Polydata
Data is 7 days old — refreshing in background...
beet420

@beet420

#3,050,94621

0xd81e5bc01e4a98d0af93d82dc2c542a4c0f9e3d0

81d· 777 markets · 6388 tradesVol: $17,988,7452026-07-22T00:04
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.

21
Below Average
80-100Elite
60-79Diamond
40-59Gold
0-39Standard

Score Components

Win Rate 40%5/20
Profit Factor 0.85x1/15
HHI 25010/10
Profit Days 51%5/10
DD/Peak 387%0/10

Summary

Beet420 is a moderately active trader on Polymarket, with 6,388 trades across 555 markets over 83 days. Despite a very high win rate of 97.3% and substantial total volume of nearly $18 million, beet420’s net PnL stands at negative $486,016.10, placing them at rank #3,050,946 on the global leaderboard. Their portfolio value is currently $52,961.53, and their smart score is below average at 21/100, indicating room for improvement in overall trading efficiency.

Beet420’s trading style suggests a high-frequency approach with a focus on Dollar Cost Averaging (DCA), as reflected by their badge as a DCA Master and a semi-bot trading score of 65/100. They rarely sell, with only 5% sell activity, indicating a strong buy-and-hold or scaling-in strategy. Their markets appear diverse, but they avoid weather markets entirely. The negative Sharpe ratio of -0.07 and very short max drawdown duration imply volatile returns and rapid recovery from losses, consistent with a high-risk profile and active engagement.

The key strength of beet420 lies in their ability to maintain a consistent upward equity trend and a high profit factor of 61.21, suggesting effective trade sizing and risk management in many instances. However, the large negative net PnL and below-average smart score highlight potential issues with trade timing or market selection that could undermine long-term profitability. Their reliance on semi-automated trading might also expose them to system-related risks or overtrading on Polymarket.

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

Badges

5
Diamond Hands
5% sell
DCA Master
avg 10.9 entries/market
Win Streak
69 wins in a row
Whale
$4,998,174
High Roller
$60,219/day

Categories

1
SPORTS#1,875,813$-486,016Vol: $17,988,745

Overview

#1
Net PnL
$-486,016
Polymarket official
Total Volume
$17,988,745
Total Redeem
$2,639,434
Portfolio
$52,962
Predictions
777
total markets
Trades
6047B / 341S
Daily Volume
$60,219
Account Age
81d
since May 8, 2026

Periods

#2
Today
$-24,559
Vol: $58,255
Week
$-24,831
Vol: $142,280
Month
$90,531
Vol: $1,626,590
All Time
$-486,016
Vol: $17,988,745

PnL Analysis

#3
Win Rate (events)
42%
199W / 273L events
Realized PnL
$3,003,021
Win Rate
97%
179W / 5L
Profit Factor
61.21x
Avg Win
$5,838
Avg Loss
$-3,414

Outlier Sensitivity: Top-3 = $286,743 (27.9% of PnL)

Top Winners

Will Norway vs. Senegal end in a draw?$116,000
San Francisco Giants vs. Colorado Rockies: O/U 12.5$98,740
Will Korea Republic win on 2026-06-18?$72,003
Lionel Messi: 1+ goals$64,592
Will Canada win on 2026-06-28?$59,862
Spread: Spain (-1.5)$53,704
St. Louis Cardinals vs. Chicago Cubs: O/U 10.5$52,311
New York Mets vs. Toronto Blue Jays: O/U 8.5$49,676
Chicago Cubs vs. Milwaukee Brewers$32,865
Will Uruguay vs. Spain end in a draw?$32,329

Top Losers

Spread: Milwaukee Brewers (-1.5)$-6,502
Switzerland vs. Algeria: Both Teams to Score$-4,636
Tampa Bay Rays vs. Houston Astros: O/U 7.5$-4,547
UFC 329: Robert Whittaker vs. Nikita Krylov (Light Heavyweight, P$-1,367
Spread: United States (-4.5)$-19

