-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, ALRiQWlSSDAh+zIlUrrHDkx3bZZX1DJRK5soJ9RQZ5HNErFq0DYljBhM2abkXX7j nZhd7BFXpwgXNguP5po1xw== 0001104659-08-029486.txt : 20080502 0001104659-08-029486.hdr.sgml : 20080502 20080502155653 ACCESSION NUMBER: 0001104659-08-029486 CONFORMED SUBMISSION TYPE: 424B2 PUBLIC DOCUMENT COUNT: 7 FILED AS OF DATE: 20080502 DATE AS OF CHANGE: 20080502 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LEHMAN BROTHERS HOLDINGS INC CENTRAL INDEX KEY: 0000806085 STANDARD INDUSTRIAL CLASSIFICATION: SECURITY BROKERS, DEALERS & FLOTATION COMPANIES [6211] IRS NUMBER: 133216325 STATE OF INCORPORATION: DE FISCAL YEAR END: 1130 FILING VALUES: FORM TYPE: 424B2 SEC ACT: 1933 Act SEC FILE NUMBER: 333-134553 FILM NUMBER: 08798911 BUSINESS ADDRESS: STREET 1: LEHMAN BROTHERS STREET 2: 745 SEVENTH AVENUE CITY: NEW YORK STATE: NY ZIP: 10019 BUSINESS PHONE: 2125267000 MAIL ADDRESS: STREET 1: LEHMAN BROTHERS STREET 2: 745 SEVENTH AVENUE CITY: NEW YORK STATE: NY ZIP: 10019 FORMER COMPANY: FORMER CONFORMED NAME: SHEARSON LEHMAN HUTTON HOLDINGS INC DATE OF NAME CHANGE: 19901017 424B2 1 a08-13196_6424b2.htm 424B2

 

Calculation of the Registration Fee

 

Title of Each Class of Securities

 

Maximum Aggregate Offering

 

 

Offered

 

Price

 

Amount of Registration Fee(1)(2)

Notes

 

$6,850,000

 

$269.21

 

(1) Calculated in accordance with Rule 457(r) of the Securities Act of 1933.

 

(2) Pursuant to Rule 457(p) under the Securities Act of 1933, filing fees have already been paid with respect to unsold securities that were previously registered pursuant to a Registration Statement on Form S-3 (No. 333-134553) filed by Lehman Brothers Holdings Inc. and the other Registrants thereto on May 30, 2006, and have been carried forward, of which $269.21 is offset against the registration fee due for this offering and of which $858,514.06 remains available for future registration fees. No additional registration fee has been paid with respect to this offering.

 



 

 

 

Filed Pursuant to Rule 424(b)(2)

 

 

Registration No. 333-134553

 

PRICING SUPPLEMENT NO. 806
(To prospectus dated May 30, 2006 and prospectus supplement dated May 30, 2006)

 

U.S.$6,850,000

LEHMAN BROTHERS HOLDINGS INC.

MEDIUM-TERM NOTES, SERIES I

FX Basket-Linked Notes

Due May 5, 2010

 

Because these notes are part of a series of Lehman Brothers Holdings’ debt securities called Medium-Term Notes, Series I, this pricing supplement should also be read with the accompanying prospectus supplement, dated May 30, 2006 (the “MTN prospectus supplement”) and the accompanying prospectus dated May 30, 2006 (the “base prospectus”).  Terms used here have the meanings given to them in the MTN prospectus supplement or the base prospectus, unless the context requires otherwise.

 

General:

 

·      Additional Amount: A single U.S. dollar amount equal to the principal amount of the notes multiplied by the product of the Participation Rate times the Basket Return, if the Basket Return is greater than zero; provided that the minimum Additional Amount payable on the notes shall be zero.

 

·      Settlement Rate: For each Reference Currency, the Reference Exchange Rate on the Valuation Date determined by the Calculation Agent in accordance with the applicable Settlement Rate Option (as defined in “Description of the Notes” below) subject to the occurrence of a Disruption Event (as defined in “Description of the Notes” below).

 

·      Participation Rate: 120%

 

·      Reference Exchange Rates: For EUR and GBP, the spot exchange rates for each of EUR and GBP quoted against the U.S. dollar, expressed as the number of USD per unit of the Reference Currency. For CAD and CHF, the spot exchange rate for each of CAD and CHF quoted against the U.S. dollar, expressed as the number of units of the Reference Currency per one USD.

 

·      Basket Return: The sum of the Weighted Currency Returns for the Reference Currencies.

