UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: September 30, 2004 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.): [ ] is a restatement. [ ] adds new holdings entries Institutional Investment Manager Filing this Report: Name: AMERICAN INTERNATIONAL GROUP, INC. Address: 70 Pine Street New York, New York 10270 Form 13F File Number: 28-219 The Institutional Investment Manager filing this report and the person by whom it is signed 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 Reporting Manager: Name: Win J. Neuger Title: Executive Vice President and Chief Investment Officer Phone: (212) 770-7000 Signature, Place, and Date of Signing: /s/ Win J. Neuger New York, New York November 12, 2004 ------------------------------- ------------------------ ----------------- (Signature) (City, State) (Date) Report Type (Check only one.): [X] 13F HOLDINGS REPORT. (Check if all holdings of this reporting manager are reported in this report.) [ ] 13F NOTICE. (Check if no holdings reported are in this report, and all holdings are reported in this report and a portion are reported by other reporting manager(s).) [ ] 13F COMBINATION REPORT. (Check if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).) FORM 13F SUMMARY PAGE REPORT SUMMARY: Number of Other Included Managers: 4 Form 13F Information Table Entry Total: 4,023 Form 13F Information Table Value Total: $16,617,830 (thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. No. Form 13F File Number Name -- -------------------- ------------------------------------------- 1 28-4637 AIG GLOBAL INVESTMENT CORP. 2 28-2725 AIG SUNAMERICA ASSET MANAGEMENT CORP. 3 28-3463 JOHN MCSTAY INVESTMENT COUNSEL, L.P. 4 28-5794 HSB GROUP, INC. TITLE OF CUSIP VALUE SHARES/ SH/ PUT/ INVESTMENT OTHER (A) (B) (C) NAME OF ISSUER CLASS NUMBER (X1000) PRINCIPAL PN CALL DISCRETION MGRS SOLE SHARED NONE ------- ---------- --- ---- ---------- ----- ---------- ---------- ------ 1-800 CONTACTS INC EQUITY 681977104 60 3,959 SH sole 1 3,959 1-800-FLOWERS. COM INC EQUITY 68243Q106 100 12,074 SH sole 1 12,074 1ST SOURCE CORP. EQUITY 336901103 165 6,417 SH sole 1 6,417 21ST CENTURY INSURANCE COMPANY EQUITY 90130N103 713499 53,445,620 SH sole 1 53,445,620 21ST CENTURY INSURANCE COMPANY EQUITY 90130N103 161 12,058 SH sole 1 12,058 24/7 REAL MEDIA INC EQUITY 901314203 45 11,842 SH sole 1 11,842 3COM CORP. EQUITY 885535104 2741 649,496 SH sole 1 649,496 3M EQUITY 88579Y101 2639 33,000 SH sole 4 33,000 3M CO EQUITY 88579Y101 37056 463,374 SH sole 1 463,374 3M CO EQUITY 88579Y101 106 1,322 SH defined 2 1,322 4KIDS ENTERTAINMENT INC EQUITY 350865101 