Polydata
Data is 21 days old — refreshing in background...

@Silver-Perspective

#73975

0xacb206b460a17382a734de8d931cc176307eb989

94d· 969 markets · 15691 tradesVol: $21,521,1652026-06-06T03:34
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.

75
Very Good
80-100Elite
60-79Diamond
40-59Gold
0-39Standard

Score Components

Win Rate 100%20/20
Profit Factor 0.36x0/15
Sharpe 1.38115/15
Sortino 26869808.44710/10
HHI 5410/10
Profit Days 99%10/10
DD/Peak 0%10/10

Summary

Silver-Perspective is an active trader on Polymarket, ranked #739 globally by net PnL with a total profit of $230,027.18. Over 99 days, they have executed 15,691 trades across 309 markets, accumulating a total trading volume exceeding $21.5 million. Their portfolio value remains stable at around $7,210, reflecting consistent activity and capital allocation. The trader’s Smart Score of 75/100 indicates a very good performance, complemented by a Sharpe ratio of 1.38, signaling efficient risk-adjusted returns.

The trading style of Silver-Perspective is characterized by a semi-automated approach, combining bot-assisted and manual trades, as suggested by their Bot Score of 60/100. They maintain a contrarian stance with a relatively low win rate of 24.8% but manage to sustain profitability, which aligns with their badges for being a sniper and contrarian trader. They rarely sell, with only 18% sell trades, and do not engage in weather-related markets. Their trading activity shows a stable equity trend and zero max drawdown duration, implying disciplined risk management and timing.

Silver-Perspective’s strengths include a large volume of trades and a solid profit factor, which supports their consistent earnings despite a low win rate. Their ability to maintain a flat equity trend with minimal drawdown enhances their resilience in volatile markets. However, the relatively low profit factor of 0.36 and a moderate Bot Score suggest there may be room for improvement in trade selection efficiency. For traders observing Polymarket, Silver-Perspective exemplifies disciplined, high-volume trading with a contrarian edge but also carries risks associated with a low win percentage and reliance on semi-automated strategies.

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

Badges

8
Sniper
Win Rate 100%
Profitable
PnL $+230,027
Contrarian
63% entries <$0.50
Win Streak
39 wins in a row
Whale
$2,174,462
Consistent
70/71 days
High Roller
$21,964/day
Cool Head
DD 0%

Categories

2
SPORTS#358$224,441Vol: $21,509,587
🎭 CULTURE#1,337$5,586Vol: $11,578

Overview

#1
Net PnL
$230,027
Polymarket official
Total Volume
$21,521,165
Total Redeem
$318,262
Portfolio
$7,210
Predictions
969
total markets
Trades
12789B / 2902S
Daily Volume
$21,964
Account Age
94d
since Mar 24, 2026

Periods

#2
Today
$754
Vol: $37,504
Week
$17,169
Vol: $167,789
Month
$17,169
Vol: $136,879
All Time
$230,027
Vol: $21,521,165

PnL Analysis

#3
Win Rate (events)
100%
217W / 1L events
Realized PnL
$1,908,287
Win Rate
25%
65W / 197L
Profit Factor
0.36x
Avg Win
$6,867
Avg Loss
$-6,333

Top Winners

Thunder vs. Nuggets$24,610
Celtics vs. 76ers$24,300
Pistons vs. Magic$21,345
Nuggets vs. Timberwolves$19,970
Will the San Antonio Spurs win the 2026 NBA Finals?$18,570
Hawks vs. Heat$12,300
Knicks vs. Spurs$12,112
Cavaliers vs. Pistons$12,025
Thunder vs. Spurs: O/U 218.5$10,219
Golden Knights vs. Ducks$10,120

Top Losers

Pistons vs. Hornets$-20,800
Nets vs. Bucks$-20,773
Hawks vs. Knicks$-19,713
Rockets vs. Warriors$-18,902
Kings vs. Warriors$-16,386
76ers vs. Celtics$-15,942
Timberwolves vs. Mavericks$-15,213
Bulls vs. Grizzlies$-15,182
Suns vs. Grizzlies$-14,557
Pacers vs. Nets$-14,431

