WallStreet ASIA is a specialized M15 scalper expert advisor by FXAutomater, tuned for narrow-range moves during the Tokyo/Sydney sessions immediately after the NY close. Delivered free as part of the PREMIUM and ULTIMATE packs of WallStreet Forex Robot 3.0 Domination, it combines broker countermeasures—spread/slippage monitoring and stealth mode—with an automatic update system and customizable lot sizing to perform under ECN conditions.

Trading Idea

WallStreet ASIA targets low-volatility windows in Asian hours by waiting for short retracements to reject and then placing tight pending orders. It captures small scalps with dynamic SL/TP, adjusts for real-time spread shifts, and suspends trading when broker spreads or slippage exceed user-defined limits.

Specifications

License

The expert advisor is provided free with the PREMIUM or ULTIMATE pack of WallStreet Forex Robot 3.0 Domination, licensed for one real account and unlimited demo accounts.

Broker Requirements and VPS

Compatible with any ECN broker; use accounts with spreads below 2.0 pips and fast execution during Asian hours.

Select a reliable ECN broker such as Tickmill, and IC Markets. We recommend TradingFX VPS VPS for uninterrupted 24/5 operation.

MT5 Version

In addition to MT4, an MT5 version is available free of charge from the developer.

User Guide

A manual with step-by-step setup, screenshots, and best-practice tips is included with the pack purchase.

Customer Support

Support is provided daily from 7 am to 7 pm GMT via email, live chat, and social media.

Future Updates

Free lifetime updates ensure session filters and protection modules evolve with market conditions.

Starting Balance

Minimum recommended deposit is USD 1 000.

Trading Account

ECN micro, mini, or standard accounts with leverage up to 1 : 500.

Operating Systems

Windows 7/8/10/11 and VPS environments supported.

Installer

Standalone point-and-click installer wizard for MT4/MT5.

Bonuses

Purchase grants four bonus expert advisor: WallStreet Recovery PRO, WallStreet ASIA, WallStreet GOLD Trader, WallStreet CRYPTO.

Refund Policy

Backed by a 60-day, no-questions-asked money-back guarantee.

Supported Currency Pairs

EURUSD, AUDUSD, EURJPY, USDJPY, USDCAD, and USDCHF

MetaTrader Chart Timeframe

M15

WallStreet ASIA's Backtests using 99% Quality Tick Data via Metatrader Strategy Tester

Fixed 1 Lot

View Full Backtest

Backtests Settings

Symbol
EURCHF (Euro vs Swiss Franc)
Period
15 Minutes (M15) 1999.01.04 15:15 - 2021.11.05 12:29
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
  • WinLargeFonts=false Magic=123654 EA_Comment="MyFxBots.com" MaxSpread=-1 Slippage=2 Auto_GMT=true Calculate_DST=true Manual_GMT_Offset=2 CS="==== Custom Settings ====" RefreshDays=6 StealthMode=true EmergencyStopDist=50 NFA=false No_Hedge=false TicksTrade=false PendingOrderDist=0 StopLimitExpire=15 StopLoss=0 TakeProfit=0 Channel_Period=0 Entry_Break=0 Exit_Distance=0 Exit_DistanceM1=0 Start_Trade_Hour=-1 End_Trade_Hour=-1 MaxDailyRange=35 UseCustomPair=false UseSettingsFrom="GBPUSD" MM="==== Risk Management ====" RecoveryMode=false FixedLots=0.01 AutoMM=3 AutoMM_Max=20 MaxAccountTrades=0 FE="==== Monday-Friday Rules ====" MondayStartHour=0 FridayExit=false LastTradeHour=19 ExitHour=20 NN="==== Notifications ====" EMAIL_Notification=false PUSH_Notification=false GRS="==== Grid System ====" Grid_System=false Grid_Max_Trades=0 Grid_Distance=0 Grid_Trade_By_Signal_Only=true Grid_Signal_Period=15 Grid_Risk_Multiplier=1 Grid_Martingale=false Grid_Take_Profit=0 Grid_Take_Profit_Money=0 Grid_Stop_Loss=0 Grid_Stop_Loss_Money=0 CloseOnlyOnProfit=false CCI_Border=100 CCI_Period=14 BS="==== Broker Spy Settings ====" BSM_Alerts=true BSM_Alert_Open_Delay=1000 BSM_Alert_Open_Slippage=2 BSM_Alert_StopLimit_Delay=1000 BSM_Alert_StopLimit_Slippage=2 BSM_Alert_Close_Delay=1000 BSM_Alert_Close_Slippage=2
Bars in test
7853985
Ticks modelled
15253144
Modelling quality
90.00%
Initial Deposit
$2000.00
Spread
20

