0x5a10...2c37
account_balance_wallet0x5a106f5cf9fba6af5dda6bde1b8f3bacbd532c37This profile is built from verified public Hyperliquid fills. TraderStat displays only wallets with confirmed closed trades, at least 6 months of history, at least one buy/sell transaction in the last 60 days, and no persistent adverse averaging.
Open Hyperliquid positions
| Market | Size | Entry | Mark | Unrealized PnL | ROE | Lev. |
|---|---|---|---|---|---|---|
| No open positions in the latest Hyperliquid snapshot. | ||||||
Closed PnL and equity curve
Deposits and withdrawals are excluded. Green/red bars show weekly closed-position PnL. The orange line tracks cumulative realized profit; the blue line tracks estimated equity PnL from closed plus currently open positions.
Past closed positions
| Closed | Market | Size | Price | Closed PnL | Fee |
|---|---|---|---|---|---|
| Jun 14, 04:29 PM | @591Sell | 1,349,231,147.5 | 0 | -$812 | $4 |
| Jun 14, 04:27 PM | @591Sell | 153,371,112.7 | 0 | -$17 | $0 |
| Jun 14, 02:55 PM | @107Sell | 250 | 60.1446 | $4,404 | $7 |
| May 21, 01:36 AM | @107Sell | 241 | 56.1801 | $3,291 | $7 |
| Apr 23, 11:55 PM | @107Sell | 191.26 | 41.3 | -$197 | $2 |
| Apr 23, 11:42 PM | @107Sell | 84.84 | 41.3 | -$87 | $1 |
| Mar 28, 02:23 PM | @107Sell | 41.63 | 39.93 | -$102 | $0 |
| Mar 28, 02:23 PM | @107Sell | 277.37 | 39.93 | -$681 | $3 |
| Feb 15, 07:55 PM | @107Sell | 23.11 | 30.601 | -$274 | $0 |
| Feb 15, 07:55 PM | @107Sell | 740.49 | 30.601 | -$8,792 | $6 |
| Feb 15, 07:55 PM | @107Sell | 0.4 | 30.601 | -$5 | $0 |
| Feb 10, 02:53 AM | @107Sell | 1,000 | 30.8992 | -$12,259 | $15 |
| Feb 6, 08:37 PM | BTCClose Long | 0.7062 | 70,679 | -$123 | $16 |
| Feb 6, 08:37 PM | BTCOpen Long | 0.7062 | 70,831 | -$16 | $16 |
| Feb 6, 08:36 PM | BTCClose Long | 0.7078 | 70,868.0589 | $93 | $16 |
| Feb 6, 08:35 PM | BTCOpen Long | 0.7078 | 70,714 | -$16 | $16 |
| Dec 8, 08:24 PM | BTCClose Long | 0.1106 | 90,513 | $6 | $3 |
| Dec 8, 08:23 PM | BTCOpen Long | 0.1106 | 90,433 | -$3 | $3 |
| Dec 8, 08:21 PM | BTCClose Long | 0.2214 | 90,426 | $19 | $6 |
| Dec 8, 08:18 PM | BTCOpen Long | 0.1108 | 90,280 | -$3 | $3 |
| Dec 8, 08:16 PM | BTCOpen Long | 0.1107 | 90,344 | -$3 | $3 |
| Sep 12, 11:29 AM | @107Buy | 0.2 | 56.091 | $0 | $0 |
| Sep 12, 11:29 AM | @107Sell | 21.27 | 56.126 | $255 | $0 |
| Sep 12, 11:29 AM | @107Sell | 35.86 | 56.126 | $429 | $1 |
| Sep 12, 11:29 AM | @107Sell | 19.05 | 56.126 | $228 | $0 |
| Sep 12, 11:29 AM | @107Sell | 3.73 | 56.126 | $45 | $0 |
| Sep 12, 11:29 AM | @107Sell | 390.19 | 56.1291 | $4,668 | $11 |
| Aug 25, 08:33 PM | DOGEClose Long | 479,625 | 0.2078 | -$20,359 | $31 |
| Aug 18, 06:46 AM | ENAClose Long | 105,189 | 0.6759 | -$13,925 | $22 |
| Aug 18, 06:46 AM | DOGEClose Long | 119,906 | 0.2209 | -$3,517 | $8 |
| Aug 18, 06:46 AM | ETHClose Long | 16.7537 | 4,224.6 | -$4,186 | $22 |
| Aug 14, 06:25 AM | ENAOpen Long | 6,773 | 0.738 | -$2 | $2 |
| Aug 14, 06:24 AM | ENAOpen Long | 6,790 | 0.7364 | -$2 | $2 |
| Aug 12, 03:59 PM | ENAOpen Long | 636 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 242 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 3,415 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 5,823 | 0.82 | -$1 | $1 |
| Aug 12, 03:59 PM | ENAOpen Long | 363 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 726 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 124 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 150 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 121 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 363 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 200 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 2,117 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 415 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 726 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 484 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 634 | 0.82 | -$0 | $0 |
| Aug 12, 03:59 PM | ENAOpen Long | 1,089 | 0.82 | -$0 | $0 |
Methodology
TraderStat excludes wallets only when they persistently add to an already open same-side position after price moves against the current average entry. Current positions and past positions come from public exchange data where that venue exposes enough information to verify the filters. Public fills can expose a truncated recent window for very active wallets.