Ar2Y…ro1x looks like a high-volume, diversified position trader rather than a concentrated bettor. Over the last 30 days, this wallet made 24,234 trades across 185 unique tokens, with average holding time of 1,188,948 seconds. That mix suggests broad exposure, active rotation, and a preference for spreading risk across many names instead of relying on a few outsized positions. The win rate of 87.03% stands out, especially at this level of activity, and supports the label of a high-winrate wallet. The overall style appears systematic and repeatable rather than tied to a single token theme.
In the last 30 days, this wallet posted $268,750.70 in PnL with 5.65% ROI. Total buys reached $4,758,793.99 and total sells reached $4,927,949.64, showing strong turnover and consistent capital recycling. The returns are notable because they were produced through scale rather than a single breakout winner. A 5.65% ROI on that amount of traded capital points to steady execution more than extreme volatility capture. For traders evaluating copy potential, the key takeaway is that the edge here appears to come from volume, breadth, and a high hit rate, not from long-shot bets.
The best reported token over the period was ALLINU at $13,131.26 in PnL across 84 trades. Other strong contributors included SI at $10,439.18 across 107 trades, ANSEM at $9,841.57 across 137 trades, PTN at $9,231.78 across 329 trades, and cc at $8,682.43 across 268 trades. Additional gains came from LinkedInu, JTO, Xspz…, CuDP…, 5ncP…, pwfA…, and FWDt…. On the downside, the weakest single token was EHpa… at -$3,197.67, which is relatively small compared with the total wallet PnL and consistent with controlled downside at the token level.
This wallet may fit traders who prefer copying broad, active exposure with frequent trade flow and a strong historical win rate. It is less suited to someone looking for low-activity conviction plays or highly concentrated bets. Because the strategy spans 185 tokens and thousands of trades, it likely appeals more to copiers who value consistency, diversification, and measured position management over chasing one or two big winners.
