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Eighth Notice Regarding Disposition of LBI Estate Securities - March 3, 2014

NEW YORK, March 3, 2014 /PRNewswire/ -- James W. Giddens, Trustee for the liquidation of Lehman Brothers Inc. (LBI) under the Securities Investor Protection Act, in keeping with his statutory duty and ongoing focus of maximizing the value of the LBI general estate, along with his counsel at Hughes Hubbard & Reed LLP, continues to implement a strategy to liquidate securities and raise cash for distributions to customers and general creditors. 

With the advice and consent of the Securities Investor Protection Corporation and in consultation with advisors to major creditor constituencies, the Trustee retained Miller Buckfire & Co., LLC. and Stifel Fixed Income to help sell all remaining securities. 

Consistent with the procedures outlined in the Notice dated February 12, 2014 (available at www.lehmantrustee.com), Miller Buckfire and Stifel Fixed Income are offering Pool 4 (Bankruptcy Escrows), Pool 5 (Corporate Bonds) and Pool 6 (Preferred Equities) for sale. The composition of these pools is listed in Exhibit A of this notice.

Sales inquiries can be made to:

Al Lhota

Matthew Stewart

Senior Managing Director

Vice President

[email protected]

[email protected]

T: +1 203 717 6524

T: +1 203 717 6483

 

Media Contact for the Trustee
Jake Sargent
[email protected]
202-569-5086

THE SECURITIES SOLD IN ANY AUCTION HAVE NOT BEEN AND WILL NOT BE REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE ACT), AND MAY NOT BE OFFERED OR SOLD IN THE UNITED STATES OR TO, OR FOR THE BENEFIT OF, U.S. PERSONS ABSENT REGISTRATION UNDER, OR AN APPLICABLE EXEMPTION FROM, THE REGISTRATION REQUIREMENTS OF THE ACT AND APPLICABLE STATE SECURITIES LAW.  THIS PRESS RELEASE DOES NOT CONSTITUTE AN OFFER TO SELL OR THE SOLICITATION OF AN OFFER TO BUY THE AUCTION SECURITIES, AND SHALL NOT CONSTITUTE AN OFFER, SOLICITATION OR SALE IN ANY JURISDICTION IN WHICH, OR TO ANY PERSONS TO WHOM, SUCH OFFERING, SOLICITATION OR SALE WOULD BE UNLAWFUL.


