UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 8-K
CURRENT REPORT
Pursuant to Section 13 or 15(d) of the
Securities Exchange Act of 1934
Date of Report (Date of earliest event reported):June 17, 1996
NATIONSBANK OF DELAWARE, N.A.
-----------------------------
(Exact name of registrant as specified in its charter)
(Originator of the NationsBank Credit Card Master Trust)
United States 33-69572 51-0313900
------------- -------- ----------
(State or other (Commission File (I.R.S. employer
Jurisdiction of Number) Identification No.)
Incorporation
Blue Hen Corporate Center, Route 113
Dover, Delaware 19901
(Address of principal executive offices)
----------------------------------------
Registrant's telephone number including area code: (302) 672-4321
<PAGE>
Exhibit Index appears on Page 4
Item 5. Other Events
------------
The Registrant hereby incorporates by reference the information
contained in Exhibit 28 hereto in response to this Item 5.
Item 7. Financial Statements, Pro Forma Financial Statements and Exhibits
-----------------------------------------------------------------
(c) Exhibits
99A Monthly Certificateholder's Statement --
NationsBank Credit Card Master Trust
$750,000,000 Class A 4.75% Asset Backed
Certificates, Series 1993-1
99B Monthly Certificateholder's Statement --
NationsBank Credit Card Master Trust
$47,873,000 Class B 4.875% Asset Backed
Certificates, Series 1993-1
99C Monthly Certificateholder's Statement --
NationsBank Credit Card Master Trust
$500,000,000 Class A 6.0% Asset Backed
Certificates, Series 1993-2
99D Monthly Certificateholder's Statement --
NationsBank Credit Card Master Trust
$31,915,000 Class B 6.25% Asset Backed
Certificates, Series 1993-2
99E Monthly Certificateholder's Statement --
NationsBank Credit Card Master Trust
$1,000,000,000 Class A 6.45% Asset Backed
Certificates, Series 1995-1
99F Monthly Certificateholder's Statement --
NationsBank Credit Card Master Trust
$51,137,000 Class B 6.625% Asset Backed
Certificates, Series 1995-1
99G Monthly Certificateholder's Statement --
NationsBank Credit Card Master Trust
$85,228,000 Collateral Indebtedness
Interest, Series 1995-1
<PAGE>
SIGNATURES
Pursuant to the requirements of the Securities and Exchange Act of
1934, the registrant has duly caused this report to be signed on its behalf by
the undersigned hereunto duly authorized.
NATIONSBANK OF DELAWARE, N.A.
-----------------------------
(Registrant)
Dated: By: \s\ Leslie J. Fitzpatrick
-------------------------
Name: Leslie J.Fitzpatrick
Title: Senior Vice President
(Duly Authorized Officer)
<PAGE>
Sequentially
Exhibit Numbered
Number Exhibit Page
- ------- ------- ------------
99A Monthly Certificateholder's Statement -- Exhibit 99
NationsBank Credit Card Master Trust A & B
$750,000,000 Class A 4.75% Asset Backed 5 - 10
Certificates, Series 1993-1
99B Monthly Certificateholder's Statement -- Exhibit 99
NationsBank Credit Card Master Trust A & B
$47,873,000 Class B 4.875% Asset Backed 5 - 10
Certificates, Series 1993-1
99C Monthly Certificateholder's Statement -- Exhibit 99
NationsBank Credit Card Master Trust C & D
$500,000,000 Class A 6.0% Asset Backed 11 - 16
Certificates, Series 1993-2
99D Monthly Certificateholder's Statement -- Exhibit 99
NationsBank Credit Card Master Trust C & D
$31,915,000 Class B 6.25% Asset Backed 11 - 16
Certificates, Series 1993-2
99E Monthly Certificateholder's Statement -- Exhibit 99
NationsBank Credit Card Master Trust E,F,&G
$1,000,000,000 Class A 6.45% Asset Backed 17 - 22
Certificates, Series 1995-1
99F Monthly Certificateholder's Statement -- Exhibit 99
NationsBank Credit Card Master Trust E,F,&G
$51,137,000 Class B 6.625% Asset Backed 17 - 22
Certificates, Series 1995-1
99G Monthly Certificateholder's Statement -- Exhibit 99
NationsBank Credit Card Master Trust E,F,&G
$85,228,000 Collateral Indebtedness 17 - 22
Interest, Series 1995-1
<PAGE>
<TABLE>
MONTHLY CERTIFICATEHOLDERS STATEMENT Exhibit 99 A & B
NATIONSBANK OF DELAWARE, N/A
NATIONSBANK CREDIT CARD MASTER TRUST
SERIES 1993-1
Pursuant to the Master Pooling and Servicing Agreement, dated as of
December 1, 1993 (as amended or supplemented, the "Pooling and
Servicing Agreement"), as supplemented by the Series 1993-1 Supplement,
dated as of December 1, 1993 (the "Supplement" and, together with the
Pooling and Servicing Agreement, the "Agreement"), each between
NationsBank of Delaware, N.A. as Transferor and Servicer, and The Bank of
New York, as Trustee, the Servicer is required to prepare certain
information each month regarding distributions to Certificateholders
and the performance of the Trust. The information with respect to the
applicable Distribution Date and Due Period is set forth below.
<CAPTION>
Due Period May-96
Determination Date 10-Jun-96
Transfer Date 14-Jun-96
Distribution Date 17-Jun-96
Amortization Period? Yes
Class A Accumulation Period? Yes
Class B Accumulation Period? No
Early Amortization Period? No
E A Receivables for Due Period
<S><C> <S><C> <S> <C>
E(1)(a) A(1) Beginning Principal Receivables 3,982,412,260.38
E(1)(b) Beginning Finance Charge Receivables
(excluding Interchange) 50,559,136.87
E(1)(c) Beginning Discount Receivables 0.00
------------------
E(1)(d) Beginning Receivables 4,032,971,397.25
E(2)(a) A(2) Removed Principal Receivables 0.00
E(2)(b) Removed Finance Charge Receivables
(excluding Interchange) 0.00
------------------
E(2)(c) Removed Receivables 0.00
E(3)(a) A(3) Principal Receivables with respect to
Additional Accounts 0.00
E(3)(b) Finance Charge Receivables with respect to
Additional Accounts (excluding Interchange) 0.00
------------------
E(3)(c) Receivables with respect to Additional Accounts 0.00
A(4) Principal Receivables billed 398,938,423.01
Finance Charge Receivables billed
(excluding Interchange) 56,654,232.46
------------------
Receivables billed 455,592,655.47
E(4) A(5) Discount Receivables Generated 0.00
G(1)/M(3) A(6) Collections of Principal Receivables 411,926,827.64
G(2) Collections of Finance Charge Receivables
(excluding Interchange) 59,125,653.23
------------------
G(3) Total Collections 471,052,480.87
A(7) Default Amount (excluding Recoveries) 25,009,568.86
E(5)(a) A(8) Ending Principal Receivables 3,944,414,286.89
E(5)(b) Ending Finance Charge Receivables
(excluding Interchange) 48,087,716.10
E(5)(c) Ending Discount Receivables 0.00
------------------
E(5)(d) Ending Receivables 3,992,502,002.99
E(6) A(9) Beginning Aggregate Invested Amount 2,466,152,375.00
Beginning Aggregate Invested Percentage 61.93%
A(10) Beginning Transferor Amount 1,516,259,885.38
Net Change in Transferor Amount (37,997,973.49)
------------------
E(7) Ending Transferor Amount 1,478,261,911.89
Beginning Transferor Interest Percentage 38.07%
A(11) Collections of Finance Charge Receivables
allocable to Interchange 3,029,870.08
F B Delinquencies and Losses for Due Period
B(1) Delinquent Accounts
F(1)(a) 30-59 Days Delinquent 20,951
F(2)(a) 60-89 Days Delinquent 12,936
F(3)(a) 90-119 Days Delinquent 8,953
120+ Days Delinquent 12,862
F(4)(a) B(2) Defaulted Accounts 6,503
B(3) Delinquent Receivables
F(1)(a) 30-59 Days Delinquent 65,480,339.26
F(2)(a) 60-89 Days Delinquent 44,067,090.52
F(3)(a) 90-119 Days Delinquent 31,872,686.92
120+ Days Delinquent 49,013,151.99
F(4)(a) B(4) Default Amount 21,301,328.89
L C Base Rate and Portfolio Yield
L(1)(a) C(1) Base Rate (Current Due Period) 6.76%
L(1)(b) Base Rate (Prior Due Period) 6.76%
L(1)(c) Base Rate (Two Due Periods Ago) 6.76%
L(1)(d) Three Month Average Base Rate 6.76%
L(2)(a) C(2) Portfolio Yield (Current Due Period) 9.25%
L(2)(b) Portfolio Yield (Prior Due Period) 9.13%
L(2)(c) Portfolio Yield (Two Due Periods Ago) 10.67%
L(2)(d) Three Month Average Portfolio Yield 9.68%
H D Series 1993-1 Invested Amount
H(1)(a) D(1) Class A Initial Invested Amount 750,000,000.00
H(1)(b) Class B Initial Invested Amount 47,873,000.00
-------------------
H(1)(c) Initial Invested Amount 797,873,000.00
H(2)(a) D(2) Class A Invested Amount as of the
beginning of the Due Period 750,000,000.00
H(2)(b) Class B Invested Amount as of the
beginning of the Due Period 47,873,000.00
-------------------
H(2)(c) Invested Amount as of the beginning
of the Due Period 797,873,000.00
D(3) Class A Invested Amount at the end of
revolving period 750,000,000.00
Class B Invested Amount at the end of
revolving period 47,873,000.00
-------------------
Invested Amount at the end of
revolving period 797,873,000.00
D(4) Principal Funding Account Balance as of
end of day on preceding Distribution Date 312,500,000.00
Deposits to Principal Funding Account 62,500,000.00
Principal Funding Investment Proceeds 1,167,437.50
Withdrawals from Principal Funding Account 0.00
Allocation of Principal Funding Investment
Proceeds 1,167,437.50
-------------------
H(5) Principal Funding Account Balance as of
end of day on current Distribution Date 375,000,000.00
H(3)(a) D(5) Class A Adjusted Invested Amount as of
the beginning of the Due Period 437,500,000.00
H(3)(b) Class B Adjusted Invested Amount as of
the beginning of the Due Period 47,873,000.00
H(3)(c) Adjusted Invested Amount as of the
beginning of the Due Period 485,373,000.00
D(6) Enhancement Initial Invested Amount 0.00
H(4) Enhancement Invested Amount 0.00
H(7) D(7) Floating Allocation Percentage 12.19%
H(8) D(8) Principal Allocation Percentage 20.03%
E Servicing Fee Calculation
E(1) Servicing Base Amount 485,373,000.00
H(9)(a) E(2) Servicer Interchange 303,358.01
H(9)(b) Class A Servicing Fee 455,745.02
H(9)(c) Class B Servicing Fee 49,851.85
--------------------
Subtotal 808,954.88
H(9)(d) Investor Monthly Servicing Fee 808,954.88
--------------------
Shortfall of Servicer
Interchange 0.00
H(10) E(3) Investor Default Amount 2,596,631.99
E(4) Monthly Cash Collateral Fee 15,468.45
O F Reserve Account
F(1) Reserve Account Balance as of end of
day on preceding Distribution Date 7,978,730.00
Deposits to Reserve Account 0.00
Interest earnings on Reserve Account 32,768.63
Withdrawals from Reserve Account 32,768.63
-------------------
O(2)/H(6) Reserve Account Balance as of end of
day on current Distribution Date 7,978,730.00
O(1) F(2) Required Reserve Account Amount 7,978,730.00
F(3) Available Reserve Account Amount 7,978,730.00
F(4) Reserve Draw Amount 0.00
F(5) Reserve Account Surplus 0.00
O(3) F(6) Covered Amount 1,236,979.17
Q G Cash Collateral Account
Q(1)(a) G(1) Initial Shared Collateral Amount 39,894,167.00
Q(1)(b) Initial Class B Collateral Amount 7,978,833.00
-------------------
Initial Cash Collateral Amount 47,873,000.00
G(2) Cash Collateral Account balance as of
end of day on preceding Distribution Date 47,873,000.00
Deposits to Cash Collateral Account 0.00
Withdrawals from Cash Collateral Account 0.00
-------------------
Cash Collateral Account balance as of
end of day on current Distribution Date 47,873,000.00
