For fun, I took a textbook (risk/return) approach with an efficient frontier analysis. This would make you buy these stocks
$AMZN (-5,92%)
$AAPL (-4,63%)
$MSFT (-3,3%)
$GOOGL (-3,4%)
$ORCL (-3,03%) and $NVDA (-6,14%)
Do not buy the following shares:
$TSLA (-6,86%)
$NFLX (-2,08%)
$UBER (-3,78%) and with $META (-5,02%) you can argue!
I also think conservative approaches are good to strengthen his thesis - I have Amazon, Alphabet and Nvidia in my portfolio :)
