DELAWARE CAPITAL MANAGEMENT INC
13F-HR, 2000-11-08
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			UNITED STATES
		SECURITIES AND EXCHANGE COMMISSION
			WASHINGTON, D.C. 20549

			FORM 13 F

		FORM 13-F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED:  09-30-2000

CHECK HERE IS AMENDMENT (  ): AMENDMENT NUMBER:
   THIS AMENDMENT (CHECK ONLY ONE):  (  ) IS A RESTATEMENT
                                     (  ) ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:     Delaware Capital Management
ADDRESS:  1818 Market Street

          Philadelphia, PA 19103

FORM 13F FILE NUMBER 28-5920

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:

NAME:   LISA O BRINKLEY
TITLE:  VICE PRESIDENT/COMPLIANCE
PHONE:  215 255 2369

SIGNATURE, PLACE AND DATE OF SIGNING
/s/LISA O. BRINKLEY, PHILADELPHIA PA   DATE: 11-08-2000

REPORT TYPE:  (CHECK ONLY ONE)

(x) 13F HOLDING 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).)

( ) 13F COMBINATION REPORT. (CHECK HERE IF NO PORTION OF THE HOLDINGD FOR
    THIS REPORTING MANAGER ARE REPORTED IN THIS REPORT AND A PORTION
    ARE REPORTED BY OTHER REPORTING MANAGER(S).)

(PAGE)

			FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:   00

FORM 13F INFORMATION TABLE ENTRY TOTAL: 148

FORM 13F INFORMATION TABLE VALUE TOTAL: $844,563

LIST OF OTHER INCLUDED MANAGERS:

NO.     13F FILE NUMBER     NAME
        28-5920             Delaware Capital Management
<PAGE>

