WhaleMirror

Trader 52B1

Score 32Mean ReversionLIVE
0x52b1b41d1492608400e9ff89078f8cbabb959b32
Account value
margin on builder dexes
24h PnL
$0
30d PnL
$57.4K
Sharpe (1y)
needs visible equity
Win rate
81%
Avg holding time
5.4h
~28 trades/day
Streak
6 green days
30d volume
$25.90M
AI analysis
  • 96% of flow is concentrated in BTC — a specialist, not a rotator.
  • Average hold time 5.4h at ~28 trades/day — a classic Mean Reversion profile: fades extremes and sells strength / buys weakness, banking frequent small wins.
  • Balanced long/short book — direction comes from setups, not conviction bias.
  • Currently on a 6-day winning streak. Momentum is real, but streaks this long often precede size-up mistakes.
  • Margin sits on HIP-3 builder dexes we can't fully see into, so equity-based ratios (ROI, Sharpe, drawdown) aren't measurable — judge this trader by absolute PnL and consistency instead.
  • 81% win rate: consistent singles rather than home runs.
90-day equity
Market focus
BTC
96%
xyz:NVDA
2%
HYPE
1%
xyz:SP500
1%
One year of daily PnL
Whale Timeline →

Each cell is one day. Blue = profit, red = loss. Hover for detail.

SepOctNovDecJanFebMarAprMayJunJulAug
LossProfit
Open positions
Flat — no open positions right now.
ScalpSwingTrendMeanRevGrid
Risk score33 · Measured
Emotion score66 · Disciplined
Full Trader DNA →
Recent activity
23:20 UTCClosed short xyz:SP500
$23 · +$0
23:17 UTCOpened short xyz:SP500
$23
23:17 UTCClosed short xyz:SP500
$93.1K · −$10
23:17 UTCOpened short xyz:SP500
$100
23:17 UTCOpened short xyz:SP500
$23
23:17 UTCOpened short xyz:SP500
$15
23:17 UTCOpened short xyz:SP500
$100
23:16 UTCOpened short xyz:SP500
$23