WILMINGTON TRUST OF PENNSYLVANIA
13F-HR/A, 1999-11-12
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                UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               Form 13F COVER PAGE

        Report for Calendar Year or the Quarter Ended: September 30, 1999
                Check here if Amendment [x]; Amendment Number: 18

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

Institutional Investment Manager Filing this Report:

Name:         Wilmington Trust of Pennsylvania
Address:      795 East Lancaster Avenue
              Villanova, Pennsylvania  19087

Form 13F File Number: 28-04464

         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:         Michael A. DiGregorio
Title:        Vice President
Phone:        (610) 520-1430

Signature, Place, and Date of Signing:

/s/Michael A. DiGregorio           Wilmington, DE           November 8, 1999
- -----------------------         ---------------------      ------------------
Signature                           City, State                    Date


<PAGE>



Report Type:

[ ]   13F HOLDINGS REPORT.(Check here if all holdings of this reporting
      manager are reported in this report)

[ ]   13F NOTICE.(Check here if no holdings reported are in this report, and
      all holdings are reported by other reporting manager(s).)

[x]   13F COMBINATION REPORT. (Check here if a portion of the holdings for
      this reporting manager are reported in this report and a portion are
      reported by other reporting manager(s).)

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

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


<PAGE>


                             FORM 13 F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:               2

Form 13F Table Entry Total:                      266

Form 13F Information Table Value Total:          $208,818 (in thousands)

List of Other Included Managers:

No.      Form 13F
         File  No.           Name

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


<PAGE>


FORM 13F INFORMATION TABLE
WILMINGTON TRUST OF PENNSYLVANIA

<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>
LORAL SPACE & COMMUNICATI  ORD        G56462107       179      10,400     SH      SHARED      10                  10,400         0
AT & T CORP                COM        001957109     2,304      52,956     SH      SHARED      10                  52,956         0
                                                       15         349     SH      SHARED      9, 10                  349         0
                                                      385       8,848     SH      OTHER       10                   8,848         0
ABBOTT LABS                COM        002824100     2,393      65,221     SH      SHARED      10                  65,221         0
                                                       29         800     SH      OTHER       10                     800         0
ABERCROMBIE & FITCH CO     CLASS A CO 002896207       474      13,924     SH      SHARED      10                  13,924         0
AIR PRODS & CHEMS INC      COM        009158106       936      32,000     SH      SHARED      10                  32,000         0
                                                        5         167     SH      SHARED      9, 10                  167         0
                                                       18         600     SH      OTHER       10                     600         0
ALBERTSONS INC             COM        013104104       349       8,816     SH      SHARED      10                   8,816         0
                                                       34         861     SH      OTHER       10                     861         0
ALLIEDSIGNAL INC           COM        019512102       224       3,735     SH      SHARED      10                   3,735         0
                                                      113       1,884     SH      OTHER       10                   1,884         0
ALLSTATE CORP              COM        020002101       247       9,922     SH      SHARED      10                   9,922         0
ALTERA CORP                COM        021441100       727      16,762     SH      SHARED      10                  16,762         0
AMERICA ONLINE INC DEL     COM        02364J104       281       2,705     SH      SHARED      10                   2,705         0
                                                       10         100     SH      OTHER       10                     100         0
