WILMINGTON TRUST FSB
13F-HR/A, 2000-08-14
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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: June 30, 2000
                Check here if Amendment [x]; Amendment Number: 68

                        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            August 10, 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:                                 498

Form 13F Information Table Value Total:                     $450,227 (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       86      1,611   SH       SHARED 10                        1,611          0
                                                        61      1,147   SH       SHARED 9, 10                     1,147          0
                                                       132      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      486     15,381   SH       SHARED 10                       15,206        175
                                                       402     12,725   SH       SHARED 9, 10                    12,725          0
                                                       807     25,518   SH       OTHER  10                       25,064        454
AT & T CORP                 CL A COMMO  001957208      611     25,182   SH       SHARED 10                       25,182          0
                                                        39      1,600   SH       OTHER  10                        1,600          0
ABBOTT LABS                 COM         002824100    4,607    103,373   SH       SHARED 10                       97,819      5,554
                                                       211      4,730   SH       SHARED 9, 10                     4,730          0
                                                     2,754     61,800   SH       OTHER  10                       61,100        700
AETNA INC                   COM         008117103       22        350   SH       SHARED 10                          350          0
                                                       640      9,968   SH       OTHER  10                        9,968          0
AGILENT TECHNOLOGIES INC    COMMON      00846U101      350      4,749   SH       SHARED 10                        4,622        127
                                                        41        551   SH       SHARED 9, 10                       551          0
                                                       351      4,761   SH       OTHER  10                        4,761          0
AIR PRODS & CHEMS INC       COM         009158106      818     26,550   SH       SHARED 10                       21,750      4,800
                                                         2         60   SH       SHARED 9, 10                        60          0
                                                       216      7,000   SH       OTHER  10                        7,000          0
ALBERTSONS INC              COM         013104104        3        100   SH       SHARED 10                          100          0
                                                       180      5,420   SH       SHARED 9, 10                     5,420          0
                                                        33      1,000   SH       OTHER  10                        1,000          0
ALCOA INC                   COMMON      013817101      104      3,600   SH       SHARED 10                        3,600          0
                                                        35      1,200   SH       SHARED 9, 10                     1,200          0
                                                        76      2,632   SH       OTHER  10                        2,632          0
ALLIANCE CAPITAL MANAGEME   LP INTERES  01855A101      251      5,300   SH       SHARED 10                        5,300          0
ALLTEL CORP                 COM         020039103      166      2,673   SH       SHARED 10                        2,673          0
                                                        37        600   SH       SHARED 9, 10                       600          0
ALTERA CORP                 COM         021441100    1,369     13,425   SH       SHARED 10                        7,300      6,125
                                                        43        425   SH       SHARED 9, 10                       425          0
                                                       866      8,500   SH       OTHER  10                        8,500          0
AMERICA ONLINE INC DEL      COM         02364J104    2,075     39,379   SH       SHARED 10                       38,304      1,075
                                                       129      2,450   SH       SHARED 9, 10                     2,450          0
                                                       427      8,110   SH       OTHER  10                        7,510        600
AMERICAN EXPRESS CO         COM         025816109    1,745     33,473   SH       SHARED 10                       33,473          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>
                                                        63      1,200   SH       SHARED 9, 10                     1,200          0
                                                       491      9,420   SH       OTHER  10                        9,420          0
AMERICAN HOME PRODS CORP    COM         026609107      796     13,557   SH       SHARED 10                       13,557          0
                                                        84      1,438   SH       SHARED 9, 10                     1,438          0
                                                       904     15,382   SH       OTHER  10                       14,682        700
                                                        12        200   SH       OTHER  9, 10                       200          0
AMERICAN INTL GROUP INC     COM         026874107    8,435     71,786   SH       SHARED 10                       71,311        475
                                                       473      4,023   SH       SHARED 9, 10                     4,023          0
                                                     3,894     33,141   SH       OTHER  10                       33,141          0
AMGEN INC                   COM         031162100    2,185     31,104   SH       SHARED 10                       30,379        725
                                                       263      3,740   SH       SHARED 9, 10                     3,740          0
                                                       562      8,000   SH       OTHER  10                        8,000          0
AMSOUTH BANCORPORATION      COM         032165102    6,151    390,570   SH       SHARED 10                      390,570          0
                                                       296     18,810   SH       OTHER  10                       18,810          0
ANALOG DEVICES INC          COM         032654105      402      5,295   SH       SHARED 10                        4,745        550
                                                       225      2,960   SH       SHARED 9, 10                     2,960          0
                                                       160      2,100   SH       OTHER  10                        2,100          0
ANHEUSER BUSCH COS INC      COM         035229103       82      1,100   SH       SHARED 10                        1,100          0
                                                       149      2,000   SH       OTHER  10                        2,000          0
APPLIED MAGNETICS CORP      COMMON IN   038213104        0         10   SH       SHARED 10                           10          0
AUTOMATIC DATA PROCESSING   COM         053015103    5,722    106,820   SH       SHARED 10                      102,520      4,300
                                                       249      4,656   SH       SHARED 9, 10                     4,656          0
                                                     1,366     25,500   SH       OTHER  10                       23,700      1,800
AVERY DENNISON CORPORATIO   COM         053611109      315      4,700   SH       SHARED 10                        4,700          0
