FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: March 31, 1999
Check here if amendment: Amendment Number:
This Amendment (Check only one.): Is a restatement.
X Adds new holdings entries.
Name of Institutional Investment Manager:
Name: AIG International Management Company, Inc.
Business Address : 1281 East Main Street, Stamford, Connecticut 06902
13F File Number: 28-5794
The institutional investments manager submitting this report and
the person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all information
contained herein is true, correct, and complete, and that it is
understood that all required items, statements, schedules, lists,
and tables, are considered integral parts of this form.
Person signing this report on Behalf of the Reporting Manager:
Name: Barbara Burger
Title: Counsel
Phone: 212-324-8400
Signature, Place, and Date of Signing:
Barbara Burger Greenwich, Connecticut May 10, 1999
Report Type (Check only one):
[ X ] 13F Holding Report
[ ] 13F Notice
[ ] 13F Combination Report
List of other Managers Reporting for this Manager:
None
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 183
Form 13F Information Table Value Total: $1,354,669 (x1000)
List of other Included Managers: None
FORM 13F INFORMATION TABLE
Name of Issuer Title of Class Cusip
Fair Market Shares/ Principal Amount
Investment Discretion Other Managers Voting Authority
800 Travel Systems Inc. WT Exp 011403 282506 11 2
$314,356 94,900
Sole none Sole/ All
Aes Corp WT Exp 073100 00130H 11 3
$2,668,869 56,700
Sole none Sole/ All
Airtouch Communications Inc Pfd B CV 6.00% 00949T 20 9
$117,341,196 1,501,876
Sole none Sole/ All
Airtouch Communications Inc Pfd C CV 4.25% 00949T 30 8
$44,352,136 332,236
Sole none Sole/ All
Alkermes Inc Pfd CV Ex$3.25 01642T 40 5
$3,195,000 60,000
Sole none Sole/ All
Alternative Living Svcs Inc SB DB CV 44A 04 02145K AA 5
$329,708 295,000
Sole none Sole/ All
Alternative Living Svcs Inc SUB DB CONV7%04 02145K AC 1
$2,956,195 2,645,000
Sole none Sole/ All
Alza Corp Del SUB Lyon Zero14 022615 AC 2
$38,731,655 73,704,000
Sole none Sole/ All
Alza Corp Del SUB DB Conv5%06 022615 AD 0
$308,063 265,000
Sole none Sole/ All
America Online Inc Del SUB NT Conv4%02 02364J AB 0
$150,215,23 13,322,000
Sole none Sole/ All
American Bankers Ins Group Inc Pfd B Cv$3.125 024456 20 4
$32,634,303 311,575
Sole none
Sole/ All
American General Corp Pfd Conv 7% 026351 80 9
$3,526,041 59,500
Sole none Sole/ All
American Gen Del LLC Mips Ser A 02637g 20 0
$4,967,550 55,500
Sole none Sole/ All
AMF Bowling Inc DBCV Zero144a18 03113V AA 7
$1,724,188 14,075,000
Sole none Sole/ All
AMF Bowling Inc DEB CV Zero18 03113V AB 5
$428,750 3,500,000
Sole none Sole/ All
Amkor Technology Inc SB NT CV5.75%03 031652 AA 8
$433,500 510,000
Sole none Sole/ All
Applied Magnetics CP Del SUB DB Conv7%06 038213 AA 2