152 7,533 SH sole 1 7,533 7-ELEVEN INC. EQUITY 817826209 11 543 SH sole 1 543 99 CENTS ONLY STORES EQUITY 65440K106 1990 139,875 SH sole 1 139,875 A C MOORE ARTS & CRAFT EQUITY 00086T103 185 7,485 SH sole 1 7,485 A.G. EDWARDS, INC. EQUITY 281760108 4531 130,864 SH sole 1 130,864 A.S.V. INC EQUITY 001963107 159 4,247 SH sole 1 4,247 AAON INC EQUITY 000360206 83 4,749 SH sole 1 4,749 AAR CORP. EQUITY 000361105 219 17,567 SH sole 1 17,567 AARON RENTS INC COM EQUITY 002535201 6 279,847 SH sole 3 270,402 9,445 AARON RENTS, INC. EQUITY 002535201 450 20,660 SH sole 1 20,660 ABAXIS INC EQUITY 002567105 124 9,512 SH sole 1 9,512 ABBEY NATIONAL PLC CorpBond 002920809 30332 1,139,600 SH sole 1 1,140 Abbey National PLC 7.375% EQUITY 002920809 2797 105,000 SH sole 4 105,000 ABBOTT JAPAN EQUITY 771340II9 700 76,000,000 SH defined 2 76,000,000 ABBOTT LABORATORIES EQUITY 002824100 28215 666,069 SH sole 1 666,069 Abbott Labs EQUITY 002824100 1059 25,000 SH sole 4 25,000 ABBOTT LABS EQUITY 002824100 19349 456,815 SH defined 2 456,815 ABC BANCORP EQUITY 000400101 107 5,320 SH sole 1 5,320 ABERCROMBIE AND FITCH CO. EQUITY 002896207 4912 155,936 SH sole 1 155,936 ABGENIX INC EQUITY 00339B107 986 100,000 SH defined 2 100,000 ABGENIX, INC. EQUITY 00339B107 437 44,275 SH sole 1 44,275 ABIOMED, INC. EQUITY 003654100 73 8,300 SH sole 1 8,300 ABLE LABORATORIES INC EQUITY 00371N407 178 9,274 SH sole 1 9,274 ABLE LABORATORIES INC COM NEW EQUITY 00371N407 3 168,400 SH sole 3 168,400 ABM INDUSTRIES, INC. EQUITY 000957100 412 20,459 SH sole 1 20,459 ACADIA REALTY TRUST EQUITY 004239109 246 16,666 SH sole 1 16,666 ACCELRYS INC EQUITY 00430U103 87 13,273 SH sole 1 13,273 ACCENTURE LTD BERMUDA EQUITY G1150G111 641 23,700 SH defined 2 23,700 Accenture Ltd Class A USD 0.00002 EQUITY G1150G111 19891 735,340 SH sole 1 735,340 ACCREDITED HOME LENDERS EQUITY 00437P107 343 8,906 SH sole 1 8,906 ACCREDO HEALTH INC. EQUITY 00437V104 25 1,040 SH sole 1 1,040 ACE CASH EXPRESS INC EQUITY 004403101 128 4,909 SH sole 1 4,909 ACE LTD EQUITY G0070K103 4841 120,834 SH sole 1 120,834 ACE LTD EQUITY G0070K103 13 324 SH defined 2 324 ACETO CORP EQUITY 004446100 125 8,692 SH sole 1 8,692 ACTEL CORP. EQUITY 004934105 213 14,024 SH sole 1 14,024 ACTION PERFORMANCE CO., INC. EQUITY 004933107 85 8,430 SH sole 1 8,430 ACTIVCARD CORP EQUITY 00506J107 141 22,994 SH sole 1 22,994 ACTIVISION, INC. EQUITY 004930202 3166 228,267 SH sole 1 228,267 ACTUANT CORP EQUITY 00508X203 532 12,916 SH sole 1 12,916 ACTUATE CORP. EQUITY 00508B102 99 28,174 SH sole 1 28,174 ACUITY BRANDS INC EQUITY 00508Y102 551 23,201 SH sole 1 23,201 