WILMINGTON TRUST FSB
13F-HR, 2000-11-14
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<PAGE>


                UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               Form 13F COVER PAGE

        Report for Calendar Year or the Quarter Ended: September 30, 2000
                Check here if Amendment [x]; Amendment Number: 69

                        This Amendment(check only one.):
       [x] is a restatement
       [ ] adds new holdings entries

Institutional Investment Manager Filing this Report:

Name:     Wilmington Trust FSB
Address:  2000 PGA Boulevard, Suite 4400
          North Palm Beach, Florida  33408

Form 13F File Number: 28-03740

          The institutional investment manager filing this report and the person
          by whom it is signed hereby represent that the person signing the
          report is authorized to submit it, that all information contained
          herein is true, correct and complete, and that it is understood that
          all required items, statements, schedules, lists and tables, are
          considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:
Reporting Manager:

Name:     Rodney P. Wood
Title:    Chief Executive Officer
Phone:    (561) 630-1477

Signature, Place, and Date of Signing:

Rodney P. Wood                   Wilmington, DE              November 13, 2000
--------------------             ---------------------       -----------------
Rodney P. Wood                   City, State                 Date
Signature

Report Type (Check only one.):
[ ] 13F HOLDINGS REPORT.(Check here if all holdings of this reporting manager
    are reported in this report)
[ ] 13F NOTICE.(Check here if no holdings reported are in this report, and all
    holdings are reported by other reporting manager(s).)
[x] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)

List of Other Managers Reporting for this Manager:[If there are no entries in
this list, omit this section.]

Form 13F File Number 28-03742
Name:  Wilmington Trust Company


<PAGE>

                             FORM 13 F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                          2

Form 13F Table Entry Total:                                 483

Form 13F Information Table Value Total:                     $433,767 (thousands)

List of Other Included Managers:

No.     Form 13F
        File  No.         Name

9       28-03742          Wilmington Trust Company
10      28-00674          Wilmington Trust Corporation


