huhazuha

0x75d22a...ba2476
Smart Score
31
Win Rate
26.5%
Total P&L
+$42
Trade Count
268
Sharpe Ratio
1.51
Sortino Ratio
36.82
Max Drawdown
472.6%
ROI
11.8%
Profit Factor
1.94
Kelly Fraction
0.128
R² (Curve Fit)
Smart Score
031.2/100100

Recent Trades

MarketSidePriceSizeTime
Will Elon Musk post 240-259 tweets from March 3 to March 10, 2026?BUY15.0¢6.667Mar 5
Will the price of Bitcoin be above $56,000 on March 5?BUY0.1¢1,000Mar 5
Will Andrew Tate post 130-159 posts from February 27 to March 6, 2026?BUY10.9¢9.174Mar 5
Will Elon Musk post 280-299 tweets from February 27 to March 6, 2026?SELL0.6¢1.19Mar 5
Will Elon Musk post 260-279 tweets from March 3 to March 10, 2026?BUY11.0¢10Mar 5
Will Elon Musk post 280-299 tweets from March 3 to March 10, 2026?BUY11.0¢10Mar 5
Will Elon Musk post 180-199 tweets from February 27 to March 6, 2026?BUY35.0¢10Mar 5
Will Elon Musk post 280-299 tweets from March 3 to March 10, 2026?BUY13.0¢15.385Mar 5
Will Elon Musk post 260-279 tweets from March 3 to March 10, 2026?BUY13.0¢15.385Mar 5
Will Elon Musk post 180-199 tweets from March 3 to March 10, 2026?SELL5.7¢12.5Mar 5
Will Elon Musk post 240-259 tweets from March 3 to March 10, 2026?BUY11.0¢20Mar 5
Will Elon Musk post 260-279 tweets from March 3 to March 10, 2026?BUY13.0¢7.692Mar 5
Will Elon Musk post 280-299 tweets from March 3 to March 10, 2026?BUY13.0¢7.692Mar 5
Will Elon Musk post 240-259 tweets from March 3 to March 10, 2026?BUY12.0¢25Mar 5
Will Elon Musk post 180-199 tweets from February 27 to March 6, 2026?BUY41.5¢4.819Mar 5
Will Elon Musk post 160-179 tweets from February 27 to March 6, 2026?SELL8.9¢60.33Mar 5
Will Elon Musk post 240-259 tweets from February 27 to March 6, 2026?SELL0.9¢1.19Mar 5
Will Elon Musk post 220-239 tweets from February 27 to March 6, 2026?SELL3.0¢1.19Mar 5
Will Elon Musk post 200-219 tweets from February 27 to March 6, 2026?SELL11.3¢1.2Mar 5
Will Elon Musk post 140-159 tweets from February 27 to March 6, 2026?BUY83.6¢1.196Mar 5
Odds DistributionBalanced / Mid-Range

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

100%75%50%25%21%< 10%22%10–20%9%20–30%22%30–50%12%50–70%5%70–80%5%80–90%4%> 90%
← Long ShotsSafe Bets →
Quantitative Edge Profile
Developing31.2

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

Risk-Adjusted Return (Sharpe)1.72
Equity Curve R² (Linear Fit)28.4%
Win Consistency44.3%
Profit Factor0.81
Drawdown Resilience0.66
Conviction Sizing (Kelly)0.66
Weekly Sharpe est.0.50
Trading Activity268 trades · 8 active days
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P&L Calendar
$661d profit7d 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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