EXHIBIT C

                         SCHEDULE TO MONTHLY NOTEHOLDERS' STATEMENT

                        MBNAseries

                         MBNA CREDIT CARD MASTER NOTE TRUST


                        MONTHLY PERIOD ENDING August 31, 2001



                           Reference is made to the 2001-D Supplement (the "Series 2001-D" Supplement), dated as of May
                        24, 2001, between MBNA America Bank, National Association, a national banking association (the
                        "Bank"), as Seller and Servicer, and The Bank of New York, as Trustee, the Indenture (the
                        "Indenture"), dated as of May 24, 2001 and the Indenture Supplement (the "Indenture
                        Supplement"), dated as of May 24, 2001 , each between MBNA Credit Card Master Note Trust, as
                        Issuer, and "The Bank of New York, as Indenture Trustee.  Terms used herein and not defined
                        herein have the meanings ascribed to them in the 2001-D Supplement, the Indenture and the
                        Indenture Supplement, as applicable.


                           The following computations are prepared with respect to the Transfer Date of September 14,
                        2001 and with respect to the performance of the Trust during the related Monthly Period.





                        A.                      Targeted deposits to Interest Funding sub-Accounts:


                        Targeted Deposit        Actual Deposit to       Shortfall from          Interest Funding        Interest Funding
                        to Interest             Interest Funding        earlier Monthly         sub-account Balance     sub-Account
                        Funding                 sub-Account for         Periods                 prior  to               Earnings
                        sub-Account for         applicable Monthly                              Withdrawls*
                        applicable              Period
                        Monthly Period

                        Class A:
                        Class A(2001-1)         $4,791,666.67           $4,791,666.67           $0.00                   $4,791,666.67           $0.00
                        Class A(2001-2)         $2,569,201.39           $2,569,201.39           $0.00                   $2,906,180.56           $830.33
                        Class A(2001-3)         $2,522,666.66           $2,522,666.66           $0.00                   $2,522,666.66           $0.00
                        Class A(2001-Emerald)   $1,270,715.13           $1,270,715.13           $0.00                   $57,439,791.00          $28,797.84
                        Class A Total:          $11,154,249.85          $11,154,249.85          $0.00                   $67,660,304.89          $29,628.17
                        Class B:
                        Class B(2001-1)         $920,104.17             $920,104.17             $0.00                   $920,104.17             $0.00
                        Class B Total:          $920,104.17             $920,104.17             $0.00                   $920,104.17             $0.00
                        Class C:
                        Class C(2001-1)         $1,074,791.67           $1,074,791.67           $0.00                   $1,074,791.67           $0.00
                        Class C(2001-2)         $439,083.33             $439,083.33             $0.00                   $909,416.66             $1,158.92
                        Class C(2001-3)         $3,202,222.23           $3,202,222.23           $0.00                   $3,638,888.89           $1,075.97
                        Class C Total:          $4,716,097.23           $4,716,097.23           $0.00                   $5,623,097.22           $2,234.89

                        Total:                  $16,790,451.25          $16,790,451.25          $0.00                   $74,203,506.28          $31,863.06

                        *  The Interest Funding Account Balance for Class A(2001-Emerald) reflects activity as of the end of the Monthly Period.





B.                                              Interest to be paid on the corresponding Payment Date:*


                        CUSIP                   Interest Payment Date   Interest Rate           Amount of interest to
                        Number                                                                  be paid on
                                                                                                corresponding
                                                Interest Payment Date

                        Class A
                        Class A(2001-1)         55264TAC5               September 17, 2001      5.7500000%              $4,791,666.67
                        Class A(2001-2)         55264TAE1               September 17, 2001      3.9500000%              $2,906,180.56
                        Total Class A           $7,697,847.23
                        Class B
                        Class B(2001-1)         55264TAA9               September 17, 2001      4.0150000%              $920,104.17
                        Total Class B           $920,104.17
                        Class C
                        Class C(2001-1)         55264TAB7               September 17, 2001      4.6900000%              $1,074,791.67
                        Class C(2001-2)         55264TAD3               September 17, 2001      4.8900000%              $909,416.66
                        Class C(2001-3)         55264TAF8               September 17, 2001      6.5500000%              $3,638,888.89
                        Total Class C           $5,623,097.22


                        *  For Interest Payment information on the Emerald Note program, refer to Exhibit B to the Class A(2001-Emerald) Terms Document.




                        C.                      Targeted deposits to Class C Reserve sub-Accounts:

                        Targeted Deposit to     Actual Deposit          Class C Reserve         Class C
                        Class C Reserve         to Class C              sub-Account Balance     Reserve
                        sub-Account for         Reserve                 on Transfer Date        sub-Account
                        applicable Monthly      sub-Account for         prior to withdrawals    Earnings
                        Period                  applicable
                        Monthly Period


NOTHING TO REPORT




D.                      Withdrawals to be made from the C Reserve sub-Accounts on the corresponding Transfer Date:

                        Withdrawals for         Withdrawals for         Class C Reserve
                        Interest                Principal               sub-Account Balance
                                                                        on Transfer Date
                                                                        after withdrawals




                                                                        NOTHING TO REPORT



                        E.                       Targeted deposits to Principal Funding sub-Accounts:

                         Targeted Deposit to    Actual Deposit to       Shortfall from          Principal               Principal Funding
                        Principal Funding       Principal Funding       earlier Monthly         Funding                 sub-Account
                        sub-Account for         sub-Account for         Periods                 sub-Account             Earnings
                        applicable Monthly      applicable Monthly      Balance on
                        Period                  Period                  Transfer Date