G(3) Cash Collateral Account Surplus 0.00
Q(2)(a) G(4) Available Shared Collateral Amount 39,894,167.00
Q(2)(b) Available Cash Collateral Amount 47,873,000.00
G(5) Required Draw Amount 0.00
Interest Draw Amount 0.00
Servicing Draw Amount 0.00
Default Draw Amount 0.00
Reimbursement Draw Amount/Special Draw
Amount/Class A&B Principal Draw Amount 0.00
--------------------
Q(3) Total Draw Amount 0.00
I H Allocation of Class A Available Funds
I(1) H(1) Class A Floating Percentage 90.14%
I(1)(b) H(2) Principal Funding Investment Proceeds
(if applicable to Class A) 1,167,437.50
I(1)(a) Class A Finance Charge Collections
(excluding Interchange) 6,496,765.80
Class A allocation of Servicer Interchange 332,924.12
I(1)(c) Reserve Draw Amount (if applicable to Class A) 0.00
--------------
I(1)(d) Class A Available Funds 7,997,127.42
I(2)(a) H(3) Class A Monthly Interest 2,968,750.00
--------------
Class A Interest Shortfall 0.00
H(4) Class A Additional Interest 0.00
I(2)(b) Class A Servicing Fee 455,745.02
Class A allocation of Servicer Interchange 273,446.91
I(2)(c) Class A Investor Default Amount 2,340,604.08
H(5) Distribution of Class A Available Funds
Class A Monthly Interest plus amounts
previously due but not distributed 2,968,750.00
Class A Additional Interest plus
amounts previously due but not
distributed 0.00
Class A Servicing Fee plus amounts
previously due but not distributed 455,745.02
Class A allocation of Servicer
Interchange 273,446.91
Class A Investor Default Amount 2,340,604.08
--------------
I(2)(d) Total Class A Excess Spread 1,958,581.41
I(3) H(6) Required Amount 0.00
J I Allocation of Class B Available Funds
J(1) I(1) Class B Floating Percentage 9.86%
J(1)(b) I(2) Principal Funding Investment Proceeds
(if applicable to Class B) 0.00
J(1)(a) Class B Finance Charge Collections
(excluding Interchange) 710,651.33
Class B allocation of Servicer Interchange 36,417.04
J(1)(c) Reserve Draw Amount (if applicable to Class B) 0.00
-------------
J(1)(d) Class B Available Funds 747,068.37
J(2)(a) I(3) Class B Monthly Interest 194,484.06
-------------
Class B Interest Shortfall 0.00
I(4) Class B Additional Interest 0.00
J(2)(b) Class B Servicing Fee 49,851.85
Class B allocation of Servicer Interchange 29,911.12
I(5) Distribution of Class B Available Funds
Class B Monthly Interest plus amounts
previously due but not distributed 194,484.06
Class B Additional Interest plus
amounts previously due but not
distributed 0.00
Class B Servicing Fee plus amounts
previously due but not distributed 49,851.85
Class B allocation of Servicer
Interchange 29,911.12
--------------
J(2)(d) Total Class B Excess Spread 472,821.34
I(6) Class B Investor Default Amount 256,027.91
K J Excess Spread and Excess Finance Charge Collections
K(1) J(1) Total Excess Spread 2,431,402.75
Excess Finance Charge Collections allocated
from other series 0.00
--------------
Subtotal 2,431,402.75
K(2)(a) J(2) Applied to Required Amount 0.00
K(2)(b) Applied to Class A Investor Charge Offs 0.00
K(2)(c) Applied to Class B Monthly Interest &
Additional Interest 0.00
K(2)(d) Applied to Class B Servicing Fee 0.00
K(2)(e) Applied to Class B Investor Default Amount 256,027.91
K(2)(f) Applied to Class B Invested Amount reductions 0.00
K(2)(g) Applied to Enhancement Invested Amount
reductions 0.00
K(2)(h) Applied to Cash Collateral Account 0.00
K(2)(i) Applied to Monthly Cash Collateral Fee 15,468.45
K(2)(j) Applied to Reserve Account 0.00
K(2)(k) Applied to Cash Collateral Depositor 2,159,906.43
--------------
K(3) Total Excess Finance Charge Collections 0.00
J(3) Finance Charge Shortfall 1,167,437.54
J(4) Portion of Shared Collateral Amount applied
to Required Amount 0.00
Portion of Reallocated Principal Collections
applied to Required Amount 0.00
M K Allocation of Principal Collections
K(1) Available Principal Collections 85,105,575.57
M(5) Excess Principal Collections with respect
to other Series 0.00
--------------
Subtotal 85,105,575.57
M(1)(a) K(2) Class A Principal Percentage 94.00%
M(1)(b) Class A Monthly Principal 62,500,000.00
M(2)(a) K(3) Class B Principal Percentage 6.00%
M(2)(b) Class B Monthly Principal 0.00
K(4) Allocation of Principal Collections
Deposit to Principal Funding
Account 62,500,000.00
Distribution to Cash Collateral
Depositor 0.00
Excess Principal Collections 22,605,575.57
Principal Shortfall 0.00
M(4) K(5) Reallocated Principal Collections pursuant
to Section 4.9(a) 0.00
K(6) Amount by which Class B Invested Amount was
reduced pursuant to 4.7(a) 0.00
N L Accumulation Period
N(1)(a) L(1) Controlled Accumulation Amount (Class A) 62,500,000.00
N(1)(b) Deficit Controlled Accumulation Amount
(Class A) 0.00
--------------
N(1)(c) Controlled Deposit Amount (Class A) 62,500,000.00
N(2)(a) L(2) Controlled Accumulation Amount (Class B) N/A
N(2)(b) Deficit Controlled Accumulation Amount
(Class B) N/A
--------------
N(2)(c) Controlled Deposit Amount (Class B) 0.00
P M Investor Charge Offs
P(1)(a)/B(1) M(1) Class A Investor Charge Offs 0.00
P(1)(b)/D(1) Class B Investor Charge Offs 0.00
P(2)(a)/B(3) M(2) The amount of reimbursed Class A Investor
Charge Offs 0.00
P(2)(b)/D(3) The amount of reimbursed Class B Investor
Charge Offs 0.00
M(3) The amount, if any, by which the outstanding
principal balance of the Certificates exceeds the
Invested Amount after giving effect to all
transactions on the Distribution Date
B(5) Class A 0.00
D(5) Class B 0.00
A N Distributions to Class A Certificateholders
(per $1,000 original principal amount)
A(1) N(1) Total distribution to Class A Certificateholders 3.96
A(2) Amount with respect to interest 3.96
A(3) Amount with respect to principal 0.00
B(2) N(2) Class A Investor Charge Offs 0.00
B(4) N(3) The amount of reimbursed Class A Investor Charge Offs 0.00
C O Distributions to Class B Certificateholders
(per $1,000 original principal amount)
C(1) O(1) Total distribution to Class B Certificateholders 4.06
C(2) Amount with respect to interest 4.06
C(3) Amount with respect to principal 0.00
D(2) O(2) Class B Investor Charge Offs 0.00
D(4) O(3) The amount of reimbursed Class B Investor Charge Offs 0.00
NATIONSBANK OF DELAWARE, N.A.
