LEHMAN BROTHERS HOLDINGS INC
11-K, 1994-06-27
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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<PAGE>   1

                       SECURITIES AND EXCHANGE COMMISSION

                            WASHINGTON, D.C.  20549


                              --------------------

                                   FORM 11-K

                              --------------------


/X/          ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE
             SECURITIES AND EXCHANGE COMMISSION
             For the fiscal year ended December 30, 1993

                                      OR

/ /          TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE
             SECURITIES EXCHANGE ACT OF 1934
             For the transition period from  -------- to -------.

                        -------------------------------

                         Commission file number 1-7657


                        -------------------------------



         A.    Full title of the plan and the address of the plan, if different
from that of the issuer named below:

                        LEHMAN BROTHERS HOLDINGS INC.
                          TAX DEFERRED SAVINGS PLAN
                                      
                                      
                                      
                        Lehman Brothers Holdings Inc.
                           3 World Financial Center
                             New York, NY  10285

         B.    Name of issuer of the securities held pursuant to the plan and 
the address of its principal executive office:

                           AMERICAN EXPRESS COMPANY
                            American Express Tower
                            World Financial Center
                             New York, NY  10285
<PAGE>   2




                              Financial Statements
                          and Supplemental Information

                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan


                 For the Years ended December 30, 1993 and 1992
                      with Report of Independent Auditors
<PAGE>   3
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                              Financial Statements
                          and Supplemental Information

                 For the Years ended December 30, 1993 and 1992



                                    CONTENTS

<TABLE>
 <S>                                                                                                 <C>
 Report of Independent Auditors..............................................................         1

 Audited Financial Statements

 Statements of Net Assets Available for Plan Benefits........................................         2
 Statements of Changes in Net Assets Available for Plan Benefits.............................         4
 Notes to Financial Statements...............................................................         6


 Supplemental Information

 Schedule I    Schedule of Investments Held..................................................        15
 Schedule II   Schedule of Transactions in Excess of Five Percent of
               Net Assets Available for Plan Benefits at Beginning of Year...................        16

</TABLE>
A schedule of party-in-interest transactions has not been presented because
there were no party-in-interest transactions which are prohibited by Section
406 of the Employee Retirement Income Security Act of 1974, as amended
("ERISA") and for which there are no statutory or administrative exemptions.





<PAGE>   4
                         Report of Independent Auditors



The Employee Benefit Plans Committee
Lehman Brothers Holdings Inc.

We have audited the accompanying statements of net assets available for plan
benefits of the Lehman Brothers Holdings Inc. Tax Deferred Savings Plan as of
December 30, 1993 and 1992, and the related statements of changes in net assets
available for plan benefits for the years then ended.  These financial
statements are the responsibility of the Plan's administrator.  Our
responsibility is to express an opinion on these financial statements based on
our audits.

We conducted our audits in accordance with generally accepted auditing
standards.  Those standards require that we plan and perform the audit to
obtain reasonable assurance about whether the financial statements are free of
material misstatement.  An audit includes examining, on a test basis, evidence
supporting the amounts and disclosures in the financial statements.  An audit
also includes assessing the accounting principles used and significant
estimates made by management, as well as evaluating the overall financial
statement presentation.  We believe that our audits provide a reasonable basis
for our opinion.

In our opinion, the financial statements referred to above present fairly, in
all material respects, the net assets available for plan benefits of the Lehman
Brothers Holdings Inc. Tax Deferred Savings Plan at December 30, 1993 and 1992,
and the changes in its net assets available for plan benefits for the years
ended, in conformity with generally accepted accounting principles.

Our audits were made for the purpose of forming an opinion on the basic
financial statements taken as a whole.  The accompanying supplemental schedules
of investments held as of December 30 ,1993, and series of transactions in
excess of five percent of net assets available for plan benefits for the year
ended December 30, 1993, are presented for purposes of complying with
Department of Labor's Rules and Regulations for Reporting and Disclosure under
the Employee Retirement Income Security Act of 1974, and are not a required
part of the basic financial statements.  The supplemental schedules have been
subjected to the auditing procedures applied in our audit of the 1993 financial
statements and, in our opinion, are fairly stated in all material respects in
relation to the 1993 basic financial statements taken as a whole.


April 21, 1994                                                    ERNST & YOUNG




                                       1
<PAGE>   5
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan
              Statement of Net Assets Available for Plan Benefits
                               December 30, 1993

<TABLE>
<CAPTION>
                                                                                     INVESTMENT FUNDS     
                                                    --------------------------------------------------------------------------------

                                                                                          Smith                                    
                                                                        American         Barney        High Income       Smith     
                                                         Short-         Express         Shearson        Fund of          Barney    
                                                          Term          Company           Daily       Smith Barney     Shearson    
                                                       Interest          Common         Dividend        Shearson      Appreciation 
                                                          Fund         Stock Fund         Fund        Income Funds     Fund Inc. 
                                                    --------------------------------------------------------------------------------
<S>                                                 <C>              <C>             <C>              <C>            <C>           
 Assets                                                                                                                            
 Institution Contracts (at cost plus interest)                                                                                   
 Investments, at fair value:                                                                                                       
    American Express Company common stock,                                                                                         
        1,066,380 shares (cost: $27,366,245)                         $33,457,683                                                 
    Smith Barney Shearson Daily Dividend Fund,                                                                                     
        7,245,893 shares (cost: $7,245,893)                                          $7,245,893                                  
    Smith Barney Shearson Income Funds,                                                                                            
        High Income Fund, 939,998 Class C                                                                                          
        shares (cost: $11,233,572)                                                                    $11,383,376                
    Smith Barney Shearson Appreciation                                                                                             
        Fund Inc., 3,299,935 Class C shares                                                                                        
        (cost: $27,736,454)                                                                                          $35,366,817 
    Smith Barney Shearson Global                                                                                                   
        Opportunities Fund, 358,105 shares                                                                                         
        (cost: $9,502,529)                                                                                                       
    Salomon Brothers Capital Fund,                                                                                                 
        233,453 shares (cost: $4,151,961)                                                                                        
    Smith Barney Shearson Aggressive                                                                                               
        Growth Fund, 624,279 Class C                                                                                               
        shares (cost: $12,742,699)                                                                                               
    Smith Barney Shearson Income Funds,                                                                                            
        Utilities Fund, 477,792 Class C shares                                                                                     
        (cost: $7,109,315)                                                                                                       
    Smith Barney Shearson Income Funds-                                                                                            
        Diversified Strategic Income Fund,                                                                                         
        641,092 Class C shares (cost: $5,359,335)                                                                                
                                                                                                                                   
                                                    --------------------------------------------------------------------------------
                                                           -          33,457,683      7,245,893        11,383,376     35,366,817  
                                                                                                                                   
 Cash and short-term investments                    $406,164               6,078          6,740            41,032         49,598    
 Interest and dividends receivable                     1,077                  54              -                 -              - 
 Other receivables                                         -                 340        337,720           623,260        660,396
 Net inter-fund transfers receivable (payable)             -             145,916       (451,098)         (675,114)      (175,311)
                                                    --------------------------------------------------------------------------------
 Total assets                                        407,241          33,610,071      7,139,255        11,372,554     35,901,500 
                                                                                                                                    
