UNITED STATES

                       SECURITIES AND EXCHANGE COMMISSION

                              Washington, DC 20549

                                    Form 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   September 30, 2003

Institutional Investment Manager Filing this Report:
Name:    General American Investors Company, Inc.
Address: 450 Lexington Avenue, Suite 3300
         New York, NY  10017

13F File Number: 28-461

The institutional  investment  manager filing 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:
Name:  Eugene L. DeStaebler, Jr.
Title: Vice-President, Administration
Phone: 212-916-8400
Signature, Place and Date of Signing:
     Eugene L. DeStaebler, Jr.     New York, NY      October 28, 2003

Report Type  (Check only one.):

[x]       13F HOLDINGS 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: 56
Form 13F Information Table Value Total: $781,943,153




      NAME OF ISSUER         TITLE    CUSIP          FAIR      SHARES OR          INVEST. DISC.    OTHER      VOTING AUTHORITY
                              OF      NUMBER        MARKET     PRINCIPAL  SH/               SHARED  MGRS.
                             CLASS                   VALUE      AMOUNT    PRN    SOLE SHARED OTHER        SOLE     SHARED   NONE
                                                                                 (A)   (B)   (C)          (A)       (B)      (C)
 ----------------------------------------------------------------------------------------------------------------------------------
                                                                                      
 Adams Express Company      COMMON 006212104       1,057,957       89,430 N       X                         89,430
 American International Gro COMMON 026874107      19,329,500      335,000 N       X                        335,000
 Alkermes, Inc.             COMMON 01642T108       4,664,800      340,000 N       X                        340,000
 Applied Materials, Inc.    COMMON 038222105       3,626,000      200,000 N       X                        200,000
 Annuity and Life Re (Holdi COMMON G03910109       1,140,000    1,000,000 N       X                      1,000,000
 ASM International N.V.     COMMON N07045102       3,682,500      250,000 N       X                        250,000
 The Boeing Company         COMMON 097023105         686,600       20,000 N       X                         20,000
 Baxter International Inc.  COMMON 071813109      26,154,000      900,000 N       X                        900,000
 Bancroft Convertible Fund  COMMON 059695106         340,320       17,725 N       X                         17,725
 Bristol-Myers Squibb Compa COMMON 110122108       7,698,000      300,000 N       X                        300,000
 Berkshire Hathaway Inc.    COMMON 084670108      22,500,000          300 N       X                            300
 Brooks Automation, Inc.    COMMON 114340102      10,272,350      491,500 N       X                        491,500
 Coca-Cola Enterprises Inc. COMMON 191219104       5,241,500      275,000 N       X                        275,000
 Central Securities Corpora COMMON 155123102       2,083,488      105,976 N       X                        105,976
 CIENA Corporation          COMMON 171779101       3,223,000      550,000 N       X                        550,000
 Costco Wholesale Corporati COMMON 22160K105      21,805,000      700,000 N       X                        700,000
 Cox Communications, Inc. - COMMON 224044107      19,604,400      620,000 N       X                        620,000
 Cisco Systems, Inc.        COMMON 17275R102      17,631,000      900,000 N       X                        900,000
 Genentech, Inc.            COMMON 368710406      26,846,900      335,000 N       X                        335,000
 Devon Energy Corporation   COMMON 25179M103      13,459,467      279,300 N       X                        279,300
 EMC Corporation            COMMON 268648102       3,789,000      300,000 N       X                        300,000
 EMCORE Corporation         COMMON 290846104         579,180      197,000 N       X                        197,000
 Ethan Allen Interiors Inc. COMMON 297602104       9,900,000      275,000 N       X                        275,000
 Golden West Financial      COMMON 381317106      35,804,000      400,000 N       X                        400,000
 Genaera Corporation        COMMON 36867G100       1,277,100      270,000 N       X                        270,000
 Genta Incorporated         COMMON 37245M207       4,751,250      375,000 N       X                        375,000
 Halliburton Company        COMMON 406216101      15,762,500      650,000 N       X                        650,000
 The Home Depot, Inc.       COMMON 437076102      61,948,250    1,945,000 N       X                      1,945,000
 Health Net, Inc.           COMMON 42222G108      22,010,650      695,000 N       X                        695,000
 IDEC Pharmaceuticals Corpo COMMON 449370105       9,154,750      275,000 N       X                        275,000
 John Hancock Financial Ser COMMON 41014S106      14,365,000      425,000 N       X                        425,000
 Juniper Networks, Inc.     COMMON 48203R104       6,750,000      450,000 N       X                        450,000
 Medtronic, Inc.            COMMON 585055106      13,606,800      290,000 N       X                        290,000
 MedImmune, Inc.            COMMON 584699102       7,729,020      234,000 N       X                        234,000
 MedImmune Vaccines, Inc. 5 CONV C 053762AD2      10,050,000   10,000,000 N       X                     10,000,000
 MetLife, Inc.              COMMON 59156R108      12,201,750      435,000 N       X                        435,000
 Millennium Pharmaceuticals COMMON 599902103       1,854,000      120,000 N       X                        120,000
 Molex Incorporated Class A COMMON 608554200      16,945,475      692,500 N       X                        692,500
 M&T Bank Corporation       COMMON 55261F104      27,063,000      310,000 N       X                        310,000
 Max Re Capital Ltd.        COMMON G6052F103       1,872,200      110,000 N       X                        110,000
 Annaly Mortgage Management COMMON 035710409       9,441,500      575,000 N       X                        575,000
 Newell Rubbermaid Inc.     COMMON 651229106       2,708,750      125,000 N       X                        125,000
 OSI Pharmaceuticals, Inc.  COMMON 671040103       2,448,750       75,000 N       X                         75,000
 PepsiCo, Inc.              COMMON 713448108       6,874,500      150,000 N       X                        150,000
 Pfizer Inc                 COMMON 717081103      33,418,000    1,100,000 N       X                      1,100,000
 PartnerRe Ltd.             COMMON G6852T105      25,335,000      500,000 N       X                        500,000
 Everest Re Group, Ltd.     COMMON G3223R108      51,860,400      690,000 N       X                        690,000
 Reinsurance Group of Ameri COMMON 759351109      17,318,750      425,000 N       X                        425,000
 Republic Services, Inc.    COMMON 760759100      26,602,000    1,175,000 N       X                      1,175,000
 Royce Value Trust          COMMON 780910105       1,460,946       92,759 N       X                         92,759
 SunTrust Banks, Inc.       COMMON 867914103      13,583,250      225,000 N       X                        225,000
 The TJX Companies, Inc.    COMMON 872540109      48,550,000    2,500,000 N       X                      2,500,000
 Transatlantic Holdings, In COMMON 893521104      16,357,600      230,000 N       X                        230,000
 VeriSign, Inc.             COMMON 92343E102       4,711,000      350,000 N       X                        350,000
 Wal-Mart Stores, Inc.      COMMON 931142103      31,834,500      570,000 N       X                        570,000
 Zarlink Semiconductor Inc. COMMON 989139100         977,500      250,000 N       X                        250,000