I have a portfolio with the following assets: [LIST_OF_ASSETS]. My investment goals are [INVESTMENT_GOALS] and my risk tolerance is [RISK_TOLERANCE]. - Can you analyze my current portfolio and suggest improvements? - How can I diversify my portfolio effectively? - What asset allocation strategy would you recommend based on my goals and risk tolerance? - Are there any alternative investments I should consider? - How can I rebalance my portfolio to maintain my desired risk level? Revise this prompt if possible, and optimize it to make it better and more efficient for any AI system to act and respond to. If possible run your optimized version.