0xc4d4...fec4
account_balance_wallet0xc4d4fc1b01c94be075a51a515f991fa7b949fec4This 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 |
|---|---|---|---|---|---|
| May 22, 12:18 AM | @107Sell | 232 | 58.0004 | $3,925 | $9 |
| Apr 20, 04:18 PM | @107Sell | 387.88 | 41.012 | $5,729 | $11 |
| Apr 15, 04:50 PM | @107Sell | 559.67 | 44.6891 | $10,324 | $18 |
| Apr 2, 06:20 PM | @107Sell | 86.3 | 34.7481 | $735 | $2 |
| Mar 19, 06:39 PM | @107Sell | 125.66 | 39.779 | $1,701 | $3 |
| Mar 19, 04:28 PM | @107Sell | 126.37 | 39.5376 | $1,680 | $3 |
| Feb 25, 01:01 AM | @107Sell | 729.74 | 27.4085 | $859 | $14 |
| Feb 4, 07:44 AM | @107Sell | 300 | 33.4882 | -$41 | $7 |
| Dec 3, 06:56 PM | @107Sell | 457.4 | 34.0654 | $1,983 | $11 |
| Nov 22, 07:16 PM | @107Sell | 123.92 | 31.2343 | $14 | $3 |
| Nov 12, 10:08 PM | @107Buy | 52.28 | 38.245 | -$0 | $0 |
| Nov 12, 10:07 PM | @107Sell | 52.32 | 38.243 | -$291 | $1 |
| Nov 7, 09:15 PM | @107Sell | 125 | 42.8419 | -$120 | $4 |
| Aug 27, 12:03 AM | @107Sell | 102.66 | 48.6757 | $113 | $3 |
| Aug 25, 08:15 PM | @107Sell | 222 | 43.6785 | -$26 | $7 |
| Jul 11, 03:09 PM | @107Sell | 150 | 45.358 | $360 | $5 |
| Jun 4, 01:25 AM | @107Sell | 150 | 36.9173 | $102 | $4 |
| May 13, 09:19 PM | @107Sell | 126 | 25.98 | $150 | $2 |
| Apr 22, 10:39 PM | @107Sell | 680 | 18.854 | -$89 | $4 |
| Apr 2, 04:07 PM | @107Sell | 126 | 14.04 | $93 | $1 |
| Mar 12, 01:18 PM | @107Sell | 300 | 13.7776 | $55 | $1 |
| Feb 26, 02:03 PM | @107Sell | 82.82 | 19.4167 | -$2 | $1 |
| Feb 26, 02:00 PM | @107Sell | 30.26 | 19.5255 | -$149 | $0 |
| Feb 21, 11:17 AM | @107Buy | 112.84 | 25.215 | -$0 | $0 |
| Feb 8, 08:40 AM | @107Sell | 126 | 22.5911 | -$21 | $1 |
| Nov 29, 09:24 PM | @107Sell | 7 | 5.85 | $41 | $0 |
| Nov 29, 09:24 PM | @107Sell | 9,490.24 | 5.85 | $55,512 | $6 |
| Nov 29, 05:51 PM | @107Sell | 15,000 | 5.59 | $83,841 | $8 |
| Oct 21, 02:07 PM | WLDClose Short | 1,280.1 | 2.2867 | -$191 | $1 |
| Oct 21, 02:07 PM | AAVEClose Long | 62.35 | 152.5157 | -$494 | $3 |
| Oct 20, 10:54 PM | STRKClose Short | 13,604 | 0.4334 | -$551 | $2 |
| Oct 20, 10:54 PM | ETHClose Short | 3.2377 | 2,752.7 | -$467 | $3 |
| Oct 20, 02:09 PM | ETHClose Short | 1.8589 | 2,689.7 | -$151 | $2 |
| Oct 20, 02:09 PM | ETHClose Short | 3.7262 | 2,683.8 | -$280 | $4 |
| Oct 20, 02:08 PM | LDOClose Short | 4,611.4 | 1.1983 | -$530 | $2 |
| Oct 20, 12:53 PM | STRKClose Short | 11,834 | 0.4224 | -$350 | $2 |
| Oct 18, 04:33 PM | BTCClose Long | 0.0648 | 68,589 | $42 | $2 |
| Oct 18, 04:33 PM | WLDClose Short | 1,055.7 | 2.3693 | -$245 | $1 |
| Oct 18, 01:51 PM | STRKOpen Short | 12,655.6 | 0.3949 | -$2 | $2 |
| Oct 18, 01:50 PM | ENAClose Long | 11,927 | 0.415 | -$46 | $2 |
| Oct 18, 01:39 PM | ENAOpen Long | 11,927 | 0.4187 | -$2 | $2 |
| Oct 18, 12:30 PM | BNBClose Long | 8.444 | 594.4 | $17 | $2 |
| Oct 18, 12:29 PM | STRKOpen Short | 12,782.4 | 0.3911 | -$2 | $2 |
| Oct 18, 03:42 AM | STRKClose Short | 12,063.3 | 0.3945 | $239 | $2 |
| Oct 17, 05:36 PM | WLDOpen Short | 2,335.8 | 2.1383 | -$2 | $2 |
| Oct 17, 03:42 PM | POPCATClose Short | 3,856 | 1.3695 | -$279 | $2 |
| Oct 17, 12:43 PM | BNBOpen Long | 8.444 | 592.152 | -$2 | $2 |
| Oct 17, 12:43 PM | LDOOpen Short | 4,611.4 | 1.0837 | -$2 | $2 |
| Oct 17, 02:42 AM | STRKOpen Short | 12,063.3 | 0.4144 | -$2 | $2 |
| Oct 17, 02:41 AM | FTMOpen Short | 6,627 | 0.7544 | -$2 | $2 |
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.