ACXIOM CORP. EQUITY 005125109 3367 141,823 SH sole 1 141,823 ADAPTEC, INC. EQUITY 00651F108 452 59,433 SH sole 1 59,433 ADC TELECOMMUNICATIONS INC EQUITY 000886101 2 922 SH defined 2 922 ADC TELECOMMUNICATIONS, INC EQUITY 000886101 1000 552,460 SH sole 1 552,460 ADE CORP. EQUITY 00089C107 88 5,149 SH sole 1 5,149 ADESA INC EQUITY 00686U104 2569 156,348 SH sole 1 156,348 ADMINISTAFF, INC. EQUITY 007094105 138 11,784 SH sole 1 11,784 ADOBE SYS INC EQUITY 00724F101 13687 276,673 SH defined 2 276,673 ADOBE SYSTEMS INC. EQUITY 00724F101 16282 329,128 SH sole 1 329,128 ADOLOR CORPORATION EQUITY 00724X102 238 21,140 SH sole 1 21,140 ADTRAN INC EQUITY 00738A106 435 19,200 SH defined 2 19,200 ADTRAN, INC. EQUITY 00738A106 2973 131,064 SH sole 1 131,064 ADVANCE AUTO PARTS EQUITY 00751Y106 52 1,523 SH sole 1 1,523 Advance Auto Parts EQUITY 00751Y106 1032 30,000 SH sole 4 30,000 ADVANCED DIGITAL INFO CORP. EQUITY 007525108 304 34,959 SH sole 1 34,959 ADVANCED ENERGY INDUSTRIES EQUITY 007973100 107 11,541 SH sole 1 11,541 ADVANCED FIBRE COMMUNICATIONS EQUITY 00754A105 5914 371,947 SH sole 1 371,947 ADVANCED MARKETING SERV. INC. EQUITY 00753T105 84 7,755 SH sole 1 7,755 ADVANCED MEDICAL OPTIC COM EQUITY 00763M108 9 219,300 SH sole 3 214,800 4,500 ADVANCED MEDICAL OPTICS EQUITY 00763M108 769 19,425 SH sole 1 19,425 ADVANCED MICRO DEVICES, INC. EQUITY 007903107 2057 158,229 SH sole 1 158,229 ADVANCED NEUROMODULATION S EQUITY 00757T101 3914 129,205 SH defined 2 129,205 ADVANCES NEUROMODULATIONS SYS EQUITY 00757T101 332 10,941 SH sole 1 10,941 ADVANCIS PHARMACEUTICAL EQUITY 00764L109 42 5,141 SH sole 1 5,141 ADVANTA CORP [B] EQUITY 007942204 259 10,698 SH sole 1 10,698 ADVENT SOFTWARE, INC. EQUITY 007974108 1129 67,058 SH sole 1 67,058 ADVISORY BRD CO EQUITY 00762W107 324 9,637 SH sole 1 9,637 ADVO, INC. EQUITY 007585102 511 16,527 SH sole 1 16,527 AEROFLEX, INC EQUITY 007768104 380 35,943 SH sole 1 35,943 AEROPOSTALE INC EQUITY 007865108 3186 121,597 SH sole 1 121,597 AES CORP EQUITY 00130H105 7 737 SH defined 2 737 AES DRAX ENERGY LTD EQUITY 00130H105 3375 337,853 SH sole 1 337,853 AETNA INC EQUITY 00817Y108 16156 161,675 SH defined 2 161,675 AETNA INC-NEW EQUITY 00817Y108 22691 227,065 SH sole 1 227,065 AFFILIATED COMPUTER SERVICES CLASS A EQUITY 008190100 3557 63,892 SH sole 1 63,892 AFFILIATED COMPUTER SVCS I EQUITY 008190100 8 146 SH defined 2 146 AFFILIATED MANAGERS CORP EQUITY 008252108 11 206,840 SH sole 3 202,600 4,240 AFFILIATED MANAGERS GROUP EQUITY 008252108 710 13,268 SH sole 1 13,268 AFFIRMATIVE INSURANCE HOLDIN EQUITY 008272106 81 5,121 SH sole 1 5,121 AFFORDABLE