AIG 2006 Annual Report Download - page 225

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American International Group, Inc. and Subsidiaries
22. 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, 2006
Net cash provided by operating activities $ (590) $ * $ 7,419 $ 6,829
Cash flows from investing activities:
Invested assets disposed 3,831 — 154,283 158,114
Invested assets acquired (8,298) (215,759) (224,057)
Other (3,176) * 2,079 (1,097)
Net cash used in investing activities (7,643) * (59,397) (67,040)
Cash flows from financing activities:
Issuance of debt 12,038 — 61,942 73,980
Repayments of debt (2,417) (34,063) (36,480)
Other (1,502) * 23,792 22,290
Net cash provided by (used in) financing activities 8,119 * 51,671 59,790
Effect of exchange rate changes on cash — — 114 114
Change in cash (114) * (193) (307)
Cash at beginning of year 190 — 1,707 1,897
Cash at end of year $ 76 $ * $ 1,514 $ 1,590
Year Ended December 31, 2005
Net cash provided by operating activities $ 1,854 $ * $ 23,528 $ 25,382
Cash flows from investing activities:
Invested assets disposed 184,843 184,843
Invested assets acquired (598) (245,804) (246,402)
Other (1,083) * 142 (941)
Net cash used in investing activities (1,681) * (60,819) (62,500)
Cash flows from financing activities:
Issuance of debt 2,101 64,960 67,061
Repayments of debt (607) (51,497) (52,104)
Other (1,494) * 23,706 22,212
Net cash provided by (used in) financing activities * 37,169 37,169
Effect of exchange rate changes on cash (163) (163)
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 $ 1,390 $ * $ 28,024 $ 29,414
Cash flows from investing activities:
Invested assets disposed 502 149,883 150,385
Invested assets acquired (107) (242,231) (242,338)
Other 251 * (894) (643)
Net cash used in investing activities 646 * (93,242) (92,596)
Cash flows from financing activities:
Issuance of debt 46,695 46,695
Repayments of debt (400) (32,552) (32,952)
Other (1,638) * 52,112 50,474
Net cash provided by (used in) financing activities (2,038) * 66,255 64,217
Effect of exchange rate changes on cash 52 52
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
* Amounts significantly less than $1 million.
Form 10-K 2006 AIG 175