as Servicer
By: \s\ Tracy Chandler
------------------
Name: Tracy Chandler
Title: Assistant Vice President
Exhibit C & D
MONTHLY CERTIFICATEHOLDERS STATEMENT
NATIONSBANK OF DELAWARE, N/A
NATIONSBANK CREDIT CARD MASTER TRUST
SERIES 1993-2
- -----------------------------------------------------------------------------
Pursuant to the Master Pooling and Servicing Agreement, dated as
of December 1, 1993 (as amended or supplemented, the "Pooling
and Servicing Agreement"), as supplemented by the Series 1993-2
Supplement, dated as of December 1, 1993 (the "Supplement" and,
together with the Pooling and Servicing Agreement, the
"Agreement"), each between NationsBank of Delaware, N.A. as
Transferor and Servicer, and The Bank of New York, as Trustee, the
Servicer is required to prepare certain information each month
regarding distributions to Certificateholders and the performance
of the Trust. The information with respect to the applicable
Distribution Date and Due Period is set forth below.
Due Period May-96
Determination Date 10-Jun-96
Transfer Date 14-Jun-96
Distribution Date 17-Jun-96
Amortization Period? No
Class A Accumulation Period? No
Class B Accumulation Period? No
Early Amortization Period? No
A Receivables for Due Period
A(1) Beginning Principal Receivables 3,982,412,260.38
Beginning Finance Charge Receivables
(excluding Interchange) 50,559,136.87
Beginning Discount Receivables 0.00
-------------------
Beginning Receivables 4,032,971,397.25
A(2) Removed Principal Receivables 0.00
Removed Finance Charge Receivables
(excluding Interchange) 0.00
-------------------
Removed Receivables 0.00
A(3) Principal Receivables with respect to Additional
Accounts 0.00
Finance Charge Receivables with respect to
Additional Accounts (excluding Interchange) 0.00
-------------------
Receivables with respect to Additional Accounts 0.00
A(4) Principal Receivables billed 398,938,423.01
Finance Charge Receivables billed
(excluding Interchange) 56,654,232.46
-------------------
Receivables billed 455,592,655.47
A(5) Discount Receivables Generated 0.00
A(6) Collections of Principal Receivables 411,926,827.64
Collections of Finance Charge Receivables
(excluding Interchange) 59,125,653.23
-------------------
Total Collections 471,052,480.87
A(7) Default Amount 25,009,568.86
A(8) Ending Principal Receivables 3,944,414,286.89
Ending Finance Charge Receivables
(excluding Interchange) 48,087,716.10
Ending Discount Receivables 0.00
-------------------
Ending Receivables 3,992,502,002.99
A(9) Beginning Aggregate Invested Amount 2,466,152,375.00
Beginning Aggregate Invested Percentage 61.93%
A(10) Beginning Transferor Amount 1,516,259,885.38
Net Change in Transferor Amount (37,997,973.49)
-------------------
Ending Transferor Amount 1,478,261,911.89
Beginning Transferor Interest Percentage 38.07%
A(11) Collections of Finance Charge Receivables
allocable to Interchange 3,029,870.08
B Delinquencies and Losses for Due Period
B(1) Delinquent Accounts
30-59 Days Delinquent 20,951
60-89 Days Delinquent 12,936
90-119 Days Delinquent 8,953
120+ Days Delinquent 12,862
B(2) Defaulted Accounts 6,503
B(3) Delinquent Receivables
30-59 Days Delinquent 65,480,339.26
60-89 Days Delinquent 44,067,090.52
90-119 Days Delinquent 31,872,686.92
120+ Days Delinquent 49,013,151.99
B(4) Default Amount 21,301,328.89
C Base Rate and Portfolio Yield
C(1) Base Rate (Current Due Period) 8.02%
Base Rate (Prior Due Period) 8.02%
Base Rate (Two Due Periods Ago) 8.02%
Three Month Average Base Rate 8.02%
C(2) Portfolio Yield (Current Due Period) 12.31%
Portfolio Yield (Prior Due Period) 11.37%
Portfolio Yield (Two Due Periods Ago) 12.64%
Three Month Average Portfolio Yield 12.11%
D Series 1993-2 Invested Amount
D(1) Class A Initial Invested Amount 500,000,000.00
Class B Initial Invested Amount 31,915,000.00
----------------
Initial Invested Amount 531,915,000.00
D(2) Class A Invested Amount as of the beginning
of the Due Period 500,000,000.00
Class B Invested Amount as of the beginning
of the Due Period 31,915,000.00
-----------------
Invested Amount as of the beginning of the
Due Period 531,915,000.00
D(3) Class A Invested Amount at the end of revolving
period N/A
Class B Invested Amount at the end of revolving
period N/A
Invested Amount at the end of revolving period N/A
D(4) Principal Funding Account Balance as of end of
day on preceding Distribution Date 0.00
Deposits to Principal Funding Account 0.00
Principal Funding Investment Proceeds 0.00
Withdrawals from Principal Funding Account 0.00
Allocation of Principal Funding Investment Proceeds 0.00
-----------------
Principal Funding Account Balance as of end of
day on current Distribution Date 0.00
D(5) Class A Adjusted Invested Amount as of the
beginning of the Due Period 500,000,000.00
Class B Adjusted Invested Amount as of the
beginning of the Due Period 31,915,000.00
----------------
Adjusted Invested Amount as of the beginning
of the Due Period 531,915,000.00
D(6) Enhancement Initial Invested Amount 0.00
Enhancement Invested Amount 0.00
D(7) Floating Allocation Percentage 13.36%
D(8) Principal Allocation Percentage 13.36%
E Servicing Fee Calculation
E(1) Servicing Base Amount 531,915,000.00
E(2) Servicer Interchange 332,447.00
Class A Servicing Fee 520,833.33
Class B Servicing Fee 33,244.79
-----------------