RESIDENTIAL COMMU EQUITY 008273104 1145 78,453 SH sole 1 78,453 AFFYMETRIX INC EQUITY 00826T108 40 1,297 SH sole 1 1,297 AFLAC INC EQUITY 001055102 23 578 SH defined 2 578 AFLAC, INC. EQUITY 001055102 15112 385,408 SH sole 1 385,408 AFTERMARKET TECHNOLOGY EQUITY 008318107 80 6,377 SH sole 1 6,377 AGCO CORP. EQUITY 001084102 3370 149,002 SH sole 1 149,002 AGERE SYSTEMS INC-CL B W/I EQUITY 00845V209 35 34,697 SH sole 1 34,697 AGILE SOFTWARE CORP. EQUITY 00846X105 225 28,415 SH sole 1 28,415 AGILENT TECHNOLOGIES INC EQUITY 00846U101 12 554 SH defined 2 554 AGILENT TECHNOLOGIES INC. EQUITY 00846U101 4528 209,944 SH sole 1 209,944 AGILYSYS INC EQUITY 00847J105 270 15,642 SH sole 1 15,642 AGL RESOURCES, INC. EQUITY 001204106 4299 139,705 SH sole 1 139,705 AIR PRODS + CHEMS INC EQUITY 009158106 400 7,359 SH defined 2 7,359 AIR PRODUCTS AND CHEMICALS INC EQUITY 009158106 5513 101,379 SH sole 1 101,379 AIRGAS, INC. EQUITY 009363102 3716 154,372 SH sole 1 154,372 AIRGATE PCS INC EQUITY 009367301 1754 89,500 SH defined 2 89,500 AIRSPAN NETWORKS INC EQUITY 00950H102 91 16,765 SH sole 1 16,765 AIRTRAN HOLDINGS, INC. EQUITY 00949P108 1847 185,432 SH sole 1 185,432 AK STEEL CORP. EQUITY 001547108 483 59,222 SH sole 1 59,222 AKAMAI TECHNOLOGIES INC. EQUITY 00971T101 32 2,290 SH sole 1 2,290 AKSYS LTD EQUITY 010196103 21 4,386 SH sole 1 4,386 ALABAMA NATIONAL BANCORP EQUITY 010317105 426 7,119 SH sole 1 7,119 ALADDIN KNOWLEDGE SYS ORD (F) EQUITY M0392N101 13 601,900 SH sole 3 587,300 14,600 ALAMOSA HOLDINGS INC. EQUITY 011589108 307 40,204 SH sole 1 40,204 ALASKA AIR GROUP, INC. EQUITY 011659109 1484 59,902 SH sole 1 59,902 ALASKA COMM. SYS. HLDGS., INC. EQUITY 01167P101 30 5,354 SH sole 1 5,354 ALBANY INTERNATIONAL CORP. CLASS A EQUITY 012348108 426 14,284 SH sole 1 14,284 ALBANY MOLECULAR EQUITY 012423109 121 12,649 SH sole 1 12,649 ALBEMARLE CORP. EQUITY 012653101 2988 85,153 SH sole 1 85,153 ALBERTO CULVER CO EQUITY 013068101 4 103 SH defined 2 103 ALBERTO-CULVER CO. CLASS B EQUITY 013068101 1954 44,948 SH sole 1 44,948 ALBERTSONS INC EQUITY 013104104 12668 529,360 SH defined 2 529,360 ALBERTSON'S, INC. EQUITY 013104104 3925 164,007 SH sole 1 164,007 ALCOA INC EQUITY 013817101 581 17,291 SH defined 2 17,291 ALCOA, INC. EQUITY 013817101 13748 409,286 SH sole 1 409,286 ALDERWOODS GROUP INC EQUITY 014383103 214 21,790 SH sole 1 21,790 ALEXANDER & BALDWIN, INC. EQUITY 014482103 3145 92,662 SH sole 1 92,662 ALEXANDER'S, INC. EQUITY 014752109 207 1,039 SH sole 1 1,039 ALEXANDRIA REAL ESTATE EQUITIE EQUITY 015271109 838 12,747 SH sole 1 12,747 ALEXION PHARMACEUTICLAS, INC. EQUITY 