Backtests Results

Total net profit
461197.03
Gross profit
505404.39
Gross loss
-44207.36
Profit factor
11.43
Expected payoff
75.80
Absolute Bal DD
0.00
Maximal Bal DD
2129.53
Relative Bal DD
6.50% (218.29)
Total Trades
6084
Short positions
2477 (93.82%)
Long positions
917 (78.08%)
Profit trades
5685 (93.44%)
Loss trades
399 (6.56%)
Largest Profit trade
1292.65
Largest Loss trade
-678.87
Average Profit trade
88.90
Average Loss trade
-110.80
Maximum consecutive wins (profit in money)
4 (-1586.83)
Maximum consecutive losses (loss in money)
5 (-905.95)
Maximal consecutive profit (count of wins)
60092.55 (454)
Maximal consecutive loss (count of losses)
-1586.83 (4)
Avarage consecutive wins
16
Avarage consecutive losses
1

Fixed 1 Lot

View Full Backtest

Backtests Settings

Symbol
GBPCHF (Great Britain Pound vs Swiss Franc)
Period
15 Minutes (M15) 1999.01.13 13:45 - 2021.11.05 12:02
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
  • WinLargeFonts=false Magic=123654 EA_Comment="MyFxBots.com" MaxSpread=-1 Slippage=2 Auto_GMT=true Calculate_DST=true Manual_GMT_Offset=2 CS="==== Custom Settings ====" RefreshDays=6 StealthMode=true EmergencyStopDist=50 NFA=false No_Hedge=false TicksTrade=false PendingOrderDist=0 StopLimitExpire=15 StopLoss=0 TakeProfit=0 Channel_Period=0 Entry_Break=0 Exit_Distance=0 Exit_DistanceM1=0 Start_Trade_Hour=-1 End_Trade_Hour=-1 MaxDailyRange=35 UseCustomPair=false UseSettingsFrom="GBPUSD" MM="==== Risk Management ====" RecoveryMode=false FixedLots=0.01 AutoMM=0 AutoMM_Max=20 MaxAccountTrades=0 FE="==== Monday-Friday Rules ====" MondayStartHour=0 FridayExit=false LastTradeHour=19 ExitHour=20 NN="==== Notifications ====" EMAIL_Notification=false PUSH_Notification=false GRS="==== Grid System ====" Grid_System=false Grid_Max_Trades=0 Grid_Distance=0 Grid_Trade_By_Signal_Only=true Grid_Signal_Period=15 Grid_Risk_Multiplier=1 Grid_Martingale=false Grid_Take_Profit=0 Grid_Take_Profit_Money=0 Grid_Stop_Loss=0 Grid_Stop_Loss_Money=0 CloseOnlyOnProfit=false CCI_Border=100 CCI_Period=14 BS="==== Broker Spy Settings ====" BSM_Alerts=true BSM_Alert_Open_Delay=1000 BSM_Alert_Open_Slippage=2 BSM_Alert_StopLimit_Delay=1000 BSM_Alert_StopLimit_Slippage=2 BSM_Alert_Close_Delay=1000 BSM_Alert_Close_Slippage=2
Bars in test
8177552
Ticks modelled
16078103
Modelling quality
90.00%
Initial Deposit
$2000.00
Spread
50