Subtotal 886,525.12
Investor Monthly Servicing Fee 886,525.12
-----------------
Shortfall of Servicer Interchange 0.00
E(3) Investor Default Amount 2,845,857.54
E(4) Monthly Cash Collateral Fee 13,225.92
F Reserve Account
F(1) Reserve Account Balance as of end of day on
preceding Distribution Date 0.00
Deposits to Reserve Account 0.00
Interest earnings on Reserve Account 0.00
Withdrawals from Reserve Account 0.00
------------------
Reserve Account Balance as of end of day on
current Distribution Date 0.00
F(2) Required Reserve Account Amount 0.00
F(3) Available Reserve Account Amount 0.00
F(4) Reserve Draw Amount 0.00
F(5) Reserve Account Surplus 0.00
F(6) Covered Amount N/A
G Cash Collateral Account
G(1) Initial Shared Collateral Amount 26,595,833.00
Initial Class B Collateral Amount 5,319,167.00
------------------
Initial Cash Collateral Amount 31,915,000.00
G(2) Cash Collateral Account balance as of end of
day on preceding Distribution Date 31,915,000.00
Deposits to Cash Collateral Account 0.00
Withdrawals from Cash Collateral Account 0.00
------------------
Cash Collateral Account balance as of end of
day on current Distribution Date 31,915,000.00
G(3) Cash Collateral Account Surplus 0.00
G(4) Available Shared Collateral Amount 26,595,833.00
Available Cash Collateral Amount 31,915,000.00
G(5) Required Draw Amount 0.00
Interest Draw Amount 0.00
Servicing Draw Amount 0.00
Default Draw Amount 0.00
Reimbursement Draw Amount/Special Draw Amount/
Class A&B Principal Draw Amount 0.00
----------------
Total Draw Amount 0.00
H Class A Available Funds
H(1) Class A Floating Percentage 94.00%
H(2) Principal Funding Investment Proceeds
(if applicable to Class A) 0.00
Class A Finance Charge Collections
(excluding Interchange) 7,425,236.04
Class A allocation of Servicer Interchange 380,503.20
Reserve Draw Amount (if applicable to Class A) 0.00
--------------
Class A Available Funds 7,805,739.24
H(3) Class A Monthly Interest 2,500,000.00
--------------
Class A Interest Shortfall 0.00
H(4) Class A Additional Interest 0.00
Class A Servicing Fee 520,833.33
Class A allocation of Servicer Interchange 312,500.18
Class A Investor Default Amount 2,675,106.09
H(5) Distribution of Class A Available Funds
Class A Monthly Interest plus amounts
previously due but not distributed 2,500,000.00
Class A Additional Interest plus amounts
previously due but not distributed 0.00
Class A Servicing Fee plus amounts
previously due but not distributed 520,833.33
Class A allocation of Servicer
Interchange 312,500.18
Class A Investor Default Amount 2,675,106.09
---------------
Total Class A Excess Spread 1,797,299.64
H(6) Required Amount 0.00
I Class B Available Funds
I(1) Class B Floating Percentage 6.00%
I(2) Principal Funding Investment Proceeds
(if applicable to Class B) 0.00
Class B Finance Charge Collections
(excluding Interchange) 473,951.24
Class B allocation of Servicer Interchange 24,287.44
Reserve Draw Amount (if applicable to Class B) 0.00
---------------
Class B Available Funds 498,238.68
I(3) Class B Monthly Interest 166,223.96
Class B Interest Shortfall 0.00
I(4) Class B Additional Interest 0.00
Class B Servicing Fee 33,244.79
Class B allocation of Servicer Interchange 19,946.82
I(5) Distribution of Class B Available Funds
Class B Monthly Interest plus amounts
previously due but not distributed 166,223.96
Class B Additional Interest plus amounts
previously due but not distributed 0.00
Class B Servicing Fee plus amounts
previously due but not distributed 33,244.79
Class B allocation of Servicer Interchange 19,946.82
------------
Total Class B Excess Spread 278,823.11
I(6) Class B Investor Default Amount 170,751.45
J Excess Spread and Excess Finance Charge Collections
J(1) Total Excess Spread 2,076,122.75
Excess Finance Charge Collections allocated from
other series 0.00
--------------
Subtotal 2,076,122.75
J(2) Applied to Required Amount 0.00
Applied to Class A Investor Charge Offs 0.00
Applied to Class B Monthly Interest & Additional
Interest 0.00
Applied to Class B Servicing Fee 0.00
Applied to Class B Investor Default Amount 170,751.45
Applied to Class B Invested Amount reductions 0.00
Applied to Enhancement Invested Amount reductions 0.00
Applied to Cash Collateral Account 0.00
Applied to Monthly Cash Collateral Fee 13,225.92
Applied to Reserve Account 0.00
Applied to Cash Collateral Depositor 0.00
--------------
Total Excess Finance Charge Collections 1,892,145.38
J(3) Finance Charge Shortfall 0.00
J(4) Portion of Shared Collateral Amount applied to
Required Amount 0.00
Portion of Reallocated Principal Collections
applied to Required Amount 0.00
K Principal Collections
K(1) Available Principal Collections 57,879,281.71
Excess Principal Collections with respect
to other Series 0.00
---------------
Subtotal 57,879,281.71
K(2) Class A Principal Percentage 94.00%
Class A Monthly Principal 0.00
K(3) Class B Principal Percentage 6.00%
Class B Monthly Principal 0.00
K(4) Allocation of Principal Collections
Deposit to Principal Funding Account 0.00
Distribution to Cash Collateral Depositor 0.00
Excess Principal Collections 57,879,281.71
Principal Shortfall 0.00
K(5) Reallocated Principal Collections pursuant to
Section 4.9(a) 0.00
K(6) Amount by which Class B Invested Amount was
reduced pursuant to 4.7(a) 0.00
L Accumulation Period
