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American Economic Review Vol. 92 No. 4 2002

Savings and Portfolio Choice in a Two-Period Two-Asset Model

Saku Aura1; Peter Diamond2; John Geanakoplos3

1 Department of Economics, University of Missouri, 118 Professional Building, Columbia, MO 65201. · 2 Department of Economics, E52-344, MIT, 50 Memorial Drive, Cambridge, MA 02142. · 3 Cowles Foundation for Research in Economics, Yale University, Box 208281, New Haven, CT 06520-8281.

Abstract

Savings and Portfolio Choice in a Two-Period Two-Asset Model by Saku Aura, Peter Diamond and John Geanakoplos. Published in volume 92, issue 4, pages 1185-1191 of American Economic Review, September 2002

DOI
10.1257/00028280260344713
Volume
92
Issue
4
Pages
1185-1191
Language
en
Sources
bibtex:phds-export.bib crossref openalex

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