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INVESTMENTS (Tables)
9 Months Ended
Sep. 30, 2014
INVESTMENTS  
The amortized cost or cost and fair value of AIG's available for sale securities and other invested assets carried at fair value
Other-Than-
AmortizedGrossGrossTemporary
Cost orUnrealizedUnrealizedFairImpairments
(in millions)CostGainsLossesValuein AOCI(a)
September 30, 2014
Bonds available for sale:
U.S. government and government sponsored entities$ 2,638$ 180$ (20)$ 2,798$ -
Obligations of states, municipalities and political subdivisions 26,699 1,557 (84) 28,172 (11)
Non-U.S. governments 21,889 955 (182) 22,662 -
Corporate debt 139,166 10,222 (1,060) 148,328 73
Mortgage-backed, asset-backed and collateralized:
RMBS 35,511 3,507 (314) 38,704 1,862
CMBS 11,959 694 (111) 12,542 218
CDO/ABS 12,058 637 (115) 12,580 50
Total mortgage-backed, asset-backed and collateralized 59,528 4,838 (540) 63,826 2,130
Total bonds available for sale(b) 249,920 17,752 (1,886) 265,786 2,192
Equity securities available for sale:
Common stock 1,323 2,268 (19) 3,572 -
Preferred stock 24 5 - 29 -
Mutual funds 719 41 (17) 743 -
Total equity securities available for sale 2,066 2,314 (36) 4,344 -
Total$ 251,986$ 20,066$ (1,922)$ 270,130$ 2,192
December 31, 2013
Bonds available for sale:
U.S. government and government sponsored entities$ 3,084$ 150$ (39)$ 3,195$ -
Obligations of states, municipalities and political subdivisions 28,704 1,122 (446) 29,380 (15)
Non-U.S. governments 22,045 822 (358) 22,509 -
Corporate debt 139,461 7,989 (2,898) 144,552 74
Mortgage-backed, asset-backed and collateralized:
RMBS 33,520 3,101 (473) 36,148 1,670
CMBS 11,216 558 (292) 11,482 125
CDO/ABS 10,501 649 (142) 11,008 62
Total mortgage-backed, asset-backed and collateralized 55,237 4,308 (907) 58,638 1,857
Total bonds available for sale(b) 248,531 14,391 (4,648) 258,274 1,916
Equity securities available for sale:
Common stock 1,280 1,953 (14) 3,219 -
Preferred stock 24 4 (1) 27 -
Mutual funds 422 12 (24) 410 -
Total equity securities available for sale 1,726 1,969 (39) 3,656 -
Total$ 250,257$ 16,360$ (4,687)$ 261,930$ 1,916

(a) Represents the amount of other-than-temporary impairments recognized in Accumulated other comprehensive income. Amount includes unrealized gains and losses on impaired securities relating to changes in the value of such securities subsequent to the impairment measurement date.

(b) At September 30, 2014 and December 31, 2013, bonds available for sale held by us that were below investment grade or not rated totaled $35.0 billion and $32.6 billion, respectively.