 

·      Weighted Currency Returns: For EUR and GBP, the product of the Weighting for each of EUR and GBP times a quotient, the numerator of which is the difference of the Initial Reference Currency Rate for such Reference Currency minus the Settlement Rate for such Reference Currency and the denominator of which is the Settlement Rate for such Reference Currency.  For CAD and CHF, the product of the Weighting for each of CAD and CHF times a quotient, the numerator of which is the difference of the Settlement Rate for such Reference Currency minus the Initial Reference Currency Rate for such Reference Currency and the denominator of which is the Initial Reference Currency Rate for such Reference Currency.

 

·      Senior unsecured obligations of Lehman Brothers Holdings Inc

 

·      CUSIP: 5252M0FM4

 

·      ISIN: US5252M0FM43

 

·      The notes are designed for investors who wish to hold a long position in the U.S. dollar (USD) relative to a basket of currencies.

 

·      Reference Currency: Each of the Euro (EUR), British Pound (GBP), Canadian Dollar (CAD) and Swiss Franc (CHF) (collectively, the “Reference Currencies”).

 

·      Basket: The Basket will be comprised of the four Reference Currencies. Each of the EUR, GBP, CAD and CHF makes up a portion of the Basket with a weighting (the “Weighting”), on the date of this pricing supplement, of 25% each.

 

·      Maturity Date: May 5, 2010

 

·      Valuation Date: April 30, 2010; provided that, upon the occurrence of a Disruption Event (as defined in “Description of the Notes” below) with respect to a Reference Currency, the Valuation Date for the affected Reference Currency may be postponed (as described in “Description of the Notes” below).

 

·      The notes are 100% principal protected if held to maturity.

 

·      Denominations: U.S.$1,000 and integral multiples of U.S.$1,000 in excess thereof.

 

 

 

 

 

Payments:

 

·      Initial Reference Currency Rates:

 

 

 

 

 

·      No interest payments during the term of the notes.

 

·      Each note will receive a single U.S. dollar payment on the Maturity Date equal to the principal amount of the notes plus the Additional Amount, if any, which payment is linked to the Basket Return.

 

Reference Currency

 

Initial Reference Currency Rate

 

EUR

 

1.55690

 

GBP

 

1.98055

 

CAD

 

1.00710

 

CHF

 

1.04155

 

 

 

 

 

 

 

 

 

 



 

Investing in the notes involves risks.  Risk Factors begin on page S-4 of the MTN prospectus supplement.

 

Neither the Securities and Exchange Commission nor any state securities commission has approved or disapproved of these securities or determined if this pricing supplement or any accompanying prospectus supplement or prospectus is truthful or complete. Any representation to the contrary is a criminal offense.

 

 

 

Per Note

 

Total

 

Public offering price(1)

 

100.000

%

U.S.$6,850,000.00

 

Underwriting discount(2)

 

1.2

%

U.S.$82,200.00

 

Proceeds to Lehman Brothers Holdings Inc.

 

98.8

%

U.S.$6,767,800.00

 

 

(1)  The price to public includes the cost of hedging the Issuer’s obligations under the notes through one or more of the Issuer’s affiliates, which includes the Issuer’s affiliates expected cost of providing such hedge as well as the profit such affiliates expect to realize in consideration for assuming the risks inherent in providing such hedge.

 

(2)  Lehman Brothers Inc. will receive commissions equal to $12.00 per $1,000 principal amount, or 1.20%, and may use all or a portion of these commissions to pay selling concessions or fees to other dealers. Lehman Brothers Inc. and/or an affiliate may earn additional income as a result of payments pursuant to any hedges.

 

The notes are expected to be ready for delivery in book-entry form only through The Depository Trust Company on or about May 5, 2008.

 


 

Lehman Brothers Inc., a wholly owned subsidiary of Lehman Brothers Holdings, makes a market in Lehman Brothers Holdings’ securities.  It may act as principal or agent in, and this pricing supplement may be used in connection with, those transactions.  Any such sales will be made at varying prices related to prevailing market prices at the time of sale.

 


 

LEHMAN BROTHERS

 

April 30, 2008

 



 

SUMMARY INFORMATION — Q&A

 

This summary highlights selected information from this pricing supplement, the MTN prospectus supplement and the base prospectus to help you understand the notes. You should carefully read this pricing supplement, the MTN prospectus supplement and the base prospectus to understand fully the terms of the notes and the tax and other considerations that are important to you in making a decision about whether to invest in the notes. You should pay special attention to the “Risk Factors” section on page S-4 of the MTN prospectus supplement to determine whether an investment in the notes is appropriate for you.

