PL Plonex Top Plonex Trade →
Русский updated 11.10.2026 14:14

Copy_Pasta

Cadet Cadet Inactive Copy ↗
Followers0
Trading Days6
Stability Index2.5/5.0
7-Day Views1
AUM+0.00 USDT
Total Assets+0.00 USDT
Profit Sharing10.00%
Slots Left100

Monthly Returns

Jan Feb Mar* Apr May Jun Jul Aug Sep Oct* Nov Dec 2026
0 0 +0.0% +0.0% +0.0% +0.0% +0.0% +0.0% +7.8% +0.0% 0 0 +7.8%

Traded Symbols

5 symbols
LINKUSDT 1 Orders +5.82
XPLUSDT 1 Orders +1.64
XRPUSDT 1 Orders +0.33
RENDERUSDT 1 Orders +0.16
ZAMAUSDT 1 Orders -0.13

Closed Trades

CSV
Position Qty Margin ROI PnL Entry Exit Opened (UTC) Closed (UTC) Time Followers
LINKUSDT Long [tr.cross] 10x 3.1 3.97 +146.47% +5.82 12.657 14.5649 2026-09-24 15:35 2026-09-29 15:24 120 h 0
XPLUSDT Long [tr.cross] 10x 267 2.81 +58.42% +1.64 0.10381 0.110106 2026-09-24 19:01 2026-09-27 15:24 68 h 0
RENDERUSDT Long [tr.cross] 10x 14.6 2.88 +5.61% +0.16 1.95024 1.96412 2026-09-25 10:22 2026-09-26 20:41 34 h 0
XRPUSDT Long [tr.cross] 10x 31.2 4.83 +6.91% +0.33 1.5296 1.54263 2026-09-24 16:46 2026-09-26 18:36 50 h 0
ZAMAUSDT Long [tr.cross] 10x 302 2.82 -4.68% -0.13 0.09209 0.0918 2026-09-25 10:30 2026-09-26 12:20 26 h 0

Review for the subscriber

Too little data to judge

Traded 6 of 197 days - rare trades. 4 winning days, 2 losing, 191 flat. An average winning day earns +2.3%, an average losing one costs -0.7%: wins are bigger than losses. The exchange reports a 80% win rate over 180 days.

Return per month +0.9%
Subscriber after fee +0.9%
Risk moderate
Active days 6 / 197
Day factor 3.16
Worst day -0.9%
Drawdown -1%

Return: +0.9% per month by exchange data (ROI +7.8% over 180 days), about +12% annualised. Above 75% of traders in the base, where the median is about -0.9% per month. By our monthly slices the best month is +7.8%, the worst +0.0%. The trader's 10% fee on follower profit leaves about +0.9% per month on your account, before copy slippage. Followers have been in the red for the whole period (0 USDT): the trader's profit never reached them. The account has only been running for 6 day - there is little history yet, first conclusions may change.

Risk: daily swings 0.4%, worst day -0.9%, never two losing days in a row. Maximum drawdown is only -1% over the observed period. The result depends heavily on one symbol (about 73% of the profit) - in a bad market for it the drawdown will be deeper than for the trader overall.

Transparency: trades are visible and can be verified; trades only 5 symbols, profit is concentrated.

What to do as a subscriber

  • Too little data - watch how it behaves with a normal volume of trades first.
  • Do not expect the past result to repeat: it rested on a single token.

The review uses data from 28.03.2026 - the last 197 day of observations. The earlier history of the account may look different. The review is generated automatically from Bybit data and our own recalculation of the daily series. It is not investment advice.