<TABLE>  			<C>					<C>
							FORM 13F INFORMATION TABLE
NAME OF ISSUER			TITLE OF CLASS	  CUSIP	    VALUE    SHARES/  SH/ PUT/ INVSTMT   OTHER      VOTING AUTHORITY
							    (X$1000) PRN AMT  PRN CALL DSCRETN  MANAGERS  SOLE    SHARED   NONE
_______________________________________________________________________________________________________________________________
D AMR                          COMMON         001765106       33     1000 SHS     SOLE                   1000        0        0
D A T & T                      COMMON         001957109     6174   210181 SHS     SOLE                 179660      188    30333
D ABBOTT LABS                  COMMON         002824100      547    11499 SHS     SOLE                   7632        0     3867
D ALCOA                        COMMON         013817101     5862   231587 SHS     SOLE                 196909      211    34467
D ALCATEL - ADR                ADR            013904305    13381   212813 SHS     SOLE                 143566      216    69031
D ALLTEL                       COMMON         020039103     4276    81937 SHS     SOLE                  69830      112    11995
D AMBAC FINANCIAL GROUP        COMMON         023139108     3038    41477 SHS     SOLE                  37345       14     4118
D AMCOR LIMITED - ADR          ADR            02341R302     5529   499795 SHS     SOLE                 340221      459   159115
D AMERICAN GENERAL             COMMON         026351106    14359   184088 SHS     SOLE                 157175       89    26824
D AMERICAN HOME PRODUCTS       COMMON         026609107    11115   196937 SHS     SOLE                 168200       96    28641
D AMERICAN ITALIAN PASTA - CL  COMMON         027070101     2006   104555 SHS     SOLE                  94597        0     9958
D AON                          COMMON         037389103    10282   261957 SHS     SOLE                 222965      124    38868
D APPLIED MICRO CIRCUITS       COMMON         03822W109    11420    55152 SHS     SOLE                  49753        0     5399
D ASTRAZENECA - ADR            ADR            046353108    11378   216467 SHS     SOLE                 184926      105    31436
D AVON PRODUCTS                COMMON         054303102    12114   296378 SHS     SOLE                 253100      147    43131
D BG GROUP - ADR               ADR            055434203    13833   430592 SHS     SOLE                 290657      423   139512
D BISYS GROUP                  COMMON         055472104     2721    35194 SHS     SOLE                  31782        0     3412
D BP AMOCO PLC - ADR           ADR            055622104       42      800 SHS     SOLE                    800        0        0
D BAKER HUGHES                 COMMON         057224107     9486   255516 SHS     SOLE                 218049      130    37337
D BANCO SANTANDER - ADR        ADR            05964H105     9814   897241 SHS     SOLE                 608601      850   287790
D BANK OF AMERICA              COMMON         060505104    10654   203427 SHS     SOLE                 173382      100    29945
D BANK OF NEW YORK             COMMON         064057102    10928   193418 SHS     SOLE                 165077      151    28190
D BARCLAYS - ADR               ADR            06738E204      375     3395 SHS     SOLE                   3395        0        0
D BASS - ADR                   ADR            069904209    12138  1213842 SHS     SOLE                 807068     1240   405534
D BAXTER INTERNATIONAL         COMMON         071813109     8573   107418 SHS     SOLE                  91567       59    15792
D BLOCK H AND R                COMMON         093671105     6000   161894 SHS     SOLE                 138464       82    23348
D BOEING                       COMMON         097023105     9521   151726 SHS     SOLE                 129519       86    22121
D BRIGHT HORIZONS FAMILY SOLUT COMMON         109195107     1759    68831 SHS     SOLE                  62227        0     6604
D BRISTOL MYERS SQUIBB         COMMON         110122108     9416   163768 SHS     SOLE                 141059      161    22548
D BRITISH AIRWAYS - ADR        ADR            110419306     8682   203086 SHS     SOLE                 137559      192    65335
D BROADBASE SOFTWARE           COMMON         11130R100      810    59689 SHS     SOLE                  53983        0     5706
D CEC ENTERTAINMENT            COMMON         125137109     3162    98809 SHS     SOLE                  89180        0     9629
D CABLE AND WIRELESS PLC - ADR ADR            126830207    13685   321517 SHS     SOLE                 239361      256    81900
D CANON - ADR                  ADR            138006309    11050   249723 SHS     SOLE                 165479      245    83999
D CARESCIENCE                  COMMON         141726109      367   122284 SHS     SOLE                 111034        0    11250
