Gorman-Rupp Company (GRC) Monthly Backtest Results crown

The data points on this monthly chart show the results of using the 10 Month SMA Double Cross strategy on this stock. Read about this strategy here. This is a long term investment strategy designed to catch major bull runs in stocks and indices then exit before the worst of a serious drawdown. It tends to work better with securites that are prone to forming valuation bubbles. To view shorter term swing trading entry signals for this stock then go here.

Key: change_history : trade entry change_history : profitable trade exit change_history : breakeven trade exit (5% loss to 5% profit) change_history : losing trade (greater than 5% loss) show_chart : 10 month simple moving average (SMA)
Hover your mouse over the labels to view more details of each trade.
*Transaction costs, taxes and dividends are excluded from these calculations. Past performance may not necessarily be a reliable guide to future performance.

 

Backtest Summary

This table summarises how profitable it would have been to have bought this stock at each monthly entry signal. The compound annual growth rate (CAGR) shows the profitability of the trade on an annualised basis.

Entry Date Exit Date Profit or Loss CAGR
02 September 2025 Trade in progress 15.60%
03 March 2025 01 April 2025 -7.14% -60.66%
01 July 2024 02 January 2025 3.76% 7.61%
01 August 2023 01 May 2024 2.82% 3.78%
04 January 2021 01 March 2022 17.05% 14.62%
01 November 2019 02 March 2020 -11.95% -31.66%
01 May 2018 01 May 2019 12.52% 12.52%
01 September 2017 01 February 2018 -3.93% -9.19%
03 January 2017 01 June 2017 -22.28% -46.06%
01 June 2016 01 August 2016 -12.99% -56.51%
01 December 2015 04 January 2016 -12.98% -77.52%
Total Return -19.52%

 

The monthly data for Gorman-Rupp Company (exchange: XNYS symbol: GRC) was last updated 27 Dec 2025 05:35. Data for this stock is available from 01 Sep 2015 - 26 Dec 2025.