In this widely syndicated piece, William Hortz of the Institute for Innovation Development highlights how Intech is helping to redefine how advisors think about market exposure. Rather than choosing sides in the active vs. passive debate, Intech offers a systematic approach that seeks to thrive where both strategies fall short.
The article explores:
- Why the active vs. passive framing is too limiting
- How volatility itself becomes a portfolio input
- Intech’s commitment to transparency and systematic discipline
Published across Financial Advisor Magazine, Advisorpedia, Seeking Alpha, and LinkedIn Pulse, this feature underscores growing attention to differentiated ETF strategies built on durable investment science.
“Volatility, in particular, is not just a risk to manage—it also fuels diversification and rebalancing, which can create incremental return opportunities.”
— Dr. Jose Marques, CEO, Intech
Read the article at the original sources: