Polydata

@Utilized-Fibroblast

#6295

0x57cd939930fd119067ca9dc42b22b3e15708a0fb

278d· 665 markets · 6870 tradesVol: $22,434,0152026-06-22T14:11
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.

95
Elite
80-100Elite
60-79Diamond
40-59Gold
0-39Standard

Score Components

Win Rate 92%20/20
Profit Factor 10.92x15/15
Sharpe 0.68113/15
Sortino 0.7728/10
EV $+9.91710/10
HHI 12810/10
Profit Days 94%10/10
DD/Peak 3%10/10

Summary

Utilized-Fibroblast is a highly active trader on Polymarket, ranking #62 on the global PnL leaderboard with a net profit of over $2 million. Over 219 days, they executed 6,870 trades across 246 markets, accumulating a total volume exceeding $22 million. Despite a modest win rate of 9.3%, their Smart Score of 95 places them in the elite category, reflecting strong overall performance and skill.

This trader’s strategy appears focused on frequent, contrarian positions, as indicated by their badges and low profit factor of 0.31. Utilized-Fibroblast maintains a low-risk sell percentage of 2%, suggesting a preference for holding positions rather than quick exits. Their Sharpe ratio of 0.68 and stable equity trend imply moderate risk-taking balanced with consistent outcomes. The absence of weather market activity hints at a specialization in other event types, and their fast interface use indicates timely decision-making.

Utilized-Fibroblast’s strengths lie in disciplined, high-volume trading with a contrarian edge and strong emotional resilience, as shown by the Diamond Hands badge and zero max drawdown duration. However, the low win rate and profit factor highlight potential vulnerability to losing trades, and a flat portfolio value suggests all gains are realized rather than retained. Overall, Utilized-Fibroblast demonstrates a sophisticated, human-driven approach with consistent results on Polymarket.

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

Badges

9
Sniper
Win Rate 92%
Profitable
PnL $+2,018,742
Contrarian
57% entries <$0.50
Diamond Hands
2% sell
Win Streak
10 wins in a row
Whale
$4,848,518
Consistent
117/124 days
High Roller
$22,139/day
Cool Head
DD 3%

Categories

2
📈 ECONOMICS#6,725$238Vol: $10,571
CRYPTO#40,076$527Vol: $4,644

Overview

#1
Net PnL
$2,018,742
Polymarket official
Total Volume
$22,434,015
Total Redeem
$717,511
Portfolio
$0
Predictions
665
total markets
Trades
6743B / 127S
Daily Volume
$22,139
Account Age
278d
since Sep 17, 2025

Periods

#2
Month
$3,469
Vol: $6,326
All Time
$2,018,742
Vol: $22,434,015

PnL Analysis

#3
Win Rate (events)
92%
240W / 21L events
Realized PnL
$5,670,279
Win Rate
9%
21W / 204L
Profit Factor
0.31x
Avg Win
$54,592
Avg Loss
$-18,064

Top Winners

Will Arsenal FC win on 2026-04-11?$235,964
Will Juventus FC win on 2026-05-24?$230,675
Will VfB Stuttgart win on 2026-05-16?$164,221
Will FC Bayern München win on 2026-05-02?$109,587
Will Chelsea FC win on 2026-05-04?$88,084
Will Arsenal FC win on 2026-03-11?$60,901
Will Club Atlético de Madrid win on 2026-02-08?$50,435
Will Liverpool FC win on 2026-03-10?$46,618
Will AS Monaco FC win on 2026-05-17?$34,873
Will Real Sociedad de Fútbol win on 2026-04-11?$30,192

Top Losers

Will Liverpool FC win on 2026-04-14?$-185,161
Will Paris Saint-Germain FC win on 2026-04-19?$-167,222
Will RC Strasbourg Alsace win on 2026-05-07?$-135,278
Will Liverpool FC win on 2026-05-17?$-132,925
Will Arsenal FC win on 2026-04-29?$-129,541
Will FC Porto win on 2026-04-09?$-104,825
Will Liverpool FC win on 2026-04-08?$-95,071
Will RC Celta de Vigo win on 2026-04-16?$-88,859
Will SSC Napoli win on 2026-05-11?$-87,867
Spread: Seahawks (-5.5)$-71,856

Risk Metrics

#4
Sharpe
0.681
Sortino
0.772
HHI
128
Diversified
EV per $1
$9.917
Kelly %
0.0%
Half-Kelly
0.0%
Top-1 market
3.8%
Top-5 markets
15.5%

Behavior Analysis

#5
Trades / Day
38.8
Active
Markets / Day
1.4
Active Hours
19/24
Extended
Peak Hour
19:00 UTC
Median Gap
8s
between trades
Avg Gap
19.0m
between trades
Night Trading
1%
22:00–06:00 UTC
Size Variance
5.37
Variable
Session Statistics
Sessions
50
Avg Duration
3 min
Avg Trades / Session
7.5

Bot Detection

#6
30
LIKELY HUMAN (fast interface)LOW probability

6 indicators analyzed

Trade Speed
HIGH
Night Activity
LOW
Active Hours
HIGH
Trade Frequency
LOW
Size Consistency
LOW
Market Coverage
LOW
54% < 10s — regular intervalSize CV 5.37 — diverse, typical for human1% at night — normal sleep pattern19/24 hours — extended daySession CV 1.18 — human randomness39 trades/day — suspiciously high

Timing Patterns

#7

Peak hour: 19:00 UTC

0
4
8
12
16
20

DCA Analysis

#8
Avg entries/market
27.4
Heavy DCA
<=1
59 entries
<=2
80 entries
<=5
106 entries
<=10
130 entries
<=20
155 entries
<=50
210 entries
>50
36 entries

Price Levels

#9
Low (<20c)0.6%
Mid (20-55c)63.7%
High (>55c)35.8%

City Stats

#10

YES bias: 0%

Los Angeles$-423
Houston$-3,766
Milan$-24,012
Madrid$-167,915
Paris$-310,586
Other$-2,032,009

Bracket Analysis

#11
Avg brackets/event
1
Events covered
239

Single bracket

<=1
232 brackets
<=2
239 brackets
<=3
239 brackets
<=4
239 brackets
<=5
239 brackets
<=8
239 brackets
>8
0 brackets

Sessions

#12
12/20/2025, 11:25:34 AM1 trades$7,8390 min
12/20/2025, 11:53:22 AM2 trades$6,3591 min
12/20/2025, 2:35:16 PM5 trades$3,7522 min
12/20/2025, 7:06:59 PM3 trades$1,2240 min
12/20/2025, 10:53:17 PM2 trades$10,0295 min
12/21/2025, 9:07:55 AM19 trades$7,76221 min
12/21/2025, 4:26:57 PM1 trades$7,8840 min
12/21/2025, 6:42:46 PM1 trades$7,8550 min
12/21/2025, 6:49:56 PM1 trades$4,9440 min
12/22/2025, 7:20:21 PM1 trades$7,9290 min
12/22/2025, 10:55:45 PM1 trades$5,5500 min
12/23/2025, 10:48:11 PM1 trades$5,5270 min
12/25/2025, 11:50:37 PM1 trades$7,8890 min
12/25/2025, 11:57:37 PM1 trades$5,0000 min
12/27/2025, 3:08:41 PM1 trades$7,5600 min
12/27/2025, 9:39:19 PM39 trades$7,8473 min
12/27/2025, 11:41:01 PM1 trades$11,2500 min
12/28/2025, 1:46:49 PM15 trades$9,4473 min
12/28/2025, 8:03:21 PM2 trades$7,8360 min
12/28/2025, 9:04:53 PM1 trades$6,9760 min

Equity Curve

#13
Cumulative PnL by market end date Profit Loss Today
10-17
12-24
01-20
02-19
03-22
04-19
05-17

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

Profile

#14
Specialization
MIXED
0% weather
Holding Style
HOLD
1.8% sell
DCA Style
HEAVY
avg 27.4/mkt
Hedging
SINGLE
avg 1 br/event