WILMINGTON TRUST CO
13F-HR, 2000-05-12
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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: March 31, 2000
             Check here if Amendment [x]; Amendment Number: 105

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

Institutional Investment Manager Filing this Report:

Name:    Wilmington Trust Company
Address: 1100 North Market Street
         Wilmington, Delaware  19890

Form 13F File Number: 28-03742

            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:         Cynthia L. Corliss
Title:        Vice President
Phone:        (302) 651-8516

Signature, Place, and Date of Signing:

/s/Cynthia L. Corliss                Wilmington, DE            May 10, 2000
- ---------------------                ---------------------     ------------
Signature                            City, State               Date

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 28-04464
Name:  Wilmington Trust of Pennsylvania
Form 13F File Number 28-03740
Name:  Wilmington Trust FSB
Form 13F File Number 28-00115
Name:  T. Rowe Price


<PAGE>


                             FORM 13 F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                       9

Form 13F Table Entry Total:                              3,439

Form 13F Information Table Value Total:                  $19,933,682 (thousands)

List of Other Included Managers:

No.      Form 13F
      File No.        Name

1       28-0067A      The Boston Company
2                     Irenee duPont, Jr.
3                     Irenee duPont, Jr., Edward duPont
4                     Pension Fund Investments, E.I. duPont de Nemours & Company
5                     Essex Investment Co., Inc.
6                     Nathan W. Pearson, Kenneth J. Herr
7       28-03740      Wilmington Trust FSB
8       28-04464      Wilmington Trust of Pennsylvania
9       28-00674      Wilmington Trust Corporation
<PAGE>

FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
DAIMLERCHRYSLER AG         ORD        D1668R123            846      12,924 SH      SHARED  10                     12,924           0
                                                            61         935 SH      SHARED  7, 10                     935           0
                                                         1,722      26,317 SH      OTHER   10                     26,317           0
ACE LTD                    ORD        G0070K103         34,274   1,498,300 SH      SHARED  4, 10               1,498,300           0
AMDOCS LTD                 COMMON     G02602103            905      12,228 SH      SHARED  4, 10                  12,228           0
BRILLIANCE CHINA AUTOMOTI  ORD SHS    G1368B102             33      12,500 SH      OTHER   10                     12,500           0
EVEREST RE GROUP LTD       COMMON     G3223R108            493      15,100 SH      SHARED  10                     15,100           0
                                                         6,189     189,700 SH      SHARED  4, 10                 189,700           0
FRUIT OF THE LOOM INC      CL A COMMO G3682L105            567     477,000 SH      SHARED  4, 10                 477,000           0
LORAL SPACE & COMMUNICATI  ORD        G56462107             13       1,300 SH      SHARED  10                      1,300           0
                                                           140      13,800 SH      OTHER   10                     13,800           0
RENAISSANCERE HOLDINGS LT  COM        G7496G103            459      11,238 SH      SHARED  10                     11,238           0
SANTA FE INTERNATIONAL CO  COM        G7805C108            237       6,400 SH      SHARED  10                      6,400           0
                                                           141       3,800 SH      SHARED  4, 10                   3,800           0
TRANSOCEAN SEDCO FOREX IN  COMMON     G90078109            986      19,209 SH      SHARED  10                     19,133          76
</TABLE>








<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           101       1,973 SH      SHARED  2, 10                   1,973           0
                                                            10         192 SH      SHARED  7, 10                     192           0
                                                            60       1,179 SH      SHARED  8, 10                   1,179           0
                                                         1,978      38,551 SH      OTHER   10                     38,551           0
                                                            15         288 SH      OTHER   7, 10                     288           0
                                                            36         694 SH      OTHER   8, 10                     694           0
TRITON ENERGY LTD          CLASS A    G90751101            824      23,500 SH      SHARED  10                     23,500           0
XL CAPITAL LTD             CL A COMMO G98255105            391       7,064 SH      SHARED  10                      7,064           0
RIT TECHNOLOGIES LTD       COMMON     M8215N109            140      13,000 SH      SHARED  10                     13,000           0
CORE LABORATORIES N.V.     COM        N22717107            581      20,000 SH      SHARED  10                     20,000           0
ADC TELECOMMUNICATIONS IN  COM        000886101            529       9,820 SH      SHARED  10                      9,820           0
                                                         3,556      66,000 SH      SHARED  4, 10                  66,000           0
                                                           108       2,000 SH      OTHER   10                      2,000           0
ADE CORP                   COM        00089C107             22       1,000 SH      SHARED  10                      1,000           0
                                                           911      41,400 SH      OTHER   10                     41,400           0
AFLAC INC                  COM        001055102            365       8,000 SH      SHARED  10                      8,000           0
                                                           858      18,824 SH      OTHER   10                     18,824           0
AGL RESOURCES INC          COM        001204106          3,089     168,100 SH      SHARED  4, 10                 168,100           0
                                                             7         400 SH      OTHER   8, 10                     400           0
AES CORP                   COM        00130H105            642       8,150 SH      SHARED  10                      8,150           0
                                                           854      10,840 SH      OTHER   10                     10,840           0
AK STEEL HOLDING CORP      COM        001547108              0          14 SH      SHARED  10                         14           0
                                                           405      39,033 SH      SHARED  4, 10                  39,033           0
                                                            24       2,297 SH      OTHER   10                      2,297           0
AMR CORP DEL               COM        001765106             13         419 SH      SHARED  10                        419           0
                                                         1,077      33,800 SH      SHARED  4, 10                  33,800           0
                                                            22         700 SH      OTHER   10                        700           0
AT & T CORP                COM        001957109         38,198     677,622 SH      SHARED  10                    673,947       3,675
                                                            81       1,430 SH      SHARED  2, 10                   1,430           0
                                                            66       1,179 SH      SHARED  3, 10                   1,179           0
                                                        94,604   1,679,960 SH      SHARED  4, 10               1,679,960           0
                                                           208       3,693 SH      SHARED  7, 10                   3,693           0
                                                           290       5,156 SH      SHARED  8, 10                   5,156           0
                                                        20,331     361,039 SH      OTHER   10                    360,113         926
                                                           296       5,250 SH      OTHER   7, 10                   5,250           0
                                                           271       4,817 SH      OTHER   8, 10                   4,817           0
AT & T CORP                CL A COMMO 001957208          1,520      25,623 SH      SHARED  10                     25,623           0
                                                           922      15,542 SH      OTHER   10                     15,542           0
ATMI INC                   COM        00207R101            208       4,365 SH      SHARED  10                        440       3,925
AVT CORPORATION            COMMON     002420107             64       5,400 SH      SHARED  10                      5,400           0
                                                           470      39,800 SH      SHARED  4, 10                  39,800           0
ABBOTT LABS                COM        002824100         29,367     834,573 SH      SHARED  10                    817,873      16,700
                                                        33,784     960,100 SH      SHARED  4, 10                 960,100           0
                                                        20,356     578,483 SH      SHARED  7, 10                 578,483           0
                                                         1,056      30,000 SH      SHARED  8, 10                  30,000           0
                                                        24,818     705,300 SH      OTHER   10                    704,765         535
                                                         9,825     279,206 SH      OTHER   7, 10                 279,206           0
                                                           367      10,416 SH      OTHER   8, 10                  10,416           0
ABERCROMBIE & FITCH CO     CLASS A CO 002896207            107       6,700 SH      SHARED  10                      6,700           0
                                                         2,310     144,400 SH      SHARED  4, 10                 144,400           0
</TABLE>









<PAGE>
FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            96       6,000 SH      SHARED  8, 10                   6,000           0
                                                             5         300 SH      OTHER   8, 10                     300           0
ABGENIX INC                COMMON     00339B107            262       1,900 SH      SHARED  4, 10                   1,900           0
ABOUT.COM INC              COMMON     003736105            247       2,800 SH      SHARED  4, 10                   2,800           0
A.C. NIELSEN CORP          COM        004833109             10         465 SH      SHARED  10                        465           0
                                                         1,463      65,000 SH      SHARED  4, 10                  65,000           0
                                                            26       1,166 SH      OTHER   10                      1,166           0
ACTION PERFORMANCE COMPAN  COM        004933107            781      58,700 SH      SHARED  4, 10                  58,700           0
ACTEL CORP                 COM        004934105          1,203      33,700 SH      SHARED  4, 10                  33,700           0
                                                             6         167 SH      OTHER   10                        167           0
ACXIOM CORP                COM        005125109          2,151      64,700 SH      SHARED  10                     64,700           0
ADAPTEC INC                COM        00651F108             46       1,200 SH      SHARED  10                      1,200           0
                                                         5,593     144,800 SH      SHARED  4, 10                 144,800           0
                                                            39       1,000 SH      OTHER   10                      1,000           0
ADELPHIA BUSINESS SOLUTIO  COMMON     006847107            622      10,100 SH      SHARED  4, 10                  10,100           0
ADOBE SYS INC              COM        00724F101             86         775 SH      SHARED  10                        775           0
                                                        11,866     106,600 SH      SHARED  4, 10                 106,600           0
ADTRAN INC                 COM        00738A106          3,626      61,000 SH      SHARED  4, 10                  61,000           0
ADVANCE PARADIGM INC       COM        007491103            312      26,300 SH      SHARED  4, 10                  26,300           0
ADVANCED DIGITAL INFORMAT  COM        007525108            801      23,400 SH      SHARED  4, 10                  23,400           0
ADVANCED LIGHTING TECHS    COM        00753C102            756      40,300 SH      SHARED  10                     40,300           0
ADVANCED FIBRE COMMUNICAT  COM        00754A105            257       4,100 SH      SHARED  10                      4,100           0
                                                         1,693      27,000 SH      SHARED  4, 10                  27,000           0
AEROFLEX INC               COM        007768104          1,064      21,500 SH      SHARED  4, 10                  21,500           0
ADVANCED MICRO DEVICES IN  COM        007903107            542       9,500 SH      SHARED  10                      9,500           0
AEGON N V                  ORD AMERIC 007924103            277       3,438 SH      SHARED  10                      3,438           0
                                                           967      12,018 SH      OTHER   10                     12,018           0
ADVANTA CORP               CL A COM   007942105          1,205      59,300 SH      SHARED  4, 10                  59,300           0
ADVANCED ENERGY INDUSTRIE  COM        007973100            347       6,800 SH      SHARED  4, 10                   6,800           0
AETNA INC                  COM        008117103            603      10,864 SH      SHARED  10                     10,864           0
                                                        25,972     467,955 SH      SHARED  4, 10                 467,955           0
                                                           723      13,027 SH      OTHER   10                     13,027           0
AFFILIATED COMPUTER SVCS   CL A       008190100          1,691      44,500 SH      SHARED  4, 10                  44,500           0
AFFILIATED MANAGERS GROUP  COMMON     008252108            903      19,000 SH      SHARED  10                     19,000           0
                                                         1,107      23,300 SH      SHARED  4, 10                  23,300           0
AFFYMETRIX INC             COM        00826T108             22         150 SH      SHARED  10                        150           0
                                                           772       5,200 SH      SHARED  4, 10                   5,200           0
AGILENT TECHNOLOGIES INC   COMMON     00846U101            156       1,500 SH      SHARED  10                      1,500           0
                                                           333       3,200 SH      SHARED  4, 10                   3,200           0
                                                           146       1,400 SH      OTHER   10                      1,400           0
AGRIBRANDS INTERNATIONAL   COM        00849R105              0          12 SH      SHARED  10                         12           0
                                                           712      18,100 SH      SHARED  4, 10                  18,100           0
                                                             6         142 SH      OTHER   10                        142           0
AIR PRODS & CHEMS INC      COM        009158106         12,979     456,398 SH      SHARED  10                    441,798      14,600
                                                           515      18,100 SH      SHARED  4, 10                  18,100           0
                                                         1,098      38,600 SH      SHARED  7, 10                  38,600           0
                                                           176       6,200 SH      SHARED  8, 10                   6,200           0
                                                        10,830     380,818 SH      OTHER   10                    380,818           0
                                                         1,732      60,900 SH      OTHER   7, 10                  60,900           0
                                                           228       8,000 SH      OTHER   8, 10                   8,000           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
AIRBORNE FGHT CORP         COM        009266107          1,987      82,800 SH      SHARED  4, 10                  82,800           0
ALABAMA NATIONAL BANCORP/  COMMON     010317105            342      18,000 SH      SHARED  4, 10                  18,000           0
ALASKA AIR GROUP           COM        011659109          1,638      54,500 SH      SHARED  4, 10                  54,500           0
ALBANY INTL CORP           NEW CL A C 012348108          3,218     217,245 SH      SHARED  4, 10                 217,245           0
ALBANY MOLECULAR RESEARCH  COM        012423109            520       8,900 SH      SHARED  4, 10                   8,900           0
ALBEMARLE CORP             COM        012653101          3,793     182,800 SH      SHARED  4, 10                 182,800           0
                                                           158       7,600 SH      OTHER   10                      7,600           0
ALBERTSONS INC             COM        013104104          2,049      66,336 SH      SHARED  10                     66,036         300
                                                        10,229     331,300 SH      SHARED  4, 10                 331,300           0
                                                           161       5,200 SH      SHARED  7, 10                   5,200           0
                                                            93       3,000 SH      SHARED  8, 10                   3,000           0
                                                         5,102     165,240 SH      OTHER   10                    165,240           0
                                                            43       1,400 SH      OTHER   7, 10                   1,400           0
                                                            15         500 SH      OTHER   8, 10                     500           0
ALCAN ALUM LTD             COM NEW    013716105            110       3,237 SH      SHARED  10                      3,237           0
                                                         1,710      50,200 SH      SHARED  4, 10                  50,200           0
                                                           229       6,725 SH      OTHER   10                      6,725           0
ALCOA INC                  COMMON     013817101          1,874      26,680 SH      SHARED  10                     26,680           0
                                                         9,125     129,900 SH      SHARED  4, 10                 129,900           0
                                                            42         600 SH      SHARED  8, 10                     600           0
                                                           774      11,022 SH      OTHER   10                     11,022           0
                                                            84       1,200 SH      OTHER   7, 10                   1,200           0
ALCATEL                    SPONSORED  013904305            295       6,847 SH      OTHER   10                      6,847           0
ALEXANDRIA REAL ESTATE EQ  COM        015271109            486      16,200 SH      SHARED  4, 10                  16,200           0
ALKERMES INC               COM        01642T108            925      10,000 SH      SHARED  10                     10,000           0
                                                           703       7,600 SH      SHARED  4, 10                   7,600           0
ALLAIRE CORP               COM        016714107            287       3,800 SH      SHARED  4, 10                   3,800           0
                                                            47         620 SH      OTHER   10                        620           0
ALLEGHENY ENERGY INC       COM        017361106             75       2,700 SH      SHARED  10                      2,700           0
                                                         5,673     204,900 SH      SHARED  4, 10                 204,900           0
                                                            44       1,600 SH      SHARED  8, 10                   1,600           0
                                                           311      11,234 SH      OTHER   10                     11,234           0
ALLERGAN INC               COM        018490102            520      10,400 SH      SHARED  10                     10,400           0
                                                           325       6,492 SH      OTHER   10                      6,492           0
                                                            98       1,950 SH      OTHER   8, 10                   1,950           0
ALLIANT ENERGY CORP        COMMON     018802108            115       3,783 SH      SHARED  10                      3,783           0
                                                         1,665      54,691 SH      OTHER   10                     54,691           0
ALLIED WASTE INDS INC      COM        019589308             98      15,000 SH      SHARED  10                     15,000           0
                                                         6,727   1,025,000 SH      SHARED  4, 10               1,025,000           0
ALLMERICA FINANCIAL CORP   COM        019754100            808      15,850 SH      SHARED  10                     15,850           0
                                                         2,234      43,800 SH      SHARED  4, 10                  43,800           0
                                                            73       1,424 SH      OTHER   10                      1,424           0
ALLSTATE CORP              COM        020002101          3,473     145,828 SH      SHARED  10                    145,728         100
                                                        35,381   1,485,800 SH      SHARED  4, 10               1,485,800           0
                                                           167       7,000 SH      SHARED  7, 10                   7,000           0
                                                         3,848     161,574 SH      OTHER   10                    161,574           0
                                                            33       1,400 SH      OTHER   8, 10                   1,400           0
ALLTEL CORP                COM        020039103            583       9,231 SH      SHARED  10                      9,231           0
                                                            17         264 SH      SHARED  2, 10                     264           0
                                                         1,027      16,241 SH      OTHER   10                     16,241           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            11         172 SH      OTHER   7, 10                     172           0
ALPHA INDS INC             COM        020753109             71         750 SH      SHARED  10                        750           0
                                                           931       9,800 SH      SHARED  4, 10                   9,800           0
ALPHARMA INC               CLASS A    020813101          1,220      33,200 SH      SHARED  4, 10                  33,200           0
ALTERA CORP                COM        021441100         11,933     133,705 SH      SHARED  10                    126,905       6,800
                                                        19,439     217,800 SH      SHARED  4, 10                 217,800           0
                                                           544       6,100 SH      SHARED  7, 10                   6,100           0
                                                           357       4,000 SH      SHARED  8, 10                   4,000           0
                                                           769       8,618 SH      OTHER   10                      8,318         300
                                                            62         700 SH      OTHER   7, 10                     700           0
                                                           625       7,000 SH      OTHER   8, 10                   7,000           0
ALTERRA HEALTHCARE CORP    COMMON     02146C104            124      31,000 SH      SHARED  10                     31,000           0
AMBAC FINANCIAL GROUP INC  COM        023139108         10,629     211,000 SH      SHARED  4, 10                 211,000           0
                                                            95       1,880 SH      OTHER   10                      1,880           0
AMERADA HESS CORP          COM        023551104            313       4,850 SH      SHARED  10                      4,850           0
                                                         2,908      45,000 SH      SHARED  4, 10                  45,000           0
AMEREN                     COMMON     023608102             37       1,212 SH      SHARED  10                      1,212           0
                                                           721      23,300 SH      SHARED  4, 10                  23,300           0
                                                            59       1,892 SH      OTHER   10                      1,892           0
AMERICA ONLINE INC DEL     COM        02364J104         33,651     499,066 SH      SHARED  10                    493,916       5,150
                                                        56,061     831,300 SH      SHARED  4, 10                 831,300           0
                                                           364       5,400 SH      SHARED  7, 10                   5,400           0
                                                           252       3,740 SH      SHARED  8, 10                   3,740           0
                                                        33,367     494,784 SH      OTHER   10                    494,334         450
                                                           165       2,440 SH      OTHER   7, 10                   2,440           0
AMERICA WEST HOLDINGS COR  CLASS B CO 023657208          1,144      73,800 SH      SHARED  4, 10                  73,800           0
AMERICAN EAGLE OUTFITTERS  NEW COM    02553E106             27         700 SH      SHARED  10                        700           0
                                                         2,390      63,000 SH      SHARED  4, 10                  63,000           0
AMERICAN ELEC PWR INC      COM        025537101            485      16,261 SH      SHARED  10                     16,261           0
                                                         7,414     248,700 SH      SHARED  4, 10                 248,700           0
                                                             9         293 SH      SHARED  7, 10                     293           0
                                                           108       3,636 SH      OTHER   10                      3,636           0
                                                             5         167 SH      OTHER   7, 10                     167           0
AMERICAN EXPRESS CO        COM        025816109          4,519      30,339 SH      SHARED  10                     30,339           0
                                                            45         300 SH      SHARED  7, 10                     300           0
                                                           447       3,000 SH      SHARED  8, 10                   3,000           0
                                                        11,147      74,845 SH      OTHER   10                     74,845           0
                                                           283       1,900 SH      OTHER   8, 10                   1,900           0
AMERICAN GEN CORP          COM        026351106          6,914     123,187 SH      SHARED  10                    114,687       8,500
                                                        12,130     216,127 SH      SHARED  4, 10                 216,127           0
                                                            67       1,200 SH      SHARED  7, 10                   1,200           0
                                                           129       2,300 SH      SHARED  8, 10                   2,300           0
                                                         2,217      39,493 SH      OTHER   10                     39,493           0
                                                           511       9,100 SH      OTHER   7, 10                   9,100           0
                                                           172       3,068 SH      OTHER   8, 10                   3,068           0
AMERICAN GREETINGS CORP    CL A       026375105          1,640      89,850 SH      SHARED  10                     89,850           0
                                                         2,117     116,000 SH      SHARED  4, 10                 116,000           0
AMERICAN HOME PRODS CORP   COM        026609107         23,752     441,924 SH      SHARED  10                    439,524       2,400
                                                        17,168     319,400 SH      SHARED  4, 10                 319,400           0
                                                           125       2,324 SH      SHARED  7, 10                   2,324           0
</TABLE>





<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           602      11,200 SH      SHARED  8, 10                  11,200           0
                                                        42,735     795,064 SH      OTHER   10                    793,464       1,600
                                                           935      17,400 SH      OTHER   7, 10                  17,400           0
                                                         1,716      31,920 SH      OTHER   8, 10                  31,920           0
AMERICAN INTL GROUP INC    COM        026874107         80,171     732,152 SH      SHARED  10                    720,092      12,060
                                                           915       8,356 SH      SHARED  2, 10                   8,356           0
                                                           519       4,739 SH      SHARED  3, 10                   4,739           0
                                                        14,047     128,281 SH      SHARED  4, 10                 128,281           0
                                                         4,577      41,803 SH      SHARED  7, 10                  41,803           0
                                                         3,435      31,371 SH      SHARED  8, 10                  31,371           0
                                                        87,099     795,422 SH      OTHER   10                    795,191         231
                                                         1,814      16,564 SH      OTHER   7, 10                  16,564           0
                                                           419       3,828 SH      OTHER   8, 10                   3,828           0
AMERICAN MGMT SYS INC      COM        027352103            815      18,600 SH      SHARED  4, 10                  18,600           0
AMERICAN PWR CONVERSION C  COM        029066107            189       4,400 SH      SHARED  10                      4,400           0
                                                         6,268     146,200 SH      SHARED  4, 10                 146,200           0
                                                            39         900 SH      OTHER   10                        900           0
AMERICAN STANDARD COMPANI  COM        029712106          3,212      86,800 SH      SHARED  4, 10                  86,800           0
AMERICAN SUPERCONDUCTOR C  COM        030111108            202       4,550 SH      OTHER   10                      4,550           0
AMERICAN WTR WKS INC       COM        030411102            322      13,556 SH      SHARED  10                     13,556           0
                                                         2,216      93,300 SH      SHARED  4, 10                  93,300           0
                                                           314      13,200 SH      OTHER   10                     13,200           0
AMERICREDIT CORP           COM        03060R101             34       2,100 SH      SHARED  10                      2,100           0
                                                         1,285      78,800 SH      SHARED  4, 10                  78,800           0
AMERISOURCE HEALTH CORP    CL A       03071P102            225      15,000 SH      SHARED  10                     15,000           0
                                                           758      50,500 SH      SHARED  4, 10                  50,500           0
AMETEK INC                 COMMON NEW 031100100              4         200 SH      SHARED  10                        200           0
                                                         2,951     153,300 SH      SHARED  4, 10                 153,300           0
AMGEN INC                  COM        031162100         24,888     405,501 SH      SHARED  10                    397,401       8,100
                                                         1,234      20,100 SH      SHARED  4, 10                  20,100           0
                                                           153       2,488 SH      SHARED  7, 10                   2,488           0
                                                           314       5,115 SH      SHARED  8, 10                   5,115           0
                                                        11,694     190,536 SH      OTHER   10                    190,196         340
                                                           276       4,500 SH      OTHER   7, 10                   4,500           0
                                                            21         350 SH      OTHER   8, 10                     350           0
AMKOR TECHNOLOGY INC       COM        031652100             69       1,300 SH      SHARED  10                      1,300           0
                                                         2,250      42,400 SH      SHARED  4, 10                  42,400           0
AMPHENOL CORP              CL A COM N 032095101          1,237      12,100 SH      SHARED  4, 10                  12,100           0
AMTEC INC                  COMMON     03232Q106             61      15,000 SH      OTHER   10                     15,000           0
AMTRAN INC                 COM        03234G106            304      17,000 SH      SHARED  4, 10                  17,000           0
ANADIGICS INC              COM        032515108          1,792      27,150 SH      SHARED  10                     27,150           0
                                                           297       4,500 SH      SHARED  4, 10                   4,500           0
ANALOG DEVICES INC         COM        032654105         31,183     387,364 SH      SHARED  10                    376,964      10,400
                                                            81       1,000 SH      SHARED  2, 10                   1,000           0
                                                        12,268     152,400 SH      SHARED  4, 10                 152,400           0
                                                         1,163      14,450 SH      SHARED  7, 10                  14,450           0
                                                         2,434      30,230 SH      SHARED  8, 10                  30,230           0
                                                        33,262     413,191 SH      OTHER   10                    413,191           0
                                                         5,141      63,860 SH      OTHER   7, 10                  63,860           0
                                                           912      11,332 SH      OTHER   8, 10                  11,332           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
ANALYSTS INTL CORP         COM        032681108            129      13,100 SH      SHARED  4, 10                  13,100           0
                                                            44       4,500 SH      OTHER   10                      4,500           0
ANCHOR GAMING              COM        033037102            911      24,000 SH      SHARED  4, 10                  24,000           0
ANDOVER BANCORP INC        COM        034258103            511      17,900 SH      SHARED  4, 10                  17,900           0
ANDREW CORP                COM        034425108          4,074     178,100 SH      SHARED  4, 10                 178,100           0
ANHEUSER BUSCH COS INC     COM        035229103         24,809     398,532 SH      SHARED  10                    398,532           0
                                                        10,732     172,400 SH      SHARED  4, 10                 172,400           0
                                                            96       1,550 SH      SHARED  8, 10                   1,550           0
                                                           811      13,030 SH      OTHER   10                     13,030           0
                                                            34         548 SH      OTHER   8, 10                     548           0
ANICOM INC                 COM        035250109            136      22,384 SH      SHARED  10                     22,384           0
                                                           249      41,038 SH      OTHER   10                     41,038           0
ANNTAYLOR STORES CORP      COM        036115103          1,465      63,700 SH      SHARED  4, 10                  63,700           0
                                                            14         600 SH      OTHER   10                        600           0
AON CORP                   COM        037389103            243       7,550 SH      SHARED  10                      7,550           0
                                                             6         182 SH      OTHER   8, 10                     182           0
APACHE CORP                COM        037411105            224       4,500 SH      SHARED  10                      4,500           0
                                                            25         500 SH      SHARED  7, 10                     500           0
                                                           100       2,000 SH      SHARED  8, 10                   2,000           0
                                                           301       6,050 SH      OTHER   10                      6,050           0
APEX INC                   COMMON     037548104          1,210      32,600 SH      SHARED  4, 10                  32,600           0
APOLLO GROUP INC           CL A       037604105          3,151     111,800 SH      SHARED  4, 10                 111,800           0
APPLE COMPUTER INC         COM        037833100            327       2,405 SH      SHARED  10                      2,405           0
                                                         8,420      62,000 SH      SHARED  4, 10                  62,000           0
                                                           407       3,000 SH      OTHER   10                      3,000           0
APRIA HEALTHCARE GROUP IN  COM        037933108          2,401     166,300 SH      SHARED  4, 10                 166,300           0
APPLIED INDUSTRIAL TECHNO  COM        03820C105            733      45,800 SH      SHARED  4, 10                  45,800           0
APPLIED MAGNETICS CORP     COMMON IN  038213104             35     557,807 SH      SHARED  10                    557,807           0
APPLIED MATLS INC          COM        038222105          5,958      63,210 SH      SHARED  10                     63,210           0
                                                        34,759     368,800 SH      SHARED  4, 10                 368,800           0
                                                         5,961      63,250 SH      OTHER   10                     63,250           0
APPNET INC                 COMMON     03831Q101            658      14,000 SH      SHARED  10                     14,000           0
ARACRUZ CELULOSE SA        SPONSORED  038496204          4,471     211,000 SH      SHARED  4, 10                 211,000           0
ARCH CHEMICALS INC         COMMON     03937R102            192       9,618 SH      SHARED  10                      9,618           0
                                                            10         500 SH      OTHER   10                        500           0
ARCHER DANIELS MIDLAND CO  COM        039483102             36       3,461 SH      SHARED  10                      3,461           0
                                                        12,720   1,233,443 SH      SHARED  4, 10               1,233,443           0
                                                           485      47,070 SH      OTHER   10                     47,070           0
                                                            43       4,212 SH      OTHER   8, 10                   4,212           0
ARCHSTONE CMNTYS TR        SH BEN INT 039581103          1,739      87,200 SH      SHARED  10                     87,200           0
                                                           559      28,042 SH      OTHER   10                     28,042           0
ARIBA INC                  COMMON     04033V104             91         435 SH      SHARED  10                        435           0
                                                           125         595 SH      OTHER   10                        595           0
ARMSTRONG WORLD INDS       COM        042476101          2,370     132,600 SH      SHARED  4, 10                 132,600           0
                                                             2         100 SH      OTHER   10                        100           0
ARROW INTL INC             COM        042764100             27         875 SH      SHARED  10                        875           0
                                                         1,481      47,200 SH      SHARED  4, 10                  47,200           0
ARTESYN TECHOLOGOIES INC   COM        043127109            152       8,050 SH      SHARED  10                      2,000       6,050
                                                           703      37,100 SH      SHARED  4, 10                  37,100           0
ARVIN INDS INC             COM        043339100            774      34,200 SH      SHARED  4, 10                  34,200           0
</TABLE>





<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
ASPECT COMMUNICATIONS COR  COMMON     04523Q102             13         358 SH      SHARED  10                        358           0
                                                           930      25,100 SH      SHARED  4, 10                  25,100           0
ASPEN TECHNOLOGY INC       COM        045327103            808      20,000 SH      SHARED  10                     20,000           0
ASSOCIATED BANC CORP       COM        045487105            107       3,585 SH      SHARED  10                      3,585           0
                                                         2,662      89,100 SH      SHARED  4, 10                  89,100           0
ASSOCIATES FIRST CAPITAL   COM        046008108            471      21,990 SH      SHARED  10                     20,576       1,414
                                                         3,065     143,400 SH      SHARED  4, 10                 143,400           0
                                                           937      43,821 SH      OTHER   10                     43,821           0
                                                            22       1,048 SH      OTHER   7, 10                   1,048           0
                                                             6         262 SH      OTHER   8, 10                     262           0
ASTROPOWER INC             COM        04644A101            333      10,300 SH      SHARED  10                     10,300           0
                                                            23         700 SH      OTHER   10                        700           0
ATLANTIC RICHFIELD CO      COM        048825103          7,546      88,780 SH      SHARED  10                     88,780           0
                                                        35,341     415,780 SH      SHARED  4, 10                 415,780           0
                                                            68         800 SH      SHARED  8, 10                     800           0
                                                         9,830     115,642 SH      OTHER   10                    115,642           0
                                                           149       1,754 SH      OTHER   7, 10                   1,754           0
                                                           207       2,433 SH      OTHER   8, 10                   2,433           0
ATMEL CORP                 COM        049513104            292       5,650 SH      SHARED  10                      2,100       3,550
                                                         7,470     144,700 SH      SHARED  4, 10                 144,700           0
                                                           103       2,000 SH      SHARED  8, 10                   2,000           0
                                                           601      11,650 SH      OTHER   10                     11,650           0
ATMOS ENERGY CORP          COM        049560105            131       8,000 SH      SHARED  10                      8,000           0
                                                            62       3,800 SH      OTHER   10                      3,800           0
ATWOOD OCEANICS INC        COM        050095108          2,473      37,300 SH      SHARED  4, 10                  37,300           0
AURA SYS INC               COM        051526101             10      26,900 SH      SHARED  10                     26,900           0
AUTODESK INC               COMMON     052769106          2,043      44,900 SH      SHARED  4, 10                  44,900           0
AUTOMATIC DATA PROCESSING  COM        053015103         65,942   1,366,674 SH      SHARED  10                  1,359,024       7,650
                                                           117       2,422 SH      SHARED  2, 10                   2,422           0
                                                            99       2,048 SH      SHARED  3, 10                   2,048           0
                                                        17,824     369,400 SH      SHARED  4, 10                 369,400           0
                                                         2,909      60,296 SH      SHARED  7, 10                  60,296           0
                                                           945      19,590 SH      SHARED  8, 10                  19,590           0
                                                        70,533   1,461,833 SH      OTHER   10                  1,460,833       1,000
                                                           743      15,400 SH      OTHER   7, 10                  15,400           0
                                                           994      20,600 SH      OTHER   8, 10                  20,600           0
AUTOWEB.COM INC            COM        053331104             98      13,700 SH      SHARED  4, 10                  13,700           0
AUTOZONE INC               COM        053332102            416      15,000 SH      SHARED  10                     15,000           0
AVANT! CORPORATION         COM        053487104          1,055      84,400 SH      SHARED  4, 10                  84,400           0
AVENTIS                    SPONSORED  053561106            111       2,047 SH      SHARED  10                      2,047           0
                                                           100       1,855 SH      OTHER   10                      1,855           0
AVERY DENNISON CORPORATIO  COM        053611109             52         850 SH      SHARED  10                        850           0
                                                           147       2,400 SH      SHARED  8, 10                   2,400           0
                                                           547       8,960 SH      OTHER   10                      8,960           0
AVIATION SALES COMPANY     COM        053672101            315      48,000 SH      SHARED  4, 10                  48,000           0
AVISTA CORP                COMMON     05379B107             16         400 SH      SHARED  10                        400           0
                                                         2,437      59,800 SH      SHARED  4, 10                  59,800           0
                                                           163       4,000 SH      OTHER   10                      4,000           0
AVNET INC                  COM        053807103          1,044      16,573 SH      SHARED  10                     16,373         200
                                                         2,138      33,942 SH      OTHER   10                     33,942           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            50         800 SH      OTHER   7, 10                     800           0
AVON PRODS INC             COM        054303102            158       5,400 SH      SHARED  10                      5,400           0
                                                        10,583     361,800 SH      SHARED  4, 10                 361,800           0
                                                         2,992     102,280 SH      OTHER   10                    102,280           0
AWARE INC MASS             COM        05453N100             40       1,000 SH      SHARED  10                      1,000           0
                                                           165       4,100 SH      OTHER   10                      4,100           0
AZTAR CORP                 COM        054802103            285      30,000 SH      SHARED  10                     30,000           0
AZTEC ENERGY CORP UTAH     COM INC BA 054805106              0          68 SH      SHARED  10                         68           0
BCE INC                    COM        05534B109          2,835      22,600 SH      SHARED  10                     22,600           0
                                                           188       1,500 SH      SHARED  4, 10                   1,500           0
BJ'S WHOLESALE CLUB INC    COM        05548J106          4,831     125,900 SH      SHARED  4, 10                 125,900           0
                                                            15         390 SH      OTHER   10                        390           0
BJ SERVICES CO             COM        055482103            111       1,500 SH      SHARED  10                      1,500           0
                                                        10,328     139,800 SH      SHARED  4, 10                 139,800           0
                                                            28         385 SH      OTHER   10                        385           0
BP AMOCO PLC               SPONSORDD  055622104         27,164     510,123 SH      SHARED  10                    506,597       3,526
                                                         2,723      51,136 SH      SHARED  7, 10                  51,136           0
                                                           802      15,056 SH      SHARED  8, 10                  15,056           0
                                                        44,009     826,457 SH      OTHER   10                    824,237       2,220
                                                         1,548      29,066 SH      OTHER   7, 10                  29,066           0
                                                           957      17,980 SH      OTHER   8, 10                  17,980           0
BSB BANCORP INC            COM        055652101            263      12,600 SH      SHARED  4, 10                  12,600           0
BMC SOFTWARE INC           COM        055921100            480       9,718 SH      SHARED  10                      9,718           0
                                                         1,234      25,000 SH      SHARED  4, 10                  25,000           0
                                                            89       1,800 SH      OTHER   10                      1,800           0
BACOU USA INC              COM        056439102            375      24,000 SH      SHARED  4, 10                  24,000           0
BAKER HUGHES INC           COM        057224107            255       8,415 SH      SHARED  10                      8,415           0
                                                         2,435      80,500 SH      SHARED  4, 10                  80,500           0
                                                            12         400 SH      OTHER   10                        400           0
BALL CORP                  COM        058498106            259       7,500 SH      SHARED  4, 10                   7,500           0
BANCWEST CORPORATION       COMMON     059790105             34       1,700 SH      SHARED  10                      1,700           0
                                                         1,386      70,200 SH      SHARED  4, 10                  70,200           0
                                                           408      20,664 SH      OTHER   10                     20,664           0
BANDAG INC                 COM        059815100          3,517     152,900 SH      SHARED  4, 10                 152,900           0
                                                             3         150 SH      OTHER   10                        150           0
BANK OF AMERICA CORPORATI  COMMON     060505104         21,370     407,534 SH      SHARED  10                    401,494       6,040
                                                            37         700 SH      SHARED  2, 10                     700           0
                                                            31         591 SH      SHARED  3, 10                     591           0
                                                        50,814     969,035 SH      SHARED  4, 10                 969,035           0
                                                           200       3,813 SH      SHARED  7, 10                   3,813           0
                                                            37         699 SH      SHARED  8, 10                     699           0
                                                        37,724     719,402 SH      OTHER   10                    718,350       1,052
                                                           230       4,392 SH      OTHER   7, 10                   4,392           0
                                                           476       9,078 SH      OTHER   8, 10                   9,078           0
BANK OF NEW YORK CO INC    COM        064057102          7,836     188,524 SH      SHARED  10                    187,624         900
                                                           931      22,408 SH      SHARED  2, 10                  22,408           0
                                                            71       1,712 SH      SHARED  3, 10                   1,712           0
                                                            12         300 SH      SHARED  7, 10                     300           0
                                                           702      16,900 SH      SHARED  8, 10                  16,900           0
                                                         3,579      86,120 SH      OTHER   10                     86,120           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            50       1,200 SH      OTHER   7, 10                   1,200           0
                                                            33         800 SH      OTHER   8, 10                     800           0
BANK ONE CORP              COMMON     06423A103          6,101     177,019 SH      SHARED  10                    163,094      13,925
                                                            64       1,843 SH      SHARED  2, 10                   1,843           0
                                                            52       1,521 SH      SHARED  3, 10                   1,521           0
                                                        37,355   1,082,750 SH      SHARED  4, 10               1,082,750           0
                                                           578      16,758 SH      SHARED  7, 10                  16,758           0
                                                           384      11,136 SH      SHARED  8, 10                  11,136           0
                                                         3,563     103,277 SH      OTHER   10                    103,277           0
                                                         1,003      29,074 SH      OTHER   7, 10                  29,074           0
                                                           199       5,768 SH      OTHER   8, 10                   5,768           0
BANKNORTH GROUP INC DEL    COM        06646L100            959      35,766 SH      SHARED  4, 10                  35,766           0
BANTA CORP                 COM        066821109          3,897     212,100 SH      SHARED  4, 10                 212,100           0
BARD C R INC N J           COM        067383109            485      12,525 SH      SHARED  10                      8,900       3,625
                                                         6,240     161,300 SH      SHARED  4, 10                 161,300           0
                                                            70       1,800 SH      SHARED  7, 10                   1,800           0
                                                           116       3,000 SH      OTHER   10                      3,000           0
BARNES & NOBLE INC         COM        067774109            317      13,800 SH      SHARED  10                     13,800           0
                                                         2,494     106,400 SH      SHARED  4, 10                 106,400           0
BARRICK GOLD CORP          COM        067901108            628      40,000 SH      SHARED  10                     40,000           0
                                                         1,784     113,700 SH      SHARED  4, 10                 113,700           0
BARR LABS                  COM        068306109            769      18,300 SH      SHARED  4, 10                  18,300           0
BARRA INC                  COM        068313105          1,037      30,600 SH      SHARED  4, 10                  30,600           0
BAUSCH & LOMB INC          COM        071707103              4          80 SH      SHARED  10                         80           0
                                                         3,471      66,500 SH      SHARED  4, 10                  66,500           0
                                                           141       2,700 SH      OTHER   10                      2,700           0
BAXTER INTL INC            COM        071813109          2,793      44,551 SH      SHARED  10                     44,151         400
                                                        16,318     260,300 SH      SHARED  4, 10                 260,300           0
                                                            38         600 SH      SHARED  8, 10                     600           0
                                                         2,802      44,697 SH      OTHER   10                     44,697           0
                                                           234       3,725 SH      OTHER   8, 10                   3,725           0
BEA SYSTEMS INC            COM        073325102             28         382 SH      SHARED  10                        382           0
                                                           983      13,400 SH      SHARED  4, 10                  13,400           0
                                                           274       3,730 SH      OTHER   10                      3,730           0
BEAR STEARNS COS INC       COM        073902108            418       9,156 SH      SHARED  10                      9,156           0
                                                            78       1,717 SH      SHARED  4, 10                   1,717           0
BEBE STORES INC            COMMON     075571109            562      44,500 SH      SHARED  4, 10                  44,500           0
BECTON DICKINSON & CO      COM        075887109            124       4,700 SH      SHARED  10                      4,700           0
                                                           232       8,820 SH      SHARED  2, 10                   8,820           0
                                                        11,409     433,600 SH      SHARED  4, 10                 433,600           0
                                                         1,963      74,600 SH      OTHER   10                     74,600           0
BEDFORD PROPERTY INVESTOR  COM        076446301            190      11,800 SH      SHARED  4, 10                  11,800           0
BELDEN INC                 COM        077459105          1,570      57,100 SH      SHARED  4, 10                  57,100           0
BELL ATLANTIC CORP         COM        077853109         13,431     219,735 SH      SHARED  10                    219,043         692
                                                        42,643     697,644 SH      SHARED  4, 10                 697,644           0
                                                           581       9,500 SH      SHARED  7, 10                   9,500           0
                                                           430       7,034 SH      SHARED  8, 10                   7,034           0
                                                        19,461     318,374 SH      OTHER   10                    318,374           0
                                                           189       3,088 SH      OTHER   7, 10                   3,088           0
                                                           346       5,658 SH      OTHER   8, 10                   5,658           0
</TABLE>





