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Stock A has an expected return of 11%. Stock B has an expected return of 17%. The beta for Stock A is .6 and the

Stock A has an expected return of 11%. Stock B has an expected return of 17%. The beta for Stock A is .6 and the beta for Stock B is 1.3. If a portfolio of these 2 stocks has an expected return of 14.75%, what is the portfolio weight of Stock B?

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