015351109 265 14,722 SH sole 1 14,722 ALFA CORP. EQUITY 015385107 251 17,981 SH sole 1 17,981 ALICO INC EQUITY 016230104 83 1,948 SH sole 1 1,948 ALIGN TECHNOLOGY INC EQUITY 016255101 433 28,353 SH sole 1 28,353 ALIGN TECHNOLOGY INC EQUITY 016255101 1377 90,100 SH defined 2 90,100 ALKERMES INC EQUITY 01642T108 564 48,836 SH sole 1 48,836 ALLEGHANY CORP EQUITY 017175100 26 94 SH sole 1 94 ALLEGHENY ENERGY INC EQUITY 017361106 2 145 SH defined 2 145 ALLEGHENY ENERGY, INC. EQUITY 017361106 904 56,627 SH sole 1 56,627 ALLEGHENY TECHNOLOGIES INC EQUITY 01741R102 2 109 SH defined 2 109 ALLEGHENY TECHNOLOGIES, INC. EQUITY 01741R102 1684 92,249 SH sole 1 92,249 ALLERGAN INC EQUITY 018490102 11 150 SH defined 2 150 ALLERGAN, INC. EQUITY 018490102 35425 488,280 SH sole 1 488,280 ALLETE INC. EQUITY 018522300 5042 155,136 SH sole 1 155,136 ALLIANCE DATA SYS CORP COM EQUITY 018581108 9 218,228 SH sole 3 207,500 10,728 ALLIANCE DATA SYSTEMS EQUITY 018581108 5377 132,561 SH sole 1 132,561 ALLIANCE GAMING CORP EQUITY 01859P609 422 28,015 SH sole 1 28,015 ALLIANCE IMAGING INC EQUITY 018606202 51 6,848 SH sole 1 6,848 ALLIANCE SEMICONDUCTOR CORP. EQUITY 01877H100 38 11,115 SH sole 1 11,115 ALLIANT ENERGY CORP. EQUITY 018802108 4648 186,818 SH sole 1 186,818 ALLIANT TECHSYSTEMS INC EQUITY 018804104 3756 62,082 SH sole 1 62,082 ALLIANT TECHSYSTEMS INC EQUITY 018804104 14278 236,000 SH defined 2 236,000 ALLIED CAPITAL CORP EQUITY 01903Q108 65 2,668 SH sole 1 2,668 ALLIED WASTE INDUSTRIES IN EQUITY 019589308 3 363 SH defined 2 363 ALLIED WASTE INDUSTRIES, INC. EQUITY 019589308 1249 141,144 SH sole 1 141,144 ALLMERICA FINANCIAL CORP EQUITY 019754100 2362 87,873 SH sole 1 87,873 ALLOS THERAPEUTICS INC EQUITY 019777101 18 8,294 SH sole 1 8,294 ALLOY ONLINE, INC EQUITY 019855105 68 17,931 SH sole 1 17,931 ALLSCRIPTS HEALTHCARE SOLUTION EQUITY 01988P108 134 14,909 SH sole 1 14,909 ALLSTATE CORP EQUITY 020002101 4131 86,090 SH defined 2 86,090 ALLSTATE CORP. EQUITY 020002101 31294 652,098 SH sole 1 652,098 ALLTEL CORP EQUITY 020039103 1958 35,651 SH defined 2 35,651 ALLTEL CORP. EQUITY 020039103 7936 144,531 SH sole 1 144,531 ALPHARMA INC. CLASS A EQUITY 020813101 391 21,395 SH sole 1 21,395 ALTERA CORP EQUITY 021441100 437 22,324 SH defined 2 22,324 ALTERA CORP. EQUITY 021441100 3986 203,654 SH sole 1 203,654 ALTIRIS INC EQUITY 02148M100 358 11,323 SH sole 1 11,323 ALTRIA GROUP INC EQUITY 02209S103 66648 1,416,836 SH sole 1 1,416,836 ALTRIA GROUP INC EQUITY 02209S103 22306 474,200 SH defined 2 474,200 ALVARION LTD EQUITY M0861T100 3403 263,000 SH defined 2 263,000 ALVARION LTD SHS (F) EQUITY