6QRd…CUQP looks like a fast, high-volume Solana trader with broad token exposure rather than a concentrated conviction wallet. Over the last 30 days, this wallet made 930 trades across 175 unique tokens, which points to active rotation and frequent entries and exits. The average holding time was 9,049 seconds, reinforcing a short-term style consistent with day-trading. With labels including day-trader, high-volume, and diversified, the pattern suggests this wallet is built around repeated opportunities across many names instead of waiting on a small number of longer holds.
In the last 30 days, this wallet posted $14,516.58 in PnL on 21.88% ROI. Total buy volume came in at $66,345.86, while total sell volume reached $72,437.73. The win rate was 60.57%, which is solid given the very high trade count. That combination matters: a positive ROI, positive net PnL, and a win rate above 60% across 930 trades suggests the edge here has held up over a meaningful number of executions, not just a handful of outsized wins. At the same time, the breadth of 175 tokens means results likely depend on constant monitoring and efficient trade timing.
The strongest named contributor was MEMELESS with $1,878.69 in PnL across 17 trades. Other notable positive contributors included GHvn… at $1,309.21 over 16 trades, 5Cw3… at $1,126.60 over 7 trades, XsoC… at $937.41 over 15 trades, 3r3X… at $896.66 over 16 trades, ASEo… at $880.28 over 14 trades, and PEAQ… at $857.27 over 23 trades. On the downside, the worst token was sus at -$2,095.38 across 8 trades. Additional losses came from HmJD… at -$1,588.16, CTPo… at -$1,214.70, CCsF… at -$1,129.21, and EEpn… at -$1,100.38.
This wallet is best suited for traders looking to mirror an active, diversified, short-hold strategy rather than a patient swing approach. Anyone considering copying this wallet should be comfortable with rapid turnover, many positions, and uneven token-level outcomes, including losses above $1,000 on individual names. The appeal here is process consistency at scale: lots of trades, broad coverage, and positive aggregate performance over the last 30 days.
