@e25247f2…7ab0
#2,568340xdefebc7ed6f5d6e8710398f37eea6fc1746a17f4
~178d· 1429 markets · 56325 tradesVol: $9,524,4582026-08-04 18:15:23
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.
34
Average
80-100Elite
60-79Diamond
40-59Gold
0-39Standard
Score Components
60% (858/1428)15/20
0.97x (win $475,571 / loss $490,384)2.1/15
Annualised Sharpe -0.1980/15
Sortino -0.2570/10
$-0.0043 per $1 invested0/10
HHI 95 (1428 markets)10/10
96/165 profitable days (58%)7/10
Max DD 140% of peak ($110,836 / $78,961)0/10
Badges
7Sniper
Win rate 60%
Profitable
PnL $+73,001
DCA Master
Avg 39.4 entries/market
Whale
$3,432,318 invested
High Roller
$6,976/day
Win Streak
12 wins in a row
🦉Night Owl
24/24 hours active
Categories
3💰 FINANCE#43$76,314Vol: $9,380,077
₿ CRYPTO#1,663,478$-3,373Vol: $144,291
🎭 CULTURE#630,002$-4Vol: $90
Overview
#1Net PnL
$72,937
Polymarket official
Total Volume
$9,524,458
Total Redeem
$614,381
Portfolio
$0
Predictions
1429
total markets
Trades
39375B / 16950S
Daily Volume
$0
Account Age
~178d
Periods
#2Today
$1,348
Vol: $22,249
Week
$5,446
Vol: $54,964
Month
$5,446
Vol: $54,964
All Time
$72,937
Vol: $9,524,458
PnL Analysis
#3Realized profit from closed cash flows — may differ from Polymarket UI while positions are still open. Methodology
Win Rate (events)
60%
858W / 570L events
Realized PnL
$73,001
Win Rate
60%
858W / 570L
Profit Factor
0.97x
Avg Win
$554
Avg Loss
$-862
Outlier Sensitivity: Top-3 = $76,306 (1.0452678177966943% of PnL)
Top Winners
S&P 500 (SPX) Up or Down on March 2?$32,152
S&P 500 (SPX) Up or Down on April 27?$23,339
S&P 500 (SPX) Up or Down on February 2?$20,816
S&P 500 (SPX) Up or Down on February 17?$15,730
S&P 500 (SPX) Up or Down on May 11?$15,333
SPY (SPY) Up or Down on June 11?$14,851
S&P 500 (SPX) Up or Down on January 26?$12,962
S&P 500 (SPX) Up or Down on July 2?$12,818
S&P 500 (SPX) Up or Down on February 20?$12,488
S&P 500 (SPX) Up or Down on June 24?$12,464
Top Losers
S&P 500 (SPX) Up or Down on May 4?$-31,707
S&P 500 (SPX) Up or Down on February 10?$-31,309
SPY (SPY) Up or Down on July 2?$-30,902
S&P 500 (SPX) Up or Down on June 16?$-21,740
S&P 500 (SPX) Up or Down on January 16?$-21,172
SPY (SPY) Up or Down on July 22?$-20,229
SPY (SPY) Up or Down on June 17?$-16,112
S&P 500 (SPX) Up or Down on February 11?$-14,465
S&P 500 (SPX) Up or Down on February 12?$-14,093
S&P 500 (SPX) Up or Down on May 7?$-13,001
Risk Metrics
#4Sharpe
-0.010
Sortino
-0.011
HHI
98
Diversified
EV per $1
$-0.004
Kelly %
0.0%
Half-Kelly
0.0%
Top-1 market
2.4%
Top-5 markets
10.6%
Behavior Analysis
#5Trades / Day
114.5
Very active
Markets / Day
2.9
Active Hours
24/24
Around the clock
Peak Hour
20:00 UTC
Median Gap
16s
between trades
Avg Gap
6.2m
between trades
Night Trading
18%
22:00–06:00 UTC
Size Variance
6.01
Variable
Session Statistics
Sessions
50
Avg Duration
19 min
Avg Trades / Session
88.8
Bot Detection
#650
SEMI-BOT (bot + manual)MEDIUM probability
7 indicators analyzed
Trade Speed
HIGH
Night Activity
LOW
Active Hours
HIGH
Trade Frequency
HIGH
Size Consistency
LOW
Market Coverage
LOW
Median gap 16s — normal for humanCV 6.01 — diverse sizes (human-like)18% night trades — unusual hours24/24 hours — around the clock114 trades/day — automation2.9 markets/day — normal58% maker — normal mix
Timing Patterns
#7Peak hour: 20:00 UTC
0
4
8
12
16
20
DCA Analysis
#8Avg entries/market
39.41
Price Levels
#9Low (<20c)9.4%
Mid (20-55c)32.1%
High (>55c)58.5%
Sessions
#125/1/2026, 3:32:32 AM11 trades$75,0000 min
7/2/2026, 8:55:47 PM2089 trades$56,9454 min
3/23/2026, 3:53:49 PM4 trades$35,0234 min
4/27/2026, 6:02:30 PM91 trades$34,07919 min
1/26/2026, 2:35:05 PM72 trades$31,79351 min
3/4/2026, 7:03:55 PM1 trades$29,7270 min
5/12/2026, 3:26:24 PM9 trades$29,23113 min
2/24/2026, 6:47:16 PM1 trades$28,4730 min
5/6/2026, 3:11:41 PM36 trades$23,4308 min
6/24/2026, 5:03:16 PM106 trades$23,34030 min
2/10/2026, 2:56:53 PM29 trades$22,75213 min
6/17/2026, 5:50:16 PM277 trades$20,78226 min
3/23/2026, 2:50:49 PM3 trades$20,5353 min
7/2/2026, 1:41:52 AM12 trades$20,0000 min
2/2/2026, 2:43:08 PM40 trades$19,67842 min
2/5/2026, 6:23:59 PM3 trades$19,2103 min
4/28/2026, 2:07:42 PM5 trades$18,89910 min
1/27/2026, 4:16:43 PM47 trades$18,18645 min
7/2/2026, 2:17:13 PM370 trades$18,02579 min
1/21/2026, 4:34:20 PM11 trades$17,8804 min
Equity Curve
#13Cumulative PnL by market end date Profit Loss Today
06-16
12-02
01-07
02-16
03-24
05-14
07-27
Faded bars = markets ending in the future (PnL from early exits)
Max drawdown: 82 days (not recovered)
Profile
#14Specialization
MIXED
0% weather
Holding Style
ACTIVE SELLER
30.1% sell
DCA Style
HEAVY
avg 39.41/mkt
Entry Bias
HIGH $
L9.4 / M32.1 / H58.5