$919,450 2,627,000
Sole none Sole/ All
Aqua Alliance Inc WT Exp 031101 038367 11 6
$24,909 49,817
Sole none Sole/ All
Aris Corp WT Exp 021500 04040a 11 9
$45,600 60,000
Sole none Sole/ All
Aspect Telecommunications Corp SD CV Zro144A18 045237 AB 0
$288,750 1,500,000
Sole none Sole/ All
Assisted Living Concepts Inc SB DB CV 6%02 04543l AD 1
$420,660 779,000
Sole none Sole/ All
Bankatlantic Bancorp SB DB CV6.75%06 065908 AB 1
$4,559,572 4,082,000
Sole none Sole/ All
Bentley Pharmaceuticals Inc. WT Exp 021301 082657 12 3
$2,672 85,500
Sole none Sole/ All
BJ Svcv Co WT Exp 041300 055482 11 1
$1,218,688 62,900
Sole none Sole/ All
Bonso Electrs Intl Inc WT Exp 121599 098529 12 6
$3,953 11,500
Sole none Sole/ All
C21 Solutions Inc WT Exp 110402 12652N 11 3
$4,500 12,000
Sole none Sole/ All
Carematrix Corp Sub NT CV 144A04 141706 AA 9
$215,625 250,000
Sole none Sole/ All
Carematrix Corp Sb Nt Cv 6.25%04 141706 AC 5
$649,463 753,000
Sole none Sole/ All
Chancellor Media Corp Pfd Conv 7% 158915 30 6
$13,613,592 103,160
Sole none Sole/ All
Chancellor Media Corp Pfd Conv Ex $3 158915 40 5
$61,343,724 641,503
Sole none Sole/ All
Chesapeake Energy Corp Pfd Conv 7% 165167 30 5
$782,619 61,300
Sole none Sole/ All
Chiquita Brands Intl Inc Pfd A Non Vtg 170032 40 3
$1,804,488 48,200
Sole none Sole/ All
Chiron Corp SB CV Adj144A00 170040 AB 5
$4,595,625 4,750,000
Sole none Sole/ All
Cirrus Logic Corp SB NT Cv6%03 172755 AC 4
$87,100 130,000
Sole none Sole/ All
Cnet Inc SB NT CV 144A06 125945 AA 3
$2,085,000 1,500,000
Sole none Sole/ All
Cnf Tr I Tecons Ser A 12612V 20 5
$555,500 10,000
Sole none Sole/ All
Coeur D Alene Mines Corp Idaho Marcs 192108 20 7
$522,100 90,800
Sole none Sole/ All
Colonial Bancgroup Inc Sub Db Cv 7.5%11 195493 AA 9
$411,428 240,000
Sole none Sole/ All
Comverse Technology Inc SB Db Cv 5.75%06 205862 AE 5
$4,902,096 2,600,000
Sole none Sole/ All
Continental Airls Inc SB Nt Cv 6.75%06 210795 AS 9
$13,298,329 10,463,000
Sole none Sole/ All
Costco Companies Inc. SB Nt Cv Zero 17 22160Q AC 6
$22,743,075 21,355,000
Sole none Sole/ All
Cresent Real Estate Equities Pfd Cv A 6.75% 225756 20 4
$370,850 23,500
Sole none Sole/ All
Cross Timbers Oil Co Pfd Cv Ser A 227573 20 1
$1,764,175 83,020
Sole none Sole/ All
Crown Cork &Seal Inc Pfd Cv 4.50% 228255 30 3
$4,206,63 156,407
Sole none Sole/ All
Cytoclonal Pharmacauticals Inc WT C Ex 110100 23282G 11 3
$88,594 18,900
Sole none Sole/ All
Dental Med Diagnotic Sys WT Exp 050802 24873K 11 7
$121,075 33,400
Sole none Sole/ All
Drs Technologies Inc SR SB DB Cv9%03 23330X AB 6
$1,035,248 1,021,000
Sole none Sole/ All
Digital Lava Inc WT Exp 021704 253928 11 3
$128,081 29,700
Sole none Sole/ All
Developers Diversified Rlty Co Sub Db Conv7%99 251591 AA 1
$5,395,000 5,395,000
Sole none Sole/All