M0861T100 8 641,332 SH sole 3 621,400 19,932 AMAZON COM INC EQUITY 023135106 3710 90,800 SH defined 2 90,800 AMAZON. COM, INC. EQUITY 023135106 801 19,610 SH sole 1 19,610 AMB PROPERTY CORP EQUITY 00163T109 5397 145,785 SH sole 1 145,785 AMBAC FINANCIAL GROUP INC. EQUITY 023139108 3866 48,349 SH sole 1 48,349 AMBAC FINL GROUP INC EQUITY 023139108 1033 12,924 SH defined 2 12,924 AMBASSADORS GROUP INC EQUITY 023177108 118 4,358 SH sole 1 4,358 AMC ENTERTAINMENT, INC. EQUITY 001669100 1623 84,820 SH sole 1 84,820 AMCOL INTERNATIONAL CORP. EQUITY 02341W103 224 11,731 SH sole 1 11,731 AMCORE FINANCIAL, INC. EQUITY 023912108 388 13,666 SH sole 1 13,666 AMDOCS LIMITED EQUITY G02602103 5649 258,780 SH sole 1 258,780 AMEDISYS INC EQUITY 023436108 178 5,934 SH sole 1 5,934 AMEDISYS INC COM EQUITY 023436108 1 45,000 SH sole 3 45,000 AMERADA HESS CORP EQUITY 023551104 4885 54,893 SH sole 1 54,893 AMERADA HESS CORP EQUITY 023551104 9 104 SH defined 2 104 AMERCO, INC. EQUITY 023586100 192 5,068 SH sole 1 5,068 Ameren EQUITY 023608102 4846 105,000 SH sole 4 105,000 AMEREN CORP EQUITY 023608102 10 221 SH defined 2 221 AMEREN CORP. EQUITY 023608102 12604 273,104 SH sole 1 273,104 AMERICA MOVIL S A DEC V EQUITY 02364W105 242 6,200 SH defined 2 6,200 AMERICA MOVIL SA ADR EACH R EQUITY 02364W105 6628 174,290 SH sole 1 174,290 AMERICA SERVICE GROUP INC EQUITY 02364L109 158 3,860 SH sole 1 3,860 AMERICAN AXLE & MFG HOLDINGS EQUITY 024061103 25 852 SH sole 1 852 AMERICAN CAMPUS COMMUNITIES EQUITY 024835100 122 6,592 SH sole 1 6,592 AMERICAN CAP. STRATEGIES, INC. EQUITY 024937104 53 1,704 SH sole 1 1,704 AMERICAN EAGLE OUTFITTERS EQUITY 02553E106 4346 117,934 SH sole 1 117,934 AMERICAN ELEC PWR INC EQUITY 025537101 14 451 SH defined 2 451 AMERICAN ELECTRIC POWER, INC. EQUITY 025537101 27886 872,541 SH sole 1 872,541 AMERICAN EQUITY INVT LIFE HL EQUITY 025676206 111 11,714 SH sole 1 11,714 AMERICAN EXPRESS CO EQUITY 025816109 27361 531,685 SH defined 2 531,685 AMERICAN EXPRESS CO. EQUITY 025816109 53980 1,048,965 SH sole 1 1,048,965 AMERICAN FINANCIAL GROUP, INC. EQUITY 025932104 3609 120,749 SH sole 1 120,749 AMERICAN FINANCIAL REALTY TR EQUITY 02607P305 1018 72,167 SH sole 1 72,167 AMERICAN FIRST MORTGAGE INVES EQUITY 55272X102 2993 325,020 SH sole 1 325,020 AMERICAN GREETINGS CORP. CLASS A EQUITY 026375105 3662 145,773 SH sole 1 145,773 AMERICAN HEALTHWAYS INC EQUITY 02649V104 459 15,754 SH sole 1 15,754 AMERICAN HOME MORTGAGE INVESTMENT COR EQUITY 02660R107 528 18,908 SH sole 1 18,908 AMERICAN INTL GROUP INC EQUITY 026874107 746 10,970 SH defined 2 10,970 AMERICAN INTL GRP INC COM EQUITY 