Dark
Light
System
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
251 ARCHER DANIELS MIDLAND CO 259,381 12,507,352 0.05%
252 AT&T INC 351,760 12,494,515 0.05%
253 DOMINOS PIZZA INC 109,353 12,400,630 0.05%
254 TRIMBLE INC 528,221 12,392,065 0.05%
255 TOLL BROTHERS INC 323,564 12,356,909 0.05%
256 AIR PRODS & CHEMS INC 89,840 12,292,807 0.05%
257 MACYS INC 181,778 12,264,562 0.05%
258 PACKAGING CORP AMER 196,262 12,264,412 0.05%
259 PACCAR INC 191,355 12,210,363 0.05%
260 MYLAN N V 179,619 12,188,945 0.05%
261 BAKER HUGHES INC 196,968 12,152,926 0.05%
262 IDEX CORP 154,527 12,142,732 0.05%
263 VALSPAR CORP 148,240 12,128,997 0.05%
264 SEMPRA ENERGY 120,748 11,946,807 0.05%
265 DELTA AIRLINES INC DEL 290,658 11,940,231 0.05%
266 Spectra Energy Corp Com 364,909 11,896,033 0.05%
267 IDEXX LAB 185,432 11,893,608 0.05%
268 CARDINAL HEALTH INC 141,962 11,875,121 0.05%
269 UGI CORP NEW 344,265 11,859,929 0.05%
270 KILROY RLTY CORP COM 175,731 11,800,337 0.05%
271 B/E AEROSPACE INC 214,807 11,792,904 0.05%
272 CSX CORP 360,955 11,785,181 0.05%
273 SERVICE CORP INTL 400,390 11,783,478 0.05%
274 DELPHI AUTOMOTIVE PLC 138,149 11,755,098 0.05%
275 FORTINET INC 282,209 11,663,698 0.05%
276 HUMANA INC 60,945 11,657,560 0.05%
277 WASTE CONNECTIONS INC COM 247,203 11,648,205 0.05%
278 S&P GLOBAL INC 115,858 11,637,936 0.05%
279 VIACOM INC NEW 179,593 11,608,892 0.05%
280 HCA HOLDINGS INC 127,905 11,603,542 0.05%
281 PPL CORP 393,687 11,601,956 0.05%
282 ISHARES TR 109,856 11,571,132 0.05%
283 APPLIED MATLS INC 599,144 11,515,548 0.05%
284 HUBBELL INC CLASS B 106,287 11,508,756 0.05%
285 FIRST TR EXCH TRD ALPHA FD I 370,835 11,481,058 0.05%
286 CADENCE DESIGN SYSTEM INC 579,868 11,400,205 0.04%
287 ZEBRA TECHNOLOGIES CORPORATION CL A 102,482 11,380,626 0.04%
288 OGE ENERGY CORP 398,302 11,379,488 0.04%
289 PRAXAIR INC 94,815 11,335,133 0.04%
290 ANALOG DEVICES INC 175,158 11,242,516 0.04%
291 TELEFLEX INC 82,882 11,226,367 0.04%
292 NORFOLK SOUTHERN CORP 128,289 11,207,327 0.04%
293 MANHATTAN ASSOCIATES INC 187,809 11,202,807 0.04%
294 AVNET INC 271,070 11,143,688 0.04%
295 PERRIGO CO PLC 60,177 11,122,515 0.04%
296 INTERCONTINENTAL EXCHANGE IN 49,684 11,109,839 0.04%
297 REGENCY CTRS CORP 188,249 11,102,926 0.04%
298 MARATHON PETE CORP 212,252 11,102,902 0.04%
299 FIRST TR EXCHANGE TRADED FD 567,639 11,091,666 0.04%
300 TYLER TECHNOLOGIES INC 85,711 11,089,289 0.04%
Page 6 of 238