Forex-Kitty v1.20
A regime-switching grid EA for MetaTrader 5 β five validated FX pairs, one engine.
Single license
190.00 CHF (229.00 USD)
Buy nowone-time payment Β· pay in the currency of your choice
- 1 live account + 5 demo accounts
- All 6 set files included (5 pairs + $5,000 starter)
- Lifetime license, free updates
5-license pack
590.00 CHF (719.00 USD)
Buy nowone-time payment Β· save 38% Β· pay in the currency of your choice
- 5 live accounts + 20 demo accounts
- All 6 set files included (5 pairs + $5,000 starter)
- Lifetime license, free updates
Full package (EA, all 5 set files, PDF guide) β no license needed to back-test in the MetaTrader Strategy Tester. A license is only required to trade live or on a demo account.
We accept crypto payments (USDT and 300+ coins); card payments are coming soon.
Already got a license key? Redeem it here to access your Customer Area.
What you get
π¦ The EA
Forex-Kitty .ex5 for MetaTrader 5 with English parameter descriptions and on-chart dashboard.
βοΈ 5 set files
Calibrated configurations for all five validated pairs β load and go, separate magic numbers for parallel use.
π§ͺ Test freely
No license needed for the MetaTrader Strategy Tester β back-test every pair and set file before you register a live account.
π Lifetime license
One-time purchase, free updates.
Single license: 1 live + 5 demo accounts.
5-pack: 5 live + 20 demo accounts.
All managed in your Customer Area.
How it trades
Forex-Kitty never guesses. An ADX gatekeeper on M15 decides which market regime is active: in trend mode it waits for EMA-fan pullbacks with rejection candles; in range mode it trades Bollinger re-entries confirmed by RSI. Signals are evaluated on closed bars only and executed as direct market orders.
Positions are managed as a basket: a volume-weighted take-profit with an escape mode when the trend breaks, a waterfall reduction where the best winner pays off the worst losers, and grid additions that require a fresh signal β never blind averaging at fixed intervals. All targets are cost-adjusted: the current spread is added on top, so the full target always remains net.
Money Pot (new in v1.10): once account drawdown crosses a set threshold, realised profits are set aside into a reserve instead of being booked straight to balance. From a higher threshold that reserve is spent to pay down the position furthest from price — in the smallest tradable steps, strictly balance-neutral. The strategy de-risks itself using its own winnings, and still never places a stop-loss.
Backtest results (100% real ticks, 18 months, 0.1 lot ladder)
| Pair / Config | Net result | Max equity DD (peak-to-trough) | Profit factor |
|---|---|---|---|
| USDCHF (grid 50, 10k) | +268% | 30.1% | 1.70 |
| EURUSD (grid 150, 10k) | +208% | 26.5% | 1.73 |
| EURCAD (grid 50, 15k) | +181% | 45.2% | 1.48 |
| NZDCAD (grid 100, 15k) | +87% | 31.1% | 1.92 |
| EURGBP (grid 150, 10k) | +78% | 40.6% | 1.70 |
January 2025 – July 2026, 100% real tick data, deposits as recommended per set file. Past performance does not guarantee future results. Grid systems trade without stop-loss and can produce substantial drawdowns.
Verified results, pair by pair
Balance ■ and equity ■ over 18 months (January 2025 – July 2026), logged hourly during MetaTrader 5 Strategy Tester runs on 100% real tick data β exactly the configurations and account sizes recommended in the included set files, each with its own magic number for parallel operation. Shaded bands mark the market events that stressed the equity; drawdowns are honest peak-to-trough figures. Execution-delay robustness (0 ms vs. 100 ms) was verified separately with identical results.
USDCHF β Grid 50 Β· the champion Β· 10k
USDCHF’s calm, mean-reverting character supports the tightest grid of the family β made possible by cost-adjusted targets that add the live spread to every take-profit.
The shaded stress phases: the late-January 2025 risk-off wave into the safe-haven franc (β30%) and the April 2025 tariff turmoil (β27%) β both absorbed and fully recovered within days.
| Net result | Max equity DD | Profit factor | Trades | Win rate | Recovery |
|---|---|---|---|---|---|
| +26,831 (+268%) | 30.1% | 1.70 | 2,801 | 71.2% | 4.31 |
EURUSD β Grid 150 Β· the flagship Β· 10k
The most liquid pair in the world, traded with the widest grid of the family. Best balance of return, drawdown and recovery β the reference configuration.
Its hardest tests: the March 2025 euro surge after Germany’s fiscal-package announcement (β27%) and a trending spell in March 2026 (β22%) β both recovered within roughly two weeks.
| Net result | Max equity DD | Profit factor | Trades | Win rate | Recovery |
|---|---|---|---|---|---|
| +20,805 (+208%) | 26.5% | 1.73 | 1,670 | 66.3% | 3.39 |
EURCAD β Grid 50 Β· the workhorse Β· 15k
High trade frequency and steady basket cycles make it the volume producer of the portfolio β sized at 15k because its temperament is the wildest of the five.
The deepest valley of the whole family came here: the January 2025 Canada tariff scare (β45%), followed by the April 2025 turmoil (β38%). Both grids were worked off completely β visible in the balance line that never stops climbing.
| Net result | Max equity DD | Profit factor | Trades | Win rate | Recovery |
|---|---|---|---|---|---|
| +17,396 (+181%) | 45.2% | 1.48 | 3,360 | 71.9% | 1.92 |
NZDCAD β Grid 100 Β· the discovery Β· 15k
Found during a dedicated research sweep of range-bound markets. Quiet oscillation, patient entries β and the best profit factor of the family (1.92).
Stress came from the April 2025 tariff turmoil and a slow trend phase in early 2026 (β31% each) β worked off in both cases without a single realised loss cycle.
| Net result | Max equity DD | Profit factor | Trades | Win rate | Recovery |
|---|---|---|---|---|---|
| +12,691 (+87%) | 31.1% | 1.92 | 1,225 | 69.5% | 1.75 |
EURGBP β Grid 150 Β· the range specialist Β· 10k
The calmest pair of the family with the fewest, most selective trades and patient basket cycles.
Its single deepest test was a quiet directional summer phase in July 2025 (β41%) β the grid sat through it and resumed harvesting in August.
| Net result | Max equity DD | Profit factor | Trades | Win rate | Recovery |
|---|---|---|---|---|---|
| +7,849 (+78%) | 40.6% | 1.70 | 594 | 63.5% | 1.49 |
Requirements
- MetaTrader 5, hedging account (any broker; developed and tested on XM)
- Recommended: 10,000 USD (or equivalent / cent account) per pair at the 0.1 base lot β scale lots to your balance
- License check requires https://kitty-ea.net in the terminal's allowed WebRequest URLs
- VPS recommended for 24/5 operation