 Liabilities                                                                                                                        
 Payable to (receivable from) other plan                   -             306,697        (27,927)           39,533          8,124 
 Other liabilities                                         -              22,373        127,452                 -            930 
                                                    --------------------------------------------------------------------------------
 Total liabilities                                         -             329,070         99,525            39,533          9,054 
                                                    --------------------------------------------------------------------------------
 Net assets available for plan benefits             $407,241         $33,281,001     $7,039,730       $11,333,021    $35,892,446    
                                                    ================================================================================
</TABLE>
        
<TABLE>
<CAPTION>
                                                                                   INVESTMENT FUNDS
                                                     ---------------------------------------------------------------------------
                                                                                                                     Utilities     
                                                                         Smith                          Smith         Fund of     
                                                                         Barney                         Barney         Smith      
                                                                        Shearson        Salomon        Shearson       Barney      
                                                          Fixed          Global         Brothers      Aggressive     Shearson     
                                                         Income      Opportunities      Capital         Growth        Income      
                                                          Fund           Fund             Fund           Fund          Funds      
                                                     ----------------------------------------------------------------------------
<S>                                                    <C>            <C>             <C>           <C>              <C>            
 Assets                                                                                                                      
 Institution Contracts (at cost plus interest)         $136,501,455                                                               
 Investments, at fair value:                                                                                                 
    American Express Company common stock,                                                                                   
        1,066,380 shares (cost: $27,366,245)                                                                                 
    Smith Barney Shearson Daily Dividend Fund,                                                                               
        7,245,893 shares (cost: $7,245,893)                                                                                  
    Smith Barney Shearson Income Funds,                                                                                      
        High Income Fund, 939,998 Class C                                                                                    
        shares (cost: $11,233,572)                                                                                           
    Smith Barney Shearson Appreciation                                                                                       
        Fund Inc., 3,299,935 Class C shares                                                                                  
        (cost: $27,736,454)                                                                                                  
    Smith Barney Shearson Global                                                                                             
        Opportunities Fund, 358,105 shares                                                                                   
        (cost: $9,502,529)                                            $10,420,841                                                 
    Salomon Brothers Capital Fund,                                                                                           
        233,453 shares (cost: $4,151,961)                                             $4,823,132                                   
    Smith Barney Shearson Aggressive                                                                                           
        Growth Fund, 624,279 Class C                                                                                         
        shares (cost: $12,742,699)                                                                  $16,718,195                   
    Smith Barney Shearson Income Funds,                                                                                      
        Utilities Fund, 477,792 Class C shares                                                                               
        (cost: $7,109,315)                                                                                           $7,243,322
    Smith Barney Shearson Income Funds-                                                                                      
        Diversified Strategic Income Fund,                                                                                   
        641,092 Class C shares (cost: $5,359,335                                                                             
                                                                                                                             
                                                     ----------------------------------------------------------------------------
                                                        136,501,455    10,420,841      4,823,132     16,718,195       7,243,322  
 
Cash and short-term investments                             106,351        29,537              -         42,344          29,061
 Interest and dividends receivable                               88             -              -              -               - 
 Other receivables                                                -         9,322          2,570          1,413         173,810     
 Net inter-fund transfers receivable (payable)           (2,636,794)    2,406,497        (46,619)     1,544,129        (139,424)   
                                                     ----------------------------------------------------------------------------
 Total assets                                           133,971,100    12,866,197      4,779,083     18,306,081       7,306,769   
                                                                                                                           
 Liabilities                                                                                                               
 Payable to (receivable from) other plan                    601,504        93,035         41,918         75,924          40,417
 Other liabilities                                           76,298             -              -              -               - 
                                                     ----------------------------------------------------------------------------
 Total liabilities                                          677,802        93,035         41,918         75,924          40,417
                                                     ----------------------------------------------------------------------------
 Net assets available for plan benefits                $133,293,298   $12,773,162     $4,737,165    $18,230,157      $7,266,352 
                                                     ============================================================================
</TABLE>
        
        

<TABLE>
<CAPTION>
                                                                INVESTMENT FUNDS
                                                  ---------------------------------------------------
                                                   Diversified Strategic
                                                     Income Fund of
                                                      Smith Barney
                                                  Shearson Income Funds                  Total
                                                  --------------------------------------------------
<S>                                                   <C>                             <C>
 Assets                                          
 Institution Contracts (at cost plus interest)                                        $136,501,455
 Investments, at fair value:                     
    American Express Company common stock,       
        1,066,380 shares (cost: $27,366,245)                                            33,457,683
    Smith Barney Shearson Daily Dividend Fund,   
        7,245,893 shares (cost: $7,245,893)                                              7,245,893
    Smith Barney Shearson Income Funds,          
        High Income Fund, 939,998 Class C        
        shares (cost: $11,233,572)                                                      11,383,376
    Smith Barney Shearson Appreciation           
        Fund Inc., 3,299,935 Class C shares      
        (cost: $27,736,454)                                                             35,366,817
    Smith Barney Shearson Global                 
        Opportunities Fund, 358,105 shares       
        (cost: $9,502,529)                                                              10,420,841
    Salomon Brothers Capital Fund,               
        233,453 shares (cost: $4,151,961)                                                4,823,132
    Smith Barney Shearson Aggressive             
        Growth Fund, 624,279 Class C             
        shares (cost: $12,742,699)                                                      16,718,195
    Smith Barney Shearson Income Funds,          
        Utilities Fund, 477,792 Class C shares   
        (cost: $7,109,315)                                                               7,243,322
    Smith Barney Shearson Income Funds-          
        Diversified Strategic Income Fund,       
        641,092 Class C shares (cost: $5,359,335)     $5,391,581                         5,391,581
                                                  --------------------------------------------------
                                                       5,391,581                       268,552,295
                                                 
 Cash and short-term investments                          17,891                           734,796
 Interest and dividends receivable                             -                             1,219
 Other receivables                                             -                         1,808,831
 Net inter-fund transfers  receivable (payable)           27,818                                 -
                                                  --------------------------------------------------
 Total assets                                          5,437,290                       271,097,141
                                                    
 Liabilities                                        
 Payable to (receivable from) other plan                  27,552                         1,206,777
 Other liabilities                                             -                           227,053
                                                  --------------------------------------------------
 Total liabilities                                        27,552                         1,433,830
                                                  --------------------------------------------------
 Net assets available for plan benefits               $5,409,738                      $269,663,311
                                                  ==================================================
 </TABLE>                                                
See accompanying notes.
                                       2
<PAGE>   6
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan
              Statement of Net Assets Available for Plan Benefits
                               December 30, 1992