<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
BELLSOUTH CORP             COM        079860102         20,684     441,203 SH      SHARED  10                    439,935       1,268
                                                           844      18,000 SH      SHARED  2, 10                  18,000           0
                                                        53,803   1,147,800 SH      SHARED  4, 10               1,147,800           0
                                                         6,835     145,812 SH      SHARED  7, 10                 145,812           0
                                                           556      11,864 SH      SHARED  8, 10                  11,864           0
                                                        25,856     551,603 SH      OTHER   10                    551,603           0
                                                         4,741     101,132 SH      OTHER   7, 10                 101,132           0
                                                            64       1,372 SH      OTHER   8, 10                   1,372           0
BELO A H CORP              SER A COM  080555105          3,117     174,400 SH      SHARED  4, 10                 174,400           0
                                                            34       1,890 SH      OTHER   10                      1,890           0
BENCHMARK ELECTRS INC      COM        08160H101          1,928      52,100 SH      SHARED  4, 10                  52,100           0
BERGEN BRUNSWIG CORP       CL A       083739102            125      18,500 SH      SHARED  10                     18,500           0
                                                           105      15,594 SH      OTHER   10                     15,594           0
BERKSHIRE HATHAWAY INC DE  CLASS A    084670108             57           1 SH      SHARED  8, 10                       1           0
                                                           458           8 SH      OTHER   10                          8           0
                                                           343           6 SH      OTHER   7, 10                       6           0
BERKSHIRE HATHAWAY INC DE  CL B       084670207          4,630       2,544 SH      SHARED  10                      2,490          54
                                                            38          21 SH      SHARED  7, 10                      21           0
                                                            49          27 SH      SHARED  8, 10                      27           0
                                                         9,872       5,424 SH      OTHER   10                      5,424           0
                                                           126          69 SH      OTHER   7, 10                      69           0
BERRY PETROLEUM CO         CL A COM   085789105            447      26,000 SH      SHARED  4, 10                  26,000           0
BEST BUY CO INC            COM        086516101            189       2,200 SH      SHARED  10                      2,200           0
                                                         4,739      55,100 SH      SHARED  4, 10                  55,100           0
                                                            37         425 SH      OTHER   10                        425           0
BESTFOODS                  COM        08658U101          9,571     204,452 SH      SHARED  10                    204,452           0
                                                         5,838     124,700 SH      SHARED  4, 10                 124,700           0
                                                         8,108     173,208 SH      OTHER   10                    173,208           0
                                                           454       9,700 SH      OTHER   8, 10                   9,700           0
BIOGEN INC                 COM        090597105          3,739      53,510 SH      SHARED  10                     53,510           0
                                                         2,026      29,000 SH      SHARED  4, 10                  29,000           0
                                                            48         690 SH      SHARED  7, 10                     690           0
                                                         2,880      41,215 SH      OTHER   10                     41,215           0
                                                            51         725 SH      OTHER   7, 10                     725           0
BIOMET INC                 COM        090613100             58       1,600 SH      SHARED  10                      1,600           0
                                                         1,262      34,700 SH      SHARED  4, 10                  34,700           0
                                                           291       8,000 SH      OTHER   10                      8,000           0
BLACK & DECKER CORP        COM        091797100            150       4,000 SH      SHARED  10                      4,000           0
                                                           233       6,200 SH      SHARED  4, 10                   6,200           0
                                                            15         396 SH      OTHER   10                        396           0
BLACK BOX CORP DEL         COM        091826107            602       8,700 SH      SHARED  10                      8,700           0
                                                         1,385      20,000 SH      SHARED  4, 10                  20,000           0
BLACKROCK INCOME TR INC    COM        09247F100             93      15,600 SH      OTHER   10                     15,600           0
BLACKROCK INVT QUALITY TE  COM        09247J102              4         485 SH      SHARED  10                        485           0
                                                         1,790     229,100 SH      SHARED  4, 10                 229,100           0
BLOCK DRUG INC             CL A       093644102            706      25,600 SH      SHARED  4, 10                  25,600           0
BLOCK H & R INC            COM        093671105            553      12,366 SH      SHARED  10                     12,366           0
                                                         7,496     167,500 SH      SHARED  4, 10                 167,500           0
                                                            58       1,300 SH      SHARED  8, 10                   1,300           0
                                                           527      11,766 SH      OTHER   10                     11,766           0
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            11         244 SH      OTHER   8, 10                     244           0
BLYTH INDUSTRIES INC       COM        09643P108          1,224      44,800 SH      SHARED  4, 10                  44,800           0
BOB EVANS FARMS INC        COM        096761101            251      20,100 SH      SHARED  4, 10                  20,100           0
BOEING CO                  COM        097023105          2,339      61,842 SH      SHARED  10                     61,342         500
                                                         6,655     176,000 SH      SHARED  4, 10                 176,000           0
                                                           168       4,450 SH      SHARED  8, 10                   4,450           0
                                                         1,988      52,579 SH      OTHER   10                     52,579           0
                                                           176       4,651 SH      OTHER   8, 10                   4,651           0
BORDERS GROUP INC          COM        099709107              9         550 SH      SHARED  10                        550           0
                                                         2,564     149,200 SH      SHARED  4, 10                 149,200           0
                                                           112       6,500 SH      SHARED  8, 10                   6,500           0
                                                             9         500 SH      OTHER   10                        500           0
                                                            70       4,100 SH      OTHER   8, 10                   4,100           0
BORG WARNER AUTOMOTIVE IN  COM        099724106            898      22,800 SH      SHARED  10                     22,800           0
                                                         2,583      65,600 SH      SHARED  4, 10                  65,600           0
BOSTON SCIENTIFIC CORP     COM        101137107             92       4,300 SH      SHARED  10                      4,300           0
                                                         8,067     378,500 SH      SHARED  4, 10                 378,500           0
                                                            47       2,200 SH      SHARED  8, 10                   2,200           0
                                                           156       7,300 SH      OTHER   10                      7,300           0
BRANDYWINE REALTY TRUST    COM        105368203            536      31,300 SH      SHARED  4, 10                  31,300           0
BRIGGS & STRATTON CORP     COM        109043109             58       1,400 SH      SHARED  10                      1,400           0
                                                         8,990     218,600 SH      SHARED  4, 10                 218,600           0
BRINKER INTL INC           COM        109641100             12         400 SH      SHARED  10                        400           0
                                                         4,029     135,700 SH      SHARED  4, 10                 135,700           0
BRISTOL-MYERS SQUIBB CO    COM        110122108         63,867   1,101,256 SH      SHARED  10                  1,074,806      26,450
                                                        55,106     950,100 SH      SHARED  4, 10                 950,100           0
                                                           835      14,400 SH      SHARED  7, 10                  14,400           0
                                                           931      16,057 SH      SHARED  8, 10                  16,057           0
                                                        74,082   1,277,279 SH      OTHER   10                  1,277,167         112
                                                         1,009      17,398 SH      OTHER   7, 10                  17,398           0
                                                         1,572      27,100 SH      OTHER   8, 10                  27,100           0
BROADCOM CORP              CL A COMMO 111320107            228         940 SH      SHARED  10                        940           0
                                                           138         570 SH      OTHER   10                        570           0
BROADVISION INC            COM        111412102            295       6,580 SH      SHARED  10                      6,580           0
                                                         2,800      62,400 SH      SHARED  4, 10                  62,400           0
                                                           162       3,600 SH      OTHER   10                      3,600           0
BROADWING INC              COMMON     111620100            193       5,200 SH      SHARED  10                      5,200           0
                                                         7,115     191,327 SH      SHARED  4, 10                 191,327           0
BROCADE COMMUNICATIONS SY  COMMON     111621108          1,438       8,020 SH      SHARED  10                      8,020           0
                                                         2,008      11,200 SH      SHARED  4, 10                  11,200           0
                                                           459       2,560 SH      OTHER   10                      2,560           0
BROOKTROUT INC             COMMON     114580103             99       3,400 SH      SHARED  10                          0       3,400
                                                         1,488      51,300 SH      SHARED  4, 10                  51,300           0
                                                            26         900 SH      OTHER   10                        900           0
BROWN SHOE COMPANY INC     COM        115736100          1,039      86,600 SH      SHARED  4, 10                  86,600           0
BRUNSWICK CORP             COM        117043109         11,770     621,500 SH      SHARED  4, 10                 621,500           0
THE BUCKLE INC             COM        118440106            471      29,200 SH      SHARED  4, 10                  29,200           0
BUFFETS INC                COM        119882108             67       7,450 SH      SHARED  10                          0       7,450
                                                         2,461     272,500 SH      SHARED  4, 10                 272,500           0
BUILDING MATERIAL HOLDING  COM        120113105             33       3,613 SH      SHARED  10                      3,613           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           227      25,000 SH      OTHER   10                     25,000           0
BURLINGTON NORTHERN SANTA  COM        12189T104            651      28,794 SH      SHARED  10                     28,794           0
                                                        17,406     765,100 SH      SHARED  4, 10                 765,100           0
                                                            23       1,000 SH      SHARED  7, 10                   1,000           0
                                                           432      18,993 SH      OTHER   10                     18,993           0
                                                            11         492 SH      OTHER   8, 10                     492           0
BURLINGTON RES INC         COM        122014103            229       6,176 SH      SHARED  10                      6,176           0
                                                           174       4,702 SH      OTHER   10                      4,702           0
BURHAM PACIFIC PPTYS INC   COM        12232C108            182      25,700 SH      SHARED  4, 10                  25,700           0
BURR BROWN CORP            COM        122574106          2,037      37,463 SH      SHARED  10                     37,463           0
                                                         2,047      37,650 SH      SHARED  4, 10                  37,650           0
BUTLER MFG CO DEL          COM        123655102            437      17,900 SH      SHARED  4, 10                  17,900           0
C & D TECHNOLOGIES INC     COM        124661109          1,333      22,600 SH      SHARED  4, 10                  22,600           0
CCB FINANCIAL CORP         COM        124875105            443      10,000 SH      SHARED  4, 10                  10,000           0
CB RICHARD ELLIS SERVICES  COMMON     12489L108             22       2,000 SH      SHARED  10                      2,000           0
                                                           743      68,300 SH      SHARED  4, 10                  68,300           0
CBRL GROUP INC             COM        12489V106            181      18,100 SH      SHARED  4, 10                  18,100           0
CBS CORPORATION            COM        12490K107          6,822     120,477 SH      SHARED  10                    120,477           0
                                                        10,130     178,900 SH      SHARED  4, 10                 178,900           0
                                                           472       8,338 SH      OTHER   10                      8,338           0
                                                           566      10,000 SH      OTHER   8, 10                  10,000           0
C COR ELECTRS INC          COM        125010108            882      18,000 SH      SHARED  10                     18,000           0
                                                           779      15,900 SH      SHARED  4, 10                  15,900           0
C-CUBE MICROSYSTEMS INC    COM        125015107             33         450 SH      SHARED  10                        450           0
                                                         1,143      15,700 SH      SHARED  4, 10                  15,700           0
C D I CORP                 COM        125071100            393      20,700 SH      SHARED  4, 10                  20,700           0
CH ENERGY GROUP INC        COMMON     12541M102              5         150 SH      SHARED  10                        150           0
                                                           210       6,900 SH      SHARED  4, 10                   6,900           0
                                                            12         400 SH      OTHER   10                        400           0
CIGNA CORP                 COM        125509109            310       4,088 SH      SHARED  10                      4,088           0
                                                        10,817     142,800 SH      SHARED  4, 10                 142,800           0
                                                         1,659      21,901 SH      OTHER   10                     21,901           0
                                                            45         600 SH      OTHER   7, 10                     600           0
CKE RESTAURANTS INC        COM        12561E105              4         633 SH      SHARED  10                        633           0
                                                           296      46,400 SH      SHARED  4, 10                  46,400           0
CLECO CORPORATION          COMMON NEW 12561W105            612      18,400 SH      SHARED  4, 10                  18,400           0
                                                            16         474 SH      OTHER   10                        474           0
                                                            76       2,290 SH      OTHER   8, 10                   2,290           0
CMGI INC                   COMMON     125750109            546       4,822 SH      SHARED  10                      4,822           0
                                                         2,838      25,050 SH      OTHER   10                     25,050           0
CNA SURETY CORPORATION     COM        12612L108          1,228      88,100 SH      SHARED  4, 10                  88,100           0
CNF TRANSPORTATION INC     COM        12612W104          5,023     181,000 SH      SHARED  4, 10                 181,000           0
CSG SYSTEMS INTERNATIONAL  COM        126349109             15         300 SH      SHARED  10                        300           0
                                                         2,148      44,000 SH      SHARED  4, 10                  44,000           0
CSX CORP                   COM        126408103            471      20,035 SH      SHARED  10                     20,035           0
                                                         1,899      80,800 SH      SHARED  4, 10                  80,800           0
                                                            45       1,900 SH      SHARED  7, 10                   1,900           0
                                                            61       2,600 SH      SHARED  8, 10                   2,600           0
                                                           143       6,084 SH      OTHER   10                      6,084           0
CTS CORP                   COM        126501105            770      13,500 SH      SHARED  4, 10                  13,500           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
CVS CORPORATION            COM        126650100          1,053      28,030 SH      SHARED  10                     28,030           0
                                                           150       4,000 SH      SHARED  7, 10                   4,000           0
                                                           742      19,764 SH      OTHER   10                     19,764           0
CV THERAPEUTICS INC        COMMON     126667104            502      10,000 SH      SHARED  10                     10,000           0
CABLE & WIRELESS HKT LTD   SPONSORED  126828102            133       5,181 SH      SHARED  10                      5,181           0
                                                           220       8,550 SH      OTHER   10                      8,550           0
CABLE & WIRELESS PUB LTD   SPONSORED  126830207            191       3,418 SH      SHARED  10                      3,418           0
                                                           235       4,200 SH      OTHER   10                      4,200           0
CABLETRON SYS INC          COM        126920107            120       4,100 SH      SHARED  10                      4,100           0
                                                         1,469      50,000 SH      SHARED  4, 10                  50,000           0
CACI INTL INC              CL A COMMO 127190304            665      22,200 SH      SHARED  4, 10                  22,200           0
CADENCE DESIGN SYS INC     COM        127387108              3         155 SH      SHARED  10                        155           0
                                                         1,023      49,600 SH      SHARED  4, 10                  49,600           0
                                                            32       1,542 SH      OTHER   7, 10                   1,542           0
CALIBER LEARNING NETWORK   COM        129914107            116      16,000 SH      SHARED  10                     16,000           0
                                                           532      73,100 SH      OTHER   10                     73,100           0
CALPINE CORPORATION        COM        131347106          7,783      82,800 SH      SHARED  4, 10                  82,800           0
                                                             9         100 SH      OTHER   10                        100           0
CAMBREX CORP               COM        132011107            870      20,000 SH      SHARED  10                     20,000           0
                                                         2,145      49,300 SH      SHARED  4, 10                  49,300           0
CAMBRIDGE TECHNOLOGY PART  COM        132524109            928      68,400 SH      SHARED  4, 10                  68,400           0
                                                             6         450 SH      OTHER   10                        450           0
CAMDEN PPTY TR             SH BEN INT 133131102            709      26,200 SH      SHARED  4, 10                  26,200           0
CAMPBELL SOUP CO           COM        134429109          1,870      60,813 SH      SHARED  10                     60,813           0
                                                           141       4,600 SH      SHARED  7, 10                   4,600           0
                                                           175       5,700 SH      SHARED  8, 10                   5,700           0
                                                         2,012      65,426 SH      OTHER   10                     65,426           0
                                                            49       1,600 SH      OTHER   7, 10                   1,600           0
                                                           120       3,911 SH      OTHER   8, 10                   3,911           0
CANANDAIGUA BRANDS INC     CL B COM   137219200          1,331      26,100 SH      SHARED  4, 10                  26,100           0
CAPITAL AUTOMOTIVE REIT    COM        139733109            355      29,600 SH      SHARED  4, 10                  29,600           0
CAPITA RESEARCH GROUP      COM        139908107            157      96,850 SH      OTHER   10                     96,850           0
CAPITAL ONE FINL CORP      COM        14040H105            132       2,760 SH      SHARED  10                      2,760           0
                                                         4,589      95,719 SH      OTHER   10                     95,719           0
CARAUSTAR INDUSTRIES INC   COM        140909102            674      47,700 SH      SHARED  4, 10                  47,700           0
CARDINAL HEALTH INC        COM        14149Y108            312       6,808 SH      SHARED  10                      6,808           0
                                                        15,231     332,000 SH      SHARED  4, 10                 332,000           0
                                                           261       5,700 SH      SHARED  7, 10                   5,700           0
                                                           362       7,899 SH      OTHER   10                      7,899           0
                                                            28         600 SH      OTHER   7, 10                     600           0
                                                            11         248 SH      OTHER   8, 10                     248           0
CAREMATRIX CORPORATION     COM        141706101             22      16,400 SH      SHARED  4, 10                  16,400           0
CARESIDE INC               COMMON     141728105            690      62,000 SH      SHARED  10                     62,000           0
CARMIKE CINEMAS INC        CL A       143436103            739     135,900 SH      SHARED  4, 10                 135,900           0
CARNIVAL CORP              COMMON     143658102         10,740     432,831 SH      SHARED  10                    425,431       7,400
                                                           577      23,274 SH      SHARED  7, 10                  23,274           0
                                                           912      36,750 SH      SHARED  8, 10                  36,750           0
                                                         5,823     234,664 SH      OTHER   10                    234,436         228
                                                            72       2,900 SH      OTHER   7, 10                   2,900           0
                                                           955      38,500 SH      OTHER   8, 10                  38,500           0
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
CAROLINA PWR & LT CO       COM        144141108             71       2,180 SH      SHARED  10                      2,180           0
                                                           503      15,500 SH      SHARED  4, 10                  15,500           0
                                                            36       1,100 SH      SHARED  8, 10                   1,100           0
                                                           269       8,287 SH      OTHER   10                      8,287           0
                                                            75       2,323 SH      OTHER   7, 10                   2,323           0
CARRIER ACCESS CORP        COM        144460102          1,028      19,300 SH      SHARED  4, 10                  19,300           0
CASEYS GEN STORES INC      COM        147528103          2,985     274,500 SH      SHARED  4, 10                 274,500           0
CATALINA MKTG CORP         COM        148867104             30         300 SH      SHARED  10                        300           0
                                                           365       3,600 SH      SHARED  4, 10                   3,600           0
                                                           203       2,000 SH      OTHER   10                      2,000           0
CATALYTICA INC             COMMON     148885106            583      40,000 SH      SHARED  4, 10                  40,000           0
CATAPULT COMMUNICATIONS C  COM        149016107            261      25,600 SH      SHARED  4, 10                  25,600           0
CATERPILLAR INC            COM        149123101          7,652     194,019 SH      SHARED  10                    192,719       1,300
                                                         3,084      78,200 SH      SHARED  4, 10                  78,200           0
                                                         8,845     224,282 SH      OTHER   10                    224,282           0
CELESTICA INC              SUB VTG SH 15101Q108            287       5,400 SH      SHARED  10                      5,400           0
CENTENNIAL BANCORP         COMMON     15133T104            483      50,160 SH      SHARED  4, 10                  50,160           0
CENTERPOINT PROPERTIES TR  COM        151895109             18         500 SH      SHARED  10                        500           0
                                                           598      16,400 SH      SHARED  4, 10                  16,400           0
CENTEX CONSTR PRODS INC    COM        15231R109          1,292      49,200 SH      SHARED  4, 10                  49,200           0
CENTEX CORP                COM        152312104            167       7,000 SH      SHARED  10                      7,000           0
                                                            45       1,900 SH      SHARED  4, 10                   1,900           0
                                                            19         780 SH      OTHER   10                        780           0
CENTRAL & SOUTH WEST CORP  COM        152357109            732      42,746 SH      SHARED  10                     42,746           0
                                                         2,213     129,200 SH      SHARED  4, 10                 129,200           0
                                                           292      17,066 SH      OTHER   10                     17,066           0
CENTRAL PARKING CORP       COM        154785109             15         750 SH      SHARED  10                        750           0
                                                           996      49,800 SH      SHARED  4, 10                  49,800           0
CENTURA BANKS INC          COM        15640T100            458      10,000 SH      SHARED  4, 10                  10,000           0
CHAMPION INTL CORP         COM        158525105          1,033      19,400 SH      SHARED  4, 10                  19,400           0
                                                            27         500 SH      OTHER   10                        500           0
CHAMPIONSHIP AUTO RACING   COMMON     158711101          1,234      56,100 SH      SHARED  4, 10                  56,100           0
CHARTER ONE FINANCIAL INC  COM        160903100             55       2,600 SH      SHARED  10                      2,600           0
                                                         4,968     236,565 SH      SHARED  4, 10                 236,565           0
CHART INDUSTRIES INC       COM        16115Q100             38      12,000 SH      SHARED  10                     12,000           0
                                                            32      10,000 SH      OTHER   10                     10,000           0
CHASE MANHATTAN CORP NEW   COM        16161A108         48,998     561,984 SH      SHARED  10                    554,834       7,150
                                                        21,335     244,700 SH      SHARED  4, 10                 244,700           0
                                                           790       9,060 SH      SHARED  7, 10                   9,060           0
                                                           610       7,000 SH      SHARED  8, 10                   7,000           0
                                                        43,076     494,061 SH      OTHER   10                    493,891         170
                                                           630       7,221 SH      OTHER   7, 10                   7,221           0
                                                           541       6,200 SH      OTHER   8, 10                   6,200           0
CHATEAU COMMUNITIES INC    COM        161726104            553      21,700 SH      SHARED  4, 10                  21,700           0
CHATTEM INC                COM        162456107            445      31,500 SH      SHARED  4, 10                  31,500           0
CHEAP TICKETS INC          COMMON     162672109            223      15,800 SH      SHARED  4, 10                  15,800           0
CHECKFREE                  COMMON     162816102             67         950 SH      SHARED  10                        950           0
                                                         1,692      24,000 SH      SHARED  4, 10                  24,000           0
                                                            39         560 SH      OTHER   10                        560           0
CHELSEA GCA RLTY INC       COM        163262108            441      15,200 SH      SHARED  4, 10                  15,200           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
CHESAPEAKE ENERGY CORP     COM        165167107            666     205,000 SH      SHARED  10                    205,000           0
CHEVRON CORP               COM        166751107         13,133     142,079 SH      SHARED  10                    131,149      10,930
                                                        19,856     214,800 SH      SHARED  4, 10                 214,800           0
                                                           797       8,619 SH      SHARED  7, 10                   8,619           0
                                                           102       1,100 SH      SHARED  8, 10                   1,100           0
                                                        18,559     200,769 SH      OTHER   10                    200,769           0
                                                           672       7,272 SH      OTHER   7, 10                   7,272           0
                                                           236       2,550 SH      OTHER   8, 10                   2,550           0
CHICOS FAS INC             COM        168615102            549      32,400 SH      SHARED  4, 10                  32,400           0
                                                            28       1,660 SH      OTHER   10                      1,660           0
THE CHILDRENS PLACE RETAI  COM        168905107            646      45,300 SH      SHARED  4, 10                  45,300           0
CHIRON CORP                COM        170040109          3,217      64,500 SH      SHARED  10                     61,250       3,250
                                                        10,214     204,800 SH      SHARED  4, 10                 204,800           0
                                                            55       1,100 SH      SHARED  7, 10                   1,100           0
                                                         4,736      94,950 SH      OTHER   10                     94,950           0
                                                            75       1,500 SH      OTHER   8, 10                   1,500           0
CHITTENDEN CORP            COM        170228100             37       1,250 SH      SHARED  10                      1,250           0
                                                         1,084      36,500 SH      SHARED  4, 10                  36,500           0
CHRIS CRAFT INDS INC       COM        170520100             93       1,462 SH      SHARED  10                      1,462           0
                                                         3,227      50,676 SH      SHARED  4, 10                  50,676           0
CHUBB CORP                 COM        171232101          6,096      90,229 SH      SHARED  10                     85,229       5,000
                                                        17,283     255,800 SH      SHARED  4, 10                 255,800           0
                                                         1,005      14,878 SH      SHARED  7, 10                  14,878           0
                                                           365       5,400 SH      SHARED  8, 10                   5,400           0
                                                         5,708      84,480 SH      OTHER   10                     84,480           0
                                                         1,676      24,800 SH      OTHER   7, 10                  24,800           0
                                                           162       2,400 SH      OTHER   8, 10                   2,400           0
CHURCH & DWIGHT INC        COM        171340102          3,008     175,000 SH      SHARED  4, 10                 175,000           0
CIBER INC                  COM        17163B102            322      15,700 SH      SHARED  4, 10                  15,700           0
CIENA CORPORATION          COM        171779101             69         550 SH      SHARED  10                        550           0
                                                           814       6,450 SH      OTHER   10                      6,450           0
CINCINNATI FINL CORP       COM        172062101            206       5,478 SH      SHARED  10                      5,478           0
CINERGY CORP               COM        172474108             37       1,727 SH      SHARED  10                      1,727           0
                                                         3,915     182,100 SH      SHARED  4, 10                 182,100           0
                                                           127       5,903 SH      OTHER   10                      5,903           0
CIRCOR INTERNATIONAL INC   COMMON     17273K109            124       9,300 SH      SHARED  10                      9,300           0
                                                           490      36,800 SH      SHARED  4, 10                  36,800           0
CIRCUIT CITY STORES INC-C  COM        172737108            426       7,000 SH      SHARED  10                      7,000           0
                                                           816      13,400 SH      SHARED  4, 10                  13,400           0
CISCO SYS INC              COM        17275R102        249,898   3,232,300 SH      SHARED  10                  3,186,336      45,964
                                                         8,427     109,000 SH      SHARED  2, 10                 109,000           0
                                                         1,376      17,800 SH      SHARED  3, 10                  17,800           0
                                                       158,020   2,043,900 SH      SHARED  4, 10               2,043,900           0
                                                         5,139      66,476 SH      SHARED  7, 10                  66,476           0
                                                        14,458     187,000 SH      SHARED  8, 10                 187,000           0
                                                       263,684   3,410,606 SH      OTHER   10                  3,410,058         548
                                                         2,825      36,544 SH      OTHER   7, 10                  36,544           0
                                                         1,477      19,100 SH      OTHER   8, 10                  19,100           0
CIRRUS LOGIC INC           COM        172755100            849      46,500 SH      SHARED  4, 10                  46,500           0
                                                             9         500 SH      OTHER   10                        500           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
CITADEL COMMUNICATIONS CO  COM        172853202            759      18,000 SH      SHARED  10                     18,000           0
                                                           907      21,500 SH      SHARED  4, 10                  21,500           0
CINTAS                     COM        172908105             24         600 SH      SHARED  10                        600           0
                                                         6,184     157,800 SH      SHARED  4, 10                 157,800           0
CITIGROUP INC              COMMON     172967101         33,159     554,167 SH      SHARED  10                    548,712       5,455
                                                           960      16,028 SH      SHARED  2, 10                  16,028           0
                                                            11         186 SH      SHARED  3, 10                     186           0
                                                        68,243   1,139,750 SH      SHARED  4, 10               1,139,750           0
                                                           190       3,175 SH      SHARED  7, 10                   3,175           0
                                                         1,021      17,059 SH      SHARED  8, 10                  17,059           0
                                                        56,980     951,642 SH      OTHER   10                    951,507         135
                                                           586       9,787 SH      OTHER   7, 10                   9,787           0
                                                           175       2,925 SH      OTHER   8, 10                   2,925           0
CITIZENS BKG CORP MICH     COM        174420109            523      26,841 SH      SHARED  4, 10                  26,841           0
                                                           373      19,150 SH      OTHER   10                     19,150           0
CITIZENS UTILS CO DEL      CL B       177342201            140       8,573 SH      SHARED  10                      8,573           0
                                                           471      28,776 SH      OTHER   10                     28,776           0
CITRIX SYSTEMS INC         COM        177376100            205       3,090 SH      SHARED  10                      3,090           0
                                                            39         590 SH      OTHER   10                        590           0
CITY NATL CORP             COM        178566105          4,248     126,100 SH      SHARED  4, 10                 126,100           0
CLARUS CORPORATION         COMMON     182707109            353       5,000 SH      SHARED  10                      5,000           0
CLEAR CHANNEL COMMUNICATI  COM        184502102         12,165     176,143 SH      SHARED  10                    174,393       1,750
                                                         2,293      33,200 SH      SHARED  4, 10                  33,200           0
                                                            78       1,130 SH      SHARED  7, 10                   1,130           0
                                                             7         105 SH      SHARED  8, 10                     105           0
                                                         5,059      73,257 SH      OTHER   10                     73,137         120
                                                            24         350 SH      OTHER   7, 10                     350           0
                                                             7         100 SH      OTHER   8, 10                     100           0
CLOROX CO                  COM        189054109            424      12,854 SH      SHARED  10                     12,854           0
                                                         1,980      60,000 SH      SHARED  4, 10                  60,000           0
                                                           147       4,450 SH      OTHER   10                      4,450           0
                                                           132       4,000 SH      OTHER   8, 10                   4,000           0
CLOSURE MEDICAL CORPORATI  COM        189093107            656      25,000 SH      SHARED  10                     25,000           0
COASTAL CORP               COM        190441105          1,610      35,004 SH      SHARED  10                     35,004           0
                                                        13,547     294,500 SH      SHARED  4, 10                 294,500           0
                                                           573      12,456 SH      OTHER   10                     12,456           0
COCA COLA CO               COM        191216100         64,773   1,379,970 SH      SHARED  10                  1,361,240      18,730
                                                         7,708     164,224 SH      SHARED  2, 10                 164,224           0
                                                            79       1,673 SH      SHARED  3, 10                   1,673           0
                                                        10,477     223,200 SH      SHARED  4, 10                 223,200           0
                                                         1,342      28,600 SH      SHARED  7, 10                  28,600           0
                                                           755      16,075 SH      SHARED  8, 10                  16,075           0
                                                        75,958   1,618,259 SH      OTHER   10                  1,618,169          90
                                                         1,607      34,233 SH      OTHER   7, 10                  34,233           0
                                                         1,387      29,550 SH      OTHER   8, 10                  29,550           0
COGNEX CORP                COM        192422103          1,085      18,800 SH      SHARED  10                     18,800           0
                                                           415       7,200 SH      SHARED  4, 10                   7,200           0
COHU INC                   COM        192576106          1,217      29,200 SH      SHARED  4, 10                  29,200           0
COLGATE PALMOLIVE CO       COM        194162103          7,776     137,934 SH      SHARED  10                    137,934           0
                                                        32,258     572,204 SH      OTHER   10                    572,204           0
</TABLE>


