bolmult20
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bolmult20 is a Polymarket wallet profile with $520 PnL, $6.8K total volume, a 80.9% win rate, and activity across 268 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
0xbea1241e58c98af76eb7101805eef95d48d017b8 walked in with $217, walked out with $520.3 — a 114% ROI in a timeframe where most degens are praying for a 2x on a meme.
This is bolmult20, rank #102,726 on the Polymarket leaderboard. Diversified trader, 173 closed positions, 268 markets traded. No hype, no bio — just a silent compounding machine.
Strategy is brutally simple: don't swing, don't hold — scalp. Bolmult20's edge is high-frequency micro-bets on razor-thin time windows. Trades 173 positions per day, average entry at $0.58. That's not a question mark — that's statistical volume. He's playing the noise, not the signal. For example: best trade was on Ethereum Up or Down - April 18, 2:45PM-2:50PM ET (2026-04-18) pocketing $18.46 in 5 minutes. Worst? Lost $9 on Ethereum Up or Down - April 5, 7:15PM-7:30PM ET (2026-04-05) — but that's the cost of doing business when your win rate holds at 80.9%%.
Edge over 99%: discipline disguised as boredom. Doesn't chase the 10x narrative, doesn't care about the next viral market. He farms volatility with a script-level consistency. His buy-sell ratio is 268:1 — meaning he almost never sells the same contract twice. That's a bot, a system, or a psychopath. Pick one.
Current state: zero open positions. He's fully cashed out — {totalWithdrawals} withdrawn against $520.3 in profit. Looks like a quiet exit after a consistent grind. Healthy skepticism: $217 to $520.3 is nice, but his max single loss was -$9 — one bad day of liquidation could erase months of micro-grinding.
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diversifiedRisk: medium