Hyperliquid wallet 0x73b6f8…6c1111 currently holds $7.2K in perps and $17.91K in spot. Open positions: 2. The largest is a $9.81K COPPER long at 2x leverage, entry $6.73, liquidation $3.48. Data comes straight from the Hyperliquid blockchain; positions and trades update in real time.
Account total
$17.9K
perps $7.2K · other $10.7K
Free margin
$0
withdrawable $0
Position value
$17.9K
leverage ×2.5
Trading, 7 days
Win rate0.0%
Max drawdown7.0%
Trades1
Fills8.00
Cumulative P&L
includes open positions
24 hours
+$254
48 hours
+$404
7 days
+$460
30 days
−$593
All time
−$593
This is the account's whole result, including the movement of open positions. Deposits and withdrawals are excluded.
Direction biaslong
long 100%short 0%
Position distribution
long $17.9Kshort $0
Open ROE-7.11%
Unrealised P&L−$512
Open positions · 2
Symbol
Position value
uPnL
Entry
Mark
Liq. price
Margin
Funding
Xxyz:COPPERlong
isolated ×2
$9.8K
1.5K xyz:COPPER
−$87
-1.75%
$6.73
$6.67
$3.48
$4.8K
−$40
Xxyz:GOLDlong
isolated ×3
$8.1K
1.96 xyz:GOLD
−$425
-14.93%
$4,358
$4,141
$2,984
$2.4K
−$23
No open positions.
A dash under “Liq. price” means the exchange gives no level — ample margin. “Funding” is what the position has accrued since it was opened; a minus means the account paid. That is separate money and is not part of the unrealised P&L.
No open orders.
Spot holdings
1
Coin
Amount
Price
Value
Avg. entry
Cost basis
P&L
USDC
17.9K
$1.00
$17.9K
—
—
—
“Cost basis” is what was paid for the coin, as reported by the exchange. “Value” is what the holding is worth now at the Hyperliquid spot price from our own snapshot. Coins without a spot pair have no price, and show a dash rather than a made-up number.
Completed trades
4
End time
Coin
Side
Duration
Net P&L
Size
Closing price
Fee
05.10 18:02
HYPE
long
14d 12h
−$37.83
74.59 HYPE
$93.9677120257
$20.35
28.09 13:51
Xxyz:NVDA
long
6d 12h
+$115.54
27.407 xyz:NVDA
$232.27
$13.74
26.09 23:55
Xxyz:CL
long
5d 18h
−$10.47
84.606 xyz:CL
$94.403
$17.40
21.09 05:23
BTC
long
16s
−$27.30
0.12217 BTC
$81 541.00
$28.89
“Net” = closed P&L minus fees plus funding — the same number the exchange reports. Hover it for the breakdown. “Opened before data” means the position was opened earlier than the available history.
Individual fills, not trades: one position is built over hundreds of these. The result is on the “Completed trades” tab.
Deposits and withdrawals
4
Deposited
$18.5K
Withdrawn
—
Net deposited
+$18.5K
more came in than went out
Time
Operation
Amount
Fee
From / to
21.09.26 05:38
transfer received
$6.0K
—
← 0xf70da9…a3dbef
21.09.26 05:30
transfer received
$4.0K
—
← 0xf70da9…a3dbef
21.09.26 05:26
transfer received
$3.5K
—
← 0xf70da9…a3dbef
21.09.26 05:22
transfer received
$5.0K
$1
← 0xf70da9…a3dbef
“Deposited” and “withdrawn” count only money entering and leaving the exchange. Transfers between the account's own spot and perps balances, spot transfers and airdrops are excluded: otherwise moving money between one's own pockets would look like fresh capital. Times are in your timezone.