Pool 4: Bankruptcy Escrows

Lehman

Real

Security


Cusip

CUSIP/ISN

Description

Quantity

69363VAB3

69363VAB3

PSINET INCORPORATED SR NT

289,857,949.6

74437CAG6

74437CAG6

PSINET INC, SR NOTE

244,586,881.4

131ESC9C1

131ESC9C1

CALPINE CORP, 144A, ESCROW CUSIP

183,791,000.0

74437CAD3

74437CAD3

PSINET INC, SR NTS

171,353,115.1

131ESC9D9

131ESC9D9

CALPINE CORP, 144A, ESCROW CUSIP

134,000,000.0

74437CAB7

74437CAB7

PSINET INC, SENIOR NOTES SER B

129,737,856.0

131ESC9K3

131ESC9K3

CALPINE CORP, 144A, ESCROW CUSIP

77,921,000.0

131ESC9B3

131ESC9B3

CALPINE CORP, ESCROW 4 144A

77,695,000.0

81662EAA6

81662EAA6

SEMI TECH CORP, SR SECD DISC NT 11.5%

44,507,000.0

2761919P0

2761919P0

ESCROW EASTERN AIRLS INC

27,220,000.0

629ESC9N6

629ESC9N6

NWA A SEN - ESCROW CUSIP -

25,000,000.0

7215019E6

7215019E6

PILLOWTEX CORP, SENIOR SUB NOTES SER B -ESCRO

24,325,000.0

629ESC9W6

US629ESC9W65

NWA A SEN - ESCROW CUSIP -

19,000,000.0

2003369T4

2003369T4

COMDISCO INC, NOTE ESCROW

8,000,000.0

4605759R6

4605759R6

INTERNORTH INC, ESCROW

6,500,000.0

156ESCAL9

156ESCAL9

CENTURY COMMUNICATIONS CORP, SR NT, ESCROW CU

5,350,000.0

604675991

US6046759915

MIRANT CORP ESCROW SHARES

4,633,729.0

927ESC9C9

927ESC9C9

VIRGIN RIV CASINO ESCROW CUSIP

3,360,000.0

748ESCAC4

748ESCAC4

QUEBECOR WORLD CAP 144A, ESCROW CUSIP, FOR

3,046,000.0

156ESCAN5

156ESCAN5

CENTURY COMMUNICATIONS CORP, SENIOR DISC NOTE

3,000,000.0

370ESCBB0

370ESCBB0

GENERAL MOTORS CORP, SR UNSECD NT ESCROW CUSI

3,000,000.0

266ESC995

266ESC995

ESC CB DURA OPERATING, ESCROW CUSIP

2,658,465.0

846ESC9A1

846ESC9A1

SPANSION LLC SR NT 144A, ESCROW CUSIP

1,876,000.0

923ESC982

US923ESC9829

VERASUN ENERGY CORP, SR NT 144A 17

1,668,000.0

2003369W7

2003369W7

COMDISCO INC, ESCROW

1,500,000.0

2003369N7

2003369N7

COMDISCO INC, ESCROW

1,300,000.0

006ESC966

US006ESC9662

ADELPHIA C CONV PFD ESCROW

422,890.0

XX9L43440

37399AAS7

GEOTEK COMMUNICATIONS INC, SERIES B ESCROW CE

300,000.0

156ESCAH8

156ESCAH8

CENTURY COMMUNICATIONS SR NOTES, ESCROW CUSI

250,000.0

74437C408

74437C408

PSINET INC, 7% CUM CONV PFD SER D-144A BOOK E

240,700.0

019ESC805


ALLIED DEFENSE GROUP INC, COM

173,139.0

234050AA0

234050AA0

DAISY SYSTEM CORP, CV SUB DEB

160,681.0

392ESC992

392ESC992

GREEKTOWN HLDGS L L C/INC, SR NT ESCROW CUS

160,000.0

573845AB0

573845AB0

MARVEL PARENT HOLDINGS INC, SR SECD DISC NOTE

150,000.0

7787639A2

7787639A2

ESCROW ROTHSCHILD L F HLDGS INC

110,000.0

74437C507

74437C507

PSINET INC, CONV PFD 7% SER D

100,000.0

758ESC982

758ESC982

REFCO GROUP LTD, ESCROW

80,000.0

81199ABX5

81199ABX5

SEA CONTAINERS LTD, ESCROW CUSIP

80,000.0

748ESCAD2

US748ESCAD22

QUEBECOR WORLD CAPITAL CORP, 6.125% BDS 15/11/2013 CAD100

75,000.0

74437C101

74437C101

PSINET INC

65,173.0

98141AAD3

98141AAD3

WORLD ACCESS INC, SENIOR NOTES

50,982.8

57383QAD1

57383QAD1

MARVEL HLDGS INC, SR SECD DISC NT SER-B STAMP

42,000.0

CAGESC994

CAGESC994

CONCORD CAMERA CORP, ESCROW CUSIP

40,000.0

2695249C0