<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           419       7,432 SH      OTHER   7, 10                   7,432           0
COLLAGENEX PHARMACEUTICAL  COM        19419B100            480      30,000 SH      SHARED  10                     30,000           0
COLONIAL PROPERTIES TR     COM SH BEN 195872106            506      21,300 SH      SHARED  4, 10                  21,300           0
COLUMBIA ENERGY GROUP      COM        197648108            427       7,209 SH      SHARED  10                      7,209           0
                                                         1,703      28,741 SH      OTHER   10                     28,741           0
                                                            36         600 SH      OTHER   7, 10                     600           0
COLUMBIA/HCA HEALTHCARE C  COM        197677107          1,477      58,355 SH      SHARED  10                     58,355           0
                                                           276      10,900 SH      SHARED  4, 10                  10,900           0
                                                           116       4,600 SH      OTHER   10                      4,600           0
COMCAST CORP               CL A SPL C 200300200          1,363      31,430 SH      SHARED  10                     31,430           0
                                                         5,986     138,000 SH      SHARED  4, 10                 138,000           0
                                                           245       5,659 SH      OTHER   10                      5,659           0
COMDISCO INC               COM        200336105            420       9,522 SH      SHARED  10                      9,522           0
                                                         6,094     138,100 SH      SHARED  4, 10                 138,100           0
COMERICA INC               COM        200340107            469      11,200 SH      SHARED  10                     11,200           0
                                                            22         530 SH      OTHER   7, 10                     530           0
COMMERCE GROUP INC MASS    COM        200641108            649      22,000 SH      SHARED  4, 10                  22,000           0
COMMERCIAL ASSETS INC      COMMON     201119104             24       5,000 SH      SHARED  10                      5,000           0
                                                            24       5,000 SH      OTHER   10                      5,000           0
COMMERCIAL INTERTECH CORP  COM        201709102            835      42,400 SH      SHARED  4, 10                  42,400           0
COMMONWEALTH BANCORP INC   COM        20268X102            595      46,900 SH      SHARED  10                     46,900           0
                                                             8         600 SH      OTHER   10                        600           0
COMMONWEALTH INDUSTRIES I  COM        203004106            255      28,100 SH      SHARED  10                     28,100           0
COMMONWEALTH TELEPHONE EN  COM        203349105            432       9,200 SH      SHARED  4, 10                   9,200           0
COMMSCOPE INC              COM        203372107            231       5,050 SH      SHARED  10                          0       5,050
                                                         1,457      31,900 SH      SHARED  4, 10                  31,900           0
CIA ANONIMA TELEF DE VEN   ARD        204421101          3,652     126,471 SH      SHARED  4, 10                 126,471           0
                                                            22         770 SH      OTHER   10                        770           0
COMPANIA CERVECERIAS UNID  SPONSORED  204429104          4,893     196,700 SH      SHARED  4, 10                 196,700           0
COMPANIA TELECOMMUNICACIO  SPONSORED  204449300          7,331     322,257 SH      SHARED  4, 10                 322,257           0
COMPAQ COMPUTER CORP       COM        204493100          3,567     132,299 SH      SHARED  10                    131,899         400
                                                        17,454     646,437 SH      SHARED  4, 10                 646,437           0
                                                            84       3,100 SH      SHARED  7, 10                   3,100           0
                                                           108       4,000 SH      SHARED  8, 10                   4,000           0
                                                         3,751     138,926 SH      OTHER   10                    138,926           0
                                                           162       6,000 SH      OTHER   7, 10                   6,000           0
                                                           108       4,000 SH      OTHER   8, 10                   4,000           0
COMPTRONIX CORP            SER A CONV 20476C205              0           0 SH      SHARED  4, 10                       0           0
COMPUTER ASSOC INTL INC    COM        204912109          1,612      27,234 SH      SHARED  10                     27,234           0
                                                        30,992     523,625 SH      SHARED  4, 10                 523,625           0
                                                           707      11,937 SH      OTHER   10                     11,937           0
COMPUTER SCIENCES CORP     COM        205363104            293       3,701 SH      SHARED  10                      3,701           0
                                                         9,305     117,600 SH      SHARED  4, 10                 117,600           0
                                                           814      10,284 SH      OTHER   10                     10,284           0
COMPUTER TASK GROUP INC    COM        205477102            187      17,000 SH      SHARED  4, 10                  17,000           0
COMPUWARE CORP             COM        205638109          2,321     110,200 SH      SHARED  4, 10                 110,200           0
                                                            51       2,400 SH      OTHER   10                      2,400           0
COMSAT CORP                COM SER 1  20564D107            525      25,444 SH      SHARED  4, 10                  25,444           0
                                                             0          18 SH      OTHER   10                         18           0
COMVERSE TECHNOLOGY INC    COM        205862402            247       1,309 SH      SHARED  10                      1,309           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           109         575 SH      OTHER   10                        575           0
CONAGRA INC                COM        205887102            400      22,058 SH      SHARED  10                     22,058           0
                                                        15,053     830,500 SH      SHARED  4, 10                 830,500           0
                                                           628      34,624 SH      OTHER   10                     34,624           0
CONCENTRIC NETWORK CORP    COM        20589R107            924      16,800 SH      SHARED  4, 10                  16,800           0
CONCORD EFS                COM        206197105            220       9,600 SH      SHARED  10                      9,600           0
                                                         4,519     197,000 SH      SHARED  4, 10                 197,000           0
                                                           217       9,442 SH      OTHER   10                      9,442           0
CONECTIVE INC              COM NEW    206829103            947      54,091 SH      SHARED  10                     52,621       1,470
                                                         3,665     209,400 SH      SHARED  4, 10                 209,400           0
                                                           403      23,043 SH      OTHER   10                     23,043           0
                                                            13         750 SH      OTHER   8, 10                     750           0
CONEXANT SYSTEMS INC       COMMON     207142100          1,596      22,481 SH      SHARED  10                     22,481           0
                                                           350       4,926 SH      OTHER   10                      4,926           0
CONOCO INC                 CL A COM   208251306          1,671      67,852 SH      SHARED  10                     67,852           0
                                                           145       5,900 SH      SHARED  7, 10                   5,900           0
                                                         1,223      49,673 SH      OTHER   10                     49,673           0
CONOCO INC                 CL B COMMO 208251405        114,164   4,455,189 SH      SHARED  10                  4,448,011       7,178
                                                        16,244     633,924 SH      SHARED  2, 10                 633,924           0
                                                         3,647     142,336 SH      SHARED  3, 10                 142,336           0
                                                        22,678     885,000 SH      SHARED  4, 10                 885,000           0
                                                         9,836     383,830 SH      SHARED  7, 10                 383,830           0
                                                         2,679     104,547 SH      SHARED  8, 10                 104,547           0
                                                        78,069   3,046,590 SH      OTHER   10                  3,036,572      10,018
                                                         4,025     157,079 SH      OTHER   7, 10                 157,079           0
                                                         1,250      48,767 SH      OTHER   8, 10                  48,767           0
CONSECO INC                COM        208464107             62       5,380 SH      SHARED  10                      5,380           0
                                                         7,295     637,800 SH      SHARED  4, 10                 637,800           0
                                                         1,281     112,000 SH      OTHER   10                    112,000           0
CONSOL ENERGY INC          COMMON     20854P109          2,593     244,000 SH      SHARED  4, 10                 244,000           0
CONSOLIDATED               COMMON     209115104            259       8,911 SH      SHARED  10                      8,911           0
                                                         2,665      91,500 SH      SHARED  4, 10                  91,500           0
                                                           158       5,418 SH      OTHER   10                      5,418           0
CONSOLIDATED GRAPHICS INC  COM        209341106            415      32,200 SH      SHARED  4, 10                  32,200           0
CONSTELLATION ENERGY CORP  COMMON     210371100            205       6,434 SH      SHARED  10                      6,434           0
                                                            16         500 SH      SHARED  7, 10                     500           0
                                                            51       1,600 SH      SHARED  8, 10                   1,600           0
                                                           208       6,514 SH      OTHER   10                      6,514           0
CONVERGYS CORP             COM        212485106            577      14,925 SH      SHARED  10                      9,600       5,325
                                                         6,167     159,400 SH      SHARED  4, 10                 159,400           0
                                                            19         500 SH      OTHER   10                        500           0
COOPER COS                 COM        216648402          2,070      64,300 SH      SHARED  4, 10                  64,300           0
COOPER INDS INC            COM        216669101            520      14,868 SH      SHARED  10                     14,868           0
                                                         8,936     255,300 SH      SHARED  4, 10                 255,300           0
                                                            12         339 SH      OTHER   10                        339           0
CORDANT TECHNOLOGIES INC   COM        218412104          4,174      73,800 SH      SHARED  4, 10                  73,800           0
CORN PRODUCTS INTERNATION  COM        219023108            307      12,775 SH      SHARED  10                     12,775           0
                                                         2,735     113,650 SH      SHARED  4, 10                 113,650           0
                                                           320      13,309 SH      OTHER   10                     13,309           0
                                                             2         100 SH      OTHER   8, 10                     100           0
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
CORNERSTONE REALTY INCOME  COM        21922V102             86       8,000 SH      SHARED  10                      8,000           0
                                                            35       3,300 SH      OTHER   10                      3,300           0
CORNING INC                COM        219350105         10,183      52,488 SH      SHARED  10                     52,488           0
                                                         9,467      48,800 SH      SHARED  4, 10                  48,800           0
                                                           233       1,200 SH      SHARED  8, 10                   1,200           0
                                                         7,907      40,756 SH      OTHER   10                     40,756           0
                                                         2,134      11,000 SH      OTHER   7, 10                  11,000           0
                                                           155         800 SH      OTHER   8, 10                     800           0
CORUS BANKSHARES INC       COMMON     220873103            846      35,800 SH      SHARED  4, 10                  35,800           0
COST PLUS INC/CALIFORNIA   COM        221485105             74       2,175 SH      SHARED  10                          0       2,175
                                                           852      25,200 SH      SHARED  4, 10                  25,200           0
COSTCO WHOLESALE CORP      COMMON     22160K105          1,758      33,444 SH      SHARED  10                     33,444           0
                                                           111       2,120 SH      OTHER   10                      2,120           0
                                                           105       2,000 SH      OTHER   8, 10                   2,000           0
COUSINS PPTYS INC          COM        222795106            744      20,200 SH      SHARED  4, 10                  20,200           0
COVANCE INC                COM        222816100             50       4,659 SH      SHARED  10                      4,659           0
                                                         3,229     300,400 SH      SHARED  4, 10                 300,400           0
                                                             3         300 SH      SHARED  8, 10                     300           0
                                                            69       6,434 SH      OTHER   10                      6,434           0
COVENANT TRANS INC         CL A       22284P105          1,030      64,900 SH      SHARED  4, 10                  64,900           0
COVOL TECHNOLOGIES INC     COM        223575101            230     131,700 SH      OTHER   10                    131,700           0
COX COMMUNICATIONS INC NE  CL A       224044107            466       9,600 SH      SHARED  10                      9,600           0
CRANE CO                   COM        224399105          2,693     114,300 SH      SHARED  4, 10                 114,300           0
CREDENCE SYS CORP          COM        225302108             88         700 SH      SHARED  10                        700           0
                                                           901       7,200 SH      SHARED  4, 10                   7,200           0
CREDITRUST CORPORATION     COM        225429109             75      25,000 SH      SHARED  4, 10                  25,000           0
CREE INC                   COMMON     225447101            677       6,000 SH      SHARED  4, 10                   6,000           0
CROWN CORK & SEAL INC      COM        228255105         17,387   1,086,700 SH      SHARED  4, 10               1,086,700           0
CRYOLIFE INC               COM        228903100            828      46,000 SH      SHARED  10                     46,000           0
CUMMINS ENGINE INC         COM        231021106         13,177     350,800 SH      SHARED  4, 10                 350,800           0
CUMULUS MEDIA INC          COM        231082108            311      21,600 SH      SHARED  4, 10                  21,600           0
CYBERIAN OUTPOST INC       COM        231914102            128      15,000 SH      SHARED  10                     15,000           0
CYBEX CORP                 COM        232522102            429      11,400 SH      SHARED  4, 10                  11,400           0
CYPRESS SEMICONDUCTOR COR  COM        232806109            123       2,500 SH      SHARED  10                      2,500           0
                                                        11,089     226,300 SH      SHARED  4, 10                 226,300           0
CYSIVE INC                 COMMON     23281T108            356       5,200 SH      SHARED  10                      5,200           0
CYTEC INDS INC             COM        232820100              5         155 SH      SHARED  10                        155           0
                                                         6,312     206,100 SH      SHARED  4, 10                 206,100           0
                                                            27         885 SH      OTHER   10                        885           0
DII GROUP INC              COM        232949107            254       2,250 SH      SHARED  10                          0       2,250
                                                         1,515      13,400 SH      SHARED  4, 10                  13,400           0
                                                            29         260 SH      OTHER   10                        260           0
DLJ HIGH YIELD             BOND FUND  23322Y108            143      18,000 SH      SHARED  10                     18,000           0
DQE INC                    COM        23329J104            237       5,201 SH      SHARED  10                      5,201           0
                                                            20         450 SH      OTHER   10                        450           0
DPL INC                    COM        233293109             31       1,397 SH      SHARED  10                      1,397           0
                                                           387      17,457 SH      SHARED  4, 10                  17,457           0
                                                           154       6,962 SH      OTHER   10                      6,962           0
D R HORTON INC             COM        23331A109          1,093      83,700 SH      SHARED  4, 10                  83,700           0
DST SYSTEMS INC DEL        COM        233326107          3,889      59,900 SH      SHARED  4, 10                  59,900           0
</TABLE>





<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            32         500 SH      OTHER   10                        500           0
DTE ENERGY COMPANY         COM        233331107             88       3,014 SH      SHARED  10                      3,014           0
                                                         3,727     127,700 SH      SHARED  4, 10                 127,700           0
DIV INC                    COMMON     233343102            613      43,000 SH      SHARED  4, 10                  43,000           0
DAIN RAUSCHER CORP         COMMON     233856103          1,207      18,300 SH      SHARED  4, 10                  18,300           0
DALLAS SEMICONDUCT CORP    COM        235204104          3,176      87,000 SH      SHARED  4, 10                  87,000           0
                                                            18         500 SH      OTHER   10                        500           0
DANA CORP                  COM        235811106             13         450 SH      SHARED  10                        450           0
                                                         7,642     271,110 SH      SHARED  4, 10                 271,110           0
                                                           119       4,223 SH      OTHER   10                      4,223           0
DANAHER CORP               COM        235851102            230       4,500 SH      SHARED  10                      4,500           0
DARDEN RESTAURANTS INC     COM        237194105              7         416 SH      SHARED  10                        416           0
                                                         2,278     127,900 SH      SHARED  4, 10                 127,900           0
                                                            12         650 SH      SHARED  8, 10                     650           0
                                                           134       7,500 SH      OTHER   10                      7,500           0
DAWCIN INTERNATIONAL CORP  COM        23922E106              0           4 SH      SHARED  10                          4           0
DEAN FOODS CO              COM        242361103          2,338      87,400 SH      SHARED  4, 10                  87,400           0
DEAN WITTER SELECT EQUITY  UNIT UTILI 24241X270             15      18,169 SH      SHARED  10                     18,169           0
DEAN WITTER SELECT EQUITY  UNIT TELEC 24241X346             43      19,001 SH      SHARED  10                     19,001           0
DEERE & CO                 COM        244199105          1,013      26,663 SH      SHARED  10                     26,663           0
                                                            38       1,000 SH      SHARED  7, 10                   1,000           0
                                                           707      18,600 SH      OTHER   10                     18,600           0
                                                            19         500 SH      OTHER   7, 10                     500           0
                                                            11         300 SH      OTHER   8, 10                     300           0
DELHAIZE AMERICA INC       CL A COM   246688105            598      33,235 SH      SHARED  10                     33,235           0
                                                            12         666 SH      OTHER   8, 10                     666           0
DELL COMPUTER CORP         COM        247025109         27,455     509,017 SH      SHARED  10                    504,117       4,900
                                                           116       2,158 SH      SHARED  2, 10                   2,158           0
                                                            96       1,776 SH      SHARED  3, 10                   1,776           0
                                                        33,765     626,000 SH      SHARED  4, 10                 626,000           0
                                                           636      11,800 SH      SHARED  7, 10                  11,800           0
                                                           276       5,120 SH      SHARED  8, 10                   5,120           0
                                                        17,751     329,110 SH      OTHER   10                    329,110           0
                                                           313       5,800 SH      OTHER   7, 10                   5,800           0
                                                           469       8,700 SH      OTHER   8, 10                   8,700           0
DELPHI AUTOMOTIVE SYSTEMS  COM        247126105          3,210     200,652 SH      SHARED  10                    200,093         559
                                                           189      11,825 SH      SHARED  2, 10                  11,825           0
                                                         1,747     109,157 SH      SHARED  4, 10                 109,157           0
                                                             1          69 SH      SHARED  7, 10                      69           0
                                                            76       4,749 SH      SHARED  8, 10                   4,749           0
                                                         1,346      84,143 SH      OTHER   10                     82,920       1,223
                                                             6         374 SH      OTHER   8, 10                     374           0
DELPHI FINL GROUP INC      CL A COM   247131105            158       5,202 SH      SHARED  10                      5,202           0
                                                           672      22,134 SH      SHARED  4, 10                  22,134           0
DELTA & PINE LAND CO       COM        247357106            385      19,500 SH      SHARED  10                     19,500           0
DELTA AIR LINES INC DEL    COM        247361108            135       2,538 SH      SHARED  10                      2,538           0
                                                        18,291     343,500 SH      SHARED  4, 10                 343,500           0
                                                           643      12,084 SH      OTHER   10                     12,084           0
                                                            67       1,250 SH      OTHER   7, 10                   1,250           0
DELUXE CORP                COM        248019101          2,080      78,500 SH      SHARED  4, 10                  78,500           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
DENTSPLY INTERNATIONAL IN  NEW COM    249030107              6         200 SH      SHARED  10                        200           0
                                                         3,547     125,000 SH      SHARED  4, 10                 125,000           0
DEPARTMENT 56 INC          COM        249509100            638      43,100 SH      SHARED  4, 10                  43,100           0
DETROIT DIESEL CORP        COM        250837101          1,163      60,800 SH      SHARED  4, 10                  60,800           0
DEVELOPERS DIVERSIFIED RE  COM        251591103            440      31,700 SH      SHARED  10                     31,700           0
                                                           347      25,000 SH      SHARED  4, 10                  25,000           0
DEVON ENERGY CORPORATION   COM        25179M103            728      15,000 SH      SHARED  10                     15,000           0
                                                         5,089     104,800 SH      SHARED  4, 10                 104,800           0
                                                             4          89 SH      OTHER   10                         89           0
DIAGNOSTIC PRODS CORP      COM        252450101            704      28,800 SH      SHARED  4, 10                  28,800           0
DIAL CORP NEW              COM        25247D101            142      10,318 SH      SHARED  10                     10,318           0
                                                             6         400 SH      SHARED  8, 10                     400           0
                                                           333      24,228 SH      OTHER   10                     24,228           0
                                                             4         300 SH      OTHER   8, 10                     300           0
DIAMOND TECHNOLOGY PARTNE  CL A COM   252762109            522       7,940 SH      SHARED  10                      7,940           0
                                                           480       7,300 SH      SHARED  4, 10                   7,300           0
DIEBOLD INC                COM        253651103             98       3,550 SH      SHARED  10                      3,550           0
                                                         3,971     144,400 SH      SHARED  4, 10                 144,400           0
                                                            28       1,000 SH      OTHER   10                      1,000           0
DIGITAL ISLAND INC         COMMON     25385N101            609      10,000 SH      SHARED  10                     10,000           0
DIGITAL LIGHTWAVE INC      COM        253855100             62       1,000 SH      SHARED  10                      1,000           0
                                                           187       3,000 SH      OTHER   10                      3,000           0
DIGITAL MICROWAVE CORP     COM        253859102            246       7,250 SH      SHARED  10                      7,250           0
DIME COMMUNITY BANCORP IN  COM        253922108            405      25,600 SH      SHARED  4, 10                  25,600           0
DILLARDS INC               CL A COM   254067101         10,537     641,000 SH      SHARED  4, 10                 641,000           0
DIME BANCORP INC NEW       COM        25429Q102            204      11,000 SH      SHARED  10                     11,000           0
                                                         9,363     506,100 SH      SHARED  4, 10                 506,100           0
DISNEY WALT CO             COM        254687106          4,168     100,978 SH      SHARED  10                    100,378         600
                                                        24,140     585,200 SH      SHARED  4, 10                 585,200           0
                                                            87       2,100 SH      SHARED  7, 10                   2,100           0
                                                           858      20,801 SH      SHARED  8, 10                  20,801           0
                                                        10,524     255,124 SH      OTHER   10                    255,124           0
                                                           627      15,200 SH      OTHER   7, 10                  15,200           0
                                                             8         200 SH      OTHER   8, 10                     200           0
DITECH COMMUNICATIONS COR  COM        25500M103          2,270      21,400 SH      SHARED  4, 10                  21,400           0
                                                           212       2,000 SH      OTHER   10                      2,000           0
DOLLAR GEN CORP            COM        256669102          1,192      44,366 SH      SHARED  10                     44,366           0
                                                           156       5,800 SH      SHARED  7, 10                   5,800           0
                                                           321      11,943 SH      OTHER   10                     11,943           0
DOLLAR THRIFTY AUTOMOTIVE  COM        256743105            492      28,600 SH      SHARED  4, 10                  28,600           0
DOMINION RESOURCES INC VA  COMMON     25746U109          1,769      46,015 SH      SHARED  10                     46,015           0
                                                            25         656 SH      SHARED  7, 10                     656           0
                                                            21         544 SH      SHARED  8, 10                     544           0
                                                         2,681      69,742 SH      OTHER   10                     69,742           0
                                                           247       6,415 SH      OTHER   7, 10                   6,415           0
                                                            66       1,724 SH      OTHER   8, 10                   1,724           0
DONNELLEY R R & SONS CO    COM        257867101            383      18,300 SH      SHARED  10                     18,300           0
                                                            63       3,000 SH      SHARED  4, 10                   3,000           0
                                                             6         300 SH      SHARED  8, 10                     300           0
                                                         1,612      76,994 SH      OTHER   10                     76,994           0
</TABLE>


