Rule 424(b)(2)
Registration No. 333-75723
PRICING SUPPLEMENT NO. 36 dated December 7, 2000
to Prospectus Supplement dated April 30, 1999
and Prospectus dated April 30, 1999.
LEHMAN BROTHERS HOLDINGS INC.
Medium-Term Notes, Series F
Due Nine Months or More From the Date of Issue
(Floating Rate Coupon)
Cusip No.: 52517PRL7
Principal Amount: $250,000,000.00
Net Proceeds: $249,625,000.00
Price to Public: 100.0%
Agent's Commission: .15%
Original Issue Date: 12/12/00
Interest Index: 1 Month LIBOR, telerate p. 3750
Spread: 0.03%
Initial Interest Rate: Interest index posted on 12/08/00, plus spread
Interest Payment Period: Monthly
Interest Reset Dates: Same as interest payment dates
Interest
Determination Dates: Two London business days prior to each
Interest Reset Date
Interest Payment Dates: Monthly on the 12th, commencing on 01/12/01,
subject to modified business day convention
Maturity Date: 12/12/01
Authorized Denomination: $1,000 or any larger whole multiple.
Lehman Brothers Holdings Inc.
By:/s/Kathryn Bopp Flynn
Name: Kathryb Bopp Flynn
Title: Authorized Signatory