<PAGE>

<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
TRANSOCEAN SEDCO FOREX IN  COMMON     G90078109             81       1,380 SH      SHARED  10                      1,380           0
                                                            65       1,101 SH      SHARED  9, 10                   1,101           0
                                                           145       2,470 SH      OTHER   10                      2,470           0
ACM GOVERNMENT OPPORTUNIT  COMMON     000918102             71      10,000 SH      OTHER   10                     10,000           0
AT & T CORP                COM        001957109            430      14,639 SH      SHARED  10                     14,541          98
                                                           336      11,438 SH      SHARED  9, 10                  11,438           0
                                                           802      27,307 SH      OTHER   10                     26,853         454
AT & T CORP                CL A       001957208            564      31,337 SH      SHARED  10                     31,337           0
                           COMMON                           29       1,600 SH      OTHER   10                      1,600           0
ABBOTT LABS                COM        002824100          4,005      84,201 SH      SHARED  10                     78,850       5,351
                                                           225       4,730 SH      SHARED  9, 10                   4,730           0
                                                         2,916      61,300 SH      OTHER   10                     60,600         700
AETNA INC                  COM        008117103            579       9,968 SH      OTHER   10                      9,968           0
AGILENT TECHNOLOGIES INC   COMMON     00846U101            209       4,274 SH      SHARED  10                      4,147         127
                                                            13         266 SH      SHARED  9, 10                     266           0
                                                           322       6,586 SH      OTHER   10                      6,586           0
AIR PRODS & CHEMS INC      COM        009158106            916      25,450 SH      SHARED  10                     20,650       4,800
                                                           252       7,000 SH      OTHER   10                      7,000           0
ALCOA INC                  COMMON     013817101             81       3,200 SH      SHARED  10                      3,200           0
                                                            30       1,200 SH      SHARED  9, 10                   1,200           0
                                                           113       4,448 SH      OTHER   10                      4,448           0
ALLIANCE CAPITAL MANAGEME  LP INTERES 01855A101            251       5,000 SH      SHARED  10                      5,000           0
ALTERA CORP                COM        021441100          1,320      27,649 SH      SHARED  10                     15,780      11,869
                                                            64       1,350 SH      SHARED  9, 10                   1,350           0
                                                           797      16,700 SH      OTHER   10                     16,700           0
AMERICA ONLINE INC DEL     COM        02364J104          1,748      32,527 SH      SHARED  10                     31,889         638
                                                           212       3,950 SH      SHARED  9, 10                   3,950           0
                                                           436       8,110 SH      OTHER   10                      7,510         600
AMERICAN EXPRESS CO        COM        025816109          2,200      36,208 SH      SHARED  10                     36,208           0
                                                            73       1,200 SH      SHARED  9, 10                   1,200           0
                                                           572       9,420 SH      OTHER   10                      9,420           0
AMERICAN HOME PRODS CORP   COM        026609107            761      13,452 SH      SHARED  10                     13,452           0
                                                            93       1,638 SH      SHARED  9, 10                   1,638           0
                                                         1,311      23,182 SH      OTHER   10                     22,482         700
                                                            11         200 SH      OTHER   9, 10                     200           0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
AMERICAN INTL GROUP INC    COM        026874107          9,777     102,181 SH      SHARED  10                    101,789         392
                                                           592       6,183 SH      SHARED  9, 10                   6,183           0
                                                         4,568      47,743 SH      OTHER   10                     47,743           0
AMGEN INC                  COM        031162100          2,473      35,419 SH      SHARED  10                     34,929         490
                                                           254       3,640 SH      SHARED  9, 10                   3,640           0
                                                           614       8,800 SH      OTHER   10                      8,800           0
AMSOUTH BANCORPORATION     COM        032165102          4,882     390,570 SH      SHARED  10                    390,570           0
                                                           345      27,586 SH      OTHER   10                     27,586           0
ANADARKO PETE CORP         COM        032511107            767      11,540 SH      SHARED  10                     11,540           0
                                                            17         260 SH      SHARED  9, 10                     260           0
ANALOG DEVICES INC         COM        032654105            589       7,138 SH      SHARED  10                      6,790         348
                                                           220       2,660 SH      SHARED  9, 10                   2,660           0
                                                           289       3,500 SH      OTHER   10                      3,500           0
ANHEUSER BUSCH COS INC     COM        035229103             93       2,200 SH      SHARED  10                      2,200           0
                                                           169       4,000 SH      OTHER   10                      4,000           0
APPLIED MAGNETICS CORP     COMMON IN  038213104              0          10 SH      SHARED  10                         10           0
APPLIED MICRO CIRCUITS CO  COMMON     03822W109            212       1,025 SH      SHARED  10                      1,025           0
AUTOMATIC DATA PROCESSING  COM        053015103          6,049      90,446 SH      SHARED  10                     86,460       3,986
                                                           311       4,656 SH      SHARED  9, 10                   4,656           0
                                                         1,659      24,800 SH      OTHER   10                     23,000       1,800
AVERY DENNISON CORPORATIO  COM        053611109            218       4,700 SH      SHARED  10                      4,700           0
                                                            17         375 SH      OTHER   10                        375           0
BP AMOCO PLC               SPONSORDD  055622104          3,896      73,510 SH      SHARED  10                     72,515         995
                                                            77       1,444 SH      SHARED  9, 10                   1,444           0
                                                         1,961      37,001 SH      OTHER   10                     37,001           0
                                                            28         528 SH      OTHER   9, 10                     528           0
BANK OF AMERICA CORPORATI  COMMON     060505104            850      16,225 SH      SHARED  10                     15,853         372
                                                           255       4,870 SH      SHARED  9, 10                   4,870           0
                                                           722      13,779 SH      OTHER   10                     13,779           0
                                                            40         756 SH      OTHER   9, 10                     756           0
BANK OF NEW YORK CO INC    COM        064057102            971      17,315 SH      SHARED  10                     17,315           0
                                                            84       1,500 SH      OTHER   10                      1,500           0
BANK ONE CORP              COMMON     06423A103          1,046      27,083 SH      SHARED  10                     27,083           0
                                                            19         500 SH      SHARED  9, 10                     500           0
                                                           319       8,268 SH      OTHER   10                      8,268           0
BAXTER INTL INC            COM        071813109            205       2,566 SH      SHARED  10                      2,566           0
                                                           109       1,360 SH      OTHER   10                      1,360           0
BEAR STEARNS COS INC       COM        073902108            237       3,756 SH      SHARED  10                      3,756           0
BELLSOUTH CORP             COM        079860102          3,081      76,535 SH      SHARED  10                     76,535           0
                                                            52       1,300 SH      SHARED  9, 10                   1,300           0
                                                         2,633      65,411 SH      OTHER   10                     65,411           0
                                                            48       1,200 SH      OTHER   9, 10                   1,200           0
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
BESTFOODS                  COM        08658U101            451       6,203 SH      SHARED  10                      6,203           0
                                                             2          24 SH      SHARED  9, 10                      24           0
                                                           378       5,200 SH      OTHER   10                      5,200           0
BOEING CO                  COM        097023105            116       1,840 SH      SHARED  10                      1,840           0
                                                           214       3,400 SH      SHARED  9, 10                   3,400           0
                                                           309       4,900 SH      OTHER   10                      4,900           0
BRISTOL-MYERS SQUIBB CO    COM        110122108          2,794      48,906 SH      SHARED  10                     45,413       3,493
                                                            95       1,665 SH      SHARED  9, 10                   1,665           0
                                                         2,017      35,300 SH      OTHER   10                     35,300           0
                                                            23         400 SH      OTHER   9, 10                     400           0
CIGNA CORP                 COM        125509109             84         800 SH      SHARED  9, 10                     800           0
                                                         2,155      20,643 SH      OTHER   10                     20,643           0
CARDINAL HEALTH INC        COM        14149Y108          2,112      23,950 SH      SHARED  10                     23,950           0
                                                           379       4,300 SH      OTHER   10                      3,900         400
CARNIVAL CORP              COMMON     143658102            798      32,387 SH      SHARED  10                     32,100         287
                                                             7         300 SH      SHARED  9, 10                     300           0
                                                           128       5,200 SH      OTHER   10                      5,200           0
CELGENE CORP               COM        151020104            179       3,000 SH      SHARED  10                      3,000           0
                                                            54         900 SH      OTHER   10                        900           0
CHASE MANHATTAN CORP NEW   COM        16161A108          2,466      53,381 SH      SHARED  10                     52,542         839
                                                           139       3,007 SH      SHARED  9, 10                   3,007           0
                                                           456       9,866 SH      OTHER   10                      9,866           0
CHEVRON CORP               COM        166751107          2,205      25,864 SH      SHARED  10                     25,641         223
                                                           519       6,087 SH      SHARED  9, 10                   6,087           0
                                                         1,219      14,300 SH      OTHER   10                     14,300           0
CHIQUITA BRANDS INTL INC   COM        170032106              0           0 SH      SHARED  9, 10                       0           0
CHUBB CORP                 COM        171232101            163       2,060 SH      SHARED  10                      2,060           0
                                                           760       9,600 SH      OTHER   10                      9,600           0
CISCO SYS INC              COM        17275R102          7,960     144,069 SH      SHARED  10                    143,504         565
                                                           930      16,831 SH      SHARED  9, 10                  16,831           0
                                                         2,221      40,200 SH      OTHER   10                     40,200           0
CITIGROUP INC              COMMON     172967101          2,069      38,265 SH      SHARED  10                     37,381         884
                                                           352       6,502 SH      SHARED  9, 10                   6,502           0
                                                           464       8,584 SH      OTHER   10                      8,584           0
CLEAR CHANNEL COMMUNICATI  COM        184502102          1,091      19,301 SH      SHARED  10                     18,970         331
                                                            68       1,210 SH      SHARED  9, 10                   1,210           0
                                                            31         550 SH      OTHER   10                        550           0
COCA COLA CO               COM        191216100          1,379      25,016 SH      SHARED  10                     24,550         466
                                                           189       3,425 SH      SHARED  9, 10                   3,425           0
                                                           863      15,660 SH      OTHER   10                     15,360         300