 

What are the notes?

 

The notes will be a series of our senior debt that are linked to a basket (the “Basket”) that measures the performance of the U.S. dollar (USD), relative to the Euro (EUR), British Pound (GBP), Canadian Dollar (CAD) and Swiss Franc (CHF).  We refer to EUR, GBP, CAD and CHF as the Reference Currencies. Each of the EUR, GBP, CAD and CHF makes up a portion of the Basket, with a Weighting of 25% each.

 

The notes will rank equally with all other unsecured debt of Lehman Brothers Holdings Inc., except subordinated debt, and will mature on May 5, 2010 (or if such day is not a New York business day, the next succeeding New York business day).

 

What payments will I receive on the notes before maturity?

 

None. Unlike ordinary debt securities, the notes do not pay interest before maturity.

 

What will I receive if I hold the notes until the stated maturity date?

 

We have designed this type of note for investors who want to protect their investment by receiving at least the principal amount of their investment at maturity and who also want to participate in a possible change in the value of the U.S. dollar relative to the Reference Currencies. At maturity, you will receive a payment equal to the sum of:

 

·                  the principal amount of the notes; and

·                  the Additional Amount, if any.

 

As a result, if you hold the notes until maturity, you will not receive less than the principal amount.

 

How will the Additional Amount be calculated?

 

The Additional Amount is a single U.S. dollar amount equal to the principal amount of the notes multiplied by the product of the Participation Rate times the Basket Return, if the Basket Return is greater than zero; provided that the minimum Additional Amount payable on the notes shall be zero.

 

The Participation Rate is 120%.

 

The Basket Return is the sum of the Weighted Currency Returns.  For EUR and GBP, the Weighted Currency Return is the product of the Weighting for each of EUR and GBP times a quotient, the numerator of which is the difference of the Initial Reference Currency Rate for such Reference Currency minus the Settlement Rate for such Reference Currency and the denominator of which is the Settlement Rate for such Reference Currency.  For CAD and CHF, the Weighted Currency Return is the product of the Weighting for each of CAD and CHF times a quotient, the numerator of which is the difference of the Settlement Rate for such Reference Currency minus the Initial Reference Currency Rate for such Reference Currency and the denominator of which is the Initial Reference Currency Rate for such Reference Currency.

 

The Initial Reference Currency Rate for each Reference Currency is as follows:

 

Reference
Currency

 

Initial Reference Currency
Rate

 

EUR

 

1.55690

 

GBP

 

1.98055

 

CAD

 

1.00710

 

CHF

 

1.04155

 

 

The Settlement Rate for each Reference Currency is the Reference Exchange Rate on the Valuation Date, determined by the Calculation Agent in accordance with the applicable Settlement Rate Option (as defined in “Description of the Notes” below), subject to the occurrence of a Disruption Event (as defined in “Description of the Notes” below).

 

The Valuation Date is April 30, 2010; provided that, upon the occurrence of a Disruption Event with respect to a Reference Currency, the Valuation Date for the affected Reference Currency may be postponed (as described in “Description of the Notes” below).

 

The Reference Exchange Rates are, for EUR and GBP, the spot exchange rates for each of EUR and GBP quoted against the U.S. dollar, expressed as the number of USD per unit of the Reference Currency. The Reference Exchange Rates for CAD and CHF

 

PS-1



 

are the spot exchange rate for each of CAD and CHF quoted against the U.S. dollar, expressed as the number of units of the Reference Currency per one USD.

 

For further information concerning the calculation of the Additional Amount, see “Description of the Notes” below.  You can review hypothetical Redemption Amount payment examples under “Description of the Notes—Hypothetical Redemption Amount Payment Examples” below.

 

How will I be able to find the Basket Return at any point in time?

 

You can obtain the Basket Return at any time by calling your Lehman Brothers sales representative.

 

You can review the historical performance of the Reference Currencies under “Historical Exchange Rates” below.

 

Are there any risks associated with my investment?

 

Yes, the notes will be subject to a number of risks. See “Risk Factors” beginning on page S-4 of the MTN prospectus supplement.

 

What about taxes?

 

We intend to treat the notes as contingent payment debt instruments as described under “Certain United States Federal Income Tax Consequences” below and “Supplemental United States Federal Income Tax Consequences—Contingent Payment Debt Instruments” in the MTN prospectus supplement.

 

What happens in the event of a Disruption Event?

