13 programs, mostly non-trading. You actually USE the chain.
Single-number wallet skill rating. Distinct from the L-Score (loss-flavoured) — this rewards profit, execution, and edge.
A four-letter signature distilled from your fingerprint, cadence, sizing, and edge. The hand-readable verdict.
Diamond 37/100 · paper 43/100. Neither extreme — case-by-case.
Inter-tx CV 5.51. Long quiet stretches punctuated by frantic bursts.
Sniper 62/100 across 65 flips. You enter+exit fast.
Token tourist. 493 days on-chain in this slice. Busiest day was 2025-02-06 with 36 TXs. 100 buys placed (avg ◎0.830, biggest ◎20.819). Touched 106 unique tokens — 47 are still held.
Profile: mostly active at 3am UTC. Estimated PnL across this slice: up ~$6,305 (realised +$8,350, unrealised $-2,045). Hazards: biggest single bleed ◎20.21 .
Best-effort estimate from on-chain SOL legs + live token prices. Doesn't account for slippage, MEV, or off-chain transfers.
Personalised, ranked-by-impact action items derived from your fingerprint, risk profile, and the hodl counterfactual.
MEV-awareness score 1/100 across 194 swaps — you're shipping naked into the mempool. Tip ◎0.0001-0.001 on swaps ≥◎1 to dodge sandwich bots.
Buy-size CV is 3.66 — bets vary wildly. Pick a unit (e.g. ◎0.5) and a max-conviction multiplier (e.g. 4×) so position sizing is decided in advance, not in the moment.
230 empty token accounts holding ◎0.469 of recoverable rent (~$32). Free money — close them in one tx.
Close in 1 txBased on what we found. Not financial advice. Definitely emotional advice.
Net +$6,305 across realised + unrealised.
DNA: MCS+ — mixed conviction · chaotic cadence · sniper · in profit
Sharpe = mean monthly net SOL ÷ stdev × √12. Higher = more return per unit of swing. <0 means you bled month-over-month.
You spent 83.02 on token buys. Just holding that SOL since your first swap would have netted you 54.281(~$3661.40) at +65.4% drift.
(Drift estimate is conservative — assumes 3%/mo SOL appreciation, independent of your actual entry timing.)
SOL inflow per month from selling token positions. Tells you when you actually realise gains vs when you just churn.
Concrete things you can do RIGHT NOW to recover SOL or stop bleeding it.
Lifetime totals across the 500 txs we scanned. Costs include base fees, priority fees, and Jito tips.
Calibrated rough medians from public on-chain distributions. >1× = above median, <1× = below.
Tags computed from your fingerprint. The % below each label is roughly how many wallets earn that tag — lower = rarer.
Most distinctive: Sniper (4% rarity) · top 5% wallet trait
Radar shows your full 6-axis profile; the bars below highlight only the signals where the pattern is clearest (≥35/100).
% of bags you flipped within 5 minutes of buying. Higher = real fast-finger sniper.
% of the 93 tokens you actually BOUGHT (excludes airdrops/transfers) that you still hold.
Higher = quicker sales. 30.5h avg hold across closed positions.
% of swaps fired between midnight and 6am UTC.
Inverse of failure rate. 100 = no reverted txs. <70 = lots of failed gas burns.
Across 194 successful swaps split at the time-midpoint. Up-arrow = increasing recently, down-arrow = decreasing.
191 successful swaps. Counts use first-touch attribution (Jupiter wraps inner AMMs — Jupiter wins the credit).
Composite signals computed by chaining multiple events together — harder to fake, easier to read.
Do you sell winners too fast and hold losers too long? Classic behavioural bias — measured by avg hold time skew.
Consecutive UTC dates with at least one tx — a discipline + addiction marker rolled into one.
Cohorts where you bought + sold within 5 minutes AND took ≥10% loss. Strong "bailed at the bottom" signal.
8 bags you bought and still hold but the token is now worth ~$0 or has no price oracle. Total locked here: 46.663.
Concentration, MEV awareness, longest-held bag, and biggest single lesson — the kind of detail that doesn't fit on a single chart.
Realised PnL approximated from on-chain SOL legs (excludes still-open positions).
No realised losses (yet).
Busiest day: 2025-02-06 with 36 TXs. Longest streak: 13 days.
Peak cell: Thu 0:00–1:00 with 22 TXs.
Realised SOL bucketed by UTC hour-of-day. Green = profitable hour, red = bleed hour. Greyed cells = no closed trades in that hour. Cells with fewer than 3 closes are dashed — small samples lie.
Distribution of average hold time across the bags you bought and later sold. Bar tone = realised PnL within that hold-window (green = profitable, red = bleed, purple = breakeven).
You're holding longer lately — getting more patient.
Each dot = one closed cohort. Right = held longer; up = profitable. Dotted line is breakeven.
How big are your buys? 100 buy txs analysed.
Chaotic sizing. Random bet amounts kill expected value. CV=3.66.
Inter-tx interval CV: 5.51 (lower = bot-uniform).
Top counterparties as a radial graph. Spoke thickness = gross SOL volume; tone = net direction (green if you net positive with them, red if they took more than they gave). Click a node to inspect.
Wallets you exchanged SOL with the most. Net column shows your running balance with each — green if you came out ahead.
Each bar = one bought cohort, from first-buy to last-touch (or now if still holding). Green = realised win, red = realised loss, grey = still holding. Hover for details, click to jump to the token page.
Closed cohorts with non-zero realised SOL, ranked by outcome. Positive bars = winning bags, negative = losing. Hover for SOL amount, click to see the token page.
Closed cohorts grouped by how many buy txs went in. Surfaces whether you trade better as a sniper or a scaler.
Verdict: your One-shot approach wins 84% of the time vs 71% for Light DCA. Lean into what's working.
Visible cohorts grouped by outcome. Surfaces the wallet's overall shape — pure-airdrop dust, paperhand losses, conviction holds, and actual closed wins.
The closed positions that bled the most. Read these like a post-mortem — entry context, hold time, why the lesson matters.
Held 18m — paperhand exit before the chart could prove the thesis.
Held 47s — paperhand exit before the chart could prove the thesis.
Held 6m — paperhand exit before the chart could prove the thesis.
Conviction (buy count, log scale) vs realised SOL. Top-right = DCA paid off. Bottom-right = averaged into a falling chart. Hover dots for details, click to jump to the token page.
106 unique tokens touched · 47 still held · 93 actually bought via DEX (88% commitment). Buys via DEX = real conviction, transfers = airdrops or wallet-to-wallet.
Visible PnL +◎86.856 · 16W / 4L
The 3 single days where you fed validators the most SOL — usually big sniping sessions, panic exits, or bot frenzies.
Best result: download the image and attach it manually — X compresses unfurls.
User-submitted on-chain messages, not editorial. Each came from the signing wallet shown next to it. Treat external claims with the usual skepticism.
No deluxe takes on this wallet yet. Be the first — leave a permanent on-chain message for 0.05 SOL. Your handle stays attached to the roast forever.
Tall left bars (orange) = burst trader or bot. Tall right bars (purple) = patient. The shape tells the cadence.
Your inter-tx CV plotted against reference cohorts. Closer to the bot mark = more uniform spacing.
You: CV 5.51 — extremely bursty, lots of inactive gaps.