Emc Corp SB Nt Cv 3.25%02 26865Y AA 2
$94,093,878 16,664,000
Sole none Sole/ All
Essex Intl Inc Del Com 297025 10 8
$1,796,379 75,637
Sole none Sole/ All
Echostar Communications New Pfd Cv Ser C 278762 30 7
$30,010,938 176,600
Sole none Sole/ All
Family Golf Ctrs Inc SB Nt Cv 5.75%04 30701A AC 0
$157,605 266,000
Sole none Sole/ All
Farmstead Tel Group Inc WT A Ex 081201 311565 12 1
$6,975 18,600
Sole none Sole/All
Farmstead Tel Group Inc WT B Ex 081201 311565 13 9
$7,950 21,200
Sole none Sole/ All
Federated Dept Stores Inc Del WT C Ex 121999 31410H 11 9
$7,357,419 484,200
Sole none Sole/ All
Federated Dept Stores Inc Del WT D Ex 121901 31410H 12 7
$3,530,228 234,100
Sole none Sole/ All
Frontline Communications Corp WT Esp 000003 35921T 11 6
$1,728,050 161,500
Sole none Sole/ All
Global Telesystems Group SRSB BD Cv144a00 37936U AA 2
$3,386,250 1,200,000
Sole none Sole/ All
Golden St Bancorp Inc Wt Exp 082100 381197 12 8
$10,694,256 669,699
Sole none Sole/ All
Hmt Technology Corp SB NT CV 5.75%04 403917 AD 9
$474,260 1,031,000
Sole none Sole/ All
Hanover Cap Mtg Hldgs Inc WT Exp 091500 410761 11 8
$21,950 175,600
Sole none Sole/ All
Hector Communication Corp SB DB Conv8.5%02 422730 AA 9
$485,100 462,000
Sole none Sole/ All
Hemispherx Biopharma Inc WT A Ex 110200 42366c 11 1
$52,750 21,100
Sole none Sole/ All
Herley Inds Inc Del WT Exp 121305 427398 11 0
$26,125 22,000
Sole none Sole/ All
Hollinger Int'l Inc Pfd Prides Cvb 435569 20 7
$115,880 9,800
Sole none Sole/ All
Home Depot Inc SB NT CV 3.25%01 437076 AE 2
$39,522,299 14,575,000
Sole none Sole/ All
Homebase Inc SB NT CV 5.25%04 43738E AB 4
$$486,450690,000
Sole none Sole/ All
Howell Corp PFD CV $3.50 443051 20 6
$691,525 39,800
Sole none Sole/ All
Imaginon Inc Wt Exp 063099 45246K 11 2
$395,990 158,396
Sole none Sole/ All
Imc Global Inc Wt Exp 122200 449669 11 8
$15,313 35,000
Sole none Sole/ All
Inacom Corp SUB DB CV 4.5%04 45323g AC 3
$9,253,500 9,300,000
Sole none Sole/ All
Inacom Corp SUB DB CONV 6%06 45323G AB 5
$12,049,450 12,110,000
Sole none Sole/ All
Iomega Corp SB NT CV 6.75%01 462030 AA 5
$1,380,948 1,200,000
Sole none Sole/ All
Itron Inc SB NT CV 6.75%04 465741 AC 0
$1,395,240 1,812,000
Sole none Sole/ All
Jacor Communications Inc Lyon Zero Cpn 11 469858 AA 2
$32,694,677 31,458,000
Sole none Sole/ All
Jacor Communications Inc Wt Exp 091801 469858 13 8
$4,019,392 396,977
Sole none Sole/ All
Kellstrom Inds Inc SB NT CV 5.75%02 488035 AC 0
$1,956,406 2,375,000
Sole none Sole/ All
Key Energy Svcs Inc SB NT CV 5%04 492914 AF 3
$67,620 138,000
Sole none Sole/ All
Kmart Fing I PFD TRCV 7.75% 498778 20 8
$40,098,303 665,532
Sole none Sole/ All
La Jolla Pharmaceutical Co WT EXP 060399 503459 11 7
$4,375 70,000
Sole none Sole/ All
Leasing Solutions Inc SUBNTCV 6.875%03 522113 AA 7
$85,330 742,000
Sole none Sole/ All