                                                        25        375   SH       OTHER  10                          375          0
BP AMOCO PLC                SPONSORDD   055622104    4,602     81,354   SH       SHARED 10                       80,359        995
                                                        82      1,444   SH       SHARED 9, 10                     1,444          0
                                                     2,200     38,901   SH       OTHER  10                       38,901          0
                                                        30        528   SH       OTHER  9, 10                       528          0
BANK OF AMERICA CORPORATI   COMMON      060505104      705     16,401   SH       SHARED 10                       15,726        675
                                                       169      3,920   SH       SHARED 9, 10                     3,920          0
                                                       592     13,779   SH       OTHER  10                       13,779          0
                                                        33        756   SH       OTHER  9, 10                       756          0
BANK OF NEW YORK CO INC     COM         064057102      592     12,725   SH       SHARED 10                       12,725          0
                                                        70      1,500   SH       OTHER  10                        1,500          0
BANK ONE CORP               COMMON      06423A103    1,896     71,394   SH       SHARED 10                       71,394          0
                                                        19        710   SH       SHARED 9, 10                       710          0
                                                       254      9,568   SH       OTHER  10                        9,568          0
BAXTER INTL INC             COM         071813109      155      2,210   SH       SHARED 10                        2,210          0
                                                        96      1,360   SH       OTHER  10                        1,360          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>
BELL ATLANTIC CORP          COM         077853109    1,625     31,974   SH       SHARED 10                       31,974          0
                                                     1,170     23,024   SH       OTHER  10                       22,624        400
BELLSOUTH CORP              COM         079860102    3,205     75,195   SH       SHARED 10                       75,195          0
                                                        55      1,300   SH       SHARED 9, 10                     1,300          0
                                                     2,856     67,011   SH       OTHER  10                       67,011          0
                                                        51      1,200   SH       OTHER  9, 10                     1,200          0
BESTFOODS                   COM         08658U101      422      6,100   SH       SHARED 10                        6,100          0
                                                         2         24   SH       SHARED 9, 10                        24          0
                                                       360      5,200   SH       OTHER  10                        5,200          0
BIOGEN INC                  COM         090597105      240      3,725   SH       SHARED 10                        3,725          0
                                                        10        150   SH       SHARED 9, 10                       150          0
                                                         6        100   SH       OTHER  10                          100          0
BOEING CO                   COM         097023105       76      1,810   SH       SHARED 10                        1,810          0
                                                       142      3,400   SH       SHARED 9, 10                     3,400          0
                                                       205      4,900   SH       OTHER  10                        4,900          0
BRISTOL-MYERS SQUIBB CO     COM         110122108    3,079     52,860   SH       SHARED 10                       49,210      3,650
                                                       112      1,915   SH       SHARED 9, 10                     1,915          0
                                                     1,730     29,700   SH       OTHER  10                       29,700          0
                                                        23        400   SH       OTHER  9, 10                       400          0
CIGNA CORP                  COM         125509109        7         75   SH       SHARED 10                           75          0
                                                        75        800   SH       SHARED 9, 10                       800          0
                                                     1,930     20,643   SH       OTHER  10                       20,643          0
CARDINAL HEALTH INC         COM         14149Y108    2,322     31,374   SH       SHARED 10                       31,374          0
                                                       348      4,700   SH       OTHER  10                        4,300        400
CARNIVAL CORP               COMMON      143658102      930     47,708   SH       SHARED 10                       47,183        525
                                                        25      1,300   SH       SHARED 9, 10                     1,300          0
                                                       129      6,600   SH       OTHER  10                        6,600          0
CELGENE CORP                COM         151020104      177      3,000   SH       SHARED 10                        3,000          0
                                                        53        900   SH       OTHER  10                          900          0
CHASE MANHATTAN CORP NEW    COM         16161A108    2,371     51,480   SH       SHARED 10                       50,300      1,180
                                                        97      2,107   SH       SHARED 9, 10                     2,107          0
                                                       477     10,366   SH       OTHER  10                       10,366          0
CHEVRON CORP                COM         166751107    2,412     28,441   SH       SHARED 10                       28,218        223
                                                       516      6,087   SH       SHARED 9, 10                     6,087          0
                                                     1,213     14,300   SH       OTHER  10                       14,300          0
CHUBB CORP                  COM         171232101      191      3,110   SH       SHARED 10                        3,110          0
                                                       590      9,600   SH       OTHER  10                        9,600          0
CISCO SYS INC               COM         17275R102   10,505    165,276   SH       SHARED 10                      164,251      1,025
                                                     1,080     16,988   SH       SHARED 9, 10                    16,988          0
                                                     2,612     41,100   SH       OTHER  10                       41,100          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>
CITIGROUP INC               COMMON      172967101    1,486     24,661   SH       SHARED 10                       23,998        663
                                                       333      5,530   SH       SHARED 9, 10                     5,530          0
                                                       364      6,039   SH       OTHER  10                        6,039          0
CLEAR CHANNEL COMMUNICATI   COM         184502102    1,165     15,534   SH       SHARED 10                       14,934        600
                                                        40        535   SH       SHARED 9, 10                       535          0
                                                        41        550   SH       OTHER  10                          550          0