D CARNIVAL CRUISE LINES        COMMON         143658102     9226   374645 SHS     SOLE                 316654      182    57809
D CHASE MANHATTAN              COMMON         16161A108     6265   135633 SHS     SOLE                 115659      143    19831
D CHEESECAKE FACTORY           COMMON         163072101     3567    82481 SHS     SOLE                  75016        0     7465
D CHEVRON                      COMMON         166751107     8416    98726 SHS     SOLE                  84571       46    14109
D CIMA LABS                    COMMON         171796105     2176    41793 SHS     SOLE                  37828        0     3965
D CISCO SYSTEMS                COMMON         17275R102       33      600 SHS     SOLE                    600        0        0
D CITIGROUP                    COMMON         172967101       36      666 SHS     SOLE                    666        0        0
D CLOROX                       COMMON         189054109     7384   186632 SHS     SOLE                 159411       92    27129
D CONCORD COMMUNICATIONS       COMMON         206186108      993    37483 SHS     SOLE                  33810        0     3673
D CONOCO - CLASS B             COMMON         208251405     7305   271201 SHS     SOLE                 230998      122    40081
D CONSTELLATION ENERGY         COMMON         210371100       50     1000 SHS     SOLE                   1000        0        0
D CORPORATE EXECUTIVE BOARD    COMMON         21988R102     3144    78110 SHS     SOLE                  70176        0     7934
D COST PLUS                    COMMON         221485105     3016   100126 SHS     SOLE                  90431        0     9695
D CUBIST PHARMACEUTICALS       COMMON         229678107     2227    42781 SHS     SOLE                  38655        0     4126
D DEERE AND CO                 COMMON         244199105    10250   308261 SHS     SOLE                 263197      149    44915
D DIGITAL INSIGHT              COMMON         25385P106     1275    35541 SHS     SOLE                  32245        0     3296
D DOLLAR TREE STORES           COMMON         256747106     6466   159403 SHS     SOLE                 143568       40    15795
D DORAL FINANCIAL              COMMON         25811P100     1645   101624 SHS     SOLE                  91500        0    10124
D DU PONT (E.I.) DE NEMOURS    COMMON         263534109     5795   141772 SHS     SOLE                 121065       81    20626
D DUANE READE                  COMMON         263578106     2515   103716 SHS     SOLE                  93651        0    10065
D DUKE ENERGY                  COMMON         264399106    10533   122820 SHS     SOLE                 104941       61    17818
D DYCOM INDUSTRIES             COMMON         267475101     4909   117928 SHS     SOLE                 106518        0    11410
D DYNEGY                       COMMON         26816Q101       68     1200 SHS     SOLE                   1200        0        0
D EL PASO ENERGY               COMMON         283905107    12379   200875 SHS     SOLE                 171203       99    29573
D ELSEVIER NV - ADR            ADR            290259100     9497   418596 SHS     SOLE                 279441      429   138726
D EMERSON ELECTRIC             COMMON         291011104     8695   129771 SHS     SOLE                 110722       62    18987
D ENDESA - ADR                 ADR            29258N107     5200   277307 SHS     SOLE                 189314      260    87733
D ESPEED - CLASS A             COMMON         296643109     1315    46254 SHS     SOLE                  41818        0     4436
D EXCHANGE APPLICATIONS        COMMON         300867108      268    59231 SHS     SOLE                  53469        0     5762
D EXTENDED STAY AMERICA        COMMON         30224P101     1201    90637 SHS     SOLE                  81847        0     8790
D EXTENSITY                    COMMON         302255104     1017    48424 SHS     SOLE                  43844        0     4580
D EXXON MOBIL                  COMMON         30231G102    14964   167940 SHS     SOLE                 143906       97    23937
D FEDERAL NATIONAL MORTGAGE    COMMON         313586109    10242   143250 SHS     SOLE                 122338       69    20843
D FLEET BOSTON FINANCIAL       COMMON         339030108     8246   211431 SHS     SOLE                 180284      267    30880
D GEMSTAR-TV GUIDE INTERNATION COMMON         36866W106     6069    69608 SHS     SOLE                  62420       36     7152
D GENERAL MOTORS               COMMON         370442105     4720    72615 SHS     SOLE                  61785       36    10794
D GETTY IMAGES                 COMMON         374276103     2258    74177 SHS     SOLE                  67004        0     7173
D GLAXO WELLCOME PLC - ADR     ADR            37733W105    12144   200941 SHS     SOLE                 137104      190    63647
