Alarmed-Slippers
0x058cf6af637f1b80cc03705aa6a471f6a6d3b829
active
Quality score
71/100
Open positions
7
Open notional
$467.14
Total PnL
$-382.70
Realised
$0.00
Win rate
n/a
too few closed
Largest open positions
- YES
Will Abstract launch a token by December 31, 2026
864 shares @ 52.4¢·now 22.5¢·exp Jan 1, 1970$194.45
$-258.79
- YES
Abstract FDV above $400M one day after launch?
402 shares @ 49.7¢·now 41.0¢·exp Jan 1, 2028$164.92
$-35.08
- YES
Abstract FDV above $1B one day after launch?
258 shares @ 38.7¢·now 19.0¢·exp Jan 1, 2028$49.01
$-50.73
- YES
Abstract FDV above $2B one day after launch?
343 shares @ 14.6¢·now 9.0¢·exp Jan 1, 2028$30.85
$-19.15
- YES
Abstract FDV above $600M one day after launch?
51 shares @ 39.0¢·now 30.0¢·exp Jan 1, 2028$15.38
$-4.62
- YES
Abstract FDV above $800M one day after launch?
48 shares @ 35.0¢·now 26.0¢·exp Jan 1, 2028$12.52
$-4.34
- YES
Paradex FDV above $500M one day after launch?
91 shares @ 11.0¢·now 0.0¢·exp Jan 1, 2027$0.00
$-10.00
Recent activity
- TRADEBUYWill Abstract launch a token by December 31, 2026$63.2466d ago
- TRADESELLMegaETH market cap (FDV) >$2B one day after launch?$64.6466d ago
- TRADEBUYAbstract FDV above $800M one day after launch?$16.8668d ago
- TRADEBUYAbstract FDV above $600M one day after launch?$20.0068d ago
- TRADEBUYWill Abstract launch a token by December 31, 2026$50.0068d ago
- TRADEBUYParadex FDV above $500M one day after launch?$10.0068d ago
- TRADEBUYAbstract FDV above $2B one day after launch?$50.0068d ago
- TRADEBUYAbstract FDV above $400M one day after launch?$200.0068d ago
- TRADEBUYWill Abstract launch a token by December 31, 2026$40.0068d ago
- TRADEBUYAbstract FDV above $1B one day after launch?$99.7485d ago
- TRADEBUYWill Abstract launch a token by December 31, 2026$300.0085d ago
- TRADEBUYMegaETH market cap (FDV) >$2B one day after launch?$100.0085d ago
Score breakdown
- Trades (all time)
- 12
- Avg trade size
- $84.54
- Top category
- —
- Category concentration
- 0%
- First seen
- 85d ago
- Last active
- 66d ago
Score is a 0–100 composite of open position size, breadth (number of trades), realised + unrealised ROI, win rate on closed markets, and category specialisation.