COCA COLA CO                COM         191216100    1,349     23,490   SH       SHARED 10                       22,890        600
                                                       179      3,125   SH       SHARED 9, 10                     3,125          0
                                                       899     15,660   SH       OTHER  10                       15,360        300
COLGATE PALMOLIVE CO        COM         194162103      569      9,500   SH       SHARED 10                        9,500          0
                                                        24        400   SH       OTHER  10                          200        200
COMCAST CORP                CL A SPL C  200300200      168      4,140   SH       SHARED 10                        4,140          0
                                                        41      1,000   SH       SHARED 9, 10                     1,000          0
                                                       194      4,800   SH       OTHER  10                        4,800          0
COMMUNITY BANK SYS INC      COM         203607106      222     10,000   SH       SHARED 10                       10,000          0
COMPAQ COMPUTER CORP        COM         204493100      271     10,593   SH       SHARED 10                       10,093        500
                                                       120      4,700   SH       OTHER  10                        3,900        800
CONECTIVE INC               COM NEW     206829103       46      2,976   SH       SHARED 10                        2,976          0
                                                        32      2,029   SH       SHARED 9, 10                     2,029          0
                                                        86      5,550   SH       OTHER  10                        5,550          0
CONOCO INC                  CL B COMMO  208251405      414     16,840   SH       SHARED 10                       15,190      1,650
                                                       273     11,097   SH       SHARED 9, 10                    11,097          0
                                                        79      3,226   SH       OTHER  10                        3,226          0
                                                         3        123   SH       OTHER  9, 10                       123          0
CONSTELLATION ENERGY CORP   COMMON      210371100      150      4,605   SH       SHARED 10                        4,605          0
                                                        35      1,061   SH       SHARED 9, 10                     1,061          0
                                                        16        500   SH       OTHER  10                          500          0
CORNING INC                 COM         219350105    1,270      4,706   SH       SHARED 10                        4,706          0
                                                       486      1,800   SH       OTHER  10                        1,800          0
CROWN MEDIA HOLDINGS INC    COMMON CL   228411104      153     10,000   SH       SHARED 10                       10,000          0
DELL COMPUTER CORP          COM         247025109    1,387     28,125   SH       SHARED 10                       27,750        375
                                                        81      1,650   SH       SHARED 9, 10                     1,650          0
                                                     1,006     20,400   SH       OTHER  10                       20,400          0
DISNEY WALT CO              COM         254687106    1,340     34,522   SH       SHARED 10                       28,522      6,000
                                                        70      1,800   SH       SHARED 9, 10                     1,800          0
                                                     1,102     28,402   SH       OTHER  10                       28,402          0
DOLLAR GEN CORP             COM         256669102      618     31,716   SH       SHARED 10                       31,716          0
                                                        97      4,999   SH       OTHER  10                        3,124      1,875
DOVER CORP                  COM         260003108    2,008     49,500   SH       SHARED 10                       49,500          0
                                                        32        800   SH       SHARED 9, 10                       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>
                                                       604     14,900   SH       OTHER  10                       14,900          0
DOW CHEM CO                 COM        260543103       303     10,026   SH       SHARED 10                        9,525        501
                                                       420     13,914   SH       OTHER  10                       13,914          0
                                                        27        900   SH       OTHER  9, 10                       900          0
DOW JONES & CO INC          COM        260561105       220      3,000   SH       OTHER  10                        3,000          0
DREYFUS STRATEGIC MUNS IN   COM        261932107       190     23,717   SH       SHARED 10                       23,717          0
DU PONT E I DE NEMOURS &    COM        263534109     1,348     30,820   SH       SHARED 10                       30,820          0
                                                       547     12,502   SH       SHARED 9, 10                    12,502          0
                                                       819     18,729   SH       OTHER  10                       18,329        400
                                                        16        358   SH       OTHER  9, 10                       358          0
DUKE ENERGY CORP            COM        264399106       362      6,420   SH       SHARED 10                        6,420          0
                                                        38        676   SH       SHARED 9, 10                       676          0
                                                       242      4,300   SH       OTHER  10                        4,300          0
DUKE-WEEKS REALTY CORP      COM NEW    264411505       218      9,750   SH       SHARED 10                        9,750          0
                                                        72      3,200   SH       OTHER  10                        3,200          0
DUN & BRADSTREET CORP DEL   COMMON NEW 26483B106       344     12,000   SH       OTHER  10                       12,000          0
E M C CORP MASS             COM        268648102     7,009     91,100   SH       SHARED 10                       90,550        550
                                                       196      2,550   SH       SHARED 9, 10                     2,550          0
                                                     1,462     19,000   SH       OTHER  10                       12,600      6,400
EASTMAN KODAK CO            COM        277461109        44        743   SH       SHARED 10                          743          0
                                                       249      4,182   SH       OTHER  10                        4,182          0
EDWARDS A G INC             COM        281760108       129      3,300   SH       SHARED 10                        3,300          0
                                                       283      7,250   SH       OTHER  10                        7,250          0
EL PASO ENERGY PARTNERS L   COMMON     28368B102       215      8,800   SH       SHARED 10                        8,800          0
EMERSON ELEC CO             COM        291011104     2,927     48,477   SH       SHARED 10                       47,893        584
                                                        85      1,400   SH       SHARED 9, 10                     1,400          0
                                                     2,232     36,971   SH       OTHER  10                       36,971          0
                                                        16        270   SH       OTHER  9, 10                       270          0
ENRON CORP                  COM        293561106       789     12,229   SH       SHARED 10                       12,229          0
