How is EMAP different?
Unlike stockbrokers who pitch “hot stocks” and the latest fads in the hopes of “getting rich quick”, EMAP is based on solid academic research, backed by decades of time-tested, proven investment strategies. Each EMAP portfolio encompasses as many as 19 distinct asset classes and market sectors, carefully balanced to help you reduce the risk of loss should any given segment of the financial markets perform poorly while providing you with the opportunity to enjoy the profits offered by the overall investment world. Our asset allocation approach is based on advanced academic research, which has been proven for decades, and includes a substantial amount of Nobel-prize-winning studies — from Modern Portfolio Theory and the Efficient Frontier to the Fama-French Three Factor Model and the latest discoveries in Behavioral Finance. Note: Diversification is used to control degree of risk and does not ensure positive portfolio returns.