NATIONSBANK CORP
424B2, 1996-08-01
NATIONAL COMMERCIAL BANKS
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<PAGE>                                  
NationsBank Corporation                 
Charlotte, NC 28255                     
Tel 704 386-5000                        


Pricing Supplement No. 0145 Dated July 30, 1996    Rule 424(b)(2)     
(To Prospectus dated November 24, 1995 and         File number:  33-63097       
Prospectus Supplement dated January 10, 1996)              

Senior Medium-Term Notes, Series E                           
Due Nine Months or More From Date of Issue                   

Principal Amount:                                 $   50,000,000.00
Issue Price:                        100.00000 %       50,000,000.00
Commission or Discount:               0.02740 %           13,700.00
Proceeds to Company:                  99.97260%    $  49,986,300.00

Agent:                         NationsBanc Capital Markets, Inc., as Agent

Original Issue Date:           August 06, 1996      
Stated Maturity Date:          August 06, 1999      

Cusip #:                       63858R-DZ-1    

Form:                          Book entry only         
Interest Rate:                 Floating                     



Base rate:                     The Base Rate for the Reset Date will be 
                               the weekly average of the overnight Fed 
                               Funds Effective Rate, published in 
                               H.15(519) on each Monday under the heading
                               "Federal Funds (Effective) - week ending," 
                               beginning 8/5/96.                              

                               The "Federal Funds Rate (Weekly Average)"
                               means, with respect to any
                               Interest Reset Date, the rate that appears
                               on the Interest Determination Date on Telerate
                               Page 122 opposite the caption "Federal Funds"
                               for the week ending on (and including) the 
                               Wednesday preceding such Interest 
                               Determination Date.              



Index maturity:                Weekly                            

Spread:                        + 30.0 bps       

Initial Interest Rate:         To be determined on August 6, 1996        
Interest Reset Period:         Weekly, commencing on August 6, 1996     

Interest Reset Dates:          Weekly, occuring each Tuesday          
Interest Determination Date:   On the same date as each interest reset date

Interest Payment Dates:        6th of February, May, August and November, 
                               commencing on November 6, 1996                 

May the Notes be redeemed by the company prior to maturity?               No   
May the notes be repaid prior to maturity at the option of the holder?    No
Discount Note?                                                            No




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