Backtests Results

Total net profit
310339.00
Gross profit
405587.53
Gross loss
-95248.53
Profit factor
4.26
Expected payoff
171.17
Absolute Bal DD
229.49
Maximal Bal DD
3527.06
Relative Bal DD
23.66% (732.19)
Total Trades
1813
Short positions
689 (80.70%)
Long positions
917 (78.08%)
Profit trades
1495 (82.46%)
Loss trades
318 (17.54%)
Largest Profit trade
1815.84
Largest Loss trade
-1398.68
Average Profit trade
271.30
Average Loss trade
-299.52
Maximum consecutive wins (profit in money)
7 (-1792.76)
Maximum consecutive losses (loss in money)
5 (-2.65)
Maximal consecutive profit (count of wins)
17880.16 (31)
Maximal consecutive loss (count of losses)
-2857.18 (4)
Avarage consecutive wins
6
Avarage consecutive losses
1

Fixed 1 Lot

View Full Backtest

Backtests Settings

Symbol
GBPUSD (Great Britain Pound vs US Dollar)
Period
15 Minutes (M15) 1999.01.04 09:13 - 2021.11.05 15:21
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
  • WinLargeFonts=false Magic=123654 EA_Comment="MyFxBots.com" MaxSpread=-1 Slippage=2 Auto_GMT=true Calculate_DST=true Manual_GMT_Offset=2 CS="==== Custom Settings ====" RefreshDays=6 StealthMode=true EmergencyStopDist=50 NFA=false No_Hedge=false TicksTrade=false PendingOrderDist=0 StopLimitExpire=15 StopLoss=0 TakeProfit=0 Channel_Period=0 Entry_Break=0 Exit_Distance=0 Exit_DistanceM1=0 Start_Trade_Hour=-1 End_Trade_Hour=-1 MaxDailyRange=35 UseCustomPair=false UseSettingsFrom="GBPUSD" MM="==== Risk Management ====" RecoveryMode=false FixedLots=0.01 AutoMM=3 AutoMM_Max=20 MaxAccountTrades=0 FE="==== Monday-Friday Rules ====" MondayStartHour=0 FridayExit=false LastTradeHour=19 ExitHour=20 NN="==== Notifications ====" EMAIL_Notification=false PUSH_Notification=false GRS="==== Grid System ====" Grid_System=false Grid_Max_Trades=0 Grid_Distance=0 Grid_Trade_By_Signal_Only=true Grid_Signal_Period=15 Grid_Risk_Multiplier=1 Grid_Martingale=false Grid_Take_Profit=0 Grid_Take_Profit_Money=0 Grid_Stop_Loss=0 Grid_Stop_Loss_Money=0 CloseOnlyOnProfit=false CCI_Border=100 CCI_Period=14 BS="==== Broker Spy Settings ====" BSM_Alerts=true BSM_Alert_Open_Delay=1000 BSM_Alert_Open_Slippage=2 BSM_Alert_StopLimit_Delay=1000 BSM_Alert_StopLimit_Slippage=2 BSM_Alert_Close_Delay=1000 BSM_Alert_Close_Slippage=2
Bars in test
7969180
Ticks modelled
15541722
Modelling quality
90.00%
Initial Deposit
$2000.00
Spread
20

Backtests Results

Total net profit
126386.60
Gross profit
253469.40
Gross loss
-127082.80
Profit factor
1.99
Expected payoff
32.30
Absolute Bal DD
0.00
Maximal Bal DD
3140.40
Relative Bal DD
13.27% (770.20)
Total Trades
3913
Short positions
1735 (73.89%)
Long positions
755 (89.01%)
Profit trades
2843 (72.66%)
Loss trades
1070 (27.34%)
Largest Profit trade
2533.40
Largest Loss trade
-1002.00
Average Profit trade
89.16
Average Loss trade
-118.77
Maximum consecutive wins (profit in money)
5 (-1310.00)
Maximum consecutive losses (loss in money)
3 (-343.61)
Maximal consecutive profit (count of wins)
3547.20 (32)
Maximal consecutive loss (count of losses)
-1310.00 (5)
Avarage consecutive wins
4
Avarage consecutive losses
1

