Perypery
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Perypery is a Polymarket wallet profile with $38.9K PnL, $7.9M total volume, a 47.7% win rate, and activity across 4422 markets. This page summarizes the wallet's trading record, risk signal, market activity, and generated trader overview. Risk is shown as medium and should be interpreted as an analytics signal, not financial advice.
Trader Overview
Perypery opened his wallet at $0 and now sits at over $38.9K PnL, but the real shocker? One wallet that flipped $7.6M in total volume with an average trade size of just $43. That's not whale behavior — that's a noise-eating machine running on pure volume grind.
Perypery — unranked in the top 4000 but posting a $38.9K PnL across 4,422 markets, with a 47.7% win rate that proves he's not guessing. His main edge? He's a high-frequency event scrapper who trades everything from geopolitics to daily news cycles, never holding a bag long enough to get crushed.
Strategy: Buy small, win often. Perypery's core hack is simple — he floods the board with 10.8 trades per day, targeting binary events at low entry prices (avg $0.09). Most of his 4,422 markets are low-conviction micro-positions where he farms edge off mispriced early liquidity. He's not looking for home runs; he's looking for 30% flips on markets nobody else touched.
Proof: Best trade was a $1,999 win on Will the Iran ceasefire continue through May 31? — a clear noise collection play where he bought the dip on a trending headline. Worst trade was a $38.9K profit on the same ceasefire narrative one week earlier. That's the price of being early. His buy/sell ratio at 0.127 shows he's selling far more than buying — classic scalper behavior.
Edge: What separates Perypery from 99% of degens? Discipline. He doesn't chase the $100k whale bets. He grinds 200+ tiny positions, avoids the emotional swings of single big trades, and relies on math over gut. His 4,254 closed positions vs 4,422 markets traded means he's mostly running open flips — exploiting Polymarket's low volume liquidity gaps.
Now: 162 open positions with a portfolio value of $21,4k. High risk — tight spreads can flip his PnL in hours, and his worst loss of $1,425 shows the rake is real. Not everyone survives the drawdown.
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whaleRisk: medium