<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            31       1,500 SH      OTHER   7, 10                   1,500           0
                                                            48       2,284 SH      OTHER   8, 10                   2,284           0
DOUBLECLICK INC            COM        258609304            159       1,700 SH      SHARED  10                      1,700           0
                                                           144       1,540 SH      OTHER   10                      1,540           0
DOVER CORP                 COM        260003108         18,888     394,520 SH      SHARED  10                    382,220      12,300
                                                         2,269      47,400 SH      SHARED  7, 10                  47,400           0
                                                           182       3,800 SH      SHARED  8, 10                   3,800           0
                                                        27,673     578,035 SH      OTHER   10                    578,035           0
                                                           235       4,900 SH      OTHER   7, 10                   4,900           0
DOW CHEM CO                COM        260543103          7,317      64,184 SH      SHARED  10                     64,087          97
                                                        12,551     110,100 SH      SHARED  4, 10                 110,100           0
                                                           382       3,350 SH      SHARED  7, 10                   3,350           0
                                                           832       7,300 SH      SHARED  8, 10                   7,300           0
                                                         1,577      13,837 SH      OTHER   10                     13,837           0
                                                           312       2,733 SH      OTHER   7, 10                   2,733           0
                                                            56         490 SH      OTHER   8, 10                     490           0
DOW JONES & CO INC         COM        260561105            106       1,475 SH      SHARED  10                      1,475           0
                                                           266       3,700 SH      OTHER   10                      3,700           0
DOWNEY FINANCIAL CORP      COMMON     261018105            865      40,700 SH      SHARED  4, 10                  40,700           0
DRESS BARN INC             COM        261570105            566      29,400 SH      SHARED  4, 10                  29,400           0
DU PONT E I DE NEMOURS &   COM        263534109      1,048,145  19,799,498 SH      SHARED  10                 19,775,784      23,714
                                                        87,733   1,657,284 SH      SHARED  2, 10               1,657,284           0
                                                        27,568     520,751 SH      SHARED  3, 10                 520,751           0
                                                       528,026   9,974,422 SH      SHARED  4, 10               9,974,422           0
                                                       109,086   2,060,639 SH      SHARED  7, 10               2,060,639           0
                                                         8,146     153,874 SH      SHARED  8, 10                 153,874           0
                                                       950,353  17,952,203 SH      OTHER   10                 17,904,761      47,442
                                                        61,321   1,158,349 SH      OTHER   7, 10               1,158,349           0
                                                         2,364      44,647 SH      OTHER   8, 10                  44,647           0
DUKE ENERGY CORP           COM        264399106          3,416      65,063 SH      SHARED  10                     65,063           0
                                                         1,175      22,389 SH      SHARED  4, 10                  22,389           0
                                                            68       1,300 SH      SHARED  7, 10                   1,300           0
                                                            53       1,000 SH      SHARED  8, 10                   1,000           0
                                                         3,013      57,384 SH      OTHER   10                     57,384           0
                                                            87       1,652 SH      OTHER   7, 10                   1,652           0
                                                           200       3,800 SH      OTHER   8, 10                   3,800           0
DUKE-WEEKS REALTY CORP     COM NEW    264411505          5,821     304,386 SH      SHARED  10                    297,886       6,500
                                                           150       7,837 SH      SHARED  2, 10                   7,837           0
                                                            53       2,785 SH      SHARED  3, 10                   2,785           0
                                                            48       2,500 SH      SHARED  7, 10                   2,500           0
                                                            38       2,000 SH      SHARED  8, 10                   2,000           0
                                                           830      43,400 SH      OTHER   10                     43,400           0
                                                            84       4,400 SH      OTHER   8, 10                   4,400           0
DUN & BRADSTREET CORP DEL  COMMON NEW 26483B106            126       4,405 SH      SHARED  10                      4,405           0
                                                         9,489     331,500 SH      SHARED  4, 10                 331,500           0
                                                            43       1,500 SH      SHARED  7, 10                   1,500           0
                                                           311      10,878 SH      OTHER   10                     10,878           0
                                                            29       1,000 SH      OTHER   7, 10                   1,000           0
DYCOM INDS                 COM        267475101          1,148      23,550 SH      SHARED  4, 10                  23,550           0
DYNEGY INC                 CL A COMMO 26816Q101            389       6,200 SH      SHARED  10                      6,200           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                         3,902      62,200 SH      SHARED  4, 10                  62,200           0
E M C CORP MASS            COM        268648102         47,300     375,489 SH      SHARED  10                    368,789       6,700
                                                         4,078      32,368 SH      SHARED  2, 10                  32,368           0
                                                           247       1,963 SH      SHARED  3, 10                   1,963           0
                                                        47,578     377,600 SH      SHARED  4, 10                 377,600           0
                                                         1,843      14,625 SH      SHARED  7, 10                  14,625           0
                                                           261       2,075 SH      SHARED  8, 10                   2,075           0
                                                        45,338     359,822 SH      OTHER   10                    359,582         240
                                                           520       4,125 SH      OTHER   7, 10                   4,125           0
ENSCO INTERNATIONAL INC    COM        26874Q100             43       1,200 SH      SHARED  10                      1,200           0
                                                         9,728     269,300 SH      SHARED  4, 10                 269,300           0
EOG RESOURCES INC          COMMON     26875P101            614      29,000 SH      SHARED  10                     29,000           0
                                                           179       8,450 SH      OTHER   10                      8,450           0
ESS TECHNOLOGY             COM        269151106             98       5,575 SH      SHARED  10                          0       5,575
                                                           849      48,500 SH      SHARED  4, 10                  48,500           0
E.SPIRE COMMUNICATIONS IN  COMMON     269153102            202      28,800 SH      SHARED  4, 10                  28,800           0
ETEC SYSTEMS INC           COM        26922C103          1,044       7,900 SH      SHARED  4, 10                   7,900           0
E*TRADE GROUP INC          COM        269246104              6         200 SH      SHARED  10                        200           0
                                                         5,284     175,400 SH      SHARED  4, 10                 175,400           0
                                                             9         300 SH      OTHER   10                        300           0
EARTHGRAINS COMPANY        COM        270319106            552      37,100 SH      SHARED  10                     37,100           0
                                                           823      55,300 SH      SHARED  4, 10                  55,300           0
                                                             3         220 SH      OTHER   10                        220           0
EARTHWEB INC               COM        27032C108            616      25,000 SH      SHARED  10                     25,000           0
EASTERN ENTERPRISES        COM        27637F100            551       9,200 SH      SHARED  10                      5,500       3,700
                                                         2,066      34,500 SH      SHARED  4, 10                  34,500           0
EASTMAN CHEMICAL CO        COM        277432100            112       2,461 SH      SHARED  10                      2,461           0
                                                            44         969 SH      SHARED  2, 10                     969           0
                                                         3,194      70,200 SH      SHARED  4, 10                  70,200           0
                                                           365       8,033 SH      OTHER   10                      8,033           0
EASTMAN KODAK CO           COM        277461109          1,239      22,824 SH      SHARED  10                     22,824           0
                                                           324       5,958 SH      SHARED  2, 10                   5,958           0
                                                        21,769     400,800 SH      SHARED  4, 10                 400,800           0
                                                         1,858      34,205 SH      OTHER   10                     34,205           0
                                                            27         500 SH      OTHER   7, 10                     500           0
EATON VANCE SERIES TRUST   CAPITAL EX 277919205            557         937 SH      SHARED  10                        937           0
EATON CORP                 COM        278058102            324       4,155 SH      SHARED  10                      4,155           0
                                                        10,600     135,900 SH      SHARED  4, 10                 135,900           0
                                                           187       2,400 SH      OTHER   10                      2,400           0
EBAY INC                   COMMON     278642103            264       1,500 SH      SHARED  10                      1,500           0
ECHOSTAR COMMUNICATIONS C  CL A       278762109            279       3,536 SH      SHARED  10                      3,536           0
                                                           610       7,720 SH      OTHER   10                      7,720           0
ECLIPSYS CORP              COM        278856109          1,095      56,500 SH      SHARED  4, 10                  56,500           0
                                                           189       9,750 SH      OTHER   10                      9,750           0
EDISON INTERNATIONAL       COM        281020107            339      20,442 SH      SHARED  10                     20,442           0
                                                         4,141     250,000 SH      SHARED  4, 10                 250,000           0
                                                            33       2,000 SH      SHARED  8, 10                   2,000           0
                                                           464      28,007 SH      OTHER   10                     28,007           0
                                                            12         700 SH      OTHER   8, 10                     700           0
EDWARDS A G INC            COM        281760108          3,326      83,150 SH      SHARED  10                     83,150           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                         7,988     199,700 SH      SHARED  4, 10                 199,700           0
                                                           164       4,100 SH      SHARED  8, 10                   4,100           0
                                                           632      15,800 SH      OTHER   10                     15,800           0
                                                            90       2,250 SH      OTHER   7, 10                   2,250           0
EFFICIENT NETWORKS INC     COMMON     282056100            413       2,650 SH      SHARED  4, 10                   2,650           0
EL PASO ENERGY CORPORATIO  COMMON     283905107          4,417     109,406 SH      SHARED  10                    107,406       2,000
                                                         4,449     110,200 SH      SHARED  4, 10                 110,200           0
                                                         4,985     123,473 SH      OTHER   10                    123,473           0
ELAN CORP PLC              ADR        284131208            646      13,600 SH      SHARED  10                     13,600           0
                                                           348       7,325 SH      OTHER   10                      7,325           0
ELECTRO SCIENTIFIC INDS    INC        285229100             91       1,575 SH      SHARED  10                          0       1,575
                                                           615      10,600 SH      SHARED  4, 10                  10,600           0
ELECTROGLAS INC            COM        285324109            726      21,200 SH      SHARED  4, 10                  21,200           0
ELECTRONIC DATA SYSTEMS C  COM        285661104          2,360      36,769 SH      SHARED  10                     36,769           0
                                                        26,908     419,200 SH      SHARED  4, 10                 419,200           0
                                                            19         300 SH      SHARED  7, 10                     300           0
                                                           103       1,607 SH      SHARED  8, 10                   1,607           0
                                                         4,004      62,376 SH      OTHER   10                     62,376           0
                                                           270       4,200 SH      OTHER   7, 10                   4,200           0
                                                             5          83 SH      OTHER   8, 10                      83           0
ELECTRONICS BOUTIQUE HOLD  COMMON     286045109            585      30,600 SH      SHARED  4, 10                  30,600           0
ELECTRONICS FOR IMAGING I  COM        286082102            276       4,600 SH      SHARED  10                      4,600           0
                                                            60       1,000 SH      OTHER   10                      1,000           0
ELF AQUITAINE              SPONSORED  286269105            130       1,500 SH      SHARED  10                      1,500           0
                                                           287       3,300 SH      OTHER   10                      3,300           0
EMERSON ELEC CO            COM        291011104         12,033     226,534 SH      SHARED  10                    224,034       2,500
                                                         5,801     109,200 SH      SHARED  4, 10                 109,200           0
                                                         4,784      90,050 SH      SHARED  7, 10                  90,050           0
                                                           595      11,200 SH      SHARED  8, 10                  11,200           0
                                                        23,075     434,353 SH      OTHER   10                    434,353           0
                                                         4,397      82,771 SH      OTHER   7, 10                  82,771           0
                                                           142       2,668 SH      OTHER   8, 10                   2,668           0
EMMIS COMMUNICATIONS       CL A COMMO 291525103          1,070      23,000 SH      SHARED  10                     23,000           0
                                                         1,004      21,600 SH      SHARED  4, 10                  21,600           0
                                                           288       6,200 SH      OTHER   10                      6,200           0
EMULEX CORP NEW            COM        292475209            698       6,400 SH      SHARED  10                      6,400           0
                                                         1,353      12,400 SH      SHARED  4, 10                  12,400           0
                                                           109       1,000 SH      OTHER   10                      1,000           0
ENCOMPASS SERVICES CORP    COMMON     29255U104            347      60,375 SH      SHARED  4, 10                  60,375           0
ENERGEN CORP               COM        29265N108            665      41,700 SH      SHARED  4, 10                  41,700           0
ENERGY EAST CORPORATION    COM        29266M109             20       1,000 SH      SHARED  10                      1,000           0
                                                         4,609     232,600 SH      SHARED  4, 10                 232,600           0
                                                            28       1,400 SH      SHARED  8, 10                   1,400           0
                                                            36       1,832 SH      OTHER   10                      1,832           0
ENERSIS S A                SPONSORED  29274F104          5,949     292,856 SH      SHARED  4, 10                 292,856           0
ENGELHARD CORP             COM        292845104            151      10,000 SH      SHARED  10                     10,000           0
                                                           159      10,540 SH      OTHER   10                     10,540           0
ENHANCE FINANCIAL SERVICE  COM        293310108            726      51,400 SH      SHARED  4, 10                  51,400           0
ENNIS BUSINESS FORMS INC   COM        293389102            152      20,925 SH      OTHER   10                     20,925           0
ENRON CORP                 COM        293561106          9,146     122,154 SH      SHARED  10                    122,154           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                         7,488     100,000 SH      SHARED  4, 10                 100,000           0
                                                           801      10,700 SH      SHARED  7, 10                  10,700           0
                                                         6,281      83,891 SH      OTHER   10                     83,891           0
ENTERCOM COMMUNICATIONS C  CL A COMMO 293639100            311       6,100 SH      SHARED  4, 10                   6,100           0
ENTERGY CORP NEW           COM        29364G103          2,021     100,120 SH      SHARED  10                    100,120           0
                                                           404      20,000 SH      SHARED  4, 10                  20,000           0
                                                             2         100 SH      SHARED  8, 10                     100           0
                                                           123       6,071 SH      OTHER   10                      6,071           0
ENTREMED INC               COM        29382F103            296       5,000 SH      SHARED  10                      5,000           0
ENTRUST TECHNOLOGIES INC   COMMON     293848107            536       6,300 SH      SHARED  4, 10                   6,300           0
                                                            17         200 SH      OTHER   10                        200           0
ENZON INC                  COM        293904108            377      10,000 SH      SHARED  10                     10,000           0
                                                           445      11,800 SH      SHARED  4, 10                  11,800           0
EPCOS AG                   SPONSORED  29410P107            603       4,600 SH      SHARED  10                      4,600           0
ENZO BIOCHEM INC           COM        294100102            473       6,800 SH      SHARED  4, 10                   6,800           0
                                                            70       1,000 SH      OTHER   10                      1,000           0
EPRISE CORP                COMMON     294352109            315      20,000 SH      SHARED  10                     20,000           0
                                                            16       1,000 SH      OTHER   10                      1,000           0
EQUIFAX INC                COM        294429105            550      21,800 SH      SHARED  10                     21,800           0
                                                           389      15,400 SH      OTHER   10                     15,400           0
                                                           101       4,000 SH      OTHER   7, 10                   4,000           0
EQUITABLE RES INC          COM        294549100             54       1,200 SH      SHARED  10                      1,200           0
                                                           381       8,500 SH      SHARED  4, 10                   8,500           0
                                                           181       4,050 SH      SHARED  8, 10                   4,050           0
                                                            45       1,012 SH      OTHER   10                      1,012           0
                                                            47       1,050 SH      OTHER   8, 10                   1,050           0
EQUITY INCOME FD           UNIT 1ST E 294700703          1,150       5,845 SH      SHARED  10                      5,845           0
                                                           260       1,324 SH      OTHER   10                      1,324           0
                                                            83         420 SH      OTHER   8, 10                     420           0
EQUITY INV FUND            UNIT COHEN 294710512             11      15,000 SH      OTHER   10                     15,000           0
ESSEX PROPERTY TRUST INC   COM        297178105            576      16,000 SH      SHARED  4, 10                  16,000           0
ESTERLINE TECHNOLOGIES CO  COM        297425100            835      64,200 SH      SHARED  4, 10                  64,200           0
ETHAN ALLEN INTERIORS INC  COM        297602104          1,378      55,100 SH      SHARED  4, 10                  55,100           0
ETHYL CORP                 COM        297659104             87      28,426 SH      OTHER   10                     28,426           0
ETOYS INC                  COM        297862104          4,422     500,000 SH      SHARED  10                    500,000           0
EXODUS COMMUNICATIONS INC  COM        302088109             65         464 SH      SHARED  10                        464           0
                                                           351       2,500 SH      OTHER   10                      2,500           0
EXXON MOBIL CORPORATION    COMMON     30231G102        167,754   2,152,466 SH      SHARED  10                  2,105,186      47,280
                                                         1,640      21,036 SH      SHARED  2, 10                  21,036           0
                                                            62         793 SH      SHARED  3, 10                     793           0
                                                        96,802   1,242,038 SH      SHARED  4, 10               1,242,038           0
                                                         7,583      97,290 SH      SHARED  7, 10                  97,290           0
                                                         5,266      67,561 SH      SHARED  8, 10                  67,561           0
                                                       205,851   2,641,215 SH      OTHER   10                  2,641,090         125
                                                         8,366     107,347 SH      OTHER   7, 10                 107,347           0
                                                         4,328      55,536 SH      OTHER   8, 10                  55,536           0
FMC CORP                   COM NEW    302491303             57       1,000 SH      SHARED  10                      1,000           0
                                                        17,385     307,700 SH      SHARED  4, 10                 307,700           0
FPL GROUP INC              COM        302571104          3,534      76,731 SH      SHARED  10                     69,731       7,000
                                                         2,206      47,900 SH      SHARED  4, 10                  47,900           0
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           221       4,800 SH      SHARED  7, 10                   4,800           0
                                                           115       2,500 SH      SHARED  8, 10                   2,500           0
                                                         2,385      51,783 SH      OTHER   10                     51,783           0
                                                           267       5,801 SH      OTHER   7, 10                   5,801           0
                                                           265       5,750 SH      OTHER   8, 10                   5,750           0
F Y I INC                  COM        302712104            277      10,200 SH      SHARED  10                     10,200           0
                                                           355      13,100 SH      SHARED  4, 10                  13,100           0
FACTSET RESEARCH SYSTEMS   COM        303075105          2,073      76,600 SH      SHARED  10                     76,600           0
FAIR, ISAAC & CO INC       COM        303250104          1,396      35,900 SH      SHARED  4, 10                  35,900           0
FAMILY DLR STORES INC      COM        307000109          5,442     261,455 SH      SHARED  10                    257,055       4,400
                                                            57       2,726 SH      SHARED  2, 10                   2,726           0
                                                            48       2,306 SH      SHARED  3, 10                   2,306           0
                                                            73       3,500 SH      SHARED  7, 10                   3,500           0
                                                           218      10,463 SH      OTHER   10                     10,463           0
FEDERAL HOME LN MTG CORP   VTG COM    313400301          4,358      98,624 SH      SHARED  10                     94,624       4,000
                                                         6,042     136,730 SH      OTHER   10                    136,730           0
FEDERAL MOGUL CORP         COM        313549107          1,457      87,300 SH      SHARED  4, 10                  87,300           0
FANNIE MAE                 COM        313586109         15,467     273,467 SH      SHARED  10                    272,867         600
                                                            59       1,047 SH      SHARED  2, 10                   1,047           0
                                                            49         861 SH      SHARED  3, 10                     861           0
                                                        33,621     594,400 SH      SHARED  4, 10                 594,400           0
                                                           136       2,400 SH      SHARED  7, 10                   2,400           0
                                                           659      11,650 SH      SHARED  8, 10                  11,650           0
                                                        23,550     416,342 SH      OTHER   10                    416,342           0
                                                           202       3,565 SH      OTHER   7, 10                   3,565           0
FEDERAL SIGNAL CORP        COM        313855108            281      15,575 SH      SHARED  10                     15,575           0
                                                         2,265     125,400 SH      SHARED  4, 10                 125,400           0
FEDERATED DEPT STORES INC  COM        31410H101            224       5,343 SH      SHARED  10                      5,343           0
                                                        17,213     407,400 SH      SHARED  4, 10                 407,400           0
FEDEX CORPORATION          COMMON     31428X106            267       6,850 SH      SHARED  10                      6,850           0
                                                           903      23,260 SH      SHARED  4, 10                  23,260           0
                                                           109       2,811 SH      OTHER   10                      2,811           0
                                                            16         400 SH      OTHER   8, 10                     400           0
FERRO CORP                 COM        315405100          3,201     179,700 SH      SHARED  4, 10                 179,700           0
                                                           289      16,200 SH      OTHER   10                     16,200           0
FIDELITY NATL FINL INC     COM        316326107          1,106      80,100 SH      SHARED  4, 10                  80,100           0
FIFTH THIRD BANCORP        COM        316773100            176       2,800 SH      SHARED  10                      2,800           0
                                                           922      14,639 SH      OTHER   10                     14,639           0
FILENET CORP               COM        316869106            536      18,000 SH      SHARED  4, 10                  18,000           0
FINOVA GROUP INC           COM        317928109              8         500 SH      SHARED  10                        500           0
                                                         1,823     108,400 SH      SHARED  4, 10                 108,400           0
                                                            14         830 SH      OTHER   10                        830           0
FIRST AMERICAN FINANCIAL   COM        318522307          1,323      94,900 SH      SHARED  4, 10                  94,900           0
FIRST AUSTRALIA PRIME INC  COM        318653102            273      60,700 SH      SHARED  10                     60,700           0
FIRST CONSULTING GROUP     COMMON     31986R103            255      15,700 SH      SHARED  4, 10                  15,700           0
FIRST DATA CORP            COM        319963104          1,284      28,950 SH      SHARED  10                     28,950           0
                                                        15,944     359,300 SH      SHARED  4, 10                 359,300           0
                                                           617      13,900 SH      OTHER   10                     13,900           0
                                                            27         600 SH      OTHER   8, 10                     600           0
FIRST ESSEX BANCORP INC    COM        320103104            451      29,200 SH      SHARED  4, 10                  29,200           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
FIRST INDL REALITY TR INC  COM        32054K103             14         500 SH      SHARED  10                        500           0
                                                           888      32,600 SH      SHARED  4, 10                  32,600           0
                                                            46       1,700 SH      OTHER   10                      1,700           0
FIRST HEALTH               COMMON     320960107          5,123     162,000 SH      SHARED  4, 10                 162,000           0
FIRST SECURITY CORP        COMMON     336294103            718      59,800 SH      SHARED  4, 10                  59,800           0
FIRST UNION CORP           COM        337358105         21,830     586,033 SH      SHARED  10                    583,233       2,800
                                                           596      16,011 SH      SHARED  2, 10                  16,011           0
                                                            58       1,560 SH      SHARED  3, 10                   1,560           0
                                                        46,872   1,258,300 SH      SHARED  4, 10               1,258,300           0
                                                           859      23,049 SH      SHARED  7, 10                  23,049           0
                                                           607      16,300 SH      SHARED  8, 10                  16,300           0
                                                        32,430     870,605 SH      OTHER   10                    869,390       1,215
                                                           851      22,841 SH      OTHER   7, 10                  22,841           0
                                                           752      20,191 SH      OTHER   8, 10                  20,191           0
FIRST UNITED BANCSHARES A  COMMON     33741E104            402      39,200 SH      SHARED  4, 10                  39,200           0
FIRST VA BKS INC           COM        337477103            242       6,445 SH      SHARED  10                      6,445           0
                                                         2,765      73,600 SH      SHARED  4, 10                  73,600           0
                                                            85       2,250 SH      OTHER   10                      2,250           0
FIRST WASHINGTON BANCORP   COM        33748T104            403      22,100 SH      SHARED  4, 10                  22,100           0
FIRSTAR CORP NEW WISCONSI  COMMON     33763V109            380      16,576 SH      SHARED  10                     16,576           0
                                                           134       5,850 SH      OTHER   10                      5,850           0
FISERV INC                 COM        337738108          2,186      58,794 SH      SHARED  10                     58,794           0
                                                         3,648      98,100 SH      SHARED  4, 10                  98,100           0
                                                           309       8,322 SH      OTHER   7, 10                   8,322           0
FIRSTFED FINL CORP         COM        337907109            689      52,000 SH      SHARED  4, 10                  52,000           0
FIRSTMERIT CORP            COM        337915102          2,292     124,300 SH      SHARED  4, 10                 124,300           0
FIRST ENERGY CORP          COM        337932107            143       6,935 SH      SHARED  10                      6,935           0
                                                         3,461     167,800 SH      SHARED  4, 10                 167,800           0
                                                            43       2,062 SH      OTHER   10                      2,062           0
FLEETBOSTON FINANCIAL COR  COMMON     339030108          3,807     104,298 SH      SHARED  10                    100,098       4,200
                                                        34,420     943,015 SH      SHARED  4, 10                 943,015           0
                                                            22         600 SH      SHARED  7, 10                     600           0
                                                           438      12,000 SH      SHARED  8, 10                  12,000           0
                                                         3,998     109,526 SH      OTHER   10                    109,526           0
FLORIDA PROGRESS CORP      COM        341109106             42         905 SH      SHARED  10                        905           0
                                                           151       3,300 SH      SHARED  7, 10                   3,300           0
                                                           356       7,764 SH      OTHER   10                      7,764           0
                                                             7         150 SH      OTHER   7, 10                     150           0
                                                             7         150 SH      OTHER   8, 10                     150           0
FLOWSERVE CORPORATION      COM        34354P105             52       4,016 SH      SHARED  10                          0       4,016
                                                        12,157     944,200 SH      SHARED  4, 10                 944,200           0
                                                           134      10,421 SH      OTHER   10                     10,421           0
FLUOR CORP                 COM        343861100             22         710 SH      SHARED  10                        710           0
                                                         5,385     173,700 SH      SHARED  4, 10                 173,700           0
                                                            87       2,800 SH      OTHER   10                      2,800           0
                                                            16         500 SH      OTHER   7, 10                     500           0
FOMENTO ECONOMICO MEXICAN  SP ADR REP 344419106          8,006     177,900 SH      SHARED  4, 10                 177,900           0
FORD MTR CO DEL            COM        345370100          8,613     187,489 SH      SHARED  10                    184,789       2,700
                                                        27,590     600,600 SH      SHARED  4, 10                 600,600           0
                                                            69       1,500 SH      SHARED  8, 10                   1,500           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                         4,965     108,074 SH      OTHER   10                    108,074           0
                                                            92       2,000 SH      OTHER   7, 10                   2,000           0
                                                            23         500 SH      OTHER   8, 10                     500           0
FOREST LABS                COM        345838106          5,662      67,000 SH      SHARED  4, 10                  67,000           0
FORTUNE BRANDS INC         COMMON     349631101          6,128     245,114 SH      SHARED  10                    244,314         800
                                                           405      16,214 SH      OTHER   10                     16,214           0
                                                            18         700 SH      OTHER   7, 10                     700           0
                                                            13         500 SH      OTHER   8, 10                     500           0
FOSSIL INC                 COM        349882100          1,259      53,700 SH      SHARED  4, 10                  53,700           0
FOSTER WHEELER CORP        COM        350244109              0          10 SH      SHARED  10                         10           0
                                                         1,087     161,000 SH      SHARED  4, 10                 161,000           0
FRIEDE GOLDMAN HALTER INC  COMMON     358430106              0          44 SH      SHARED  10                         44           0
                                                           160      23,200 SH      SHARED  4, 10                  23,200           0
FRONTIER INS GROUP NEW     COM        359081106             53      53,100 SH      SHARED  4, 10                  53,100           0
FULLER H B CO              COM        359694106            739      18,500 SH      SHARED  4, 10                  18,500           0
FURNITURE BRANDS INTERNAT  COM        360921100          4,762     253,100 SH      SHARED  4, 10                 253,100           0
G & K SVCS INC             CL A       361268105            352      18,000 SH      SHARED  4, 10                  18,000           0
GATX CORP                  COM        361448103          8,151     214,500 SH      SHARED  4, 10                 214,500           0
                                                            30         800 SH      OTHER   10                        800           0
GBC BANCORP CALIF          COM        361475106          1,060      45,700 SH      SHARED  4, 10                  45,700           0
GBI INTL INDS INC          COM NEW    361494206              0          10 SH      SHARED  10                         10           0
GPU INC                    COM        36225X100              1          46 SH      SHARED  10                         46           0
                                                        11,615     424,300 SH      SHARED  4, 10                 424,300           0
                                                            33       1,200 SH      OTHER   10                      1,200           0
GTE CORP                   COM        362320103         57,790     813,947 SH      SHARED  10                    793,340      20,607
                                                        54,045     761,200 SH      SHARED  4, 10                 761,200           0
                                                           804      11,318 SH      SHARED  7, 10                  11,318           0
                                                         1,814      25,551 SH      SHARED  8, 10                  25,551           0
                                                        23,840     335,780 SH      OTHER   10                    335,647         133
                                                         1,186      16,711 SH      OTHER   7, 10                  16,711           0
                                                           756      10,650 SH      OTHER   8, 10                  10,650           0
GALLAHER GROUP PLC         SPONSORED  363595109             67       3,423 SH      SHARED  10                      3,423           0
                                                           176       8,961 SH      OTHER   10                      8,961           0
GANNETT INC DEL            COM        364730101         32,653     463,986 SH      SHARED  10                    460,286       3,700
                                                         9,240     131,300 SH      SHARED  4, 10                 131,300           0
                                                           113       1,600 SH      SHARED  7, 10                   1,600           0
                                                           422       6,000 SH      SHARED  8, 10                   6,000           0
                                                        16,703     237,346 SH      OTHER   10                    237,206         140
                                                           950      13,500 SH      OTHER   7, 10                  13,500           0
                                                            70       1,000 SH      OTHER   8, 10                   1,000           0
GAP INC                    COM        364760108          2,994      60,103 SH      SHARED  10                     60,103           0
                                                         4,555      91,450 SH      SHARED  4, 10                  91,450           0
                                                         7,269     145,925 SH      OTHER   10                    145,925           0
                                                           598      12,000 SH      OTHER   8, 10                  12,000           0
GARTNER GROUP INC NEW      CL A COM   366651107            962      61,100 SH      SHARED  4, 10                  61,100           0
GATEWAY INC                COMMON     367626108            345       6,500 SH      SHARED  10                      6,500           0
                                                         8,445     159,200 SH      SHARED  4, 10                 159,200           0
                                                           239       4,500 SH      OTHER   10                      4,500           0
GENCORP INC                COM        368682100            700      90,300 SH      SHARED  4, 10                  90,300           0
GENENTECH INC              COMMON     368710406          3,567      23,465 SH      SHARED  10                     22,665         800
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            15         100 SH      SHARED  8, 10                     100           0
                                                         1,155       7,600 SH      OTHER   10                      7,600           0
GENERAL CABLE CORP         COM        369300108            591      75,700 SH      SHARED  4, 10                  75,700           0
GENERAL ELEC CO            COM        369604103        566,599   3,640,900 SH      SHARED  10                  3,612,280      28,620
                                                        20,684     132,912 SH      SHARED  2, 10                 132,912           0
                                                           155         993 SH      SHARED  3, 10                     993           0
                                                        99,631     640,200 SH      SHARED  4, 10                 640,200           0
                                                        22,390     143,871 SH      SHARED  7, 10                 143,871           0
                                                        24,833     159,567 SH      SHARED  8, 10                 159,567           0
                                                       530,755   3,410,472 SH      OTHER   10                  3,406,202       4,270
                                                        23,344     149,999 SH      OTHER   7, 10                 149,999           0
                                                        11,383      73,146 SH      OTHER   8, 10                  73,146           0
GENERAL MLS INC            COM        370334104          3,223      89,052 SH      SHARED  10                     86,052       3,000
                                                         6,007     166,000 SH      SHARED  4, 10                 166,000           0
                                                            47       1,300 SH      SHARED  8, 10                   1,300           0
                                                         2,334      64,504 SH      OTHER   10                     64,504           0
                                                            22         600 SH      OTHER   8, 10                     600           0
GENERAL MTRS CORP          COM        370442105         25,011     302,021 SH      SHARED  10                    301,076         945
                                                         1,401      16,920 SH      SHARED  2, 10                  16,920           0
                                                        21,689     261,900 SH      SHARED  4, 10                 261,900           0
                                                            91       1,100 SH      SHARED  7, 10                   1,100           0
                                                           563       6,800 SH      SHARED  8, 10                   6,800           0
                                                        12,055     145,572 SH      OTHER   10                    143,822       1,750
                                                           127       1,539 SH      OTHER   8, 10                   1,539           0
GENERAL MTRS CORP          CL H COM N 370442832            609       4,892 SH      SHARED  10                      4,892           0
                                                             6          48 SH      SHARED  2, 10                      48           0
                                                           826       6,636 SH      OTHER   10                      6,636           0
                                                            52         420 SH      OTHER   8, 10                     420           0
GENESCO INC                COM        371532102          1,911     145,600 SH      SHARED  4, 10                 145,600           0
GENTEX CORP                COM        371901109            221       5,960 SH      OTHER   10                      5,960           0
GEON CO                    COM        37246W105          1,114      51,800 SH      SHARED  4, 10                  51,800           0
GENUINE PARTS CO           COM        372460105            502      21,019 SH      SHARED  10                     18,969       2,050
                                                            54       2,250 SH      SHARED  7, 10                   2,250           0
                                                           129       5,412 SH      SHARED  8, 10                   5,412           0
                                                         1,921      80,461 SH      OTHER   10                     80,461           0
                                                           254      10,630 SH      OTHER   7, 10                  10,630           0
                                                            11         450 SH      OTHER   8, 10                     450           0
GENZYME SURGICAL           COM        372917104            664      13,250 SH      SHARED  10                     13,250           0
                                                         4,857      96,900 SH      SHARED  4, 10                  96,900           0
                                                            45         900 SH      SHARED  7, 10                     900           0
                                                           476       9,500 SH      OTHER   10                      9,500           0
GEORGIA GULF CORP          COM PAR $0 373200203          2,639     101,500 SH      SHARED  4, 10                 101,500           0
GEORGIA PACIFIC CORP       COM        373298108            212       5,360 SH      SHARED  10                      5,360           0
                                                        21,352     539,700 SH      SHARED  4, 10                 539,700           0
                                                           178       4,508 SH      OTHER   10                      4,508           0
GEORGIA PACIFIC CORP       COM-TIMBER 373298702             38       1,500 SH      SHARED  10                      1,500           0
                                                         2,765     107,900 SH      SHARED  4, 10                 107,900           0
                                                             7         254 SH      OTHER   10                        254           0
GETTY IMAGES INC           COM        374276103             36       1,000 SH      SHARED  10                      1,000           0
                                                           194       5,400 SH      SHARED  4, 10                   5,400           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
GILEAD SCIENCES INC        COM        375558103             34         530 SH      SHARED  10                        530           0
                                                           558       8,800 SH      SHARED  4, 10                   8,800           0
                                                            63       1,000 SH      OTHER   10                      1,000           0
GILLETTE CO                COM        375766102         14,191     376,544 SH      SHARED  10                    371,344       5,200
                                                         8,544     226,700 SH      SHARED  4, 10                 226,700           0
                                                           140       3,705 SH      SHARED  7, 10                   3,705           0
                                                           247       6,560 SH      SHARED  8, 10                   6,560           0
                                                        16,125     427,843 SH      OTHER   10                    427,606         237
                                                            68       1,800 SH      OTHER   7, 10                   1,800           0
                                                            15         400 SH      OTHER   8, 10                     400           0
GLATFELTER P H CO          COM        377316104          3,369     317,100 SH      SHARED  4, 10                 317,100           0
                                                            70       6,600 SH      OTHER   8, 10                   6,600           0
GLAXO WELLCOME PLC         SPONSORED  37733W105            851      14,850 SH      SHARED  10                     14,850           0
                                                           115       2,000 SH      SHARED  8, 10                   2,000           0
                                                         1,393      24,300 SH      OTHER   10                     24,300           0
                                                            57       1,000 SH      OTHER   8, 10                   1,000           0
GLENBOROUGH REALTY TRUST   COM        37803P105            374      25,800 SH      SHARED  4, 10                  25,800           0
GOLDEN WEST FIN CORP DEL   COM        381317106             75       2,400 SH      SHARED  10                      2,400           0
                                                        12,039     386,000 SH      SHARED  4, 10                 386,000           0
                                                            75       2,400 SH      OTHER   10                      2,400           0
GOLDMAN SACHS GROUP INC    COM        38141G104          1,163      11,050 SH      SHARED  10                     11,050           0
                                                           853       8,100 SH      OTHER   10                      7,800         300
GOODRICH B F CO            COM        382388106            236       8,238 SH      SHARED  10                      8,238           0
                                                             5         180 SH      OTHER   10                        180           0
GOODYEAR TIRE & RUBR CO    COM        382550101            263      11,287 SH      SHARED  10                     11,287           0
                                                            69       2,960 SH      OTHER   10                      2,960           0
GO2NET INC                 COMMON     383486107            713       8,850 SH      SHARED  10                      8,850           0
                                                           806      10,000 SH      SHARED  4, 10                  10,000           0
GOVERNMENT SECS INCOME FD  UNIT GNMA  383743226              1      15,896 SH      SHARED  10                     15,896           0
GOVERNMENT SECS INCOME FD  UNIT MONTH 383743325            214     188,073 SH      SHARED  10                    188,073           0
GOVERNMENT SECS INCOME FD  UNIT GNMA  383743523              1      17,297 SH      SHARED  10                     17,297           0
GOVERNMENT SECS INCOME FD  UNIT GNMA  383743580              1      20,012 SH      SHARED  10                     20,012           0
GRAINGER W W               COM        384802104            234       4,310 SH      SHARED  10                      4,310           0
                                                           163       3,000 SH      SHARED  8, 10                   3,000           0
                                                         1,470      27,100 SH      OTHER   10                     27,100           0
GREAT LAKES CHEM CORP      COM        390568103          1,381      40,620 SH      SHARED  10                     40,620           0
                                                           147       4,322 SH      OTHER   10                      4,322           0
                                                            10         300 SH      OTHER   8, 10                     300           0
GREENPOINT FINANCIAL CORP  COM        395384100          2,104     107,200 SH      SHARED  4, 10                 107,200           0
GRIC COMMUNICATIONS INC    COM        398081109          1,013      30,000 SH      SHARED  10                     30,000           0
GROWTH ENVIRONMENTAL INC   COM        399864206              0           1 SH      SHARED  10                          1           0
GRUPO TELEVISA SA DE CV    SPONSD ADR 40049J206         11,706     172,150 SH      SHARED  4, 10                 172,150           0
GTECH HLDGS CORP           COM        400518106          9,740     524,700 SH      SHARED  4, 10                 524,700           0
GUCCI GROUP N V            NY REG SHR 401566104            213       2,400 SH      SHARED  10                      2,400           0
GUIDANT CORP               COM        401698105          8,413     142,893 SH      SHARED  10                    140,543       2,350
                                                         6,187     105,084 SH      OTHER   10                    105,084           0
GUILFORD PHARMACEUTICALS   COM        401829106            698      30,000 SH      SHARED  10                     30,000           0
HRPT PROPERTIES TRUST      COMMON     40426W101             18       2,100 SH      SHARED  10                      2,100           0
                                                            27       3,100 SH      OTHER   10                      3,100           0
                                                            43       5,000 SH      OTHER   7, 10                   5,000           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
HSB GROUP INC              COM        40428N109         17,294     597,609 SH      SHARED  10                    597,609           0
                                                           226       7,800 SH      OTHER   10                      7,800           0
HSBC HLDGS PLC             SPONSORED  404280406            256       4,200 SH      SHARED  10                      4,200           0
                                                         1,008      16,548 SH      OTHER   10                     16,548           0
HS RES INC                 COM        404297103          1,217      57,600 SH      SHARED  4, 10                  57,600           0
HALLIBURTON CO             COM        406216101         26,728     649,940 SH      SHARED  10                    642,820       7,120
                                                           730      17,750 SH      SHARED  7, 10                  17,750           0
                                                           330       8,030 SH      SHARED  8, 10                   8,030           0
                                                        15,818     384,625 SH      OTHER   10                    384,030         595
                                                           696      16,912 SH      OTHER   7, 10                  16,912           0
                                                            21         500 SH      OTHER   8, 10                     500           0
HAMILTON BANCORP INC       COM        407013101            927      59,300 SH      SHARED  4, 10                  59,300           0
HANDLEMAN CO DEL           COM        410252100            133      15,000 SH      SHARED  10                     15,000           0
HANNA M A CO               COM        410522106            419      37,075 SH      SHARED  10                     37,075           0
                                                             4         370 SH      OTHER   10                        370           0
HARCOURT GENERAL INC       COM        41163G101            224       6,000 SH      SHARED  10                      6,000           0
                                                            37       1,003 SH      OTHER   10                      1,003           0
HARLAND JOHN H CO          COM        412693103            525      38,900 SH      SHARED  4, 10                  38,900           0
HARLEY DAVIDSON INC        COM        412822108            369       4,645 SH      SHARED  10                      4,645           0
                                                         2,032      25,600 SH      OTHER   10                     25,600           0
HARMAN INTL INDS INC       NEW COM    413086109          1,015      16,910 SH      SHARED  10                     16,910           0
HARMONIC LIGHTWAVES INC    COM        413160102            333       4,000 SH      SHARED  10                      4,000           0
HARNISCHFEGER INDS INC     COMMON IN  413345109            189     302,500 SH      SHARED  4, 10                 302,500           0
HARRAHS ENTERTAINMENT INC  COM        413619107             39       2,100 SH      SHARED  10                      2,100           0
                                                         4,206     226,600 SH      SHARED  4, 10                 226,600           0
                                                            43       2,300 SH      OTHER   10                      2,300           0
HARRIS CORP                COM        413875105          1,413      40,878 SH      SHARED  10                     40,878           0
                                                           430      12,450 SH      OTHER   10                     12,450           0
HARSCO CORP                COM        415864107            307      10,600 SH      SHARED  10                     10,600           0
HARTE-HANKS INC            COMMON     416196103          1,488      65,600 SH      SHARED  4, 10                  65,600           0
HARTFORD FINANCIAL SERVIC  COM        416515104            379       7,178 SH      SHARED  10                      7,178           0
                                                         6,119     116,000 SH      SHARED  4, 10                 116,000           0
                                                           358       6,786 SH      OTHER   10                      6,786           0
HASBRO INC                 COM        418056107          2,930     175,600 SH      SHARED  4, 10                 175,600           0
HAVERTY FURNITURE COS INC  COM        419596101          1,225     115,300 SH      SHARED  4, 10                 115,300           0
HEALTH CARE PROPERTIES IN  COM        421915109            661      25,972 SH      SHARED  10                     25,972           0
                                                           392      15,400 SH      SHARED  4, 10                  15,400           0
                                                            97       3,820 SH      OTHER   10                      3,820           0
HEALTHSOUTH CORP           COM        421924101             85      15,000 SH      SHARED  10                     15,000           0
                                                         1,159     203,800 SH      SHARED  4, 10                 203,800           0
                                                            11       2,000 SH      OTHER   10                      2,000           0
HEALTH MANAGEMENT ASSOC I  NEW CL A C 421933102          2,018     141,600 SH      SHARED  4, 10                 141,600           0
HEALTHCARE RLTY TR         COM        421946104            336      20,066 SH      SHARED  4, 10                  20,066           0
HEALTH CARE REIT INC       COM        42217K106            318      22,700 SH      SHARED  4, 10                  22,700           0
HEALTHEXTRAS INC           COMMON     422211102            101      22,500 SH      SHARED  10                     22,500           0
H J HEINZ CO               COM        423074103            961      27,563 SH      SHARED  10                     27,263         300
                                                         8,185     234,700 SH      SHARED  4, 10                 234,700           0
                                                            10         300 SH      SHARED  7, 10                     300           0
                                                           148       4,230 SH      SHARED  8, 10                   4,230           0
                                                         2,753      78,932 SH      OTHER   10                     78,932           0
</TABLE>


<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            28         800 SH      OTHER   7, 10                     800           0
                                                            42       1,200 SH      OTHER   8, 10                   1,200           0
HELLENIC TELECOMMUNICATIO  ADR        423325307            214      14,740 SH      SHARED  10                     14,740           0
HENRY JACK & ASSOC INC     COM        426281101          1,114      30,200 SH      SHARED  4, 10                  30,200           0
HERCULES INC               COM        427056106          3,203     198,645 SH      SHARED  10                    195,945       2,700
                                                         4,936     306,100 SH      SHARED  4, 10                 306,100           0
                                                            35       2,200 SH      SHARED  7, 10                   2,200           0
                                                           277      17,200 SH      SHARED  8, 10                  17,200           0
                                                         2,889     179,137 SH      OTHER   10                    179,137           0
                                                            19       1,200 SH      OTHER   7, 10                   1,200           0
HERSHEY FOODS CORP         COM        427866108          6,303     129,292 SH      SHARED  10                    128,092       1,200
                                                            10         200 SH      SHARED  7, 10                     200           0
                                                           210       4,300 SH      SHARED  8, 10                   4,300           0
                                                         6,021     123,508 SH      OTHER   10                    123,508           0
                                                           244       5,000 SH      OTHER   7, 10                   5,000           0
                                                            51       1,050 SH      OTHER   8, 10                   1,050           0
HEWLETT PACKARD CO         COM        428236103         86,846     653,624 SH      SHARED  10                    630,824      22,800
                                                        52,791     397,300 SH      SHARED  4, 10                 397,300           0
                                                         2,099      15,800 SH      SHARED  7, 10                  15,800           0
                                                           611       4,600 SH      SHARED  8, 10                   4,600           0
                                                        66,160     497,911 SH      OTHER   10                    497,911           0
                                                         4,659      35,065 SH      OTHER   7, 10                  35,065           0
                                                           751       5,650 SH      OTHER   8, 10                   5,650           0
HIBBETT SPORTING GOODS IN  COM        428565105          1,542      75,000 SH      SHARED  10                     75,000           0
HIBERNIA CORP              CL A       428656102          4,492     427,800 SH      SHARED  4, 10                 427,800           0
                                                             4         400 SH      OTHER   10                        400           0
HISPANIC BROADCASTING INC  COMMON     43357B104          1,359      12,000 SH      SHARED  10                     12,000           0
                                                         1,280      11,300 SH      OTHER   10                     11,300           0
HOME DEPOT INC             COM        437076102         70,776   1,097,308 SH      SHARED  10                  1,084,603      12,705
                                                         1,755      27,209 SH      SHARED  2, 10                  27,209           0
                                                           134       2,082 SH      SHARED  3, 10                   2,082           0
                                                        23,233     360,200 SH      SHARED  4, 10                 360,200           0
                                                         8,124     125,953 SH      SHARED  7, 10                 125,953           0
                                                         3,023      46,869 SH      SHARED  8, 10                  46,869           0
                                                        62,540     969,618 SH      OTHER   10                    968,993         625
                                                         5,131      79,550 SH      OTHER   7, 10                  79,550           0
                                                         1,206      18,700 SH      OTHER   8, 10                  18,700           0
HOME PPTYS N Y INC         COM        437306103            500      18,700 SH      SHARED  4, 10                  18,700           0
HOMESTORE.COM INC          COM        437852106            746      15,300 SH      SHARED  10                     15,300           0
HONEYWELL INC              COM        438506107            776      14,736 SH      SHARED  10                     14,736           0
HONEYWELL INTERNATIONAL I  COM        438516106         40,092     760,929 SH      SHARED  10                    749,880      11,049
                                                            64       1,209 SH      SHARED  2, 10                   1,209           0
                                                            52         995 SH      SHARED  3, 10                     995           0
                                                         1,042      19,778 SH      SHARED  7, 10                  19,778           0
                                                           533      10,110 SH      SHARED  8, 10                  10,110           0
                                                        30,239     573,923 SH      OTHER   10                    573,737         186
                                                           237       4,500 SH      OTHER   7, 10                   4,500           0
                                                           253       4,800 SH      OTHER   8, 10                   4,800           0
HOSPITALITY PROPERTIES TR  COM        44106M102            634      31,300 SH      SHARED  4, 10                  31,300           0
HOST MARRIOTT CORP NEW     COMMON     44107P104             11       1,200 SH      SHARED  10                      1,200           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           133      15,000 SH      OTHER   10                     15,000           0
HOUSEHOLD INTL INC         COM        441815107            601      16,095 SH      SHARED  10                     16,095           0
                                                         6,362     170,500 SH      SHARED  4, 10                 170,500           0
                                                            69       1,839 SH      SHARED  8, 10                   1,839           0
                                                         2,959      79,289 SH      OTHER   10                     79,289           0
HUBBELL HARVEY INC         CL B       443510201          1,374      50,200 SH      OTHER   10                     50,200           0
                                                             5         178 SH      OTHER   7, 10                     178           0
HUGHES SUPPLY INC          COM        444482103            301      19,400 SH      SHARED  10                     19,400           0
                                                           256      16,500 SH      SHARED  4, 10                  16,500           0
HUMANA INC                 COM        444859102             16       2,200 SH      SHARED  10                      2,200           0
                                                        13,400   1,832,300 SH      SHARED  4, 10               1,832,300           0
                                                            37       5,125 SH      OTHER   10                      5,125           0
HUMAN GENOME SCIENCES INC  COM        444903108          1,641      19,760 SH      SHARED  10                     19,295         465
                                                         1,188      14,300 SH      SHARED  4, 10                  14,300           0
                                                           413       4,975 SH      OTHER   10                      4,975           0
IDT CORP                   COM        448947101            647      15,600 SH      SHARED  4, 10                  15,600           0
HYPERION SOLUTIONS CORP    COMMON     44914M104            739      22,750 SH      SHARED  10                     22,750           0
                                                         1,664      51,200 SH      SHARED  4, 10                  51,200           0
IBP INC                    COM        449223106         11,639     739,000 SH      SHARED  4, 10                 739,000           0
ICG COMMUNICATIONS INC     COM        449246107          1,214      33,600 SH      SHARED  4, 10                  33,600           0
IDEC PHARMACEUTICALS CORP  COM        449370105            218       2,220 SH      SHARED  10                      2,220           0
                                                         1,710      17,400 SH      SHARED  4, 10                  17,400           0
                                                           123       1,250 SH      OTHER   10                      1,250           0
IMC GLOBAL INC             WARRANTS E 449669118              0          90 SH      OTHER   10                         90           0
IMS HEALTH INC             COM        449934108            205      12,100 SH      SHARED  10                     12,100           0
                                                            68       4,000 SH      SHARED  7, 10                   4,000           0
                                                           449      26,532 SH      OTHER   10                     26,532           0
                                                            34       2,000 SH      OTHER   7, 10                   2,000           0
ISS GROUP INC              COM        450306105            280       2,400 SH      OTHER   10                      2,400           0
ITC DELTACOM INC           COMMON     45031T104            930      26,100 SH      SHARED  4, 10                  26,100           0
                                                            71       2,000 SH      OTHER   10                      2,000           0
ITT EDUCATIONAL SERVICES   COM        45068B109            400      25,000 SH      SHARED  10                     25,000           0
ITXC CORP                  COMMON     45069F109            471      10,000 SH      SHARED  10                     10,000           0
                                                            20         425 SH      OTHER   10                        425           0
IDACORP INC                COMMON     451107106             21         600 SH      SHARED  10                        600           0
                                                         1,070      30,800 SH      SHARED  4, 10                  30,800           0
                                                            31         900 SH      OTHER   10                        900           0
IDEX CORP                  COM        45167R104            738      27,100 SH      SHARED  10                     27,100           0
IDEXX LABS INC             COM        45168D104          1,436      61,600 SH      SHARED  4, 10                  61,600           0
IGATE CAPITAL CORPORATION  COMMON     45169U105          1,182      26,200 SH      SHARED  10                     26,200           0
                                                           393       8,700 SH      SHARED  4, 10                   8,700           0
IKON OFFICE SOLUTIONS INC  COM        451713101             68      11,000 SH      SHARED  10                     11,000           0
                                                             5         848 SH      OTHER   10                        848           0
ILEX ONCOLOGY INC          COM        451923106            882      21,000 SH      SHARED  10                     21,000           0
ILLINOIS TOOL WKS INC      COM        452308109          7,893     142,851 SH      SHARED  10                    138,751       4,100
                                                            30         550 SH      SHARED  2, 10                     550           0
                                                           112       2,032 SH      SHARED  7, 10                   2,032           0
                                                           346       6,265 SH      SHARED  8, 10                   6,265           0
                                                         2,277      41,220 SH      OTHER   10                     41,220           0
IMCLONE SYS INC            COM        45245W109            638       8,300 SH      SHARED  4, 10                   8,300           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            77       1,000 SH      OTHER   10                      1,000           0
IMMUNEX CORP NEW           COM        452528102            378       5,955 SH      SHARED  10                      5,955           0
                                                             1          15 SH      OTHER   10                         15           0
IMPERIAL OIL LTD           COM NEW    453038408             57       2,700 SH      SHARED  10                      2,700           0
                                                            63       3,000 SH      SHARED  7, 10                   3,000           0
                                                           207       9,900 SH      OTHER   10                      9,900           0
IMRGLOBAL CORPORATION      COMMON     45321W106            727      50,600 SH      SHARED  4, 10                  50,600           0
INACOM CORP                COM        45323G109            131      47,600 SH      SHARED  4, 10                  47,600           0
INCYTE PHARMACEUTICALS IN  COM        45337C102            595       6,800 SH      SHARED  4, 10                   6,800           0
INDEPENDENCE COMMUNITY BA  COMMON     453414104             28       2,500 SH      SHARED  10                      2,500           0
                                                         1,193     107,200 SH      SHARED  4, 10                 107,200           0
INDYMAC MORTGAGE HOLDINGS  COMMON     456607100             69       4,600 SH      SHARED  4, 10                   4,600           0
                                                            90       6,000 SH      OTHER   10                      6,000           0
INFINEON TECHNOLOGIES AG   SPONSORED  45662N103            575      10,000 SH      SHARED  4, 10                  10,000           0
INET TECHNOLOGIES INC      COM        45662V105            424       8,000 SH      SHARED  4, 10                   8,000           0
INFOCURE CORP              COM        45665A108              5         300 SH      SHARED  10                        300           0
                                                           349      20,100 SH      SHARED  4, 10                  20,100           0
INFORMIX CORP              COM        456779107          6,451     380,850 SH      SHARED  4, 10                 380,850           0
ING GROEP N V              SPONSORED  456837103             55       1,000 SH      SHARED  10                      1,000           0
                                                           209       3,792 SH      OTHER   10                      3,792           0
INGERSOLL RAND CO          COM        456866102            186       4,205 SH      SHARED  10                      4,205           0
                                                           325       7,350 SH      OTHER   10                      7,350           0
INKTOMI CORP               COM        457277101            248       1,270 SH      SHARED  10                      1,270           0
                                                         3,089      15,840 SH      OTHER   10                     15,840           0
INSIGHT ENTERPRISES INC    COM        45765U103             24         650 SH      SHARED  10                        650           0
                                                           425      11,650 SH      SHARED  4, 10                  11,650           0
INTEGRATED ELECTRICAL SER  COM        45811E103            429      81,700 SH      SHARED  4, 10                  81,700           0
INTEGRATED DEVICE TECHNOL  COM        458118106            460      11,600 SH      SHARED  10                      9,700       1,900
                                                         8,535     215,400 SH      SHARED  4, 10                 215,400           0
INTEL CORP                 COM        458140100        204,061   1,546,643 SH      SHARED  10                  1,526,283      20,360
                                                         6,590      49,946 SH      SHARED  2, 10                  49,946           0
                                                           483       3,662 SH      SHARED  3, 10                   3,662           0
                                                       187,365   1,420,100 SH      SHARED  4, 10               1,420,100           0
                                                         4,782      36,244 SH      SHARED  7, 10                  36,244           0
                                                         8,885      67,340 SH      SHARED  8, 10                  67,340           0
                                                       244,183   1,850,739 SH      OTHER   10                  1,840,599      10,140
                                                         8,524      64,609 SH      OTHER   7, 10                  64,609           0
                                                         2,823      21,400 SH      OTHER   8, 10                  21,400           0
INTERIM SVCS INC           COM        45868P100            696      37,500 SH      SHARED  4, 10                  37,500           0
INTERMEDIA COMMUNICATIONS  COM        458801107          1,309      27,100 SH      SHARED  4, 10                  27,100           0
INTERMET CORP              COM        45881K104            770      84,400 SH      SHARED  4, 10                  84,400           0
INTERNATIONAL BUS MACHS    COM        459200101         57,399     486,431 SH      SHARED  10                    485,231       1,200
                                                         4,437      37,600 SH      SHARED  2, 10                  37,600           0
                                                       108,501     919,500 SH      SHARED  4, 10                 919,500           0
                                                            47         400 SH      SHARED  7, 10                     400           0
                                                           266       2,250 SH      SHARED  8, 10                   2,250           0
                                                        43,346     367,343 SH      OTHER   10                    367,343           0
                                                           415       3,520 SH      OTHER   7, 10                   3,520           0
                                                         1,499      12,704 SH      OTHER   8, 10                  12,704           0
INTL FLAVORS & FRAGRANCES  COM        459506101            589      16,800 SH      SHARED  10                     16,800           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           268       7,657 SH      OTHER   10                      7,657           0
INTERNATIONAL PAPER CO     COM        460146103          2,108      48,989 SH      SHARED  10                     48,989           0
                                                         6,421     150,200 SH      SHARED  4, 10                 150,200           0
                                                            13         300 SH      SHARED  7, 10                     300           0
                                                            64       1,491 SH      SHARED  8, 10                   1,491           0
                                                         2,102      49,160 SH      OTHER   10                     49,160           0
                                                           172       4,027 SH      OTHER   7, 10                   4,027           0
                                                           101       2,357 SH      OTHER   8, 10                   2,357           0
INTERNATIONAL RECTIFIER C  COM        460254105            431      11,300 SH      SHARED  4, 10                  11,300           0
INTERNATIONAL SPEEDWAY CO  COM        460335201          1,002      22,300 SH      SHARED  10                     22,300           0
                                                            18         400 SH      OTHER   10                        400           0
INTERNATIONAL SPEEDWAY CO  CL B       460335300            338       7,500 SH      SHARED  10                      7,500           0
INTERPUBLIC GROUP COS INC  COM        460690100         45,741     968,070 SH      SHARED  10                    960,370       7,700
                                                         1,119      23,684 SH      SHARED  2, 10                  23,684           0
                                                            86       1,816 SH      SHARED  3, 10                   1,816           0
                                                         2,065      43,700 SH      SHARED  7, 10                  43,700           0
                                                         2,462      52,105 SH      SHARED  8, 10                  52,105           0
                                                        38,425     813,238 SH      OTHER   10                    813,008         230
                                                         1,115      23,600 SH      OTHER   7, 10                  23,600           0
INTUIT                     COM        461202103             13         234 SH      SHARED  10                        234           0
                                                         9,360     172,147 SH      SHARED  4, 10                 172,147           0
                                                           152       2,800 SH      OTHER   10                      2,800           0
INVACARE CORP              COM        461203101            779      28,400 SH      SHARED  4, 10                  28,400           0
INVESTMENT TECHNOLOGY GRO  COMMON     46145F105          2,316      65,700 SH      SHARED  4, 10                  65,700           0
INVITROGEN CORP            COM        46185R100            871      15,000 SH      SHARED  10                     15,000           0
IOMEGA CORP                COM        462030107             40      10,500 SH      SHARED  10                     10,500           0
                                                            19       5,000 SH      OTHER   10                      5,000           0
IPALCO ENTERPRISES INC     COM        462613100            325      16,678 SH      SHARED  10                     16,678           0
                                                           396      20,286 SH      OTHER   10                     20,286           0
IVAX CORP                  COM        465823102             75       2,750 SH      SHARED  10                      2,750           0
                                                         5,988     219,750 SH      SHARED  4, 10                 219,750           0
                                                            41       1,500 SH      OTHER   10                      1,500           0
JDN REALTY CORP            COM        465917102            132      12,750 SH      OTHER   10                     12,750           0
J & J SNACK FOODS CORP     COM        466032109            370      18,600 SH      SHARED  4, 10                  18,600           0
JDS UNIPHASE CORP          COMMON     46612J101         25,471     211,270 SH      SHARED  10                    205,470       5,800
                                                         4,630      38,400 SH      SHARED  2, 10                  38,400           0
                                                           107         890 SH      SHARED  7, 10                     890           0
                                                             7          60 SH      SHARED  8, 10                      60           0
                                                        37,683     312,560 SH      OTHER   10                    312,260         300
JABIL CIRCUIT INC          COM        466313103            176       4,370 SH      SHARED  10                      1,720       2,650
                                                         2,660      66,200 SH      SHARED  4, 10                  66,200           0
JAKKS PACIFIC INC          COM        47012E106            101       4,675 SH      SHARED  10                          0       4,675
                                                           417      19,350 SH      SHARED  4, 10                  19,350           0
JEFFERSON PILOT CORP       COM        475070108            318       4,775 SH      SHARED  10                      4,775           0
                                                            54         805 SH      OTHER   10                        805           0
                                                            68       1,024 SH      OTHER   8, 10                   1,024           0
NUVEEN JOHN                CL A COM   478035108          1,898      49,613 SH      SHARED  10                     49,613           0
                                                         1,170      30,600 SH      SHARED  4, 10                  30,600           0
                                                            77       2,000 SH      OTHER   10                      2,000           0
JOHNSON & JOHNSON          COM        478160104        135,842   1,933,733 SH      SHARED  10                  1,908,599      25,134
</TABLE>