 

If the Calculation Agent determines that a Disruption Event (as defined in “Description of the Notes” below) relating to one or more of the Reference Currencies is in effect on the scheduled Valuation Date, the Calculation Agent will determine the Basket Return using:

 

·                  for each Reference Currency that did not suffer a Disruption Event on the scheduled Valuation Date, the Settlement Rate on the scheduled Valuation Date, and

 

·                  for each Reference Currency that did suffer a Disruption Event on the scheduled Valuation Date, the Settlement Rate on the immediately succeeding scheduled Valuation Business Day for such Reference Currency on which no Disruption Event occurs or is continuing with respect to such Reference Currency;

 

provided however that if a Disruption Event has occurred or is continuing with respect to a Reference Currency on each of the three scheduled Valuation Business Days following the scheduled Valuation Date, then (a) such third scheduled Valuation Business Day shall be deemed the Valuation Date for the affected Reference Currency; and (b) the Calculation Agent will determine the Settlement Rate for the affected Reference Currency on such day in accordance with the Fallback Rate Observation Methodology, as defined under “Description of the Notes—Currency-Indexed Notes” in the MTN prospectus supplement.

 

Who is Lehman Brothers Holdings?

 

Lehman Brothers Holdings Inc. and its subsidiaries (collectively “Lehman Brothers Holdings”) an innovator in global finance, serves the financial needs of corporations, governments and municipalities, institutional clients and high-net-worth clients worldwide. Lehman Brothers Holdings’ worldwide headquarters in New York and regional headquarters in London and Tokyo are complemented by offices in additional locations in North America, Europe, the Middle East, Latin America and the Asia Pacific region. See “Prospectus Summary – Lehman Brothers Holdings Inc.” and “Where You Can Find More Information” on pages 1 and 58, respectively, of the base prospectus.

 

Lehman Brothers Holdings Inc. is rated A1 by Moody’s, A+ by Standard & Poor’s and AA- by Fitch. A credit rating reflects the creditworthiness of Lehman Brothers Holdings Inc. and is not a recommendation to buy, sell or hold securities, and it may be subject to revision or withdrawal at any time by the assigning rating organization. Each rating should be evaluated independently of any other rating.

 

You may request a copy of any document Lehman Brothers Holdings files with the Securities and Exchange Commission, or the SEC, pursuant to the Securities and Exchange Act of 1934, at no cost, by writing or telephoning Lehman Brothers Holdings at the address set forth under the caption “Where You Can Find More Information” in the base prospectus.

 

What is the role of Lehman Brothers Inc.?

 

Lehman Brothers Inc., one of our subsidiaries, will be the agent and the calculation agent for purposes of determining whether the Additional Amount is payable on the Maturity Date as well as determining whether a Disruption Event has occurred.  Potential conflicts of interest may exist between Lehman Brothers Inc. and you as a beneficial owner of the notes. See “Risk Factors—An affiliate of ours may act as calculation agent on the notes, creating a potential conflict of interest between you and us” in

 

PS-2



 

the MTN prospectus supplement and “Description of the Notes” below.

 

Can you tell me more about the effect of hedging activity by Lehman Brothers Holdings?

 

We expect to hedge our obligations under the notes through one or more of our affiliates. This hedging activity will likely involve trading in the Reference Currencies or in other instruments, such as options, swaps or futures, based on the Reference Currencies. This hedging activity could adversely affect the price at which your notes will trade in the secondary market. Moreover, this hedging activity may result in us or our affiliates receiving a profit, even if the market value of the notes declines.

 

In what form will the notes be issued?

 

The notes of each series will be represented by one or more global securities that will be deposited with and registered in the name of The Depository Trust Company or its nominee. Except in very limited circumstances you will not receive a certificate for your notes.

 

Will the notes be listed on a stock exchange?

 

No, the notes will not be listed on a stock exchange.

 

After the initial offering of the notes, Lehman Brothers Inc. intends to make a market in the notes and may stabilize or maintain the market price of the notes during the initial distribution of the notes.  However, Lehman Brothers Inc. will not be obligated to engage in any of these market activities or to continue them once they are begun. No assurance can be given as to the liquidity of the trading market for the notes.

 

PS-3



 

RISK FACTORS

 

An investment in the notes entails certain risks not associated with an investment in conventional floating rate or fixed rate medium-term notes. See “Risk Factors” generally, and “Risk Factors—Risks Relating to Currency-Indexed Notes” specifically, in the MTN prospectus supplement.

