Maxea

0x75fdea...7a3b5a
Smart Score
16
Win Rate
19.8%
Total P&L
+$34
Trade Count
690
Sharpe Ratio
0.24
Sortino Ratio
0.89
Max Drawdown
1336.1%
ROI
4.1%
Profit Factor
1.81
Kelly Fraction
0.089
R² (Curve Fit)
Smart Score
016.4/100100

Recent Trades

MarketSidePriceSizeTime
Will Elon Musk post 140-159 tweets from March 3 to March 10, 2026?BUY1.4¢70.629Mar 5
Will Elon Musk post 340-359 tweets from March 3 to March 10, 2026?SELL4.7¢19.94Mar 5
Will Elon Musk post 140-159 tweets from March 3 to March 10, 2026?SELL1.1¢8.33Mar 5
Will Elon Musk post 120-139 tweets from March 3 to March 10, 2026?SELL0.2¢17.95Mar 5
Will Elon Musk post 100-119 tweets from March 3 to March 10, 2026?SELL0.1¢41.66Mar 5
Will Elon Musk post 120-139 tweets from March 6 to March 13, 2026?BUY2.3¢43.478Mar 5
Will Elon Musk post 120-139 tweets from March 6 to March 13, 2026?SELL2.2¢22.72Mar 5
Will Elon Musk post 100-119 tweets from March 6 to March 13, 2026?SELL1.0¢35.3Mar 5
Will Elon Musk post 280-299 tweets from March 6 to March 13, 2026?BUY8.0¢12.5Mar 5
Will Elon Musk post 320-339 tweets from March 6 to March 13, 2026?BUY6.2¢16.129Mar 5
Will Elon Musk post 240-259 tweets from March 6 to March 13, 2026?BUY11.0¢9.091Mar 5
Will Elon Musk post 340-359 tweets from March 3 to March 10, 2026?BUY5.0¢19.944Mar 5
Will Elon Musk post 240-259 tweets from March 3 to March 10, 2026?BUY11.0¢9.091Mar 5
Will Elon Musk post 260-279 tweets from February 27 to March 6, 2026?BUY1.7¢58.824Mar 5
Will Elon Musk post 240-259 tweets from February 27 to March 6, 2026?BUY6.4¢15.625Mar 5
Will Elon Musk post 220-239 tweets from February 27 to March 6, 2026?BUY12.6¢7.937Mar 5
Will Elon Musk post 200-219 tweets from February 27 to March 6, 2026?SELL8.4¢14.08Mar 5
Will Elon Musk post 120-139 tweets from February 27 to March 6, 2026?SELL0.7¢56.11Mar 4
Will Elon Musk post 120-139 tweets from February 27 to March 6, 2026?BUY1.8¢56.667Mar 4
Will Elon Musk post 120-139 tweets from February 27 to March 6, 2026?BUY1.8¢55.556Mar 4
Odds DistributionContrarian / Long-Shot Hunter

Entry price distribution — reveals preference for long shots vs safe bets

100%75%50%25%48%< 10%29%10–20%7%20–30%7%30–50%7%50–70%70–80%80–90%> 90%
← Long ShotsSafe Bets →
Quantitative Edge Profile
Developing16.4

Multi-dimensional edge evaluation as a quant desk would assess a portfolio manager

Risk-Adjusted Return (Sharpe)0.90
Equity Curve R² (Linear Fit)14.9%
Win Consistency35.6%
Profit Factor0.43
Drawdown Resilience0.34
Conviction Sizing (Kelly)0.34
Weekly Sharpe est.0.26
Trading Activity690 trades · 45 active days
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P&L Calendar
$1420d profit25d loss
MarAprMayJunJulAugSepOctNovDecJanFebMarMoWeFrSuLossProfit

Daily realized P&L — green is profit, red is loss, intensity is magnitude

Full 52-week Trading Activity & P&L Calendar — interactive, updated daily on Accrue

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