<TABLE>
<CAPTION>                                                                                                                         
                                                                                        INVESTMENT FUNDS           
                                                    ------------------------------------------------------------------------------
                                                                                                      Shearson                    
                                                                                                        Lehman                    
                                                                        American       American        Brothers                   
                                                          Short-        Express        Express      High Income        Shearson   
                                                           Term         Company         Daily          Fund of          Lehman    
                                                        Interest         Common        Dividend        Shearson        Brothers   
                                                           Fund        Stock Fund        Fund           Lehman       Appreciation 
                                                                                                       Brothers       Fund Inc.   
                                                                                                     Income Funds                 
                                                    ------------------------------------------------------------------------------
<S>                                                <C>           <C>            <C>             <C>              <C>          
 Assets                                                                                                                           
 Institution Contracts (at cost plus interest)                                                                                    
 Investments, at fair value:                                                                                                      
    American Express Company common stock,                                                                                        
        3,720,500 shares (cost: $91,914,881)                        $93,477,562                                                  
    American Express Daily Dividend Fund,                                                                                         
        22,192,478 shares (cost: $22,192,478)                                      $22,192,478                                   
    Shearson Lehman Brothers Income Funds                                                                                         
        High Income Fund,1,523,049 Class C                                                                                        
        shares (cost: $18,342,171)                                                                 $16,921,085                   
    Shearson Lehman Brothers Appreciation                                                                                         
        Fund, Inc., 12,986,780 Class C shares                                                                                     
        (cost: $105,947,436)                                                                                        $138,183,794 
    Shearson Lehman Brothers Global                                                                                               
        Opportunities Fund, 599,058 shares                                                                                        
        (cost: $15,831,744)                                                                                                       
    Salomon Brothers Capital Fund,                                                                                                
        396,802 shares (cost: $6,949,825)                                                                                         
    Shearson Lehman Brothers Aggressive                                                                                           
        Growth Fund, Inc., 1,566,553 Class C                                                                                      
        shares (cost: $31,118,812)                                                                                                
    Shearson Lehman Brothers Income Funds,                                                                                        
        Utilities Fund, 746,361 Class C shares                                                                                    
        (cost: $10,741,104)                                                                                                       
    Shearson Lehman Brothers Income Funds-                                                                                        
        Diversified Strategic Income Fund,                                                                                        
        876,243 Class C shares (cost: $7,319,667)                                                                               
                                                     ------------------------------------------------------------------------------
                                                             -       93,477,562     22,192,478      16,921,085       138,183,794  

 Cash and short-term investments                      $257,465           97,829         34,609         193,244           646,602  
 Interest and dividends receivable                           -               60              -               -                 -
 Other receivables                                           -                -              -           1,427            17,089
 Net inter-fund transfers (payable) receivable               -       (1,438,780)    (1,044,241)        427,260         1,937,279    
                                                     ------------------------------------------------------------------------------
 Total assets                                          257,465       92,136,671     21,182,846      17,543,016       140,784,764  
 Liabilities                                                                                                                      
 Payable for securities purchased                            -                -              -               -                 -
 Withdrawals payable                                         -          543,435        256,686         230,175         1,046,820
                                                      ------------------------------------------------------------------------------
 Total liabilities                                           -          543,435        256,686         230,175         1,046,820
                                                      ------------------------------------------------------------------------------
 Net assets available for plan benefits               $257,465      $91,593,236    $20,926,160     $17,312,841      $139,737,944 
                                                      ==============================================================================
</TABLE>
<TABLE>
<CAPTION> 
                                                                                INVESTMENT FUNDS
                                                    ---------------------------------------------------------------------------
                                                                                                                              
                                                                      Shearson                                    Utilities   
                                                                       Lehman                       Shearson       Fund of    
                                                                      Brothers                       Lehman        Shearson   
                                                        Fixed          Global        Salomon        Brothers        Lehman    
                                                        Income      Opportunities    Brothers      Aggressive      Brothers   
                                                         Fund           Fund         Capital         Growth         Income
                                                                                      Fund          Fund Inc.        Funds  
                                                    ---------------------------------------------------------------------------
<S>                                               <C>               <C>            <C>            <C>           <C>           
 Assets                                                                                                                       
 Institution Contracts (at cost plus interest)       $216,125,093                                                             
 Investments, at fair value:                                                                                                  
    American Express Company common stock,                                                                                    
        3,720,500 shares (cost: $91,914,881)                                                                                  
    American Express Daily Dividend Fund,                                                                                     
        22,192,478 shares (cost: $22,192,478)                                                                                 
    Shearson Lehman Brothers Income Funds                                                                                     
        High Income Fund,1,523,049 Class C                                                                                    
        shares (cost: $18,342,171)                                                                                            
    Shearson Lehman Brothers Appreciation                                                                                     
        Fund, Inc., 12,986,780 Class C shares                                                                                 
        (cost: $105,947,436)                                                                                                  
    Shearson Lehman Brothers Global                                                                                           
        Opportunities Fund, 599,058 shares                                                                                    
        (cost: $15,831,744)                                         $14,844,655                                               
    Salomon Brothers Capital Fund,                                                                                            
        396,802 shares (cost: $6,949,825)                                          $7,769,384 
    Shearson Lehman Brothers Aggressive                                                                                       
        Growth Fund, Inc., 1,566,553 Class C                                                                                  
        shares (cost: $31,118,812)                                                                $34,354,517                 
    Shearson Lehman Brothers Income Funds,                                                                                    
        Utilities Fund, 746,361 Class C shares                                                                                
        (cost: $10,741,104)                                                                                     $10,986,435   
    Shearson Lehman Brothers Income Funds-                                                                                    
        Diversified Strategic Income Fund,                                                                                    
        876,243 Class C shares (cost: $7,319,667)                                                                           
                                                    ---------------------------------------------------------------------------
                                                      216,125,093    14,844,655     7,769,384      34,354,517    10,986,435    

 Cash and short-term investments                          354,745       112,940        38,713         175,006        71,897        
 Interest and dividends receivable                      1,518,837             -             -               -             - 
 Other receivables                                              -         9,183             -               -            57 
 Net inter-fund transfers (payable) receivable         (2,105,040)     (235,882)     (374,696)      1,376,504     1,150,491     
                                                    ---------------------------------------------------------------------------
 Total assets                                         215,893,635    14,730,896     7,433,401      35,906,027    12,208,880    
                                                                                                                              
 Liabilities                                                                                                                  
 Payable for securities purchased                               -             -             -               -        33,971        
 Withdrawals payable                                    1,864,503       121,950        53,076         348,577        50,939        
                                                    ---------------------------------------------------------------------------
 Total liabilities                                      1,864,503       121,950        53,076         348,577        84,910        
                                                    ---------------------------------------------------------------------------
 Net assets available for plan benefits              $214,029,132   $14,608,946    $7,380,325     $35,557,450   $12,123,970   
                                                    ===========================================================================
</TABLE>
                                                    
