0x2Cf13f5BeB7FC539d6A421a516dBa150b3E54C08-1760249103094
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0x2Cf13f5BeB7FC539d6A421a516dBa150b3E54C08-1760249103094 is a Polymarket wallet profile with $45.7K PnL, $1.0M total volume, a 67.2% win rate, and activity across 76 markets. This page summarizes the wallet's trading record, risk signal, market activity, and generated trader overview. Risk is shown as low and should be interpreted as an analytics signal, not financial advice.
Trader Overview
HOOK — 0x2Cf13f5BeB7FC539d6A421a516dBa150b3E54C08 Polymarket trader turned $23K into $76K in 101 trades with a 67.2% win rate, but the real shock is how: he's buying dips on sport noise that everyone else panic-sells.
IDENTITY — Rank 2,637 whale. Low-risk operator. 101 total trades across 76 markets, mostly sports. Deposits $23.2K, sits on $51.6K portfolio value. $45.7K PnL. 131.99% ROI on deposits alone.
STRATEGY — He's not chasing headlines. He's collecting the wreckage after them. Buy-to-sell ratio of 1.88 means he accumulates on weakness, lets volatility do the work. Average entry at 0.82 (deep in the discount zone). Average trade size $1,286. Trades once per day steady. When the NBA MVP or March Madness noise spike, he's already positioned. When panic selling hits, he's not selling — he's averaging down. That's the entire edge.
PROOF — Best single trade: $45.7K profit on NBA MVP. Worst: -$5,968 on Nuggets vs. Grizzlies 2026. Spread of $28K between ceiling and floor means he sizes correctly and doesn't let one bad call blow the account. Win rate 67.2% across 101 trades is clean. 1.1 trades per day keeps him active without overtrading. $45.7K PnL on $1M total volume means 4.49% extraction rate — professional-grade math, not degenerate spray.
EDGE — Three things separate this 0x2Cf13f5 Polymarket trader from noise chasers. First: entry discipline. He's buying at 0.82, not chasing at 0.95. Second: position sizing. Max single win ($22.3K) and max single loss ($5,968) show he's not gambling the whole stack on one shock event. Third: he holds 31 open positions right now. That's not ADHD, that's hedged exposure. Most retail collapse on one bad day. He's spread across sports markets enough that one blowup ($45.7K profit) barely scratches the overall curve.
NOW — Portfolio sitting at $51.6K with 31 open positions and 70 closed. He's actively trading (1.1 per day pace suggests he's been grinding through March Madness season or similar volume windows). Low risk profile means he's probably not yolo-ing on long-tail event odds. But here's the caveat: $5,968 max loss proves he will take Ls. Not everyone survives three of those in a row psychologically.
Track this wallet on Predicts.guru to see real-time moves from a top Polymarket trader who beats the market through boring discipline, not viral calls.
whaleRisk: low