 

DESCRIPTION OF THE NOTES

 

The U.S.$6,850,000 aggregate principal amount of FX Basket-Linked Notes Due May 5, 2010 offered hereby are Medium-Term Notes, Series I, of Lehman Brothers Holdings Inc.  The CUSIP number for the notes is 5252M0FM4 and the ISIN number is US5252M0FM43. The notes will be issued in book-entry form only, and will be eligible for transfer through the facilities of DTC or any successor depository. See “Book-Entry Procedures and Settlement” in the base prospectus.

 

The notes will be issued in minimum denominations of U.S.$1,000 and in integral multiples of U.S.$1,000 in excess thereof, and will have a stated “Maturity Date” of May 5, 2010 or if such day is not a New York business day, the next succeeding New York business day.

 

The notes allow you to hold a long position in the U.S. dollar relative to a single basket of currencies, including the Euro (EUR), British Pound (GBP), Canadian Dollar (CAD) and Swiss Franc (CHF).  Each of the EUR, GBP, CAD and CHF (each a “Reference Currency” and, collectively, the “Reference Currencies”) makes up a portion of the “Basket” with a weighting, on the date of this pricing supplement, of 25% each.

 

If held to the Maturity Date, holders of the notes will receive on the Maturity Date a single payment in U.S. dollars in an amount equal to the Redemption Amount as described below. No interest will accrue during the term of the notes and no interest will be payable on the Maturity Date except in the event that the Redemption Amount is not paid when due, as described below.

 

The “Reference Exchange Rates” are, for EUR and GBP, the spot exchange rates for each of EUR and GBP quoted against the U.S. dollar, expressed as the number of USD per unit of the Reference Currency. The Reference Exchange Rates for CAD and CHF are the spot exchange rate for each of CAD and CHF quoted against the U.S. dollar, expressed as the number of units of the Reference Currency per one USD.

 

The “Settlement Rate” for each Reference Currency is the Reference Exchange Rate on the Valuation Date, determined by the Calculation Agent in accordance with the applicable Settlement Rate Option (subject to the occurrence of a Disruption Event).

 

The “Participation Rate” is 120%.

 

The “Redemption Amount” for each note will be an amount equal to the sum of the principal amount of each note plus the Additional Amount, if any.  The Additional Amount is linked to the Basket Return, which in turn is based on whether the USD has appreciated or depreciated, in aggregate, relative to the Reference Currencies on the Valuation Date. Holders of the notes will receive on the Maturity Date an amount equal to not less than the principal amount of each note.

 

The “Additional Amount” is a single U.S. dollar amount equal to the principal amount of the notes multiplied by the product of the Participation Rate times the Basket Return, if the Basket Return is greater than zero; provided that the minimum Additional Amount payable on the notes shall be zero.

 

The “Basket Return” is the sum of the Weighted Currency Returns for each Reference Currency.

 

The “Weighted Currency Return” for EUR and GBP is the product of the Weighting for each of EUR and GBP times a quotient, the numerator of which is the difference of the Initial Reference Currency Rate for such Reference Currency minus the Settlement Rate for such Reference Currency and the denominator of which is the Settlement Rate for such Reference Currency.  The Weighted Currency Return for CAD and CHF is the product of the Weighting for each of CAD and CHF times a quotient, the numerator of which is the difference of the Settlement Rate for such Reference Currency minus the Initial Reference Currency Rate for such Reference Currency and the denominator of which is the Initial Reference Currency Rate for such Reference Currency.

 

The “Initial Reference Currency Rate” for each Reference Currency is the Reference Exchange Rate for that Reference Currency on the Trade Date, determined in accordance with the applicable Settlement Rate Option, as follows:

 

PS-4



 

Reference
Currency

 

Weighting

 

Initial Reference
Currency Rate

 

EUR

 

25%

 

1.55690

 

GBP

 

25%

 

1.98055

 

CAD

 

25%

 

1.00710

 

CHF

 

25%

 

1.04155

 

 

The “Valuation Date” is April 30, 2010; provided that, upon the occurrence of a Disruption Event with respect to a Reference Currency, the Valuation Date for the affected Reference Currency may be postponed (as described below).

 

The “Trade Date” is the date hereof.

 

The “Issue Date” is May 5, 2008.

 

The “Settlement Rate Option” and “Valuation Business Day” for each Reference Currency are as follows:

 

Reference
Currency

 

Screen Reference*

 

Valuation
Business
Day

 

EUR

 

Reuters page
EURUSDFIXM=WM
(as substitute for 1FED)

 

London

 

GBP

 

Reuters page
GBPUSDFIXM=WM
(as substitute for 1FED)

 

London

 

CAD

 

Reuters page
USDCADFIXM=WM
(as substitute for 1FED)

 

London

 

CHF

 

Reuters page
USDCHFFIXM=WM
(as substitute for 1FED)

 

London

 

 

* In each case, as observed at approximately 4:00 p.m. London time.

