NationsBank Corporation Charlotte, NC 28255 Tel 704-386-5000 Pricing Supplement No. 0090 Dated August 24, 1995 Rule 424(b)(2) (To Prospectus dated February 24, 1995 and File No. 33-57533 Prospectus Supplement dated February 28, 1995 ) Senior Medium-Term Notes, Series D Due Nine Months or More from Date of Issue Principal Amount: $ 25,000,000.00 Issue Price: 100.00000% $ 25,000,000.00 Commission or Discount: .20700% $ 51,750.00 Proceeds to Company: 99.79300% $ 24,948,250.00 Agent: Lehman Brothers Inc., as Agent Original Issue Date: August 29, 1995 Stated Maturity Date: February 9, 2001 CUSIP#: 63858R-CL-3 Form: Book-entry only Interest Rate: Floating Base Rate: LIBOR Telerate Page 3750 Index Maturity: 90 days Spread: +20.00 bps Initial Interest Rate: To be determined on August 24, 1995 Interest Reset Period: Quarterly, commencing 11/15/95 Interest Reset Dates: 3rd Wednesday of February, May, August & November Interest Determination Dates: 2nd London Banking Day preceding Interest Reset Date Interest Payment Dates: 3rd Wednesday of February, May, August & November May the Notes be redeemed prior to maturity? No May the Notes be repaid prior to maturity? No Original Issue Discount Note? No