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Institutional Investment Manager
AMERICAN INTERNATIONAL GROUP, INC.
AMERICAN INTERNATIONAL GROUP, INC. (CIK: 0000005272) incorporated in Delaware, registered under Fire, Marine & Casualty Insurance, located at 1271 Ave Of The Americas, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Original 13F HR (0000950123-15-008672) filed in 2015.08.12
#
Name
Shares
Value ($)
%
Options
Notes
701 BEST BUY INC 173,082 5,644,204 0.02%
702 REPUBLIC SVCS INC 144,021 5,641,303 0.02%
703 WASHINGTON FED INC COM 241,388 5,636,410 0.02%
704 Con-Way Inc 146,693 5,628,610 0.02%
705 HEALTH CARE SELECT SECTOR SPDR FUND 75,656 5,628,079 0.02%
706 CONOCOPHILLIPS 91,634 5,627,260 0.02%
707 Plantronics, Inc. 99,689 5,613,488 0.02%
708 KBR INC 287,895 5,608,195 0.02%
709 TCF Financial Corp 337,126 5,599,663 0.02%
710 BERKSHIRE HATHAWAY B NEW 41,098 5,593,849 0.02%
711 VALMONT INDUSTRIES INC. COM 46,994 5,586,177 0.02%
712 STARWOOD HOTELS & RESORTS WORLDWIDE INC COM 68,722 5,572,667 0.02%
713 SILICON LABORATORIES INC 102,859 5,555,415 0.02%
714 PATTERSON-UTI ENERGY INC COM 295,105 5,552,401 0.02%
715 VANGUARD WHITEHALL FDS INC 82,346 5,543,560 0.02%
716 AVON PRODS INC 885,468 5,543,030 0.02%
717 RYDEX ETF TRUST GUG S&P MC400 PG 41,842 5,535,762 0.02%
718 J M SMUCKER CO 51,061 5,535,523 0.02%
719 SCIENCE APPLICATNS INTL CP N 104,542 5,525,045 0.02%
720 PENTAIR PLC 80,156 5,510,725 0.02%
721 LAM RESEARCH CORP 67,353 5,479,167 0.02%
722 Compass Minerals International 66,700 5,478,738 0.02%
723 EQT CORP 67,278 5,472,393 0.02%
724 OWENS & MINOR INC NEW COM 160,685 5,463,290 0.02%
725 GENERAL ELECTRIC COMPANY 205,373 5,456,766 0.02%
726 POWERSHS QQQ TRUST SER 50,953 5,455,538 0.02%
727 KATE SPADE & CO 252,923 5,447,961 0.02%
728 Rollins Inc 190,585 5,437,390 0.02%
729 VERIZON COMMUNICATIONS 116,392 5,425,044 0.02%
730 JDS UNIPHASE CORP COM PAR 0.001 467,302 5,411,357 0.02%
731 NORDSTROM INC 72,605 5,409,073 0.02%
732 SELECT SECTOR SPDR TR 71,963 5,408,739 0.02%
733 Lifepoint Hospitals Inc 122,336 5,407,251 0.02%
734 AKAMAI TECHNOLOGIES INC 77,439 5,406,791 0.02%
735 Kennametal Inc 158,216 5,398,330 0.02%
736 COCA COLA COMPANY 137,376 5,389,246 0.02%
737 AGILENT TECHNOLOGIES 139,538 5,383,376 0.02%
738 BOSTON BEER INC 23,200 5,382,168 0.02%
739 TECH DATA CORP 93,470 5,380,133 0.02%
740 AES CORP 405,060 5,371,096 0.02%
741 MATTEL INC 208,891 5,366,410 0.02%
742 DAVITA INC 67,356 5,352,781 0.02%
743 ISHARES TR 37,373 5,348,812 0.02%
744 A T & T INC NEW 150,066 5,330,357 0.02%
745 OLIN CORP 197,306 5,317,397 0.02%
746 EQUINIX INC 20,850 5,295,900 0.02%
747 Advent Software Inc. 119,665 5,290,390 0.02%
748 DOMTAR CORP 127,738 5,288,353 0.02%
749 SELECT SECTOR SPDR TR 97,592 5,275,838 0.02%
750 DISNEY WALT CO 46,139 5,266,282 0.02%
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