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Cash Cow Signal Real Account Visit site

Updated: 14 hours ago
+2.35% WEEKLY. 105.3 weeks
  • Average Pips per Week:
    +63 (Gross Pips: +6,589)
  • Average P/L per Week:
    +2.35% (Gross P/L: +1,050.17%) Including Net Withdrawal of 5,100
  • Maximum Equity used:
    18.13% (Nov 13, 2016, 2:58:00 AM)
  • Test started:
    Feb 12, 2016 (Running 105.3 weeks)


2016-03-23: Cash Cow Signal Real Test started with help of Investor Access.

Description from product owner: Cash Cow is a combination of custom algorithmic trading strategies with occasional manual trading. 98% of our trading is based on Mean Reversion, using a semi-automated algorithm that uses a dynamic trade size. We trade nearly every pair using the USD, EUR, GBP, CHF, AUD, NZD and JPY. It is typical for us to have up to forty open trades at any given time. Our trade size is typically between 0.01 – 0.25 lots per $20,000. We recommend a minimum account balance of $6,000 to receive the Cash Cow Signal. $20,000 is the ideal level of capital to receive all of our trades and to trade with the same risk our signal account. You can trade with less capital if you are fine with using higher risk than our signal account. Cash Cow targets a 5% monthly return while limiting our monthly loss to a maximum of 7%. This means that if our equity drops 7% in the course of the month, we will stop trading until the following month. This feature gives our subscribers peace of mind that our losses will be limited, while our monthly earnings remain unlimited. In order to receive our signal, it is important that your broker allows micro lots (trades of 0.01 size). We also recommend you choose a broker with low spreads, reasonable commission costs and a leverage of 50:1 or higher.

The FPA appreciates CashCowSignal.com sharing their signals Live performance with ForexPeaceArmy.com traders community!

Statement Fort Financial Services Ltd.

  • Account:
    *hidden*
  • Name:
    CashCowSignal Real Test by ForexPeaceArmy
  • Currency:
    USD
  • Date:
    Feb 18, 2018


Closed Transactions:

TicketOpen TimeTypeSizeItemPrice OpenS / LT / PClose TimePrice CloseCommissionTaxesSwapProfitPips
446700102016-02-12 01:23balanceTT#126224: 448762->4523575,000.000
447929582016-02-12 18:45buy0.02eurchff1.097600.000000.000002016-02-12 21:501.098450.000.000.001.749
447959942016-02-12 19:05buy0.02eurchff1.096740.000000.000002016-02-12 21:501.098470.000.000.003.5517
447589172016-02-12 16:00buy0.02nzdusdf0.664030.000000.000002016-02-15 05:100.664820.000.000.001.588
447622492016-02-12 16:15buy0.02nzdusdf0.662120.000000.000002016-02-15 05:100.664820.000.000.005.4027
448334642016-02-15 05:35sell0.02chfjpyf116.280.000.002016-02-15 10:00115.860.000.000.007.3942
View full statement
984322552018-02-16 06:15sell0.05audusdf0.796760.898460.000002018-02-16 12:550.796310.000.000.002.255
984429122018-02-16 10:20sell0.05audusdf0.798430.898460.000002018-02-16 12:550.796310.000.000.0010.6021
983276382018-02-14 20:25buy0.05usdsgdf1.314491.206180.000002018-02-16 14:301.310730.000.000.00-14.34-38
983637932018-02-15 09:25buy0.05usdsgdf1.311661.206180.000002018-02-16 14:301.310730.000.000.00-3.55-9
984164242018-02-15 22:40buy0.05usdsgdf1.308821.206180.000002018-02-16 14:301.310720.000.000.007.2519
984323172018-02-16 06:15buy0.05usdsgdf1.306201.206180.000002018-02-16 14:301.310700.000.000.0017.1745
984476752018-02-16 11:50sell0.05audjpyf84.5994.590.002018-02-16 15:4584.240.000.000.0016.4235
 0.000.000.001,069,261.626,589
 Closed P/L:1,069,261.62 

Open Trades:

TicketOpen TimeTypeSizeItemPrice OpenS / LT / P PriceCommissionTaxesSwapProfitPips
Hidden by owner to prevent copying
 0.000.000.00-81.34-209
 Floating P/L:-81.34 

Working Orders:

TicketOpen TimeTypeSizeItemPrice OpenS / LT / PMarket Price 
Hidden by owner to prevent copying


Summary:

Deposit/Withdrawal:-5,100.00Credit Facility:0.00  
Closed Trade P/L:1,069,261.62Floating P/L:-81.34Margin:760.32
Balance:1,064,161.62Equity:1,064,080.28Free Margin:1,063,319.96

Details:

Gross Profit:1,159,958.30Gross Loss:-90,696.68Total Net Profit:1,069,261.62
Profit Factor:-12.79Expected Payoff:118.94
Absolute Drawdown:0.00Maximal Drawdown:30,414.00 (67.50%)Relative Drawdown:60.76% (30,414.00)
Total Trades:8990Short Positions (won %):4545 (63.01%)Long Positions (won %):4445 (61.71%)
Profit Trades (% of total):5607 (62.37%)Loss trades (% of total):3383 (37.63%)
Largestprofit trade:58,382.20loss trade:-4,248.06
Averageprofit trade:206.88loss trade:-26.81
Maximumconsecutive wins ($):29 (140.94)consecutive losses ($):19 (-989.74)
Maximalconsecutive profit (count):58,382.20 (1)consecutive loss (count):-4,248.06 (1)
Averageconsecutive wins:4consecutive losses:3

Analytics

Trading Instruments

Maximum Equity Usage Recorded, 67.50%

Recorded on Feb 16, 2018 3:45:01 PM Broker Time

Average trade length: 41 hours, 44 minutes, 15 seconds

Average trades opened daily/weekly/monthly: 24/172/749

Trading Days of the Month

Trading Days of the Week

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