D HALL KINION & ASSOCIATES     COMMON         406069104     1137    39995 SHS     SOLE                  36148        0     3847
D HEIDRICK & STRUGGLES         COMMON         422819102     1127    21936 SHS     SOLE                  19851        0     2085
D HEINZ H J                    COMMON         423074103     4882   131734 SHS     SOLE                 111981       66    19687
D HENRY (JACK) & ASSOCIATES    COMMON         426281101     4882   112542 SHS     SOLE                 101553        0    10989
D HITACHI LTD -ADR             ADR            433578507     8765    76722 SHS     SOLE                  51392       75    25255
D HOT TOPIC                    COMMON         441339108     1694    56466 SHS     SOLE                  51131        0     5335
D ING GROEP NV - ADR           ADR            456837103    10631   161384 SHS     SOLE                 109998      150    51236
D INHALE THERAPEUTIC SYS       COMMON         457191104     2133    37831 SHS     SOLE                  33965        0     3866
D INSIGHT COMMUNICATIONS       COMMON         45768V108     1018    64137 SHS     SOLE                  57896        0     6241
D INTL BUSINESS MACHINES       COMMON         459200101       34      300 SHS     SOLE                    300        0        0
D INTERNATIONAL PAPER          COMMON         460146103     7176   250148 SHS     SOLE                 213808      121    36219
D INTRABIOTICS PHARMACEUTICALS COMMON         46116T100     1529    94115 SHS     SOLE                  85118        0     8997
D KIMBERLY - CLARK             COMMON         494368103    10036   179816 SHS     SOLE                 153212       89    26515
D LAM RESEARCH                 COMMON         512807108      957    45705 SHS     SOLE                  41256        0     4449
D LEAP WIRELESS                COMMON         521863100     1976    31590 SHS     SOLE                  28539        0     3051
D LINENS 'N THINGS             COMMON         535679104     2767   108508 SHS     SOLE                  97935        0    10573
D MSC INDUSTRIAL DIRECT - CL A COMMON         553530106      970    63578 SHS     SOLE                  57608        0     5970
D MANUGISTICS GROUP            COMMON         565011103     2321    23657 SHS     SOLE                  21413        0     2244
D MARSH & MC LENNAN            COMMON         571748102    10441    78654 SHS     SOLE                  67075       44    11535
D MATSUSHITA ELECTRIC - ADR    ADR            576879209    13125    49978 SHS     SOLE                  33186       50    16742
D THE MCGRAW-HILL COMPANIES    COMMON         580645109    13809   217256 SHS     SOLE                 185180      106    31970
D MELLON FINANCIAL             COMMON         58551A108    16460   354929 SHS     SOLE                 303052      169    51708
D METRIS COMPANIES             COMMON         591598107     2307    58410 SHS     SOLE                  52660        0     5750
D METTLER-TOLEDO INTERNATIONAL COMMON         592688105     5705   129664 SHS     SOLE                 117022        0    12642
D MICREL                       COMMON         594793101    10730   160153 SHS     SOLE                 144546        0    15607
D MINNESOTA MINING & MFG       COMMON         604059105     9019    98974 SHS     SOLE                  84645       49    14280
D J. P. MORGAN                 COMMON         616880100      212     1298 SHS     SOLE                   1298        0        0
D NATIONAL AUSTRALIA BANK - AD ADR            632525408    10180   146736 SHS     SOLE                  99969      139    46628
D NETIQ                        COMMON         64115P102     2645    40274 SHS     SOLE                  36433        0     3841
D NETWORK APPLIANCE            COMMON         64120L104    13198   103619 SHS     SOLE                  93116       46    10457
D NEUROCRINE BIOSCIENCES       COMMON         64125C109     1802    40039 SHS     SOLE                  36169        0     3870
D NEW ERA OF NETWORKS          COMMON         644312100     2003    82335 SHS     SOLE                  74373        0     7962
D NEXTLINK COMMUNICATIONS - CL COMMON         65333H707     5341   151787 SHS     SOLE                 136774       41    14972
D ONYX SOFTWARE                COMMON         683402101     1266    61402 SHS     SOLE                  55376        0     6026
D PECO ENERGY                  COMMON         693304107       48      800 SHS     SOLE                    800        0        0
D PE CORP- PE BIOSYSTEMS GROUP COMMON         69332S102       58      500 SHS     SOLE                    500        0        0
D PMC-SIERRA                   COMMON         69344F106     9414    43736 SHS     SOLE                  39321       19     4396
D PACIFIC DUNLOP LTD ADR       ADR            694185208       60    19667 SHS     SOLE                  17325        0     2342