2695249C0

EAGLE GEOPHYSICAL INC, SR NT SER B, ESCROWED

30,000.0

233ESC987

233ESC987

DWS RREEF REAL ESTATE FUND ESCROW CUSIP

29,272.0

92257TAA1

92257TAA1

VELOCITY EXPRESS CORP

26,037.0

G20ESC995

G20ESC995

CDC LIQUIDATING TRUST ESCROW CUSIP

25,559.0

2252278A8

2252278A8

ESCROW CRAZY EDDIE INC, CV S/D

20,000.0

XX9RBBNG7

92931K965

WRT CREDITORS LIQUIDATING TRUST CERTIFICATE OF

16,888.0

37957F895

37957F895

GLOBIX CORPORATION ESCROW

13,200.0

05399AGH2

05399AGH2

AVENTINE RENEWABLE ENERGY HLDGS INC, SR NT -E

13,000.0

37373ESC5

37373ESC5

GERBER SCIENTIFIC INC, COM ESCROW CUSIP

12,075.0

7043789D2

7043789D2

PAYLESS CASHWAYS INC, SR SUB NOTE ESCROW

10,000.0

698057AR7

698057AR7

PAN AMERICAN WORLD AIRWAYS SR DEBS-REGD

5,000.0

778466995

US7784669951

ROSSMOOR CORP LIQUIDATING TR

1,200.0

832ESC990

832ESC990

SMURFIT STONE CONTAINER CP COMMON STOCK ESCR

1,088.0

693634107

693634107

PSI INDUSTRIES INC

450.0


Pool 5: Corporate Bonds


Lehman

Real

Security


Cusip

CUSIP/ISN

Description

Quantity

XX9L22680

539827AB1

LOCKHEAD ESOP TRUST SER C 8.414% DTD 04/04/8

23,000,000.0

XX9L05236

XX9L05236

SHARON PARK SUBORDINATE BONDS

20,221,281.0

XX9L05237

XX9L05237

HARVEST GROVE SUBORDINATE BOND

16,061,972.0

XX9L18197

280878AA7

EDISON BROTHERS 8.04% SERIES C SENIOR NOTE D

9,989,050.0

370054AA6

370054AA6

GENERAL HOMES CORP, S/NOTES-REG

6,320,000.0

538405AB7

538405AB7

LIVING WELL INC, 1ST SR SUB DEB REG

3,869,000.0

12045QAD6

12045QAD6

BULONG OPERATIONS PTY LTD, TIER 2 NOTE

3,133,000.0

XX9L22151

971804AX7

WILMINGTON TRUST CO, SER-B LN CTF (CONT'L. A

2,904,990.0

11942HAA8

11942HAA8

BUFETE INDUSTRIAL S A MEDIUM TERM NOTE 14

2,500,000.0

704312AA5

704312AA5

PAY N PAK STORES INC, SR SUB DEB-REG

2,500,000.0

G6932NAB8

G6932NAB8

PARMALAT CAPITAL FINANCE

2,100,000.0

38080MAB0

38080MAB0

GOLDEN BOOKS PUBLISHING INC, PAY IN KIND

2,014,217.0

XX9L27429

038213AD6

APPLIED MAGNETICS CORP, SUBORD CONV NOTE 2.0%

2,000,000.0

042476AJ0

042476AJ0

ARMSTRONG HOLDINGS INC, SER B GTD ESOP NOTES

2,000,000.0

155560AA3

155560AA3

CENTRAL TRACTOR FARM & COUNTRY INC, SR NOTE

2,000,000.0

038648AA9

037164801

ARANTES INTERNATIONAL LTD, GTD NT 144A 13

2,000,000.0

925817AD0

925817AD0

VICORP, RESTAURANTS INC, SR NOTE

1,880,000.0

12045QAC8

12045QAC8

BULONG OPERATIONS PTY LTD, TIER 1 NOTE

1,867,000.0

XX9N20763

618049AA8

MORRIS FAMILY CORP , OC-1M NT 8.16%17

1,540,936.0

239623AJ0

239623AJ0

DAYS INNS OF AMERICA INC, SR S/NOTE-REG

1,503,000.0

072890AA4

072890AA4

BAYONNE MED CTR NT SER 2005

1,400,000.0

698057AS5

698057AS5

PAN AMERICAN WORLD AIRWAYS SR CV S/D-REGD CA

1,356,000.0

XX9L44752

038529AA1

ARAN SHIPPING & TRADING S A , PROM NT 8.3%04

1,146,082.0

XX9L16471

10599AAB9

BRANIFF INC, PRIVATE PLACEMENT 15% SENIOR RES

1,000,000.0

361942AC9

361942AC9

GST TELECOMMUNICAIONS IND SR SUB NOTE

1,000,000.0

493137AD5

493137AD5

KEY PLASTICS INC, SR SUB NOTE SER B

1,000,000.0

29255UAC8

29255UAC8

ENCOMPASS SERVICES CORP, REG

993,064.0

29271CAA2

29271CAA2