The fair value and gross unrealized losses on AIG's available for sale securities, aggregated by major investment category and length of time that individual securities have been in a continuous unrealized loss position
Less than 12 Months12 Months or MoreTotal
GrossGrossGross
FairUnrealizedFairUnrealizedFairUnrealized
(in millions)ValueLossesValueLossesValueLosses
September 30, 2014
Bonds available for sale:
U.S. government and government sponsored entities$ 491$ 5$ 303$ 15$ 794$ 20
Obligations of states, municipalities and political
subdivisions 924 20 1,183 64 2,107 84
Non-U.S. governments 2,074 34 2,213 148 4,287 182
Corporate debt 14,653 239 14,521 821 29,174 1,060
RMBS 3,849 72 4,432 242 8,281 314
CMBS 956 6 2,483 105 3,439 111
CDO/ABS 2,937 33 1,770 82 4,707 115
Total bonds available for sale 25,884 409 26,905 1,477 52,789 1,886
Equity securities available for sale:
Common stock 116 13 7 6 123 19
Preferred stock 5 - - - 5 -
Mutual funds 282 12 70 5 352 17
Total equity securities available for sale 403 25 77 11 480 36
Total$ 26,287$ 434$ 26,982$ 1,488$ 53,269$ 1,922
December 31, 2013
Bonds available for sale:
U.S. government and government sponsored entities$ 1,101$ 34$ 42$ 5$ 1,143$ 39
Obligations of states, municipalities and political
subdivisions 6,134 379 376 67 6,510 446
Non-U.S. governments 4,102 217 710 141 4,812 358
Corporate debt 38,495 2,251 4,926 647 43,421 2,898
RMBS 8,543 349 1,217 124 9,760 473
CMBS 3,191 176 1,215 116 4,406 292
CDO/ABS 2,845 62 915 80 3,760 142
Total bonds available for sale 64,411 3,468 9,401 1,180 73,812 4,648
Equity securities available for sale:
Common stock 96 14 - - 96 14
Preferred stock 5 1 - - 5 1
Mutual funds 369 24 - - 369 24
Total equity securities available for sale 470 39 - - 470 39
Total$ 64,881$ 3,507$ 9,401$ 1,180$ 74,282$ 4,687
The amortized cost and fair value of fixed maturity securities available for sale by contractual maturity
Total Fixed Maturity SecuritiesFixed Maturity Securities in a Loss
September 30, 2014Available for Sale Position Available for Sale
(in millions)Amortized CostFair Value Amortized CostFair Value
Due in one year or less$ 10,843$ 11,017$ 857$ 846
Due after one year through five years 50,274 52,949 7,038 6,926
Due after five years through ten years 65,793 69,252 14,788 14,353
Due after ten years 63,482 68,742 15,025 14,237
Mortgage-backed, asset-backed and collateralized 59,528 63,826 16,967 16,427
Total$ 249,920$ 265,786$ 54,675$ 52,789
The gross realized gains and gross realized losses from sales of AIG's available for sale securities
Three Months Ended September 30,Nine Months Ended September 30,
2014201320142013
GrossGrossGrossGrossGrossGrossGrossGross
RealizedRealizedRealizedRealizedRealizedRealizedRealizedRealized
(in millions)GainsLossesGainsLossesGainsLossesGainsLosses
Fixed maturity securities$ 118$ 21$ 516$ 26$ 528$ 65$ 2,216$ 153
Equity securities 33 4 18 6 102 10 101 15
Total$ 151$ 25$ 534$ 32$ 630$ 75$ 2,317$ 168
The fair value of AIG's other securities
September 30, 2014December 31, 2013
FairPercentFairPercent
(in millions) Value of TotalValue of Total
Fixed maturity securities:
U.S. government and government sponsored entities$ 5,258 25%$ 5,723 24%
Obligations of states, municipalities and political subdivisions 122 1 121 1
Non-U.S. governments 2 - 2 -
Corporate debt 948 4 1,169 5
Mortgage-backed, asset-backed and collateralized:
RMBS 2,166 10 2,263 10
CMBS 1,220 6 1,353 6
CDO/ABS and other collateralized* 10,665 50 11,985 51
Total mortgage-backed, asset-backed and collateralized 14,051 66 15,601 67
Other - - 7 -
Total fixed maturity securities 20,381 96 22,623 97
Equity securities 766 4 834 3
Total $ 21,147 100%$ 23,457 100%

* Includes $0.9 billion and $1.0 billion of U.S. Government agency backed ABS at September 30, 2014 and December 31, 2013, respectively.

Components of net investment income
Three Months EndedNine Months Ended
September 30,September 30,
(in millions)2014201320142013
Fixed maturity securities, including short-term investments$ 3,022$ 3,005$ 9,264$ 8,969
Equity securities 135 98 67 123
Interest on mortgage and other loans 318 292 947 862
Alternative investments* 636 288 2,108 1,892
Real estate 25 32 86 99
Other investments 25 (22) 34 59
Total investment income 4,161 3,693 12,506 12,004
Investment expenses 133 120 398 423
Net investment income$ 4,028$ 3,573$ 12,108$ 11,581

* Includes hedge funds, private equity funds, affordable housing partnerships, investments in life settlements and other investment partnerships.

