@dimahan

#3,014,93732

0xd32f46753554317b0b125505489e6e03be2f8387

~37d· 24 markets · 237 tradesVol: $82,4392026-09-10 21:16:29
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.

32
Average
80-100Elite
60-79Diamond
40-59Gold
0-39Standard

Score Components

86% (12/14)20/20
0.08x (win $98 / loss $1,173)0/15
Annualised Sharpe -5.5100/15
Sortino -5.3010/10
$-0.1957 per $1 invested0/10
HHI 2052 (14 markets)2.2/10
11/13 profitable days (85%)10/10
Max DD 10578% of peak ($1,135 / $11)0/10

Badges

4
Sniper
Win rate 86%
DCA Master
Avg 8.9 entries/market
Consistent
11/13 profitable days
Win Streak
8 wins in a row

Categories

4
📈 ECONOMICS#685,567$-478Vol: $66,317
💰 FINANCE#38,032$24Vol: $3,080
🏛️ POLITICS#1,618,758$-639Vol: $2,048
CRYPTO#222,965$12Vol: $903

Overview

#1
Net PnL
$-1,320
Polymarket official
Total Volume
$82,439
Total Redeem
$0
Portfolio
$0
Predictions
24
total markets
Trades
98B / 139S
Daily Volume
$0
Account Age
~37d

Periods

#2
Today
$-88
Vol: $0
Week
$-150
Vol: $4,051
Month
$-409
Vol: $73,823
All Time
$-1,320
Vol: $82,439

PnL Analysis

#3

Realized profit from closed cash flows — may differ from Polymarket UI while positions are still open. Methodology

Win Rate (events)
86%
12W / 2L events
Realized PnL
$-551
Win Rate
86%
12W / 2L
Profit Factor
0.08x
Avg Win
$8
Avg Loss
$-586

Outlier Sensitivity: Top-3 = $86 (0.156898712337226% of PnL)

Top Winners

Will S&P 500 (SPX) hit $8,000 (HIGH) in June?$37
Will the Fed increase interest rates by 25 bps after the July 2026 meeting?$26
Will S&P 500 (SPY) hit (HIGH) $790 in July?$23
Will S&P 500 (SPX) hit $7,800 (HIGH) in December?$4
Will S&P 500 (SPX) hit $7,600 (HIGH) in December?$3
Will Bitcoin dip to $60,000 on June 10?$3
Will S&P 500 (SPY) hit (LOW) $710 in July?$1
Israel closes its airspace by June 11?$1
Will Gold (GC) hit (LOW) $3,800 by end of June?$0
Will S&P 500 (SPY) hit (HIGH) $800 in May?$0

Top Losers

US-Iran nuclear deal by June 30?$-1,069
Israel closes its airspace by July 15?$-104

Risk Metrics

#4
Sharpe
-0.277
Sortino
-0.121
HHI
307
Diversified
EV per $1
$-0.511
Kelly %
0.0%
Half-Kelly
0.0%
Top-1 market
11.4%
Top-5 markets
35.2%

Behavior Analysis

#5
Trades / Day
2.3
Moderate
Markets / Day
0.2
Active Hours
17/24
Extended
Peak Hour
13:00 UTC
Median Gap
6.5m
between trades
Avg Gap
3.4h
between trades
Night Trading
6%
22:00–06:00 UTC
Size Variance
1.77
Variable
Session Statistics
Sessions
50
Avg Duration
1 min
Avg Trades / Session
4.0

Bot Detection

#6
0
HUMAN (manual trading)LOW probability

7 indicators analyzed

Trade Speed
LOW
Night Activity
LOW
Active Hours
HIGH
Trade Frequency
LOW
Size Consistency
LOW
Market Coverage
LOW
Median gap 388s — normal for humanCV 1.77 — diverse sizes (human-like)5% night trades — normal pattern17/24 hours — normal schedule2 trades/day — normal0.2 markets/day — normal41% maker — normal mix

Timing Patterns

#7

Peak hour: 13:00 UTC

0
4
8
12
16
20

DCA Analysis

#8
Avg entries/market
8.93
Active DCA

Price Levels

#9
Low (<20c)3.1%
Mid (20-55c)7.1%
High (>55c)89.8%

Sessions

#12
8/27/2026, 5:22:22 PM6 trades$2,0383 min
8/12/2026, 5:40:04 PM3 trades$5280 min
6/12/2026, 5:03:01 AM8 trades$4460 min
7/10/2026, 1:38:47 PM4 trades$4462 min
5/22/2026, 8:15:00 PM2 trades$4000 min
8/4/2026, 2:33:20 PM4 trades$4000 min
5/23/2026, 12:24:18 PM4 trades$3961 min
6/11/2026, 6:17:42 PM2 trades$3170 min
6/11/2026, 6:12:34 PM6 trades$3160 min
8/19/2026, 3:55:49 AM2 trades$3000 min
6/6/2026, 6:35:12 AM5 trades$2573 min
6/13/2026, 4:47:01 PM18 trades$2549 min
8/20/2026, 6:50:18 PM6 trades$2442 min
5/18/2026, 12:53:42 PM2 trades$2000 min
6/15/2026, 3:25:06 PM8 trades$1993 min
7/7/2026, 4:56:32 PM3 trades$1630 min
5/26/2026, 1:12:34 PM7 trades$1512 min
7/6/2026, 8:01:55 PM4 trades$1423 min
5/30/2026, 8:19:33 AM5 trades$1404 min
5/19/2026, 12:49:29 PM3 trades$1300 min

Equity Curve

#13
Cumulative PnL by market end date Profit Loss Today
05-18
05-23
06-10
06-13
06-20
07-12
07-30

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

Max drawdown: 29 days (not recovered)

Profile

#14
Specialization
MIXED
0% weather
Holding Style
ACTIVE SELLER
58.6% sell
DCA Style
HEAVY
avg 8.93/mkt
Entry Bias
HIGH $
L3.1 / M7.1 / H89.8