5Ttz…jhXy looks like a focused Solana swing trader with clear memecoin exposure rather than a high-frequency scalper or broad market allocator. Over the last 30 days, this wallet made 29 trades across 9 unique tokens, which suggests selective rotation instead of constant churn. The average holding time of 96,988 seconds points to positions being held beyond quick flips, fitting the swing-trader label. The activity is concentrated enough to show conviction, but still diversified across several names rather than relying on a single trade.
Recent performance was strong on a headline basis. This wallet posted $967.45 in profit with a 58.67% ROI during the last 30 days. Total buys came to $1,649 and total sells reached $2,527.05, indicating realized gains were meaningful relative to capital deployed. The win rate was 44.44%, which is below 50%, so the results were not driven by frequent winners. Instead, returns appear to come from a smaller number of outsized gains that more than offset several losing positions. That profile can work well when trade sizing and exit timing are disciplined, but it also implies uneven outcomes from token to token.
The standout winner was INTERN, which generated $1,160.6 across 6 trades and was easily the main driver of overall profitability. The next best contributor was +++++ at $234.63 from 3 trades, while XMRCAT added $77.59 and IshiGo added $64.14. On the losing side, the largest drawdown came from QUANT at -$219.77 across 4 trades. Other negative contributors included PEPEI at -$115.94, Inucognito at -$97.08, BASKET at -$80.92, and MICAT at -$55.8. This mix shows a wallet capable of landing a major winner, but also one that absorbs multiple smaller losses along the way.
This wallet may appeal most to copy traders who want exposure to a concentrated memecoin swing style with moderate trade frequency and a tolerance for patchy win rates. The profile suits someone comfortable with a strategy where a few strong trades can carry total performance. It may be less suitable for traders who prefer consistent hit rates, broad diversification, or lower volatility across positions.
