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Why Investors Are Turning to Active Strategies

With markets facing record concentration, shifting interest-rate expectations, and ongoing geopolitical uncertainty, investors are increasingly looking beyond traditional passive strategies. In this interview, Clark Allen, Head of Products at Horizon, explains why active strategies, risk management, options, and systematic approaches are gaining attention as investors look to protect portfolios while still participating in market growth.

Clark breaks down the challenges facing investors in the current macro environment, including the uncertainty around inflation and interest rates. He explains why chasing yield can come with hidden costs and why investors should think carefully about how they use income and risk-management strategies. He also discusses the growing opportunity in active fixed-income strategies, where individual bond selection can potentially create additional sources of alpha.

The conversation also explores the limitations of “set-and-forget” quantitative strategies and why systematic models need to be continually stress-tested as market conditions evolve. Clark shares how Horizon Investments is building its active ETF platform around outcome-oriented solutions, options, derivatives, and systematic strategies designed to provide greater certainty for advisors and investors across different market environments.

As investors look toward the rest of 2026, Clark also discusses the potential impact of geopolitical risks, earnings, market volatility, and the evolving rate outlook. He explains why a balanced approach and focusing on strategies designed for specific portfolio outcomes could become increasingly important in navigating the next phase of the market.

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