<TABLE>                                             
<CAPTION>                                           
                                                                   INVESTMENT FUNDS
                                                    -----------------------------------------------------
                                                      Diversified Strategic
                                                         Income Fund of
                                                     Shearson Lehman Brothers
                                                          Income Funds                     Total
                                                    -----------------------------------------------------
<S>                                                     <C>                             <C>
 Assets                                             
 Institution Contracts (at cost plus interest)                                          $216,125,093
 Investments, at fair value:                        
    American Express Company common stock,          
        3,720,500 shares (cost: $91,914,881)                                              93,477,562
    American Express Daily Dividend Fund,           
        22,192,478 shares (cost: $22,192,478)                                             22,192,478
    Shearson Lehman Brothers Income Funds           
        High Income Fund,1,523,049 Class C          
        shares (cost: $18,342,171)                                                        16,921,085
    Shearson Lehman Brothers Appreciation           
        Fund, Inc., 12,986,780 Class C shares       
        (cost: $105,947,436)                                                             138,183,794
    Shearson Lehman Brothers Global                 
        Opportunities Fund, 599,058 shares          
        (cost: $15,831,744)                                                               14,844,655
    Salomon Brothers Capital Fund,                  
        396,802 shares (cost: $6,949,825)                                                  7,769,384
    Shearson Lehman Brothers Aggressive             
        Growth Fund, Inc., 1,566,553 Class C        
        shares (cost: $31,118,812)                                                        34,354,517
    Shearson Lehman Brothers Income Funds,          
        Utilities Fund, 746,361 Class C shares      
        (cost: $10,741,104)                                                               10,986,435
    Shearson Lehman Brothers Income Funds-          
        Diversified Strategic Income Fund,          
        876,243 Class C shares (cost: $7,319,667)       $7,141,384                         7,141,384
                                                    -----------------------------------------------------
                                                         7,141,384                       561,996,387

 Cash and short-term investments                            61,299                         2,044,349
 Interest and dividends receivable                               -                         1,518,897
 Other receivables                                               -                            27,756
 Net inter-fund transfers (payable) receivable             307,105                                 -
                                                    -----------------------------------------------------
 Total assets                                            7,509,788                       565,587,389

 Liabilities                                        
 Payable for securities purchased                           21,216                            55,187
 Withdrawals payable                                        82,655                         4,598,816
                                                    -----------------------------------------------------
 Total liabilities                                         103,871                         4,654,003
                                                    -----------------------------------------------------
 Net assets available for plan benefits                 $7,405,917                      $560,933,386
                                                    =====================================================
See accompanying notes.                             
</TABLE>


                                       3
<PAGE>   7
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan
         Statement of Changes in Net Assets Available for Plan Benefits
                      For the Year ended December 30, 1993

<TABLE>
<CAPTION>
                                                                                                                                  
                                                                          INVESTMENT FUNDS      
                                      --------------------------------------------------------------------------------------------
                                                                        Smith                                                      
                                                      American          Barney      High Income         Smith                    
                                        Short-         Express         Shearson       Fund of          Barney                  
                                         Term          Company           Daily      Smith Barney      Shearson         Fixed 
                                       Interest        Common          Dividend       Shearson      Appreciation       Income
                                         Fund        Stock Fund          Fund       Income Funds      Fund Inc.         Fund 
                                      --------------------------------------------------------------------------------------------
 <S>                                  <C>          <C>             <C>              <C>            <C>             <C>      
Investment income:                     
    Interest and dividends             $10,311      $3,064,878        $465,710       $1,606,732      $        -     $16,541,829 
                                                                                                                                  
    Net realized and unrealized                                                                                                   
      appreciation in fair                                                                                                      
      value of investments                   -      27,307,350               -        1,652,713       3,826,320               - 
                                      -------------------------------------------------------------------------------------------
                                        10,311      30,372,228         465,710        3,259,445       3,826,320      16,541,829
 Contributions:                                                                                                                   
     Employer                                -       2,741,771               -                -               -               - 
     Participants                            -       6,947,616       2,012,298        3,424,919      20,976,506      16,680,526
     Rollovers                               -          22,495          70,595          173,838         385,691       1,040,364
                                      -------------------------------------------------------------------------------------------
                                             -       9,711,882       2,082,893        3,598,757      21,362,197      17,720,890
                                                                                                                                  
 Net inter-fund transfers 
    (out) in                                 -      (9,453,840)       (331,954)       2,499,977      (8,077,605)      2,434,706
 Participant withdrawals               139,465      (7,161,997)     (2,061,258)      (1,702,227)     (9,655,042)    (13,068,270)
 Transfer to other plan                      -     (81,780,508)    (14,041,821)     (13,635,772)   (111,301,368)   (104,364,989)
                                      -------------------------------------------------------------------------------------------
                                       139,465     (98,396,345)    (16,435,033)     (12,838,022)   (129,034,015)   (114,998,553)
                                      
                                                                                                                                 
 Net increase (decrease)               149,776     (58,312,235)    (13,886,430)      (5,979,820)   (103,845,498)    (80,735,834)
 Net assets available for plan                                                                                                    
     benefits, beginning of year       257,465      91,593,236      20,926,160       17,312,841     139,737,944     214,029,132
                                      -------------------------------------------------------------------------------------------
 Net assets available for plan                                                                                                    
     benefits, end of year            $407,241     $33,281,001      $7,039,730      $11,333,021     $35,892,446    $133,293,298
                                      ===========================================================================================
</TABLE> 

<TABLE>   
<CAPTION> 
                                                                                                                                   
                                                                             INVESTMENT FUNDS
                                            ---------------------------------------------------------------------------------------
                                                Smith                          Smith           Utilities       Diversified      
                                                Barney                         Barney           Fund of         Strategic       
                                               Shearson         Salomon       Shearson           Smith           Income       
                                                Global         Brothers      Aggressive         Barney           Fund of      
                                             Opportunities     Capital         Growth          Shearson           Smith       
                                                 Fund            Fund           Fund          Income Funds    Barney Shearson  
                                                                                                                Income Funds      
                                            ---------------------------------------------------------------------------------------
<S>                                           <C>             <C>           <C>               <C>               <C>            
Investment income:
    Interest and dividends                    $         -         $9,233      $        -          $766,018         $638,585        
                                                                                                                                   
    Net realized and unrealized                                                                                                    
        appreciation in fair                                                                                                       
        value of investments                    2,457,722        925,752       3,931,740           844,980          263,150    
                                            ---------------------------------------------------------------------------------------
                                                2,457,722        934,985       3,931,740         1,610,998          901,735       
 Contributions:                                                                                                                    
     Employer                                           -              -               -                 -                -    
     Participants                               3,372,522              -      10,217,789         3,871,271        1,745,817       
     Rollovers                                    161,628              -         232,160           112,997           85,775       
                                            ---------------------------------------------------------------------------------------
                                                3,534,150              -      10,449,949         3,984,268        1,831,592       
                                                                                                                                   
 Net inter-fund transfers (out) in              8,993,229       (183,929)       (185,416)        2,562,138        1,742,694       
 Participant withdrawals                       (1,253,975)      (392,982)     (2,817,233)       (1,085,231)        (619,958)       
 Transfer to other plan                       (15,566,910)    (3,001,234)    (28,706,333)      (11,929,791)      (5,852,242) 
                                            ---------------------------------------------------------------------------------------
                                               (7,827,656)    (3,578,145)    (31,708,982)      (10,452,884)      (4,729,506)       
                                            
