0xEe810ABd370eaA4eD20D0524Deb866Ea1eB0DF6a-1771681134720
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0xEe810ABd370eaA4eD20D0524Deb866Ea1eB0DF6a-1771681134720 is a Polymarket wallet profile with -$1.1K PnL, $101.4K total volume, a 60.0% win rate, and activity across 259 markets. This page summarizes the wallet's trading record, risk signal, market activity, and generated trader overview. Risk is shown as high and should be interpreted as an analytics signal, not financial advice.
Trader overview
Opened the wallet, expected a whale, saw a 60% win rate and a -33% ROI. Meet 0xEe810ABd370eaA4eD20D0524Deb866Ea1eB0DF6a, the [[Polymarket]] trader who proves you can be right 60% of the time and still bleed money. This wallet is a masterclass in how not to size your bets.
The IDENTITY here is a diversified, high-risk degen with a rank of #2,949,445. He's not a sports specialist or a crypto maxi. He trades everything—259 markets, from soccer to BTC's 5-minute candles. The defining stat isn't the win rate; it's the $101K in total volume churned through with a net deposit of just $5.2K. That's a volume-to-deposit ratio that screams "reloading constantly."
The STRATEGY is chaotic diversification. He's chasing noise across 259 markets, averaging 2.9 trades a day. The edge hack? There isn't one. His buy-to-sell ratio of 2.13 shows he loves buying dips on longshots, hoping for a 2x that never comes. The "edge" is the hope that a single winner pays for six losers.
PROOF is in the extremes. His best trade: Club Atlético de Madrid vs. FC Barcelona: Both Teams to Score for +$1,337. His worst: Bitcoin Up or Down - April 15, 5:30AM-5:35AM ET for -$2,347. One soccer bet covered the losses; one BTC scalp wiped out a week of gains. Classic high-risk asymmetry. He's maintaining a 60% win rate, but the avg loss is nearly double the avg win. That's the math that kills.
The EDGE that separates him from profitable degens? Discipline. He has none. This is a gambler, not a trader. He's the 60% win rate guy who doesn't realize he's playing a losing game because he's not managing risk. The math over gut approach would tell him to cut losses at 10%, not 50%.
NOW, he's flat—zero open positions. He's withdrawn $3,477, leaving $1,745 in the wallet. Realism check: his -$1.1K PNL looks like "tuition," but the real cost was the time spent babysitting 51 trades. It looks like an edge until you realize the house always wins on the spread.
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diversifiedRisk: high