Risk Metrics

#4
Sharpe
-0.065
Sortino
-0.060
HHI
251
Diversified
EV per $1
$-0.148
Kelly %
93.9%
Half-Kelly
47.0%
Top-1 market
6.4%
Top-5 markets
27.2%

Behavior Analysis

#5
Trades / Day
86.4
Very active
Markets / Day
7.5
Active Hours
24/24
Around the clock
Peak Hour
0:00 UTC
Median Gap
19s
between trades
Avg Gap
19.1m
between trades
Night Trading
46%
22:00–06:00 UTC
Size Variance
8.74
Variable
Session Statistics
Sessions
50
Avg Duration
3 min
Avg Trades / Session
7.0

Bot Detection

#6
65
SEMI-BOT (bot + manual)MEDIUM probability

7 indicators analyzed

Trade Speed
HIGH
Night Activity
MEDIUM
Active Hours
HIGH
Trade Frequency
HIGH
Size Consistency
LOW
Market Coverage
LOW
Median gap 19s — typical for humanSize CV 8.74 — diverse, typical for human46% at night — bot never sleeps24/24 hours — around the clockSession CV 1.04 — human randomness86 trades/day — mass trading621 total positions — large-scale activity

Timing Patterns

#7

Peak hour: 0:00 UTC

0
4
8
12
16
20

DCA Analysis

#8
Avg entries/market
10.9
Heavy DCA
<=1
229 entries
<=2
343 entries
<=5
466 entries
<=10
512 entries
<=20
534 entries
<=50
544 entries
>50
11 entries

Price Levels

#9
Low (<20c)2.1%
Mid (20-55c)52.2%
High (>55c)45.6%

City Stats

#10

YES bias: 30%

Other$581,358
Chicago$145,603
San Francisco$117,542
Los Angeles$61,019
Toronto$58,009
Atlanta$33,530
Seattle$18,179
Miami$16,684
Dallas$273
Houston$-4,323

Bracket Analysis

#11
Avg brackets/event
1.4
Events covered
407

Single bracket

<=1
314 brackets
<=2
375 brackets
<=3
394 brackets
<=4
402 brackets
<=5
406 brackets
<=8
407 brackets
>8
0 brackets

Sessions

#12
5/9/2026, 12:20:56 AM1 trades$5510 min
5/9/2026, 2:59:13 AM1 trades$400 min
5/9/2026, 3:15:40 AM2 trades$3491 min
5/9/2026, 7:38:48 PM1 trades$10,1520 min
5/9/2026, 10:03:10 PM4 trades$4,5830 min
5/10/2026, 1:40:52 AM1 trades$9640 min
5/10/2026, 5:03:50 AM1 trades$2900 min
5/10/2026, 6:22:11 PM1 trades$3650 min
5/10/2026, 9:17:55 PM1 trades$7540 min
5/11/2026, 12:35:30 PM1 trades$7000 min
5/11/2026, 9:53:14 PM24 trades$3,36711 min
5/11/2026, 11:54:42 PM1 trades$1000 min
5/12/2026, 10:52:07 AM1 trades$2,7830 min
5/12/2026, 10:59:53 AM4 trades$1743 min
5/12/2026, 11:46:56 AM1 trades$5,4750 min
5/12/2026, 11:54:15 PM2 trades$1,9040 min
5/13/2026, 1:34:02 AM1 trades$2470 min
5/13/2026, 4:48:08 AM1 trades$1320 min
5/13/2026, 4:56:10 AM2 trades$1,5990 min
5/13/2026, 5:13:43 AM5 trades$2,9136 min

Equity Curve

#13
Cumulative PnL by market end date Profit Loss Today
05-05
05-21
06-02
06-14
06-26
07-08
07-20

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

Profile

#14
Specialization
MIXED
0% weather
Holding Style
HOLD
5.3% sell
DCA Style
HEAVY
avg 10.9/mkt
Hedging
SINGLE
avg 1.4 br/event