Man let's be honest the stated phrase (from the Forbes (RUS) article) "B peзyльтaтe зa 15 днeй экcпepимeнтa мoдeльный пopтфeль выpoc нa 2.81% в вaлютe. Этo cooтвeтcтвyeт дoxoднocти 47% гoдoвыx в вaлютe. / As a result in 15 days of an experiment the model portfolio grew by 2.81%. It corresponds to profitability of 47% per annum." is a piece of shit. 2.81% profitability in half a month could be achieved if you play on the growth of bitcoin. what are the guarantees that the robot will show the same profitability during the upcomming period? How can he predict and avoid market failures, thus not loosing my money?
Or even according to the basic logic rules, if everyone or even a big part of investors (we talk about RU zone, right?) start using your software, the stategy will not be unique therefore the promised profitability will be eliminated.