L(1) Controlled Accumulation Amount (Class A) N/A
Deficit Controlled Accumulation Amount (Class A) N/A
--------------
Controlled Deposit Amount (Class A) 0.00
L(2) Controlled Accumulation Amount (Class B) N/A
Deficit Controlled Accumulation Amount (Class B) N/A
--------------
Controlled Deposit Amount (Class B) 0.00
M Investor Charge Offs
M(1) Class A Investor Charge Offs 0.00
Class B Investor Charge Offs 0.00
M(2) The amount of reimbursed Class A Investor Charge Offs 0.00
The amount of reimbursed Class B Investor Charge Offs 0.00
M(3) The amount, if any, by which the outstanding principal
balance of the Certificates exceeds the Invested Amount
after giving effect to all transactions on the
Distribution Date
Class A 0.00
Class B 0.00
N Distributions to Class A Certificateholders (per $1,000
original principal amount)
N(1) Total distribution to Class A Certificateholders 5.00
Amount with respect to interest 5.00
Amount with respect to principal 0.00
N(2) Class A Investor Charge Offs 0.00
N(3) The amount of reimbursed Class A Investor Charge Offs 0.00
O Distributions to Class B Certificateholders
(per $1,000 original principal amount)
O(1) Total distribution to Class B Certificateholders 5.21
Amount with respect to interest 5.21
Amount with respect to principal 0.00
O(2) Class B Investor Charge Offs 0.00
O(3) The amount of reimbursed Class B Investor Charge Offs 0.00
NATIONSBANK OF DELAWARE, N.A.
as Servicer
By: /s/ Tracy Chandler
----------------------
Name: Tracy Chandler
Title: Assistant Vice President
Statement to Certificateholders
NationsBank Credit Card Master Trust--Series 1995-1
- ---------------------------------------------------
Exhibit E, F & G
MONTHLY CERTIFICATEHOLDERS STATEMENT
NATIONSBANK OF DELAWARE, N.A.
NATIONSBANK CREDIT CARD MASTER TRUST
SERIES 1995-1
Pursuant to the Master Pooling and Servicing Agreement, dated as of
December 1, 1993 (as amended or supplemented, the "Pooling and
Servicing Agreement"), as supplemented by the Series 1995-1
Supplement, dated as of August 8, 1995 (the "Supplement" and,
together with the Pooling and Servicing Agreement, the
"Agreement"), each between NationsBank of Delaware, N.A. as
Transferor and Servicer, and The Bank of New York, as Trustee, the
Servicer is required to prepare certain information each month
regarding distributions to Certificateholders and the performance
of the Trust. The information with respect to the applicable
Distribution Date and Due Period is set forth below.
Due Period May-96
Determination Date 10-Jun-96
Transfer Date 14-Jun-96
Distribution Date 17-Jun-96
Amortization Period? No
Class A Accumulation Period? No
Class B Accumulation Period? No
Early Amortization Period? No
A Receivables for Due Period REVISED
A(1) Beginning Principal Receivables 3,982,412,260.38
Beginning Finance Charge Receivables
(excluding Interchange) 50,559,136.87
Beginning Discount Receivables 0.00
-------------------
Beginning Receivables 4,032,971,397.25
A(2) Removed Principal Receivables 0.00
Removed Finance Charge Receivables
(excluding Interchange) 0.00
-------------------
Removed Receivables 0.00
A(3) Principal Receivables with respect to
Additional Accounts 0.00
Finance Charge Receivables with respect to
Additional Accounts (excluding Interchange) 0.00
-------------------
Receivables with respect to Additional Accounts 0.00
A(4) Principal Receivables billed 398,938,423.01
Finance Charge Receivables billed
(excluding Interchange) 56,654,232.46
-------------------
Receivables billed 455,592,655.47
A(5) Discount Receivables Generated 0.00
A(6) Collections of Principal Receivables 411,926,827.64
Collections of Finance Charge Receivables
(excluding Interchange) 59,125,653.23
-------------------
Total Collections 471,052,480.87
A(7) Default Amount (excluding Recoveries) 25,009,568.86
A(8) Ending Principal Receivables 3,944,414,286.89
Ending Finance Charge Receivables
(excluding Interchange) 48,087,716.10
Ending Discount Receivables 0.00
-------------------
Ending Receivables 3,992,502,002.99
A(9) Beginning Aggregate Invested Amount 2,466,152,375.00
Beginning Aggregate Invested Percentage 61.93%
A(10) Beginning Transferor Amount 1,516,259,885.38
Net Change in Transferor Amount (37,997,973.49)
-------------------
Ending Transferor Amount 1,478,261,911.89
Beginning Transferor Interest Percentage 38.07%
A(11) Collections of Finance Charge Receivables
allocable to Interchange 3,029,870.08
B Delinquencies and Losses for Due Period
B(1) Delinquent Accounts
30-59 Days Delinquent 20,951
60-89 Days Delinquent 12,936
90-119 Days Delinquent 8,953
120+ Days Delinquent 12,862
B(2) Defaulted Accounts 6,503
B(3) Delinquent Receivables
30-59 Days Delinquent 65,480,339.26
60-89 Days Delinquent 44,067,090.52
90-119 Days Delinquent 31,872,686.92
120+ Days Delinquent 49,013,151.99
B(4) Default Amount 21,301,328.89
C Base Rate and Portfolio Yield
C(1) Base Rate (Current Due Period) 8.47%
Base Rate (Prior Due Period) 8.43%
Base Rate (Two Due Periods Ago) 8.43%
Three Month Average Base Rate 8.43%
C(2) Portfolio Yield (Current Due Period) 12.32%
Portfolio Yield (Prior Due Period) 11.36%
Portfolio Yield (Two Due Periods Ago) 12.64%
Three Month Average Portfolio Yield 12.11%
D Series 1995-1 Invested Amount
D(1) Class A Initial Invested Amount 1,000,000,000.00
Class B Initial Invested Amount 51,137,000.00