                                                                                                                                   
 Net increase (decrease)                       (1,835,784)    (2,643,160)    (17,327,293)       (4,857,618)      (1,996,179)       
 Net assets available for plan                                                                                                     
     benefits, beginning of year               14,608,946      7,380,325      35,557,450        12,123,970        7,405,917       
                                            ---------------------------------------------------------------------------------------
 Net assets available for plan                                                                                                     
     benefits, end of year                    $12,773,162     $4,737,165     $18,230,157      $  7,266,352      $ 5,409,738       
                                            =======================================================================================
</TABLE>  


<TABLE>                              
<CAPTION>                            
                                     
                                      INVESTMENT FUNDS
                                      ----------------
                                           Totals
                                      ----------------
 <S>                                   <C>
Investment income:
    Interest and dividends              $23,103,296
                                     
    Net realized and unrealized      
        appreciation in fair         
        value of investments             41,209,727
                                      ----------------
                                         64,313,023
 Contributions:                      
     Employer                             2,741,771
     Participants                        69,249,264
     Rollovers                            2,285,543
                                      ----------------
                                         74,276,578
                                     
 Net inter-fund transfers (out) in                -
 Participant withdrawals                (39,678,708)
 Transfer to other plan                (390,180,968)
                                     ------------------
                                       (429,859,676)
                                      
 Net increase (decrease)               (291,270,075)
 Net assets available for plan       
     benefits, beginning of year        560,933,386
                                     ------------------
 Net assets available for plan       
     benefits, end of year             $269,663,311
                                     ==================
</TABLE>                             
See accompanying notes.              
                                     
                                     


                                       4
<PAGE>   8
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan
         Statement of Changes in Net Assets Available for Plan Benefits
                      For the Year ended December 30, 1992
<TABLE>
<CAPTION>

                                                                       INVESTMENT FUNDS
                                   -----------------------------------------------------------------------------------
                                                                                    Shearson                                
                                                                                     Lehman                                 
                                                                                     Brothers                               
                                                    American                        High Income                             
                                                     Express       American           Fund of         Shearson              
                                     Short-          Company        Express          Shearson          Lehman             
                                      Term            Common         Daily            Lehman           Brothers           
                                    Interest          Stock         Dividend         Brothers         Appreciation        
                                      Fund            Fund            Fund         Income Funds        Fund Inc.          
                                   -----------------------------------------------------------------------------------
 <S>                               <C>           <C>              <C>             <C>                 <C>               
 Investment income:                                                                                                       
    Interest and dividends           $9,028       $2,244,574        $ 864,524      $1,628,221           $3,053,028        
                                                                                                                          
    Net realized and unrealized                                                                                           
      appreciation (depreciation)                                                                                         
      in fair value of investments        -       12,842,694                -       1,088,208            6,372,304        
                                   -----------------------------------------------------------------------------------             
                                      9,028       15,087,268          864,524       2,716,429            9,425,332        
 Contributions:                                                                                                           
    Employer                              -       17,081,449                -               -                    -        
    Participants                          -        9,152,653        2,944,317       2,253,350           23,554,265        
    Rollovers                             -          146,389          195,011         105,340              631,195        
                                   -----------------------------------------------------------------------------------
                                          -       26,380,491        3,139,328       2,358,690           24,185,460        
                                                                                                                          
 Net inter-fund transfers                                                                                                 
    (out) in                              -       (3,167,028)      (3,417,925)      2,404,733            1,454,508        
 Participant withdrawals             52,646       (5,031,354)      (2,773,151)     (1,428,353)          (7,166,450)        
                                   -----------------------------------------------------------------------------------
                                     52,646       (8,198,382)      (6,191,076)        976,380           (5,711,942)        
                                                                                                                          
 Net increase (decrease)             61,674       33,269,377       (2,187,224)      6,051,499           27,898,850        
 Net assets available for plan                                                                                            
     benefits, beginning of year    195,791       58,323,859       23,113,384      11,261,342          111,839,094        
                                   -----------------------------------------------------------------------------------
 Net assets available for plan                                                                                            
     benefits, end of year         $257,465      $91,593,236      $20,926,160     $17,312,841         $139,737,944        
                                   ===================================================================================
</TABLE>


<TABLE>                
<CAPTION>              
                                                                                                                       
                                                                       INVESTMENT FUNDS
                                  -------------------------------------------------------------------------------------


                                                                                                         Utilities   
                                                       Shearson                           Shearson        Fund of      
                                                        Lehman                             Lehman         Shearson     
                                                       Brothers          Salomon          Brothers         Lehman      
                                       Fixed            Global           Brothers        Aggressive       Brothers     
                                       Income         Opportunities      Capital           Growth          Income      
                                        Fund             Fund             Fund            Fund Inc.         Funds      
                                  -------------------------------------------------------------------------------------
 <S>                                <C>              <C>              <C>              <C>                <C>          
 Investment income:                                                                                                    
    Interest and dividends           $19,090,836     $         -      $  126,340       $         -        $   470,319     
                                                                                                                       
    Net realized and unrealized                                                                                        
      appreciation (depreciation)                                                                                      
      in fair value of investments             -        (754,021)        230,535           869,732            247,670  
                                  -------------------------------------------------------------------------------------      
                                      19,090,836        (754,021)        356,875           869,732            717,989  
 Contributions:                                                                                                        
    Employer                                   -               -               -                 -                  - 
    Participants                      19,742,446       3,119,642               -        10,415,151          2,593,725  
    Rollovers                            697,017         171,905               -           454,315            126,860  
                                  -------------------------------------------------------------------------------------
                                      20,439,463       3,291,547               -        10,869,466          2,720,585  
                                                                                                                       
 Net inter-fund transfers                                                                                              
    (out) in                         (8,984,715)        (148,431)       (665,394)        4,411,492          3,931,975  
 Participant withdrawals            (12,025,077)      (1,059,029)       (433,333)       (2,247,853)          (359,672) 
                                  -------------------------------------------------------------------------------------
                                    (21,009,792)      (1,207,460)     (1,098,727)        2,163,639          3,572,303  
                                                                                                                       
 Net increase (decrease)              18,520,507       1,330,066        (741,852)       13,902,837          7,010,877  
 Net assets available for plan                                                                                         
     benefits, beginning of year     195,508,625      13,278,880       8,122,177        21,654,613          5,113,093  
                                  -------------------------------------------------------------------------------------
 Net assets available for plan                                                                                         
 benefits, end of year              $214,029,132     $14,608,946      $7,380,325       $35,557,450        $12,123,970  
                                  =====================================================================================
</TABLE>               


<TABLE>                
<CAPTION>              

                                           INVESTMENT FUNDS
                                  ---------------------------------------




                                      Diversified
                                    Strategic Income
                                    Fund of Shearson
                                         Lehman
                                        Brothers
                                     Income Funds          Total
                                  ---------------------------------------
 <S>                                    <C>             <C>
 Investment income:               
    Interest and dividends               $ 358,301      $ 27,845,171
                                  
    Net realized and unrealized   
      appreciation (depreciation) 
      in fair value of investments        (177,298)       20,719,824
                                  ---------------------------------------
                                           181,003        48,564,995
 Contributions:                   
    Employer                                     -        17,081,449
    Participants                         1,298,950        75,074,499
    Rollovers                              131,910         2,659,942
                                  ---------------------------------------
                                         1,430,860        94,815,890
                                  