</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>

COLGATE PALMOLIVE CO       COM        194162103            512      10,845 SH      SHARED  10                     10,845           0
                                                            19         400 SH      OTHER   10                        200         200
COMCAST CORP               CL A SPL C 200300200            177       4,325 SH      SHARED  10                      4,325           0
                                                            41       1,000 SH      SHARED  9, 10                   1,000           0
                                                           197       4,800 SH      OTHER   10                      4,800           0
COMMUNITY BANK SYS INC     COM        203607106            220       8,500 SH      SHARED  10                      8,500           0
COMPAQ COMPUTER CORP       COM        204493100            195       7,066 SH      SHARED  10                      6,566         500
                                                           102       3,700 SH      OTHER   10                      3,700           0
CONOCO INC                 CL B COMMO 208251405            475      17,625 SH      SHARED  10                     16,715         910
                                                           333      12,379 SH      SHARED  9, 10                  12,379           0
                                                           100       3,726 SH      OTHER   10                      3,726           0
                                                             3         123 SH      OTHER   9, 10                     123           0
CONSTELLATION ENERGY CORP  COMMON     210371100            229       4,605 SH      SHARED  10                      4,605           0
                                                            53       1,061 SH      SHARED  9, 10                   1,061           0
                                                            25         500 SH      OTHER   10                        500           0
CORNING INC                COM        219350105          1,475       4,966 SH      SHARED  10                      4,966           0
                                                           535       1,800 SH      OTHER   10                      1,800           0
COSTCO WHOLESALE CORP      COMMON     22160K105            235       6,740 SH      SHARED  10                      6,740           0
CROWN MEDIA HOLDINGS INC   COMMON CL  228411104            142      10,000 SH      SHARED  10                     10,000           0
DELL COMPUTER CORP         COM        247025109            804      26,100 SH      SHARED  10                     26,100           0
                                                            18         600 SH      SHARED  9, 10                     600           0
                                                           527      17,100 SH      OTHER   10                     17,100           0
WALT DISNEY INTERNET GROU  COM        254687106          1,313      34,316 SH      SHARED  10                     28,316       6,000
                                                            69       1,800 SH      SHARED  9, 10                   1,800           0
                                                         1,086      28,402 SH      OTHER   10                     28,402           0
DOLLAR GEN CORP            COM        256669102            253      15,116 SH      SHARED  10                     15,116           0
                                                            84       4,999 SH      OTHER   10                      3,124       1,875
DOVER CORP                 COM        260003108          2,148      45,765 SH      SHARED  10                     45,765           0
                                                            47       1,000 SH      SHARED  9, 10                   1,000           0
                                                           718      15,300 SH      OTHER   10                     15,300           0
DOW CHEM CO                COM        260543103            213       8,526 SH      SHARED  10                      8,025         501
                                                           298      11,964 SH      OTHER   10                     11,964           0
                                                            22         900 SH      OTHER   9, 10                     900           0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
DREYFUS STRATEGIC MUNS IN  COM        261932107            203      23,717 SH      SHARED  10                     23,717           0
DU PONT E I DE NEMOURS &   COM        263534109          1,272      30,689 SH      SHARED  10                     30,689           0
                                                           520      12,540 SH      SHARED  9, 10                  12,540           0
                                                           859      20,729 SH      OTHER   10                     20,729           0
                                                            15         358 SH      OTHER   9, 10                     358           0
DUKE ENERGY CORP           COM        264399106            524       6,112 SH      SHARED  10                      6,112           0
                                                            58         676 SH      SHARED  9, 10                     676           0
                                                           369       4,300 SH      OTHER   10                      4,300           0
DUKE-WEEKS REALTY CORP     COM NEW    264411505            223       9,250 SH      SHARED  10                      9,250           0
                                                            77       3,200 SH      OTHER   10                      3,200           0
DUN & BRADSTREET CORP DEL  COMMON NEW 26483B106            320       9,300 SH      OTHER   10                      9,300           0
E M C CORP MASS            COM        268648102          7,927      79,974 SH      SHARED  10                     79,670         304
                                                           283       2,850 SH      SHARED  9, 10                   2,850           0
                                                         1,685      17,000 SH      OTHER   10                     10,600       6,400
EASTMAN KODAK CO           COM        277461109              8         200 SH      SHARED  10                        200           0
                                                           193       4,725 SH      OTHER   10                      4,725           0
EDWARDS A G INC            COM        281760108            173       3,300 SH      SHARED  10                      3,300           0
                                                           379       7,250 SH      OTHER   10                      7,250           0
EL PASO ENERGY PARTNERS L  COMMON     28368B102            235       8,800 SH      SHARED  10                      8,800           0
EMERSON ELEC CO            COM        291011104          2,684      40,056 SH      SHARED  10                     39,472         584
                                                            94       1,400 SH      SHARED  9, 10                   1,400           0
                                                         2,611      38,971 SH      OTHER   10                     38,971           0
                                                            18         270 SH      OTHER   9, 10                     270           0
ENRON CORP                 COM        293561106          1,094      12,480 SH      SHARED  10                     12,480           0
                                                           118       1,350 SH      SHARED  9, 10                   1,350           0
                                                            96       1,100 SH      OTHER   10                      1,100           0
EQUITY INV FUND            UNIT BLUE  294711130             12      10,489 SH      SHARED  10                     10,489           0
EQUITY INV FUND            UNIT BLUE  294711635             17      15,217 SH      SHARED  10                     15,217           0
EXXON MOBIL CORPORATION    COMMON     30231G102         11,769     132,050 SH      SHARED  10                    124,873       7,177
                                                           525       5,896 SH      SHARED  9, 10                   5,896           0
                                                         7,518      84,354 SH      OTHER   10                     83,164       1,190
                                                            45         500 SH      OTHER   9, 10                     500           0
FPL GROUP INC              COM        302571104            570       8,667 SH      SHARED  10                      8,667           0
                                                           757      11,518 SH      OTHER   10                     11,518           0
FAMILY DLR STORES INC      COM        307000109            297      15,405 SH      SHARED  10                     14,340       1,065
                                                            27       1,400 SH      SHARED  9, 10                   1,400           0
                                                            64       3,325 SH      OTHER   10                      3,325           0
FEDERAL HOME LN MTG CORP   VTG COM    313400301            821      15,179 SH      SHARED  10                     14,820         359
                                                            18         338 SH      SHARED  9, 10                     338           0
FANNIE MAE                 COM        313586109          2,006      28,050 SH      SHARED  10                     27,515         535
                                                           100       1,400 SH      SHARED  9, 10                   1,400           0
                                                           604       8,450 SH      OTHER   10                      8,050         400
FEDERAL SIGNAL CORP        COM        313855108            210      10,575 SH      SHARED  9, 10                  10,575           0
FIRST UNION CORP           COM        337358105             93       2,892 SH      SHARED  10                      2,892           0
                                                            32         986 SH      SHARED  9, 10                     986           0
                                                           296       9,200 SH      OTHER   10                      9,200           0

