Stored on this machine at keys/ with mode 0600 and never sent back to the browser.
Use a throwaway wallet — anything with shell access here can read it.
Trader
—
—
REALIZED
—
LANDING RATE
—
TRADES
—
P&L is SOL + WSOL against the balance at start. Gaps are created by the operator's
nudger, so this measures execution rather than a standalone strategy.
Withdraw
Unwraps WSOL and closes empty token accounts, recovering the wrapped balance.
Control
status—
Arbitrage transactions
Type
Signature
Slot
Time
In
Gap
Est. profit
Status
Est. profit is what the size search predicted before firing. Realised P&L is the
figure above, measured from balances — the two differ by fees and by whatever the
pool state did between signing and landing.
Pools
gap—
Nudger
address—
SOL—
affordable cycles—
Parameters
Estimated for this run—
nudger spends—
trader profit—
trader fees—
net across both—
Add liquidity
Deposits are proportional and price-neutral — they cannot create or close a gap, so this is
safe while the loop is running. The matching HYPE is pulled from the operator wallet
automatically. Deeper pools lower the minimum viable gap: profit scales with depth, so
10× the liquidity roughly halves the bps floor.