Level One Communication Inc Com 527295 10 9
$865,525 17,800
Sole none Sole/ All
Ligand Pharmaceuticals Inc Wt B Ex 060300 53220k 11 6
$226,089 71,632
All none Sole/ All
Lone Star Inds Inc Wt Exp 123100 542290 11 9
$13,444,081 309,950
All none Sole/ All
LTC Pptys Inc SB DB CV 7.75%02 502175 AE 2
$2,150,000 2,500,000
All none Sole/ All
Ltc Pptys Inc Sb Db Cv 8.25%01 502175 AF 9
$2,494,000 2,900,000
All none Sole/ All
Ltc Pptys Inc Sub Db Cv 8.5%01 502175 AC 6
$5,659,350 6,505,000
All none Sole/ All
Magna Intl Inc Sub Deb Cv 5%02 559222 AE 4
$42,514,372 38,060,000
All none Sole/ All
Marsh Supermarkets Inc Sub Db Conv 7%03 571783 AB 5
$536,060 547,000
All none Sole/ All
Mascotech Inc Sbdb Conv 4.5%03 574670 AB 1
$573,300 735,000
All none Sole/ All
Mediaone Group Inc Pfd Cv Ser D 58440J 20 3
$596,961 4,700
All none Sole/ All
Medimmune Inc Sbntcv 144a 7%03 584699 AA 0
$8,024,645 1,333,000
All none Sole/ All
Medimmune Inc Sub Nt Conv 7%03 584699 AC 6
$44,018,159 7,312,000
All none Sole/ All
Mediplex Group Inc New Sbdb Conv 6.5%03 584945 AB 5
$42,345 110,000
All none Sole/ All
Michaels Stores Inc Sub Nt Cv4.75%03 594087 AC 2
$355,085 377,000
All none Sole/ All
Microsoft Corp Pfd A Cv Exch 594918 20 3
$3,295,563 33,500
All none Sole/ All
Mutual Risk Mgmt Ltd Sbdbcvzero Exc15 628351 AA 6
$46,828,823 56,395,000
All none Sole/ All
National Australia Bk Ltd Cap Uts Exchbl 632525 30 9
$19,371,146 614,200
All none Sole/ All
Neoware Sys Inc Wt Exp 032500 64065P 11 0
$2,250 24,000
All none Sole/ All
Networks Assoc Inc Sbdb Cv Zero 18 640938 AB 2
$362,500 1,000,000
All none Sole/ All
Newcom Inc Wt Exp 091602 651093 11 4
$2,312 18,500
All none Sole/ All
North Amern Vaccine Inc Sb Nt Cv 144a 03 657201 AA 7
$485,900 1,130,000
All none Sole/ All
Northwest Nat Gas Co Deb Conv 7.25%12 667655 AM 6
$1,577,426 1,435,000
All none Sole/ All
Occidental Pete Corp Del Pfd Cv $3 Cxy 674599 79 0
$2,301,750 46,500
All none Sole/ All
Office Depot Inc Lyon Sub Zero 07 676220 AA 4
$28,423,451 25,768,000
All none Sole/ All
Omnicare Inc Sub Deb Cv 5%07 681904 AD 0
$834,300 1,030,000
All none Sole/ All
Omega Healthcare Invs Inc Sub Db Cv 8.5%01 681936 AG 5
$8,821,725 9,435,000
All none Sole/ All
Paravant Inc Wt Exp 113002 699376 11 7
$7,250 14,500
All none Sole/ All
Patina Oil & Gas Corp Wt Exp 050201 703224 11 3
$21,000 67,200
All none Sole/ All
Pep Boys Manny Moe & Jack Sub Lyon Zero 11 713278 AJ 8
$767,350 1,490,000
All none Sole/ All
Personnel Group Amer Inc Sb Nt Cv 5.75%04 715338 AE 9
$377,050 500,000
All none Sole/ All
Petrofina S A Wt Exp 080503 716485 12 3
$498,113 35,900
All none Sole/ All
Philippine Long Distance Tel Spn Glb Dep Sh 718252 70 3
$15,673,559 325,100
All none Sole/ All
Phoenix Invt Partners Ltd Sub Db Conv 6%15 719085 AA 0
$6,212,915 5,438,000
All none Sole/ All