Collateral Initial Indebtedness Amount 85,228,000.00
-------------------
Initial Invested Amount 1,136,365,000.00
D(2) Class A Investor Amount as of the beginning of
the Due Period 1,000,000,000.00
Class B Investor Amount as of the beginning of
the Due Period 51,137,000.00
Investor Amount 1,136,364,375.00
D(3) Class A Invested Amount at the end of revolving
period N/A
Class B Invested Amount at the end of revolving
period N/A
Collateral Indebtedness Amount at the end of
revolving period N/A
-------------------
Invested Amount at the end of revolving period N/A
D(4) Principal Funding Account Balance as of end of
day on preceding Distribution Date 0.00
Deposits to Principal Funding Account 0.00
Principal Funding Investment Proceeds 0.00
Withdrawals from Principal Funding Account 0.00
Allocation of Principal Funding Investment Proceeds 0.00
-------------------
Principal Funding Account Balance as of end of
day on current Distribution Date 0.00
D(5) Class A Invested Amount as of the beginning of
the Due Period 1,000,000,000.00
Class B Invested Amount as of the beginning of
the Due Period 51,137,000.00
Collateral Indebtedness Amount as of the beginning
of the Due Period 85,227,375.00
-------------------
Invested Amount as of the beginning of the
Due Period 1,136,364,375.00
D(6) Required Enhancement Amount 85,227,375.00
Enhancement Surplus 0.00
Available Enhancement Amount 85,227,375.00
D(7) Floating Allocation Percentage 28.53%
D(8) Fixed Allocation Percentage N/A
E Servicing Fee Calculation
E(1) Servicing Base Amount 1,136,364,375.00
E(2) Servicer Interchange 710,227.73
Class A Servicing Fee 1,041,666.67
Class B Servicing Fee 53,267.71
Collateral Servicing Fee 88,778.52
-------------------
Subtotal 1,893,940.63
Investor Monthly Servicing Fee 1,893,940.63
-------------------
Shortfall of Servicer Interchange 0.00
E(3) Investor Default Amount 6,077,269.14
E(4) Monthly Cash Collateral Fee 0.00
F Reserve Account
F(1) Reserve Account Balance as of end of day
on preceding Distribution Date 0.00
Deposits to Reserve Account 0.00
Interest earnings on Reserve Account 0.00
Withdrawals from Reserve Account 0.00
-------------------
Reserve Account Balance as of end of day
on current Distribution Date 0.00
F(2) Required Reserve Account Amount 0.00
F(3) Available Reserve Account Amount 0.00
F(4) Reserve Draw Amount 0.00
F(5) Reserve Account Surplus 0.00
F(6) Covered Amount N/A
G Cash Collateral Account
G(1) Initial Cash Collateral Amount 0.00
G(2) Cash Collateral Account balance as of end of
day on preceding Distribution Date 2,775,908.17
Deposits to Cash Collateral Account 3,644,869.87
Investment Earnings on Cash Collateral Account 6,248.57
Withdrawals from Cash Collateral Account 0.00
-------------------
Cash Collateral Account balance as of end of
day on current Distribution Date 6,427,026.61
G(3) Cash Enhancement Surplus 0.00
G(4) Available Cash Collateral Amount 2,775,908.17
Required Cash Collateral Amount 11,363,650.00
Required Cash Collateral Percentage 1.00%
G(5) Required Draw Amount 0.00
H Class A Available Funds
H(1) Class A Floating Percentage 25.11%
H(2) Principal Funding Investment Proceeds
(if applicable to Class A) 0.00
Class A allocation of Cash Collateral Account
Investment Proceeds 5,499.53
Class A Finance Charge Collections
(excluding Interchange) 14,846,451.53
Class A allocation of Servicer Interchange 760,800.38
Reserve Draw Amount (if applicable to Class A) 0.00
-------------------
Class A Available Funds 15,612,751.44
H(3) Class A Monthly Interest 5,375,000.00
-------------------
Class A Interest Shortfall 0.00
H(4) Class A Additional Interest 0.00
Class A Servicing Fee 1,041,666.67
Class A allocation of Servicer Interchange 625,000.00
Class A Investor Default Amount 5,348,763.68
H(5) Distribution of Class A Available Funds
Class A Monthly Interest plus amounts
previously due but not distributed 5,375,000.00
Class A Additional Interest plus amounts
previously due but not distributed 0.00
Class A Servicing Fee plus amounts
previously due but not distributed 1,041,666.67
Class A allocation of Servicer Interchange 625,000.00
Class A Investor Default Amount 5,348,763.68
-------------------
Total Class A Excess Spread 3,222,321.09
H(6) Class A Required Amount 0.00
I Class B Available Funds
I(1) Class B Floating Percentage 1.28%
I(2) Principal Funding Investment Proceeds
(if applicable to Class B) 0.00
Class B allocation of Cash Collateral Account
Investment Proceeds 280.34
Class B Finance Charge Collections
(excluding Interchange) 756,808.36
Class B allocation of Servicer Interchange 38,782.34
Reserve Draw Amount (if applicable to Class B) 0.00
-------------------
Class B Available Funds 795,871.04
I(3) Class B Monthly Interest 282,318.85
-------------------
Class B Interest Shortfall 0.00
I(4) Class B Additional Interest 0.00
Class B Servicing Fee 53,267.71
Class B allocation of Servicer Interchange 31,960.63
I(5) Distribution of Class B Available Funds
Class B Monthly Interest plus amounts
previously due but not distributed 282,318.85
Class B Additional Interest plus amounts
previously due but not distributed 0.00
Class B Servicing Fee plus amounts
previously due but not distributed 53,267.71
Class B allocation of Servicer Interchange 31,960.63
-------------------
Total Class B Excess Spread 428,323.84