AMERICAN EXPRESS CO        COM        025816109       177       1,308     SH      SHARED      10                   1,308         0
                                                       27         200     SH      OTHER       10                     200         0
AMERICAN GEN CORP          COM        026351106       657      10,394     SH      SHARED      10                  10,394         0
AMERICAN HOME PRODS CORP   COM        026609107     1,533      36,948     SH      SHARED      10                  36,948         0
                                                      311       7,500     SH      OTHER       10                   7,500         0
AMERICAN INTL GROUP INC    COM        026874107     2,689      30,928     SH      SHARED      10                  30,928         0
                                                       24         275     SH      SHARED      9, 10                  275         0
                                                      448       5,153     SH      OTHER       10                   5,153         0
AMERITECH CORP             COM NEW    030954101       625       9,360     SH      SHARED      10                   9,360         0
                                                       24         360     SH      OTHER       10                     360         0
AMGEN                      COM        031162100       859      10,535     SH      SHARED      10                  10,535         0
                                                       10         126     SH      SHARED      9, 10                  126         0
ANALOG DEVICES INC         COM        032654105       840      16,398     SH      SHARED      10                  16,398         0
                                                       21         400     SH      OTHER       10                     400         0
AUTOMATIC DATA PROCESSING  COM        053015103     2,143      48,026     SH      SHARED      10                  48,026         0
                                                      103       2,300     SH      OTHER       10                   2,300         0
BP AMOCO PLC               SPONSORDD  055622104       503       4,537     SH      SHARED      10                   4,537         0
                                                    1,918      17,305     SH      OTHER       10                  17,305         0
BANK OF AMERICA CORPORATI  COMMON     060505104       639      11,474     SH      SHARED      10                  11,474         0
                                                      281       5,040     SH      OTHER       10                   5,040         0
BANK ONE CORP              COMMON     06423A103     1,227      35,239     SH      SHARED      10                  35,239         0
                                                        7         200     SH      SHARED      9, 10                  200         0
                                                      108       3,100     SH      OTHER       10                   3,100         0
BAXTER INTL INC            COM        071813109       202       3,355     SH      SHARED      10                   3,355         0
BELL ATLANTIC CORP         COM        077853109     1,274      18,923     SH      SHARED      10                  18,923         0
                                                      231       3,432     SH      OTHER       10                   3,432         0
BELLSOUTH CORP             COM        079860102       734      16,316     SH      SHARED      10                  16,316         0
                                                       67       1,480     SH      OTHER       10                   1,480         0
BERKSHIRE HATHAWAY INC DE  CLASS A    084670108       330           6     SH      SHARED      10                       6         0
BERKSHIRE HATHAWAY INC DE  CL B       084670207       210         113     SH      SHARED      10                     113         0
                                                       19          10     SH      OTHER       10                      10         0
BIOGEN INC                 COM        090597105       330       4,190     SH      SHARED      10                   4,190         0
BOEING CO                  COM        097023105       128       3,000     SH      SHARED      10                   3,000         0
                                                       13         300     SH      OTHER       10                     300         0
                                                       96       2,250     SH      OTHER       7, 10                2,250         0