ENERGY PHOTOVOLTAICS INC, SR SECD NT CONV 144

913,500.0

45669XAC8

US45669XAC83

INFINITIY-CVTD

858,708.0

81199ABW7

US81199ABW71

USD 10.75 SEA CONTAINERS LTD (ESCRO, 0% BDS 31/12/2050 USD

787,000.0

00202VAC1

00202VAC1

APP FINANCE IX LTD, GTD SR NOTE FTG RT MAT

704,000.0

U13ESC9E7

USU13ESC9E75

CALPINE CORPORATION, 8.5% BDS 15/07/2010 USD 'REG

680,000.0

XX5L00116

144191AA1

CAROLINA STL HLDGS INC , CDT-SB DB VAR 00

521,346.0

783942AA3

783942AA3

SA TELECOMMUNICATIONS INC, SUB NOTE CV 144A

500,000.0

88706QAA2

88706QAA2

TIM HELLAS TELECOMMUNICATIO S A FLOAT RAT

500,000.0

P93369AA7

P93369AA7

TRANSTEL INTERMEDIA SA REG S

500,000.0

637844AM3

637844AM3

NATIONAL STEEL CORP, 1ST MTG SER-D

448,786.1

83363QAF6

83363QAF6

SOCIEDAD COMML DEL PLATA S A MEDIUM TERM

320,000.0

841338AG1

841338AG1

SOUTHEAST BANKING CORP, CONV SUB CAPITAL NOTE

273,000.0

339130AR7

339130AR7

FLEMING COS INC, CONV SR SUB NT

250,000.0

573848AC2

573848AC2

MARVEL III HLDGS INC, SR SECD NT SER B

200,000.0

247367AG0

247367AG0

DELTA AIR LINES INC, DEL PASS THRU TR PASS TH

167,377.8

553024AA8

553024AA8

MHS HLDGS SUB PAY-IN-KIND DEB

167,281.0

339130AT3

339130AT3

FLEMING COS INC, SENIOR SUB NOTE

149,000.0

948462AA4

948462AA4

WEDTECH CORP, CV S/D -REG

124,000.0

420122AF0

420122AF0

HAWKER BEECHCRAFT ACQUISITION SR PIK NT 15

96,594.0

422660AB6

422660AB6

HECHINGER CO CV S/D -REG

84,000.0

455209AA4

455209AA4

INDIANAPOLIS DOWNS L L C/IND DOWNS CAP COR

76,415.7

P8055KFC4

P8055KFC4

BONOS DEL TESORO SER BT08 REP OF ARGENTIN

71,000.0

005614DS8

005614DS8

ADAMS CNTY COLO IDR SER A POOL GTD-EXECUTIVE

50,000.0

02054RAD3

007375441

ALPARGATAS

50,000.0

XX9N37469

N/A

FRAC SHARES 3

50,000.0

G61473AA5

G61473AA5

MINERVA OVERSEAS LTD, REG S

44,000.0

102175AB2

102175AB2

BOWATER CANADA FINANCE CORP, NT

37,500.0

247126AC9

247126AC9

DELPHI AUTOMOTIVE SYSTEMS CORP, NOTE

34,000.0

04519DAA5

04519DAA5

ASIA ALUMIMUM HLDGS LTD, SR NT 144A

30,000.0

127590AA5

127590AA5

CADNETIX CORP, CV DEBS -REG

30,000.0

402548AC5

402548AC5

GULF STATES STL INC, ALA 1ST MTG NTE SER B

30,000.0

532791AF7

532791AF7

LINCARE HLDGS INC, SR DEB CONV

30,000.0

545993693

545993693

LOTHIAN OIL INC, RSTD SERIES A CONV

25,000.0

714275AA2

714275AA2

PERPETUAL SVGS BK FSB ALEX VA CV S/D-REG CAL

25,000.0

784123AF8

784123AF8

SFC NEW HLDGS INC, SR SUB NT 12.25% PD IN $ 1

25,000.0

866933AA2

866933AA2

SUN HEALTHCARE GROUP INC, SUB DEB CONV RULE 1

25,000.0

82442KAA7

US82442KAA79

SHERWOOD PLAZA ASSOCS LTD & DU,OC-SECD NT 16

20,469.0

682069AA7

682069AA7

OMEGA-ALPHA INC, S/D-REG

19,000.0

XX9L08093

983082108

WYLY COLLECTION PRIVATE PLACEMENT

16,080.0

058319AB0

058319AB0

BALDWIN UNITED CORP, S/D-REG

10,000.0

47758RAD7

47758RAD7

JITNEY JUNGLE STORES SR SUB NTS

10,000.0

731799AA0

731799AA0

POLYSINDO INTL FIN CO B V GTD SECD NT

10,000.0

783895AD7

783895AD7

SCI TELEVISION INC, SUB DEB

7,245.0

422174AA0

422174AA0

HEALTH-CHEM CORP, CV S/D-REG

7,000.0

011634AD4

011634AD4