</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>

FLEETBOSTON FINANCIAL COR  COMMON     339030108            277       7,098 SH      SHARED  10                      6,698         400
                                                            23         600 SH      SHARED  9, 10                     600           0
                                                            62       1,600 SH      OTHER   10                        800         800
FORD MTR CO DEL            COMMON NEW 345370860            274      10,840 SH      SHARED  10                     10,840           0
                                                            35       1,398 SH      SHARED  9, 10                   1,398           0
                                                           242       9,542 SH      OTHER   10                      9,542           0
FORTUNE BRANDS INC         COMMON     349631101              9         350 SH      SHARED  10                        350           0
                                                           235       8,850 SH      OTHER   10                      8,850           0
GANNETT INC DEL            COM        364730101            489       9,222 SH      SHARED  10                      8,918         304
                                                            18         335 SH      SHARED  9, 10                     335           0
                                                            74       1,400 SH      OTHER   10                      1,400           0
GENENTECH INC              COMMON     368710406            610       3,285 SH      SHARED  10                      3,230          55
                                                            19         105 SH      SHARED  9, 10                     105           0
                                                           111         600 SH      OTHER   10                        600           0
GENERAL ELEC CO            COM        369604103         22,304     386,638 SH      SHARED  10                    379,378       7,260
                                                           900      15,606 SH      SHARED  9, 10                  15,606           0
                                                        11,604     201,158 SH      OTHER   10                    197,258       3,900
                                                            69       1,200 SH      OTHER   9, 10                   1,200           0
GENERAL MLS INC            COM        370334104             40       1,116 SH      SHARED  10                      1,116           0
                                                           163       4,600 SH      SHARED  9, 10                   4,600           0
                                                            71       2,000 SH      OTHER   10                      2,000           0
GENERAL MTRS CORP          CL H COM N 370442832            351       9,435 SH      SHARED  10                      9,435           0
GENZYME SURGICAL           COM        372917104            184       2,700 SH      SHARED  10                      2,700           0
                                                            68       1,000 SH      OTHER   10                      1,000           0
GILLETTE CO                COM        375766102          2,947      95,439 SH      SHARED  10                     95,067         372
                                                           181       5,865 SH      SHARED  9, 10                   5,865           0
                                                           233       7,550 SH      OTHER   10                      7,550           0
GOLDMAN SACHS GROUP INC    COM        38141G104            290       2,545 SH      SHARED  10                      2,545           0
GUIDANT CORP               COM        401698105            205       2,897 SH      SHARED  10                      2,565         332
                                                            73       1,035 SH      SHARED  9, 10                   1,035           0
                                                            21         300 SH      OTHER   10                        300           0
HRPT PROPERTIES TRUST      COMMON     40426W101             21       3,000 SH      SHARED  10                      3,000           0
                                                            74      10,500 SH      OTHER   10                     10,500           0
HALLIBURTON CO             COM        406216101            816      16,669 SH      SHARED  10                     16,296         373
                                                           144       2,935 SH      SHARED  9, 10                   2,935           0
                                                           392       8,007 SH      OTHER   10                      8,007           0
HENRY JACK & ASSOC INC     COM        426281101            521      12,000 SH      OTHER   10                     12,000           0
HERSHEY FOODS CORP         COM        427866108          1,291      23,855 SH      SHARED  10                     23,855           0
                                                            32         600 SH      SHARED  9, 10                     600           0
                                                           276       5,100 SH      OTHER   10                      5,100           0
                                                             5         100 SH      OTHER   9, 10                     100           0