                                                        87      1,350   SH       SHARED 9, 10                     1,350          0
                                                        55        850   SH       OTHER  10                          850          0
EQUITY INV FUND             UNIT BLUE  294711130        11     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    11,079    141,140   SH       SHARED 10                      133,762      7,378
                                                       486      6,196   SH       SHARED 9, 10                     6,196          0
                                                     6,681     85,106   SH       OTHER  10                       83,916      1,190
                                                        39        500   SH       OTHER  9, 10                       500          0
FPL GROUP INC               COM        302571104       553     11,167   SH       SHARED 10                       11,167          0
                                                       589     11,908   SH       OTHER  10                       11,908          0
FAMILY DLR STORES INC       COM        307000109       260     13,310   SH       SHARED 10                       11,785      1,525
                                                        20      1,000   SH       SHARED 9, 10                     1,000          0
                                                        65      3,325   SH       OTHER  10                        3,325          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>
FEDERAL HOME LN MTG CORP    VTG COM     313400301      380      9,390   SH       SHARED 10                         8,740       650
                                                        14        338   SH       SHARED 9, 10                        338         0
FANNIE MAE                  COM         313586109    1,661     31,828   SH       SHARED 10                        31,293       535
                                                        73      1,400   SH       SHARED 9, 10                      1,400         0
                                                       459      8,800   SH       OTHER  10                         8,400       400
FEDERAL SIGNAL CORP         COM         313855108      174     10,575   SH       SHARED 9, 10                     10,575         0
FIRST UNION CORP            COM         337358105      102      4,111   SH       SHARED 10                         4,111         0
                                                        24        986   SH       SHARED 9, 10                        986         0
                                                       255     10,280   SH       OTHER  10                        10,280         0
FLEETBOSTON FINANCIAL COR   COMMON      339030108      622     18,298   SH       SHARED 10                        17,898       400
                                                        20        600   SH       SHARED 9, 10                        600         0
                                                        78      2,300   SH       OTHER  10                         1,500       800
FORD MTR CO DEL             COM         345370100      561     13,038   SH       SHARED 10                        13,038         0
                                                        34        800   SH       SHARED 9, 10                        800         0
                                                       235      5,460   SH       OTHER  10                         5,460         0
FORTUNE BRANDS INC          COMMON      349631101       11        456   SH       SHARED 10                           456         0
                                                       204      8,850   SH       OTHER  10                         8,850         0
GTE CORP                    COM         362320103    1,157     18,589   SH       SHARED 10                        18,111       478
                                                       196      3,145   SH       SHARED 9, 10                      3,145         0
                                                     1,040     16,712   SH       OTHER  10                        16,712         0
                                                        12        200   SH       OTHER  9, 10                        200         0
GANNETT INC DEL             COM         364730101    1,052     17,583   SH       SHARED 10                        17,033       550
                                                        20        335   SH       SHARED 9, 10                        335         0
                                                        84      1,400   SH       OTHER  10                         1,400         0
GENENTECH INC               COMMON      368710406      699      4,065   SH       SHARED 10                         3,965       100
                                                         5         30   SH       SHARED 9, 10                         30         0
                                                       103        600   SH       OTHER  10                           600         0
GENERAL ELEC CO             COM         369604103   21,008    396,375   SH       SHARED 10                       388,700     7,675
                                                       831     15,688   SH       SHARED 9, 10                     15,688         0
                                                    10,762    203,058   SH       OTHER  10                       199,158     3,900
                                                        64      1,200   SH       OTHER  9, 10                      1,200         0
GENERAL MLS INC             COM         370334104       46      1,198   SH       SHARED 10                         1,198         0
                                                       176      4,600   SH       SHARED 9, 10                      4,600         0
GENZYME SURGICAL            COM         372917104      339      5,700   SH       SHARED 10                         5,700         0
                                                        71      1,200   SH       OTHER  10                         1,200         0
GILLETTE CO                 COM         375766102    3,025     86,590   SH       SHARED 10                        85,915       675
                                                       109       3,115  SH       SHARED 9, 10                      3,115         0
                                                       250       7,150  SH       OTHER  10                         7,150         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>
HRPT PROPERTIES TRUST       COMMON      40426W101       18      3,000   SH       SHARED 10                         3,000         0
                                                        64     10,500   SH       OTHER  10                        10,500         0
HALLIBURTON CO              COM         406216101      751     15,906   SH       SHARED 10                        15,231       675
                                                       157      3,335   SH       SHARED 9, 10                      3,335         0
                                                       378      8,007   SH       OTHER  10                         8,007         0
HARVEY UNIVERSAL INC        COM         417816105        0     24,500   SH       SHARED 10                        24,500         0
H J HEINZ CO                COM         423074103       96      2,186   SH       SHARED 10                         2,186         0
                                                       112      2,550   SH       OTHER  10                         2,250       300
HENRY JACK & ASSOC INC      COM         426281101      602     12,000   SH       OTHER  10                        12,000         0
HERSHEY FOODS CORP          COM         427866108    1,157     23,850   SH       SHARED 10                        23,850         0
                                                        29        600   SH       SHARED 9, 10                        600         0
                                                       247      5,100   SH       OTHER  10                         5,100         0
                                                         5        100   SH       OTHER  9, 10                        100         0