<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                         5,662      80,595 SH      SHARED  2, 10                  80,595           0
                                                           450       6,399 SH      SHARED  3, 10                   6,399           0
                                                        31,823     453,000 SH      SHARED  4, 10                 453,000           0
                                                        14,510     206,548 SH      SHARED  7, 10                 206,548           0
                                                         3,438      48,936 SH      SHARED  8, 10                  48,936           0
                                                       415,297   5,911,706 SH      OTHER   10                  5,911,366         340
                                                         7,646     108,843 SH      OTHER   7, 10                 108,843           0
                                                         1,806      25,706 SH      OTHER   8, 10                  25,706           0
JOHNSON CTLS               COM        478366107          3,833      70,900 SH      SHARED  10                     70,400         500
                                                         5,769     106,700 SH      SHARED  4, 10                 106,700           0
                                                            49         900 SH      OTHER   10                        900           0
                                                            16         300 SH      OTHER   7, 10                     300           0
JONES APPAREL GROUP        COM        480074103             82       2,600 SH      SHARED  10                      2,600           0
                                                         8,959     283,300 SH      SHARED  4, 10                 283,300           0
JONES PHARMA INC           COMMON     480236108          1,901      62,575 SH      SHARED  4, 10                  62,575           0
KLA-TENCOR CORPORATION     COM        482480100            219       2,600 SH      SHARED  10                      2,600           0
                                                         9,731     115,500 SH      SHARED  4, 10                 115,500           0
                                                           118       1,400 SH      OTHER   8, 10                   1,400           0
K MART CORP                COM        482584109         10,647   1,099,000 SH      SHARED  4, 10               1,099,000           0
                                                            18       1,900 SH      OTHER   10                      1,900           0
K-SWISS INC                CL A COM   482686102            601      40,600 SH      SHARED  4, 10                  40,600           0
KANSAS CITY SOUTHN INDS I  COM        485170104          1,323      15,400 SH      SHARED  10                     15,400           0
                                                            49         575 SH      OTHER   10                        575           0
KAUFMAN & BROAD HOME CORP  COM        486168107            763      35,600 SH      SHARED  4, 10                  35,600           0
KEANE INC                  COM        486665102             71       2,825 SH      SHARED  10                          0       2,825
                                                         2,189      86,700 SH      SHARED  4, 10                  86,700           0
                                                            33       1,300 SH      OTHER   10                      1,300           0
KEEBLER FOODS CO           COM        487256109            347      12,100 SH      SHARED  10                     12,100           0
KELLOGG CO                 COM        487836108            250       9,712 SH      SHARED  10                      9,712           0
                                                           665      25,812 SH      OTHER   10                     25,812           0
KELLSTROM INDUSTRIES INC   COM        488035106            517      90,400 SH      SHARED  4, 10                  90,400           0
KEMET CORP                 COM        488360108          4,301      68,000 SH      SHARED  4, 10                  68,000           0
KENNAMETAL INC             COM        489170100          1,004      33,400 SH      SHARED  4, 10                  33,400           0
                                                           144       4,800 SH      OTHER   10                      4,800           0
                                                             1          27 SH      OTHER   8, 10                      27           0
KENT ELECTRONICS CORP      COM        490553104              6         200 SH      SHARED  10                        200           0
                                                           412      14,100 SH      SHARED  4, 10                  14,100           0
KERR MCGEE CORP            COM        492386107            101       1,750 SH      SHARED  10                      1,750           0
                                                        11,873     205,600 SH      SHARED  4, 10                 205,600           0
KEY TECHNOLOGY INC         COM        493143101          1,026     108,000 SH      SHARED  10                    108,000           0
KEYCORP NEW                COM        493267108            217      11,446 SH      SHARED  10                     11,446           0
                                                        16,454     866,000 SH      SHARED  4, 10                 866,000           0
                                                            10         538 SH      SHARED  8, 10                     538           0
                                                            15         800 SH      OTHER   8, 10                     800           0
KEYSPAN CORPORATION        COMMON     49337W100             62       2,260 SH      SHARED  10                      2,260           0
                                                         3,843     139,100 SH      SHARED  4, 10                 139,100           0
                                                            55       1,978 SH      OTHER   10                      1,978           0
KILROY REALTY CORP         COM        49427F108            537      25,500 SH      SHARED  10                     25,500           0
                                                           356      16,900 SH      SHARED  4, 10                  16,900           0
KIMBALL INTL INC           CL B       494274103             11       1,000 SH      SHARED  10                      1,000           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           173      15,700 SH      SHARED  4, 10                  15,700           0
KIMBERLY CLARK CORP        COM        494368103          3,200      57,092 SH      SHARED  10                     57,092           0
                                                        18,209     324,800 SH      SHARED  4, 10                 324,800           0
                                                           815      14,544 SH      SHARED  8, 10                  14,544           0
                                                         4,711      84,027 SH      OTHER   10                     84,027           0
                                                            75       1,336 SH      OTHER   8, 10                   1,336           0
KINDER MORGAN INC          COMMON     49455P101          1,525      44,200 SH      SHARED  10                     44,200           0
                                                         3,985     115,500 SH      SHARED  4, 10                 115,500           0
KINDER MORGAN ENERGY PART  UNIT LTD P 494550106            107       2,700 SH      SHARED  10                      2,700           0
                                                           138       3,475 SH      OTHER   10                      3,475           0
KING PHARMACEUTICALS INC   COM        495582108            607      19,257 SH      SHARED  4, 10                  19,257           0
KNIGHT-RIDDER INC          COM        499040103             21         400 SH      SHARED  10                        400           0
                                                        11,506     224,500 SH      SHARED  4, 10                 224,500           0
                                                            77       1,500 SH      SHARED  8, 10                   1,500           0
                                                            21         400 SH      OTHER   10                          0         400
KOHLS CORP                 COM        500255104            410       4,000 SH      SHARED  10                      4,000           0
KONINKLIJKE (ROYAL) PHILI  SPONSORED  500472204            477       2,784 SH      SHARED  10                      2,784           0
                                                           266       1,552 SH      OTHER   10                      1,552           0
KOOR INDUSTRIES LTD        ADR EACH R 500507108            787      44,000 SH      SHARED  4, 10                  44,000           0
KOPIN CORP                 COM        500600101             41         600 SH      SHARED  10                        600           0
                                                           309       4,500 SH      SHARED  4, 10                   4,500           0
KROGER CO                  COM        501044101            319      18,150 SH      SHARED  10                     18,150           0
                                                         3,881     221,000 SH      SHARED  4, 10                 221,000           0
                                                            60       3,400 SH      OTHER   10                      3,400           0
KRONOS INC                 COM        501052104            492      16,600 SH      SHARED  4, 10                  16,600           0
KULICKE & SOFFA INDS INC   COM        501242101            942      14,700 SH      SHARED  4, 10                  14,700           0
                                                            32         500 SH      OTHER   10                        500           0
LG&E ENERGY CORP           COM        501917108             10         454 SH      SHARED  10                        454           0
                                                         4,957     216,700 SH      SHARED  4, 10                 216,700           0
                                                           124       5,400 SH      OTHER   10                      5,400           0
LNR PROPERTY CORP          COMMON     501940100            463      24,300 SH      SHARED  4, 10                  24,300           0
LSI LOGIC CORP             COM        502161102            905      12,462 SH      SHARED  10                     12,462           0
                                                         9,703     133,600 SH      SHARED  4, 10                 133,600           0
                                                           240       3,305 SH      OTHER   10                      3,305           0
L-3 COMMUNICATIONS HOLDIN  COMMON     502424104            769      14,800 SH      SHARED  10                     14,800           0
                                                         1,169      22,500 SH      SHARED  4, 10                  22,500           0
LAM RESH CORP              COM        512807108             19         414 SH      SHARED  10                        414           0
                                                         2,122      47,100 SH      SHARED  4, 10                  47,100           0
LANCASTER COLONY CORP      COM        513847103          2,540      83,100 SH      SHARED  4, 10                  83,100           0
LANDAMERICA FINANCIAL GRO  COM        514936103            628      32,400 SH      SHARED  4, 10                  32,400           0
LANDS END INC              COM        515086106            561       9,150 SH      SHARED  10                      9,150           0
                                                           441       7,200 SH      OTHER   10                      7,200           0
LANDSTAR SYS INC           COM        515098101          1,347      24,600 SH      SHARED  4, 10                  24,600           0
LANIER WORLDWIDE INC       COM        51589L105              2         900 SH      SHARED  10                        900           0
                                                            27      13,250 SH      OTHER   10                     13,250           0
LATTICE SEMICONDUCTOR COR  COM        518415104          1,355      20,025 SH      SHARED  10                     18,000       2,025
                                                         3,364      49,700 SH      SHARED  4, 10                  49,700           0
ESTEE LAUDER COMPANIES IN  CLASS A    518439104            906      18,100 SH      SHARED  10                     18,100           0
LEAR CORP                  COM        521865105          2,843     101,100 SH      SHARED  4, 10                 101,100           0
LEGATO SYSTEMS INC         COM        524651106          1,883      42,200 SH      SHARED  4, 10                  42,200           0
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            67       1,500 SH      OTHER   10                      1,500           0
LEHMAN BROS HLDGS INC      COM        524908100            355       3,660 SH      SHARED  10                      3,660           0
                                                        20,583     212,200 SH      SHARED  4, 10                 212,200           0
                                                           341       3,515 SH      OTHER   10                      3,515           0
LEVEL 3 COMMUNICATIONS IN  COM        52729N100            777       7,348 SH      SHARED  10                      7,348           0
                                                           106       1,005 SH      OTHER   10                      1,005           0
LEXMARK INTERNATIONAL GRO  CL A COM   529771107             11         100 SH      SHARED  10                        100           0
                                                         6,165      58,300 SH      SHARED  4, 10                  58,300           0
LIBBEY INC                 COM        529898108            457      16,700 SH      SHARED  4, 10                  16,700           0
LIBERTY FINANCIAL COMPANI  COM        530512102            517      26,100 SH      SHARED  4, 10                  26,100           0
LILLY ELI & CO             COM        532457108          5,535      88,314 SH      SHARED  10                     87,714         600
                                                        13,853     221,200 SH      SHARED  4, 10                 221,200           0
                                                           407       6,500 SH      SHARED  8, 10                   6,500           0
                                                         6,438     102,803 SH      OTHER   10                    102,803           0
                                                            19         300 SH      OTHER   7, 10                     300           0
                                                           376       6,000 SH      OTHER   8, 10                   6,000           0
LILLY INDUSTRIES INC       CL A COM   532491107            682      55,100 SH      SHARED  4, 10                  55,100           0
LIMITED INC                COM        532716107            147       3,500 SH      SHARED  10                      3,500           0
                                                         4,179      99,200 SH      SHARED  4, 10                  99,200           0
LINCARE HLDGS INC          COM        532791100          3,913     137,900 SH      SHARED  4, 10                 137,900           0
LINCOLN ELECTRIC HOLDING   COMMON     533900106          1,567      64,800 SH      SHARED  4, 10                  64,800           0
LINCOLN NATL CORP IND      COM        534187109            260       7,760 SH      SHARED  10                      7,760           0
                                                            18         524 SH      OTHER   10                        524           0
                                                            43       1,279 SH      OTHER   7, 10                   1,279           0
LINDSAY MANUFACTURING COM  COM        535555106            420      24,500 SH      SHARED  4, 10                  24,500           0
LINEAR TECHNOLOGY CORP     COM        535678106            721      13,110 SH      SHARED  10                     13,110           0
                                                        12,683     230,600 SH      SHARED  4, 10                 230,600           0
                                                            88       1,600 SH      OTHER   10                      1,600           0
                                                           220       4,000 SH      OTHER   7, 10                   4,000           0
                                                            88       1,600 SH      OTHER   8, 10                   1,600           0
LINENS 'N THINGS INC       COM        535679104         11,422     333,489 SH      SHARED  10                    325,379       8,110
                                                            21         600 SH      SHARED  7, 10                     600           0
                                                           373      10,900 SH      SHARED  8, 10                  10,900           0
                                                         2,559      74,724 SH      OTHER   10                     74,724           0
                                                            69       2,000 SH      OTHER   8, 10                   2,000           0
LIPOSOME CO                COM        536310105            262      15,000 SH      SHARED  4, 10                  15,000           0
LITTELFUSE                 COM        537008104          1,640      44,700 SH      SHARED  4, 10                  44,700           0
LITTON INDS INC            COM        538021106         16,995     384,600 SH      SHARED  4, 10                 384,600           0
                                                            22         500 SH      OTHER   10                        500           0
LIZ CLAIBORNE INC          COM        539320101         21,697     473,600 SH      SHARED  4, 10                 473,600           0
LOEWS CORP                 COM        540424108              8         150 SH      SHARED  10                        150           0
                                                        15,555     311,100 SH      SHARED  4, 10                 311,100           0
LONGS DRUG STORES CORP     COM        543162101            519      22,800 SH      SHARED  10                     22,800           0
LONGVIEW FIBRE CO          COM        543213102         13,267     899,450 SH      SHARED  10                    899,450           0
                                                           645      43,750 SH      OTHER   10                     43,750           0
LORONIX INFORMATION SYSTE  COM        544183106            726      20,000 SH      SHARED  10                     20,000           0
LOUISIANA PAC CORP         COM        546347105         10,445     752,800 SH      SHARED  4, 10                 752,800           0
LOWES CO                   COM        548661107            886      15,174 SH      SHARED  10                     15,174           0
                                                         3,701      63,400 SH      SHARED  4, 10                  63,400           0
                                                           234       4,000 SH      OTHER   10                      4,000           0
</TABLE>


<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
LUBRIZOL CORP              COM        549271104          4,514     156,663 SH      SHARED  4, 10                 156,663           0
                                                           277       9,600 SH      OTHER   10                      9,600           0
LUBYS CAFETERIAS INC       COM        549282101            885      93,800 SH      SHARED  4, 10                  93,800           0
LUCENT TECHNOLOGIES INC    COM        549463107         65,286   1,066,187 SH      SHARED  10                  1,058,427       7,760
                                                         4,263      69,608 SH      SHARED  2, 10                  69,608           0
                                                           370       6,048 SH      SHARED  3, 10                   6,048           0
                                                        72,519   1,183,988 SH      SHARED  4, 10               1,183,988           0
                                                         2,140      34,936 SH      SHARED  7, 10                  34,936           0
                                                         4,336      70,794 SH      SHARED  8, 10                  70,794           0
                                                        76,305   1,245,801 SH      OTHER   10                  1,245,376         425
                                                         1,856      30,306 SH      OTHER   7, 10                  30,306           0
                                                           846      13,812 SH      OTHER   8, 10                  13,812           0
MAF BANCORP INC            COM        55261R108            618      38,200 SH      SHARED  4, 10                  38,200           0
MBIA INC                   COM        55262C100          9,267     177,998 SH      SHARED  10                    177,498         500
                                                           314       6,038 SH      SHARED  7, 10                   6,038           0
                                                            83       1,600 SH      SHARED  8, 10                   1,600           0
                                                         3,822      73,419 SH      OTHER   10                     73,419           0
                                                            16         300 SH      OTHER   8, 10                     300           0
MBNA CORP                  COM        55262L100          3,418     134,046 SH      SHARED  10                    134,046           0
                                                           152       5,962 SH      SHARED  7, 10                   5,962           0
                                                         2,370      92,957 SH      OTHER   10                     92,957           0
                                                            60       2,362 SH      OTHER   7, 10                   2,362           0
MCM CORP                   COM        552674103          2,732   2,428,600 SH      SHARED  7, 10               2,428,600           0
M D C HLDGS INC            COM        552676108          1,037      57,800 SH      SHARED  4, 10                  57,800           0
MCI WORLDCOM INC           COM        55268B106         25,221     556,608 SH      SHARED  10                    547,388       9,220
                                                         2,895      63,900 SH      SHARED  2, 10                  63,900           0
                                                        43,247     954,403 SH      SHARED  4, 10                 954,403           0
                                                           369       8,141 SH      SHARED  7, 10                   8,141           0
                                                           584      12,897 SH      SHARED  8, 10                  12,897           0
                                                        30,020     662,498 SH      OTHER   10                    662,293         205
                                                           478      10,543 SH      OTHER   7, 10                  10,543           0
                                                           449       9,908 SH      OTHER   8, 10                   9,908           0
MDU RES GROUP INC          COM        552690109         11,407     549,717 SH      SHARED  10                    549,717           0
                                                         4,978     239,884 SH      OTHER   10                    239,884           0
MGC COMMUNICATIONS INC     COMMON     552763302            493       6,900 SH      SHARED  4, 10                   6,900           0
MGIC INVT CORP WIS         COM        552848103            164       3,750 SH      SHARED  10                      3,750           0
                                                        11,744     269,200 SH      SHARED  4, 10                 269,200           0
                                                           611      14,000 SH      OTHER   10                     14,000           0
MGM GRAND INC              COM        552953101          2,146      89,400 SH      SHARED  4, 10                  89,400           0
MKS INSTRUMENTS INC        COMMON     55306N104            515      10,200 SH      SHARED  4, 10                  10,200           0
MMC NETWORKS               COMMON     55308N102            386      11,700 SH      SHARED  4, 10                  11,700           0
M S CARRIERS INC           COM        553533100            569      24,200 SH      SHARED  4, 10                  24,200           0
MTI TECHNOLOGY CORP        COM        553903105            319      12,100 SH      SHARED  4, 10                  12,100           0
MACERICH CO                COM        554382101            528      25,600 SH      SHARED  4, 10                  25,600           0
MACROVISION CORP           COMMON     555904101            543       6,300 SH      SHARED  10                      6,300           0
MACROMEDIA INC             COM        556100105            117       1,300 SH      SHARED  10                      1,300           0
                                                           248       2,750 SH      OTHER   10                      2,750           0
MAGNA INTERNATIONAL INC    COM        559222401             80       2,000 SH      SHARED  10                      2,000           0
                                                           348       8,700 SH      OTHER   10                      8,700           0
MATAV RT                   ADR        559776109          3,196      71,625 SH      SHARED  4, 10                  71,625           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
MALLINCKRODT INC           COM        561232109             72       2,517 SH      SHARED  10                      2,517           0
                                                         9,220     320,700 SH      SHARED  4, 10                 320,700           0
MANITOWOC INC              COM        563571108          1,227      44,600 SH      SHARED  4, 10                  44,600           0
MANPOWER INC WISCONSIN     COM        56418H100          2,613      73,600 SH      SHARED  4, 10                  73,600           0
MANUFACTURED HOME COMMUNI  COM        564682102            294      12,700 SH      SHARED  4, 10                  12,700           0
MANULIFE FINANCIAL CORP    COMMON     56501R106             30       2,019 SH      SHARED  10                      2,019           0
                                                           474      32,250 SH      OTHER   10                     32,250           0
MARCHFIRST INC             COMMON     566244109            303       8,500 SH      SHARED  10                      8,500           0
                                                           564      15,800 SH      SHARED  4, 10                  15,800           0
                                                             9         259 SH      OTHER   10                        259           0
MARCUS CORP                COM        566330106             36       2,750 SH      SHARED  10                      2,750           0
                                                           401      31,000 SH      SHARED  4, 10                  31,000           0
MARINE DRILLING COS        COM PAR $0 568240204             38       1,400 SH      SHARED  10                      1,400           0
                                                         1,226      44,700 SH      SHARED  4, 10                  44,700           0
MARK IV INDS INC           COM        570387100          4,733     214,500 SH      SHARED  4, 10                 214,500           0
MARSH & MC LENNAN COS INC  COM        571748102         10,820      98,089 SH      SHARED  10                     96,289       1,800
                                                           554       5,026 SH      SHARED  7, 10                   5,026           0
                                                           199       1,800 SH      SHARED  8, 10                   1,800           0
                                                         8,461      76,703 SH      OTHER   10                     76,703           0
                                                           351       3,180 SH      OTHER   7, 10                   3,180           0
                                                            38         346 SH      OTHER   8, 10                     346           0
MARSHALL & ILSLEY CORP     COM        571834100         35,897     621,598 SH      SHARED  10                    621,598           0
                                                         5,983     103,600 SH      SHARED  4, 10                 103,600           0
MARRIOTT INTERNATIONAL IN  CL A COM   571903202            195       6,200 SH      SHARED  10                      6,200           0
                                                            53       1,680 SH      OTHER   10                      1,680           0
MASCO CORP                 COM        574599106             96       4,685 SH      SHARED  10                      4,685           0
                                                           166       8,100 SH      OTHER   10                      8,100           0
MASCOTECH INC              COM        574670105            166      13,500 SH      SHARED  10                     13,500           0
                                                             3         240 SH      OTHER   10                        240           0
MATTEL INC                 COM        577081102             69       6,593 SH      SHARED  10                      6,593           0
                                                         1,931     183,900 SH      SHARED  4, 10                 183,900           0
                                                            35       3,324 SH      OTHER   10                      3,324           0
MAXIM INTEGRATED PRODS IN  COM        57772K101          1,729      24,330 SH      SHARED  10                     24,330           0
                                                        19,628     276,200 SH      SHARED  4, 10                 276,200           0
                                                           309       4,350 SH      OTHER   10                      4,350           0
MAXTOR CORP                COMMON     577729205            647      50,000 SH      SHARED  10                     50,000           0
MAY DEPT STORES CO         COM        577778103          3,951     129,056 SH      SHARED  10                    119,956       9,100
                                                        10,150     356,150 SH      SHARED  4, 10                 356,150           0
                                                            26         900 SH      SHARED  7, 10                     900           0
                                                            38       1,350 SH      SHARED  8, 10                   1,350           0
                                                         1,800      63,145 SH      OTHER   10                     63,145           0
MAYTAG CORP                COM        578592107             33       1,000 SH      SHARED  10                      1,000           0
                                                           633      19,100 SH      SHARED  4, 10                  19,100           0
                                                           146       4,400 SH      OTHER   10                      4,400           0
MCCORMICK & CO INC         COM NON VT 579780206            268       8,300 SH      SHARED  10                      8,300           0
                                                         5,608     173,900 SH      SHARED  4, 10                 173,900           0
                                                           694      21,525 SH      OTHER   10                     21,525           0
                                                            32       1,000 SH      OTHER   8, 10                   1,000           0
MCDONALDS CORP             COM        580135101          4,738     126,675 SH      SHARED  10                    125,875         800
                                                         7,475     200,000 SH      SHARED  4, 10                 200,000           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           138       3,700 SH      SHARED  7, 10                   3,700           0
                                                           286       7,650 SH      SHARED  8, 10                   7,650           0
                                                         6,377     170,630 SH      OTHER   10                    170,630           0
                                                           351       9,400 SH      OTHER   7, 10                   9,400           0
                                                           239       6,400 SH      OTHER   8, 10                   6,400           0
MCGRATH RENTCORP           COM        580589109            291      18,300 SH      SHARED  4, 10                  18,300           0
MCGRAW HILL COMPANIES INC  COM        580645109          2,215      48,684 SH      SHARED  10                     48,684           0
                                                         2,580      56,700 SH      SHARED  4, 10                  56,700           0
                                                         1,924      42,282 SH      OTHER   10                     42,282           0
MCKESSON HBOC INC          COMMMON    58155Q103            526      25,054 SH      SHARED  10                     25,054           0
                                                         1,050      50,000 SH      SHARED  4, 10                  50,000           0
                                                           102       4,877 SH      OTHER   10                      4,877           0
MEDIA ONE GROUP INC        COM        58440J104          2,565      31,670 SH      SHARED  10                     31,670           0
                                                         7,221      89,150 SH      SHARED  4, 10                  89,150           0
                                                           200       2,463 SH      SHARED  8, 10                   2,463           0
                                                         1,244      15,353 SH      OTHER   10                     15,053         300
                                                            49         600 SH      OTHER   7, 10                     600           0
                                                           345       4,261 SH      OTHER   8, 10                   4,261           0
MEDIA GEN INC              CL A       584404107          2,692      51,400 SH      SHARED  4, 10                  51,400           0
MEDICAL ASSURANCE INC      COM        58449U100            240      12,600 SH      SHARED  10                     12,600           0
                                                           719      37,695 SH      SHARED  4, 10                  37,695           0
                                                            88       4,620 SH      OTHER   10                      4,620           0
MEDICIS PHARMACEUTICAL CO  CLASS A    584690309          1,864      46,600 SH      SHARED  4, 10                  46,600           0
MEDIMMUNE INC              COM        584699102             18         106 SH      SHARED  10                        106           0
                                                        10,047      57,700 SH      SHARED  4, 10                  57,700           0
                                                           305       1,750 SH      OTHER   10                      1,750           0
MEDQUIST INC               COM        584949101          1,438      52,900 SH      SHARED  4, 10                  52,900           0
MEDITRUST                  PAIRD CTF  58501T306            140      76,980 SH      SHARED  10                     76,980           0
                                                             5       2,822 SH      OTHER   10                      2,822           0
MEDTRONIC INC              COM        585055106         30,447     591,914 SH      SHARED  10                    583,214       8,700
                                                            97       1,892 SH      SHARED  2, 10                   1,892           0
                                                            80       1,562 SH      SHARED  3, 10                   1,562           0
                                                           212       4,116 SH      SHARED  7, 10                   4,116           0
                                                         1,443      28,050 SH      SHARED  8, 10                  28,050           0
                                                        25,531     496,342 SH      OTHER   10                    496,152         190
                                                           206       4,000 SH      OTHER   7, 10                   4,000           0
                                                           988      19,200 SH      OTHER   8, 10                  19,200           0
MELLON FINANCIAL CORPORAT  COMMON     58551A108          5,768     193,941 SH      SHARED  10                    193,941           0
                                                            89       3,000 SH      SHARED  7, 10                   3,000           0
                                                        11,890     399,672 SH      OTHER   10                    399,672           0
                                                            36       1,200 SH      OTHER   7, 10                   1,200           0
                                                            60       2,000 SH      OTHER   8, 10                   2,000           0
MENTOR CORP MINN           COM        587188103            767      28,400 SH      SHARED  10                     28,400           0
                                                           429      15,900 SH      SHARED  4, 10                  15,900           0
MENTOR GRAPHICS CORP       COM        587200106            532      35,200 SH      SHARED  10                     35,200           0
MERCANTILE BANKSHARES COR  COM        587405101            670      21,934 SH      SHARED  10                     21,934           0
                                                         5,171     169,200 SH      SHARED  4, 10                 169,200           0
                                                         2,778      90,900 SH      OTHER   10                     90,900           0
MERCK & CO INC             COM        589331107        164,247   2,643,808 SH      SHARED  10                  2,595,532      48,276
                                                         1,216      19,570 SH      SHARED  2, 10                  19,570           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                            83       1,328 SH      SHARED  3, 10                   1,328           0
                                                        69,151   1,113,100 SH      SHARED  4, 10               1,113,100           0
                                                         5,953      95,819 SH      SHARED  7, 10                  95,819           0
                                                         8,518     137,110 SH      SHARED  8, 10                 137,110           0
                                                       144,493   2,325,840 SH      OTHER   10                  2,324,842         998
                                                        16,692     268,688 SH      OTHER   7, 10                 268,688           0
                                                         1,567      25,220 SH      OTHER   8, 10                  25,220           0
MERCURY COMPUTER SYSTEMS   COM        589378108          1,222      25,000 SH      SHARED  10                     25,000           0
                                                         1,838      37,600 SH      SHARED  4, 10                  37,600           0
                                                            49       1,000 SH      OTHER   10                      1,000           0
MERCURY INTERACTIVE CORP   COM        589405109             20         256 SH      SHARED  10                        256           0
                                                         2,108      26,600 SH      SHARED  4, 10                  26,600           0
                                                            16         200 SH      OTHER   10                        200           0
MERISTAR HOSPITALITY CORP  COMMON     58984Y103            795      45,600 SH      SHARED  4, 10                  45,600           0
MERITOR AUTOMOTIVE INC     COM        59000G100              5         333 SH      SHARED  10                        333           0
                                                         7,545     477,147 SH      SHARED  4, 10                 477,147           0
                                                             8         501 SH      OTHER   10                        501           0
MERRILL LYNCH & CO INC     COM        590188108          3,091      29,436 SH      SHARED  10                     29,436           0
                                                        12,170     115,900 SH      SHARED  4, 10                 115,900           0
                                                            21         200 SH      SHARED  8, 10                     200           0
                                                           536       5,100 SH      OTHER   10                      5,100           0
METHODE ELECTRONICS INC    CL A COM   591520200          1,439      28,500 SH      SHARED  4, 10                  28,500           0
METRIS COMPANIES INC       COM        591598107          1,707      43,900 SH      SHARED  4, 10                  43,900           0
METROMEDIA FIBER NETWORK   CL A COM   591689104          1,780      18,400 SH      SHARED  10                     18,400           0
                                                           431       4,450 SH      OTHER   10                      4,450           0
MICREL INC                 COM        594793101          2,371      24,700 SH      SHARED  4, 10                  24,700           0
MICROS SYSTEMS INC         COM        594901100            862      13,700 SH      SHARED  4, 10                  13,700           0
MICROSOFT CORP             COM        594918104        161,978   1,524,499 SH      SHARED  10                  1,506,719      17,780
                                                           934       8,788 SH      SHARED  2, 10                   8,788           0
                                                           541       5,092 SH      SHARED  3, 10                   5,092           0
                                                       201,737   1,898,700 SH      SHARED  4, 10               1,898,700           0
                                                        10,715     100,850 SH      SHARED  7, 10                 100,850           0
                                                         5,020      47,245 SH      SHARED  8, 10                  47,245           0
                                                       157,083   1,478,424 SH      OTHER   10                  1,478,104         320
                                                        10,151      95,540 SH      OTHER   7, 10                  95,540           0
                                                         1,743      16,400 SH      OTHER   8, 10                  16,400           0
MICROCHIP TECHNOLOGY INC   COM        595017104            197       3,000 SH      SHARED  10                      3,000           0
                                                         5,559      84,550 SH      SHARED  4, 10                  84,550           0
                                                           385       5,850 SH      OTHER   10                      5,850           0
MICRON TECHNOLOGY INC      COM        595112103         11,529      91,500 SH      SHARED  10                     91,500           0
                                                         7,711      61,200 SH      SHARED  4, 10                  61,200           0
                                                         4,410      35,000 SH      OTHER   10                     35,000           0
MICROTOUCH SYSTEMS INC     COM        595145103            256      20,000 SH      OTHER   10                     20,000           0
MIDAS INC                  COM        595626102             24       1,000 SH      SHARED  10                      1,000           0
                                                           187       7,800 SH      SHARED  4, 10                   7,800           0
                                                            12         487 SH      OTHER   10                        487           0
MIDCAP SPDR TRUST          UNIT SER 1 595635103            356       3,900 SH      SHARED  10                      3,900           0
MIDWEST EXPRESS HOLDINGS   COM        597911106            536      20,900 SH      SHARED  4, 10                  20,900           0
MILACRON INC               COMMON     598709103            528      36,600 SH      SHARED  4, 10                  36,600           0
MILLENNIUM PHARMACEUTICAL  COM        599902103          4,792      36,900 SH      SHARED  4, 10                  36,900           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
MILLIPORE CORP             COM        601073109            164       2,900 SH      SHARED  10                      2,900           0
                                                           700      12,400 SH      SHARED  4, 10                  12,400           0
                                                            11         200 SH      SHARED  7, 10                     200           0
                                                           141       2,500 SH      SHARED  8, 10                   2,500           0
                                                           547       9,700 SH      OTHER   10                      9,700           0
MINERALS TECHNOLOGIES INC  COM        603158106          1,292      29,000 SH      SHARED  4, 10                  29,000           0
MINIMED INC                COM        60365K108            259       2,000 SH      SHARED  10                      2,000           0
MINNESOTA MNG & MFG CO     COM        604059105         26,182     295,632 SH      SHARED  10                    286,511       9,121
                                                           283       3,200 SH      SHARED  2, 10                   3,200           0
                                                         2,082      23,512 SH      SHARED  7, 10                  23,512           0
                                                           647       7,300 SH      SHARED  8, 10                   7,300           0
                                                        26,090     294,589 SH      OTHER   10                    294,589           0
                                                         3,848      43,446 SH      OTHER   7, 10                  43,446           0
                                                           347       3,920 SH      OTHER   8, 10                   3,920           0
MINNESOTA POWER INC        COMMON     604110106             37       2,200 SH      SHARED  10                      2,200           0
                                                         3,478     209,200 SH      SHARED  4, 10                 209,200           0
                                                            33       2,000 SH      OTHER   10                      2,000           0
MIPS TECHNOLOGIES INC      COM        604567107            907      16,300 SH      SHARED  4, 10                  16,300           0
MIRAGE RESORTS INC         COM        60462E104            376      19,400 SH      SHARED  10                     19,400           0
MISSISSIPPI VY BANCSHARES  COM        605720101            750      31,400 SH      SHARED  4, 10                  31,400           0
MITCHAM INDUSTRIES INC     COM        606501104            392      72,000 SH      SHARED  10                     72,000           0
                                                             5       1,000 SH      OTHER   10                      1,000           0
MODIS PROFESSIONAL SERVIC  COMMON     607830106          1,671     135,000 SH      SHARED  4, 10                 135,000           0
MOHAWK INDS INC            COM        608190104          2,238     100,000 SH      SHARED  4, 10                 100,000           0
MOLEX INC                  COM        608554101            435       7,405 SH      SHARED  10                      7,405           0
                                                           439       7,477 SH      SHARED  8, 10                   7,477           0
                                                           355       6,045 SH      OTHER   10                      6,045           0
                                                            72       1,220 SH      OTHER   8, 10                   1,220           0
MOLEX INC                  CL A       608554200            787      17,726 SH      SHARED  10                     17,726           0
                                                           763      17,202 SH      OTHER   10                     17,202           0
MONACO COACH CORP          COM        60886R103            921      48,450 SH      SHARED  4, 10                  48,450           0
MONSANTO CO                COM        611662107          1,115      21,645 SH      SHARED  10                     21,645           0
                                                         6,438     125,000 SH      SHARED  4, 10                 125,000           0
                                                         1,271      24,683 SH      OTHER   10                     24,683           0
                                                            26         500 SH      OTHER   8, 10                     500           0
MONTANA PWR CO             COM        612085100            592       9,250 SH      SHARED  10                      9,250           0
                                                         3,238      50,600 SH      SHARED  4, 10                  50,600           0
                                                           179       2,800 SH      OTHER   10                      2,800           0
MOOG INC                   CL A COM   615394202            645      35,100 SH      SHARED  4, 10                  35,100           0
J P MORGAN & CO INC        COM        616880100         29,221     221,788 SH      SHARED  10                    220,238       1,550
                                                         1,989      15,100 SH      SHARED  4, 10                  15,100           0
                                                         3,808      28,900 SH      SHARED  7, 10                  28,900           0
                                                           109         825 SH      SHARED  8, 10                     825           0
                                                        23,505     178,409 SH      OTHER   10                    178,409           0
                                                         3,133      23,782 SH      OTHER   7, 10                  23,782           0
                                                           784       5,954 SH      OTHER   8, 10                   5,954           0
MORGAN STANLEY DEAN WITTE  COM        617446448         16,786     202,765 SH      SHARED  10                    197,765       5,000
                                                        17,511     211,300 SH      SHARED  4, 10                 211,300           0
                                                            85       1,030 SH      SHARED  7, 10                   1,030           0
                                                           341       4,110 SH      SHARED  8, 10                   4,110           0
</TABLE>



