Everything you need to trade Polymarket intelligently

From signal detection to automated execution, PolySpy gives you a complete edge. Detect, strategize, test, and trade — all in one platform.

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Signal Detection

Multiple signal sources, one pipeline

PolySpy monitors Polymarket around the clock, detecting high-conviction activity from fresh wallets, top traders, and your personal watchlists.

Fresh Wallet Detection

Automatically flag wallets less than 24 hours old placing significant trades. New wallets with large positions signal high conviction — catch these moves before the market reacts.

  • Real-time monitoring of all new Polymarket wallets
  • Configurable age and trade-size thresholds
  • Filters out noise from low-value accounts

Leaderboard Tracking

Follow the top 75 Polymarket traders ranked by all-time P&L. These proven winners have demonstrated consistent edge across hundreds of markets.

  • Tracks the top 75 by profit and loss
  • Automatic roster updates as rankings shift
  • See which markets top traders are entering

Custom Watchlists

Track anyone — from top traders to your buddy who thinks he's a whale. Add specific wallets and build a curated signal network based on your own research.

  • Unlimited wallet addresses per watchlist
  • Combine with other signal sources in one strategy
  • Tag and organize wallets with custom labels
Strategy Builder

Build strategies visually in four parts

Every strategy follows a clear pipeline: signal triggers entry, risk controls protect you, and exit rules close positions. Configure each step through a visual builder.

Signal

Signal Configuration

Choose which signals trigger your trades. Combine fresh wallets, leaderboard movers, and custom watchlists. Filter by market category and keyword. Set minimum trade sizes to cut noise.

Entry

Entry Rules

Define how you enter positions. Set your direction (copy or fade), choose from fixed, percentage, or price-scaled sizing, and set buy price range constraints.

Risk

Risk Controls

Protect your capital with stop-loss and take-profit levels, per-position size limits, daily loss caps, and maximum concurrent positions. Risk management is enforced automatically.

Exit

Exit Strategy

Configure how and when you close positions. Mirror-exit detection follows tracked wallets out. Near-resolution auto-close protects you at market extremes. Full control over your exit logic.

PolySpy strategy builder showing signal configuration, trade sizing, and risk controls

Screenshots are for illustrative purposes only and do not represent actual trading results.

Trading Modes

Copy or fade — two proven approaches

Follow the smart money or bet against the crowd. PolySpy supports both strategies on the same platform with identical tooling.

Copy Trading

Mirror the exact trades of high-conviction wallets. When smart money buys YES, you buy YES. Leverage their research, conviction, and market timing.

  • Best with leaderboard traders and known wallets
  • Mirror-exit: auto-close when they exit too
  • Ideal when you trust a trader's demonstrated edge

Fade Trading

Take the opposite side of detected trades. Fade your friend who keeps losing on politics markets, bet against suspicious fresh-wallet activity, or profit when the crowd panics.

  • Best with fresh wallets and suspicious activity
  • Test in paper mode before committing real capital
  • Ideal when you suspect dumb money or manipulation
Live Trading

Automated execution around the clock

Once you are confident in your strategy, switch to live mode. PolySpy executes trades automatically 24/7 with risk controls enforced on every position.

  • Real-time P&L tracking and win rate metrics
  • Automatic stop-loss and take-profit enforcement
  • Full trade-by-trade history
  • Telegram alerts for every trade and event
PolySpy dashboard showing P&L chart, open positions, and recent trades

Screenshots are for illustrative purposes only and do not represent actual trading results.

09:14 AM
Signal detected
Fresh wallet bought YES on market #4821
09:14 AM
Paper trade placed
Will BTC hit $100k by July?
BUY $25.00 @ 0.62
02:47 PM
Take profit hit
Will BTC hit $100k by July?
SELL $25.00 @ 0.78+$6.45
Paper Mode

Risk-free testing before you go live

Start any strategy in paper mode. Watch it execute simulated trades against live market data before committing real capital. No money at risk while you validate performance.

