
HeHe2s
0x8b9ae3...0f5f69
Smart Score
91
Win Rate
57.8%
Total P&L
+$9.8K
Trade Count
933
Sharpe Ratio
6.46
Sortino Ratio
1242.17
Max Drawdown
6.3%
ROI
203.6%
Profit Factor
5.11
Kelly Fraction
0.465
R² (Curve Fit)
—
Smart Score
090.7/100100
Recent Trades
| Market | Side | Price | Size | Time |
|---|---|---|---|---|
| Trail Blazers vs. Grizzlies | BUY | 0.2¢ | 372.09 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.2¢ | 200.401 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.2¢ | 4,427.5 | Mar 4 |
| Trail Blazers vs. Grizzlies | SELL | 1.0¢ | 29.92 | Mar 4 |
| Trail Blazers vs. Grizzlies | SELL | 0.8¢ | 500 | Mar 4 |
| Trail Blazers vs. Grizzlies | SELL | 0.7¢ | 289.52 | Mar 4 |
| Trail Blazers vs. Grizzlies | SELL | 0.7¢ | 626.05 | Mar 4 |
| Trail Blazers vs. Grizzlies | SELL | 0.7¢ | 84.43 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.6¢ | 164.04 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.6¢ | 13.52 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.6¢ | 1,000 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.6¢ | 13.43 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.6¢ | 300 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.6¢ | 206.19 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 0.6¢ | 302.817 | Mar 4 |
| Trail Blazers vs. Grizzlies | SELL | 1.0¢ | 470.07 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 1.4¢ | 2,000 | Mar 4 |
| Trail Blazers vs. Grizzlies | SELL | 5.0¢ | 1,000 | Mar 4 |
| Trail Blazers vs. Grizzlies | BUY | 3.0¢ | 1,000 | Mar 4 |
| Trail Blazers vs. Grizzlies | SELL | 84.0¢ | 10 | Mar 4 |
Analytics Showcase
Full analytics →Odds DistributionContrarian / Long-Shot Hunter
Entry price distribution — reveals preference for long shots vs safe bets
← Long ShotsSafe Bets →
Quantitative Edge Profile
Elite90.7
Multi-dimensional edge evaluation as a quant desk would assess a portfolio manager
Risk-Adjusted Return (Sharpe)4.99
Equity Curve R² (Linear Fit)82.5%
Win Consistency86.8%
Profit Factor2.36
Drawdown Resilience1.90
Conviction Sizing (Kelly)1.90
Weekly Sharpe est.1.45
Trading Activity933 trades · 12 active days
P&L Calendar
+$845d profit7d loss
Daily realized P&L — green is profit, red is loss, intensity is magnitude
Showcase profile — live & interactive · 52-week window
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