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0xcac1…26b3 · Hyperliquid address profile

0xcac19662ec88d23fa1c81ac0e8570b0cf2ff26b3View on Hyperliquid ↗ ·

Not offered yetDelta-neutral carry Mark-to-market cumulative profit $30.53M, ranked #20 site-wide.

Three things to check before following him

This address still holds
$10.06M
perps + spot + vaults + staking; perps account $3.17M, 35 open positions
Ever liquidated
No
No liquidation on record in this window
Time since last trade
Traded today
last fill 2026-10-09

Those three numbers describe where he stands now. The curve below is a different thing — how much he made in the past. An address showing $30.53M of profit can be sitting on an empty account, and the P&L figure alone will never tell you.

Mark-to-market cumulative P&L

compressedour ledger starts here$32.17M$30.01M

Three definitions on one axis: green = our mark-to-market ledger · red = the exchange's public "closed P&L" · grey dashed = exchange all-in. The shaded gap is what closed-P&L misses ($2.15M). The hatched band on the left is before our data starts (20250809); the exchange had him at $1.63M by then — that is why our number differs from other sites.

His account equity

Equity at start
$50.13M
2025-08-09
Equity now
$10.09M
2026-10-09
All-time high
$179.31M
now 6% of peak
P&L over the same span
$30.53M
from trading, deposits excluded

The green line above is how much he made trading (rebuilt from on-chain fills; deposits and withdrawals are invisible there). This amber line is how much money is in his account (from the exchange API, deposits included). Wherever the two diverge, he put money in or took money out. So "made a lot but little left" and "made little but holds a lot" are both possible and neither is strange.
⚠️ Equity is sampled weekly for anything older than a month (near-daily only recently); this line connects those points rather than measuring every day. ⚠️ It covers perps + spot + vaults + staking, not just the perps account.

Cumulative P&L
$30.53M
Max drawdown
$21.72M
Profit vs equity
17.0%
vs his peak equity of $179.31M
Active
427 days

Where the money comes from

86.5%13.5%$30.53Mnet
ETH$20.64MBTC$14.51MNEAR-$5.32MZEC-$4.59MFARTCOIN$2.15MHYPE$662KXRP$534KTON$523K
minus fees−$100K (0.32%)

Funding is 13.5% of gross. Fees are negative, so they are listed under the ring as a deduction rather than forced into the pie.

Within each bar: green = directional, amber = funding. Right of the line is profit, left is loss.

What kind of trader

Size100Resilience46Maker61Funding90Consistency29Spread88
$100 – $156: 25$156 – $245: 12$245 – $383: 30$383 – $599: 46$599 – $938: 97$938 – $1,468: 232$1,468 – $2,297: 289$2,297 – $3,594: 393$3,594 – $5,623: 365$5,623 – $8,799: 395$8,799 – $14K: 372$14K – $22K: 394$22K – $34K: 375$34K – $53K: 425$53K – $83K: 825$83K – $129K: 808$129K – $202K: 659$202K – $316K: 599$316K – $495K: 476$495K – $774K: 351$774K – $1.21M: 213$1.21M – $1.90M: 155$1.90M – $2.97M: 111$2.97M – $4.64M: 85$4.64M – $7.26M: 61$7.26M – $11.36M: 53$11.36M – $17.78M: 23$17.78M – $27.83M: 12$27.83M – $43.54M: 10$43.54M – $68.13M: 3$68.13M – $106.61M: 3$106.61M – $166.81M: 4$166.81M – $261.02M: 1$100$1K$10K$100K$1M$10M$100M$1B#20 of 7,902 · top 0.2%only 19 made more · 13.25% of #1

Axes are percentiles among all addresses — further out means more pronounced, not better.

All 6 axes are facts, not a score. The right chart is cumulative profit across all 7,902 profitable addresses (log scale); the line is him — everyone to the right made more.

How he makes it

6.0
Out of every 10 positions, how many ended up green
1.75×
Average win vs average loss

One high and one low is the norm — either number alone misleads, so they are always shown as a pair.

Why copy trading is not open yet · High frequency
3,083 fills per day. Mirroring this account needs order placement at his speed and fees low enough not to eat the thin per-trade margin. That is an execution-layer problem, and we have not wired it into copy trading yet.

Also · Delta-neutral carry
He buys spot and shorts the perp on SOL at the same time, hedge ratio 1.00 (1.0 = fully hedged). He looks like a short here, but he is not betting on direction — he earns funding. Shorting alongside him copies only one of his two legs.

Every round he traded

A round is one coin, from first entry until fully flat. The curve is that round's P&L in dollars at market prices.
Coins marked ↗ open the chart zoomed to that round. Unfold shows every fill: how he scaled in and how he got out.