</TABLE>


<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
HEWLETT PACKARD CO         COM        428236103          1,310      13,500 SH      SHARED  10                     13,165         335
                                                           126       1,300 SH      SHARED  9, 10                   1,300           0
                                                         1,135      11,700 SH      OTHER   10                     11,700           0
HOME DEPOT INC             COM        437076102          9,927     187,082 SH      SHARED  10                    184,638       2,444
                                                           482       9,085 SH      SHARED  9, 10                   9,085           0
                                                         5,012      94,449 SH      OTHER   10                     92,499       1,950
                                                            48         900 SH      OTHER   9, 10                     900           0
HONEYWELL INTERNATIONAL I  COM        438516106          1,022      28,684 SH      SHARED  10                     28,684           0
                                                            60       1,685 SH      SHARED  9, 10                   1,685           0
                                                           662      18,575 SH      OTHER   10                     17,975         600
HOUSEHOLD INTL INC         COM        441815107             69       1,226 SH      SHARED  10                          0       1,226
                                                            74       1,300 SH      SHARED  9, 10                   1,300           0
                                                           170       3,000 SH      OTHER   10                      3,000           0
HUNTINGTON BANCSHARES INC  COM        446150104            265      18,043 SH      SHARED  10                     18,043           0
IMS HEALTH INC             COM        449934108            322      15,500 SH      OTHER   10                     15,500           0
ILLINOIS TOOL WKS INC      COM        452308109            729      13,043 SH      SHARED  10                     12,864         179
                                                            32         570 SH      SHARED  9, 10                     570           0
                                                           193       3,461 SH      OTHER   10                      3,461           0
IMPERIAL OIL LTD           COM NEW    453038408            219       8,400 SH      SHARED  10                      8,400           0
                                                           149       5,700 SH      OTHER   10                      5,700           0
INTEL CORP                 COM        458140100          6,565     157,964 SH      SHARED  10                    155,454       2,510
                                                           518      12,454 SH      SHARED  9, 10                  12,454           0
                                                         3,410      82,040 SH      OTHER   10                     82,040           0
INTELISPAN INC             COM        458150109             34      33,333 SH      SHARED  10                     33,333           0
INTERNATIONAL BUS MACHS    COM        459200101          3,081      27,390 SH      SHARED  10                     27,390           0
                                                            75         666 SH      SHARED  9, 10                     666           0
                                                         4,374      38,881 SH      OTHER   10                     38,881           0
INTERNATIONAL PAPER CO     COM        460146103            193       6,735 SH      SHARED  10                      6,735           0
                                                            43       1,500 SH      SHARED  9, 10                   1,500           0
                                                            32       1,112 SH      OTHER   10                      1,112           0
INTERPUBLIC GROUP COS INC  COM        460690100          1,958      57,495 SH      SHARED  10                     56,485       1,010
                                                            74       2,165 SH      SHARED  9, 10                   2,165           0
                                                           534      15,690 SH      OTHER   10                     14,390       1,300
IVOICE.COM INC             COMMON     46588L106              7      13,000 SH      SHARED  10                     13,000           0
JDS UNIPHASE CORP          COMMON     46612J101          1,436      15,169 SH      SHARED  10                     14,812         357
                                                            64         675 SH      SHARED  9, 10                     675           0
                                                           473       5,000 SH      OTHER   10                      5,000           0
JOHNSON & JOHNSON          COM        478160104          6,581      70,053 SH      SHARED  10                     69,618         435
                                                         1,068      11,370 SH      SHARED  9, 10                  11,370           0
                                                         5,907      62,883 SH      OTHER   10                     62,483         400
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
KERR MCGEE CORP            COM        492386107            401       6,050 SH      SHARED  10                      6,050           0
KIMBERLY CLARK CORP        COM        494368103            136       2,445 SH      SHARED  10                      2,445           0
                                                            33         600 SH      SHARED  9, 10                     600           0
                                                           152       2,719 SH      OTHER   10                      2,719           0
KINDER MORGAN ENERGY PART  UNIT LTD P 494550106            261       5,505 SH      SHARED  10                      5,505           0
KROGER CO                  COM        501044101            348      15,420 SH      SHARED  10                     15,420           0
LEHMAN BROS HLDGS INC      PFD        524908258             39         400 SH      SHARED  10                        400           0
                                                           265       2,700 SH      OTHER   10                      2,700           0
LILLY ELI & CO             COM        532457108            789       9,720 SH      SHARED  10                      8,120       1,600
                                                            63         775 SH      SHARED  9, 10                     775           0
                                                           375       4,617 SH      OTHER   10                      4,617           0
LINENS 'N THINGS INC       COM        535679104            572      22,440 SH      SHARED  10                     22,055         385
                                                            30       1,170 SH      SHARED  9, 10                   1,170           0
                                                            28       1,100 SH      OTHER   10                      1,100           0
LITTELFUSE                 COM        537008104            383      12,900 SH      SHARED  10                     12,900           0
LOUISIANA PAC CORP         COM        546347105            133      14,430 SH      OTHER   10                     14,430           0
LUCENT TECHNOLOGIES INC    COM        549463107          1,751      57,306 SH      SHARED  10                     56,806         500
                                                           509      16,669 SH      SHARED  9, 10                  16,669           0
                                                         1,400      45,814 SH      OTHER   10                     45,422         392
MFS MULTIMARKET INCOME TR  SH BEN INT 552737108            173      28,000 SH      OTHER   10                     28,000           0
MACROCHEM CORPORATION      COM        555903103             46      12,000 SH      SHARED  10                     12,000           0
MARSH & MC LENNAN COS INC  COM        571748102            352       2,648 SH      SHARED  10                      2,648           0
                                                            93         699 SH      SHARED  9, 10                     699           0
MCDONALDS CORP             COM        580135101            377      12,500 SH      SHARED  10                     12,500           0
                                                            30       1,000 SH      SHARED  9, 10                   1,000           0
                                                           199       6,600 SH      OTHER   10                      6,600           0
