VARIABLE ACCOUNT I OF AIG LIFE INS CO
497, 1997-09-10
Previous: VARIABLE ACCOUNT I OF AIG LIFE INS CO, 497, 1997-09-10
Next: DUTY FREE INTERNATIONAL INC, 10-Q, 1997-09-10




Rule 497
File No. 33-58504

                           AIG Life Insurance Company
                               Variable Account I


Supplement dated September 9, 1997 to the Prospectus dated May 1, 1997
of Variable Account I.

This supplement provides  information  regarding the High Yield Portfolio of the
Alliance  Variable  Product  Series Fund,  Inc.  (the Alliance  Fund).  Nineteen
portfolios  are  now  available  to  contract owners.   Additional  information
regarding  the High  Yield  Portfolio  may be found  in the  prospectus  for the
Alliance  Fund dated May 1, 1997 as amended August 22, 1997,  which sets forth 
the disclosure  regarding the High Yield  Portfolio.  The  Alliance  Fund  
prospectus  is  enclosed  with this Prospectus.  The High Yield Portfolio is 
managed by Alliance Capital  Management L.P. the Fund's Investment Manager.


  This  Supplement  amends the  contents of the  Prospectus,  under the headings
indicated, as follows:

SUMMARY OF EXPENSES

Annual Fund Expenses After Expense Reimbursements*

Portfolio                  Management      Other       Total Portfolio
                           Fee             Expenses    Expenses

Alliance High Yield        0.0%            0.95%       0.95%

*  Total  operating  expenses  for  the  High  Yield  portfolio  before  expense
reimbursements are estimated to be 1.75%.


Expenses on a hypothetical $1,000 Single Premium policy, assuming 5% growth:

                                              If you surrender
                                           1 Year   3 Year   5 Year    10 Year

High Yield                                 80       114      149       275


Expenses on a hypothetical  $1000 Flexible Premium policy, assuming 5% growth:

                                                         If you surrender
                                           1 Year     3 Year   5 Year  10 Year
High Yield                                 78         111      147      275




Expenses on a hypothetical $1000 Single or Flexible Premium policy,  assuming 5%
growth:

                                              If  you annuitize or
                                              if you do not surrender


High Yield                                1 Year  3 Years  5 Years    10 Years
                                          24        75       129        275



ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.

High Yield Portfolio

This  Portfolio  seeks the highest  level of current  income  available  without
assuming  undue risk by  investing  principally  in  high-yielding  fixed income
securities.  As a secondary objective, this Portfolio seeks capital appreciation
where  consistent  with  its  primary  objective.   Many  of  the  high-yielding
securities  in which the  High-Yield  Portfolio  invests  are rated in the lower
rating categories (i.e. below investment grade) by nationally  recognized rating
services.  These  securities,  which are often referred to as "junk bonds",  are
subject to greater  risk of loss of  principal  and  interest  than higher rated
securities and are considered to be  predominately  speculative  with respect to
the  issuer's  capacity to pay  interest  and repay  principal.  THERE CAN BE 
NO ASSURANCE THAT THE INVESTMENT OBJECTIVE WILL BE ACHIEVED.

THIS SUPPLEMENT  SHOULD BE READ IN CONJUNCTION  WITH THE PROSPECTUS FOR VARIABLE
ACCOUNT I DATED MAY 1, 1997 AND THE ALLIANCE FUND  PROSPECTUS  DATED MAY 1, 1997
AS AMENDED AUGUST 22, 1997.



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission