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ekamhlimon is a Polymarket wallet profile with -$315 PnL, $84.2K total volume, a 68.4% win rate, and activity across 241 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
One wallet that opened with a few hundred bucks, made 266 trades, yet somehow managed to lose money even with a 68.4% win rate — meet ekamhlimon, a Polymarket trader proving that winning more than two-thirds of bets doesn't guarantee profit.
ekamhlimon ranks #2,486,197 globally, with a total PnL of -$314.81 over his Polymarket career. He's a "conservative" type according to Polymarket wallet analytics, trading 241 different markets with a win rate of 68.4%, yet he's sitting on -15.74% ROI. How the fuck is that real? He's the guy who wins the small battles but gets crushed in one war.
His "edge hack" is dead simple: buy safe probabilities. His average entry price is 0.912 — meaning he mostly bets on outcomes already priced at 91%+. Retail chases headlines, ekamhlimon farms the noise of near-certainties. Problem is, when the "certain" thing flips, it liquifies his gains from 20 safe wins.
Proof is in the math: 2.1 trades per day, average trade size just $63.65, with a buy-to-sell ratio of 1.66 (prefers buying the narrative). His best trade hit $63.09 on Indian Premier League: Chennai Super Kings vs Delhi Capitals (2026-04-18). But his worst single loss was -$168.14 on Pacers vs. Nets (2026-04-09) — bigger than his best win. That's his Achilles heel: a 100% loss on a single wrong conviction wipes out 3-4 correctly predicted events.
What separates ekamhlimon from 99% of degens? Discipline. He's not gambling on 50/50 flips. He's hunting the 90%+ probabilities, the "sure things." Most traders get bored and start chasing 2x opportunities. He doesn't. But what truly separates him is also what drags him down — he lacks the killer instinct to size up when he's right. He's the guy who goes 19/20 but loses on the 20th, then never recovers because his wins were tiny.
Currently, he has 13 open positions out of 584.96 in portfolio value. Total deposits of $12,738, withdrawals of $10,148 — he's pulled out more than he's lost, suggesting he knows when to clip coupons. Realism check: this trader profile looks like "consistent grinding" until you realize -15.7% ROI on 68.4% wins means he's systematically buying overpriced narratives. Nobody survives that drawdown long-term without evolving.
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conservativeRisk: low