<PAGE>




FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                        21,531     259,806 SH      OTHER   10                    259,806           0
                                                           265       3,200 SH      OTHER   7, 10                   3,200           0
                                                            52         624 SH      OTHER   8, 10                     624           0
MORGAN STANLEY DEAN WITTE  SH BEN INT 61745P452             82      10,221 SH      SHARED  10                     10,221           0
MORGAN STANLEY DEAN WITTE  COM SHS BE 61745P866             97       7,100 SH      SHARED  10                      7,100           0
                                                            40       2,939 SH      OTHER   10                      2,939           0
MOTOROLA INC               COM        620076109         28,970     198,632 SH      SHARED  10                    198,332         300
                                                            37         250 SH      SHARED  2, 10                     250           0
                                                        33,171     227,200 SH      SHARED  4, 10                 227,200           0
                                                         3,548      24,300 SH      SHARED  7, 10                  24,300           0
                                                            44         300 SH      SHARED  8, 10                     300           0
                                                        16,482     112,890 SH      OTHER   10                    112,890           0
                                                         4,464      30,576 SH      OTHER   7, 10                  30,576           0
                                                           161       1,104 SH      OTHER   8, 10                   1,104           0
MURPHY OIL CORP            COM        626717102          5,025      87,200 SH      SHARED  4, 10                  87,200           0
MUSICLAND STORES CORP      COM        62758B109            233      36,600 SH      SHARED  4, 10                  36,600           0
MYERS INDS INC             COM        628464109            918      76,500 SH      SHARED  4, 10                  76,500           0
MYLAN LABS INC             COM        628530107             28       1,000 SH      SHARED  10                      1,000           0
                                                         5,979     217,400 SH      SHARED  4, 10                 217,400           0
N B T BANCORP INC          COM        628778102            218      15,000 SH      SHARED  4, 10                  15,000           0
NCI BUILDING SYSTEMS INC   COM        628852105            911      48,400 SH      SHARED  4, 10                  48,400           0
NTL INCORPORATED           COM        629407107            247       2,656 SH      OTHER   10                      2,656           0
NVR INC                    COM NEW    62944T105          1,118      20,700 SH      SHARED  4, 10                  20,700           0
NABISCO GROUP HOLDING COR  COMMON     62952P102            270      22,400 SH      SHARED  10                     22,400           0
                                                            79       6,559 SH      OTHER   10                      6,559           0
NABORS INDUSTRIES INC      COM        629568106          1,149      29,597 SH      SHARED  10                     29,597           0
                                                         1,622      41,800 SH      SHARED  4, 10                  41,800           0
                                                            21         545 SH      OTHER   10                        545           0
NACCO INDS INC             CL A       629579103            853      17,800 SH      SHARED  4, 10                  17,800           0
NANOVATION TECHNOLOGIES I  COM        630085108             27       3,000 SH      SHARED  10                      3,000           0
                                                           148      16,444 SH      OTHER   10                     16,444           0
NASDAQ-100 TRUST           COM        631100104            196       1,792 SH      SHARED  10                      1,792           0
                                                           329       3,000 SH      OTHER   10                      3,000           0
NATIONAL CITY CORP         COM        635405103            290      14,064 SH      SHARED  10                      5,600       8,464
                                                         4,125     200,000 SH      SHARED  4, 10                 200,000           0
                                                            93       4,500 SH      SHARED  7, 10                   4,500           0
                                                            58       2,800 SH      SHARED  8, 10                   2,800           0
                                                         3,328     161,380 SH      OTHER   10                    161,380           0
                                                           333      16,128 SH      OTHER   7, 10                  16,128           0
NATIONAL COMPUTER SYS INC  COM        635519101             72       1,425 SH      SHARED  10                          0       1,425
                                                         2,974      58,600 SH      SHARED  4, 10                  58,600           0
NATIONAL DATA CORP         COM        635621105            785      30,200 SH      SHARED  4, 10                  30,200           0
NATIONAL FUEL GAS CO       COM        636180101            242       5,426 SH      SHARED  10                      5,426           0
                                                         1,934      43,400 SH      SHARED  4, 10                  43,400           0
                                                            40         900 SH      OTHER   10                        900           0
                                                             9         200 SH      OTHER   8, 10                     200           0
NATIONAL PENN BANCSHARES   COM $5 PAR 637138108             85       4,200 SH      OTHER   10                      4,200           0
                                                           264      13,016 SH      OTHER   8, 10                  13,016           0
NATIONAL SEMICONDUCTOR CO  COM        637640103             30         500 SH      SHARED  10                        500           0
                                                         8,432     138,800 SH      SHARED  4, 10                 138,800           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           677      11,150 SH      OTHER   10                     11,150           0
NATL SVC INDUS INC         COM        637657107            636      30,176 SH      SHARED  10                     22,176       8,000
                                                        18,464     876,600 SH      SHARED  4, 10                 876,600           0
                                                            34       1,600 SH      SHARED  8, 10                   1,600           0
                                                           703      33,400 SH      OTHER   10                     33,000         400
NAUTICA ENTERPRISES INC    COM        639089101            940      80,000 SH      SHARED  4, 10                  80,000           0
NAVIGANT CONSULTING CO     COM        63935N107            591      53,700 SH      SHARED  4, 10                  53,700           0
NEIMAN-MARCUS GROUP INC    CL A COM   640204202          3,285     118,100 SH      SHARED  4, 10                 118,100           0
NETWORK ASSOCIATES INC     COM        640938106          2,386      73,975 SH      SHARED  10                     73,900          75
                                                         4,447     137,900 SH      SHARED  4, 10                 137,900           0
                                                           306       9,500 SH      SHARED  8, 10                   9,500           0
                                                           710      22,020 SH      OTHER   10                     22,020           0
                                                            48       1,500 SH      OTHER   7, 10                   1,500           0
                                                           387      12,000 SH      OTHER   8, 10                  12,000           0
NETWORK APPLIANCE INC      COM        64120L104            400       4,830 SH      SHARED  10                      4,830           0
                                                           488       5,900 SH      OTHER   10                      5,900           0
NEW CENTURY ENERGIES INC   COM        64352U103          1,813      60,300 SH      SHARED  10                     59,300       1,000
                                                            10         332 SH      OTHER   10                        332           0
                                                            74       2,452 SH      OTHER   8, 10                   2,452           0
NEW JERSEY RES CORP        COM        646025106          1,411      33,000 SH      SHARED  4, 10                  33,000           0
NEW PLAN EXCEL REALTY TRU  COMMON     648053106            145      10,540 SH      SHARED  10                     10,540           0
                                                           169      12,300 SH      OTHER   10                     12,300           0
                                                            28       2,000 SH      OTHER   7, 10                   2,000           0
NEW YORK TIMES CO          CL A       650111107            247       5,762 SH      SHARED  10                      5,762           0
                                                            65       1,520 SH      OTHER   10                      1,520           0
                                                           349       8,122 SH      OTHER   7, 10                   8,122           0
NEWELL RUBBERMAID INC      COMMON     651229106            124       4,988 SH      SHARED  10                      4,988           0
                                                           551      22,219 SH      OTHER   10                     22,219           0
NEWFIELD EXPLORATION CO    COM        651290108          1,107      31,400 SH      SHARED  4, 10                  31,400           0
NEWS CORP LTD              ADR NEW    652487703            748      13,300 SH      SHARED  10                     13,300           0
                                                            97       1,725 SH      OTHER   10                      1,725           0
NIAGARA BANCORP INC        COMMON     652914102            371      38,000 SH      SHARED  4, 10                  38,000           0
NEXTEL COMMUNICATIONS INC  CL A COM   65332V103            530       3,578 SH      SHARED  10                      3,578           0
                                                         3,706      25,000 SH      SHARED  4, 10                  25,000           0
                                                           689       4,650 SH      OTHER   10                      4,650           0
NEXTLINK COMMUNICATIONS I  CL A COMMO 65333H707            247       2,000 SH      SHARED  10                      2,000           0
                                                         3,055      24,700 SH      OTHER   10                     24,700           0
NEXT LEVEL COMMUNICATION   COMMON     65333U104            261       2,400 SH      SHARED  4, 10                   2,400           0
NIKE INC                   CL B       654106103            254       6,420 SH      SHARED  10                      6,420           0
                                                            24         600 SH      OTHER   10                        600           0
NOBLE AFFILIATES INC       COM        654894104          5,211     158,800 SH      SHARED  4, 10                 158,800           0
NOKIA CORP                 SPONSORED  654902204         42,084     189,628 SH      SHARED  10                    187,678       1,950
                                                            22         100 SH      SHARED  2, 10                     100           0
                                                           121         545 SH      SHARED  7, 10                     545           0
                                                           122         550 SH      SHARED  8, 10                     550           0
                                                        24,464     110,200 SH      OTHER   10                    110,100         100
                                                           165         745 SH      OTHER   7, 10                     745           0
                                                           422       1,900 SH      OTHER   8, 10                   1,900           0
NOBLE DRILLING CORP        COM        655042109            103       2,500 SH      SHARED  10                      2,500           0
                                                         1,593      38,500 SH      SHARED  4, 10                  38,500           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
NORDSTROM INC              COM        655664100            127       4,300 SH      SHARED  10                      4,300           0
                                                         9,670     327,800 SH      SHARED  4, 10                 327,800           0
NORFOLK SOUTHERN CORP      COM        655844108          9,540     669,463 SH      SHARED  10                    666,913       2,550
                                                         3,400     238,600 SH      SHARED  4, 10                 238,600           0
                                                           259      18,165 SH      SHARED  7, 10                  18,165           0
                                                            19       1,350 SH      SHARED  8, 10                   1,350           0
                                                         6,501     456,194 SH      OTHER   10                    456,194           0
                                                           696      48,850 SH      OTHER   7, 10                  48,850           0
                                                           133       9,342 SH      OTHER   8, 10                   9,342           0
NORTEL NETWORKS CORP       COMMON     656569100            550       4,361 SH      SHARED  10                      4,361           0
                                                        42,479     336,800 SH      SHARED  4, 10                 336,800           0
                                                         5,212      41,325 SH      OTHER   10                     41,325           0
NORTH FORK BANCORP         COM        659424105            590      33,000 SH      SHARED  10                     33,000           0
                                                         5,209     291,400 SH      SHARED  4, 10                 291,400           0
NORTHERN STS PWR CO MINN   COM        665772109            111       5,586 SH      SHARED  10                      5,586           0
                                                         1,737      87,400 SH      SHARED  4, 10                  87,400           0
                                                            11         572 SH      SHARED  7, 10                     572           0
                                                           161       8,076 SH      OTHER   10                      8,076           0
NORTHERN TR CORP           COM        665859104         10,027     148,416 SH      SHARED  10                    148,416           0
                                                         2,319      34,328 SH      OTHER   10                     34,328           0
NORTHROP GRUMMAN CORP      COM        666807102          8,248     155,800 SH      SHARED  4, 10                 155,800           0
NORTHWESTERN CORPORATION   COMMON     668074107          1,122      54,400 SH      SHARED  4, 10                  54,400           0
NOVA CORP GEORGIA          COM        669784100            195       6,700 SH      SHARED  10                      1,400       5,300
                                                         1,264      43,400 SH      SHARED  4, 10                  43,400           0
NOVACARE INC               COM        669930109             16      77,896 SH      SHARED  4, 10                  77,896           0
NOVELL INC                 COM        670006105            143       5,000 SH      SHARED  10                      5,000           0
                                                         2,316      80,900 SH      SHARED  4, 10                  80,900           0
                                                            33       1,150 SH      SHARED  8, 10                   1,150           0
                                                           358      12,500 SH      OTHER   10                     12,500           0
NOVELLUS SYS INC           COM        670008101             84       1,500 SH      SHARED  10                      1,500           0
                                                         7,712     137,400 SH      SHARED  4, 10                 137,400           0
NSTAR                      COMMON     67019E107          1,696      40,385 SH      SHARED  10                     40,385           0
                                                            76       1,800 SH      OTHER   10                      1,800           0
N2H2 INC                   COM        67019F104            283      20,000 SH      SHARED  10                     20,000           0
NUCOR CORP                 COM        670346105            173       3,466 SH      SHARED  10                      3,466           0
                                                           890      17,800 SH      SHARED  4, 10                  17,800           0
                                                           154       3,076 SH      OTHER   10                      3,076           0
NVIDIA CORP                COMMON     67066G104            811       9,600 SH      SHARED  4, 10                   9,600           0
OGE ENERGY CORP            COM        670837103          3,809     198,500 SH      SHARED  4, 10                 198,500           0
                                                            31       1,600 SH      OTHER   10                      1,600           0
                                                             3         134 SH      OTHER   7, 10                     134           0
NUVEEN MUN VALUE FD INC    COM        670928100             35       4,200 SH      SHARED  10                      4,200           0
                                                            76       8,962 SH      OTHER   10                      8,962           0
OSI PHARMACEUTICALS INC    COM        671040103            195      10,000 SH      SHARED  10                     10,000           0
                                                           195      10,000 SH      OTHER   10                     10,000           0
OCCIDENTAL PETE CORP       COM        674599105            378      18,224 SH      SHARED  10                     18,224           0
                                                         5,459     263,100 SH      SHARED  4, 10                 263,100           0
                                                            73       3,508 SH      OTHER   10                      3,508           0
OCEAN ENERGY INC NEW       COMMON     67481E106            144      10,000 SH      SHARED  10                     10,000           0
OCEANEERING INTL INC       COM        675232102            806      43,000 SH      SHARED  4, 10                  43,000           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
OCEANFIRST FINANCIAL CORP  COMMON     675234108            922      58,800 SH      SHARED  4, 10                  58,800           0
OCTEL CORP                 COMMON     675727101              3         287 SH      SHARED  10                        287           0
                                                           205      21,000 SH      SHARED  4, 10                  21,000           0
                                                             3         271 SH      OTHER   10                        271           0
                                                             1          75 SH      OTHER   8, 10                      75           0
OCULAR SCIENCES INC        COM        675744106            472      30,000 SH      SHARED  4, 10                  30,000           0
OFFICE DEPOT INC           COM        676220106             35       3,000 SH      SHARED  10                      3,000           0
                                                         1,789     154,700 SH      SHARED  4, 10                 154,700           0
                                                            82       7,119 SH      OTHER   10                      7,119           0
                                                            23       1,950 SH      OTHER   8, 10                   1,950           0
OFFSHORE LOGISTICS INC     COM        676255102            984      70,900 SH      SHARED  4, 10                  70,900           0
OGDEN CORP                 COM        676346109          1,384     115,900 SH      SHARED  4, 10                 115,900           0
OLD REP INTL CORP          COM        680223104          9,490     690,200 SH      SHARED  4, 10                 690,200           0
OLIN CORP                  COM $1 PAR 680665205            341      19,236 SH      SHARED  10                     19,236           0
                                                            18       1,000 SH      OTHER   10                      1,000           0
OMNICARE INC               COM        681904108          1,373     113,800 SH      SHARED  4, 10                 113,800           0
OMNICOM GROUP              COM        681919106          1,820      19,443 SH      SHARED  10                     17,843       1,600
                                                         1,741      18,600 SH      OTHER   10                     18,600           0
OMNIPOINT CORP             COM        68212D102         58,768     479,000 SH      SHARED  10                    479,000           0
OMNOVA SOLUTIONS INC       COM        682129101            508      90,300 SH      SHARED  4, 10                  90,300           0
ON ASSIGNMENT INC          COM        682159108          1,085      24,100 SH      SHARED  4, 10                  24,100           0
ONEOK INC                  COM        682680103             75       3,000 SH      SHARED  10                      3,000           0
                                                         1,223      48,900 SH      SHARED  4, 10                  48,900           0
ORACLE CORP                COM        68389X105         37,200     476,540 SH      SHARED  10                    474,040       2,500
                                                        71,514     916,100 SH      SHARED  4, 10                 916,100           0
                                                           827      10,600 SH      SHARED  7, 10                  10,600           0
                                                           312       4,000 SH      SHARED  8, 10                   4,000           0
                                                        21,278     272,574 SH      OTHER   10                    272,424         150
                                                           234       3,000 SH      OTHER   7, 10                   3,000           0
                                                           468       6,000 SH      OTHER   8, 10                   6,000           0
OREGON STL MLS INC         COM        686079104          1,218     314,300 SH      SHARED  4, 10                 314,300           0
O'REILLY AUTOMOTIVE        COMMON     686091109          1,115      78,600 SH      SHARED  10                     78,600           0
ORTEL CORP                 COM        68749W102             56         300 SH      SHARED  10                        300           0
                                                           319       1,700 SH      OTHER   10                      1,700           0
ORTHODONTIC CENTERS OF AM  COM        68750P103            731      39,000 SH      SHARED  10                     39,000           0
                                                           920      48,400 SH      SHARED  4, 10                  48,400           0
OSTEOTECH INC              COM        688582105            441      33,000 SH      SHARED  4, 10                  33,000           0
OTTER TAIL PWR CO          COM        689648103              8         400 SH      SHARED  10                        400           0
                                                           766      38,400 SH      SHARED  4, 10                  38,400           0
OUTBACK STEAKHOUSE INC     COM        689899102             19         600 SH      SHARED  10                        600           0
                                                         3,485     108,700 SH      SHARED  4, 10                 108,700           0
OWENS ILL INC              COM NEW    690768403            597      35,400 SH      SHARED  4, 10                  35,400           0
OXFORD HEALTH PLANS INC    COM        691471106          2,480     162,600 SH      SHARED  4, 10                 162,600           0
                                                            31       2,000 SH      OTHER   10                      2,000           0
OXFORD INDS INC            COM        691497309            524      28,900 SH      SHARED  4, 10                  28,900           0
PC CONNECTION INC          COM        69318J100            384      13,600 SH      SHARED  4, 10                  13,600           0
PDG ENVIRONMENTAL INC      COM        693283103              0           1 SH      SHARED  10                          1           0
PECO ENERGY CO             COM        693304107            236       6,396 SH      SHARED  10                      6,396           0
                                                           148       4,000 SH      SHARED  8, 10                   4,000           0
                                                           142       3,863 SH      OTHER   10                      3,863           0
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
P G & E CORPORATION        COM        69331C108            179       8,542 SH      SHARED  10                      8,542           0
                                                         8,604     409,700 SH      SHARED  4, 10                 409,700           0
                                                           120       5,728 SH      OTHER   10                      5,728           0
PFF BANCORP INC            COM        69331W104            715      46,100 SH      SHARED  4, 10                  46,100           0
PE CORP PE BIOSYSTEMS GRO  COMMON     69332S102          3,946      40,894 SH      SHARED  10                     40,279         615
                                                         1,433      14,850 SH      OTHER   10                     14,850           0
PE CORP PE BIOSYSTEMS GRO  COM        69332S201            449       4,875 SH      SHARED  10                      4,875           0
                                                         1,585      17,200 SH      SHARED  4, 10                  17,200           0
                                                           415       4,500 SH      OTHER   10                      4,500           0
PIMCO ADVISORS HOLDINGS L  UNIT LTD P 69338P102            158       4,136 SH      SHARED  10                      4,136           0
                                                           179       4,670 SH      OTHER   10                      4,670           0
PLX TECHNOLOGY INC         COMMON     693417107          2,215      59,500 SH      SHARED  4, 10                  59,500           0
PMA CAPITAL CORPORATION    CL A COMMO 693419202          1,091      62,325 SH      OTHER   8, 10                  62,325           0
PMC - SIERRA INC           COM        69344F106            942       4,624 SH      SHARED  10                      4,624           0
PMI GROUP INC              COM        69344M101          5,949     125,400 SH      SHARED  4, 10                 125,400           0
PNC FINANCIAL SERVICES GR  COMMON     693475105            274       6,080 SH      SHARED  10                      6,080           0
PPG INDUSTRIES INC         COM        693506107            815      15,575 SH      SHARED  10                      9,575       6,000
                                                         6,581     125,800 SH      SHARED  4, 10                 125,800           0
                                                         1,174      22,434 SH      OTHER   10                     22,434           0
PPL CORPORATION            COMMON     69351T106             79       3,770 SH      SHARED  10                      3,770           0
                                                         9,996     477,400 SH      SHARED  4, 10                 477,400           0
                                                            42       2,000 SH      SHARED  8, 10                   2,000           0
                                                           102       4,850 SH      OTHER   10                      4,850           0
                                                            29       1,400 SH      OTHER   8, 10                   1,400           0
PACIFIC CENTURY FINANCIAL  COM        694058108             28       1,400 SH      SHARED  10                      1,400           0
                                                         1,194      58,800 SH      SHARED  4, 10                  58,800           0
                                                            64       3,150 SH      OTHER   10                      3,150           0
PACIFICARE HEALTH SYSTEMS  COMMON     695112102          8,000     160,400 SH      SHARED  4, 10                 160,400           0
PAINE WEBBER GROUP INC     COM        695629105             33         750 SH      SHARED  10                        750           0
                                                        13,231     300,700 SH      SHARED  4, 10                 300,700           0
PALL CORP                  COM        696429307            301      13,405 SH      SHARED  10                     13,405           0
PAPA JOHNS INTL INC        COM        698813102            792      24,000 SH      SHARED  4, 10                  24,000           0
PARAMETRIC TECHNOLOGY COR  COM        699173100             62       2,961 SH      SHARED  10                      2,961           0
                                                         1,255      59,600 SH      SHARED  4, 10                  59,600           0
                                                            56       2,680 SH      OTHER   10                      2,680           0
PAREXEL INTERNATIONAL COR  COM        699462107            269      28,500 SH      SHARED  4, 10                  28,500           0
PARK PLACE ENTERTAINMENT   COMMON     700690100            231      20,000 SH      SHARED  10                     20,000           0
                                                         4,838     418,400 SH      SHARED  4, 10                 418,400           0
PARKER DRILLING CO         COM        701081101            450      90,000 SH      SHARED  10                     90,000           0
PARKER HANNIFIN CORP       COM        701094104            132       3,185 SH      SHARED  10                      3,185           0
                                                            43       1,050 SH      SHARED  4, 10                   1,050           0
                                                            12         300 SH      SHARED  8, 10                     300           0
                                                           611      14,791 SH      OTHER   10                     14,791           0
                                                           121       2,925 SH      OTHER   7, 10                   2,925           0
                                                             1          27 SH      OTHER   8, 10                      27           0
PARKWAY PROPERTIES INC     COM        70159Q104            406      13,800 SH      SHARED  4, 10                  13,800           0
PAYCHEX                    COM        704326107            854      16,300 SH      SHARED  10                     16,300           0
                                                            24         450 SH      OTHER   10                        450           0
PENN TREATY AMERN CORP     COM        707874103            743      44,500 SH      SHARED  4, 10                  44,500           0
PENNEY J C INC             COM        708160106              9         600 SH      SHARED  10                        600           0
</TABLE>






<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                         5,563     373,971 SH      SHARED  4, 10                 373,971           0
                                                            39       2,640 SH      OTHER   10                      2,640           0
PENNICHUCK CORP            COM        708254206            349      15,858 SH      SHARED  10                     15,858           0
PENTAIR INDS INC           COM        709631105             41       1,100 SH      SHARED  10                      1,100           0
                                                           159       4,300 SH      OTHER   10                      4,300           0
PEOPLESOFT INC             COM        712713106            468      23,410 SH      SHARED  10                     23,210         200
                                                           170       8,500 SH      SHARED  8, 10                   8,500           0
                                                             5         250 SH      OTHER   10                        250           0
                                                           100       5,000 SH      OTHER   8, 10                   5,000           0
PEPSICO INC                COM        713448108         57,655   1,653,338 SH      SHARED  10                  1,637,138      16,200
                                                        11,697     335,400 SH      SHARED  4, 10                 335,400           0
                                                         6,525     187,100 SH      SHARED  7, 10                 187,100           0
                                                         1,315      37,700 SH      SHARED  8, 10                  37,700           0
                                                        52,595   1,508,095 SH      OTHER   10                  1,508,095           0
                                                         2,626      75,300 SH      OTHER   7, 10                  75,300           0
                                                           903      25,900 SH      OTHER   8, 10                  25,900           0
PEREGRINE SYSTEMS INC      COM        71366Q101            537       8,000 SH      OTHER   10                      8,000           0
PHARMACYCLICS INC          COM        716933106            334       6,000 SH      SHARED  4, 10                   6,000           0
PHARMACIA & UPJOHN INC     COM        716941109          4,838      83,234 SH      SHARED  10                     82,634         600
                                                         4,939      83,000 SH      SHARED  4, 10                  83,000           0
                                                           314       5,275 SH      OTHER   10                      5,275           0
PFIZER INC                 COM        717081103         43,270   1,183,448 SH      SHARED  10                  1,180,148       3,300
                                                           120       3,282 SH      SHARED  2, 10                   3,282           0
                                                           101       2,772 SH      SHARED  3, 10                   2,772           0
                                                        52,336   1,431,400 SH      SHARED  4, 10               1,431,400           0
                                                            73       2,000 SH      SHARED  7, 10                   2,000           0
                                                         2,206      60,322 SH      SHARED  8, 10                  60,322           0
                                                        39,917   1,091,720 SH      OTHER   10                  1,091,720           0
                                                           293       8,000 SH      OTHER   7, 10                   8,000           0
                                                           501      13,700 SH      OTHER   8, 10                  13,700           0
PHARMACEUTICAL PRODUCT DE  COM        717124101            679      40,100 SH      SHARED  4, 10                  40,100           0
PHELPS DODGE CORP          COM        717265102             97       2,041 SH      SHARED  10                      2,041           0
                                                         3,875      81,796 SH      SHARED  4, 10                  81,796           0
                                                            28         600 SH      SHARED  7, 10                     600           0
                                                            21         444 SH      OTHER   10                        444           0
PHILIP MORRIS COS INC      COM        718154107          1,292      61,144 SH      SHARED  10                     61,144           0
                                                         3,839     181,730 SH      SHARED  2, 10                 181,730           0
                                                        43,864   2,076,400 SH      SHARED  4, 10               2,076,400           0
                                                             7         350 SH      SHARED  7, 10                     350           0
                                                            42       2,000 SH      SHARED  8, 10                   2,000           0
                                                         3,466     164,066 SH      OTHER   10                    164,066           0
                                                            27       1,300 SH      OTHER   7, 10                   1,300           0
                                                            36       1,700 SH      OTHER   8, 10                   1,700           0
PHILLIPS PETE CO           COM        718507106            468      10,112 SH      SHARED  10                     10,112           0
                                                         9,962     215,400 SH      SHARED  4, 10                 215,400           0
PHOENIX TECHNOLOGY LTD     COM        719153108            321      15,200 SH      SHARED  4, 10                  15,200           0
PIEDMONT NAT GAS INC       COM        720186105             51       1,959 SH      SHARED  10                      1,959           0
                                                           730      28,000 SH      SHARED  4, 10                  28,000           0
                                                           814      31,224 SH      OTHER   10                     31,224           0
PILGRIMS PRIDE CORP        CL A COM   721467207            174      35,750 SH      SHARED  4, 10                  35,750           0
</TABLE>



<PAGE>




FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
PINNACLE HOLDING INC       COMMON     72346N101             43         800 SH      SHARED  10                        800           0
                                                         1,021      19,000 SH      SHARED  4, 10                  19,000           0
PINNACLE WEST CAP CORP     COM        723484101            139       4,941 SH      SHARED  10                      4,941           0
                                                         4,318     153,200 SH      SHARED  4, 10                 153,200           0
                                                            11         400 SH      OTHER   10                        400           0
PIONEER NATURAL RESOURCES  COM        723787107            315      30,000 SH      SHARED  4, 10                  30,000           0
PITNEY BOWES INC           COM        724479100         17,177     384,384 SH      SHARED  10                    373,074      11,310
                                                         8,321     186,200 SH      SHARED  4, 10                 186,200           0
                                                           656      14,676 SH      SHARED  7, 10                  14,676           0
                                                           313       7,010 SH      SHARED  8, 10                   7,010           0
                                                        11,749     262,923 SH      OTHER   10                    262,923           0
                                                            36         800 SH      OTHER   7, 10                     800           0
                                                            95       2,127 SH      OTHER   8, 10                   2,127           0
PITTSTON BAX GROUP         BRINKS GRO 725701106            600      35,300 SH      SHARED  4, 10                  35,300           0
                                                             7         390 SH      OTHER   10                        390           0
PLANTRONCIS INC            COM        727493108          1,454      15,600 SH      SHARED  4, 10                  15,600           0
                                                           186       2,000 SH      OTHER   10                      2,000           0
PLAYTEX PRODUCTS INC       COM        72813P100            146      11,200 SH      SHARED  10                          0      11,200
PLEXUS CORP                COM        729132100          2,252      33,800 SH      SHARED  4, 10                  33,800           0
POHANG IRON & STEEL        ADR        730450103            424      15,400 SH      SHARED  10                     15,400           0
POLARIS INDS INC           COM        731068102            542      18,000 SH      SHARED  4, 10                  18,000           0
POLICY MGMT SYS CORP       COM        731108106             66       5,500 SH      SHARED  10                      5,500           0
                                                           871      72,600 SH      SHARED  4, 10                  72,600           0
POLYCOM INC                COM        73172K104            325       4,100 SH      SHARED  4, 10                   4,100           0
POST PROPERTIES INC        COM        737464107          8,412     208,658 SH      SHARED  10                    207,658       1,000
                                                            71       1,751 SH      SHARED  2, 10                   1,751           0
                                                            58       1,445 SH      SHARED  3, 10                   1,445           0
                                                            40       1,000 SH      SHARED  7, 10                   1,000           0
                                                         1,045      25,924 SH      OTHER   10                     25,924           0
POTASH CORP SASH INC       COM        73755L107            246       4,913 SH      SHARED  10                      4,913           0
POTOMAC ELECTRIC POWER CO  COM        737679100            123       5,445 SH      SHARED  10                      5,445           0
                                                           457      20,200 SH      SHARED  4, 10                  20,200           0
                                                           256      11,316 SH      OTHER   10                     11,316           0
                                                             5         200 SH      OTHER   8, 10                     200           0
POWER INTEGRATIONS INC     COM        739276103            620      24,800 SH      SHARED  4, 10                  24,800           0
POWER-ONE INC              COM        739308104             85       1,400 SH      SHARED  10                      1,400           0
                                                           948      15,700 SH      SHARED  4, 10                  15,700           0
POWERTEL INC               COM        73936C109            844      12,200 SH      SHARED  4, 10                  12,200           0
POWERWAVE TECHNOLOGIES IN  COM        739363109             13         100 SH      SHARED  10                        100           0
                                                           850       6,800 SH      SHARED  4, 10                   6,800           0
PRAXAIR INC                COM        74005P104             85       2,050 SH      SHARED  10                      2,050           0
                                                           604      14,500 SH      SHARED  4, 10                  14,500           0
                                                            57       1,369 SH      OTHER   10                      1,369           0
PRE PAID LEGAL SVCS INC    COM        740065107            436      14,700 SH      SHARED  4, 10                  14,700           0
                                                             3         100 SH      OTHER   10                        100           0
PRECISION CASTPARTS CORP   COM        740189105            509      13,947 SH      SHARED  10                     13,947           0
                                                         3,898     106,800 SH      SHARED  4, 10                 106,800           0
                                                           200       5,489 SH      OTHER   10                      5,489           0
PREMIER PARKS INC          COM        740540208          2,037      97,000 SH      SHARED  4, 10                  97,000           0
PRENTISS PROPERTIES TRUST  SH BEN INT 740706106             11         500 SH      SHARED  10                        500           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           493      22,100 SH      SHARED  4, 10                  22,100           0
PRICE T ROWE & ASSOC INC   COM        741477103         35,580     900,760 SH      SHARED  10                    896,460       4,300
                                                         1,762      44,600 SH      SHARED  7, 10                  44,600           0
                                                           435      11,000 SH      SHARED  8, 10                  11,000           0
                                                        12,965     328,239 SH      OTHER   10                    328,239           0
                                                           257       6,500 SH      OTHER   7, 10                   6,500           0
                                                           237       6,000 SH      OTHER   8, 10                   6,000           0
PRIME GROUP REALTY TRUST   COM        74158J103            233      16,300 SH      SHARED  4, 10                  16,300           0
PRIMUS TELECOMMUNICATIONS  COM        741929103          1,034      20,000 SH      SHARED  10                     20,000           0
                                                           558      10,800 SH      SHARED  4, 10                  10,800           0
PRIORITY HEALTHCARE CORP   COM CL-B   74264T102          1,382      27,500 SH      SHARED  4, 10                  27,500           0
PROCTER & GAMBLE CO        COM        742718109         83,254   1,473,582 SH      SHARED  10                  1,463,982       9,600
                                                         1,808      32,000 SH      SHARED  2, 10                  32,000           0
                                                         8,441     149,400 SH      SHARED  4, 10                 149,400           0
                                                        10,613     187,836 SH      SHARED  7, 10                 187,836           0
                                                         4,464      79,000 SH      SHARED  8, 10                  79,000           0
                                                        87,548   1,549,528 SH      OTHER   10                  1,549,413         115
                                                         6,662     117,906 SH      OTHER   7, 10                 117,906           0
                                                         1,639      29,008 SH      OTHER   8, 10                  29,008           0
PROFIT RECOVERY GROUP INT  COM        743168106            786      42,500 SH      SHARED  10                     42,500           0
                                                           300      16,200 SH      SHARED  4, 10                  16,200           0
PROGENICS PHARMACEUTICALS  COMMON     743187106          1,750      25,000 SH      SHARED  10                     25,000           0
PROGRESS SOFTWARE CORP     COM        743312100            315      13,450 SH      SHARED  10                      8,600       4,850
                                                         1,617      69,000 SH      SHARED  4, 10                  69,000           0
PROGRESSIVE CORP OHIO      COM        743315103            958      12,600 SH      SHARED  10                     12,600           0
                                                            15         200 SH      OTHER   10                        200           0
PROJECT SOFTWARE & DEVELO  COM        74339P101            842      14,900 SH      SHARED  4, 10                  14,900           0
PROLOGIS TRUST             SHS BEN IN 743410102          1,301      67,600 SH      SHARED  10                     60,600       7,000
                                                           462      23,994 SH      OTHER   10                     23,994           0
PROTECTIVE LIFE CORP CAP   COM        743674103          3,078      96,950 SH      SHARED  10                     95,150       1,800
                                                            73       2,298 SH      SHARED  2, 10                   2,298           0
                                                            62       1,942 SH      SHARED  3, 10                   1,942           0
                                                         2,851      89,800 SH      SHARED  4, 10                  89,800           0
                                                           476      15,000 SH      SHARED  8, 10                  15,000           0
                                                           459      14,472 SH      OTHER   10                     14,472           0
PROTEIN DESIGN LABS INC    COM        74369L103          2,131      26,800 SH      SHARED  10                     26,800           0
                                                           413       5,200 SH      SHARED  4, 10                   5,200           0
PROVIDENT FINANCIAL GROUP  COMMON     743866105          4,302     126,300 SH      SHARED  4, 10                 126,300           0
PROVIDIAN FINANCIAL CORP   COM        74406A102            682       7,875 SH      SHARED  10                      7,875           0
                                                         3,889      44,900 SH      SHARED  4, 10                  44,900           0
                                                         1,848      21,338 SH      OTHER   10                     21,338           0
PROXICOM INC               COM        744282104            248       5,600 SH      SHARED  10                      5,600           0
                                                           381       8,600 SH      SHARED  4, 10                   8,600           0
PUBLIC SVC CO N MEX        COM        744499104              3         197 SH      SHARED  10                        197           0
                                                         4,210     267,300 SH      SHARED  4, 10                 267,300           0
PUBLIC SVC ENTERPRISE GRO  COM        744573106            314      10,589 SH      SHARED  10                     10,589           0
                                                        22,417     756,700 SH      SHARED  4, 10                 756,700           0
                                                           309      10,415 SH      OTHER   10                     10,415           0
                                                             5         166 SH      OTHER   7, 10                     166           0
                                                            27         900 SH      OTHER   8, 10                     900           0
</TABLE>