  • Test as long as you need before going live
  • Full trade log with simulated P&L
  • Identical execution logic to live mode
Dashboard, Alerts & Integrations

Monitor everything, miss nothing

A real-time dashboard for every strategy, position, and trade. Instant Telegram alerts and webhook integrations keep you informed and connected to your own systems.

Live Dashboard

See open positions, P&L, win rate, and trade history across all strategies. Filter by strategy, date range, or market.

Telegram Alerts

Get notified for every trade entry, exit, stop-loss trigger, daily summary, and strategy status change via your Telegram bot.

Webhook Integrations

Send trading signals to your own systems via HTTP POST. Receive JSON payloads for every signal and execution event. Configure per-account or per-strategy endpoints with optional HMAC-SHA256 signature verification. Works in paper mode for risk-free testing.

View payload reference

Trade Logs

Full trade-by-trade history with entry/exit prices, P&L, hold time, and the signal that triggered each position.

Trade Analytics

See exactly what's driving your wins and losses

Every closed round-trip is automatically analysed across nine dimensions so you can find the setups that actually work — and stop running the ones that don't.

Key stats at a glance

Win rate, profit factor, expectancy, annualized Sharpe, max drawdown, longest win/loss streaks, best and worst trades — all recomputed live as you change the range or strategy filter.

Drawdown chart

Track how deep and how long each equity drawdown lasted. Know if your current drawdown is normal for your strategy or a genuine red flag.

Trait breakdowns

Win rate, avg P&L, total P&L, and profit factor bucketed by entry price, hold duration, side, exit reason, day of week, hour of day, and signal source.

Rolling metrics

14-day rolling win rate, average P&L per trade, and trade count so you can spot a strategy losing its edge before the drawdown gets ugly.

Distribution histograms

See the full shape of your P&L, hold times, and entry prices — not just the averages. Catch fat tails, skew, and unusual clusters.

Cross-strategy comparison

Filter by strategy and mode (paper vs live) to compare ideas head-to-head on identical data. Promote what works, kill what doesn't.

Closed trades

28

Win rate

82.1%

Profit factor

11.77

Expectancy

+$110.46

Total P&L

+$3,092.75

Sharpe (ann.)

16.73

Max drawdown

-$80.00 (12.6%)

Streaks (W / L)

5 / 1

Best trade

+$346.67

Worst trade

-$80.00

Drawdown
Entry price bucket
How each entry-price range performs across your closed trades.
Buckets with < 3 trades are dimmed · green = net profitable, red = net losing
Signal source
Win rate and P&L broken down by where the signal came from.
Buckets with < 3 trades are dimmed · green = net profitable, red = net losing
P&L distribution
Count of trades by realised P&L bucket.

Live preview rendered from a fixed demo dataset — the real dashboard uses your own closed trades.

Advanced Controls

Precision tools for serious traders

Go beyond simple copy trading with advanced sizing, filters, and automated exit intelligence.

Price-Scaled Sizing

Dynamically adjust position size based on market probability. Set price floor/ceiling and min/max multipliers — bet more at favorable prices, less at extremes. Includes an inverted mode for contrarian strategies.

Mirror-Exit Detection

When a tracked wallet exits their position, your matching position auto-closes. Follow them in, follow them out — a complete signal lifecycle from entry to exit.

Near-Resolution Auto-Close

Automatically exit when a market price hits extreme levels (e.g., 99.95%) before final resolution. Locks in gains and avoids last-minute reversal risk.

Market Exclusion Filters

Exclude markets by category (Sports, Politics, Crypto, and 40+ more) or by keyword. Focus your strategy on the domains where you have an edge.

Buy Price Range

Only enter trades when the market price falls within your specified range. Filter for conviction-level signals — e.g., only buy between 0.20 and 0.60.

Activity Feed

A unified timeline of every strategy event — entries, exits, stop-losses, take-profits, and market resolutions. Filter by type, strategy, or date range.

Ready to put these features to work?

Start with a 7-day free trial. Build your first strategy in minutes and see results before you pay.

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