NationsBank Corporation Tel 704 386-5000 100 North Tryon Street Fax 704 386-0270 NC1-007-23-06 Charlotte, NC 28255 NATIONSBANK Pricing Supplement No. 0199 Dated Rule 424(b)(2) July 22, 1998 (To Prospectus dated File number: 333-13811 December 19, 1996 and Prospectus Supplement dated January 08, 1998) Senior Medium-Term Notes, Series G 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: 0.04500% $ 11,250.00 Proceeds to Company: 99.95500% $ 24,988,750.00 Agent: NationsBanc Montgomery Securities LLC, as Agent Original Issue Date: July 24, 1998 Stated Maturity Date: December 15, 2000 Cusip #: 63858R-FF-3 Form: Book entry only Interest Rate: Floating Base rate: LIBOR Telerate Page 3750 Index maturity: 90 days Spread: + 1.0 bps Initial Interest Rate: 5.69750 Interest Reset Period: 15th of March, June, September, and December Interest Reset Dates: 15th of March, June, September, and December Interest Determination Date: Two London Banking Days preceding the Reset Date Interest Payment Dates: 15th of March, June, September and December, commencing on September 15, 1998 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