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Polymarket–Kalshi Spread

polymarket_kalshi_spread
Read-onlyIdempotent

Cross-venue spread between Kalshi and Polymarket for the same resolving question. The two venues sometimes price the same outcome 2-25pp apart because their participant pools differ — when the bet shapes are equivalent that delta is a real signal, when they aren't the tool says so. TWO MODES: (1) topic — 10 pre-mapped macro shortcuts ("fed", "btc", "cpi", "gdp", "sp500", "recession", "next_pope", "next_uk_pm", "next_israel_pm", "2028_president") auto-fetch the matching event on each venue. (2) explicit kalshi_event_ticker + polymarket_event_slug for custom pairings — BOTH modes run the identical token-overlap matcher, so the same disclosures apply to both. RESPONSE: each venue's leg-by-leg prices (raw probability 0-1) plus matched spread[].top_spreads_pp (Kalshi − Polymarket) where the same outcome shows up on both sides. SAFETY FIELDS: compatibility_warning is a sentence and compatibility_codes[] the machine-readable form; BOTH can be non-empty on returned pairs, so read them even when matched_pairs>0. Codes: event_subject_mismatch (the two event titles share no subject words — probably not the same question), temporal_mismatch (they resolve in different months), temporal_alignment_unknown (the resolution month could not be parsed on one or both sides — NOT the same as confirmed-aligned; check each event's close/strike date yourself), non_equivalent_bet_shapes, no_candidate_pairs, unclassified_legs_excluded, pairing_unverified (set in EITHER mode whenever pairs are returned: the legs were matched by keyword and word overlap, not a shared resolution source). Each entry in top_spreads_pp carries its own flags[] (temporal_mismatch, temporal_alignment_unknown, event_subject_mismatch, low_token_overlap). A leg whose metric_type or match_subtype is "unknown" is NEVER paired — those comparisons land in spread.skipped_unclassified and, when the wording lined up, in spread.low_confidence_pairs[] for inspection only. temporal_alignment{polymarket_month,kalshi_month,aligned} tells you whether the two events resolve in the same calendar period, in EITHER mode; null means it could not be computed (see temporal_alignment_unknown), not that the two sides align. spread.fees_note is a standing disclosure: Kalshi charges per-contract trading fees, Polymarket does not, and this tool does not model Kalshi's fee schedule — every spread_pp is gross, not a net tradeable edge. skipped_cross_type / skipped_cross_subtype counters expose how many leg-pair comparisons were dropped (cross-type = metric_type mismatch like MoM vs YoY; cross-subtype = inequality mismatch like cum_ge vs cum_le). Real cross-venue spreads are rarer than the macro-shortcut list suggests — most pre-mapped topics return compatibility_warning today; pre-mapped ≠ tradeable.

Input Schema

TableJSON Schema
NameRequiredDescriptionDefault
topicNoPre-mapped: fed | btc | cpi | gdp | sp500 | recession | next_pope | next_uk_pm | next_israel_pm | 2028_president
kalshi_event_tickerNoExplicit Kalshi event ticker, e.g. "KXFED-26OCT". Overrides the topic-mapped Kalshi side.
polymarket_event_slugNoExplicit Polymarket event slug, e.g. "fed-decision-in-june-825". Overrides the topic-mapped Polymarket side.

TDQS

A4.3/5.0
Behavior5/5

Does the description disclose side effects, auth requirements, rate limits, or destructive behavior?

The description goes far beyond the read-only annotation by disclosing matching methodology (token-overlap), the meaning of null temporal_alignment, fee-model limitations, why pairing_unverified is always set, and what happens to unclassified legs. These are non-obvious behavioral traits that the annotations cannot convey. No contradiction exists with the readOnlyHint/idempotentHint annotations.

Agents need to know what a tool does to the world before calling it. Descriptions should go beyond structured annotations to explain consequences.

Conciseness4/5

Is the description appropriately sized, front-loaded, and free of redundancy?

The description is long but deliberately structured: purpose first, then modes, response, safety fields, codes, fee disclosure, and skipped counters. Each sentence adds operational or safety-relevant information, though the format is dense enough that an agent may need to re-read it.

Shorter descriptions cost fewer tokens and are easier for agents to parse. Every sentence should earn its place.

Completeness5/5

Given the tool's complexity, does the description cover enough for an agent to succeed on first attempt?

With 3 optional parameters and no output schema, the description carries the full burden of explaining the response shape, safety flags, warning codes, and caveats. It covers return fields (top_spreads_pp, compatibility_warning, compatibility_codes, temporal_alignment, fees_note, skipped_* counters) and the meaning of edge cases like null alignment. Nothing essential for correct invocation is missing.

Complex tools with many parameters or behaviors need more documentation. Simple tools need less. This dimension scales expectations accordingly.

Parameters4/5

Does the description clarify parameter syntax, constraints, interactions, or defaults beyond what the schema provides?

Schema coverage is 100%, so the baseline is 3, but the description enriches the schema by framing the three parameters as mutually exclusive modes, explaining overrides, and noting both modes run the identical matcher. This adds mode-selection semantics beyond the property-level descriptions, though not drastically.

Input schemas describe structure but not intent. Descriptions should explain non-obvious parameter relationships and valid value ranges.

Purpose4/5

Does the description clearly state what the tool does and how it differs from similar tools?

The opening sentence states a specific verb/resource: computes the cross-venue spread between Kalshi and Polymarket for the same resolving question. The description is unambiguous about what the tool does, but it does not explicitly differentiate itself from sibling tools like polymarket_arbitrage, so it misses the 'distinguishes from siblings' bar for a 5.

Agents choose between tools based on descriptions. A clear purpose with a specific verb and resource helps agents select the right tool.

Usage Guidelines4/5

Does the description explain when to use this tool, when not to, or what alternatives exist?

It clearly explains the two invocation modes (topic shortcuts vs explicit ticker/slug), when each should be used, and warns that most pre-mapped topics currently return compatibility warnings and are not necessarily tradeable. It does not mention alternative sibling tools or provide explicit 'use this instead of X' guidance, so it stops short of a 5.

Agents often have multiple tools that could apply. Explicit usage guidance like "use X instead of Y when Z" prevents misuse.

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TDQS

A3.5/5.0
Disambiguation2/5

Many tools have overlapping purposes, such as ask_pipeworx, ask_pipeworx_beta, ask_pipeworx_grounded, and deep_research all performing similar data queries. Similarly, bet_research, polymarket_arbitrage, polymarket_edges, and polymarket_fill_risk cover the same betting domain. Players/player, teams/team, and games/game also blur distinctions.

Naming Consistency2/5

Naming styles are inconsistent: some use verb_noun (e.g., validate_claim, discover_tools), others are plain nouns (e.g., player, team, stats), and some are individual verbs (e.g., forget, recall). There's no predictable pattern.

Tool Count2/5

With 39 tools, the set is large and spans multiple unrelated domains (NBA stats, betting, general data lookup, memory). Given the server name 'Balldontlie' suggests NBA focus, the number is excessive and many tools feel out of place.

Completeness2/5

For an NBA stats server, the tool surface is incomplete (missing play-by-play, advanced stats, season leaders, etc.). As a general data server, it relies on meta-tools like ask_pipeworx rather than dedicated tools, so coverage is indirect and not comprehensive.