AIG 2005 Annual Report Download - page 190

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Notes to Consolidated Financial Statements Continued
23. Information Provided in Connection With Outstanding Debt
Continued
CONDENSED CONSOLIDATING STATEMENTS OF CASH FLOW
American
International AIG
Group, Inc. Liquidity Other Consolidated
(in millions) Guarantor Corp. Subsidiaries AIG
Year Ended December 31, 2005
Net cash provided by operating activities $ 1,673 $ * $ 23,465 $ 25,138
Cash flows from investing activities:
Invested assets disposed – 218,825 218,825
Invested assets acquired (598) (273,530) (274,128)
Other (1,294) * (724) (2,018)
Net cash used in investing activities (1,892) * (55,429) (57,321)
Cash flows from financing activities:
Change in debts 1,493 – 11,541 13,034
Other (1,176) * 21,141 19,965
Net cash provided by financing activities 317 * 32,682 32,999
Effect of exchange rate changes on cash 75 – (1,003) (928)
Change in cash 173 * (285) (112)
Cash at beginning of year 17 – 1,992 2,009
Cash at end of year $ 190 $ * $ 1,707 $ 1,897
Year Ended December 31, 2004
Net cash provided by operating activities $ 2,732 $ * $ 27,984 $ 30,716
Cash flows from investing activities:
Invested assets disposed 502 151,163 151,665
Invested assets acquired (107) (247,723) (247,830)
Other (1,039) * 89 (950)
Net cash used in investing activities (644) * (96,471) (97,115)
Cash flows from financing activities:
Change in debts (400) 16,901 16,501
Other (1,515) * 51,508 49,993
Net cash (used in) provided by financing activities (1,915) * 68,409 66,494
Effect of exchange rate changes on cash (175) 1,167 992
Change in cash (2) * 1,089 1,087
Cash at beginning of year 19 903 922
Cash at end of year $ 17 $ * $ 1,992 $ 2,009
Year Ended December 31, 2003
Net cash provided by operating activities $ 625 $ * $ 32,616 $ 33,241
Cash flows from investing activities:
Invested assets disposed 186 152,054 152,240
Invested assets acquired (830) (215,092) (215,922)
Acquisitions, net of cash acquired (2,091) (2,091)
Other (842) * (289) (1,131)
Net cash used in investing activities (1,486) * (65,418) (66,904)
Cash flows from financing activities:
Change in debts 1,288 5,282 6,570
Other (411) * 26,911 26,500
Net cash provided by financing activities 877 * 32,193 33,070
Effect of exchange rate changes on cash (15) 365 350
Change in cash 1 * (244) (243)
Cash at beginning of year 18 1,147 1,165
Cash at end of year $ 19 $ * $ 903 $ 922
* Amounts significantly less than $1 million.
138 AIG m Form 10-K