sp is a very concentrated Solana trader with a clear scalping profile over the last 30 days. This wallet made 41 trades across just 2 unique tokens, which shows a narrow focus rather than broad rotation. The average holding time of 694 seconds points to fast entries and exits, with positions managed on a short time frame. The labels fit the data well: this is a focused scalper rather than a multi-asset swing trader. Activity is heavily skewed toward one name, so results depend more on execution in a small set of trades than on diversification.
Recent performance was slightly negative. Over the last 30 days, this wallet posted -$32.06 in PnL with a -5.15% ROI. Total buy volume came to $622.15 versus total sell volume of $581.53. The win rate was 50% across 41 trades, which suggests a balanced hit rate, but not enough average profit per winner to offset losses and trading friction. Because the wallet traded only 2 tokens, the overall result was driven by a small number of setups rather than a broad sample of opportunities. For copiers, that means short-term execution quality matters more than diversification.
The biggest positive contributor was 8U3T…, which generated $75.44 in PnL across 2 trades. The main drag was E9PE…, which lost -$107.5 across 39 trades. That split is important: one token produced the gains, while the other accounted for the bulk of trading activity and the net loss. In practical terms, this wallet showed it can capture quick upside in select spots, but repeated activity in a weaker setup erased those gains. The trade distribution also suggests that conviction was expressed through repetition in one token rather than through many separate ideas.
This wallet is most aligned with traders who want exposure to short-duration Solana scalping and are comfortable following a highly concentrated approach. It suits users who can monitor frequent trade timing and who understand that a 50% win rate does not guarantee positive returns. It is less suitable for anyone looking for diversified token coverage, longer holding periods, or steadier recent profitability.
