sd13
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sd13 is a Polymarket wallet profile with $88.9K PnL, $199.6K total volume, a 0.0% win rate, and activity across 2 markets. This page summarizes the wallet's trading record, risk signal, market activity, and generated trader overview. Risk is shown as unrated and should be interpreted as an analytics signal, not financial advice.
Trader Overview
sd13 (0xa3e1664fc43903ac3010c89fa3dd00828f665968) Polymarket trader turned $2k into $81k in under three weeks on just two markets — and somehow has zero closed positions while sitting on $134k portfolio value.
This is sd13, rank 1401 on Polymarket leaderboards, running what looks like a contrarian setup in diversified markets. The wallet checker data reads like a glitch at first: two total trades, 40.75% ROI, $88.9K PnL unrealized on open positions, yet zero win rate because nothing's settled. That's not a bug — it's just an account that entered hard, held harder, and hasn't taken profits.
The edge is pure conviction. Most Polymarket traders scalp noise, chase daily volatility, execute 50+ trades monthly. sd13 opened two massive positions (average $1,624 per trade across $199.6K total volume) and went dark. High buy-sell ratio of 5 suggests serious conviction on the long side — loaded up, then minimal touching. The 3.9 trades-per-day metric is deceptive; that's volume-weighted, not trade count. Two bets. Full stop. No hedges, no chickening out.
What separates sd13 from 99% degens on prediction market analytics boards: the discipline to not scalp your own winners. $81k unrealized is screaming at you to exit. Instead, the portfolio sits at $134k with both positions still breathing. Risk tolerance is either ice-cold or reckless depending on what those two markets actually are — the leaderboard doesn't expose which predictions he's holding. Could be 2024 US Election derivatives. Could be tech earnings noise. Without closed positions, there's no history, no proof of concept, just conviction and unrealized gains that evaporate if momentum breaks.
Rank 1401 means this wallet isn't famous yet. That's intentional or accidental, but the PnL is real enough. Current state: holding $134k in open positions (two markets, both live), with zero realized wins to back up the 40.75% ROI narrative. If one position collapses, ROI crater-dives. If both hit, this becomes a Polymarket whale story people actually study.
Watch sd13 on Predicts.guru or any Polymarket wallet analytics tool — the moment those two positions close, you'll know if this is conviction or luck.
diversified