MCGRAW HILL COMPANIES INC  COM        580645109             23         365 SH      SHARED  10                        365           0
                                                         1,228      19,326 SH      OTHER   10                     19,326           0
MEDTRONIC INC              COM        585055106          2,180      42,071 SH      SHARED  10                     41,698         373
                                                           181       3,501 SH      SHARED  9, 10                   3,501           0
                                                           471       9,100 SH      OTHER   10                      9,100           0
MERCK & CO INC             COM        589331107          6,971      93,647 SH      SHARED  10                     89,864       3,783
                                                           550       7,394 SH      SHARED  9, 10                   7,394           0
                                                         3,222      43,283 SH      OTHER   10                     42,783         500
                                                            15         200 SH      OTHER   9, 10                     200           0
MICROSOFT CORP             COM        594918104          7,819     129,647 SH      SHARED  10                    126,561       3,086
                                                           910      15,083 SH      SHARED  9, 10                  15,083           0
                                                         5,565      92,277 SH      OTHER   10                     92,277           0
                                                            60       1,000 SH      OTHER   9, 10                   1,000           0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
MILLER HERMAN INC          COM        600544100            231       7,200 SH      SHARED  10                          0       7,200
MINNESOTA MNG & MFG CO     COM        604059105          1,531      16,803 SH      SHARED  10                     16,357         446
                                                             6          66 SH      SHARED  9, 10                      66           0
                                                         1,153      12,656 SH      OTHER   10                     12,656           0
MOLEX INC                  COM        608554101            340       6,250 SH      SHARED  10                      6,250           0
MOLEX INC                  CL A       608554200            423      10,207 SH      SHARED  10                     10,207           0
J P MORGAN & CO INC        COM        616880100          1,628       9,967 SH      SHARED  10                      9,967           0
                                                            98         600 SH      SHARED  9, 10                     600           0
                                                         2,148      13,146 SH      OTHER   10                     13,146           0
MORGAN STANLEY DEAN WITTE  COM        617446448            969      10,596 SH      SHARED  10                     10,416         180
                                                            43         475 SH      SHARED  9, 10                     475           0
MOTOROLA INC               COM        620076109          1,464      51,826 SH      SHARED  10                     51,826           0
                                                           589      20,850 SH      SHARED  9, 10                  20,850           0
                                                         1,865      66,003 SH      OTHER   10                     65,403         600
                                                            13         450 SH      OTHER   9, 10                     450           0
MUNIHOLDINGS FLORIDA INSD  COMMON     62624W105            238      21,071 SH      SHARED  10                     21,071           0
NATIONAL FUEL GAS CO       COM        636180101            235       4,200 SH      SHARED  9, 10                   4,200           0
NEW VALLEY CORP            WARRANT EX 649080116              0           1 SH      SHARED  10                          1           0
NOKIA CORP                 SPONSORED  654902204          1,612      40,488 SH      SHARED  10                     40,100         388
                                                            66       1,665 SH      SHARED  9, 10                   1,665           0
                                                           104       2,600 SH      OTHER   10                      2,600           0
NORFOLK SOUTHERN CORP      COM        655844108             71       4,850 SH      SHARED  10                      4,850           0
                                                             3         200 SH      SHARED  9, 10                     200           0
                                                            92       6,322 SH      OTHER   10                      6,322           0
NORTEL NETWORKS CORP NEW   COMMON     656568102            456       7,660 SH      SHARED  10                      7,660           0
                                                            60       1,000 SH      OTHER   10                      1,000           0
NUVEEN FLA INVSMT QUALITY  COM        670970102            145      10,300 SH      OTHER   10                     10,300           0
OMNICOM GROUP              COM        681919106            401       5,500 SH      SHARED  10                      5,500           0
ORACLE CORP                COM        68389X105            993      12,609 SH      SHARED  10                     12,609           0
                                                           130       1,650 SH      SHARED  9, 10                   1,650           0
                                                         1,100      13,974 SH      OTHER   10                     13,974           0
PENNEY J C INC             COM        708160106            182      15,399 SH      SHARED  10                     15,399           0
PEPSICO INC                COM        713448108          2,599      56,496 SH      SHARED  10                     55,496       1,000
                                                           209       4,550 SH      SHARED  9, 10                   4,550           0
                                                         3,282      71,352 SH      OTHER   10                     71,352           0
                                                            18         400 SH      OTHER   9, 10                     400           0
PFIZER INC                 COM        717081103          5,404     120,250 SH      SHARED  10                    114,901       5,349
                                                           527      11,717 SH      SHARED  9, 10                  11,717           0
                                                         2,340      52,080 SH      OTHER   10                     52,080           0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
PHARMACIA CORPORATION      COMMON     71713U102            265       4,411 SH      SHARED  10                      4,411           0
                                                            29         476 SH      SHARED  9, 10                     476           0
                                                           450       7,478 SH      OTHER   10                      7,478           0
PHILLIPS PETE CO           COM        718507106            173       2,750 SH      SHARED  10                      2,750           0
                                                           138       2,200 SH      OTHER   10                      2,200           0
PITNEY BOWES INC           COM        724479100            398      10,100 SH      SHARED  10                     10,100           0
                                                            59       1,500 SH      SHARED  9, 10                   1,500           0
                                                           284       7,200 SH      OTHER   10                      7,200           0
POST PROPERTIES INC        COM        737464107            314       7,200 SH      SHARED  10                      7,200           0
                                                           161       3,700 SH      OTHER   10                      3,700           0
PRICE T ROWE & ASSOC INC   COM        741477103            882      18,800 SH      SHARED  10                     18,800           0
                                                            94       2,000 SH      SHARED  9, 10                   2,000           0
                                                           699      14,900 SH      OTHER   10                     14,900           0
PROCTER & GAMBLE CO        COM        742718109          2,863      42,732 SH      SHARED  10                     41,850         882
                                                            94       1,400 SH      SHARED  9, 10                   1,400           0
                                                         2,354      35,129 SH      OTHER   10                     34,829         300
                                                             7         100 SH      OTHER   9, 10                     100           0
QUALCOMM INC               COM        747525103            600       8,420 SH      SHARED  10                      8,420           0
                                                            11         150 SH      OTHER   10                        150           0
QWEST COMMUNICATIONS INTE  COM        749121109          2,379      49,500 SH      SHARED  10                     46,749       2,751
                                                            42         870 SH      SHARED  9, 10                     870           0
                                                         1,294      26,918 SH      OTHER   10                     26,918           0
RELIANT ENERGY INC         COMMON     75952J108            163       3,500 SH      SHARED  10                      3,500           0
                                                           558      12,000 SH      OTHER   10                     12,000           0
RIO TINTO PLC              SPONSORED  767204100            119       2,000 SH      SHARED  10                      2,000           0
                                                            89       1,500 SH      OTHER   10                      1,500           0
ROYAL DUTCH PETE CO        REGISTRY S 780257804          6,222     103,815 SH      SHARED  10                    103,815           0
                                                            48         800 SH      SHARED  9, 10                     800           0
                                                         2,236      37,300 SH      OTHER   10                     37,100         200
SBC COMMUNICATIONS INC     COM        78387G103          2,635      52,693 SH      SHARED  10                     47,956       4,737
                                                           340       6,804 SH      SHARED  9, 10                   6,804           0
                                                         1,937      38,737 SH      OTHER   10                     38,537         200
SANMINA CORP               COM        800907107            215       2,300 SH      OTHER   10                      2,300           0
SARA LEE CORP              COM        803111103            242      11,900 SH      SHARED  10                     11,900           0
                                                           427      21,035 SH      OTHER   10                     21,035           0
SCANA CORP NEW             COMMON     80589M102            154       5,000 SH      SHARED  10                      5,000           0
                                                            63       2,036 SH      OTHER   10                      2,036           0
SCHERING PLOUGH CORP       COM        806605101          2,200      47,302 SH      SHARED  10                     46,484         818
                                                           124       2,665 SH      SHARED  9, 10                   2,665           0
                                                         1,560      33,550 SH      OTHER   10                     33,550           0
</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
SCHLUMBERGER LTD           COM        806857108          1,032      12,541 SH      SHARED  10                     12,541           0
                                                           604       7,340 SH      SHARED  9, 10                   7,340           0
                                                         1,144      13,896 SH      OTHER   10                     13,896           0
SCHWAB CHARLES CORP NEW    COM        808513105            323       9,111 SH      SHARED  10                      9,111           0
SHELL TRANS & TRADING PLC  N Y SH     822703609            636      13,000 SH      SHARED  10                     13,000           0
SOLECTRON CORP             COM        834182107             46       1,000 SH      SHARED  10                      1,000           0
                                                            34         740 SH      SHARED  9, 10                     740           0
                                                           203       4,400 SH      OTHER   10                      4,400           0
SOUTHERN CO                COM        842587107            110       3,400 SH      SHARED  10                      3,400           0
                                                           153       4,720 SH      OTHER   10                      4,720           0
SPRINT CORPORATION         COM        852061100            588      20,063 SH      SHARED  10                     19,815         248
                                                            17         580 SH      SHARED  9, 10                     580           0
STAPLES INC                COM        855030102            391      27,550 SH      SHARED  10                     27,550           0
                                                            21       1,500 SH      SHARED  9, 10                   1,500           0
                                                            65       4,600 SH      OTHER   10                      4,600           0
STMICROELECTRONICS N V     N Y REGIST 861012102            400       8,400 SH      SHARED  10                          0       8,400
SUN MICROSYSTEMS           COM        866810104          2,476      21,210 SH      SHARED  10                     21,210           0
                                                           537       4,600 SH      OTHER   10                      4,600           0
SUNTRUST BKS INC           COM        867914103             20         400 SH      SHARED  10                        400           0
                                                           199       4,000 SH      OTHER   10                      4,000           0
SYSCO CORP                 COM        871829107            979      21,133 SH      SHARED  10                     20,429         704
                                                            58       1,257 SH      SHARED  9, 10                   1,257           0
                                                           259       5,600 SH      OTHER   10                      5,600           0
TRW INC                    COM        872649108            244       6,000 SH      OTHER   10                      6,000           0
TARGET CORP                COMMON     87612E106            871      34,006 SH      SHARED  10                     33,510         496
                                                           117       4,570 SH      SHARED  9, 10                   4,570           0
                                                            67       2,600 SH      OTHER   10                      2,600           0
TELLABS OPERATIONS INC     COM        879664100            757      15,852 SH      SHARED  10                     15,645         207
                                                            63       1,325 SH      SHARED  9, 10                   1,325           0
                                                           614      12,850 SH      OTHER   10                     12,850           0
TEXACO INC                 COM        881694103            443       8,447 SH      SHARED  10                      8,447           0
                                                            68       1,300 SH      SHARED  9, 10                   1,300           0
                                                           148       2,815 SH      OTHER   10                      2,815           0
TEXAS INSTRS INC           COM        882508104            939      19,909 SH      SHARED  10                     19,909           0
                                                            76       1,600 SH      SHARED  9, 10                   1,600           0
                                                           111       2,350 SH      OTHER   10                      2,350           0
THACKERAY CORP             COM        883217101             35      12,500 SH      SHARED  10                     12,500           0
TIME WARNER INC            COM        887315109          2,111      26,974 SH      SHARED  10                     26,974           0
                                                           122       1,563 SH      SHARED  9, 10                   1,563           0
                                                           141       1,800 SH      OTHER   10                      1,800           0
</TABLE>