 Net inter-fund transfers         
    (out) in                             4,180,785                 -
 Participant withdrawals                  (319,819)      (32,791,445)
                                  ---------------------------------------
                                         3,860,966       (32,791,445)
                                  
 Net increase (decrease)                 5,472,829       110,589,440
 Net assets available for plan    
     benefits, beginning of year         1,933,088       450,343,946
                                  ---------------------------------------
 Net assets available for plan    
 benefits, end of year                  $7,405,917      $560,933,386
                                  =======================================
</TABLE>                          
See accompanying notes.           
                                  
                                  

                                           5

<PAGE>   9
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                         Notes to Financial Statements


1.  DESCRIPTION OF THE PLAN

GENERAL

The Lehman Brothers Holdings Inc. Tax Deferred Savings Plan (the "Plan")
(formerly Shearson Lehman Brothers Holdings Inc. Tax Deferred Savings Plan)
(Note 6) which became effective January 1, 1984, and was amended and restated
effective January 1, 1989 and subsequently amended through April 1, 1994, is a
defined contribution plan.  Under the terms of the Plan, qualified employees of
Lehman Brothers Holdings Inc. ("Lehman") and its participating subsidiaries
(collectively, the "Company") are eligible to become plan participants upon
completion of 12 months of qualifying service.  At December 30, 1993, the
Company was a subsidiary of the American Express Company ("American Express").
(See Note 7)

The Plan is subject to the provisions of ERISA.  A complete description of the
Plan is contained in the Plan document available to all participants from the
plan administrator.

CONTRIBUTIONS

Upon enrollment, a participant may elect to contribute between one and fifteen
percent of his annual compensation, as defined in the Plan document.  The
Company may contribute, if authorized by the Board of Directors, to each
Eligible Participant's account, $400 plus a matching contribution of 100
percent of the first $600 of such participant's Before-Tax Contributions for
the year.  For a participant who is not an Eligible Participant, the Company
may match up to $1,000 of such participant's Before-Tax Contributions for the
year.  "Eligible Participant" means a participant who is not a (1) salaried
employee whose compensation (as defined in the Plan document) exceeds $37,800,
(2) salaried employee who receives more than $1,000 in commissions for the
year, or (3) Branch Manager, Financial Consultant, Financial Consultant
Associate, Institutional Salesperson, Investment Representative, or Investment
Representative Trainee.  "Before-Tax Contributions" means a participant's
contributions to the Plan made with before-tax dollars pursuant to Section
401(k) of the Internal Revenue Code of 1986 (the "Code").  Effective December
31, 1992, a participant whose annual compensation is greater than $100,000 is
not eligible for a Company contribution and any Company contributions to
participants who are not Eligible Participants will be made only to the extent
that there are funds remaining after allocations are made to all Eligible
Participants.  In 1993 and 1992, Company contributions were made in American
Express Company common stock.




                                       6
<PAGE>   10
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                   Notes to Financial Statements (continued)



A participant's Before-Tax Contributions will not be subject to tax until
distribution.  The Code provides that Before-Tax Contributions (and any
elective deferrals to other plans containing a cash or deferred arrangement)
will be included in a participant's gross income to the extent such
contributions exceed the statutory limitation, which is indexed for inflation.
In 1993 and 1992, the maximum limitation amounts were $8,994 and $8,728,
respectively.  For 1994, the maximum limitation amount is $9,240.  The
Company's contributions on behalf of a participant, as well as the income and
appreciation on amounts invested in the investment funds offered under the
Plan, are not includable in the participant's taxable income until distributed.

Rollover contributions arise from contributions to the Plan of certain assets
previously held on behalf of participants by other qualified plans.

VALUATION OF PARTICIPANT ACCOUNTS

Separate accounts are maintained for each participant whereby the participant's
account is credited for contributions and investment income and credited or
charged, as appropriate, for investment appreciation or depreciation.
Participant accounts are charged for withdrawals.  The periodic allocation of
investment income, investment appreciation or depreciation is based upon the
participant's beneficial interest in each of the investment accounts at the
valuation date.

INVESTMENTS

During 1993, a participant's contributions could be invested in any of the
investment funds listed below.  Investments of contributions among the
investment funds could only be made in increments of 25 percent with a maximum
of 50 percent of contributions permitted to be invested in the American Express
Company Common Stock Fund.  Participants could elect to change their
contribution and investment balance allocations among the investment funds
effective December 31, April 1, July 1, and October 1 of each year.

The following is a general description of each investment fund in which the
Plan invested during 1993 as directed by participants:

    American Express Company Common Stock Fund: This fund invests solely in the
    common stock of American Express.



                                        7

<PAGE>   11
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                   Notes to Financial Statements (continued)


    Smith Barney Shearson Daily Dividend Fund (formerly American Express(R)
    Daily Dividend Fund): This fund invests in shares of Smith Barney Shearson
    Daily Dividend Fund, Inc., a registered investment company.  The fund
    invests in short-term money market investments such as U.S. Government
    issued or guaranteed securities, certificates of deposit, bankers
    acceptances and high-grade commercial paper.

    High Income Fund of the Smith Barney Shearson Income Funds (formerly
    Shearson Lehman Brothers High Income Fund of the Shearson Lehman Brothers
    Income Funds): This fund invests in Class C shares of Smith Barney Shearson
    High Income Fund, Inc., a registered investment company.  The fund invests
    in a diversified portfolio, including high-yield fixed-income securities,
    preferred stocks, and domestic and foreign government obligations.

    Smith Barney Shearson Appreciation Fund, Inc. (formerly Shearson Lehman
    Brothers Appreciation Fund, Inc.): This fund invests in Class C shares of
    Smith Barney Shearson Appreciation Fund, Inc., a registered investment
    company.  The fund's objective is long-term appreciation of capital by
    investing primarily in equity securities.

    Fixed Income Fund: This fund invests its assets with one or more insurance
    companies or financial institutions (collectively, "institutions") which
    issue contracts ("contracts") providing for the repayment of principal with
    a specified annual rate of interest for a specified period.  The fund is
    currently invested in contracts negotiated with the following institutions:



                                    8

<PAGE>   12
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                   Notes to Financial Statements (continued)


<TABLE>
<CAPTION>
                                         MATURITY        INTEREST                  COST AT DECEMBER 30,           
                                                                      ---------------------------------------
                                           DATE            RATE                 1993               1992      
                                         -------------------------------------------------------------------