</TABLE>

<PAGE>

<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>
BORDERS GROUP INC          COM        099709107       742      50,500     SH      SHARED      10                  50,500         0
                                                       29       2,000     SH      OTHER       10                   2,000         0
BRISTOL-MYERS SQUIBB CO    COM        110122108     2,727      40,405     SH      SHARED      10                  40,405         0
                                                      681      10,090     SH      OTHER       10                  10,090         0
CAMPBELL SOUP CO           COM        134429109       698      17,830     SH      SHARED      10                  17,830         0
                                                      192       4,920     SH      OTHER       10                   4,920         0
CARNIVAL CORP              COMMON     143658102     1,999      45,955     SH      SHARED      10                  45,955         0
                                                       74       1,700     SH      OTHER       10                   1,700         0
CHASE MANHATTAN CORP NEW   COM        16161A108       182       2,410     SH      SHARED      10                   2,410         0
                                                       28         367     SH      SHARED      9, 10                  367         0
CHEVRON CORP               COM        166751107     1,297      14,616     SH      SHARED      10                  14,616         0
                                                    1,208      13,610     SH      OTHER       10                  13,610         0
CHUBB CORP                 COM        171232101       224       4,517     SH      SHARED      10                   4,517         0
                                                       10         200     SH      OTHER       10                     200         0
                                                       82       1,650     SH      OTHER       7, 10                1,650         0
CISCO SYS INC              COM        17275R102     2,589      37,759     SH      SHARED      10                  37,759         0
                                                       19         276     SH      SHARED      9, 10                  276         0
                                                      456       6,650     SH      OTHER       10                   6,650         0
CITIGROUP INC              COMMON     172967101       834      18,962     SH      SHARED      10                  18,962         0
                                                       29         657     SH      SHARED      9, 10                  657         0
                                                      134       3,050     SH      OTHER       10                   3,050         0
COCA COLA CO               COM        191216100     1,103      22,865     SH      SHARED      10                  22,865         0
                                                       10         200     SH      OTHER       10                     200         0
COLGATE PALMOLIVE CO       COM        194162103        68       1,488     SH      SHARED      10                   1,488         0
                                                      329       7,184     SH      OTHER       10                   7,184         0
COMPAQ COMPUTER CORP       COM        204493100       653      28,535     SH      SHARED      10                  28,535         0
                                                       43       1,900     SH      OTHER       10                   1,900         0
CONOCO INC                 CL B COMMO 208251405       320      11,700     SH      SHARED      10                  11,700         0
                                                      178       6,504     SH      OTHER       10                   6,504         0
CRUSADER HOLDING CORP      COM        228840104       108      10,500     SH      SHARED      10                  10,500         0
DAYTON HUDSON CORP         COM        239753106       820      13,655     SH      SHARED      10                  13,655         0
DELL COMPUTER CORP         COM        247025109       311       7,450     SH      SHARED      10                   7,450         0
DENBURY RESOURCES INC      COM NEW    247916208        65      12,000     SH      SHARED      10                  12,000         0
WALT DISNEY CO             COM        254687106       483      18,590     SH      SHARED      10                  18,590         0
                                                        8         300     SH      OTHER       10                     300         0
DOVER CORP                 COM        260003108       887      21,700     SH      SHARED      10                  21,700         0
                                                        4         100     SH      OTHER       10                     100         0
DU PONT E I DE NEMOURS &   COM        263534109    29,678     490,551     SH      SHARED      10                 490,551         0
                                                      484       7,997     SH      OTHER       10                   7,997         0
DUKE ENERGY CORP           COM        264399106       786      14,261     SH      SHARED      10                  14,261         0
                                                      116       2,100     SH      OTHER       10                   2,100         0
E M C CORP MASS            COM        268648102       683       9,570     SH      SHARED      10                   9,570         0
                                                       20         280     SH      OTHER       10                     280         0
EMERSON ELEC CO            COM        291011104     1,842      29,150     SH      SHARED      10                  29,150         0
                                                      190       3,000     SH      OTHER       10                   3,000         0
EXXON CORP                 COM        302290101     2,371      31,200     SH      SHARED      10                  31,200         0
                                                    7,513      98,860     SH      OTHER       10                  98,860         0
FPL GROUP INC              COM        302571104       474       9,400     SH      SHARED      10                   9,400         0
                                                      252       5,000     SH      OTHER       10                   5,000         0
FAIRFIELD CMNTYS INC       COM        304231301       547      50,000     SH      SHARED      10                  50,000         0
FANNIE MAE                 COM        313586109       491       7,840     SH      SHARED      10                   7,840         0
                                                      116       1,850     SH      OTHER       10                   1,850         0
FIRST BANK OF PHILADELPHI  COM NEW    319258208        89      17,776     SH      SHARED      10                  17,776         0
FIRST SECURITY CORP        COMMON     336294103       219       9,225     SH      SHARED      10                   9,225         0
FIRST UN CORP              COM        337358105     1,001      28,112     SH      SHARED      10                  28,112         0
                                                      496      13,920     SH      OTHER       10                  13,920         0


