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Polymarket Fill Risk

polymarket_fill_risk
Read-onlyIdempotent

Realizable-vs-theoretical edge check against live CLOB order-book depth. REQUIRES one of market (single-market mode) or event (basket/partition mode). SINGLE-MARKET: pass a market slug/URL + side (buy_yes|sell_yes|buy_no|sell_no, default buy_yes) + size_usd (default 1000 — max spend on buys, target proceeds on sells); walks the ladder and returns top_of_book, vwap_fill_price, slippage_pp, shares_filled, max_fillable_usd, and a verdict (clean|degraded|cannot_fill). BASKET: pass an event slug/URL + side (sell_yes = capture overround by selling every leg, buy_yes = capture underround; default auto from partition sum) + size_usd interpreted as settlement notional S (shares per leg; each share pays $1); returns theoretical_sum vs realizable_sum (top-of-book vs VWAP across all legs), capture_ratio, profit_usd at executed size, per-leg fill detail, thin_legs[], max_clean_notional_usd, and forced_directional_risk naming the legs most likely to strand you unhedged. USE THIS before acting on any polymarket_arbitrage SELL/BUY-EVERY-LEG signal or any polymarket_edges trade above ~$500 — theoretical overround on thin books is not capturable, and partial basket fills convert an arb into an unhedged directional position (the dominant loss mode in real arb-bot P&L).

Input Schema

TableJSON Schema
NameRequiredDescriptionDefault
sideNoSingle-market: buy_yes | sell_yes | buy_no | sell_no (default buy_yes). Basket: sell_yes | buy_yes (default auto — sell if partition sum > 1, buy if < 1).
eventNoBasket mode: event slug or full polymarket.com URL — checks every leg of the partition.
marketNoSingle-market mode: market slug or full polymarket.com URL.
size_usdNoSingle-market: USD to spend (buys) or target proceeds (sells). Basket: settlement notional — shares per leg, each paying $1 at resolution. Default 1000, clamp 10–1,000,000.

Schema Changelog

Changes observed during successful MCP inspections. Dates show when Glama detected each change.

  1. Added
  2. Removed
  3. Added

TDQS

A4.9/5.0
Behavior5/5

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

Annotations declare readOnly, openWorld, idempotent, non-destructive. The description adds extensive behavioral context: how size_usd is interpreted differently for buys vs sells and single vs basket mode, the list of outputs (slippage_pp, capture_ratio, thin_legs, forced_directional_risk), and the risk of partial fills. No contradiction with annotations; it enriches them.

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

Conciseness5/5

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

Long but well-organized with ALL-CAPS section markers (REQUIRES, SINGLE-MARKET, BASKET, USE THIS) that make it scannable. Every sentence carries technical meaning—no filler, no repetition of schema/annotations—and the structured format earns the length.

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?

The tool is complex with two modes and no output schema, yet the description thoroughly covers inputs, outputs, edge cases (thin_legs, forced_directional_risk), and failure modes. It even explains the significance of partial fills and stranded positions, giving the agent a complete mental model of the tool's behavior and limitations.

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 already covers all 4 parameters with detailed descriptions (100% coverage). The description further clarifies semantics: size_usd is 'max spend on buys, target proceeds on sells' in single-market, and 'settlement notional S (shares per leg)' in basket mode. It also explains the auto-side default for baskets, adding value beyond the schema.

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

Purpose5/5

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

The description opens with a specific verb+resource: 'Realizable-vs-theoretical edge check against live CLOB order-book depth.' It clearly distinguishes the two modes (single-market vs basket) and explicitly connects itself to sibling tools (polymarket_arbitrage, polymarket_edges) by positioning as a pre-trade validation step.

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

Usage Guidelines5/5

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

Provides explicit when-to-use criteria: 'USE THIS before acting on any polymarket_arbitrage SELL/BUY-EVERY-LEG signal or any polymarket_edges trade above ~$500.' It also explains the rationale (theoretical overround on thin books is not capturable, partial basket fills convert arb into unhedged directional position), effectively guiding agent decision-making.

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

A3.6/5.0
Disambiguation2/5

Several tools have heavily overlapping purposes: ask_pipeworx and ask_pipeworx_beta are explicitly identical, ask_pipeworx_grounded and deep_research blur the query/research boundary, and the polymarket_* family plus bet_research all target prediction-market analysis. An agent would frequently struggle to pick the correct tool among these near-duplicates.

Naming Consistency3/5

All names are snake_case, but the verb/noun style is inconsistent: get_* for flight lookups, ask_* for queries, noun-style names like entity_profile and bet_research, and the polymarket_* prefix group. Some subgroups are internally consistent, but there is no single predictable pattern across the set.

Tool Count2/5

36 tools is far too many for a server named 'flights' — only 5 tools actually relate to aviation, while the rest span prediction markets, SEC/FDA data, npm packages, memory, and feedback. Even viewed as a general data platform, the count is heavy and the scope is unfocused.

Completeness2/5

For a flights server, the surface is severely incomplete: no scheduled flight status, delays, cancellations, or airport schedules — only live ADS-B snapshots. For the broader data-research domain the tools imply, coverage is better but still scattered, with no coherent lifecycle and several one-off utilities that don't connect to the rest.