XiXiyezi

0x4dc37c...0b67fa
Smart Score
21
Win Rate
75.0%
Total P&L
+$0
Trade Count
49
Sharpe Ratio
-6.17
Sortino Ratio
-5.80
Max Drawdown
1622.7%
ROI
0.0%
Profit Factor
3.55
Kelly Fraction
0.539
R² (Curve Fit)
Smart Score
021.1/100100

Recent Trades

MarketSidePriceSizeTime
Will USD reach 1.8M Iranian rials by March 31?SELL60.0¢8Mar 5
Will USD reach 1.8M Iranian rials by March 31?BUY62.0¢8Mar 5
Will Morgan Stanley or any of its underwriting affiliates serve as the lead underwriter in SpaceX’s initial public offering?SELL56.0¢7Mar 5
Will Morgan Stanley or any of its underwriting affiliates serve as the lead underwriter in SpaceX’s initial public offering?BUY56.0¢7Mar 5
Puffpaw FDV above $100M one day after launch?SELL41.0¢8Mar 5
Puffpaw FDV above $100M one day after launch?BUY41.0¢8Mar 5
Will Israel or the US target Fordow nuclear facility?SELL51.0¢7Mar 5
Will Israel or the US target Fordow nuclear facility?BUY52.0¢7Mar 5
Will Gold (GC) hit (HIGH) $5,700 by end of June?SELL57.0¢7Mar 5
Will Gold (GC) hit (HIGH) $5,700 by end of June?BUY57.0¢7Mar 5
Will Israel or the US target Fordow nuclear facility?SELL51.0¢8Mar 5
Will Israel or the US target Fordow nuclear facility?BUY52.0¢8Mar 5
Will Drake officially release Iceman by March 31, 2026?SELL43.0¢9Mar 5
Will Drake officially release Iceman by March 31, 2026?BUY43.0¢9Mar 5
Will there be exactly 0 earthquakes of magnitude 6.5 or higher worldwide by March 8?SELL60.0¢6Mar 4
Will there be exactly 0 earthquakes of magnitude 6.5 or higher worldwide by March 8?BUY60.0¢6Mar 4
Will Bitcoin outperform Gold in March 2026?SELL35.0¢6Mar 4
Will Bitcoin outperform Gold in March 2026?BUY36.0¢6Mar 4
OpenAI IPO closing market cap above $1.2T?SELL42.0¢8Mar 4
OpenAI IPO closing market cap above $1.2T?BUY42.0¢8Mar 4
Odds DistributionBalanced / Mid-Range

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

100%75%50%25%< 10%10–20%8%20–30%44%30–50%44%50–70%4%70–80%80–90%> 90%
← Long ShotsSafe Bets →
Quantitative Edge Profile
Developing21.1

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

Risk-Adjusted Return (Sharpe)1.16
Equity Curve R² (Linear Fit)19.2%
Win Consistency40.0%
Profit Factor0.55
Drawdown Resilience0.44
Conviction Sizing (Kelly)0.44
Weekly Sharpe est.0.34

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

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