0xbafc...2dc6
account_balance_wallet0xbafc03ec2641b82ae5e4c4f6cc59455773092dc6This 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 2, 03:06 AM | @107Sell | 14 | 75.4 | $607 | $0 |
| May 31, 09:08 PM | @107Sell | 30 | 70.5 | $1,153 | $1 |
| May 30, 08:12 PM | @107Sell | 5 | 68.039 | $188 | $0 |
| May 28, 06:19 PM | @107Sell | 20 | 60.5 | $600 | $0 |
| May 24, 09:22 AM | @107Sell | 79 | 63.5 | $2,721 | $2 |
| May 21, 12:04 AM | @107Sell | 90 | 55 | $2,336 | $2 |
| May 20, 12:39 PM | @107Sell | 100 | 50 | $2,095 | $2 |
| May 7, 03:59 AM | BTCClose Long | 0.1188 | 80,789 | -$74 | $4 |
| May 6, 09:20 PM | BTCOpen Long | 0.1188 | 81,383 | -$4 | $4 |
| May 6, 09:20 PM | ZECClose Long | 4.6 | 557.6781 | -$37 | $1 |
| May 6, 08:40 PM | ZECOpen Long | 4.6 | 565.4218 | -$1 | $1 |
| May 6, 06:12 PM | BTCClose Long | 0.1288 | 81,240 | -$57 | $4 |
| May 6, 05:14 PM | BTCOpen Long | 0.1288 | 81,651 | -$4 | $4 |
| May 5, 01:01 PM | ZECClose Long | 5.9 | 428.12 | $64 | $1 |
| May 5, 09:22 AM | ZECOpen Long | 5.9 | 417.2 | -$1 | $1 |
| Apr 28, 07:02 PM | MONClose Short | 46,626 | 0.0288 | $4 | $0 |
| Apr 28, 01:52 PM | MONOpen Short | 46,626 | 0.0289 | -$0 | $0 |
| Apr 28, 01:40 PM | APEClose Short | 14,991.5 | 0.1724 | -$59 | $1 |
| Apr 28, 01:30 PM | APEOpen Short | 14,991.5 | 0.1685 | -$1 | $1 |
| Apr 27, 11:16 PM | PUMPClose Short | 2,447,596 | 0.0018 | -$104 | $2 |
| Apr 27, 06:58 PM | PUMPOpen Short | 2,447,596 | 0.0017 | -$2 | $2 |
| Apr 27, 02:08 PM | HYPEClose Long | 95.66 | 42.6035 | $22 | $1 |
| Apr 27, 02:01 PM | HYPEOpen Long | 95.66 | 42.3616 | -$1 | $1 |
| Apr 22, 11:24 PM | BTCClose Long | 0.1298 | 78,270 | -$85 | $4 |
| Apr 22, 07:21 PM | BTCOpen Long | 0.1298 | 78,893.9987 | -$4 | $4 |
| Apr 22, 04:05 PM | BTCClose Long | 0.0604 | 79,399 | $41 | $2 |
| Apr 22, 01:55 PM | BTCOpen Long | 0.0604 | 78,693 | -$2 | $2 |
| Apr 14, 04:56 AM | @107Sell | 50 | 45 | $908 | $1 |
| Apr 11, 02:55 PM | @153Buy | 100 | 0.9979 | -$0 | $0 |
| Apr 11, 02:54 PM | @230Sell | 108.44 | 0.9999 | -$0 | $0 |
| Apr 11, 02:54 PM | @153Buy | 200 | 0.9979 | -$0 | $0 |
| Apr 8, 05:36 PM | SOLClose Short | 160.01 | 83.88 | $37 | $5 |
| Apr 8, 02:32 PM | SOLClose Short | 160 | 83.001 | $177 | $5 |
| Apr 8, 01:38 PM | SOLOpen Short | 320.01 | 84.1393 | -$10 | $10 |
| Mar 30, 12:03 PM | @305Sell | 1,894.2 | 0.1178 | $223 | $0 |
| Mar 16, 11:14 AM | @107Buy | 0.44 | 39.245 | $0 | $0 |
| Mar 16, 11:14 AM | @206Sell | 68.7 | 0.1157 | -$9 | $0 |
| Mar 16, 11:13 AM | @230Sell | 9.26 | 0.9999 | -$0 | $0 |
| Mar 16, 11:11 AM | @294Sell | 696.63 | 0.0133 | -$5 | $0 |
| Mar 16, 11:10 AM | @107Buy | 2.03 | 39.333 | $0 | $0 |
| Mar 16, 11:04 AM | @230Sell | 79.97 | 0.9999 | -$0 | $0 |
| Feb 27, 08:59 PM | @294Sell | 4,000 | 0.02 | -$0 | $0 |
| Jan 22, 12:57 PM | FLX:SILVERClose Long | 23.94 | 93.0133 | -$24 | $1 |
| Jan 22, 11:33 AM | FLX:SILVEROpen Long | 23.94 | 93.953 | -$1 | $1 |
| Jan 21, 07:51 PM | FLX:SILVERClose Long | 45.39 | 90.349 | -$108 | $3 |
| Jan 21, 05:42 PM | FLX:SILVEROpen Long | 45.39 | 92.662 | -$3 | $3 |
| Jan 14, 11:00 PM | FLX:SILVERClose Long | 20.23 | 93.1892 | $5 | $1 |
| Jan 14, 10:39 PM | ETHClose Long | 1.3512 | 3,350.6 | -$54 | $2 |
| Jan 14, 08:11 PM | ETHOpen Long | 1.3512 | 3,389.6 | -$2 | $2 |
| Jan 14, 08:08 PM | FLX:SILVEROpen Long | 20.23 | 92.886 | -$1 | $1 |
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.