American International Group, Inc. (NYSE:AIG) today announced the
pricing of the Sterling and Euro-denominated debt securities issued by
AIG (the “Sterling and Euro Securities”) subject to its previously
announced cash tender offers (the “Tender Offers”) pursuant to its offer
to purchase dated June 12, 2014 (the “Offer to Purchase”).
The reference yield for each series of Sterling and Euro Securities was
calculated as of 2:00 p.m., London time, on June 25, 2014, based on the
mid-market price of the applicable reference security displayed on the
applicable reference page set forth in the table below.
for AIG Announces Reference Yields for Sterling and Euro-Denominated Debt Securities Subject to Its Previously Announced Tender Offers investment picks