Polydata

@White-Tabernacle

#53,33881

0xb3cf15f10ce065bab2f8857a1c49b85ddc5e4723

163d· 58 markets · 384 tradesVol: $109,7692026-05-20T19:08
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.

81
Very Good
80-100Elite
60-79Diamond
40-59Gold
0-39Standard

Score Components

Win Rate 59%15/20
Profit Factor 1.45x8/15
Sharpe 0.4919/15
Sortino 7.34910/10
EV $+0.68510/10
HHI 58010/10
Profit Days 71%10/10
DD/Peak 15%10/10

Summary

White-Tabernacle is a moderately active Polymarket trader with 384 trades across 58 markets over the span of a year. Ranking #53338 on the global PnL leaderboard, they have generated a net profit of $1,664.65 on a total trading volume of $109,769. Their portfolio is currently valued at $2,391.72, supported by a smart score of 81/100, indicating strong overall trading skill despite a recent downward trend in equity.

This trader favors a balanced approach, with a 56.9% win rate and a profit factor of 1.32, reflecting consistent but moderate profitability. White-Tabernacle does not focus on weather markets and maintains a roughly even split between buying and selling positions. Their Sharpe ratio of 0.49 suggests moderate risk-adjusted returns, and the absence of any drawdown duration indicates they recover quickly from losses. The low bot score confirms manual trading, emphasizing a human-driven strategy with a cool-headed style.

White-Tabernacle’s key strengths lie in their consistency, disciplined risk management, and ability to sustain winning streaks, as reflected by their top badges. However, the current downward equity trend and relatively low Sharpe ratio highlight potential vulnerabilities to market volatility or strategy shifts. Traders monitoring White-Tabernacle on Polymarket might note the balance between steady profits and exposure to fluctuating market conditions.

Badges

5
Profitable
PnL $+1,665
Hedger
avg 3.6 brackets/event
Win Streak
5 wins in a row
Consistent
5/7 days
Cool Head
DD 15%

Categories

2
CRYPTO#21,698$1,584Vol: $102,733
💰 FINANCE#18,211$80Vol: $7,036

Overview

#1
Net PnL
$1,665
Polymarket official
Total Volume
$109,769
Total Redeem
$1,095
Portfolio
$2,392
Predictions
58
total markets
Trades
192B / 192S
Daily Volume
$87
Account Age
163d
since Dec 9, 2025

Periods

#2
Today
$126
Vol: $1,283
Week
$80
Vol: $7,036
Month
$915
Vol: $21,821
All Time
$1,665
Vol: $109,769

PnL Analysis

#3
Win Rate (events)
56%
9W / 7L events
Realized PnL
$1,718
Win Rate
57%
29W / 22L
Profit Factor
1.32x
Avg Win
$173
Avg Loss
$-173

Outlier Sensitivity: Top-3 = $2,428 (200% of PnL)

Top Winners

EdgeX FDV above $1B one day after launch?$936
Zama FDV above $500M one day after launch?$871
MegaETH market cap (FDV) >$1.5B one day after launch?$622
MegaETH market cap (FDV) >$2B one day after launch?$531
MegaETH FDV above $1.4B one day after launch?$406
USD.AI FDV above $200M one day after launch?$335
MegaETH FDV above $1.6B one day after launch?$254
Over $8M committed to the Printr public sale?$188
Over $20M committed to the Printr public sale?$172
Genius FDV above $200M one day after launch?$130

Top Losers

EdgeX FDV above $700M one day after launch?$-903
SpaceX IPO closing market cap above $2.4T?$-712
Hyperlend FDV above $20M one day after launch?$-585
Flying Tulip FDV above $800M one day after launch?$-337
USD.AI FDV above $300M one day after launch?$-329
Genius FDV above $300M one day after launch?$-287
Over $10M committed to the Printr public sale?$-184
Seeker FDV above $100M one day after launch?$-96
HumidiFi FDV above $200M one day after launch?$-87
Pharos FDV above $800M one day after launch?$-71

Risk Metrics

#4
Sharpe
0.491
Sortino
7.349
HHI
580
Moderate
EV per $1
$0.685
Kelly %
0.0%
Half-Kelly
0.0%
Top-1 market
11.8%
Top-5 markets
44.9%

Behavior Analysis

#5
Trades / Day
2.4
Moderate
Markets / Day
0.4
Active Hours
21/24
Around the clock
Peak Hour
19:00 UTC
Median Gap
1.8m
between trades
Avg Gap
55.9m
between trades
Night Trading
8%
22:00–06:00 UTC
Size Variance
1.54
Variable
Session Statistics
Sessions
50
Avg Duration
2 min
Avg Trades / Session
2.6

Bot Detection

#6
5
HUMAN (manual trading)LOW probability

5 indicators analyzed

Trade Speed
LOW
Night Activity
LOW
Active Hours
HIGH
Trade Frequency
LOW
Size Consistency
LOW
Market Coverage
LOW
Median gap 106s — typical for humanSize CV 1.54 — diverse, typical for human8% at night — normal sleep pattern21/24 hours — extended daySession CV 0.72 — human randomness

Timing Patterns

#7

Peak hour: 19:00 UTC

0
4
8
12
16
20

DCA Analysis

#8
Avg entries/market
3.3
Moderate DCA
<=1
21 entries
<=2
36 entries
<=5
48 entries
<=10
56 entries
<=20
58 entries
<=50
58 entries
>50
0 entries

Price Levels

#9
Low (<20c)12.5%
Mid (20-55c)35.4%
High (>55c)52.1%

City Stats

#10

YES bias: 46%

Other$1,214

Bracket Analysis

#11
Avg brackets/event
3.6
Events covered
16

Multi-bracket hedger

<=1
3 brackets
<=2
7 brackets
<=3
10 brackets
<=4
11 brackets
<=5
13 brackets
<=8
15 brackets
>8
1 brackets

Sessions

#12
12/9/2025, 7:06:49 AM1 trades$7900 min
12/9/2025, 7:35:33 AM2 trades$665 min
12/9/2025, 8:34:43 AM1 trades$1410 min
12/9/2025, 7:12:10 PM2 trades$7631 min
12/9/2025, 7:29:20 PM1 trades$1480 min
1/18/2026, 7:33:42 PM8 trades$91013 min
1/20/2026, 7:50:44 PM2 trades$5610 min
1/21/2026, 6:23:12 AM1 trades$3650 min
1/24/2026, 5:07:16 PM2 trades$1900 min
1/24/2026, 5:49:14 PM2 trades$331 min
1/24/2026, 5:57:36 PM1 trades$110 min
1/24/2026, 6:03:46 PM4 trades$1195 min
2/2/2026, 2:33:06 PM3 trades$8985 min
2/16/2026, 6:16:55 PM2 trades$5001 min
2/18/2026, 9:36:16 PM1 trades$100 min
2/21/2026, 10:59:44 AM1 trades$1,7060 min
2/23/2026, 3:57:26 AM1 trades$1,7350 min
2/23/2026, 2:40:30 PM2 trades$1283 min
2/23/2026, 3:18:56 PM6 trades$255 min
2/26/2026, 3:51:56 PM1 trades$1540 min

Equity Curve

#13
Cumulative PnL by market end date Profit Loss Today
01-01
12-31
06-01
07-01
01-01
12-31
01-01

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

Profile

#14
Specialization
MIXED
0% weather
Holding Style
ACTIVE SELLER
50% sell
DCA Style
MODERATE
avg 3.3/mkt
Hedging
MULTI
avg 3.6 br/event