Premiere Technologies Inc Sb Nt Cv 5.75%04 74058F AC 6
$164,375 250,000
All none Sole/ All
Pride Intl Inc Sb Db Cv Zro 18 741932 AB 3
$120,000 500,000
All none All
Pride Intl Inc Sb Db Cv 6.25%06 741932 AA 5
$49,700 56,000
All none Sole/ All
Productivity Technologies Corp Wt Exp 062401 743088 11 4
$2,500 10,000
All none Sole/ All
Prologis Tr Pfd Cv Sbi B 743410 30 0
$1,580,011 59,000
All none Sole/ All
Quadramed Corp Sb Db Cv 5.25%05 74730w AC 5
$145,600 256,000
All none Sole/ All
Quantum Corp Sub Nt Conv 7%04 747906 AC 9
$422,750 475,000
All none Sole/ All
Questron Technology Inc Wt Iv Ex030501 748372 11 7
$49,831 46,900
All none Sole/ All
Readers Digest Auto Com Exch Traces 755271 20 2
$23,752,603 787,800
All none Sole/ All
Reckson Assocs Rlty Corp Pfd Cv Ser A% 75621k 20 5
$4,403,446 219,500
All none Sole/ All
Rent Way Inc Sb Db Cv 7%07 76009U AB 0
$12,789,583 6,894,000
All none Sole/ All
Res-Care Inc Sr Nt Conv 6%04 760943 AC 4
$3,030,564 2,350,000
All none Sole/ All
Royal Caribbean Cruises Ltd Pfd Conv A V7780t 11 1
$11,154,462 90,415
All none Sole/ All
Sci Sys Inc Sbntcv 144a 5%06 783890 AD 8
$1,087,070 850,000
All none Sole/ All
Saba Pete Co Sr Sb Db Cv 9%05 785152 AA 7
$1,252,080 1,739,000
All none Sole/ All
Safeguard Scientifics Inc Sbntcv 144a 6%06 786449 AC 2
$26,495,988 11,390,000
All none Sole/ All
Sbs Broadcasting Sa Sb Db Cv 7.25%05 805906 AA 2
$8,567,019 7,379,000
All none Sole/ All
Seagram Joseph E & Sons Inc Lyons Cv Zero 06 811845 AH 9
$241,564 262,000
All none Sole/ All
Sealed Air Corp New Pfd CV A $2 81211k 20 9
$11,201,850 226,300
All none Sole/ All
Sensormatic Electrs Corp Pfd 1/10cv6.5% 817265 20 0
$2,490,779 142,500
All none Sole/ All
St Paul Cap L L C Pfd Mips 6% 792856 20 5
$1,426,541 24,702
All none Sole/ All
Sepracor Inc Sb Db Cv 6.25%05 817315 AE 4
$19,306,292 7,865,000
All none Sole/ All
Sherwood Brands Inc Wt Exp 050603 82437l 11 2
$9,938 26,500
All none Sole/ All
Smart Choice Automotive Group Wt Exp 110900 831686 11 8
$3,750 30,000
All none Sole/ All
Sonic Fdry Inc Wt Exp 061003 83545r 11 6
$56,638 19,700
All none Sole/ All
Sound Source Interactive Inc Wt Exp 010102 83608K 11 5
$744 11,900
All none Sole/ All
Stillwater Mng Co Sbntcv 144a 7%03 86074Q AA 0
$591,375 400,000
All none Sole/ All
Stillwater Mng Co Sub Nt Conv 7%03 86074q AC 6
$1,049,690 710,000
All none Sole/ All
Sun Inc Sb Db Cv 6.75%12 866762 AG 2
$669,820 626,000
All none Sole/ All
Sunbeam Corp Srsdcv Zro144a18 867071 AA 0
$317,985 2,958,000
All none Sole/ All
System Software Assoc Inc. Sb Nt Cv 7%02 871839 AA 4
$125,440 256,000
All none Sole/ All
Tba Entmt Corp Wt Exp 042301 872173 11 7
$20,231 24,900
All none Sole/ All
Techdyne Inc Wt Exp 051799 878329 11 9
$2,469 39,500
All none Sole/ All
Tel-Save Hldgs Inc Sb Nt Cv 144a 04 879176 AD 7
$247,990 443,000