 

For further information concerning the Settlement Rate Option and Valuation Business Day, see “Description of the Notes—Currency-Indexed Notes” in, and Appendix A to, the MTN prospectus supplement.

 

If a Disruption Event relating to one or more of the Reference Currencies is in effect on the scheduled Valuation Date, the Calculation Agent will determine the Basket Return using:

 

·                  for each Reference Currency that did not suffer a Disruption Event on the scheduled Valuation Date, the Settlement Rate on the scheduled Valuation Date, and

 

·                  for each Reference Currency that did suffer a Disruption Event on the scheduled Valuation Date, the Settlement Rate on the immediately succeeding scheduled Valuation Business Day for such Reference Currency on which no Disruption Event occurs or is continuing with respect to such Reference Currency;

 

provided however that if a Disruption Event has occurred or is continuing with respect to a Reference Currency on each of the three scheduled Valuation Business Days following the scheduled Valuation Date, then (a) such third scheduled Valuation Business Day shall be deemed the Valuation Date for the affected Reference Currency; and (b) the Calculation Agent will determine the Settlement Rate for the affected Reference Currency on such day in accordance with the Fallback Rate Observation Methodology, as defined under “Description of the Notes—Currency-Indexed Notes” in the MTN prospectus supplement.

 

A “Disruption Event” means any of the following events as determined in good faith by the Calculation Agent:

 

(A)      the occurrence and/or existence of an event on any day that has the effect of preventing or making impossible (x) the conversion of the Reference Currency into USD through customary legal channels; or (y) for any Reference Currency other than EUR, the delivery of USD from accounts inside the Reference Currency Jurisdiction with respect to such Reference Currency to accounts outside that Reference Currency Jurisdiction;

 

(B)        the occurrence of any event causing the Reference Exchange Rate for the Reference Currency to be split into dual or multiple currency exchange rates; or

 

(C)        the Settlement Rate being unavailable for the Reference Currency, or the occurrence of an event (i) for any Reference Currency other than EUR, in the Reference Currency Jurisdiction for that Reference Currency that materially disrupts the market for the Reference Currency or (ii) that generally makes it impossible to obtain the Settlement Rate for the Reference Currency, on the Valuation Date.

 

For purposes of the above, “scheduled Valuation Business Day” means a day that is or, in the judgment of the Calculation Agent, should have been, a Valuation Business Day for the affected Reference Currency.

 

The notes are not subject to redemption at our option or to repayment at the option of the Holders of the notes prior to the Maturity Date.

 

In case an event of default (as described in the base prospectus) with respect to any note shall have occurred and be continuing, the amount that may be declared due and payable upon any acceleration of

 

PS-5



 

the notes will be determined by the Calculation Agent for the period from and including the Issue Date to but excluding the date of early repayment and will equal, for each note, the Redemption Amount, calculated as though the date of early repayment were the Maturity Date. If a bankruptcy proceeding is commenced in respect of Lehman Brothers Holdings, the claim of the beneficial owner of a note for the period from and including the Issue Date to but excluding the date of early repayment will be capped at the Redemption Amount, calculated as though the date of the commencement of the proceeding were the Maturity Date.

 

Any overdue payment in respect of any note will bear interest until the date upon which all sums due in respect of such note are received by or on behalf of the relevant Holder, at the rate per annum that is the rate for deposits in U.S. dollars for a period of six months that appears on the Reuters Screen LIBOR page as of 11:00 a.m. (London time) on the first London business day following such failure to pay. Such rate will be determined by the Calculation Agent.  If interest in respect of overdue amounts is calculated for a period of less than one year, it will be calculated on the basis of a 360-day year consisting of 12 months of 30 days each, and, in the case of an incomplete month, the number of days elapsed.

 

The “Calculation Agent” means Lehman Brothers Inc.

 

PS-6



 

Historical Exchange Rates

 

General

 

The notes allow you to hold a long position in the U.S. dollar relative to the Basket.

