/2026, 12:40:09 PM1 trades$110 min
5/13/2026, 1:42:58 PM1 trades$110 min
5/13/2026, 4:31:21 PM1 trades$110 min
5/14/2026, 5:22:03 PM1 trades$110 min
5/14/2026, 6:40:20 PM1 trades$110 min
5/15/2026, 2:00:23 PM1 trades$110 min
5/15/2026, 4:30:25 PM1 trades$110 min
5/15/2026, 5:27:26 PM1 trades$110 min
5/16/2026, 6:50:22 AM1 trades$110 min
5/16/2026, 7:15:15 AM1 trades$110 min

Equity Curve

#13
Cumulative PnL by market end date Profit Loss Today
03-23
04-15
05-02
05-16
05-29
06-12
06-26

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

Profile

#14
Specialization
MIXED
0% weather
Holding Style
HOLD
0% sell
DCA Style
SINGLE
avg 1/mkt
Hedging
SINGLE
avg 1 br/event