EXHIBIT 20.2

                           MONTHLY HOLDERS' STATEMENT
                              First USA Bank, N.A.

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                       First NBC Credit Card Master Trust
                                  Series 1997-1
                                  July 12, 1999
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Under the Pooling and Servicing Agreement (the "Pooling and Servicing
Agreement") dated as of August 1, 1997 by and between First USA Bank, N.A. as
successor Transferor and Servicer to Bank One Louisiana, N.A. (as successor to
First National Bank of Commerce ("FNBC")), and The First National Bank of
Chicago, as Trustee, (the "Trustee"), as amended and supplemented by the Series
1997-1 Supplement dated as of August 1, 1997 by and between First USA Bank, N.A.
and the Trustee, First USA Bank, N.A., as Servicer, is required to prepare
certain information for each Distribution Date regarding current distributions
to Certificateholders and the performance of the First NBC Credit Card Master
Trust ("the Trust") during the previous period. The information which is
required to be prepared with respect to the Distribution of the July 15, 1999
Distribution Date, and with respect to the performance of the Trust during the
Month ending June-99 is set forth below. Certain of the information is presented
on the basis of an original principal amount of $1,000 per Series 1997-1
Certificate (a "Certificate"). Certain other information is presented based on
the aggregate amounts for the Trust as a whole. Capitalized terms used in this
Monthly Statement have their respective meanings set forth in the Pooling and
Servicing Agreement and the Supplement.



A    Series 1997-1 Certificates
                                                                                                                        
           1  Information regarding Payments in respect of the Class A Certificates
              (per $1,000 original certificate principal amount)
                   a  Total Payment                                                                                        5.125000
                   b  Amount of Payment in respect of Class A Monthly Interest                                             5.125000
                   c  Amount of Payment in respect of Class A Overdue Monthly Interest                                            -
                   d  Amount of Payment in respect of Class A Additional Interest                                                 -
                   e  Amount of Payment in respect of Class A Principal                                                           -

           2 Class A Investor Charge-Offs/Reimbursement of Class A Investor Charge-Offs
                   a  Total amount of Class A Investor Charge-Offs                                                                -
                   b  Amount of Class A Investor Charge-Offs per $1,000 original certificate principal amount                     -
                   c  Total amount reimbursed in respect of Class A Investor Charge-Offs                                          -
                   d  Amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original
                      principal amount                                                                                            -
                   e  The amount, if any, by which the outstanding Principal Balance of the Class A
                      Certificates exceeds the Class A Adjusted Investor Interest after giving effect to all
                      transactions on such Distribution Date                                                                      -

           3  Information regarding Payments in respect of the Class B Certificates
              (per $1,000 original certificate principal amount)
                   a  Total Payment                                                                                        5.291667
                   b  Amount of Payment in respect of Class B Monthly Interest                                             5.291667
                   c  Amount of Payment in respect of Class B Overdue Monthly Interest                                            -
                   d  Amount of Payment in respect of Class B Additional Interest                                                 -
                   e  Amount of Payment in respect of Class B Principal                                                           -

           4  Amount of reductions in Class B Investor Interest pursuant to clauses (c), (d) and (e)
              of the definition of Class B Investor Interest
                   a  Amount of reductions in Class B Investor Interest                                                           -
                   b  Amount of reductions in Class B Investor Interest per $1,000 original certificate
                      principal amount                                                                                            -
                   c  Total amount reimbursed in respect of reductions of Class B Investor Interest                               -
                   d  Amount reimbursed in respect of reductions of Class B Investor Interest per
                      $1,000 original certificate principal amount                                                                -
                   e  The amount, if any, by which the outstanding Principal Balance of the Class B
                      Certificates exceeds the Class B Investor Interest after giving effect to all
                      transactions on such Distribution Date                                                                      -



Monthly Holders' Statement
Page 2  (all amounts in dollars except percentages)


                                                                                                      
               5  Information regarding Distribution in respect of the Collateral Interest
                       a  Total distribution                                                              4.656250
                       b  Amount of distribution in respect of Collateral Monthly Interest                4.656250
                       c  Amount of distribution in respect of Collateral Overdue Interest                       -
                       d  Amount of distribution in respect of Collateral Monthly Principal                      -

               6  Amount of reductions in Collateral Interest pursuant to clauses (c), (d) and
                  (e) of the definition of Collateral Interest
                       a  Amount of reductions in Collateral Interest                                            -
                       b  Total amount reimbursed in respect of reductions of Collateral Interest                -

 B        Trust Performance
               1  Delinquencies
                       a  30-59 days                                                                    11,304,225
                       b  60-89 days                                                                     7,366,483
                       c  90 days and over                                                              14,297,732
                       d  Total 30+ days delinquent                                                     32,968,441

               2  Base Rate
                       a  Current Monthly Period                                                          8.12744%
                       b  Prior Monthly Period                                                            8.10999%
                       c  Second Prior Monthly Period                                                     8.14740%
               3  Three Month Average Base Rate                                                           8.12828%

               4 Portfolio Yield (gross portfolio yield less net defaults)
                       a  Current Monthly Period                                                         12.44504%
                       b  Prior Monthly Period                                                           13.32684%
                       c  Second Prior Monthly Period                                                    11.79071%
               5  Three Month Average Portfolio Yield                                                    12.52086%

               6  Excess Spread Percentage
                       a  Current Monthly Period                                                          4.81760%
                       b  Prior Monthly Period                                                            5.71685%
                       c  Second Prior Monthly Period                                                     4.14331%
               7  Three Month Average Excess Spread Percentage                                            4.89259%

               8  Monthly Payment Rate (total collections/beginning aggregate principal receivables)     14.06511%

               9  Portfolio Adjusted Yield                                                                4.31760%


                         First USA Bank, N.A. as Servicer

                         By: /s/ Tracie Klein
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                         Name:  Tracie Klein
                         Title: First Vice President