I'm going to let you all in on a little secret portfolio that will get you easy gains with minimal downside risk.
AMT
EQIX
MA
NEE
LMT
BAH
SPGI
BIPC
HD
TREX
ABBV
AMGN
LLY
NVO
CDNS
ASML
NVDA
GDS
NTES
TCEHY
BABA
MSFT
AMZN
FB
AAPL
LRCX
KLAC
AMAT
LULU
VRTX
There you go. All the diversification you need and easy 20-30% CAGR. Don't buy boomershit. Don't buy zoomershit. This is the 300IQ portfolio of the future.
>inb4 this has too high P/E
kys r*ddit
>inb4 this has low dividends
kys boomer (total return is all that matters [buybacks >>> dividends])
>inb4 this doesn't have X zoomershit (SNAP, ZM, FSLY)
kys zoomer
Now, you can always add another asset class on top of this (gold, miners, long volatility, leveraged LTT, btc) per your own asset allocation strategy. But these are the only equities you will need for at least the next 10 years. Do NOT come crying when your boomernigger oilshit returns 5% CAGR or your zoomertranny WEEDSTOXXX go chapter 11.