HEWLETT PACKARD CO          COM         428236103    1,559     12,485   SH       SHARED 10                        12,150       335
                                                       181      1,450   SH       SHARED 9, 10                      1,450         0
                                                     1,561     12,500   SH       OTHER  10                        12,500         0
HOME DEPOT INC              COM         437076102   10,556    211,377   SH       SHARED 10                       208,452     2,925
                                                       414      8,285   SH       SHARED 9, 10                      8,285         0
                                                     4,754     95,199   SH       OTHER  10                        93,249     1,950
                                                        45        900   SH       OTHER  9, 10                        900         0
HONEYWELL INTERNATIONAL I   COM         438516106    1,667     49,496   SH       SHARED 10                        48,821       675
                                                        72      2,138   SH       SHARED 9, 10                      2,138         0
                                                       629     18,675   SH       OTHER  10                        18,075       600
HOUSEHOLD INTL INC          COM         441815107       63      1,526   SH       SHARED 10                           300     1,226
                                                        54      1,300   SH       SHARED 9, 10                      1,300         0
                                                       125      3,000   SH       OTHER  10                         3,000         0
HUNTINGTON BANCSHARES INC   COM         446150104      259     16,403   SH       SHARED 10                        16,403         0
IMS HEALTH INC              COM         449934108      306     17,000   SH       OTHER  10                        17,000         0
ILLINOIS TOOL WKS INC       COM         452308109      608     10,659   SH       SHARED 10                        10,334       325
                                                        65      1,140   SH       SHARED 9, 10                      1,140         0
                                                       197      3,461   SH       OTHER  10                         3,461         0
IMMUNEX CORP NEW            COM         452528102      297      6,000   SH       SHARED 10                         6,000         0
                                                        49      1,000   SH       OTHER  10                         1,000         0
IMPERIAL OIL LTD            COM NEW     453038408      205      8,400   SH       SHARED 10                         8,400         0
                                                       139      5,700   SH       OTHER  10                         5,700         0
INTEL CORP                  COM         458140100   10,960     81,985   SH       SHARED 10                        80,517     1,468
                                                       879      6,577   SH       SHARED 9, 10                      6,577         0
                                                     4,454     33,320   SH       OTHER  10                        33,320         0
INTELISPAN INC              COM         458150109       83     33,333   SH       SHARED 10                        33,333         0
INTERNATIONAL BUS MACHS     COM         459200101    3,635     33,182   SH       SHARED 10                        33,182         0
                                                       106        966   SH       SHARED 9, 10                        966         0
                                                     4,260     38,881   SH       OTHER  10                        38,881         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>
INTERNATIONAL PAPER CO      COM         460146103      229      7,665   SH       SHARED 10                        7,665          0
                                                        22        750   SH       SHARED 9, 10                       750          0
                                                        33      1,112   SH       OTHER  10                        1,112          0
INTERPUBLIC GROUP COS INC   COM         460690100    2,993     69,615   SH       SHARED 10                       68,190      1,425
                                                        93      2,165   SH       SHARED 9, 10                     2,165          0
                                                       675     15,690   SH       OTHER  10                       14,390      1,300
JDS UNIPHASE CORP           COMMON      46612J101    1,448     12,077   SH       SHARED 10                       11,552        525
                                                        81        675   SH       SHARED 9, 10                       675          0
                                                       426      3,550   SH       OTHER  10                        3,550          0
JOHNSON & JOHNSON           COM         478160104    7,581     74,417   SH       SHARED 10                       73,792        625
                                                     1,163     11,420   SH       SHARED 9, 10                    11,420          0
                                                     5,805     56,983   SH       OTHER  10                       56,583        400
KERR MCGEE CORP             COM         492386107      373      6,325   SH       SHARED 10                        6,325          0
KIMBERLY CLARK CORP         COM         494368103      140      2,445   SH       SHARED 10                        2,445          0
                                                        34        600   SH       SHARED 9, 10                       600          0
                                                        99      1,719   SH       OTHER  10                        1,719          0
KINDER MORGAN ENERGY PART   UNIT LTD P  494550106      242      6,068   SH       SHARED 10                        6,068          0
KROGER CO                   COM         501044101      340     15,420   SH       SHARED 10                       15,420          0
LEHMAN BROS HLDGS INC       PFD         524908258       38        400   SH       SHARED 10                          400          0
                                                       257      2,700   SH       OTHER  10                        2,700          0
LILLY ELI & CO              COM         532457108      859      8,596   SH       SHARED 10                        6,996      1,600
                                                        77        775   SH       SHARED 9, 10                       775          0
                                                       461      4,617   SH       OTHER  10                        4,617          0
LINENS 'N THINGS INC        COM         535679104      600     22,135   SH       SHARED 10                       21,435        700
                                                        32      1,170   SH       SHARED 9, 10                     1,170          0
                                                        30      1,100   SH       OTHER  10                        1,100          0
LITTELFUSE                  COM         537008104      632     12,900   SH       SHARED 10                       12,900          0
LOUISIANA PAC CORP          COM         546347105        7        600   SH       SHARED 10                          600          0
                                                       157     14,430   SH       OTHER  10                       14,430          0
LUCENT TECHNOLOGIES INC     COM         549463107    3,519     59,391   SH       SHARED 10                       58,591        800
                                                     1,235     20,841   SH       SHARED 9, 10                    20,841          0
                                                     2,764     46,658   SH       OTHER  10                       46,266        392
MFS MULTIMARKET INCOME TR   SH BEN INT  552737108      173     28,000   SH       OTHER  10                       28,000          0
