NATIONSBANK CORP
424B2, 1995-02-06
NATIONAL COMMERCIAL BANKS
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NATIONSBANK CORPORATION                      Rule 424(b)(2)
Charlotte, NC 28255                          File No. 33-49881
Tel 704-386-5000

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Pricing Supplement No. 0068 Dated February 2, 1995
(To Prospectus dated August 12, 1993 and
Prospectus Supplement dated December 20, 1994)

Senior Medium-Term Notes, Series C
Due From Nine Months to Thirty Years From Date of Issue

                 Principal Amount:                $250,000,000.00
                      Issue Price:      100.000%  $250,000,000.00
           Commission or Discount:         .500%  $  1,250,000.00
              Proceeds to Company:       99.500%  $248,750,000.00

                            Agent:     Salomon Brothers, as Agent

              Original Issue Date:               February 9, 1995
                  Stated Maturity:               February 9, 2000

                           CUSIP#:                    63858R-BL-4
                             Form:                     Book-Entry

                    Interest Rate:                       Floating

                        Base Rate:       LIBOR Telerate Page 3750
                   Index Maturity:                        90 days
                           Spread:                      +19.0 bps

            Initial Interest Rate:            To be determined on
                                               February 7, 1995

            Interest Reset Period:   Quarterly, commencing 5/9/95

              Interest Reset Date: the 9th of each February, May,        
                                       August & November
    
     Interest Determination Dates:  2nd London Banking Day preceding
                                    Interest Reset Date

           Interest Payment Dates:  the 9th of each February, May,
                                        August & November

         Non-Business Day Interest  Interest will be paid on the next
         Payment:                   succeeding Business Day and interest
                                    on such payments shall accrue for
                                    the period from and after such 
                                    Interest Payment Date to such next
                                    succeeding Business Day.                   

                Spread Multiplier:   N/A
            Maximum Interest Rate:   N/A
            Minimum Interest Rate:   N/A

May the Notes be redeemed prior to maturity?                   No
May the Notes be repaid prior to maturity?                     No
Discount Note?                                                 No



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