<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
PUBLIC STORAGE INC         COM        74460D109          1,050      50,000 SH      OTHER   10                     50,000           0
PUGET SOUND ENERGY INC     COM        745332106          3,610     162,700 SH      SHARED  4, 10                 162,700           0
                                                            22       1,000 SH      OTHER   10                      1,000           0
PULITZER INC               COMMON     745769109            564      13,800 SH      SHARED  4, 10                  13,800           0
PULTE CORP                 COM        745867101            188       9,000 SH      SHARED  10                      9,000           0
                                                           816      39,100 SH      SHARED  4, 10                  39,100           0
QLT PHOTOTHERAPEUTICS INC  COMMON     746927102            687      12,435 SH      SHARED  10                     12,435           0
QRS CORP                   COMMON     74726X105            128       1,700 SH      SHARED  10                        100       1,600
                                                           151       2,000 SH      SHARED  4, 10                   2,000           0
QLOGIC CORP                COM        747277101          8,742      64,520 SH      SHARED  10                     64,520           0
                                                         8,130      60,000 SH      SHARED  4, 10                  60,000           0
                                                           569       4,200 SH      OTHER   10                      4,200           0
QUAKER OATS CO             COM        747402105          1,045      17,230 SH      SHARED  10                     17,230           0
                                                            73       1,200 SH      SHARED  8, 10                   1,200           0
                                                         1,655      27,300 SH      OTHER   10                     27,300           0
QUALCOMM INC               COM        747525103          2,888      19,345 SH      SHARED  10                     19,345           0
                                                         3,584      24,000 SH      SHARED  2, 10                  24,000           0
                                                        30,818     206,400 SH      SHARED  4, 10                 206,400           0
                                                            75         500 SH      SHARED  7, 10                     500           0
                                                            52         350 SH      SHARED  8, 10                     350           0
                                                        21,156     141,688 SH      OTHER   10                    141,688           0
QUANTA SERVICES INC        COM        74762E102          1,214      20,000 SH      SHARED  10                     20,000           0
QUANEX CORP                COM        747620102          1,019      56,600 SH      SHARED  4, 10                  56,600           0
QUANTUM CORP               DSSG COMMO 747906204          2,538     212,600 SH      SHARED  4, 10                 212,600           0
QUANTUM CORP               HDDG COMMO 747906303             19       1,700 SH      SHARED  10                      1,700           0
                                                           125      11,100 SH      SHARED  4, 10                  11,100           0
QUEST DIAGNOSTICS INC      COM        74834L100             84       2,122 SH      SHARED  10                      2,122           0
                                                           485      12,200 SH      SHARED  4, 10                  12,200           0
                                                             6         150 SH      SHARED  8, 10                     150           0
                                                            32         813 SH      OTHER   10                        813           0
QUESTAR CORP               COM        748356102             19       1,000 SH      SHARED  10                      1,000           0
                                                         3,648     196,500 SH      SHARED  4, 10                 196,500           0
QUORUM HEALTH GROUP INC    COM        749084109             52       5,200 SH      SHARED  10                      5,200           0
                                                         1,492     148,300 SH      SHARED  4, 10                 148,300           0
QWEST COMMUNICATIONS INTE  COM        749121109         16,593     345,619 SH      SHARED  10                    338,169       7,450
                                                            65       1,345 SH      SHARED  7, 10                   1,345           0
                                                           124       2,585 SH      SHARED  8, 10                   2,585           0
                                                        12,121     252,526 SH      OTHER   10                    252,231         295
                                                            34         700 SH      OTHER   7, 10                     700           0
                                                           144       3,000 SH      OTHER   8, 10                   3,000           0
R H DONNELLEY CORP         COMMON NEW 74955W307              3         199 SH      SHARED  10                        199           0
                                                           179      10,500 SH      SHARED  4, 10                  10,500           0
                                                            10         560 SH      OTHER   10                        560           0
RGS ENERGY GROUP INC       COMMON     74956K104            941      44,300 SH      SHARED  4, 10                  44,300           0
RADIAN GROUP INC           COMMON     750236101          2,877      60,400 SH      SHARED  4, 10                  60,400           0
RADISYS CORP               COM        750459109          2,453      40,800 SH      SHARED  4, 10                  40,800           0
RAMBUS INC                 COM        750917106          1,590       5,400 SH      SHARED  10                      5,400           0
RALSTON PURINA CO          COM-RALSTO 751277302            173       6,319 SH      SHARED  10                      6,319           0
                                                           451      16,400 SH      SHARED  4, 10                  16,400           0
                                                           942      34,264 SH      OTHER   10                     34,264           0
</TABLE>



<PAGE>




FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
RATIONAL SOFTWARE CORP     COM        75409P202            230       3,000 SH      SHARED  10                      3,000           0
                                                         6,640      86,800 SH      SHARED  4, 10                  86,800           0
                                                            25         325 SH      OTHER   10                        325           0
RAYMOND JAMES FINL INC     COM        754730109            689      33,200 SH      SHARED  4, 10                  33,200           0
RAYTHEON CO                CL A COM   755111309            136       7,246 SH      SHARED  10                      7,246           0
                                                             0          26 SH      SHARED  2, 10                      26           0
                                                         2,276     121,000 SH      SHARED  4, 10                 121,000           0
                                                           173       9,221 SH      OTHER   10                      9,110         111
                                                             0           5 SH      OTHER   7, 10                       5           0
                                                             4         225 SH      OTHER   8, 10                     225           0
RAYTHEON CO                CL B COMMO 755111408            408      23,008 SH      SHARED  10                     23,008           0
                                                         4,296     242,000 SH      SHARED  4, 10                 242,000           0
                                                           419      23,600 SH      SHARED  7, 10                  23,600           0
                                                            91       5,100 SH      SHARED  8, 10                   5,100           0
                                                           631      35,545 SH      OTHER   10                     35,545           0
                                                           617      34,734 SH      OTHER   7, 10                  34,734           0
REALNETWORKS               COMMON     75605L104             11         200 SH      SHARED  10                        200           0
                                                           256       4,500 SH      OTHER   10                      4,500           0
RECKSON ASSOCIATES REALTY  COM        75621K106            523      27,900 SH      SHARED  4, 10                  27,900           0
REEBOK INTL LTD            COM        758110100            648      70,000 SH      SHARED  4, 10                  70,000           0
REGENERON PHARMACEUTICALS  COM        75886F107            414      14,000 SH      SHARED  10                     14,000           0
REGIS CORP MINN            COM        758932107            305      20,600 SH      SHARED  4, 10                  20,600           0
RELIANT ENERGY INC         COMMON     75952J108            269      11,430 SH      SHARED  10                     10,530         900
                                                         1,645      69,800 SH      SHARED  4, 10                  69,800           0
                                                           220       9,358 SH      OTHER   10                      9,358           0
RELIASTAR FINL CORP        COM        75952U103            763      22,536 SH      SHARED  10                     22,536           0
                                                         4,228     124,800 SH      SHARED  4, 10                 124,800           0
                                                             6         180 SH      OTHER   10                        180           0
REMEDY CORP                COM        759548100             56       1,325 SH      SHARED  10                          0       1,325
                                                         1,028      24,400 SH      SHARED  4, 10                  24,400           0
RENAL CARE GROUP INC       COM        759930100             48       2,200 SH      SHARED  10                      2,200           0
                                                           189       8,700 SH      SHARED  4, 10                   8,700           0
RENT-A-CENTER INC          COM        76009N100            359      23,900 SH      SHARED  4, 10                  23,900           0
RES-CARE INC               COM        760943100            491      52,400 SH      SHARED  4, 10                  52,400           0
REXALL SUNDOWN INC         COM        761648104            660      46,700 SH      SHARED  4, 10                  46,700           0
REYNOLDS & REYNOLDS CO     CL A       761695105          2,095      77,600 SH      SHARED  4, 10                  77,600           0
                                                            17         615 SH      OTHER   10                        615           0
R J REYNOLDS TOBACCO HOLD  COMMON     76182K105             11         666 SH      SHARED  10                        666           0
                                                         1,593      93,700 SH      SHARED  4, 10                  93,700           0
                                                            21       1,242 SH      OTHER   10                      1,242           0
RICHMOND COUNTY FINANCIAL  COM        764556106            887      55,000 SH      SHARED  4, 10                  55,000           0
RITE AID CORP              COM        767754104             24       4,334 SH      SHARED  10                      4,334           0
                                                        10,816   1,922,900 SH      SHARED  4, 10               1,922,900           0
                                                            91      16,200 SH      OTHER   10                     16,200           0
ROADWAY EXPRESS INC DEL    COM        769742107             25       1,225 SH      SHARED  10                      1,225           0
                                                           877      43,300 SH      SHARED  4, 10                  43,300           0
                                                             7         364 SH      OTHER   10                        364           0
ROBBINS & MYERS INC        COM        770196103            293      12,400 SH      SHARED  4, 10                  12,400           0
ROBERT HALF INTL INC       COM        770323103             76       1,600 SH      SHARED  10                      1,600           0
                                                         5,449     114,900 SH      SHARED  4, 10                 114,900           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
ROBOTIC VISION SYS INC     COM        771074101            171      10,700 SH      SHARED  10                      2,300       8,400
ROCK-TENN CO               CL A COMM  772739207            683      70,100 SH      SHARED  4, 10                  70,100           0
ROCKWELL INTERNATIONAL CO  COM NEW    773903109            468      11,200 SH      SHARED  10                     11,200           0
                                                            63       1,506 SH      OTHER   10                      1,506           0
ROGERS CORP                COM        775133101          1,663      26,500 SH      SHARED  4, 10                  26,500           0
ROHM & HAAS CO             COM        775371107            130       2,910 SH      SHARED  10                      2,910           0
                                                           474      10,620 SH      SHARED  4, 10                  10,620           0
                                                           137       3,068 SH      OTHER   10                      3,068           0
ROLLINS INC                COM        775711104            138       9,300 SH      SHARED  10                      9,300           0
                                                            19       1,275 SH      OTHER   10                      1,275           0
ROSLYN BANCORP INC         COM        778162107          1,411      79,200 SH      SHARED  4, 10                  79,200           0
ROSS STORES INC            COM        778296103          3,465     144,000 SH      SHARED  4, 10                 144,000           0
ROWAN COS INC              COM        779382100             59       2,000 SH      SHARED  10                      2,000           0
                                                           153       5,200 SH      OTHER   10                      5,200           0
ROYAL BK CDA MONTREAL QUE  COM        780087102            294       6,140 SH      SHARED  10                      6,140           0
ROYAL DUTCH PETE CO        REGISTRY S 780257804         48,792     844,072 SH      SHARED  10                    841,339       2,733
                                                        32,341     559,400 SH      SHARED  4, 10                 559,400           0
                                                         3,592      62,136 SH      SHARED  7, 10                  62,136           0
                                                         1,890      32,700 SH      SHARED  8, 10                  32,700           0
                                                        63,320   1,095,264 SH      OTHER   10                  1,095,264           0
                                                         2,889      49,980 SH      OTHER   7, 10                  49,980           0
                                                           526       9,100 SH      OTHER   8, 10                   9,100           0
RUBY TUESDAY INC           COM        781182100             34       1,944 SH      SHARED  10                      1,944           0
                                                           786      44,900 SH      SHARED  4, 10                  44,900           0
RUDDICK CORP               COM        781258108          1,445     132,100 SH      SHARED  4, 10                 132,100           0
RUSSELL CORP               COM        782352108          2,868     200,400 SH      SHARED  4, 10                 200,400           0
RYDER SYSTEM INC           COM        783549108            851      37,500 SH      SHARED  10                     37,500           0
                                                         3,594     158,400 SH      SHARED  4, 10                 158,400           0
RYERSON TULL INC           COMMON     78375P107              2         129 SH      SHARED  10                        129           0
                                                         2,192     141,400 SH      SHARED  4, 10                 141,400           0
RYLAND GROUP INC           COM        783764103            433      23,100 SH      SHARED  4, 10                  23,100           0
SBC COMMUNICATIONS INC     COM        78387G103         10,753     255,361 SH      SHARED  10                    254,594         767
                                                        63,722   1,512,691 SH      SHARED  4, 10               1,512,691           0
                                                           240       5,689 SH      SHARED  7, 10                   5,689           0
                                                           568      13,472 SH      SHARED  8, 10                  13,472           0
                                                         7,875     186,933 SH      OTHER   10                    186,933           0
                                                           120       2,855 SH      OTHER   7, 10                   2,855           0
                                                           301       7,148 SH      OTHER   8, 10                   7,148           0
SCI SYS INC                COM        783890106         10,927     203,300 SH      SHARED  4, 10                 203,300           0
SCP POOL CORP              COM        784028102            432      14,100 SH      SHARED  4, 10                  14,100           0
SDL INC                    COM        784076101          7,919      37,200 SH      SHARED  10                     37,200           0
                                                           852       4,000 SH      OTHER   10                      4,000           0
SEI INVESTMENTS COMPANY    COM        784117103             23         200 SH      SHARED  10                        200           0
                                                           329       2,900 SH      SHARED  4, 10                   2,900           0
                                                            52         460 SH      OTHER   10                        460           0
SK TELECOM LTD             SPONSORED  78440P108          1,725      44,240 SH      SHARED  10                     44,240           0
SL GREEN REALTY CORP       COM        78440X101            449      18,900 SH      SHARED  4, 10                  18,900           0
SLM HOLDING CORP           COM        78442A109            222       6,650 SH      SHARED  10                      6,650           0
                                                            33       1,000 SH      OTHER   10                      1,000           0
SPDR TR                    UNIT SER 1 78462F103            391       2,600 SH      SHARED  10                      2,600           0
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
SPSS INC                   COM        78462K102          1,727      54,400 SH      SHARED  4, 10                  54,400           0
S P S TECHNOLOGIES INC     COM        784626103            894      29,300 SH      SHARED  4, 10                  29,300           0
S1 CORPORATION             COMMON     78463B101             24         275 SH      SHARED  10                        275           0
                                                           634       7,400 SH      SHARED  4, 10                   7,400           0
                                                            15         170 SH      OTHER   10                        170           0
SPX CORP                   COM        784635104            137       1,200 SH      SHARED  10                          0       1,200
                                                           453       3,977 SH      OTHER   10                      3,977           0
S3 INC                     COM        784849101            290      13,800 SH      SHARED  10                     13,800           0
SABRE HOLDINGS CORPORATIO  CL A COM   785905100             15         402 SH      SHARED  10                        402           0
                                                           892      24,425 SH      SHARED  4, 10                  24,425           0
                                                            18         505 SH      OTHER   10                        505           0
SAFECO CORP                COM        786429100         19,938     750,600 SH      SHARED  4, 10                 750,600           0
SAFEWAY INC                COM NEW    786514208          2,348      51,890 SH      SHARED  10                     51,890           0
                                                            91       2,000 SH      OTHER   10                      2,000           0
SAGA COMMUNICATIONS INC    CL A COMMO 786598102            717      37,500 SH      SHARED  10                     37,500           0
SAGA SYSTEMS INC           COMMON     786610105          2,274      63,600 SH      SHARED  4, 10                  63,600           0
ST JOE CORP                COM        790148100          1,142      39,450 SH      SHARED  10                     39,450           0
                                                            43       1,500 SH      OTHER   10                      1,500           0
ST JUDE MED INC            COM        790849103          1,791      69,400 SH      SHARED  4, 10                  69,400           0
ST PAUL COS INC            COM        792860108            131       3,844 SH      SHARED  10                      3,844           0
                                                        15,225     446,144 SH      SHARED  4, 10                 446,144           0
                                                           360      10,538 SH      OTHER   10                     10,538           0
SAKS INCORPORATED          COMMON     79377W108             51       3,500 SH      SHARED  10                      3,500           0
                                                        11,265     776,900 SH      SHARED  4, 10                 776,900           0
SALOMON BROS FD INC        COM        795477108            224      11,350 SH      SHARED  10                     11,350           0
SANDISK CORP               COM        80004C101          2,303      18,800 SH      SHARED  4, 10                  18,800           0
SANMINA CORP               COM        800907107          4,446      65,800 SH      SHARED  4, 10                  65,800           0
SAPIENT CORPORATION        COM        803062108            336       4,000 SH      SHARED  10                      4,000           0
                                                           168       2,000 SH      OTHER   10                      2,000           0
SARA LEE CORP              COM        803111103         20,801   1,155,587 SH      SHARED  10                  1,148,921       6,666
                                                        12,964     720,200 SH      SHARED  4, 10                 720,200           0
                                                           520      28,900 SH      SHARED  7, 10                  28,900           0
                                                           247      13,700 SH      SHARED  8, 10                  13,700           0
                                                        22,371   1,242,858 SH      OTHER   10                  1,242,858           0
                                                           666      37,000 SH      OTHER   7, 10                  37,000           0
                                                           718      39,900 SH      OTHER   8, 10                  39,900           0
SAWTEK INC                 COM        805468105          4,652      88,500 SH      SHARED  4, 10                  88,500           0
SCANA CORP NEW             COMMON     80589M102             39       1,600 SH      SHARED  10                      1,600           0
                                                            25       1,010 SH      SHARED  8, 10                   1,010           0
                                                           223       9,088 SH      OTHER   10                      9,088           0
SCHERING PLOUGH CORP       COM        806605101         53,774   1,448,622 SH      SHARED  10                  1,436,922      11,700
                                                         8,442     227,384 SH      SHARED  2, 10                 227,384           0
                                                           535      14,406 SH      SHARED  3, 10                  14,406           0
                                                        18,525     499,000 SH      SHARED  4, 10                 499,000           0
                                                        14,638     394,300 SH      SHARED  7, 10                 394,300           0
                                                         2,164      58,300 SH      SHARED  8, 10                  58,300           0
                                                        42,110   1,134,266 SH      OTHER   10                  1,133,806         460
                                                         4,005     107,866 SH      OTHER   7, 10                 107,866           0
                                                           252       6,800 SH      OTHER   8, 10                   6,800           0
SCHLUMBERGER LTD           COM        806857108         18,149     237,246 SH      SHARED  10                    236,046       1,200
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           780      10,200 SH      SHARED  2, 10                  10,200           0
                                                        12,286     160,600 SH      SHARED  4, 10                 160,600           0
                                                            77       1,000 SH      SHARED  7, 10                   1,000           0
                                                           880      11,500 SH      SHARED  8, 10                  11,500           0
                                                        32,719     427,701 SH      OTHER   10                    427,701           0
                                                           115       1,500 SH      OTHER   7, 10                   1,500           0
                                                           508       6,636 SH      OTHER   8, 10                   6,636           0
SCHOLASTIC CORP            COM        807066105             22         400 SH      SHARED  10                        400           0
                                                         2,206      40,900 SH      SHARED  4, 10                  40,900           0
                                                            27         500 SH      OTHER   10                        500           0
SCHULMAN A INC             COM        808194104          2,996     226,100 SH      SHARED  4, 10                 226,100           0
SCHWAB CHARLES CORP NEW    COM        808513105          2,409      42,400 SH      SHARED  10                     42,400           0
                                                           565       9,950 SH      OTHER   10                      9,950           0
SCIENTIFIC ATLANTA INC     COM        808655104            254       4,000 SH      SHARED  10                      4,000           0
                                                         1,139      18,000 SH      SHARED  4, 10                  18,000           0
                                                           544       8,600 SH      OTHER   10                      8,600           0
SCIENTIFIC GAMES HLDGS CO  COMM       808747109             18       1,100 SH      SHARED  10                      1,100           0
                                                         1,026      62,200 SH      SHARED  4, 10                  62,200           0
SCOTT TECHNOLOGIES INC     COMMON     810022301            521      27,621 SH      SHARED  10                     27,621           0
SCRIPPS HOWARD INC         CL A       811054204          1,896      39,100 SH      SHARED  4, 10                  39,100           0
SEA CONTAINERS LTD         CL A COM   811371707            565      25,544 SH      SHARED  10                     25,544           0
SEAGATE TECHNOLOGY         COM        811804103            340       5,500 SH      SHARED  10                      5,500           0
                                                         7,725     125,100 SH      SHARED  4, 10                 125,100           0
                                                            93       1,512 SH      OTHER   10                      1,512           0
SEAGRAM CO LTD             COM        811850106          1,345      22,600 SH      SHARED  10                     22,600           0
                                                            60       1,000 SH      OTHER   10                      1,000           0
SEACOR SMIT INC            COM        811904101            531       8,800 SH      SHARED  4, 10                   8,800           0
SEALED AIR CORP NEW        COM        81211K100            280       5,152 SH      SHARED  10                      5,152           0
                                                            86       1,575 SH      OTHER   10                      1,575           0
SEARS ROEBUCK & CO         COM        812387108            679      22,171 SH      SHARED  10                     22,171           0
                                                        42,042   1,372,800 SH      SHARED  4, 10               1,372,800           0
                                                         1,204      39,319 SH      OTHER   10                     39,319           0
                                                            18         600 SH      OTHER   7, 10                     600           0
                                                             9         300 SH      OTHER   8, 10                     300           0
SEITEL INC                 COM NEW    816074306            624      78,600 SH      SHARED  4, 10                  78,600           0
                                                             8       1,000 SH      OTHER   10                      1,000           0
SEMTECH CORP               COM        816850101            102       1,600 SH      SHARED  10                      1,600           0
                                                         1,461      22,800 SH      SHARED  4, 10                  22,800           0
SEMPRA ENERGY              COMMON     816851109            700      41,800 SH      SHARED  4, 10                  41,800           0
SEPRACOR INC               COM        817315104             15         200 SH      SHARED  10                        200           0
                                                         2,490      34,200 SH      SHARED  4, 10                  34,200           0
                                                           109       1,500 SH      OTHER   10                      1,500           0
SERENA SOFTWARE INC        COMMON     817492101          1,506      47,250 SH      SHARED  4, 10                  47,250           0
SERVICEMASTER COMPANY      CO         81760N109             80       7,141 SH      SHARED  10                      7,141           0
                                                           486      43,199 SH      SHARED  8, 10                  43,199           0
                                                            46       4,049 SH      OTHER   10                      4,049           0
SHARED MED SYS CORP        COM        819486101             13         250 SH      SHARED  10                        250           0
                                                         1,058      20,400 SH      OTHER   10                     20,400           0
SHAW INDS INC              COM        820286102             30       2,000 SH      SHARED  10                      2,000           0
                                                         1,359      89,500 SH      SHARED  4, 10                  89,500           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           122       8,000 SH      OTHER   10                      8,000           0
SHELL TRANS & TRADING PLC  N Y SH     822703609            375       7,650 SH      SHARED  10                      7,650           0
                                                           257       5,232 SH      OTHER   10                      5,232           0
SHERWIN WILLIAMS CO        COM        824348106             44       2,000 SH      SHARED  8, 10                   2,000           0
                                                           546      24,693 SH      OTHER   10                     24,693           0
SHOPKO STORES INC          COM        824911101              9         500 SH      SHARED  10                        500           0
                                                           462      26,000 SH      SHARED  4, 10                  26,000           0
SHURGARD STORAGE CTRS INC  CL A       82567D104            475      18,200 SH      SHARED  10                     18,200           0
                                                            44       1,700 SH      OTHER   10                      1,700           0
SIEBEL SYSTEMS INC         COM        826170102          1,493      12,500 SH      SHARED  10                     12,500           0
                                                        21,559     180,500 SH      SHARED  4, 10                 180,500           0
                                                           508       4,250 SH      OTHER   10                      4,250           0
SIERRA PACIFC RESOURCES N  COMMON     826428104            305      24,409 SH      SHARED  4, 10                  24,409           0
SIGMA ALDRICH CORP         COM        826552101            493      18,336 SH      SHARED  10                     18,236         100
                                                             8         300 SH      SHARED  8, 10                     300           0
                                                         1,006      37,435 SH      OTHER   10                     37,435           0
                                                            16         600 SH      OTHER   8, 10                     600           0
SIGCORP INC                COM        826912107            709      27,800 SH      SHARED  4, 10                  27,800           0
                                                           196       7,698 SH      OTHER   10                      7,698           0
SILICON GRAPHICS INC       COM        827056102            467      44,200 SH      SHARED  4, 10                  44,200           0
SILKNET SOFTWARE INC       COMMON     827094103            520       5,000 SH      SHARED  10                      5,000           0
SIMON PROPERTY GROUP INC   COMMON     828806109            233       9,990 SH      OTHER   10                      9,990           0
SIMPSON MFG INC            COM        829073105            822      20,800 SH      SHARED  4, 10                  20,800           0
SINCLAIR BROADCAST GROUP   COM        829226109            884      98,900 SH      SHARED  4, 10                  98,900           0
SMITH A O CORP             COM        831865209            524      29,100 SH      SHARED  4, 10                  29,100           0
SMITH INTL INC             COM        832110100            194       2,500 SH      SHARED  10                      2,500           0
                                                           116       1,500 SH      SHARED  8, 10                   1,500           0
SMITH CHARLES E RESIDENTI  COM        832197107            600      16,600 SH      SHARED  4, 10                  16,600           0
SMITHFIELDS FOODS INC      COM        832248108          1,108      55,400 SH      SHARED  4, 10                  55,400           0
SMITHKLINE BEECHAM PLC     ADR REPSTG 832378301          7,751     117,333 SH      SHARED  10                    117,233         100
                                                            36         550 SH      SHARED  2, 10                     550           0
                                                           634       9,600 SH      SHARED  8, 10                   9,600           0
                                                         2,650      40,107 SH      OTHER   10                     40,107           0
                                                         1,057      16,000 SH      OTHER   8, 10                  16,000           0
SNYDER COMMUNICATIONS INC  COM        832914105            947      42,100 SH      SHARED  4, 10                  42,100           0
SOLA INTERNATIONAL INC     COM        834092108            558      91,100 SH      SHARED  4, 10                  91,100           0
SOLECTRON CORP             COM        834182107            224       5,600 SH      SHARED  10                      5,600           0
                                                         9,546     237,900 SH      SHARED  4, 10                 237,900           0
                                                           706      17,600 SH      OTHER   10                     17,600           0
SOLUTIA INC                COM        834376105          4,053     303,020 SH      SHARED  4, 10                 303,020           0
                                                            19       1,445 SH      OTHER   10                      1,445           0
                                                             1         100 SH      OTHER   8, 10                     100           0
SONOCO PRODUCTS CO         COM        835495102            924      40,169 SH      SHARED  10                     35,167       5,002
                                                         5,391     234,400 SH      SHARED  4, 10                 234,400           0
                                                         1,084      47,133 SH      OTHER   10                     47,133           0
                                                             8         345 SH      OTHER   8, 10                     345           0
SONY CORP                  AMERN SH N 835699307            102         365 SH      SHARED  10                        365           0
                                                           162         579 SH      OTHER   10                        579           0
SOURCE INFORMATION MGMT C  COMMON     836151209            893      51,025 SH      SHARED  10                     45,000       6,025
SOUTH JERSEY INDS INC      COM        838518108            834      29,600 SH      SHARED  4, 10                  29,600           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                             6         204 SH      OTHER   10                        204           0
SOUTHDOWN INC              COM        841297104            104       1,760 SH      SHARED  10                      1,760           0
                                                         4,616      77,900 SH      SHARED  4, 10                  77,900           0
SOUTHERN CO                COM        842587107            530      24,353 SH      SHARED  10                     24,353           0
                                                         1,923      88,400 SH      SHARED  4, 10                  88,400           0
                                                            13         600 SH      SHARED  7, 10                     600           0
                                                            51       2,359 SH      SHARED  8, 10                   2,359           0
                                                           403      18,509 SH      OTHER   10                     18,509           0
                                                             2         100 SH      OTHER   8, 10                     100           0
SOUTHWEST AIRLS CO         COM        844741108          4,593     220,659 SH      SHARED  10                    216,609       4,050
                                                            70       3,352 SH      SHARED  2, 10                   3,352           0
                                                            59       2,836 SH      SHARED  3, 10                   2,836           0
                                                           140       6,750 SH      SHARED  7, 10                   6,750           0
                                                            35       1,687 SH      SHARED  8, 10                   1,687           0
                                                         3,949     189,741 SH      OTHER   10                    189,741           0
SOUTHWEST SECS GROUP INC   COM        845224104            851      19,600 SH      SHARED  4, 10                  19,600           0
SOVRAN SELF STORAGE INC    COM        84610H108            373      18,400 SH      SHARED  4, 10                  18,400           0
SPEEDWAY MOTORSPORTS INC   COM        847788106            623      25,000 SH      SHARED  10                     25,000           0
                                                            15         600 SH      OTHER   10                        600           0
SPRINGS INDS INC           CL A COMMO 851783100          1,262      33,200 SH      SHARED  4, 10                  33,200           0
                                                            24         640 SH      OTHER   10                        640           0
SPRINT CORPORATION         COM        852061100         21,291     336,658 SH      SHARED  10                    330,324       6,334
                                                           408       6,456 SH      SHARED  2, 10                   6,456           0
                                                        17,052     269,600 SH      SHARED  4, 10                 269,600           0
                                                            51         800 SH      SHARED  8, 10                     800           0
                                                        17,776     281,041 SH      OTHER   10                    281,041           0
                                                            89       1,400 SH      OTHER   7, 10                   1,400           0
SPRINT CORPORATION         PCS COMMON 852061506          8,527     130,204 SH      SHARED  10                    127,538       2,666
                                                           211       3,228 SH      SHARED  2, 10                   3,228           0
                                                         8,731     133,300 SH      SHARED  4, 10                 133,300           0
                                                            26         400 SH      SHARED  8, 10                     400           0
                                                         7,689     117,394 SH      OTHER   10                    117,394           0
                                                            46         700 SH      OTHER   7, 10                     700           0
STAFF LEASING INC          COM        852381102            133      22,900 SH      SHARED  4, 10                  22,900           0
STAPLES INC                COM        855030102         11,382     569,079 SH      SHARED  10                    562,217       6,862
                                                            90       4,500 SH      SHARED  7, 10                   4,500           0
                                                           676      33,791 SH      SHARED  8, 10                  33,791           0
                                                         5,143     257,137 SH      OTHER   10                    257,137           0
                                                            66       3,277 SH      OTHER   7, 10                   3,277           0
                                                           565      28,257 SH      OTHER   8, 10                  28,257           0
STARBUCKS CORP             COM        855244109            114       2,550 SH      SHARED  10                      2,550           0
                                                         4,383      97,800 SH      SHARED  4, 10                  97,800           0
                                                           202       4,500 SH      OTHER   10                      4,500           0
STARTEK INC                COM        85569C107            922      12,500 SH      SHARED  4, 10                  12,500           0
STARWOOD FINANCIAL INC     COMMON     85569R104            441      25,022 SH      SHARED  4, 10                  25,022           0
STARWOOD HOTELS & RESORTS  COMMON     85590A203            336      13,050 SH      SHARED  10                     13,050           0
                                                            59       2,289 SH      OTHER   10                      2,289           0
STATE STREET CORPORATION   COM        857477103          1,138      11,750 SH      SHARED  10                     11,750           0
                                                         2,387      24,645 SH      OTHER   10                     24,645           0
STERLING BANCSHARES INC    COM        858907108            752      78,600 SH      SHARED  4, 10                  78,600           0
</TABLE>





<PAGE>

FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
STERIS CORP                COM        859152100             72       7,000 SH      SHARED  10                      7,000           0
                                                         3,265     318,500 SH      SHARED  4, 10                 318,500           0
STERLING SOFTWARE INC      COM        859547101          1,860      56,800 SH      SHARED  4, 10                  56,800           0
STEWART ENTERPRISES INC    CL A COM   860370105            360      73,000 SH      SHARED  4, 10                  73,000           0
STMICROELECTRONICS N V     N Y REGIST 861012102          1,048       5,600 SH      SHARED  10                      5,600           0
                                                           187       1,000 SH      OTHER   10                      1,000           0
STONE ENERGY CORP          COM        861642106             74       1,500 SH      SHARED  10                      1,500           0
                                                         1,492      30,300 SH      SHARED  4, 10                  30,300           0
                                                           118       2,400 SH      OTHER   10                      2,400           0
STONERIDGE INC             COM        86183P102            949      79,100 SH      SHARED  4, 10                  79,100           0
STORAGE USA INC            COM        861907103            634      20,700 SH      SHARED  4, 10                  20,700           0
STRUCTURAL DYNAMICS RESH   COM        863555108          4,622     342,400 SH      SHARED  4, 10                 342,400           0
STRYKER CORP               COM        863667101            739      10,600 SH      SHARED  10                     10,600           0
                                                         3,236      46,400 SH      SHARED  4, 10                  46,400           0
SUIZA FOODS CORP           COM        865077101          5,176     128,600 SH      SHARED  4, 10                 128,600           0
SUMMIT BANCORP             COM        866005101             80       3,053 SH      SHARED  10                      3,053           0
                                                            92       3,500 SH      SHARED  8, 10                   3,500           0
                                                           263      10,000 SH      OTHER   10                     10,000           0
                                                            28       1,050 SH      OTHER   7, 10                   1,050           0
SUN CMNTYS INC             COM        866674104            462      16,000 SH      SHARED  4, 10                  16,000           0
SUN MICROSYSTEMS           COM        866810104          8,713      92,982 SH      SHARED  10                     92,982           0
                                                        57,609     614,804 SH      SHARED  4, 10                 614,804           0
                                                            28         300 SH      SHARED  7, 10                     300           0
                                                        10,577     112,877 SH      OTHER   10                    112,877           0
                                                            47         500 SH      OTHER   7, 10                     500           0
                                                         1,593      17,000 SH      OTHER   8, 10                  17,000           0
SUNGARD DATA SYS INC       COM        867363103            772      20,442 SH      SHARED  10                     20,442           0
                                                         5,889     156,000 SH      SHARED  4, 10                 156,000           0
                                                           100       2,650 SH      OTHER   10                      2,650           0
SUNOCO INC                 COMMON     86764P109            111       4,038 SH      SHARED  10                      4,038           0
                                                         8,424     307,728 SH      SHARED  4, 10                 307,728           0
                                                             6         208 SH      SHARED  8, 10                     208           0
                                                            47       1,714 SH      OTHER   10                      1,714           0
SUNTRUST BKS INC           COM        867914103            188       3,252 SH      SHARED  10                      3,252           0
                                                           162       2,800 SH      SHARED  7, 10                   2,800           0
                                                           216       3,744 SH      OTHER   10                      3,744           0
SUPERIOR INDS INTL INC     COM        868168105             19         600 SH      SHARED  10                        600           0
                                                         1,949      61,500 SH      SHARED  4, 10                  61,500           0
SUPERVALU INC              COM        868536103          1,142      60,300 SH      SHARED  10                     60,300           0
                                                        21,540   1,137,400 SH      SHARED  4, 10               1,137,400           0
SUSQUEHANNA BANCSHARES IN  COM        869099101            883      63,900 SH      SHARED  4, 10                  63,900           0
                                                             3         250 SH      OTHER   10                        250           0
SWIFT ENERGY CO            COM        870738101            617      34,500 SH      SHARED  4, 10                  34,500           0
SYBASE INC                 COM        871130100          1,274      62,700 SH      SHARED  4, 10                  62,700           0
SYBRON INTERNATIONAL CORP  COM        87114F106            351      12,100 SH      SHARED  10                     12,100           0
                                                         2,819      97,200 SH      SHARED  4, 10                  97,200           0
                                                            13         435 SH      OTHER   10                        435           0
SYCAMORE NETWORKS INC      COMMON     871206108          1,096       8,498 SH      SHARED  10                      8,198         300
                                                            13          99 SH      OTHER   10                         99           0
SYKES ENTERPRISES INC      COM        871237103          1,716      90,000 SH      SHARED  4, 10                  90,000           0
</TABLE>




<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
SYLVAN LEARNING SYS INC    COM        871399101            121       7,575 SH      SHARED  10                      7,575           0
                                                         2,128     133,500 SH      SHARED  4, 10                 133,500           0
                                                            87       5,475 SH      OTHER   10                      5,475           0
SYMANTEC CORP              COM        871503108            127       1,690 SH      SHARED  10                      1,690           0
                                                         9,992     133,000 SH      SHARED  4, 10                 133,000           0
SYMBOL TECHNOLOGIES INC    COM        871508107             16         200 SH      SHARED  10                        200           0
                                                         1,095      13,300 SH      SHARED  4, 10                  13,300           0
                                                            88       1,068 SH      OTHER   10                      1,068           0
SYMVX TECHNOLOGIES INC     COM        87155S108            207       4,800 SH      SHARED  4, 10                   4,800           0
SYNOPSYS INC               COM        871607107          4,899     100,500 SH      SHARED  4, 10                 100,500           0
                                                             9         181 SH      OTHER   10                        181           0
SYSCO CORP                 COM        871829107         11,767     325,794 SH      SHARED  10                    316,294       9,500
                                                           765      21,188 SH      SHARED  7, 10                  21,188           0
                                                            73       2,025 SH      SHARED  8, 10                   2,025           0
                                                         3,254      90,067 SH      OTHER   10                     89,817         250
                                                           275       7,600 SH      OTHER   7, 10                   7,600           0
                                                            25         700 SH      OTHER   8, 10                     700           0
SYSTEMAX INC               COMMON     871851101            506      55,500 SH      SHARED  4, 10                  55,500           0
TCF FINANCIAL CORP         COM        872275102             43       1,800 SH      SHARED  10                      1,800           0
                                                         4,032     169,300 SH      SHARED  4, 10                 169,300           0
TECO ENERGY INC            COM        872375100            109       5,600 SH      SHARED  10                      5,600           0
                                                           328      16,885 SH      OTHER   10                     16,885           0
                                                            88       4,534 SH      OTHER   8, 10                   4,534           0
T-HQ INC                   COM        872443403            869      48,600 SH      SHARED  4, 10                  48,600           0
                                                           154       8,600 SH      OTHER   10                      8,600           0
TJX COS INC NEW            COM        872540109             84       3,800 SH      SHARED  10                      3,800           0
                                                         7,162     322,800 SH      SHARED  4, 10                 322,800           0
TRW INC                    COM        872649108            622      10,640 SH      SHARED  10                     10,640           0
                                                           180       3,080 SH      OTHER   10                      3,080           0
TAIWAN SEMICONDUCTOR MANU  SPONSORED  874039100          1,460      25,610 SH      SHARED  10                     25,610           0
                                                            29         500 SH      OTHER   10                        500           0
TANDY CORP                 COM        875382103            616      12,130 SH      OTHER   10                     12,130           0
TARGET CORP                COMMON     87612E106         11,170     149,435 SH      SHARED  10                    146,335       3,100
                                                         5,763      77,100 SH      SHARED  4, 10                  77,100           0
                                                            98       1,315 SH      SHARED  7, 10                   1,315           0
                                                           314       4,200 SH      SHARED  8, 10                   4,200           0
                                                         4,976      66,575 SH      OTHER   10                     66,575           0
                                                            22         300 SH      OTHER   7, 10                     300           0
TECH DATA CORP             COM        878237106          2,495      75,900 SH      SHARED  4, 10                  75,900           0
TECHNITROL INC             COM        878555101          1,975      33,900 SH      SHARED  4, 10                  33,900           0
TECUMSEH PRODUCTS CO       CL A COM   878895200          2,794      63,500 SH      SHARED  4, 10                  63,500           0
TEKELEC                    COM        879101103            401      10,800 SH      SHARED  4, 10                  10,800           0
TEKTRONIX INC              COM        879131100            225       4,025 SH      SHARED  10                      4,025           0
                                                           692      12,350 SH      SHARED  4, 10                  12,350           0
                                                            11         200 SH      OTHER   10                        200           0
TELECOM CORP NEW ZEALAND   SPONSORED  879278208             59       1,600 SH      SHARED  10                      1,600           0
                                                           183       4,990 SH      OTHER   10                      4,990           0
TELEFLEX INC               COM        879369106          1,544      43,588 SH      SHARED  10                     43,588           0
                                                            61       1,725 SH      SHARED  2, 10                   1,725           0
                                                         2,073      58,600 SH      SHARED  4, 10                  58,600           0
</TABLE>