I(6) Class B Investor Default Amount 272,657.02
Class B Required Amount 0.00
J Collateral Available Funds
J(1) Collateral Floating Percentage 2.14%
J(2) Collateral Finance Charge Collections 1,265,288.98
Collateral allocation of Cash Collateral Account
Investment Proceeds 468.70
Collateral allocation of Servicer Interchange 64,839.22
-------------------
Collateral Available Funds 1,330,596.90
J(3) Collateral Monthly Interest 465,820.87
-------------------
Collateral Interest Shortfall 0.00
J(4) Collateral Additional Interest 0.00
Collateral Servicing Fee 88,778.52
Collateral allocation of Servicer Interchange 53,267.10
J(5) Distribution of Collateral Available Funds
Collateral Servicing Fee plus amounts
previously due but not distributed 88,778.52
Collateral allocation of Servicer Interchange 53,267.10
-------------------
Total Collateral Excess Spread 1,188,551.28
J(6) Collateral Investor Default Amount 455,848.44
J(7) Collateral Required Amount 0.00
K Excess Spread and Excess Finance Charge Collections
K(1) Total Excess Spread 4,839,196.20
Excess Finance Charge Collections allocated from
other series 0.00
-------------------
Subtotal 4,839,196.20
K(2) Applied to Class A Monthly Interest &
Additional Interest 0.00
Applied to Class A Servicing Fee 0.00
Applied to Class A Investor Default Amount (0.00)
Applied to Class A Investor Charge Offs 0.00
Applied to Class B Monthly Interest &
Additional Interest 0.00
Applied to Class B Servicing Fee 0.00
Applied to Class B Investor Default Amount 272,657.02
Applied to Class B Invested Amount reductions 0.00
Applied to Collateral Servicing Fee 0.00
Applied to Collateral Monthly Interest &
Additional Interest 465,820.87
Applied to Collateral Default Amount 455,848.44
Applied to Collateral Indebtedness Amount reductions 0.00
Applied to Cash Collateral Account 0.00
Applied to Other Amount Due to Collateral
Indebtedness Holder 0.00
Applied to Reserve Account 0.00
Applied to Cash Collateral Depositor 3,644,869.87
-------------------
Total Excess Finance Charge Collections 0.00
K(3) Finance Charge Shortfall 0.00
K(4) Portion of Reallocated Principal Collections
applied to Required Amount 0.00
L Principal Collections
L(1) Collections of Principal Receivables allocable
to Series 1995-1 123,599,993.06
Excess Principal Collections with respect to
other Series 0.00
-------------------
Subtotal 123,599,993.06
L(2) Class A Fixed Percentage N/A
Class A Monthly Principal 0.00
L(3) Class B Fixed Percentage N/A
Class B Monthly Principal 0.00
L(4) Collateral Fixed Percentage N/A
Collateral Monthly Principal 0.00
L(5) Allocation of Principal Collections
Deposit to Principal Funding Account 0.00
Distribution to Collateral
Indebtedness Holder 0.00
Excess Principal Collections 123,599,993.06
-------------------
Principal Shortfall 0.00
L(6) Class B Subordinated Principal Collections 5,545,320.40
Collateral Subordinated Principal Collections 9,271,082.55
-------------------
Total Subordinated Principal Collections 14,816,402.95
L(7) Reallocated Principal Collections pursuant
to Section 4.9(a) 0.00
Reallocated Principal Collections pursuant
to Section 4.9(b) 0.00
Reallocated Principal Collections pursuant
to Section 4.9(c) 0.00
-------------------
Total Reallocated Principal Collections 0.00
M Accumulation Period
M(1) Controlled Accumulation Amount (Class A) N/A
Deficit Controlled Accumulation Amount (Class A) N/A
-------------------
Controlled Deposit Amount (Class A) 0.00
M(2) Controlled Accumulation Amount (Class B) N/A
Deficit Controlled Accumulation Amount (Class B) N/A
-------------------
Controlled Deposit Amount (Class B) 0.00
M(3) Accumulation Period Factor 1.27
Monthly Payment Rate 10.3437%
Required Accumulation Factor Number 11.00
Accumulation Period Length N/A
N Investor Charge Offs
N(1) Class A Investor Charge Offs 0.00
Class B Investor Charge Offs 0.00
N(2) The amount of reimbursed Class A Investor Charge Offs 0.00
The amount of reimbursed Class B Investor Charge Offs 0.00
N(3) The amount, if any, by which the outstanding principal
balance of the Certificates exceeds the Invested Amount
after giving effect to all transactions on the
Distribution Date
Class A 0.00
Class B 0.00
O Distributions to Class A Certificateholders
(per $1,000 original principal amount)
O(1) Total distribution to Class A Certificateholders 5.38
Amount with respect to interest 5.38
Amount with respect to principal 0.00
O(2) Class A Investor Charge Offs 0.00
O(3) The amount of reimbursed Class A Investor Charge Offs 0.00
P Distributions to Class B Certificateholders
(per $1,000 original principal amount)
P(1) Total distribution to Class B Certificateholders 5.52
Amount with respect to interest 5.52
Amount with respect to principal 0.00
P(2) Class B Investor Charge Offs 0.00
P(3) The amount of reimbursed Class B Investor Charge Offs 0.00
Q Distributions to Collateral Indebtedness Holders
(per $1,000 original principal amount)
Q(1) Total distribution to Collateral Indebtednness Holders 5.47
Amount with respect to interest 5.47
Amount with respect to principal 0.00
Q(2) Collateral Investor Charge Offs 0.00
Q(3) The amount of reimbursed Collateral Investor Charge Offs 0.00
NATIONSBANK OF DELAWARE, N.A.
as Servicer
By:/s/Theresa Rouse
----------------
Name: Theresa Rouse
Assistant Vice President
</TABLE>