All none Sole/ All
Telxon Corp Sb Nt Cv 5.75%03 879700 AC 6
$58,080 88,000
All none Sole/ All
Tesoro Pete Corp Pies Cv 1/100s 881609 40 8
$4,773,735 392,900
All none Sole/ All
Thermolase Corp Unit Ex 000001 883624 20 7
$2,138,382 127,190
All none Sole/ All
Titan Corp Sb Db Cv 8.25%03 888266 AA 1
$6,029,317 3,982,000
All none Sole/ All
Todays Man Inc Wt Exp 123199 888910 11 4
$10,519 37,400
All none Sole/ All
Triarc Cos Inc Sb Db Cv Zro 18 895927 AB 7
$2,358,500 10,600,000
All none Sole/ All
Triathlon Broadcasting Co Pfd1/10mand Cv 89589P 30 4
$263,750 25,000
All none Sole/ All
U S Laboratories Inc Wt Exp 021904 90333T 11 3
$11,363 15,150
All none Sole/ All
Unisys Corp Pfd A Cv $3.75 909214 20 7
$36,214,388 703,192
All none Sole/ All
United States Cellular Corp Lyon Zero 911684 AA 6
$10,328,840 22,454,000
All none All
Valhi Inc New Lyon Zero Cpn 07 918905 Ac 4
$16,130,546 27,546,000
All none Sole/ All
Viacom Inc Wt Exp 070799 925524 13 4
$2,188,219 137,300
All none Sole/ All
Vialink Co Wt Exp 112099 92552q 11 9
$146,813 14,500
All none Sole/ All
Vion Pharmaceuticals Inc Wt B Ex 081400 927624 12 2
$82,603 97,900
All none Sole/ All
Visual Data Corp Wt Exp 073002 928428 11 9
$104,535 15,000
All none Sole/ All
Vlsi Technology Inc Sb Nt Cv 8.25%05 918270 AB 5
$974,105 979,000
All none Sole/ All
Vornado Rlty Tr Pfd Conv Ser A 929042 20 8
$15,301,503 309,700
All none All
Whx Corp Pfd Cv Ser A 929248 20 1
$3,420,400 100,600
All none Sole/ All
Wmx Technologies Inc Sub Nts Cv 2%05 92929Q AF 4
$2,655,250 2,795,000
All none Sole/ All
Wang Labs Inc New Pfd 1/20b 6.5% 93369n 60 4
$8,883,000 197,400
All none Sole/ All
Western Digital Corp Sb Db Cv Zero 18 958102 AH 8
$540,625 2,500,000
All none Sole/ All
Brazilian Equity Fd Inc Com 105884 10 0
$50,888 11,800
All none Sole/ All
Central European Equity Fd Inc Com 153436 10 0
$217,125 18,000
All none Sole/ All
Emerging Mkts Incm Fd Ii Com 290920 10 7
$97,500 10,000
All none Sole/ All
Guangshen Ry Ltd Sponsored Adr 40065W 10 7
$90,000 16,000
All none Sole/ All
Metromedia Intl Group Inc Com 591695 10 1
$112,125 23,000
All none Sole/ All
Grupo Simec S A De Cv Adr 400491 10 6
$103,075 43,400
All none Sole/ All
Telecomunicacoes Brasileiras S Sponsored Adr 879287 30 8
$645,000 8,000
All none Sole/ All
Compania Anonima Nacionl Tel Spn Adr 7d Shs 204421 10 1
$145,500 8,000
All none Sole/ All
Vitro Sociedad Anonima Sponsored Adr 928502 30 1
$258,075 44,400
All none Sole/ All
Gaylord Container Corp Cl A 368145 10 8
$187,500 25,000
All none Sole/ All
Loral Space & Communication Pfd Conv C 6% G56462 14 9
$2,685,000 60,000
All none Sole/ All
Rouse Co Sb Db Cv 5.75%02 779273 AA 9
$5,987,779 6,213,000
All none Sole/ All
Motorola Inc Lyon Sub Zero 13 620076 AJ 8
$910,316 1,060,000
All none Sole/ All
Grand Column Total 1,354,668,648 1,354,669 (x1000)