Matt’s wallet reads like an active swing-trading profile with high turnover and broad token coverage. Over the last 30 days, this wallet made 681 trades across 72 unique tokens, which points to a diversified approach rather than concentrated conviction in only a few names. The average holding time was 177543 seconds, suggesting positions were typically held beyond pure scalping but still managed on a relatively short-term basis. With labels including swing-trader, high-volume, and diversified, the on-chain activity fits a trader rotating capital frequently across many setups.
Recent performance was strong in absolute and percentage terms. In the last 30 days, this wallet posted $39571.96 in profit on $102987.1 of total buys and $124018.36 of total sells, for a 38.42% ROI. The win rate came in at 38.89%, which is not especially high, but the overall result shows Matt did not need to win on most trades to generate net gains. That combination usually signals uneven outcomes with a few larger winners doing much of the work, supported by consistent activity and active position management across a large sample of trades.
The biggest positive contributor was TOAD at $25138.04 across 68 trades, followed by KIO at $18252.29 across 146 trades and PCAT at $8395.38 across 18 trades. Other profitable names included FZpQ… at $3911.37, JCKJ… at $3585.1, EXg8… at $1473.59, and Akch… at $1446.43. On the downside, the worst token was three at -$5617.1 across 24 trades, with other notable losses in 3VFn… at -$5173.6, HhqF… at -$3659.08, 6weT… at -$2178.67, and 7mQL… at -$1454.02. The pattern suggests Matt can let strong trades scale, but there is also meaningful variance between winners and losers.
This wallet is most relevant for copy traders looking for a high-activity Solana trader who spreads risk across many tokens and accepts a lower hit rate in exchange for larger upside on selected winners. It may suit someone comfortable with frequent rotation, uneven trade outcomes, and dependence on standout positions like TOAD and KIO to drive performance. It is less aligned with traders who prefer slow turnover, high win rates, or tightly concentrated portfolios.