Risk Metrics

#4
Sharpe
1.381
Sortino
inf
HHI
54
Diversified
EV per $1
$-0.415
Kelly %
0.0%
Half-Kelly
0.0%
Top-1 market
1.7%
Top-5 markets
7.4%

Behavior Analysis

#5
Trades / Day
214.5
Very active
Markets / Day
4.2
Active Hours
24/24
Around the clock
Peak Hour
2:00 UTC
Median Gap
24s
between trades
Avg Gap
7.7m
between trades
Night Trading
33%
22:00–06:00 UTC
Size Variance
4.99
Variable
Session Statistics
Sessions
50
Avg Duration
6 min
Avg Trades / Session
12.4

Bot Detection

#6
60
SEMI-BOT (bot + manual)MEDIUM probability

6 indicators analyzed

Trade Speed
HIGH
Night Activity
LOW
Active Hours
HIGH
Trade Frequency
HIGH
Size Consistency
LOW
Market Coverage
LOW
Median gap 24s — typical for humanSize CV 4.99 — diverse, typical for human33% at night — bot never sleeps24/24 hours — around the clockSession CV 1.04 — human randomness214 trades/day — automation

Timing Patterns

#7

Peak hour: 2:00 UTC

0
4
8
12
16
20

DCA Analysis

#8
Avg entries/market
41.4
Heavy DCA
<=1
72 entries
<=2
82 entries
<=5
110 entries
<=10
140 entries
<=20
178 entries
<=50
246 entries
>50
63 entries

Price Levels

#9
Low (<20c)16.6%
Mid (20-55c)68.9%
High (>55c)14.5%

City Stats

#10

YES bias: 33.5%

Seattle$10,100
San Francisco$5,400
Houston$4,591
Chicago$237
Madrid$-3,081
Toronto$-4,499
Milan$-5,075
Paris$-6,157
Miami$-7,996
Los Angeles$-10,642
Atlanta$-12,130
Other$-772,055

Bracket Analysis

#11
Avg brackets/event
1.3
Events covered
247

Single bracket

<=1
211 brackets
<=2
233 brackets
<=3
242 brackets
<=4
242 brackets
<=5
246 brackets
<=8
247 brackets
>8
0 brackets

Sessions

#12
3/24/2026, 11:49:13 PM1 trades$4,6000 min
3/24/2026, 11:54:35 PM1 trades$4,8000 min
3/25/2026, 8:54:51 AM161 trades$5,051149 min
3/25/2026, 11:34:59 AM3 trades$2796 min
3/25/2026, 11:51:01 AM2 trades$2010 min
3/25/2026, 12:00:45 PM1 trades$4,4690 min
3/25/2026, 10:55:09 PM57 trades$4,9291 min
3/26/2026, 1:41:45 AM7 trades$5,0022 min
3/26/2026, 2:02:19 AM38 trades$4,9938 min
3/26/2026, 10:56:15 PM1 trades$5,0000 min
3/26/2026, 11:08:05 PM7 trades$5,0000 min
3/27/2026, 7:56:17 PM2 trades$14,5962 min
3/27/2026, 9:56:51 PM1 trades$4,0800 min
3/27/2026, 10:20:23 PM1 trades$5,0000 min
3/27/2026, 10:31:03 PM4 trades$12,6545 min
3/27/2026, 10:44:51 PM16 trades$5,0058 min
3/27/2026, 11:19:39 PM4 trades$6552 min
3/27/2026, 11:28:29 PM13 trades$35422 min
3/27/2026, 11:59:07 PM1 trades$320 min
3/28/2026, 1:57:35 AM1 trades$5,1030 min

Equity Curve

#13
Cumulative PnL by market end date Profit Loss Today
03-24
04-04
04-16
04-28
05-11
05-23
06-04

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

Profile

#14
Specialization
MIXED
0% weather
Holding Style
ACTIVE SELLER
18.5% sell
DCA Style
HEAVY
avg 41.4/mkt
Hedging
SINGLE
avg 1.3 br/event