ALANTHUS CORP, S/D-REG

6,400.0

204620AA6

204620AA6

COMPREHENSIVE CARE CORP, CV S/D REG

6,000.0

302723AA9

302723AA9

F & M DISTRIBUTORS SR SUB NTS

6,000.0

G71536AG4

G71536AG4

POLLY PECK INTL

5,000.0

784127AA0

784127AA0

SFC SUB INC, SR SUB DISC DEB ACCREDITED 0.0%

4,490.0

459356AB7

459356AB7

INTL CONSUMERS BRANDS INC, CV S/D-REG

3,000.0

911875AC6

911875AC6

U S FINANCIAL INC, CV S/D-REG

3,000.0

233045AA1

233045AA1

DCA DEVELOPMENT CORP, CV SD-REG

2,000.0

69331DAA4

69331DAA4

PGI INC, SUB DEB CONV

2,000.0

670611AC6

670611AC6

NUTRI SYSTEM INC, SUB DISC DEB REG-15% INT TO

1,200.0

311729AA5

311729AA5

FARRINGTON MFG CO CV S/D CPN

1,000.0

841338AC0

841338AC0

SOUTHEAST BANKING CORP, NOTES- REG

1,000.0

369622DS1

369622DS1

GENERAL ELEC CAP CORP, FRN

400.0

695533AA7

695533AA7

PAGE PETE LTD, SUB DEB CONV

300.0

893871AF0

893871AF0

TRANSPORTADORA DE GAS DEL NORTE S A EXCHANGE

283.0

579865AJ5

579865AJ5

MCCRORY CORP, SF S/D-REG

233.0

7437A1AA1

7437A1AA1

PROTEXA CONSTRUCCIONES SA DE C V MED TERM

233.0

668027AT2

668027AT2

NORTHWESTERN BELL TELEPHONE

100.0

579865AC0

579865AC0

MCCRORY CORP, CV S/D -REG- 6.50%

30.0

006ESCAK3

006ESCAK3

ADELPHIA COMMUNICATIONS CORP, SR PIK NT -B-

11.0

98951UAJ5

98951UAJ5

ZIFF DAVIS MEDIA INC, SR SECD NT FLTG RATE NE

4.0

500750AC8

500750AC8

KPNQWEST N V CONV SENIOR NOTE

1.0

74373LAA5

74373LAA5

PROTO STAR 12.5% SENIOR SECURED CONV NOTE

1.0

Pool 6: Preferred Equities

Lehman

Real

Security


Cusip

CUSIP/ISN

Description

Quantity

XX9085571

N/A

RONCO CORPORATION PFD CONV SER A RESTRICTED

976,804.0

XXE004387

295851208

ERMIS MARITIME HLDGS LTD , PFD

310,054.0

196267405

196267405

COLOR TILE INC-INCREASING RATE SR PFD SER A

187,700.0

XX9070319

889990297

TOLERRX INC, SER D CONV PFD RESTRICTED

184,038.0

CGK153700

CGK153700

ESPIRE COMMUNICATIONS INC, PREFERRED FRAC CUS

126,820.0

69347R206

69347R206

PNP PRIME CORP, 17% CUM EX PFD

84,053.0

372252403

372252403

GENEVA STEEL CO-14% EXCH PFD SER B

56,400.0

577990138

577990138

MAXOPTIX CORP, PFD SER B RESTRICTED

52,452.0

892027400

892027400

TOWN & COUNTY CORP-6% CONV PFD

49,580.0

449247204

449247204

ICG HOLDINGS INC-14.25% CUM EXCH PFD DUE 3/1

36,255.0

DEE437500

USDEE4375005

FONAR CORP                     NEW NON VTG CLASS A PFD

32,000.0

276191863

276191863

EASTERN AIR LINES INC, $3.24 CUM PFD

31,902.0

640990396

640990396

NET VOICE TECHNOLOGIES CORP, SER A CONV PFD R

30,770.0

XX9085744

624990735

MOUNTAIN DRILLING COMPANY SER A CONV PFD RESTRICTED

28,500.0

729136507

729136507

PLIANT CORP, REDEEMABLE PFD SER AA

25,923.0

XX9063305

03520E203

ANGSTROM PHARMACEUTICALS INC, SER C PFD RESTR

19,868.0

XX9064856

705990174

PEGASUS SHIPPING HELLAS LTD PFD-RESTRICTED

15,000.0

XX9L29361

83170J207

SMARTENERGY.COM INC, SERIES A CONV/PREFERRED

13,966.0

26875E999

26875E999

E MOBILE INFO TECH INC, SER A CONV PFD RESTRI

13,334.0

XX9L03450

45247K301

IMAGINARIUN INC, INC, SR D PFD CALLABLE

10,220.0

XX9066176

83461P201

SOMERSET BANCSHARES CORP, PFD SER A RESTRICTE