 

Historical Data on the Reference Currencies

 

The following charts show the spot exchange rates for each Reference Currency at the end of each week in the period from the week ending April 24, 2005, through the week ending April 27, 2008, using historical data obtained from Reuters; neither Lehman Brothers Inc. nor Lehman Brothers Holdings Inc. makes any representation or warranty as to the accuracy or completeness of this data.  The spot exchange rates are expressed as the amount of Reference Currency per USD to show the appreciation or depreciation, as the case may be, of the USD relative to the Reference Currency (and, in the case of EUR and GBP, are the inverse of the spot exchange rates used to calculate the Basket Return, which are expressed as the amount of USD per Reference Currency).  The historical data on each Reference Currency is not necessarily indicative of the future performance of the Reference Currencies, the Basket Return or what the value of the notes may be. Fluctuations in exchange rates make it difficult to predict whether the Basket Return will be greater than, less than or equal to zero and, consequently, the Additional Amount payable at maturity.  Historical exchange rate fluctuations may be greater or lesser than those experienced by the holders of the notes.

 

 

 

PS-7



 

 

 

 

PS-8



 

 

PS-9



 

Hypothetical Historical Basket Return

 

The following chart shows the hypothetical Basket Return at the end of each week in the period from the week ending April 24, 2005, through the week ending April 27, 2008 and the Trade Date, based on the hypothetical composite performance of the Reference Currencies using data obtained from Reuters; neither Lehman Brothers Inc. nor Lehman Brothers Holdings Inc. makes any representation or warranty as to the accuracy or completeness of this data.  Under the terms of the notes and for purposes of calculating the Redemption Amount, the Basket Return was indexed to 0.0 on the Trade Date based on the Initial Reference Currency Rates.  The composite value of the Reference Currencies on any prior day was obtained by using the calculation of the Basket Return described above. Spot exchange rates used in this determination are expressed as the number of units of Reference Currency per U.S. dollar (except for EUR and GBP, which are expressed as the number of USD per unit of the Reference Currency).

 

 

PS-10



 

Hypothetical Redemption Amount Payment Examples

 

The following payment examples for this note show scenarios for the Redemption Amount payable at maturity of the notes, including scenarios for the Additional Amounts payable if the Basket Return is greater or less than zero, based on the Participation Rate (120%) and the Initial Reference Currency Rates (each of which was determined on the Trade Date), as well hypothetical values for the Settlement Rates (which will be determined on the Valuation Date), and the resulting Basket Return.

 

 

 

The Settlement Rate values for the Reference Currencies have been chosen arbitrarily for the purpose of these examples, are not associated with Lehman Brothers Research forecasts for any Reference Currency/USD exchange rates and should not be taken as indicative of the future performance of any Reference Currency/USD exchange rate.

 

Example 1: The USD appreciates relative to each of the EUR, GBP, CAD and CHF, resulting in a Basket Return of 0.0645 (6.45%).  Because the Basket Return is greater than zero, the Additional Amount is equal to 7.74%, and the Redemption Amount is equal to 107.74%, times the principal amount of the notes.

 

Because the Basket Return is 0.0645, the Redemption Amount payable at maturity is equal to $1,077.40 per $1,000 note (reflecting an Additional Amount of $77.40 per note), calculated as follows:

 

Redemption Amount = $1,000 + ($1,000 * 120% * 0.0645) = $1,077.40

 

The table below illustrates how the Basket Return in the above example was calculated:

 

Basket
Currency

 

Initial Reference
Currency Rate
(on Trade Date)

 

Settlement Rate
(on Valuation Date)

 

Weighting

 

Weighted
Currency Return

 

EUR

 

1.55690

 

1.46711

 

25.0%

 

0.0153

 

GBP

 

1.98055

 

1.80247

 

25.0%

 

0.0247

 

CAD

 

1.00710

 

1.08112

 

25.0%

 

0.0184

 

CHF

 

1.04155

 

1.06696

 

25.0%

 

0.0061

 

 

 

 

 

 

 

 

 

Basket Return = Sum of Weighted Currency Returns =

 

0.0645

 

 

PS-11



 

Example 2: The USD depreciates relative to each of the EUR, GBP, CAD and CHF, resulting in a Basket Return of –0.0597
(-5.97%).  Because the Basket Return is less than zero, the Additional Amount is equal to 0%, and the Redemption Amount is equal to 100%, times the principal amount of the notes.

 

Because the Basket Return is –0.0597, the Redemption Amount payable at maturity is equal to $1,000 per $1,000 note (reflecting an Additional Amount of $0 per note), the repayment of principal invested, with no additional return.

