Dedicated account help
Every account subpage repeats the same identity and summary header, so a user can compare the route-specific table with the wallet's retained activity context. The Programs tab appears in the account menu only when a proven program relationship exists, although its URL remains a valid empty-state route.
| Route | Help page |
|---|---|
| /account/[address] | Account Overview |
| /account/[address]/positions | Account Positions |
| /account/[address]/events | Account Events |
| /account/[address]/tokens | Account Tokens |
| /account/[address]/programs | Account Programs |
| /account/[address]/copy-scores | Account Copy Scores |
Account summary
Summary buy/sell totals use currently rendered retained rows, while created/traded tokens and position outcomes use the fullest account trade-history backfill available. Truncation and fetch errors are shown next to metrics they can affect.
Use the summary to establish context before reading a ranking: role labels describe observed behavior, flow is not profit, and the history-loaded indicator shows how much evidence the reconstructed metrics can use.
| Panel | Displayed data |
|---|---|
| Identity | Wallet address, cached SOL balance with USD conversion, bonding-curve state, last retained activity and a signed net-SOL-flow sparkline. |
| Labels | Creator, Trader, Whale, Degen, Entry Account, Exit Account, One-shot or no cached activity. Labels are rules over retained observations, not identity claims. |
| Flow | Buy and sell SOL, buy/sell event counts, Pump fees paid, holder rewards funded, claimed cashback, claimed creator fees, created/traded mint counts and completed reconstructed positions. |
| Performance | Win rate, profit factor, average entry/exit market cap, maximum/minimum entry market cap and maximum/minimum exit market cap. |
| Programs | Observed program count and each program's routing or execution scope, including Entry Routing or Exit Routing labels. |
| Charts | Current UTC-day Buy/Sell Events and Traded Tokens in hourly buckets. |
Account Positions
The Positions route reconstructs Pump core position cycles from retained account trades and also shows one-sided entry or exit evidence separately from Copy Scores.
Use it to audit where an account's apparent outcome came from, distinguish completed cycles from open or exit-only evidence, and inspect execution patterns such as DCA, ladder exits and routed buys.
| Field | Meaning |
|---|---|
| Status | Closed for eligible completed cycles, entry for unclosed buy-side inventory, exit when sell-side activity has no observed entry, or an exclusion reason for creator-owned, contaminated, unsupported, or unpriced cycles. |
| Entry and hold | Observed entry time and elapsed time until the reconstructed close. Exit-only rows show their first observed exit time because entry cost and timing are unknown. |
| Raw outcome | Observed cost, proceeds, P&L and ROI using supported quote conversion inputs. |
| Execution | Buy/sell counts plus DCA, ladder-exit, routed-buy and token-category tags. |
| Filters | Show all positions, positive or negative closed positions, entry positions, or exit-only positions. |


Account Events
Use Account Events when a summary or position needs transaction-level verification. Filters affect the rendered evidence and CSV, while RPC instruction details remain available in the transaction JSON.
| Control | Function |
|---|---|
| Refresh | Checks recent cache pages for new signatures; the workspace also refreshes automatically every ten seconds. |
| Export CSV | Downloads the currently ordered and filtered retained rows. |
| Order and page size | Ascending or descending timestamp order with 10, 25, 50 or 100 rows per page. |
| Hide columns | Mint, Creator and Program can be hidden independently. |
| Mint filter | Restricts the evidence to one exact mint; table address controls can set or clear it. |
| Transaction evidence | Signature links open the decoded transaction; grouped rows expand additional catalogued events in event-index order. |


Account Tokens
Use Account Tokens to separate creator and trader relationships, compare the wallet's flow with total mint flow, and pivot from a wallet-level question into one token's evidence. The list is not the wallet's current token inventory.
| Field | Meaning |
|---|---|
| Token and tags | Image, name, symbol, mint, quote/token program and creator, traded, mayhem, tokenized-agent, charity, graduated, holder-reward, cashback or creator-fee relations. |
| Buy/Sell Events | Per-mint retained TradeEvent counts attributed to the account. |
| Buy/Sell Amount | Per-mint normalized SOL flow. |
| Raw Net | Sell amount minus buy amount for that account and mint. |
| Visibility | Hide tokens with no account trade activity or an unknown creation time; paginate 10, 25 or 50 rows. |
| Sort | Recent activity or the selected account's Raw Net from highest to lowest. |
Account Programs
Use Account Programs to see whether entries or exits were routed through an integration and to compare the wallet's side-specific flow across proven upstream programs.
| Field | Meaning |
|---|---|
| Program | Upstream program with a proven relationship to this wallet; transaction-only terminal protocol accounts are excluded. |
| Scopes | Routing, execution or both, plus Entry Routing and Exit Routing labels from side counts. |
| Buy/Sell Events | Account-attributed trade counts observed through the program. |
| Buy/Sell SOL | Normalized account flow associated with that program. |
| Last activity | Latest retained program/account observation. |
Account Copy Scores
The Copy Scores route reconstructs Pump core position cycles from the current UTC day, classifies the account before scoring, applies coverage and economic gates, and publishes an overall score only for rateable independent trading. The page includes rating gates, candidate gates, warnings, and six diagnostic panels.
Use the score as a structured review, not an endorsement. Start with the eligibility and sample-confidence gates, then inspect the component panels and underlying positions before considering whether the behavior is reproducible.
| Diagnostic panel | Metric families |
|---|---|
| Position Reconstruction | Usable events, side counts, mints, activity span/hours, eligible and all completed cycles, outcomes, open/contaminated/excluded cycles and input coverage. |
| Raw Profit Quality | Reconstructed P&L, cost, quote volume, return, gross profit/loss, profit factor, raw/Bayesian/Wilson win rates, expectancy, medians and cashback-adjusted P&L. |
| Reliability & Concentration | Deterministic bootstrap result, performance without top winners, largest-win share, profit HHI, chronological halves and profitable six-hour buckets. |
| Raw Risk & Capital | Realized drawdown, tail and worst losses, loss streak, ROI volatility, open cost, concurrent cost/positions and return on maximum observed cost. |
| Copyability & Execution | Hold/exit timing, position-size dispersion, DCA and ladder exits, trade cadence, same-slot bursts, routed buys and route-program count. |
| Trading Purity & Coverage | Creator-owned shares, eligible coverage, censored/unknown quote shares, fees, cashback dependence, claims and token-category trade shares. |
Account metric limits
- RPC hydration supplies account owner/curve state and a short-lived SOL balance; it does not supply a wallet's full token inventory.
- A completed position is reconstructed only from observable bought and sold token amounts and does not capture unobserved transfers or other venues.
- Win rate and profit factor are retained-event calculations and can be incomplete when history is truncated.
- Market-cap entry/exit statistics require usable reserve, supply and SOL/USD inputs.