0x4fc1...ec92's Trading Strategy

0x4fc1...ec92 maintains 60 open positions with a portfolio worth $0. Their strategy leans diversified / high conviction with an average position size of 647.4 shares across 50 recent trades.

Strategy Style

Diversified / High Conviction

Avg Position Size

647.4

Buy / Sell Ratio

48% Buy

Portfolio Value

$0

Risk Profile

Largest Position

3550.0 shares

Smallest Position

21.8 shares

Position Count

60

0x4fc1...ec92 spreads risk across 60 positions, suggesting a diversified approach to prediction market trading. The position size range from 22 to 3550 shares indicates a tiered conviction-based sizing strategy.

Trade Activity

Recent Trades

50

Buy Orders

24

Sell Orders

26

Out of 50 recent trades, 48% were buy orders. A balanced mix of buys and sells suggests active portfolio rebalancing.

Risk Disclaimer

Prediction market trading involves substantial risk. Past performance does not guarantee future results. This content is for informational purposes only and should not be considered financial advice. Only trade with funds you can afford to lose.

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