 

The table below illustrates how the Basket Return in the above example was calculated:

 

Basket
Currency

 

Initial Reference
Currency Rate
(on Trade Date)

 

Settlement Rate
(on Valuation Date)

 

Weighting

 

Weighted
Currency Return

 

EUR

 

1.55690

 

1.64786

 

25.0%

 

-0.0138

 

GBP

 

1.98055

 

2.06050

 

25.0%

 

-0.0097

 

CAD

 

1.00710

 

0.95352

 

25.0%

 

-0.0133

 

CHF

 

1.04155

 

0.94614

 

25.0%

 

-0.0229

 

 

 

 

 

 

 

 

 

Basket Return = Sum of Weighted Currency Returns =

 

-0.0597

 

 

Example 3: The USD appreciates relative to each of the EUR, GBP and CAD, but depreciates relative to the CHF, resulting in a Basket Return of 0.0091 (0.91%). Because the Basket Return is greater than zero, the Additional Amount is equal to 1.092%, and the Redemption Amount is equal to 101.092%, times the principal amount of the notes.

 

Because the Basket Return is 0.0091, the Redemption Amount payable at maturity is equal to $1,010.92 per $1,000 note (reflecting an Additional Amount of $10.92 per note), calculated as follows:

 

Redemption Amount = $1,000 + ($1,000 * 120% * 0.0091) = $1,010.92

 

The table below illustrates how the Basket Return in the above example was calculated:

 

Basket
Currency

 

Initial Reference
Currency Rate
(on Trade Date)

 

Settlement Rate
(on Valuation Date)

 

Weighting

 

Weighted
Currency Return

 

EUR

 

1.55690

 

1.45125

 

25.0%

 

0.0182

 

GBP

 

1.98055

 

1.86212

 

25.0%

 

0.0159

 

CAD

 

1.00710

 

1.03731

 

25.0%

 

0.0075

 

CHF

 

1.04155

 

0.90615

 

25.0%

 

-0.0325

 

 

 

 

 

 

 

 

 

Basket Return = Sum of Weighted Currency Returns =

 

0.0091

 

 

PS-12



 

Example 4: The USD depreciates relative to each of the EUR, GBP and CAD, but appreciates relative to the CHF, resulting in a Basket Return of –0.0489 (–4.89%).  Because the Basket Return is less than zero, the Additional Amount is equal to 0%, and the Redemption Amount is equal to 100%, times the principal amount of the notes.

 

Because the Basket Return is –0.0489, the Redemption Amount payable at maturity is equal to $1,000 per $1,000 note (reflecting an Additional Amount of $0 per note), the repayment of principal invested, with no additional return.

 

The table below illustrates how the Basket Return in the above example was calculated:

 

Basket
Currency

 

Initial Reference
Currency Rate
(on Trade Date)

 

Settlement Rate
(on Valuation Date)

 

Weighting

 

Weighted
Currency Return

 

EUR

 

1.55690

 

1.67481

 

25.0%

 

-0.0176

 

GBP

 

1.98055

 

2.02014

 

25.0%

 

-0.0049

 

CAD

 

1.00710

 

0.91525

 

25.0%

 

-0.0228

 

CHF

 

1.04155

 

1.02655

 

25.0%

 

-0.0036

 

 

 

 

 

 

 

 

 

Basket Return = Sum of Weighted Currency Returns =

 

-0.0489

 

 

PS-13



 

CERTAIN UNITED STATES FEDERAL INCOME TAX CONSEQUENCES

 

We intend to treat the notes as contingent payment debt instruments, as described under “Supplemental United States Federal Income Tax Consequences—Contingent Payment Debt Instruments” in the MTN prospectus supplement.

 

PS-14



 

SUPPLEMENTAL PLAN OF DISTRIBUTION

 

We have agreed to sell to Lehman Brothers Inc. (the “Agent”), and the Agent has agreed to purchase from us, the principal amount of the notes at the price specified on the cover of this pricing supplement. The Agent is committed to take and pay for all of the notes, if any are taken.

 

The Agent proposes to offer the notes initially at a public offering price equal to the public offering price on the cover of this pricing supplement and to certain dealers at a discount not to exceed 1.20%. After the initial public offering, the public offering price and the selling terms may from time to time be varied by the Agent.

 

If the notes are sold in a market-making transaction after their initial sale, information about the purchase price and the date of the sale will be provided in a separate confirmation of sale.

 

PS-15



 

U.S.$6,850,000

 

LEHMAN BROTHERS HOLDINGS INC.

MEDIUM-TERM NOTES, SERIES I

 

FX BASKET-LINKED NOTES

DUE MAY 5, 2010

 


 

PRICING SUPPLEMENT

APRIL 30, 2008

(INCLUDING PROSPECTUS SUPPLEMENT
DATED MAY 30, 2006 AND

PROSPECTUS

DATED MAY 30, 2006)

 


 

LEHMAN BROTHERS

 


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