<S>                                      <C>                <C>            <C>                  <C>
Providential National
  Insurance Co.
      Contract #3247-2                    6/30/93           10.90%                    -          $13,491,994
John Hancock Mutual Life Insurance Co.
      Contract #4400                     10/31/94            9.24           $11,195,977           21,524,637
      Contract #4400-1                   10/31/93            9.35                     -           27,887,407
      Contract #5360                      3/31/93            8.80                     -           12,552,192
      Contract #5565                     12/30/97            9.60            11,765,966           24,051,936
      Contract #5724                       1/8/96            9.51            18,555,399           29,115,414
Crown Life Insurance Co.
      Contract #9002394                  12/15/94            9.35             9,092,790           14,289,045
Metropolitan Life Insurance Co.
      Contract #11649                     6/30/96            9.62            31,966,028           50,098,888
      Contract #12865                     3/31/97            8.10             8,623,268           13,897,801
Aetna Life Insurance Co.
      Contract #014005                   12/30/97            8.80             5,417,689            8,560,606
Prudential Asset
  Management Group
      Contract #7430-211                 12/15/99            6.52            11,357,151              655,173
      Contract #7430-212                 12/15/99            7.30            10,915,923                    -
The Principal Financial Group
      Contract #4-08804-01               12/15/00            6.15             3,272,696                    -
American International Life
  Assurance Company of New York
      Contract #18180T                    10/1/98            5.45            14,338,568                    -
                                                                           ------------         ------------
                                                                         
                                                                           $136,501,455         $216,125,093
                                                                           ============         ============

</TABLE>
    At December 30, 1993 and 1992, the fair value of contracts issued by
    institutions was approximately $148.1 and $227.7 million, respectively.
    Fair value was estimated using a present value analysis based on the Plan's
    current investment rate for a similar contract.

    Smith Barney Shearson Global Opportunities Fund (formerly Shearson Lehman
    Brothers Global Opportunities Fund). This fund invests in Class C shares of
    Smith Barney Shearson Global Opportunities Fund, a registered investment
    company.  The fund's objective is long-term appreciation of capital,
    primarily through investments in common stocks of foreign and domestic
    securities.




                                        9
<PAGE>   13
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                   Notes to Financial Statements (continued)



    Salomon Brothers Capital Fund: This fund invests in shares of Salomon
    Brothers Capital Fund, Inc., a registered investment company.  The fund's
    objective is to seek capital appreciation through investments in
    securities, primarily common stock, which are believed to have above
    average price appreciation potential and which may also involve above
    average risk.  As of October 1, 1990, this fund has been closed to any new
    contributions or transfers in.

    Smith Barney Shearson Aggressive Growth Fund (formerly Shearson Lehman
    Brothers Aggressive Growth Fund, Inc.): This fund invests in Class C shares
    of Smith Barney Shearson Aggressive Growth Fund, Inc., a registered
    investment company.  This fund invests principally in the securities of
    small- or medium-sized companies which are believed to have above average
    price appreciation potential, but which may also have above average risk.

    Utilities Fund of the Smith Barney Shearson Income Funds (formerly
    Utilities Fund of the Shearson Lehman Brothers Income Funds): This fund
    invests in Class C shares of the Utilities Fund of the Smith Barney
    Shearson Income Funds, a registered investment company.  This fund uses a
    balanced approach of investing in a diversified portfolio of high quality
    utility stocks and investment grade utility bonds to achieve its objective
    of current income.

    Diversified Strategic Income Fund of the Smith Barney Shearson Income Funds
    (formerly Diversified Strategic Income Fund of the Shearson Lehman
    Brothers Income Funds): This fund invests in Class C shares of the
    Diversified Strategic Income Fund of the Smith Barney Shearson Income
    Funds, a registered investment company.  This fund's objective is to
    provide investors with high current income through investment in a
    combination of U.S. government bond and agency securities, high yield
    corporate bonds and foreign government bonds.

In addition to the funds described above, a short-term interest fund provides
overnight investments in money market funds of the Boston Safe Deposit and
Trust Company ("Boston Safe"), for temporarily invested cash.  While cash for
withdrawals is disbursed from this fund, withdrawals are recorded from the
investment fund from which the participant withdrew.





                                      10
<PAGE>   14


                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                   Notes to Financial Statements (continued)

BENEFITS

A participant may elect, after attaining the age of 59-1/2, to withdraw all or
any portion of the value of his accounts, provided that each withdrawal is at
least $1,000 (or is 100% of the value of his account if less than $1,000).
Withdrawals by participants before the age of 59- 1/2 are permitted only after
meeting specified financial hardship criteria and after obtaining approval by
the Employee Benefit Plans Committee of the Plan.  Although hardship
withdrawals are allowed, a participant may be subject to an additional 10
percent tax imposed by the Code.

If a participant's employment with the Company terminates for a reason other
than death, the balance in the participant's account is paid to the participant
in a lump-sum payment.  However, if the balance in his account exceeds $3,500,
payment will not be made without the participant's consent.  Upon death of the
participant, the balance in the participant's account is paid to the designated
beneficiary (as provided by the Plan) in a lump-sum payment.

BENEFITS PAYABLE

In 1993, benefits payable to those participants who have elected to withdraw
from the Plan but have not yet been paid was $5,391,592.  In 1992, the amount
of $4,598,816 was reflected as a Withdrawals Payable in the financial
statements.

VESTING

Plan participants are 100 percent vested in all amounts in their respective
Plan accounts.

INCOME TAX STATUS

The Internal Revenue Service ("IRS") made a favorable determination in a letter
dated March 23, 1987 that the Plan is qualified under Sections 401(a) and
401(k) of the Code and that the trust established as part of the Plan is,
therefore, exempt from federal income taxes under the provisions of Section
501(a) of the Code.  It is not anticipated that amendments to the Plan after
the date of the IRS determination letter will affect the qualified and
tax-exempt status of the Plan and trust.




                                   11
<PAGE>   15
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                   Notes to Financial Statements (continued)


2.  SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

VALUATION OF INVESTMENTS

Investments in mutual funds are valued at the quoted redemption prices on the
last business day of the Plan year; investments in American Express' common
stock are valued at the quoted market price on the last business day of the
Plan year; short-term investments and deposits with insurance companies in
connection with contracts are valued at cost plus accrued interest.

Purchase and sales of securities are reflected on a trade-date basis.

OTHER

Dividend income is recorded on the ex-dividend date.  Income from other
investments is recorded on the accrual basis.

3.  PLAN EXPENSES

Except to the extent paid by the Company, all expenses of administration of the
Plan are paid by the Plan.  For the 1993 and 1992 plan years, all expenses were
paid by the Company.

4.  PLAN TERMINATION

While it has not expressed any intent to do so, Lehman has the right to
terminate the Plan at any time subject to the provisions set forth in ERISA.

5.  RELATED PARTY TRANSACTIONS

The investments of the Plan are held at Boston Safe, the Plan's custodian.
Boston Safe is a wholly-owned subsidiary of The Boston Company, Inc. ("TBC").
TBC was an indirect wholly-owned subsidiary of Lehman until May 21, 1993, at
which time TBC was sold to Mellon Bank Corporation.




                                    12
<PAGE>   16
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                   Notes to Financial Statements (continued)


6.  TRANSFER TO OTHER PLAN

On July 31, 1993, pursuant to an asset purchase agreement with Primerica
Corporation (now known as "The Travelers Inc.") and its subsidiary, Smith
Barney, Harris, Upham & Company Incorporated, the Company sold its domestic
retail brokerage business (except for such businesses conducted under the
Lehman Brothers name) and substantially all of its asset management business.
As a result of the sale, a significant number of employees became employed by
the purchaser.  The account balances associated with those participants were
transferred to the Primerica Corporation Savings Plan for Shearson Employees.

