Being in the market for 4 decades successfully having achieved a minimum of 25% CAGR, I would advise you not to have more than 15-20 stocks in your portfolio otherwise it will be difficult for you to track each & every company which is your portfolio. Further by spreading your portfolio with 100 odd companies, you are diluting your return since over all return depends on the performance of 100 odd companies in place of say 15 companies.
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