fdevb
0x8c16a7...384b37
Smart Score
33
Win Rate
50.1%
Total P&L
+$112.0K
Trade Count
997
Sharpe Ratio
0.89
Sortino Ratio
10.03
Max Drawdown
249.5%
ROI
41.5%
Profit Factor
2.05
Kelly Fraction
0.257
R² (Curve Fit)
—
Smart Score
032.7/100100
Recent Trades
| Market | Side | Price | Size | Time |
|---|---|---|---|---|
| Blues vs. Kraken: O/U 6.5 | BUY | 66.0¢ | 384.72 | Mar 4 |
| Purdue Boilermakers vs. Northwestern Wildcats | BUY | 29.0¢ | 10.23 | Mar 4 |
| Spread: Ducks (-1.5) | BUY | 71.0¢ | 319.1 | Mar 4 |
| Baylor Bears vs. Houston Cougars | BUY | 25.0¢ | 22.8 | Mar 4 |
| Thunder vs. Knicks | BUY | 7.9¢ | 846.4 | Mar 4 |
| Jazz vs. 76ers | BUY | 56.0¢ | 22.273 | Mar 4 |
| Spread: Trail Blazers (-9.5) | BUY | 49.0¢ | 339.04 | Mar 4 |
| Maple Leafs vs. Devils | BUY | 85.0¢ | 218 | Mar 4 |
| Jazz vs. 76ers | BUY | 34.0¢ | 54.045 | Mar 4 |
| Maple Leafs vs. Devils | BUY | 45.0¢ | 230 | Mar 4 |
| Jazz vs. 76ers | BUY | 36.0¢ | 1,000 | Mar 4 |
| Maple Leafs vs. Devils | BUY | 44.0¢ | 20 | Mar 4 |
| Jazz vs. 76ers | BUY | 39.0¢ | 263.14 | Mar 4 |
| Jazz vs. 76ers | BUY | 39.0¢ | 35 | Mar 4 |
| Jazz vs. 76ers | BUY | 39.0¢ | 4.918 | Mar 4 |
| Jazz vs. 76ers | BUY | 39.0¢ | 10 | Mar 4 |
| Jazz vs. 76ers | BUY | 39.0¢ | 1.869 | Mar 4 |
| Jazz vs. 76ers | BUY | 39.0¢ | 787.99 | Mar 4 |
| Loyola Chicago Ramblers vs. Saint Louis Billikens | BUY | 3.6¢ | 290 | Mar 4 |
| California Golden Bears vs. Georgia Tech Yellow Jackets | BUY | 6.0¢ | 25.62 | Mar 4 |
Analytics
Unlock full analytics on AccrueOdds DistributionBalanced / Mid-Range
Entry price distribution — reveals preference for long shots vs safe bets
← Long ShotsSafe Bets →
Quantitative Edge Profile
Developing32.7
Multi-dimensional edge evaluation as a quant desk would assess a portfolio manager
Risk-Adjusted Return (Sharpe)1.80
Equity Curve R² (Linear Fit)29.8%
Win Consistency50.0%
Profit Factor0.85
Drawdown Resilience0.69
Conviction Sizing (Kelly)0.69
Weekly Sharpe est.0.52
Trading Activity997 trades · 11 active days
P&L Calendar
$266,5140d profit11d loss
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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