Fixed 1 Lot

View Full Backtest

Backtests Settings

Symbol
EURGBP (Euro vs Great Britain Pound )
Period
15 Minutes (M15) 1999.01.15 01:22 - 2021.11.05 12:38
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
  • WinLargeFonts=false Magic=123654 EA_Comment="MyFxBots.com" MaxSpread=-1 Slippage=2 Auto_GMT=true Calculate_DST=true Manual_GMT_Offset=2 CS="==== Custom Settings ====" RefreshDays=6 StealthMode=true EmergencyStopDist=50 NFA=false No_Hedge=false TicksTrade=false PendingOrderDist=0 StopLimitExpire=15 StopLoss=0 TakeProfit=0 Channel_Period=0 Entry_Break=0 Exit_Distance=0 Exit_DistanceM1=0 Start_Trade_Hour=-1 End_Trade_Hour=-1 MaxDailyRange=35 UseCustomPair=false UseSettingsFrom="GBPUSD" MM="==== Risk Management ====" RecoveryMode=false FixedLots=0.01 AutoMM=0 AutoMM_Max=20 MaxAccountTrades=0 FE="==== Monday-Friday Rules ====" MondayStartHour=0 FridayExit=false LastTradeHour=19 ExitHour=20 NN="==== Notifications ====" EMAIL_Notification=false PUSH_Notification=false GRS="==== Grid System ====" Grid_System=false Grid_Max_Trades=0 Grid_Distance=0 Grid_Trade_By_Signal_Only=true Grid_Signal_Period=15 Grid_Risk_Multiplier=1 Grid_Martingale=false Grid_Take_Profit=0 Grid_Take_Profit_Money=0 Grid_Stop_Loss=0 Grid_Stop_Loss_Money=0 CloseOnlyOnProfit=false CCI_Border=100 CCI_Period=14 BS="==== Broker Spy Settings ====" BSM_Alerts=true BSM_Alert_Open_Delay=1000 BSM_Alert_Open_Slippage=2 BSM_Alert_StopLimit_Delay=1000 BSM_Alert_StopLimit_Slippage=2 BSM_Alert_Close_Delay=1000 BSM_Alert_Close_Slippage=2
Bars in test
7816702
Ticks modelled
15182476
Modelling quality
90.00%
Initial Deposit
$2000.00
Spread
20

Backtests Results

Total net profit
125068.90
Gross profit
176587.14
Gross loss
-51518.24
Profit factor
3.43
Expected payoff
43.81
Absolute Bal DD
0.00
Maximal Bal DD
4723.97
Relative Bal DD
9.41% (322.41)
Total Trades
2855
Short positions
1194 (86.68%)
Long positions
755 (89.93%)
Profit trades
2474 (86.65%)
Loss trades
381 (13.35%)
Largest Profit trade
1540.80
Largest Loss trade
-1306.88
Average Profit trade
71.38
Average Loss trade
-135.22
Maximum consecutive wins (profit in money)
4 (-702.97)
Maximum consecutive losses (loss in money)
3 (-6.73)
Maximal consecutive profit (count of wins)
10872.33 (108)
Maximal consecutive loss (count of losses)
-1377.62 (3)
Avarage consecutive wins
8
Avarage consecutive losses
1