Components of net realized capital gains (losses)
Three Months EndedNine Months Ended
September 30,September 30,
(in millions)2014201320142013
Sales of fixed maturity securities$ 97$ 490$ 463$ 2,063
Sales of equity securities 29 12 92 86
Other-than-temporary impairments:
Severity - - - (5)
Change in intent (14) (1) (20) (4)
Foreign currency declines (3) - (13) -
Issuer-specific credit events (31) (51) (124) (130)
Adverse projected cash flows (2) - (7) (7)
Provision for loan losses (11) (33) 9 (38)
Foreign exchange transactions 350 (276) 329 135
Derivative instruments 36 192 (302) 209
Impairments on investments in life settlements (52) (61) (139) (139)
Other 71 (20) 70 (27)
Net realized capital gains$ 470$ 252$ 358$ 2,143
Schedule of increase (decrease) in unrealized appreciation (depreciation) of available for sale securities and other investements
Three Months EndedNine Months Ended
September 30,September 30,
(in millions)2014201320142013
Increase (decrease) in unrealized appreciation (depreciation) of investments:
Fixed maturity securities$ (1,515)$ (1,696)$ 6,123$ (12,971)
Equity securities 303 189 348 180
Other investments 94 50 127 57
Total Increase (decrease) in unrealized appreciation (depreciation) of investments*$ (1,118)$ (1,457)$ 6,598$ (12,734)

* Excludes net unrealized gains attributable to businesses held for sale.

Credit impairments recognized in earnings for available for sale fixed maturity securities
Three Months EndedNine Months Ended
September 30,September 30,
(in millions)2014201320142013
Balance, beginning of period$ 3,166$ 4,236$ 3,872$ 5,164
Increases due to:
Credit impairments on new securities subject to impairment losses 13 6 35 33
Additional credit impairments on previously impaired securities 5 29 59 59
Reductions due to:
Credit impaired securities fully disposed for which there was no
prior intent or requirement to sell (116) (68) (528) (626)
Accretion on securities previously impaired due to credit* (183) (184) (544) (611)
Other - - (9) -
Balance, end of period$ 2,885$ 4,019$ 2,885$ 4,019

* Represents both accretion recognized due to changes in cash flows expected to be collected over the remaining expected term of the credit impaired securities and the accretion due to the passage of time.

Schedule of Purchased Credit Impaired (PCI) Securities, at acquisition date

* Represents undiscounted expected cash flows, including both principal and interest.

(in millions)At Date of Acquisition
Contractually required payments (principal and interest)$ 29,851
Cash flows expected to be collected* 23,983
Recorded investment in acquired securities 15,896
Schedule of Purchased Credit Impaired (PCI) Securities, at reporting date
(in millions)September 30, 2014December 31, 2013
Outstanding principal balance$ 16,883$ 14,741
Amortized cost 12,097 10,110
Fair value 13,489 11,338
Activity for accretable yield on Purchased Credit Impaired (PCI) Securities
Three Months EndedNine Months Ended
September 30,September 30,
(in millions)2014201320142013
Balance, beginning of period$ 7,042$ 5,901$ 6,940$ 4,766
Newly purchased PCI securities 358 202 1,127 1,308
Disposals - - - (60)
Accretion (223) (187) (654) (517)
Effect of changes in interest rate indices (96) 282 (327) 388
Net reclassification from non-accretable difference,
including effects of prepayments 30 405 25 718
Balance, end of period$ 7,111$ 6,603$ 7,111$ 6,603
Schedule of fair value of securities pledged to counterparties under secured financing transactions
(in millions)September 30, 2014December 31, 2013
Securities available for sale$ 2,860$ 3,837
Other securities 2,187 2,766
Schedule of fair value of securities pledged to the entity under reverse repurchase agreements
(in millions)September 30, 2014December 31, 2013
Securities collateral pledged to us$ 7,347$ 8,878
Amount sold or repledged by us 106 71