3 most profitable rounds

ETH Short$21.69M
2025-08-13 → 2026-05-24 · 285 days · 137,990 fills · peak $63.57M (35% of equity) · —
BTC Short$16.39M
2025-08-13 → 2026-04-14 · 245 days · 66,441 fills · peak $56.80M (35% of equity) · —
FARTCOIN Short$2.09M
2025-08-14 → 2025-10-10 · 58 days · 5,883 fills · peak $2.93M (2% of equity) · —

3 worst rounds

NEAR Short$-5.32M
2026-06-03 → 2026-10-09 · 129 days · 27,333 fills · peak $8.61M (88% of equity) · —
ZEC Short$-5.20M
2026-06-12 → 2026-09-22 · 103 days · 57,284 fills · peak $12.01M (77% of equity) · —
BTC Long$-1.31M
2026-05-14 → 2026-06-06 · 24 days · 23,314 fills · peak $11.42M (114% of equity) · —

All rounds (114 rounds in total; the 30 largest by P&L are listed)

CoinSideFrom → toDaysFillsPeak % of equityP&LUnfold
PUMPShort2026-08-11 → 2026-10-09606866%$-211K—
DOGEShort2026-08-23 → 2026-10-094812,99218%$187K—
VVVShort2026-06-03 → 2026-10-0912920,74519%$-219K—
LTCShort2026-08-13 → 2026-10-09585,4958%$-260K—
SUILong2026-04-30 → 2026-10-091634,28713%$-267K—
ETHLong2026-08-21 → 2026-10-09503,57315%$-202K—
NEARShort2026-06-03 → 2026-10-0912927,33388%$-5.32M—
AAVEShort2026-08-21 → 2026-10-095020,42126%$-477K—
AVAXLong2026-06-24 → 2026-10-091082,8639%$271K—
TONShort2026-05-07 → 2026-10-0915616,67716%$523K—
ADALong2026-03-22 → 2026-10-092027,89216%$399K—
SOLShort2026-06-29 → 2026-09-24886,31729%$-668K—
ZECShort2026-06-12 → 2026-09-2210357,28477%$-5.20M—
BTCShort2026-08-14 → 2026-09-07252,6219%$-195K—
HYPEShort2026-07-12 → 2026-09-015231,72847%$-1.21M—
XRPShort2026-08-22 → 2026-08-311014,78041%$415K—
ETHShort2026-07-05 → 2026-08-20474,26348%$-984K—
xyz:SPCXLong2026-08-05 → 2026-08-1395,26037%$380K—
HYPEShort2025-08-14 → 2026-07-0432593,4838%$1.78M—
ETHLong2026-06-03 → 2026-07-04328,44639%$-374K—
ZECLong2026-06-05 → 2026-06-1171,4504%$320K—
BTCLong2026-05-14 → 2026-06-062423,314114%$-1.31M—
ZECShort2026-06-02 → 2026-06-0436,00730%$498K—
ETHShort2026-05-26 → 2026-06-0282,64663%$524K—
ETHShort2025-08-13 → 2026-05-24285137,99035%$21.69M—
SOLShort2025-08-14 → 2026-04-2125110,2804%$928K—
BTCShort2025-08-13 → 2026-04-1424566,44135%$16.39M—
PUMPShort2025-10-10 → 2025-10-101680%$228K—
FARTCOINShort2025-08-14 → 2025-10-10585,8832%$2.09M—
XPLShort2025-09-30 → 2025-10-0126,9361%$259K—

Two rounds can both say "made $1M" and be nothing alike: one held steady the whole way, another sat 50% underwater before recovering, a third earned everything on the final day. The number hides that; the curve shows it. Curves are drawn only for rounds held 5 days or longer — shorter ones have too few points to be honest. This is what already happened, not a forecast.

Every number

Cumulative P&L (mark-to-market)$30.53M
Max drawdown (mark-to-market)$21.72M
Return (÷ true intraday peak exposure)21.1%
Profit vs his peak account equity17.0%
His peak account equity$179.31M
Resilience (P&L ÷ drawdown)1.41
Largest exposure held$144.77M
Open-to-flat rounds121
Spread across51 coins
Fills inside those rounds851,047
Typical round length34.0 days
Same-day in-and-out share5.8%
Taker share61.5%
Fills per day3,083.5
Days active427

Similar addresses

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Where these numbers come from. Rebuilt from Hyperliquid's raw fill stream: each coin's position is cut into rounds from first entry to fully flat, then marked to the market price of every single day, plus funding, minus fees. Summing all 1.24M rounds reconciles to the daily mark-to-market P&L to 2.2e-16.

What this page is not. It describes how he made money in the past. It is not a claim that following him will make you money. We have never tested whether addresses near the top of this board do better next month — no evidence, no claim.