Fixed 1 Lot

View Full Backtest

Backtests Settings

Symbol
GBPCAD (Great Britan Pound vs Canadian Dollar)
Period
15 Minutes (M15) 2007.08.21 12:28 - 2021.11.05 15:44
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
  • WinLargeFonts=false Magic=6589756 EA_Comment="MyFxBots.com" MaxSpread=40 Slippage=20 StealthMode=true EmergencyStopDist=2000 CloseOnlyOnProfit=false NFA=false No_Hedge=false CS="==== Custom Settings ====" RefreshDays=6 PendingOrderDist=0 StopLimitExpire=15 StopLoss=0 TakeProfit=0 SecureProfit=0 SecureProfitTriger=0 MM="==== Risk Management ====" RecoveryMode=false FixedLots=0.01 AutoMM=3 AutoMM_Max=20 MaxAccountTrades=0 MaxAccountDD=0 FE="==== Monday-Friday Rules ====" MondayStartHour=0 FridayExit=false LastTradeHour=19 ExitHour=20 GS="==== GMT Settings ====" AutoGMT_Offset=true ManualGMT_Offset=2 DST_Usage=true NF="==== News Filter Settings ====" Avoid_News=false Include_Medium_News=true Wait_Before_News=30 Wait_After_News=30 TM="==== Time Management Settings ====" MondayTrading=true MondayHoursForbidden="" TuesdayTrading=true TuesdayHoursForbidden="" WednesdayTrading=true WednesdayHoursForbidden="" ThursdayTrading=true ThursdayHoursForbidden="" FridayTrading=true FridayHoursForbidden="" SaturdayTrading=true SundayTrading=true NN="==== Notifications ====" EMAIL_Notification=false PUSH_Notification=false BS="==== Broker Spy Settings ====" BSM_Alerts=true BSM_Alert_Open_Delay=1500 BSM_Alert_Open_Slippage=10 BSM_Alert_StopLimit_Delay=1500 BSM_Alert_StopLimit_Slippage=10 BSM_Alert_Close_Delay=1500 BSM_Alert_Close_Slippage=10
Bars in test
5241639
Ticks modelled
10442189
Modelling quality
90.00%
Initial Deposit
$2000.00
Spread
50

Backtests Results

Total net profit
110079.74
Gross profit
182348.11
Gross loss
-72268.38
Profit factor
2.52
Expected payoff
62.62
Absolute Bal DD
107.09
Maximal Bal DD
2559.13
Relative Bal DD
19.74% (465.62)
Total Trades
1758
Short positions
628 (71.34%)
Long positions
319 (88.40%)
Profit trades
1330 (75.65%)
Loss trades
428 (24.35%)
Largest Profit trade
1711.40
Largest Loss trade
-854.12
Average Profit trade
137.10
Average Loss trade
-168.85
Maximum consecutive wins (profit in money)
5 (-939.92)
Maximum consecutive losses (loss in money)
2 (-4738.05)
Maximal consecutive profit (count of wins)
3663.42 (25)
Maximal consecutive loss (count of losses)
-1431.40 (3)
Avarage consecutive wins
4
Avarage consecutive losses
1

WallStreet ASIA's Trading Strategy

  • Time Filter: trades only during specified Asian session hours
  • Scalping Logic: identifies narrow-range retracements after NY session close
  • Pending Orders: places optimized buy/sell limits around micro support/resistance
  • Broker Countermeasures: monitors spreads, slippage, execution delays; activates stealth mode
  • Real-Time Updates: auto-downloads parameter files from the developer’s server
  • Adjustable Lot Sizing: user-configurable AutoMM percentage of account balance
  • SL/TP Protection: tight stops and early profit exits
  • Spread Surveillance: disables trades when spreads exceed thresholds

Review Conclusion

WallStreet ASIA delivers a focused Asian-session scalping expert advisor with robust broker-protection features and real-time updates. As a bonus EA in the WallStreet Forex Robot 3.0 Domination pack, it’s best suited to experienced traders running ECN accounts with tight spreads and disciplined risk control.

Risk

Forex trading can involve the risk of loss beyond your initial deposit. It is not suitable for all investors and you should make sure you understand the risks involved, seeking independent advice if necessary.

Forex accounts typically offer various degrees of leverage and their elevated profit potential is counterbalanced by an equally high level of risk. You should never risk more than you are prepared to lose and you should carefully take into consideration your trading experience.

Past performance and simulated results are not necessarily indicative of future performance. All the content on this site represents the sole opinion of the author and does not constitute an express recommendation to purchase any of the products described in its pages.