                        NOTHING TO REPORT







F.                      Principal to be paid on the corresponding Principal Payment Date:

                        CUSIP Number            Principal               Amount of principal
                        Payment Date            to be paid on
                                                corresponding
                        Principal Payment
                        Date




                        NOTHING TO REPORT





G.                                              Stated Principal Amount, Outstanding Dollar Principal Amount and Nominal Liquidation Amount for the related Monthly
                        Period (as of the end of the prior Monthly Period):


                        Initial Dollar          Outstanding             Adjusted Outstanding    Nominal Liquidation
                        Principal  Amount       Principal               Principal Amount        Amount
                                                Amount



                        Class A
                        Class A(2001-1)         $1,000,000,000.00       $1,000,000,000.00       $1,000,000,000.00       $1,000,000,000.00
                        Class A(2001-2)         $500,000,000.00         $500,000,000.00         $500,000,000.00         $500,000,000.00
                        Class A(2001-3)         $1,000,000,000.00       $1,000,000,000.00       $1,000,000,000.00       $1,000,000,000.00
                        Class A(2001-Emerald)   $2,250,000,000.00       $2,250,000,000.00       $2,250,000,000.00       $2,250,000,000.00

                        Total Class A:          $4,750,000,000.00       $4,750,000,000.00       $4,750,000,000.00       $4,750,000,000.00

                        Class B
                        Class B(2001-1)         $250,000,000.00         $250,000,000.00         $250,000,000.00         $250,000,000.00

                        Total Class B:          $250,000,000.00         $250,000,000.00         $250,000,000.00         $250,000,000.00

                        Class C
                        Class C(2001-1)         $250,000,000.00         $250,000,000.00         $250,000,000.00         $250,000,000.00
                        Class C(2001-2)         $100,000,000.00         $100,000,000.00         $100,000,000.00         $100,000,000.00
                        Class C(2001-3)         $400,000,000.00         $400,000,000.00         $400,000,000.00         $400,000,000.00

                        Total Class C:          $750,000,000.00         $750,000,000.00         $750,000,000.00         $750,000,000.00

                        Total:                  $5,750,000,000.00       $5,750,000,000.00       $5,750,000,000.00       $5,750,000,000.00





H.                      Class A Usage of Class B and Class C Subordinated Amounts:

                        Class A Usage of        Class A Usage of Class  Cumulative Class A      Cumulative Class A
                        Class B                 C Subordinated Amount   Usage of Class B        Usage of Class C
                        Subordinated Amount     for this Monthly Period Subordinated Amount     Subordinated Amount
                        for this Monthly
                        Period




                        NOTHING TO REPORT




                        I.                      Class B Usage of Class C Subordinated Amounts:

                        Class B Usage of Class C                        Cumulative Class B
                        Subordinated Amount for Usage of Class C
                        this Monthly Period     Subordinated Amount




                        NOTHING TO REPORT





J.                      Nominal Liquidation Amount for Tranches of Notes Outstanding during related Monthly Period:


                        Beginning Nominal       Increases from          Increases from          Reimbursements          Reductions due to       Reductions due to       Reductions due to       Ending Nominal
                        Liquidation Amount *    accretions on           amounts withdrawn       from Available          reallocations of        Investor                amounts on              Liquidation
                        Principal for           from the Principal      Funds                   Available Principal     Charge-Offs             deposit in the          Amount
                        Discount Notes          Funding                 Amounts                 Principal Funding
                        sub-Account in          sub-Account
                        respect of
                        Prefunding Excess
                        Amount

                        Class A
                        Class A(2001-1)         $1,000,000,000.00       $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $1,000,000,000.00
                        Class A(2001-2)         $500,000,000.00         $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $500,000,000.00
                        Class A(2001-3)         $1,000,000,000.00       $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $1,000,000,000.00
                        Class A(2001-Emera      $2,250,000,000.00       $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $2,250,000,000.00

                        Total Class A:          $4,750,000,000.00       $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $4,750,000,000.00

                        Class B
                        Class B(2001-1)         $250,000,000.00         $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $250,000,000.00

                        Total Class B:          $250,000,000.00         $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $250,000,000.00

                        Class C
                        Class C(2001-1)         $250,000,000.00         $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $250,000,000.00
                        Class C(2001-2)         $100,000,000.00         $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $100,000,000.00
                        Class C(2001-3)         $400,000,000.00         $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $400,000,000.00

                        Total Class C:          $750,000,000.00         $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $750,000,000.00

                         Total:                 $5,750,000,000.00       $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $0.00                   $5,750,000,000.00


                        *  The Beginning Nominal Liquidation Amount for Class A(2001-Emerald) is reported as of the end of the Monthly Period.



                        K.                      Excess Available Funds and 3 Month Excess Available Funds:

                        Excess Available Funds  14,617,639.46


                        Is 3 Month Excess Available Funds less than 0 ? (Yes/No)                        NO




                           IN WITNESS WHEREOF, the undersigned has duly executed and delivered this Monthly Noteholders' Statement this 10th day of September 2001.

                        MBNA AMERICA BANK,
                        NATIONAL ASSOCIATION,
                                                as Beneficiary of the MBNA Credit
                                                Card Master Note Trust
                                                and
                                                as Servicer of the MBNA Master
                                                Credit Card Trust II


                        Name:                   Jack Fioravanti
                        Title:                  Senior Vice President




MBNAseries              C-1