← Bundle Discovery

KOL Entry & Exit Analysis

Observed price-path and order-flow evidence around each entry and exit. Stream-derived values require no additional RPC calls.
Wallet B must be one of the KOL wallets already being collected; both selections stay in the URL and survive refreshes.
● LOADING
Entry signal analysis

What happens before the selected KOL buys?

Calculating an entry-flow synopsis…
Collecting live entry evidence…
Signal outcomes after 15 seconds
Recent entries
Paired execution comparison

Our exits vs tracked KOLs

Calculating matched performance…
Exact matches use the same observed KOL buy signature. Negative exit delta means we sold first; positive means the KOL sold first. The inferred KOL mode is evidence-based: hover over its label for the rationale.
Loading matched copy-trade cycles…
Versioned change ledger

Exit experiments

Loading experiment evidence…
Cohorts are assigned by position entry time. The primary score is clustered by mint so repeated re-entries cannot dominate the result.
Counterfactual comparison

Exit opportunities: sell vs hold

Calculating which signals preceded exits…
Signals are deduplicated once per position and threshold. Multi-horizon outcomes show whether the selected KOL exited within 1, 5, 15 or 60 seconds.
Collector cohorts
Signal conversion
Recent opportunities
Deterministic evidence labels

KOL exit playbook

Classifying exits from price, timing and flow evidence…
Labels describe observable behavior, not private bot intent. Confidence falls when entry price, peak, reserve or short-window flow is unavailable.