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What is the expected return of a portfolio with two stocks that has 3,100 shares of stock A, which has a price of 25 dollars per share and an expected return of 9.4 percent, and 69,900 dollars of stock B, which has a beta of 1.59? The market has an expected return of 15.97 percent, the inflation rate is 1.53 percent, and the risk-free rate is 4.32 percent. Answer as a rate in decimal format so that 12.34% would be entered as .1234 and 0.98% would be entered as .0098.

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