Emperor Asset Management has adopted a data-driven, algorithmic approach to investing that does not rely on human judgment and can be objectively tested and affirmed using historical data. It also allows us to bypass the expensive traditional model that requires teams of specialists on the ground to analyze and evaluate individual companies. This coupled with strategies that combine low-cost index-tracking ETFs and a proprietary active asset management process that is driven by algorithmic analysis of the market, makes your ascent more affordable, and precisely measured. This approach isn’t just applicable to South African markets. It is a universal approach that covers markets in the US, UK, Europe, Asia and elsewhere.