DutchInt-Main

0x9ecb3c...2fa693
Smart Score
69
Win Rate
28.6%
Total P&L
+$3.7K
Trade Count
3,900
Sharpe Ratio
1.10
Sortino Ratio
78.13
Max Drawdown
9.3%
ROI
51.7%
Profit Factor
4.40
Kelly Fraction
0.221
R² (Curve Fit)
Smart Score
069.1/100100

Recent Trades

MarketSidePriceSizeTime
Will Elon Musk post 160-179 tweets from February 27 to March 6, 2026?BUY23.0¢8.696Mar 5
Will Elon Musk post 180-199 tweets from February 27 to March 6, 2026?BUY40.3¢2.481Mar 5
Will Elon Musk post 160-179 tweets from February 27 to March 6, 2026?BUY23.0¢4.348Mar 5
Will Elon Musk post 140-159 tweets from February 27 to March 6, 2026?BUY0.4¢457.317Mar 5
Will Elon Musk post 200-219 tweets from February 27 to March 6, 2026?BUY25.0¢4Mar 5
Will Elon Musk post 320-339 tweets from February 27 to March 6, 2026?BUY0.1¢3,000Mar 5
Will Elon Musk post 300-319 tweets from February 27 to March 6, 2026?BUY0.2¢1,500Mar 5
Will Elon Musk post 280-299 tweets from February 27 to March 6, 2026?BUY0.6¢487.251Mar 5
Will Elon Musk post 220-239 tweets from February 27 to March 6, 2026?BUY6.2¢48.387Mar 5
Will Elon Musk post 240-259 tweets from February 27 to March 6, 2026?BUY3.5¢114.286Mar 5
Will Elon Musk post 260-279 tweets from February 27 to March 6, 2026?BUY1.2¢241.914Mar 5
Will Elon Musk post 100-119 tweets from February 27 to March 6, 2026?BUY0.1¢1,111Mar 4
Will Elon Musk post 40-59 tweets from March 3 to March 10, 2026?BUY0.1¢236.59Mar 4
Will Elon Musk post 40-59 tweets from March 3 to March 10, 2026?BUY0.1¢8.088Mar 4
Will Elon Musk post 40-59 tweets from March 3 to March 10, 2026?BUY0.1¢1.001Mar 4
Will Elon Musk post 40-59 tweets from March 3 to March 10, 2026?BUY0.1¢1.001Mar 4
Will Elon Musk post 40-59 tweets from March 3 to March 10, 2026?BUY0.1¢15Mar 4
Will Elon Musk post 40-59 tweets from March 3 to March 10, 2026?BUY0.1¢40Mar 4
Will Elon Musk post 40-59 tweets from March 3 to March 10, 2026?BUY0.1¢1.001Mar 4
Will Elon Musk post 40-59 tweets from March 3 to March 10, 2026?BUY0.1¢1.001Mar 4
Odds DistributionContrarian / Long-Shot Hunter

Entry price distribution — reveals preference for long shots vs safe bets

100%75%50%25%82%< 10%9%10–20%3%20–30%3%30–50%50–70%70–80%80–90%> 90%
← Long ShotsSafe Bets →
Quantitative Edge Profile
Active69.1

Multi-dimensional edge evaluation as a quant desk would assess a portfolio manager

Risk-Adjusted Return (Sharpe)3.80
Equity Curve R² (Linear Fit)62.9%
Win Consistency56.4%
Profit Factor1.80
Drawdown Resilience1.45
Conviction Sizing (Kelly)1.45
Weekly Sharpe est.1.11
Trading Activity3,900 trades · 30 active days
MarAprMayJunJulAugSepOctNovDecJanFebMarMoWeFrSuLessMore
P&L Calendar
+$49610d profit20d loss
MarAprMayJunJulAugSepOctNovDecJanFebMarMoWeFrSuLossProfit

Daily realized P&L — green is profit, red is loss, intensity is magnitude

Full 52-week Trading Activity & P&L Calendar — interactive, updated daily on Accrue

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