Docket # 57998
Filed Apr 30 2018
Operating Report : March 2018 Post-Effective Operating Report Filed by Garrett A. Fail on behalf of Lehman Brothers Holdings Inc.. (Fail, Garrett)
Debtor: 08-13555 Lehman Brothers Holdings Inc.
LEHMAN BROTHERS HOLDINGS INC. and other Debtors and Debtor-Controlled Entities Schedule of Cash Receipts and Disbursements March 1, 2018 - April 5, 2018
Unaudited ($ in millions, foreign currencies reflected in USD equivalents)
Debtor-Controlled Entities LBHI LBSF LCPI Other Total Total
Beginning Free Cash and Investments (03/01/18) 166 $ 99 $ 23 $ 29 $ 316 $ 130 $ 447 $ Sources of Cash
Commercial Real Estate 0 - - - 0 0 0 Loans (Corporate and Residential) 1 - 0 - 1 0 2 Private Equity / Principal Investing 0 - 3 - 3 1 5 Derivatives - 9 - - 9 - 9 Receipts from Affiliates (a) 160 4 - 0 164 - 164 Other (b) 279 1 0 1 281 0 281 Total Sources of Cash 441 14 3 1 458 2 460
Uses of Cash Non-Operating Commercial Real Estate (0) - (0) - (0) - (0) Other (3) (1) - - (4) - (4)
Operating Expenses (c) Compensation and Benefits (4) - - - (4) (1) (5) Professional Fees (6) - - - (6) (0) (6) Other (2) (0) (0) (0) (2) (0) (2) Total Uses of Cash (14) (1) (0) (0) (15) (2) (17)
Total Cash From Operations 427 12 3 1 443 0 443
Pre-Petition Inter-Company Receipts 22 0 3 - 25 1 26 Post-Petition Inter-Company Receipts 10 1 24 137 171 3 174 Dividend Receipts 21 0 1 - 22 - 22 Total Inter-Company Transfers Receipts (d) 53 1 27 137 218 4 222
Pre-Petition Inter-Company Disbursements - - - - - (26) (26) Post-Petition Inter-Company Disbursements (79) (8) (55) (21) (162) (12) (174) Dividend Disbursements - - - (21) (21) (1) (22) Total Inter-Company Transfers Disbursements (d) (79) (8) (55) (42) (183) (39) (222)
Plan Distributions (e) (1,942) (143) - (113) (2,199) - (2,199) Receipts of Plan Distributions from Debtors (f) 78 36 19 1 135 1 136 Payments to Creditors - Other (0) - - (0) (0) - (0) Total Payments to Creditors (1,865) (107) 19 (111) (2,064) 1 (2,062)
Other 0 0 0 (0) 0 0 0
Reclass from/(to) Restricted Cash to Free Cash 1,462 52 (1) 7 1,521 2 1,523
Net changes in Free Cash and Investments (1) (49) (7) (9) (65) (31) (96)
Ending Free Cash and Investments (04/05/18) 165 50 16 20 251 99 350
Beginning Restricted Cash (03/01/18) 1,730 439 2 119 2,290 21 2,312 Disputed unsecured claims (1,439) (58) (0) (9) (1,507) - (1,507) Distributions on Allowed Claims (not remitted) 1 (0) (0) 0 1 - 1 Secured, Admin, Priority Claims and Other (26) 6 1 2 (17) - (17) Other 2 - - - 2 (2) 0 Net Changes in Restricted Cash (1,462) (52) 1 (7) (1,521) (2) (1,523)
Ending Restricted Cash (04/05/18) 267 387 4 112 770 19 789
Beginning Total Cash and Investments (03/01/18) 1,896 538 25 147 2,606 152 2,758
Net changes in Free Cash and Investments (1) (49) (7) (9) (65) (31) (96) Net changes in Restricted Cash (1,462) (52) 1 (7) (1,521) (2) (1,523)
Ending Total Cash and Investments (04/05/18) 432 $ 437 $ 20 $ 131 $ 1,020 $ 119 $ 1,139 $
All values that are exactly zero are shown as "-". Values between zero and $0.5 million appear as "0". Totals may not foot due to rounding.
Total Debtors and Debtor-Controlled Entities Debtors