<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
TOTAL FINA ELF S A         SPONSORED  89151E109            615       8,370 SH      SHARED  10                      8,078         292
                                                            73       1,000 SH      OTHER   10                      1,000           0
TRIBUNE CO NEW             COM        896047107             35         800 SH      SHARED  10                        800           0
                                                           406       9,300 SH      SHARED  9, 10                   9,300           0
                                                            35         800 SH      OTHER   10                        800           0
TYCO INTERNATIONAL LTD     COM NEW    902124106          6,609     127,397 SH      SHARED  10                    126,683         714
                                                           482       9,285 SH      SHARED  9, 10                   9,285           0
                                                         2,059      39,694 SH      OTHER   10                     38,394       1,300
UICI                       COM        902737105            133      19,000 SH      SHARED  10                     19,000           0
UST INC                    COM        902911106            492      21,500 SH      OTHER   10                     21,500           0
UNITED TECHNOLOGIES CORP   COM        913017109            540       7,795 SH      SHARED  10                      7,795           0
                                                            45         650 SH      SHARED  9, 10                     650           0
                                                           698      10,080 SH      OTHER   10                     10,080           0
VERIZON COMMUNICATIONS     COMMON     92343V104          2,277      47,012 SH      SHARED  10                     46,917          95
                                                           177       3,664 SH      SHARED  9, 10                   3,664           0
                                                         2,014      41,587 SH      OTHER   10                     41,187         400
                                                            12         244 SH      OTHER   9, 10                     244           0
VIACOM INC                 CL B COM   925524308            513       8,765 SH      SHARED  10                      8,765           0
                                                           211       3,600 SH      OTHER   10                      3,600           0
VITESSE SEMICONDUCTOR COR  COM        928497106            873       9,814 SH      SHARED  10                      9,415         399
                                                            89       1,000 SH      SHARED  9, 10                   1,000           0
                                                           240       2,700 SH      OTHER   10                      2,700           0
VODAFONE GROUP PLC         SPONSORED  92857W100          1,101      29,769 SH      SHARED  10                     29,002         767
                                                           171       4,635 SH      SHARED  9, 10                   4,635           0
                                                           331       8,950 SH      OTHER   10                      8,950           0
VOICESTREAM WIRELESS CORP  COMMON     928615103            208       1,795 SH      SHARED  10                      1,795           0
WACHOVIA CORP              NEW COM    929771103          1,331      23,475 SH      SHARED  10                     23,275         200
                                                            45         800 SH      SHARED  9, 10                     800           0
                                                           820      14,460 SH      OTHER   10                     14,460           0
WAL MART STORES INC        COM        931142103          1,826      37,939 SH      SHARED  10                     37,939           0
                                                            74       1,540 SH      SHARED  9, 10                   1,540           0
                                                         1,607      33,400 SH      OTHER   10                     32,800         600
                                                            29         600 SH      OTHER   9, 10                     600           0
WALGREEN CO                COM        931422109          3,261      85,960 SH      SHARED  10                     85,960           0
                                                            99       2,600 SH      SHARED  9, 10                   2,600           0
                                                         2,637      69,500 SH      OTHER   10                     69,100         400
WELLS FARGO & CO NEW       COMMON     949746101            626      13,630 SH      SHARED  10                      6,570       7,060
                                                            71       1,540 SH      SHARED  9, 10                   1,540           0
WEST PHARMACEUTICAL SERVI  COMMON     955306105            559      24,050 SH      OTHER   10                     24,050           0
WILLIAMS COS               COM        969457100            119       2,825 SH      SHARED  10                      2,825           0
                                                            42       1,000 SH      SHARED  9, 10                   1,000           0
                                                            68       1,600 SH      OTHER   10                      1,600           0

</TABLE>

<PAGE>
<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE
WILMINGTON TRUST FSB
                             TITLE      CUSIP       VALUE                 SH/ PUT/  INVEST     OTHER      VOTING AUTHORITY (SHARES)
     NAME OF ISSUER         OF CLASS    NUMBER     (X$1000)      SHARES   PRN CALL  DISCR     MANAGERS   SOLE   SHARED      NONE
<S>                         <C>       <C>          <C>           <C>      <C>  <C> <C>        <C>        <C>    <C>        <C>
WILMINGTON TRUST CORPORAT  COM        971807102            221       4,122 SH      SHARED  10                      3,122       1,000
                                                         1,108      20,657 SH      OTHER   10                     20,657           0
WORLDCOM INC GA            COMMON     98157D106          1,396      45,957 SH      SHARED  10                     44,751       1,206
                                                           195       6,425 SH      SHARED  9, 10                   6,425           0
                                                           509      16,756 SH      OTHER   10                     16,756           0
XILINX INC                 COM        983919101            343       4,000 SH      SHARED  10                      4,000           0

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