7.  SUBSEQUENT EVENTS

Effective April 1, 1994, the Plan eliminated all the investment options
described in Note 1 above with the exception of the American Express Company
Stock Fund and the Fixed Income Fund and added eight new investment options.
In addition, participants are now able to invest in the investment options in
10% increments, rather than 25%, and may change their investment elections on a
monthly basis.  The new investment options include:

    Templeton Foreign Fund: The primary objective of this fund is to provide
    long-term growth of capital by investing primarily in securities of
    companies located outside the United States.

    Twentieth Century Ultra Investors Fund: The primary objective of this fund
    is to provide a high level of capital appreciation by investing primarily
    in medium- and small-sized companies with above average growth potential.

    S&P 500 Index Fund: This equity fund's objective is to replicate the
    investment performance of the Standard & Poor's 500 Index.

    Income Fund of America: This fund's objective is to provide current income
    by investing in debt securities and capital appreciation by investing in
    equity securities.

    Fidelity Capital & Income Fund: The primary objective of this fund is to
    provide a high total return of capital growth and income.  The fund invests
    primarily in lower rated debt securities and securities of companies with
    uncertain financial position.

    Vanguard Fixed-Income Long-Term Corporate Portfolio: This fund invests in a
    diversified portfolio of long-term corporate and government bonds with the
    objective of providing a high level of current income.





                                      13

<PAGE>   17
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                   Notes to Financial Statements (continued)


    PIMCO Total Return Fund: This fund is an intermediate term, fixed income
    fund whose objective is to provide a high level of current income with
    reasonable risk by investing in a diversified portfolio of fixed income
    securities of varying maturities.

    Lehman Brothers Prime Value Money Market Fund: The objective of this
    short-term, fixed income money market fund is to provide current income and
    stability of principal.


On May 31, 1994 (the "Distribution Date"), the Company began "regular-way"
trading on the New York Stock Exchange under the symbol "LEH" as a result of
the completion of the distribution (the "Distribution") by American Express of
a special dividend to its shareholders of record on May 20, 1994 (the "Record
Date") of all of the common stock of the Company (the "Common Stock") held by
American Express on the Distribution Date.  In connection with the
Distribution, shareholders of American Express received one fifth of one share
of Common Stock for every American Express common share held on the Record
Date.  The Plan was amended effective June 1, 1994 to create a Lehman Brothers
Holdings Inc.  Common Stock Fund, and as of the Distribution Date the Plan no
longer accepted contributions to or transfers into the American Express Common
Stock Fund.






                                   14


<PAGE>   18





                            Supplemental Information





<PAGE>   19
                                                                      SCHEDULE I
                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                          Schedule of Investments Held

                               December 30, 1993

<TABLE>
                                                        PAR VALUE/          CURRENT VALUE       COST AT
                                                         NUMBER OF           AT DECEMBER        DECEMBER
                                                          SHARES              30, 1993          30, 1993   
                                                       -----------          -------------       --------
<S>                                                       <C>                <C>                <C>
Contracts issued by Institutions

  John Hancock Mutual Life Insurance Co.
      Contract #     4400                                 11,195,977         $ 11,195,977        $11,195,977
                     5565                                 11,765,966           11,765,966         11,765,966
                     5724                                 18,555,399           18,555,399         18,555,399
  Crown Life Insurance Co.
      Contract #     9002394                               9,092,790            9,092,790          9,092,790
  Metropolitan Life Insurance Co.
      Contract #     11649                                31,966,028           31,966,028         31,966,028
                     12865                                 8,623,268            8,623,268          8,623,268
  Aetna Life Insurance Co.  
      Contract #     014005                                5,417,689            5,417,689          5,417,689
  Prudential Asset Management Group
      Contract #     7430-211                             11,357,151           11,357,151         11,357,151
                     7430-212                             10,915,923           10,915,923         10,915,923
  The Principal Financial Group
      Contract #     4-08804-1                             3,272,696            3,272,696          3,272,696
  American International Life Assurance Co.
    of New York
      Contract #     18180T                               14,338,568           14,338,568         14,338,568
                                                                             ------------       ------------
                                                                             $136,501,455       $136,501,455
                                                                             ============       ============
Stock Fund:
  American Express Company common stock                    1,066,380         $ 33,457,683       $ 27,366,245
                                                                             ============       ============

Mutual Funds:
  Smith Barney Shearson Daily Dividend Fund                7,245,893         $  7,245,893       $  7,245,893
  Smith Barney Shearson High Income Fund                     939,998           11,383,376         11,233,572
  Smith Barney Shearson Appreciation Fund                  3,299,935           35,366,817         27,736,454
  Smith Barney Shearson Global Opportunities Fund            358,105           10,420,841          9,502,529
  Salomon Brothers Capital Fund                              233,453            4,823,132          4,151,961
  Smith Barney Shearson Aggressive Growth Fund               624,279           16,718,195         12,742,699
  Smith Barney Shearson Utilities Fund                       477,792            7,243,322          7,109,315
  Smith Barney Shearson Diversified Strategic
      Income Fund                                            641,092            5,391,581          5,359,335
                                                                             ------------       ------------
                                                                             $ 98,593,157       $ 85,081,758
                                                                             ============       ============


</TABLE>






                                                                 15
<PAGE>   20
                                                                     SCHEDULE II

                         Lehman Brothers Holdings Inc.
                           Tax Deferred Savings Plan

                       Schedule of Transactions in Excess
                    of Five Percent of Net Assets Available
                     for Plan Benefits at Beginning of Year

                      For the Year ended December 30, 1993


<TABLE>
<CAPTION>
                                                                                                  (LOSS)
                                               CONTRACT          COST OF         PROCEEDS           GAIN
    DESCRIPTION                                NUMBER           PURCHASE           OF SALE        ON SALE
- ---------------------------------------------------------------------------------------------------------
<S>                                         <C>             <C>              <C>               <C>
Smith Barney Shearson Appreciation
         Fund Inc.                                          $22,647,135
Smith Barney Shearson Appreciation
         Fund Inc.                                                           $15,777,441       $3,503,717
Prudential Asset Management Co.             7430-211         29,710,461
Prudential Asset Management Co.             7430-211                           4,574,185                -
Prudential Asset Management Co.             7430-212         26,640,437
Prudential Asset Management Co.             7430-212                          12,198,310                -





</TABLE>





                                                               16
<PAGE>   21


                                   SIGNATURE

    Pursuant to the requirements of the Securities and Exchange Act of 1934,
the Lehman Brothers Holdings Inc. Employee Benefit Plans Committee has duly
caused this annual report to be signed on its behalf by the undersigned
hereunto duly authorized.

                                   LEHMAN BROTHERS HOLDINGS INC.
                                   TAX DEFERRED SAVINGS PLAN
                               
                               
                               
                               
                                   By: /s/ Patrick Wilkinson
                                      -------------------------
                                      Patrick Wilkinson
                                      Lehman Brothers Holdings Inc.
                                      Employee Benefit Plans Committee
                               
June 24, 1994







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