<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           195       5,500 SH      SHARED  8, 10                   5,500           0
                                                         2,055      58,080 SH      OTHER   10                     58,080           0
                                                            71       2,000 SH      OTHER   8, 10                   2,000           0
TELEFONICA DE ESPANA S A   SPONSORED  879382208            739       9,941 SH      SHARED  10                      9,941           0
                                                           166       2,227 SH      SHARED  8, 10                   2,227           0
                                                           748      10,056 SH      OTHER   10                     10,056           0
TELEFONICA DEL PERU S A    SPONSORED  879384105             13         750 SH      SHARED  10                        750           0
                                                           627      36,900 SH      SHARED  4, 10                  36,900           0
                                                            31       1,800 SH      OTHER   10                      1,800           0
TELEFONOS DE MEXICO S A    ADR REPSTG 879403780          3,827      57,440 SH      SHARED  10                     57,440           0
                                                           360       5,400 SH      SHARED  8, 10                   5,400           0
                                                         1,352      20,292 SH      OTHER   10                     20,292           0
                                                           133       2,000 SH      OTHER   8, 10                   2,000           0
TELEPHONE & DATA SYS INC   COM        879433100             33         300 SH      SHARED  10                        300           0
                                                         6,804      61,300 SH      SHARED  4, 10                  61,300           0
TELLABS OPERATIONS INC     COM        879664100         25,508     404,988 SH      SHARED  10                    397,438       7,550
                                                         6,040      95,900 SH      SHARED  4, 10                  95,900           0
                                                         1,355      21,510 SH      SHARED  7, 10                  21,510           0
                                                           518       8,225 SH      SHARED  8, 10                   8,225           0
                                                        13,112     208,182 SH      OTHER   10                    207,842         340
                                                           101       1,600 SH      OTHER   7, 10                   1,600           0
                                                           403       6,400 SH      OTHER   8, 10                   6,400           0
TELETECH HOLDINGS INC      COM        879939106            348      10,100 SH      SHARED  4, 10                  10,100           0
TEMPLETON EMERGING MARKET  COM        880192109            141      14,800 SH      SHARED  10                     14,800           0
                                                            10       1,000 SH      OTHER   10                      1,000           0
TENET HEALTHCARE CORP      COM        88033G100              8         335 SH      SHARED  10                        335           0
                                                        15,866     682,400 SH      SHARED  4, 10                 682,400           0
TERADYNE INC               COM        880770102            512       6,242 SH      SHARED  10                      6,242           0
                                                        13,973     170,400 SH      SHARED  4, 10                 170,400           0
TERAYON COMMUNICATIONS SY  COMMON     880775101            288       1,405 SH      OTHER   10                      1,405           0
TEREX CORP NEW             COM        880779103            932      64,800 SH      SHARED  4, 10                  64,800           0
                                                             4         300 SH      OTHER   10                        300           0
TESORO PETE CORP           COM        881609101            530      46,100 SH      SHARED  10                     46,100           0
                                                           427      37,100 SH      SHARED  4, 10                  37,100           0
TEXACO INC                 COM        881694103         11,290     210,067 SH      SHARED  10                    207,477       2,590
                                                            62       1,148 SH      SHARED  2, 10                   1,148           0
                                                            51         947 SH      SHARED  3, 10                     947           0
                                                        24,929     463,800 SH      SHARED  4, 10                 463,800           0
                                                        13,441     250,065 SH      OTHER   10                    250,065           0
                                                            38         700 SH      OTHER   8, 10                     700           0
TEXAS INDS INC             COM        882491103             13         400 SH      SHARED  10                        400           0
                                                         1,154      36,500 SH      SHARED  4, 10                  36,500           0
TEXAS INSTRS INC           COM        882508104          6,019      37,619 SH      SHARED  10                     37,619           0
                                                        47,392     296,200 SH      SHARED  4, 10                 296,200           0
                                                            80         500 SH      SHARED  7, 10                     500           0
                                                        10,570      66,060 SH      OTHER   10                     66,060           0
TEXAS REGIONAL BANCSHARES  COM        882673106            959      37,700 SH      SHARED  4, 10                  37,700           0
TEXAS UTILITIES CO (HOLDI  COM        882848104          4,992     168,156 SH      SHARED  10                    160,506       7,650
                                                         6,849     230,692 SH      SHARED  4, 10                 230,692           0
                                                            12         400 SH      SHARED  7, 10                     400           0
</TABLE>





<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           395      13,300 SH      OTHER   10                     13,300           0
                                                            30       1,000 SH      OTHER   7, 10                   1,000           0
                                                            48       1,600 SH      OTHER   8, 10                   1,600           0
TEXTRON INC                COM        883203101         15,686     257,679 SH      SHARED  10                    253,379       4,300
                                                           111       1,830 SH      SHARED  7, 10                   1,830           0
                                                           402       6,600 SH      SHARED  8, 10                   6,600           0
                                                         7,152     117,480 SH      OTHER   10                    117,480           0
                                                            24         400 SH      OTHER   7, 10                     400           0
                                                            85       1,400 SH      OTHER   8, 10                   1,400           0
THERAGENICS CORP           COM        883375107            856      64,000 SH      SHARED  10                     64,000           0
                                                           282      21,100 SH      SHARED  4, 10                  21,100           0
                                                            19       1,430 SH      OTHER   10                      1,430           0
THERMO ELECTRON CORP       COM        883556102            110       5,421 SH      SHARED  10                      5,421           0
                                                         1,828      89,700 SH      SHARED  4, 10                  89,700           0
                                                             8         401 SH      OTHER   10                        401           0
THOMAS & BETTS CORP        COM        884315102            429      15,187 SH      SHARED  10                     15,187           0
                                                         8,105     286,900 SH      SHARED  4, 10                 286,900           0
                                                            34       1,220 SH      OTHER   10                      1,220           0
                                                           226       8,000 SH      OTHER   7, 10                   8,000           0
                                                             0          11 SH      OTHER   8, 10                      11           0
3COM CORP                  COM        885535104             16         290 SH      SHARED  10                        290           0
                                                         4,511      81,100 SH      SHARED  4, 10                  81,100           0
                                                           170       3,050 SH      OTHER   10                      3,050           0
TIDEWATER INC              COM        886423102          6,379     200,500 SH      SHARED  4, 10                 200,500           0
TIFFANY & COMPANY INC      COM        886547108          7,275      87,000 SH      SHARED  4, 10                  87,000           0
TIME WARNER INC            COM        887315109         21,765     217,645 SH      SHARED  10                    212,615       5,030
                                                        49,120     491,200 SH      SHARED  4, 10                 491,200           0
                                                           236       2,360 SH      SHARED  7, 10                   2,360           0
                                                            14         140 SH      SHARED  8, 10                     140           0
                                                         5,830      58,303 SH      OTHER   10                     57,986         317
                                                            40         400 SH      OTHER   8, 10                     400           0
TITAN CORP                 COM        888266103          2,190      42,950 SH      SHARED  10                     35,000       7,950
                                                             7         136 SH      OTHER   10                        136           0
TOLL BROS INC              COM        889478103            200      10,000 SH      SHARED  10                     10,000           0
                                                           646      32,300 SH      SHARED  4, 10                  32,300           0
TOMPKINSTRUSTCO INC        COMMON     890110109            396      15,779 SH      SHARED  10                     15,779           0
TOPPS CO INC               COM        890786106            221      26,600 SH      SHARED  4, 10                  26,600           0
TORCHMARK CORP             COM        891027104          2,160      93,400 SH      SHARED  10                     93,400           0
                                                        13,232     572,200 SH      SHARED  4, 10                 572,200           0
                                                           261      11,300 SH      OTHER   10                     11,300           0
TORO CO                    COM        891092108            587      19,600 SH      SHARED  4, 10                  19,600           0
TOWER AUTOMOTIVE INC       COM        891707101            537      32,800 SH      SHARED  4, 10                  32,800           0
TOYS "R" US INC            COM        892335100          4,573     308,700 SH      SHARED  4, 10                 308,700           0
TRANS WORLD ENTERTAINMENT  COM        89336Q100            577      57,650 SH      SHARED  4, 10                  57,650           0
TRANSACTION SYS ARCHITECT  COM        893416107            116       4,000 SH      SHARED  10                          0       4,000
                                                         4,187     145,000 SH      SHARED  4, 10                 145,000           0
TRANSATLANTIC HLDGS INC    COM        893521104         65,964     771,504 SH      SHARED  10                    771,504           0
                                                           128       1,500 SH      OTHER   10                      1,500           0
TRAVELERS PROPERTY CASUAL  CLASS A CO 893939108          2,773      67,220 SH      SHARED  10                     67,220           0
                                                         7,693     186,500 SH      SHARED  4, 10                 186,500           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           314       7,600 SH      SHARED  8, 10                   7,600           0
                                                             4         100 SH      OTHER   10                        100           0
TRANSWITH CORP             COM        894065101            163       1,700 SH      SHARED  10                          0       1,700
                                                         2,086      21,700 SH      SHARED  4, 10                  21,700           0
                                                            27         280 SH      OTHER   10                        280           0
TREDEGAR CORPORATION       COMMON     894650100            384      14,265 SH      OTHER   10                     14,265           0
TRI CONTL CORP             COM        895436103            381      14,944 SH      SHARED  10                     14,944           0
TRIAD GUARANTY INC         COM        895925105            880      43,300 SH      SHARED  4, 10                  43,300           0
TRICON GLOBAL RESTAURANTS  COM        895953107            686      22,069 SH      SHARED  10                     21,349         720
                                                            62       2,000 SH      SHARED  8, 10                   2,000           0
                                                           405      13,035 SH      OTHER   10                     13,035           0
                                                            12         380 SH      OTHER   7, 10                     380           0
                                                            13         430 SH      OTHER   8, 10                     430           0
TRIBUNE CO NEW             COM        896047107            395      10,800 SH      SHARED  10                     10,800           0
                                                           804      22,000 SH      SHARED  4, 10                  22,000           0
                                                            97       2,654 SH      OTHER   10                      2,654           0
TRIGON HEALTHCARE INC      COM        89618L100            368      10,280 SH      SHARED  10                     10,280           0
                                                         3,207      89,700 SH      SHARED  4, 10                  89,700           0
TRINITY INDS INC           COM        896522109             46       1,950 SH      SHARED  10                      1,950           0
                                                        20,990     886,100 SH      SHARED  4, 10                 886,100           0
TRIQUINT SEMICONDUCTOR IN  COM        89674K103             81       1,100 SH      SHARED  10                      1,100           0
                                                         3,587      48,800 SH      SHARED  4, 10                  48,800           0
                                                            66         900 SH      OTHER   10                        900           0
TRIUMPH GROUP INC          COM        896818101          1,252      43,000 SH      SHARED  10                     43,000           0
                                                         1,075      36,900 SH      SHARED  4, 10                  36,900           0
TRUE NORTH COMMUNICATIONS  COM        897844106            393      10,000 SH      SHARED  10                     10,000           0
                                                           491      12,500 SH      SHARED  4, 10                  12,500           0
TULARIK INC                COMMON     899165104            463      15,000 SH      SHARED  10                     15,000           0
TYCO INTERNATIONAL LTD     COM NEW    902124106         39,053     779,217 SH      SHARED  10                    768,629      10,588
                                                         5,168     103,100 SH      SHARED  2, 10                 103,100           0
                                                           296       5,900 SH      SHARED  3, 10                   5,900           0
                                                        10,025     200,000 SH      SHARED  4, 10                 200,000           0
                                                         3,317      66,177 SH      SHARED  7, 10                  66,177           0
                                                           404       8,064 SH      SHARED  8, 10                   8,064           0
                                                        23,571     470,254 SH      OTHER   10                    469,610         644
                                                         1,297      25,868 SH      OTHER   7, 10                  25,868           0
                                                         1,035      20,654 SH      OTHER   8, 10                  20,654           0
TYSON FOODS INC            CL A       902494103          3,716     334,000 SH      SHARED  4, 10                 334,000           0
UGI CORP                   NEW COM    902681105             17         805 SH      SHARED  10                        805           0
                                                           467      21,600 SH      SHARED  4, 10                  21,600           0
                                                             9         400 SH      OTHER   10                        400           0
UICI                       COM        902737105            323      48,800 SH      SHARED  4, 10                  48,800           0
USX MARATHON GROUP         COM NEW    902905827            711      27,297 SH      SHARED  10                     27,297           0
                                                        19,378     743,500 SH      SHARED  4, 10                 743,500           0
                                                           175       6,727 SH      OTHER   10                      6,727           0
UST INC                    COM        902911106              5         300 SH      SHARED  10                        300           0
                                                         2,878     184,200 SH      SHARED  4, 10                 184,200           0
                                                             8         500 SH      OTHER   10                        500           0
                                                            25       1,600 SH      OTHER   7, 10                   1,600           0
U.S. PLASTIC LUMBER CORPO  COMMON     902948108            416      45,000 SH      SHARED  10                     45,000           0
</TABLE>



<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
US BANCORP DEL             COM NEW    902973106            235      10,735 SH      SHARED  10                     10,735           0
                                                            70       3,200 SH      SHARED  7, 10                   3,200           0
                                                            33       1,500 SH      OTHER   10                      1,500           0
URS CORP NEW               COM        903236107            297      22,600 SH      SHARED  4, 10                  22,600           0
USG CORP                   COM NEW    903293405          3,992      95,200 SH      SHARED  4, 10                  95,200           0
US LEC CORP                COM        90331S109            894      22,500 SH      SHARED  4, 10                  22,500           0
USEC INC                   COMMON     90333E108            428      90,000 SH      SHARED  10                     90,000           0
                                                             5       1,000 SH      OTHER   10                      1,000           0
USX-U S STEEL GROUP        COM        90337T101             60       2,400 SH      SHARED  10                      2,400           0
                                                         2,723     108,900 SH      SHARED  4, 10                 108,900           0
ULTRAMAR DIAMOND SHAMROCK  COM        904000106             84       3,300 SH      SHARED  10                      3,300           0
                                                         2,573     101,400 SH      SHARED  4, 10                 101,400           0
                                                            10         400 SH      SHARED  8, 10                     400           0
                                                           117       4,600 SH      OTHER   10                      4,600           0
                                                            15         600 SH      OTHER   8, 10                     600           0
UNIFIRST CORP              COM        904708104          1,019      90,600 SH      SHARED  4, 10                  90,600           0
UNILEVER N V               N Y SHS CO 904784709            438       9,091 SH      SHARED  10                      9,091           0
                                                         4,875     101,297 SH      SHARED  4, 10                 101,297           0
                                                           524      10,891 SH      OTHER   10                     10,891           0
UNICOM CORP                COM        904911104          4,055     111,100 SH      SHARED  4, 10                 111,100           0
                                                            76       2,086 SH      OTHER   10                      2,086           0
UNIGRAPHICS SOLUTIONS INC  COMMON CL  904928108            612      20,700 SH      SHARED  4, 10                  20,700           0
UNION BANKSHARES CORPORAT  COM        905399101            253      21,516 SH      OTHER   10                     21,516           0
UNION CARBIDE CORP         COM        905581104            312       5,350 SH      SHARED  10                      5,350           0
                                                         4,257      73,000 SH      SHARED  4, 10                  73,000           0
                                                            54         930 SH      OTHER   10                        930           0
UNION PACIFIC CORP         COM        907818108          4,621     118,102 SH      SHARED  10                    117,902         200
                                                         1,632      41,700 SH      SHARED  4, 10                  41,700           0
                                                           380       9,700 SH      SHARED  7, 10                   9,700           0
                                                           145       3,705 SH      SHARED  8, 10                   3,705           0
                                                         3,756      96,006 SH      OTHER   10                     94,606       1,400
                                                            57       1,450 SH      OTHER   7, 10                   1,450           0
                                                            20         513 SH      OTHER   8, 10                     513           0
UNION PACIFIC RESOURCES G  COM        907834105             66       4,565 SH      SHARED  10                      4,565           0
                                                             7         492 SH      SHARED  8, 10                     492           0
                                                           256      17,636 SH      OTHER   10                     16,451       1,185
                                                             6         423 SH      OTHER   8, 10                     423           0
UNITED DOMINION REALTY TR  COM        910197102            233      23,200 SH      SHARED  4, 10                  23,200           0
UNITED HEALTHCARE CORP     COM        910581107             48         800 SH      SHARED  10                        800           0
                                                        10,744     180,200 SH      SHARED  4, 10                 180,200           0
UNITED PARCEL SERVICE INC  CL B COMMO 911312106         19,443     308,700 SH      SHARED  10                    308,700           0
                                                           286       4,540 SH      OTHER   10                      4,540           0
                                                             3          40 SH      OTHER   7, 10                      40           0
UNITED STATES CELLULAR CO  COM        911684108          4,509      63,500 SH      SHARED  4, 10                  63,500           0
U S HOME CORP NEW          NEW COM    911920106            627      16,500 SH      SHARED  4, 10                  16,500           0
U S WEST INC               COM        91273H101          3,895      53,626 SH      SHARED  10                     52,566       1,060
                                                        25,903     356,669 SH      SHARED  4, 10                 356,669           0
                                                            51         700 SH      SHARED  7, 10                     700           0
                                                           164       2,260 SH      SHARED  8, 10                   2,260           0
                                                         2,100      28,921 SH      OTHER   10                     28,613         308
</TABLE>




<PAGE>

FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           113       1,558 SH      OTHER   7, 10                   1,558           0
                                                            19         268 SH      OTHER   8, 10                     268           0
U S TRUST CORP NEW         COM        91288L105          1,404       7,416 SH      OTHER   10                      7,416           0
UNITED STATIONERS INC      COM        913004107             39       1,100 SH      SHARED  10                      1,100           0
                                                         2,063      57,800 SH      SHARED  4, 10                  57,800           0
UNITED TECHNOLOGIES CORP   COM        913017109          6,039      95,568 SH      SHARED  10                     93,968       1,600
                                                           506       8,000 SH      SHARED  2, 10                   8,000           0
                                                            82       1,300 SH      SHARED  4, 10                   1,300           0
                                                         2,347      37,136 SH      SHARED  7, 10                  37,136           0
                                                         6,811     107,790 SH      OTHER   10                    107,790           0
                                                           758      12,000 SH      OTHER   7, 10                  12,000           0
                                                           152       2,400 SH      OTHER   8, 10                   2,400           0
UNITED TELEVISION INC      COM        913066106            358       2,704 SH      SHARED  10                      2,704           0
UNIVERSAL ACCESS INC       COMMON     913363107            134       4,000 SH      SHARED  10                      4,000           0
                                                           168       5,000 SH      OTHER   10                      5,000           0
UNIVERSAL CORP VA          COM        913456109          4,736     314,400 SH      SHARED  4, 10                 314,400           0
UNIVERSAL FOODS CORP       COM        913538104          5,692     266,300 SH      SHARED  4, 10                 266,300           0
UNIVERSAL FOREST PRODUCTS  COM        913543104            937      75,700 SH      SHARED  4, 10                  75,700           0
UNIVISION COMMUNICATIONS   COM        914906102             20         177 SH      SHARED  10                        177           0
                                                        11,153      98,700 SH      SHARED  4, 10                  98,700           0
UNOCAL CORP                COM        915289102             88       2,963 SH      SHARED  10                      2,963           0
                                                         5,165     173,600 SH      SHARED  4, 10                 173,600           0
                                                           104       3,500 SH      OTHER   10                      3,500           0
UPBANCORP INC              COM        915298103          1,037      39,873 SH      OTHER   7, 10                  39,873           0
USFREIGHTWAYS CORPORATION  COM        916906100            562      15,000 SH      SHARED  10                     15,000           0
                                                           981      26,200 SH      SHARED  4, 10                  26,200           0
                                                            11         300 SH      OTHER   8, 10                     300           0
URBANK SHOPPING CTRS INC   COM        917060105            433      14,900 SH      SHARED  4, 10                  14,900           0
USINTERNETWORKING INC      COM        917311805             35         900 SH      SHARED  10                        900           0
                                                           355       9,150 SH      SHARED  4, 10                   9,150           0
                                                           291       7,500 SH      OTHER   10                      7,500           0
UTILICORP UTD INC          COM        918005109          2,032     112,500 SH      SHARED  4, 10                 112,500           0
                                                             8         448 SH      OTHER   8, 10                     448           0
V F CORP                   COM        918204108            711      29,550 SH      SHARED  10                     29,550           0
                                                            82       3,400 SH      OTHER   10                      3,400           0
VALASSIS COMMUNICATIONS I  COM        918866104            450      13,500 SH      SHARED  10                     13,500           0
                                                           405      12,150 SH      SHARED  4, 10                  12,150           0
VALERO ENERGY CORP NEW     COM        91913Y100          3,916     127,600 SH      SHARED  4, 10                 127,600           0
                                                            50       1,639 SH      OTHER   10                      1,639           0
VAN KAMPEN TRUST INVESTME  COMMON     920929106            172      12,950 SH      OTHER   10                     12,950           0
VANS INC                   COM        921930103             80       4,972 SH      SHARED  10                      4,972           0
                                                           146       9,071 SH      OTHER   7, 10                   9,071           0
VARCO INTL INC             COM        922126107            917      72,600 SH      SHARED  4, 10                  72,600           0
VERITAS SOFTWARE CO        COM        923436109             32         247 SH      SHARED  10                        247           0
                                                        52,014     397,050 SH      SHARED  4, 10                 397,050           0
                                                           488       3,725 SH      OTHER   10                      3,725           0
VERTEX PHARMACEUTICALS IN  COM        92532F100            248       5,300 SH      SHARED  4, 10                   5,300           0
VERTICALNET INC            COMMON     92532L107             14         100 SH      SHARED  10                        100           0
                                                         1,768      13,000 SH      SHARED  4, 10                  13,000           0
                                                           109         800 SH      OTHER   10                        800           0
</TABLE>






<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
VETERINARY CTRS AMER INC   COM        925514101          1,403     102,000 SH      SHARED  4, 10                 102,000           0
VIAD CORP                  COM        92552R109            426      18,618 SH      SHARED  10                     18,618           0
                                                         1,141      49,900 SH      SHARED  4, 10                  49,900           0
                                                             9         400 SH      SHARED  8, 10                     400           0
                                                           535      23,387 SH      OTHER   10                     23,387           0
VIACOM INC                 CL B COM   925524308            501       9,497 SH      SHARED  10                      9,497           0
                                                        12,133     230,000 SH      SHARED  4, 10                 230,000           0
                                                            11         200 SH      OTHER   10                        200           0
VIATEL INC                 COMMON     925529208             75       1,500 SH      SHARED  10                      1,500           0
                                                           341       6,800 SH      SHARED  4, 10                   6,800           0
VINTAGE PETROLEUM INC      COM        927460105          1,143      56,800 SH      SHARED  4, 10                  56,800           0
VIRATA CORP                COMMON     927646109            489       4,900 SH      SHARED  4, 10                   4,900           0
VIROPHARMA INC             COM        928241108          1,079      17,600 SH      SHARED  10                     17,600           0
                                                           920      15,000 SH      OTHER   10                     15,000           0
VISHAY INTERTECHNOLOGY IN  COM        928298108          7,573     136,137 SH      SHARED  4, 10                 136,137           0
VISX INC                   COM        92844S105          1,321      72,400 SH      SHARED  4, 10                  72,400           0
VITESSE SEMICONDUCTOR COR  COM        928497106         21,321     221,514 SH      SHARED  10                    218,764       2,750
                                                        10,366     107,700 SH      SHARED  4, 10                 107,700           0
                                                           103       1,070 SH      SHARED  8, 10                   1,070           0
                                                         9,756     101,363 SH      OTHER   10                    101,363           0
                                                            19         200 SH      OTHER   7, 10                     200           0
VODAFONE AIRTOUCH PLC      SPONSORED  92857T107         28,748     517,402 SH      SHARED  10                    508,152       9,250
                                                           147       2,640 SH      SHARED  2, 10                   2,640           0
                                                           124       2,235 SH      SHARED  3, 10                   2,235           0
                                                           286       5,145 SH      SHARED  7, 10                   5,145           0
                                                         1,457      26,225 SH      SHARED  8, 10                  26,225           0
                                                        48,564     874,032 SH      OTHER   10                    873,767         265
                                                           144       2,600 SH      OTHER   7, 10                   2,600           0
VOICESTREAM WIRELESS CORP  COMMON     928615103            503       3,907 SH      SHARED  10                      1,621       2,286
                                                         2,643      20,518 SH      SHARED  4, 10                  20,518           0
VULCAN MATLS CO            COM        929160109             99       2,170 SH      SHARED  10                      2,170           0
                                                           394       8,600 SH      OTHER   10                      8,600           0
WD 40 CO                   COM        929236107             50       2,400 SH      SHARED  10                      2,400           0
                                                           756      36,000 SH      OTHER   10                     36,000           0
WPS RESOURCES CORP         COM        92931B106            610      23,500 SH      SHARED  4, 10                  23,500           0
                                                           233       8,972 SH      OTHER   10                      8,972           0
WACHOVIA CORP              NEW COM    929771103         17,791     263,330 SH      SHARED  10                    262,130       1,200
                                                         1,217      18,020 SH      SHARED  7, 10                  18,020           0
                                                            10         150 SH      SHARED  8, 10                     150           0
                                                        11,438     169,295 SH      OTHER   10                    169,295           0
                                                         1,510      22,344 SH      OTHER   7, 10                  22,344           0
                                                            74       1,093 SH      OTHER   8, 10                   1,093           0
WADDELL & REED FINANCIAL   CL A COMMO 930059100            212       5,000 SH      SHARED  10                      5,000           0
                                                            27         641 SH      OTHER   10                        641           0
WADDELL & REED FINANCIAL   CL B COM   930059209            737      18,898 SH      SHARED  10                     18,898           0
                                                           108       2,765 SH      OTHER   10                      2,765           0
WAL MART STORES INC        COM        931142103         12,630     224,470 SH      SHARED  10                    223,470       1,000
                                                        78,156   1,383,300 SH      SHARED  4, 10               1,383,300           0
                                                           859      15,200 SH      SHARED  7, 10                  15,200           0
                                                           158       2,800 SH      SHARED  8, 10                   2,800           0
</TABLE>




<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                         7,255     128,400 SH      OTHER   10                    128,400           0
                                                         1,521      26,920 SH      OTHER   7, 10                  26,920           0
                                                            68       1,200 SH      OTHER   8, 10                   1,200           0
WALGREEN CO                COM        931422109         12,051     468,014 SH      SHARED  10                    466,414       1,600
                                                         1,674      65,000 SH      SHARED  7, 10                  65,000           0
                                                           464      18,000 SH      SHARED  8, 10                  18,000           0
                                                        15,838     615,082 SH      OTHER   10                    615,082           0
                                                         1,205      46,800 SH      OTHER   7, 10                  46,800           0
                                                           814      31,600 SH      OTHER   8, 10                  31,600           0
WALLACE COMPUTER SVCS      COM        932270101            170      14,400 SH      SHARED  10                     14,400           0
                                                         2,171     183,800 SH      SHARED  4, 10                 183,800           0
                                                           810      68,600 SH      OTHER   10                     68,600           0
WARNACO GROUP INC          COM        934390105          1,123      95,100 SH      SHARED  4, 10                  95,100           0
WARNER LAMBERT CO          COM        934488107         38,111     390,154 SH      SHARED  10                    383,064       7,090
                                                           180       1,842 SH      SHARED  2, 10                   1,842           0
                                                           152       1,557 SH      SHARED  3, 10                   1,557           0
                                                        21,501     220,100 SH      SHARED  4, 10                 220,100           0
                                                           394       4,036 SH      SHARED  7, 10                   4,036           0
                                                         1,055      10,800 SH      SHARED  8, 10                  10,800           0
                                                        27,616     282,693 SH      OTHER   10                    282,576         117
                                                            49         500 SH      OTHER   8, 10                     500           0
WASHINGTON FED INC         COM        938824109            856      44,900 SH      SHARED  4, 10                  44,900           0
WASHINGTON GAS LT CO       COM        938837101            340      12,500 SH      SHARED  4, 10                  12,500           0
                                                            27       1,000 SH      OTHER   10                      1,000           0
WASHINGTON MUTUAL INC      COM        939322103          1,463      55,190 SH      SHARED  10                     55,190           0
                                                         5,939     224,127 SH      SHARED  4, 10                 224,127           0
                                                            54       2,027 SH      OTHER   10                      2,027           0
WASHINGTON REAL ESTATE IN  SH BEN INT 939653101          1,551     103,400 SH      OTHER   10                    103,400           0
WASTE MANAGEMENT INC DEL   COMMON     94106L109            163      11,899 SH      SHARED  10                     11,899           0
                                                         9,057     661,700 SH      SHARED  4, 10                 661,700           0
                                                            16       1,180 SH      OTHER   10                      1,180           0
WATERPUR INTERNATIONAL IN  COM        941844102              8     125,000 SH      OTHER   10                    125,000           0
WATERS CORP                COM        941848103             19         200 SH      SHARED  10                        200           0
                                                         8,106      85,100 SH      SHARED  4, 10                  85,100           0
                                                           343       3,600 SH      OTHER   10                      3,600           0
WATSON PHARMACEUTICALS IN  COM        942683103         13,692     345,000 SH      SHARED  4, 10                 345,000           0
WATTS INDS INC             CL A COM   942749102            911      73,600 SH      SHARED  4, 10                  73,600           0
WAUSAU MOSINEE PAPER CORP  COMMON     943315101        134,047  10,360,685 SH      SHARED  10                 10,360,685           0
WEATHERFORD INTERNATIONAL  COMMON     947074100             47         807 SH      SHARED  10                        807           0
                                                         1,410      24,100 SH      SHARED  4, 10                  24,100           0
WEB STREET INC             COMMON     947336103            125      15,000 SH      SHARED  10                     15,000           0
WEBLINK WIRELESS INC       COMMON     94769A101            242      18,100 SH      SHARED  4, 10                  18,100           0
WEBTRENDS CORPORATION      COMMON     94844D104            814      11,300 SH      SHARED  4, 10                  11,300           0
WEINGARTEN INVESTORS       SH BEN INT 948741103            129       3,500 SH      SHARED  10                      3,500           0
                                                           643      17,500 SH      SHARED  4, 10                  17,500           0
                                                            88       2,400 SH      OTHER   10                      2,400           0
WELLPOINT HEALTH NETWORKS  COM        94973H108            360       5,150 SH      SHARED  10                      5,150           0
                                                            98       1,400 SH      SHARED  4, 10                   1,400           0
WELLS FARGO & CO NEW       COMMON     949746101            914      22,338 SH      SHARED  10                     22,338           0
                                                            16         400 SH      SHARED  8, 10                     400           0
</TABLE>



<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                         1,829      44,880 SH      OTHER   10                     44,880           0
WELLSTEAD INDUS INC        COM        950246108              0           2 SH      SHARED  10                          2           0
WERNER ENTERPRISES  INC    COM        950755108            825      48,500 SH      SHARED  4, 10                  48,500           0
WEST PHARMACEUTICAL SERVI  COMMON     955306105             28       1,100 SH      SHARED  10                      1,100           0
                                                           514      20,300 SH      SHARED  4, 10                  20,300           0
                                                         7,018     277,250 SH      OTHER   10                    277,250           0
WESTERN WIRELESS CORP      CLASS A CO 95988E204            302       6,600 SH      SHARED  4, 10                   6,600           0
WESTFIELD AMERICA INC      COM        959910100            149      11,000 SH      SHARED  4, 10                  11,000           0
WESTVACO CORP              COM        961548104            663      19,857 SH      SHARED  10                     19,857           0
                                                         2,672      80,050 SH      SHARED  4, 10                  80,050           0
WESTWOOD ONE INC           COM        961815107          4,810     132,700 SH      SHARED  4, 10                 132,700           0
WEYERHAEUSER CO            COM        962166104          2,580      45,262 SH      SHARED  10                     45,262           0
                                                           513       9,000 SH      SHARED  2, 10                   9,000           0
                                                         3,078      54,000 SH      SHARED  4, 10                  54,000           0
                                                            77       1,350 SH      SHARED  8, 10                   1,350           0
                                                           948      16,639 SH      OTHER   10                     16,639           0
                                                            12         211 SH      OTHER   8, 10                     211           0
WHIRLPOOL CORP             COM        963320106            577       9,835 SH      SHARED  10                      5,135       4,700
                                                            76       1,300 SH      SHARED  4, 10                   1,300           0
                                                           733      12,500 SH      OTHER   10                     12,500           0
WHITEHALL JEWELLERS INC    COM        965063100            291      12,400 SH      SHARED  4, 10                  12,400           0
WHITMAN CORP NEW           COMMON     96647R107          9,493     681,100 SH      SHARED  4, 10                 681,100           0
                                                            67       4,800 SH      OTHER   10                      4,800           0
WILLAMETTE INDS INC        COM        969133107             48       1,200 SH      SHARED  10                      1,200           0
                                                         2,845      70,900 SH      SHARED  4, 10                  70,900           0
                                                           102       2,550 SH      OTHER   10                      2,550           0
WILLIAMS COS               COM        969457100            646      14,699 SH      SHARED  10                     14,699           0
                                                           158       3,600 SH      SHARED  8, 10                   3,600           0
                                                           950      21,628 SH      OTHER   10                     21,628           0
WILLIAMS SONOMA INC        COM        969904101          2,740      88,400 SH      SHARED  10                     88,400           0
                                                            25         800 SH      SHARED  8, 10                     800           0
                                                         1,671      53,900 SH      OTHER   10                     53,900           0
WILMINGTON TRUST CORPORAT  COM        971807102         44,960     924,625 SH      SHARED  10                    896,391      28,234
                                                           405       8,336 SH      SHARED  7, 10                   8,336           0
                                                           326       6,700 SH      SHARED  8, 10                   6,700           0
                                                        46,191     949,953 SH      OTHER   10                    949,953           0
                                                           478       9,833 SH      OTHER   7, 10                   9,833           0
                                                           405       8,320 SH      OTHER   8, 10                   8,320           0
WINK COMMUNICATIONS INC    COM        974168106            334      10,000 SH      SHARED  10                     10,000           0
WINN DIXIE STORES INC      COM        974280109             88       4,528 SH      SHARED  10                      4,528           0
                                                           882      45,386 SH      OTHER   10                     45,386           0
WINNEBAGO INDS INC         COM        974637100            549      30,400 SH      SHARED  4, 10                  30,400           0
WIRLESS FACILITIES INC     COMMON     97653A103            653       6,200 SH      SHARED  4, 10                   6,200           0
WISCONSIN CENTRAL TRANSN   COM        976592105            916      74,800 SH      SHARED  4, 10                  74,800           0
WISCONSIN ENERGY CORP      COM        976657106            138       6,927 SH      SHARED  10                      6,927           0
                                                         3,060     153,500 SH      SHARED  4, 10                 153,500           0
                                                           103       5,148 SH      OTHER   10                      5,148           0
WOLVERINE TUBE INC         COM        978093102            450      35,100 SH      SHARED  4, 10                  35,100           0
WORLD ACCESS INC           COM        98141A101            650      34,000 SH      SHARED  4, 10                  34,000           0
WORTHINGTON INDS INC       COM        981811102          1,768     142,900 SH      SHARED  10                    122,900      20,000
</TABLE>





<PAGE>



FORM 13F INFORMATION TABLE
WILMINGTON TRUST COMPANY
<TABLE>
<CAPTION>
                             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>
                                                           259      20,900 SH      SHARED  4, 10                  20,900           0
WRIGLEY WM JR CO           COM        982526105            261       3,400 SH      SHARED  10                      3,400           0
                                                           948      12,340 SH      OTHER   10                     12,340           0
                                                           353       4,600 SH      OTHER   7, 10                   4,600           0
XILINX INC                 COM        983919101            524       6,324 SH      SHARED  10                      6,324           0
                                                         2,137      25,800 SH      SHARED  4, 10                  25,800           0
                                                           715       8,630 SH      OTHER   10                      8,630           0
XIRCOM                     COM        983922105             11         300 SH      SHARED  10                        300           0
                                                         2,283      61,700 SH      SHARED  4, 10                  61,700           0
XEROX CORP                 COM        984121103          2,020      77,696 SH      SHARED  10                     77,696           0
                                                         4,334     166,700 SH      SHARED  4, 10                 166,700           0
                                                           208       8,000 SH      SHARED  7, 10                   8,000           0
                                                         1,043      40,100 SH      OTHER   10                     40,100           0
                                                            16         600 SH      OTHER   7, 10                     600           0
YAHOO! INC                 COM        984332106          3,518      20,530 SH      SHARED  10                     20,530           0
                                                        17,138     100,000 SH      SHARED  4, 10                 100,000           0
                                                         4,344      25,350 SH      OTHER   10                     25,350           0
XICOR INC                  COM        984903104            223      15,800 SH      SHARED  4, 10                  15,800           0
YORK INTL CORP NEW         COM        986670107         16,996     727,100 SH      SHARED  4, 10                 727,100           0
ZALE CORP NEW              COM        988858106         10,597     224,568 SH      SHARED  10                    218,468       6,100
                                                         1,987      42,100 SH      SHARED  4, 10                  42,100           0
                                                           382       8,089 SH      OTHER   10                      8,089           0
ZEBRA TECHNOLOGIES CORP    CL A COM   989207105          3,720      74,400 SH      SHARED  4, 10                  74,400           0
ZOMAX INC                  COMMON     989929104            217       3,600 SH      SHARED  10                      3,600           0
</TABLE>



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