6,997.0

37252D207

37252D207

GENTERRA CAP INC NEW, PFD-B

5,835.0

XX9067252

67104Q403

O SULLIVAN INDS HLDGS INC, OC-JR PFD SER B -R

5,408.0

XX9067106

45247K202

IMAGINARIUM INC, PFD SER C -RESTRICTED

4,250.0

449247501

449247501

ICG HOLDINGS INC-14% CUM EXCH PFD DUE 3/15/2

3,246.0

XX9067681

863898300

STUDIO CITY HOLDINGS CORP, CONV PFD CL B REST

2,500.0

948774302

948774302

WEIRTON STEEL CORP, CONVERTIBLE PFD STK SERIE

2,250.0

XX9L02263

028896405

AMERICAN PIONEER INC, PFD CL A CALLABLE

2,000.0

XX9L43754

08584Q208

BERTHEL FISHER & CO LEASING , PFD-A

1,000.0

DHH265869

DHH265869

GLASSTECH PFD SER A FRACTIONAL CUSIP

892.0

XX9066805

227055209

CROFF ENTERPRISES INCINC, PFD SER B RESTRICTE

639.0

516558301

516558301

LANXIDE CORP-NON VTG PFD SER A

625.0

02269P205

02269P205

AMALGAMATED INVT CORP, SR PFD CL A 10%

600.0

151017308

151017308

CELESTIAL VENTURES CORP-PFD $0.0001 PAR

596.0

276191848

276191848

EASTERN AIR LINES INC-DEP PFD REPSTG 1/100TH

344.0

XX9L03333

404292203

HS EQUITIES INC, $6 SENIOR PFD A-CALLABLE

250.0

XX9067163

59502A205

MICROCAST INC, PFD CONV SER A-RESTRICTED

250.0

269153706

269153706

E.SPIRE COMMUNICATIONS INC, PFD 14.75% ACCRED

198.0

XX9066174

828621201

SIMETCO INC, PFD CL A RESTRICTED

180.0

344437504

344437504

FONAR CORP, NEW NON VTG CLASS A PFD

130.0

494482201

494482201

KINAM GOLD INC, PFD CONV SER B $3.75

100.0

820018919

820018919

SHARPS NET INTEREST MARGIN 2004-IN1N PREFERR

100.0

292701208

292701208

ENERGY MGMT CORP, $10 CV PFD SER A

97.0

55270H208

55270H208

MCI WORLDCOM SYNERGIES MGMT INC, TR PFD CL A

88.0

269270997

269270997

EVRO CORP-CONV PFD SER D SCRIP

85.0

836153809

836153809

SOURCE MEDIA INC-13.50% SR PIK PFD

71.0

457924306

457924306

INTEGRATED BUSINESS CORP, PFD SER A

60.0

XX9L03028

811454206

SEABOARD AIRLINES RAILWAY CO 4.2 PFD CALLABL

50.0

830991675

830991675

SKLAR CORPORATION PFD SER A CONTRA CUSIP

50.0

650672207

650672207

J J NEWBERRY CO-3.75% CUM PFD

36.0

276191855

276191855

EASTERN AIR LINES INC, $3.12 CUM JR PFD

33.0

120154208

120154208

BULK MATERIALS INC, NEW-8% PFD

26.0

377265871

377265871

GLASSTECH INC, 12.75% PFD SER B

25.0

XXM094347

563991926

MALONEY ENTERPRISES INC, 6% PFD SER E

21.0

XX9066096

56133P502

MALONEY ENTERPRISES INC, PFD NON CONV SER E 6

21.0

423276500

423276500

HELIONETICS INC-CONV PFD

20.0

78422P209

78422P209

SGW HOLDING INC-12.5% SR P I K PFD SER B 144

10.0

911905701

911905701

US AIRWAYS GROUP INC, PFD CL A NEW

10.0

XX9L03536

056339203

BACA FOOD & FUEL CO OP PFD INC, COLORADO CALL

4.0

269270989

269270989

EVRO CORP-CONV PFD SER D

2.0

XXA115547

008662504

AGWAY INC, PFD

1.0

030990980

030990980

AMERICAN UNITED GLOBAL INC, PFD CL B-3 SPINOF

1.0

371532854

371532854

GENESCO INC-SUB CUM CONV PFD

1.0

589774207

589774207

MERIDIAN NATIONAL CORP- $0.375 CONV VTG PFD S

1.0

SOURCE Office of the Trustee for the Liquidation of Lehman Brothers Inc.

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