You own a portfolio that has 2,860 shares of stock A, which is priced at $17.60 per share and has an expected return of 11.54%, and 3,768 shares of stock B, which is priced at $8.20 per share and has an expected return of 5.74%. The risk-free return is 2.62% and inflation is expected to be 1.91%. What is the expected real return for your portfolio?