D PEPSICO                      COMMON         713448108     9530   207175 SHS     SOLE                 176582      105    30488
D PHILIP MORRIS                COMMON         718154107     8122   275893 SHS     SOLE                 238845      143    36905
D PINNACLE HOLDINGS            COMMON         72346N101     2676   100494 SHS     SOLE                  90687        0     9807
D PITNEY BOWES                 COMMON         724479100     5634   142866 SHS     SOLE                 121955       69    20842
D POWERGEN - ADR               ADR            738905405    12898   409466 SHS     SOLE                 277591      396   131479
D RADIO ONE                    COMMON         75040P108      523    62935 SHS     SOLE                  56851        0     6084
D RADIO ONE - CLASS D          COMMON         75040P405      574    81206 SHS     SOLE                  73268        0     7938
D RALSTON-RALSTON PURINA       COMMON         751277302     7975   336674 SHS     SOLE                 287037      178    49459
D RIO TINTO - ADR              ADR            767204100    13063   219540 SHS     SOLE                 147642      222    71676
D ROYAL DUTCH PETROLEUM-NY SHR ADR            780257804    19705   328754 SHS     SOLE                 251894      241    76619
D RUBY TUESDAY                 COMMON         781182100     1476   131211 SHS     SOLE                 118642        0    12569
D SBC COMMUNICATIONS           COMMON         78387G103     9298   186427 SHS     SOLE                 158785      195    27447
D SBA COMMUNICATIONS           COMMON         78388J106     3246    77402 SHS     SOLE                  69976        0     7426
D SASOL - ADR                  ADR            803866300     5301   662604 SHS     SOLE                 446168      647   215789
D SONIC                        COMMON         835451105     2620    83171 SHS     SOLE                  75098        0     8073
D SONY - ADR                   ADR            835699307     7037    69712 SHS     SOLE                  46478       69    23165
D SOVEREIGN BANCORP            COMMON         845905108     1021   110333 SHS     SOLE                  99777        0    10556
D TELECOM NEW ZEALAND ADR      ADR            879278208     6420   320986 SHS     SOLE                 216909      309   103768
D TELEFONICA - ADR             ADR            879382208     8747   147157 SHS     SOLE                  99360      145    47652
D TERADYNE                     COMMON         880770102     1905    54426 SHS     SOLE                  49102       41     5283
D TOO                          COMMON         890333107     2184    91944 SHS     SOLE                  83046        0     8898
D TOTAL FINA ELF SA - ADR      ADR            89151E109    12922   175965 SHS     SOLE                 119559      167    56239
D TRIMERIS                     COMMON         896263100     4006    57273 SHS     SOLE                  51694        0     5579
D TUT SYSTEMS                  COMMON         901103101     2311    26775 SHS     SOLE                  24208        0     2567
D TWEETER HOME ENTERTAINMENT   COMMON         901167106     3390    93347 SHS     SOLE                  84249        0     9098
D UNILEVER NV - NY SHARES      ADR            904784709     1385    28706 SHS     SOLE                  19997       18     8691
D UNITED THERAPEUTICS          COMMON         91307C102     3350    38339 SHS     SOLE                  34473       12     3854
D UNUMPROVIDENT                COMMON         91529Y106     8446   309948 SHS     SOLE                 264321      157    45470
D UPM-KYMMENE OYJ - ADR        ADR            915436109     7368   291791 SHS     SOLE                 196196      289    95306
D VERITAS SOFTWARE             COMMON         923436109     9754    68693 SHS     SOLE                  61726       32     6935
D VISTEON                      COMMON         92839U107       33     2200 SHS     SOLE                   2200        0        0
D WEBSTER FINANCIAL            COMMON         947890109     1776    65939 SHS     SOLE                  59504        0     6435
D WELLS FARGO                  COMMON         949746101     8327   181274 SHS     SOLE                 154620      156    26498
D WEST TELESERVICES            COMMON         956188106     1374    62444 SHS     SOLE                  56385        0     6059
D WESTWOOD ONE                 COMMON         961815107     1253    58457 SHS     SOLE                  52800        0     5657
D WILLIAMS                     COMMON         969457100     6745   159649 SHS     SOLE                 136325       80    23244
D WRIGLEY                      COMMON         982526105      270     3600 SHS     SOLE                   3600        0        0
S REPORT SUMMARY             148    DATA RECORDS          $844,563                OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED

</TABLE>


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