MACROCHEM CORPORATION       COM         555903103       58     12,000   SH       SHARED 10                       12,000          0
MARSH & MC LENNAN COS INC   COM         571748102      300      2,868   SH       SHARED 10                        2,868          0
                                                        73        699   SH       SHARED 9, 10                       699          0
MASTEC INC                  COM         576323109      200      5,250   SH       SHARED 10                        5,250          0
MCDONALDS CORP              COM         580135101      441     13,400   SH       SHARED 10                       13,400          0
                                                        33      1,000   SH       SHARED 9, 10                     1,000          0
                                                       217      6,600   SH       OTHER  10                        6,600          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>
MCGRAW HILL COMPANIES INC   COM         580645109       63      1,165   SH       SHARED 10                        1,165          0
                                                     1,044     19,326   SH       OTHER  10                       19,326          0
MEDIA ONE GROUP INC         COM         58440J104       75      1,121   SH       SHARED 10                        1,121          0
                                                        93      1,400   SH       SHARED 9, 10                     1,400          0
                                                       221      3,320   SH       OTHER  10                        3,320          0
MEDTRONIC INC               COM         585055106    1,948     39,113   SH       SHARED 10                       38,438        675
                                                       174      3,501   SH       SHARED 9, 10                     3,501          0
                                                       438      8,800   SH       OTHER  10                        8,800          0
MERCK & CO INC              COM         589331107    7,040     91,878   SH       SHARED 10                       87,848      4,030
                                                       513      6,694   SH       SHARED 9, 10                     6,694          0
                                                     3,255     42,483   SH       OTHER  10                       41,983        500
                                                        15        200   SH       OTHER  9, 10                       200          0
MICROSOFT CORP              COM         594918104   11,631    145,386   SH       SHARED 10                      141,986      3,400
                                                     1,223     15,283   SH       SHARED 9, 10                    15,283          0
                                                     7,418     92,727   SH       OTHER  10                       92,727          0
                                                        80      1,000   SH       OTHER  9, 10                     1,000          0
MILLIPORE CORP              COM         601073109       87      1,150   SH       SHARED 10                        1,150          0
                                                        98      1,300   SH       SHARED 9, 10                     1,300          0
                                                        68        900   SH       OTHER  10                          900          0
MINNESOTA MNG & MFG CO      COM         604059105    1,269     15,378   SH       SHARED 10                       14,932        446
                                                         5         66   SH       SHARED 9, 10                        66          0
                                                     1,044     12,656   SH       OTHER  10                       12,656          0
MOLEX INC                   COM         608554101      301      6,250   SH       SHARED 10                        6,250          0
MOLEX INC                   CL A        608554200      357     10,207   SH       SHARED 10                       10,207          0
J P MORGAN & CO INC         COM         616880100    1,052      9,555   SH       SHARED 10                        9,555          0
                                                        88        800   SH       SHARED 9, 10                       800          0
                                                     1,448     13,146   SH       OTHER  10                       13,146          0
MORGAN STANLEY DEAN WITTE   COM         617446448      683      8,201   SH       SHARED 10                        7,876        325
                                                        31        375   SH       SHARED 9, 10                       375          0
MOTOROLA INC                COM         620076109    1,355     46,612   SH       SHARED 10                       46,612          0
                                                       562     19,350   SH       SHARED 9, 10                    19,350          0
                                                     1,918     66,003   SH       OTHER  10                       65,403        600
                                                        13        450   SH       OTHER  9, 10                       450          0
MUNIHOLDINGS FLORIDA INSD   COMMON      62624W105      232     21,071   SH       SHARED 10                       21,071          0
NATIONAL FUEL GAS CO        COM         636180101      244      5,000   SH       SHARED 9, 10                     5,000          0
NEW VALLEY CORP             WARRANT EX  649080116        0          1   SH       SHARED 10                            1          0
NOKIA CORP                  SPONSORED   654902204    1,257     25,180   SH       SHARED 10                       24,480        700
                                                        38        765   SH       SHARED 9, 10                       765          0
                                                        90      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>
NORFOLK SOUTHERN CORP       COM         655844108      107      7,200   SH       SHARED 10                        7,200          0
                                                         3        200   SH       SHARED 9, 10                       200          0
                                                        94      6,322   SH       OTHER  10                        6,322          0
NORTEL NETWORKS CORP NEW    COMMON      656568102      377      5,525   SH       SHARED 10                        5,525          0
                                                        48        700   SH       OTHER  10                          700          0
OMNICOM GROUP               COM         681919106      481      5,400   SH       SHARED 10                        5,400          0
ORACLE CORP                 COM         68389X105    2,620     31,170   SH       SHARED 10                       31,170          0
                                                       139      1,650   SH       SHARED 9, 10                     1,650          0
                                                     1,145     13,624   SH       OTHER  10                       13,624          0
PENNEY J C INC              COM         708160106      320     17,355   SH       SHARED 10                       17,355          0
PEPSICO INC                 COM         713448108    2,493     56,096   SH       SHARED 10                       55,096      1,000
                                                       193      4,350   SH       SHARED 9, 10                     4,350          0
                                                     3,242     72,952   SH       OTHER  10                       72,952          0
                                                        18        400   SH       OTHER  9, 10                       400          0
PFIZER INC                  COM         717081103    5,361    111,675   SH       SHARED 10                      105,882      5,793
                                                       564     11,754   SH       SHARED 9, 10                    11,754          0
                                                     2,494     51,955   SH       OTHER  10                       51,955          0
