You have the following information about your stock portfolio. You own 2 000 shares of Stock A which sells for $ 11 with an expected return of 3 %. You own 2 000 shares of Stock B which sells for $10 with an expected return of 6%. You own 4 000 shares of Stock C which sells for $12 with an expected return of 9%. You own 3 000 shares of Stock D which sells for $ 8 with an expected return of 13 %. What is the expected return on your portfolio? Show your answer to the nearest .01%.