Discussion Paper Savings and Portfolio Choice in a Two-Period Two-Asset Model We extend Arrow's analysis of portfolio choice in a one-period model to savings and portfolio choice in a two-period model. Abstract We extend Arrow’s analysis of portfolio choice in a one-period model to savings and portfolio choice in a two-period model. DocumentControlNumber(s) CFDP 1268 Author(s) John Geanakoplos Publication Link Savings and Portfolio Choice in a Two-Period Two-Asset Model Page Count 9 Publication Date July 2000 Revision Date May 2022