PHARMACIA CORPORATION       COMMON      71713U102       81      1,566   SH       SHARED 10                        1,566          0
                                                        62      1,190   SH       SHARED 9, 10                     1,190          0
                                                       387      7,478   SH       OTHER  10                        7,478          0
PHILIP MORRIS COS INC       COM         718154107      152      5,720   SH       SHARED 10                        5,720          0
                                                        77      2,900   SH       OTHER  10                        2,900          0
PITNEY BOWES INC            COM         724479100      700     17,500   SH       SHARED 10                       17,500          0
                                                        60      1,500   SH       SHARED 9, 10                     1,500          0
                                                       296      7,400   SH       OTHER  10                        7,400          0
POST PROPERTIES INC         COM         737464107      308      7,000   SH       SHARED 10                        7,000          0
                                                       163      3,700   SH       OTHER  10                        3,700          0
PRICE T ROWE & ASSOC INC    COM         741477103      782     18,400   SH       SHARED 10                       18,400          0
                                                        85      2,000   SH       SHARED 9, 10                     2,000          0
                                                       667     15,700   SH       OTHER  10                       15,700          0
PROCTER & GAMBLE CO         COM         742718109    2,870     50,134   SH       SHARED 10                       49,184        950
                                                       100      1,750   SH       SHARED 9, 10                     1,750          0
                                                     2,108     36,829   SH       OTHER  10                       36,529        300
                                                         6        100   SH       OTHER  9, 10                       100          0
QUALCOMM INC                COM         747525103      529      8,820   SH       SHARED 10                        8,820          0
                                                        21        350   SH       OTHER  10                          350          0
QWEST COMMUNICATIONS INTE   COM         749121109      584     11,760   SH       SHARED 10                       11,160        600
                                                        28        570   SH       SHARED 9, 10                       570          0
                                                       169      3,400   SH       OTHER  10                        3,400          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>
RELIANT ENERGY INC          COMMON      75952J108       92      3,100   SH       SHARED 10                        3,100          0
                                                       355     12,000   SH       OTHER  10                       12,000          0
ROYAL DUTCH PETE CO         REGISTRY S  780257804    6,821    110,795   SH       SHARED 10                      110,795          0
                                                        49        800   SH       SHARED 9, 10                       800          0
                                                     1,945     31,600   SH       OTHER  10                       31,400        200
SBC COMMUNICATIONS INC      COM         78387G103    2,299     53,163   SH       SHARED 10                       48,426      4,737
                                                       294      6,804   SH       SHARED 9, 10                     6,804          0
                                                     1,528     35,337   SH       OTHER  10                       35,137        200
SANMINA CORP                COM         800907107      282      3,300   SH       OTHER  10                        3,300          0
SARA LEE CORP               COM         803111103      246     12,721   SH       SHARED 10                       12,721          0
                                                       406     21,035   SH       OTHER  10                       21,035          0
SCHERING PLOUGH CORP        COM         806605101    2,632     52,120   SH       SHARED 10                       51,045      1,075
                                                       130      2,565   SH       SHARED 9, 10                     2,565          0
                                                     1,699     33,650   SH       OTHER  10                       33,650          0
SCHLUMBERGER LTD            COM         806857108      823     11,035   SH       SHARED 10                       11,035          0
                                                       548      7,340   SH       SHARED 9, 10                     7,340          0
                                                     1,030     13,796   SH       OTHER  10                       13,796          0
SCHWAB CHARLES CORP NEW     COM         808513105      306      9,111   SH       SHARED 10                        9,111          0
SHELL TRANS & TRADING PLC   N Y SH      822703609      624     12,500   SH       SHARED 10                       12,500          0
SOLECTRON CORP              COM         834182107       31        740   SH       SHARED 9, 10                       740          0
                                                       184      4,400   SH       OTHER  10                        4,400          0
SOUTHERN CO                 COM         842587107       79      3,400   SH       SHARED 10                        3,400          0
                                                       125      5,342   SH       OTHER  10                        5,342          0
SPRINT CORPORATION          COM         852061100      978     19,179   SH       SHARED 10                       18,729        450
                                                        30        580   SH       SHARED 9, 10                       580          0
STAPLES INC                 COM         855030102      771     50,125   SH       SHARED 10                       50,125          0
                                                        30      1,920   SH       SHARED 9, 10                     1,920          0
                                                        61      4,000   SH       OTHER  10                        4,000          0
STMICROELECTRONICS N V      N Y REGIST  861012102      539      8,400   SH       SHARED 10                            0      8,400
SUN MICROSYSTEMS            COM         866810104    1,070     11,770   SH       SHARED 10                       11,770          0
                                                       373      4,100   SH       OTHER  10                        4,100          0
SUNTRUST BKS INC            COM         867914103       18        400   SH       SHARED 10                          400          0
                                                       183      4,000   SH       OTHER  10                        4,000          0
SYSCO CORP                  COM         871829107      984     23,354   SH       SHARED 10                       22,079      1,275
                                                        72      1,720   SH       SHARED 9, 10                     1,720          0
                                                       236      5,600   SH       OTHER  10                        5,600          0
TARGET CORP                 COMMON      87612E106      684     11,795   SH       SHARED 10                       11,345        450
                                                        48        835   SH       SHARED 9, 10                       835          0
                                                        93      1,600   SH       OTHER  10                        1,600          0
TELLABS OPERATIONS INC      COM         879664100      865     12,640   SH       SHARED 10                       12,265        375