026874107 159571 2,346,976 SH sole 1 2,346,976 AMERICAN ITALIAN PASTA CO. CLASS A EQUITY 027070101 229 8,741 SH sole 1 8,741 AMERICAN LAND LEASE INC EQUITY 027118108 16 820 SH sole 1 820 AMERICAN MED SEC GROUP EQUITY 02744P101 207 6,462 SH sole 1 6,462 AMERICAN MEDICAL SYSTEMS HOLDI EQUITY 02744M108 499 13,746 SH sole 1 13,746 AMERICAN NATIONAL IN EQUITY 028591105 16 161 SH sole 1 161 AMERICAN PHARMACEUTICA EQUITY 02886P109 11 410 SH sole 1 410 AMERICAN PHYSICIANS CAPITAL IN EQUITY 028884104 142 4,632 SH sole 1 4,632 AMERICAN POWER CONVERSION EQUITY 029066107 1800 103,512 SH sole 1 103,512 AMERICAN PWR CONVERSION CO EQUITY 029066107 4 228 SH defined 2 228 AMERICAN SCIENCE &ENGR COM EQUITY 029429107 3 87,500 SH sole 3 87,500 AMERICAN STANDARD COMPANIES EQUITY 029712106 3687 94,768 SH sole 1 94,768 AMERICAN STATES WATER CO. EQUITY 029899101 207 8,306 SH sole 1 8,306 AMERICAN STD COS INC DEL EQUITY 029712106 9 244 SH defined 2 244 AMERICAN SUPERCONDUCTOR CORP EQUITY 030111108 165 13,285 SH sole 1 13,285 AMERICAN TOWER CORP EQUITY 029912201 60711 3,955,133 SH sole 1 3,955,133 AMERICAN TOWER CORP EQUITY 029912201 470 30,600 SH defined 2 30,600 AMERICAN VANGUARD CORP EQUITY 030371108 97 2,725 SH sole 1 2,725 AMERICAN WEST HOLDINGS CORP. CLASS B EQUITY 023657208 103 19,132 SH sole 1 19,132 AMERICAN WOODMARK CORP. EQUITY 030506109 216 5,834 SH sole 1 5,834 AMERICANWEST BANCORPORATION EQUITY 03058P109 105 5,562 SH sole 1 5,562 AMERICA'S CAR-MART INC EQUITY 03062T105 103 3,061 SH sole 1 3,061 AMERICREDIT CORP. EQUITY 03060R101 5426 259,865 SH sole 1 259,865 AMERIGROUP CORP EQUITY 03073T102 758 13,480 SH sole 1 13,480 AMERISOURCEBERGEN CO EQUITY 03073E105 4224 78,646 SH sole 1 78,646 AMERISOURCEBERGEN CORP EQUITY 03073E105 7 128 SH defined 2 128 AMERISTAR CASINOS EQUITY 03070Q101 188 6,215 SH sole 1 6,215 AMERITRADE HLDG CORP NEW EQUITY 03074K100 5433 452,400 SH defined 2 452,400 AMERITRADE HOLDING CORP - CL A EQUITY 03074K100 58 4,839 SH sole 1 4,839 AMERN EAGLE OUTFIT NEW COM EQUITY 02553E106 20 546,932 SH sole 3 528,300 18,632 AMERON, INC. EQUITY 030710107 147 4,472 SH sole 1 4,472 AMERUS GROUP CO. EQUITY 03072M108 3490 85,122 SH sole 1 85,122 AMETEK INC NEW EQUITY 031100100 7665 252,800 SH defined 2 252,800 AMETEK, INC. EQUITY 031100100 3411 112,505 SH sole 1 112,505 AMGEN INC EQUITY 031162100 22161 751,166 SH defined 2 751,166 Amgen Inc. USD0.0001 EQUITY 031162100 80434 1,415,834 SH sole 1 1,415,834 AMIS HOLDINGS INC EQUITY 031538101 230 17,000 SH sole 1 17,000 AMKOR TECHNOLOGY, INC EQUITY 031652100 8 2,076 SH sole 1 2,076 AMLI RESIDENTIAL PROPERTIES EQUITY 001735109 