Issuer:
|
American International Group, Inc. | |
Ratings:
|
Aa2(Moodys)(stable)/AA(Standard & Poors)(negative)/AA(Fitch)(stable) | |
Type:
|
Senior Unsecured | |
Principal Amount:
|
$750,000,000 | |
Use of Proceeds:
|
General Corporate Purposes | |
Trade Date:
|
October 13, 2006 | |
Issue Date (Settlement Date):
|
October 18, 2006 (T+3) | |
Maturity Date:
|
October 18, 2016 | |
Interest Rate:
|
5.60% | |
Interest Payment Dates:
|
Semi-annually on the 18th of April and October, commencing April 18, 2007 | |
Price to Public:
|
99.909% | |
Underwriting Discount:
|
0.40% | |
All-In Price:
|
99.509% | |
Net Proceeds:
|
$746,317,500 | |
Redemption Provisions:
|
None | |
Authorized Denominations:
|
$1,000 and integral multiples of $1,000 in excess thereof | |
Managing Underwriters:
|
Lehman Brothers, Morgan Stanley, Wachovia Securities | |
Co-Managers:
|
Citigroup, Credit Suisse, Deutsche Bank, HSBC | |
CUSIP:
|
02687QBC1 |
Issuer:
|
American International Group, Inc. | |
Ratings:
|
Aa2(Moodys)(stable)/AA(Standard & Poors)(negative)/AA(Fitch)(stable) | |
Type:
|
Senior Unsecured | |
Principal Amount:
|
$600,000,000 | |
Use of Proceeds:
|
Matched Investment Program | |
Trade Date:
|
October 13, 2006 | |
Issue Date (Settlement Date):
|
October 18, 2006 (T+3) | |
Maturity Date:
|
October 18, 2011 | |
Interest Rate:
|
5.375% | |
Interest Payment Dates:
|
Semi-annually on the 18th of April and October, commencing April 18, 2007 | |
Price to Public:
|
99.965% | |
Underwriting Discount:
|
0.25% | |
All-In Price:
|
99.715% | |
Net Proceeds:
|
$598,290,000 | |
Redemption Provisions:
|
None | |
Authorized Denominations:
|
$1,000 and integral multiples of $1,000 in excess thereof | |
Managing Underwriters:
|
Lehman Brothers, Morgan Stanley, Wachovia Securities | |
Co-Managers:
|
Citigroup, Credit Suisse, Deutsche Bank Securities, HSBC | |
CUSIP:
|
02687QBE7 |
Issuer:
|
American International Group, Inc. | |
Ratings:
|
Aa2(Moodys)(stable)/AA(Standard & Poors)(negative)/AA(Fitch)(stable) | |
Type:
|
Senior Unsecured | |
Principal Amount:
|
$400,000,000 | |
Use of Proceeds:
|
Matched Investment Program | |
Trade Date:
|
October 13, 2006 | |
Issue Date (Settlement Date):
|
October 18, 2006 (T+3) | |
Maturity Date:
|
October 18, 2011 | |
Interest Rate:
|
3 Month Libor + 11 bps | |
Interest Payment Dates:
|
Quarterly on the 18th of January, April, July and October, commencing January 18, 2007 | |
Interest Reset Dates:
|
Quarterly on the 18th of January, April, July and October | |
Price to Public:
|
100.000% | |
Underwriting Discount:
|
0.25% | |
All-In Price:
|
99.750% | |
Net Proceeds:
|
$399,000,000 | |
Redemption Provisions:
|
None | |
Authorized Denominations:
|
$1,000 and integral multiples of $1,000 in excess thereof | |
Managing Underwriters:
|
Lehman Brothers, Morgan Stanley, Wachovia Securities | |
Co-Managers:
|
Citigroup, Credit Suisse, Deutsche Bank, HSBC | |
CUSIP:
|
02687QBD9 |