                                                        91      1,325   SH       SHARED 9, 10                     1,325          0
                                                       907     13,250   SH       OTHER  10                       13,250          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>
TEXACO INC                  COM         881694103      487      9,146   SH       SHARED 10                        9,146          0
                                                        69      1,300   SH       SHARED 9, 10                     1,300          0
                                                       150      2,815   SH       OTHER  10                        2,815          0
TEXAS INSTRS INC            COM         882508104    1,092     15,904   SH       SHARED 10                       15,904          0
                                                       110      1,600   SH       SHARED 9, 10                     1,600          0
                                                       100      1,450   SH       OTHER  10                        1,450          0
THACKERAY CORP              COM         883217101       36     12,500   SH       SHARED 10                       12,500          0
TIME WARNER INC             COM         887315109    1,871     24,624   SH       SHARED 10                       24,624          0
                                                       142      1,863   SH       SHARED 9, 10                     1,863          0
                                                       137      1,800   SH       OTHER  10                        1,800          0
TOTAL FINA ELF S A          SPONSORED   89151E109    1,355     17,638   SH       SHARED 10                       17,346        292
                                                       154      2,000   SH       OTHER  10                        2,000          0
TRIBUNE CO NEW              COM         896047107       28        800   SH       SHARED 10                          800          0
                                                       326      9,300   SH       SHARED 9, 10                     9,300          0
                                                        28        800   SH       OTHER  10                          800          0
TYCO INTERNATIONAL LTD      COM NEW     902124106    6,910    145,848   SH       SHARED 10                      144,798      1,050
                                                       416      8,785   SH       SHARED 9, 10                     8,785          0
                                                     1,942     40,994   SH       OTHER  10                       39,694      1,300
UICI                        COM         902737105      125     19,000   SH       SHARED 10                       19,000          0
UST INC                     COM         902911106      316     21,500   SH       OTHER  10                       21,500          0
UNION PACIFIC CORP          COM         907818108      299      8,034   SH       SHARED 10                        8,034          0
                                                        71      1,900   SH       OTHER  10                        1,900          0
UNITED PARCEL SERVICE INC   CL B COMMO  911312106      251      4,250   SH       SHARED 10                        4,250          0
                                                        32        550   SH       SHARED 9, 10                       550          0
                                                        24        400   SH       OTHER  10                          400          0
U S WEST INC                COM         91273H101    1,610     18,774   SH       SHARED 10                       17,374      1,400
                                                       958     11,167   SH       OTHER  10                       11,167          0
UNITED TECHNOLOGIES CORP    COM         913017109      471      7,995   SH       SHARED 10                        7,995          0
                                                        38        650   SH       SHARED 9, 10                       650          0
                                                       593     10,080   SH       OTHER  10                       10,080          0
VIACOM INC                  CL B COM    925524308      420      6,161   SH       SHARED 10                        6,161          0
                                                       314      4,600   SH       OTHER  10                        4,600          0
VITESSE SEMICONDUCTOR COR   COM         928497106      517      7,030   SH       SHARED 10                        6,430        600
                                                        44        600   SH       SHARED 9, 10                       600          0
                                                       162      2,200   SH       OTHER  10                        2,200          0
VODAFONE AIRTOUCH PLC       SPONSORED   92857T107    1,514     36,528   SH       SHARED 10                       35,303      1,225
                                                       190      4,585   SH       SHARED 9, 10                     4,585          0
                                                       259      6,250   SH       OTHER  10                        6,250          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>
WACHOVIA CORP               NEW COM     929771103     1,469    27,075   SH       SHARED 10                       26,875        200
                                                         43       800   SH       SHARED 9, 10                       800          0
                                                        790    14,560   SH       OTHER  10                       14,560          0
WAL MART STORES INC         COM         931142103     3,140    54,499   SH       SHARED 10                       54,499          0
                                                         89     1,540   SH       SHARED 9, 10                     1,540          0
                                                      2,069    35,900   SH       OTHER  10                       35,300        600
                                                         35       600   SH       OTHER  9, 10                       600          0
WALGREEN CO                 COM         931422109     2,825    87,760   SH       SHARED 10                       87,760          0
                                                         84     2,600   SH       SHARED 9, 10                     2,600          0
                                                      2,263    70,300   SH       OTHER  10                       69,900        400
WELLS FARGO & CO NEW        COMMON      949746101       370     9,560   SH       SHARED 10                        2,500      7,060
                                                         60     1,540   SH       SHARED 9, 10                     1,540          0
WEST PHARMACEUTICAL SERVI   COMMON      955306105       767    35,490   SH       OTHER  10                       35,490          0
WILLIAMS COS                COM         969457100       118     2,825   SH       SHARED 10                        2,825          0
                                                         42     1,000   SH       SHARED 9, 10                     1,000          0
                                                         67     1,600   SH       OTHER  10                        1,600          0
WILMINGTON TRUST CORPORAT   COM         971807102       176     4,114   SH       SHARED 10                        3,114      1,000
                                                        896    20,957   SH       OTHER  10                       20,957          0
WORLDCOM INC GA             COMMON      98157D106     2,196    47,861   SH       SHARED 10                       46,217      1,644
                                                        306     6,675   SH       SHARED 9, 10                     6,675          0
                                                        915    19,942   SH       OTHER  10                       19,942          0
WRIGLEY WM JR CO            COM         982526105       208     2,600   SH       SHARED 10                        2,600          0
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