509 16,655 SH sole 1 16,655 AMN HEALTHCARE SERVICE EQUITY 001744101 75 6,251 SH sole 1 6,251 AMPHENOL CORP. CLASS A EQUITY 032095101 4987 145,574 SH sole 1 145,574 AMR CORP. EQUITY 001765106 15363 2,095,874 SH sole 1 2,095,874 Amsouth Bancorp EQUITY 032165102 1708 70,000 SH sole 4 70,000 AMSOUTH BANCORPORATION EQUITY 032165102 3849 157,738 SH sole 1 157,738 AMSOUTH BANCORPORATION EQUITY 032165102 10 403 SH defined 2 403 AMSURG CORP CL A EQUITY 03232P405 349 16,473 SH sole 1 16,473 AMX CORP NEW COM EQUITY 00180C105 10 563,900 SH sole 3 558,200 5,700 AMYLIN PHARMACEUTICALS, INC. EQUITY 032346108 41 2,015 SH sole 1 2,015 ANADARKO PETE CORP EQUITY 032511107 503 7,585 SH defined 2 7,585 ANADARKO PETROLEUM CORP. EQUITY 032511107 8061 121,475 SH sole 1 121,475 ANALOG DEVICES INC EQUITY 032654105 12097 311,931 SH defined 2 311,931 Analog Devices USD0.167 EQUITY 032654105 19359 499,211 SH sole 1 499,211 ANALOGIC CORP. EQUITY 032657207 260 6,239 SH sole 1 6,239 ANAREN INC EQUITY 032744104 152 11,270 SH sole 1 11,270 ANCHOR BANCORP WISCONSIN, INC. EQUITY 032839102 278 10,721 SH sole 1 10,721 ANCHOR GLASS CONTAINER CORP EQUITY 03304B300 44 5,357 SH sole 1 5,357 ANDREW CORP EQUITY 034425108 1674 136,783 SH defined 2 136,783 ANDREW CORP. EQUITY 034425108 6705 547,784 SH sole 1 547,784 ANDRX GROUP EQUITY 034553107 35 1,560 SH sole 1 1,560 ANGELICA CORP EQUITY 034663104 121 4,866 SH sole 1 4,866 ANGIOTECH PHARMACEUTICALS EQUITY 034918102 2210 109,300 SH defined 1 0 109,300 ANHEUSER-BUSCH COMPANIES, INC. EQUITY 035229103 17290 346,153 SH sole 1 346,153 ANIMAS CORP EQUITY 03525Y105 37 2,312 SH sole 1 2,312 ANIXTER INTERNATIONALL, INC. EQUITY 035290105 567 16,150 SH sole 1 16,150 ANN TAYLOR STORES CORP. EQUITY 036115103 2755 117,719 SH sole 1 117,719 ANNALY MTG MGMT INC EQUITY 035710409 42 2,478 SH sole 1 2,478 ANSOFT CORP EQUITY 036384105 58 3,626 SH sole 1 3,626 ANSWERTHINK INC EQUITY 036916104 131 24,504 SH sole 1 24,504 ANSYS INC EQUITY 03662Q105 416 8,369 SH sole 1 8,369 ANTEON INTERNATIONAL CORP EQUITY 03674E108 538 14,685 SH sole 1 14,685 ANTHEM INC EQUITY 03674B104 8148 30,987 SH sole 1 30,987 ANTHEM INC EQUITY 03674B104 3722 42,659 SH defined 2 42,659 ANTHRACITE CAPITAL INC. EQUITY 037023108 2546 228,984 SH sole 1 228,984 ANTIGENICS INC. EQUITY 037032109 83 13,822 SH sole 1 13,822 ANWORTH MORTGAGE ASSET EQUITY 037347101 277 24,317 SH sole 1 24,317 AON CORP EQUITY 037389103 10 360 SH defined 2 360 AON CORP. EQUITY 037389103 11788 410,170 SH sole 1 410,170 APACHE CORP EQUITY 037411105 19 372 SH defined 2 372 APACHE CORP. 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