</TABLE>

<PAGE>

<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>
FORD MTR CO DEL            COM        345370100       449       8,937     SH      SHARED      10                   8,937         0
                                                       17         340     SH      SHARED      9, 10                  340         0
                                                      126       2,500     SH      OTHER       10                   2,500         0
GTE CORP                   COM        362320103     2,282      29,687     SH      SHARED      10                  29,687         0
                                                       12         150     SH      OTHER       10                     150         0
GANNETT INC DEL            COM        364730101     1,008      14,575     SH      SHARED      10                  14,575         0
                                                      104       1,500     SH      OTHER       10                   1,500         0
GENERAL ELEC CO            COM        369604103     9,802      82,670     SH      SHARED      10                  82,670         0
                                                       17         141     SH      SHARED      9, 10                  141         0
                                                    1,690      14,252     SH      OTHER       10                  14,252         0
                                                      273       2,300     SH      OTHER       7, 10                2,300         0
GILLETTE CO                COM        375766102       596      17,550     SH      SHARED      10                  17,550         0
                                                       95       2,800     SH      OTHER       10                   2,800         0
GOVERNMENT SECS INCOME FD  UNIT GNMA  383743499         2      38,673     SH      SHARED      10                  38,673         0
GOVERNMENT SECS INCOME FD  UNIT GNMA  383743523         1      28,525     SH      SHARED      10                  28,525         0
GOVERNMENT SECURITIES INC  UNIT GNMA  383744562         5      20,858     SH      SHARED      10                  20,858         0
HALLIBURTON CO             COM        406216101     1,314      32,059     SH      SHARED      10                  32,059         0
                                                       13         305     SH      SHARED      9, 10                  305         0
                                                       25         600     SH      OTHER       10                     600         0
HERSHEY FOODS CORP         COM        427866108     1,184      24,320     SH      SHARED      10                  24,320         0
                                                       63       1,300     SH      OTHER       10                   1,300         0
HEWLETT PACKARD CO         COM        428236103     1,726      19,023     SH      SHARED      10                  19,023         0
                                                        9         100     SH      SHARED      9, 10                  100         0
                                                      145       1,600     SH      OTHER       10                   1,600         0
                                                      299       3,300     SH      OTHER       7, 10                3,300         0
HOME DEPOT INC             COM        437076102     2,621      38,188     SH      SHARED      10                  38,188         0
                                                       21         300     SH      SHARED      9, 10                  300         0
                                                      528       7,700     SH      OTHER       10                   7,700         0
HONEYWELL INC              COM        438506107       468       4,200     SH      SHARED      10                   4,200         0
                                                       18         161     SH      SHARED      9, 10                  161         0
                                                      256       2,300     SH      OTHER       7, 10                2,300         0
ILLINOIS TOOL WKS INC      COM        452308109     1,607      21,555     SH      SHARED      10                  21,555         0
                                                      134       1,800     SH      OTHER       10                   1,800         0
INTEL CORP                 COM        458140100     4,922      66,240     SH      SHARED      10                  66,240         0
                                                       32         436     SH      SHARED      9, 10                  436         0
                                                      360       4,850     SH      OTHER       10                   4,850         0
INTERNATIONAL BUS MACHS    COM        459200101     2,887      23,858     SH      SHARED      10                  23,858         0
                                                       25         208     SH      SHARED      9, 10                  208         0
                                                    1,140       9,420     SH      OTHER       10                   9,420         0
INTERPUBLIC GROUP COS INC  COM        460690100     1,241      30,174     SH      SHARED      10                  30,174         0
                                                       49       1,200     SH      OTHER       10                   1,200         0
JEFFBANKS INC              COM        472317106       375      12,999     SH      SHARED      10                  12,999         0
JOHNSON & JOHNSON          COM        478160104     4,785      52,085     SH      SHARED      10                  52,085         0
                                                       15         164     SH      SHARED      9, 10                  164         0
                                                    2,049      22,300     SH      OTHER       10                  22,300         0
                                                      322       3,500     SH      OTHER       7, 10                3,500         0
KIMBERLY CLARK CORP        COM        494368103       238       4,516     SH      SHARED      10                   4,516         0
LILLY ELI & CO             COM        532457108     1,343      20,926     SH      SHARED      10                  20,926         0
                                                       11         176     SH      SHARED      9, 10                  176         0
LINENS 'N THINGS INC       COM        535679104     2,168      64,235     SH      SHARED      10                  64,235         0
                                                      132       3,900     SH      OTHER       10                   3,900         0
LUCENT TECHNOLOGIES INC    COM        549463107     3,287      50,672     SH      SHARED      10                  50,672         0
                                                      414       6,382     SH      OTHER       10                   6,382         0

</TABLE>

<PAGE>

<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>

MCI WORLDCOM INC           COM        55268B106     1,726      24,016     SH      SHARED      10                  24,016         0
                                                      133       1,850     SH      OTHER       10                   1,850         0
MAY DEPT STORES CO         COM        577778103       217       5,950     SH      SHARED      10                   5,950         0
MCDONALDS CORP             COM        580135101       380       8,790     SH      SHARED      10                   8,790         0
                                                       23         524     SH      OTHER       10                     524         0
MEDIA ONE GROUP INC        COM        58440J104       205       3,000     SH      SHARED      10                   3,000         0
                                                        8         120     SH      OTHER       10                     120         0
MEDTRONIC INC              COM        585055106     2,658      74,730     SH      SHARED      10                  74,730         0
                                                      130       3,652     SH      OTHER       10                   3,652         0
MERCK & CO INC             COM        589331107     4,519      69,718     SH      SHARED      10                  69,718         0
                                                       13         206     SH      SHARED      9, 10                  206         0
                                                      653      10,080     SH      OTHER       10                  10,080         0
MICROSOFT CORP             COM        594918104     1,964      21,690     SH      SHARED      10                  21,690         0
                                                       44         484     SH      SHARED      9, 10                  484         0
                                                      290       3,200     SH      OTHER       10                   3,200         0
MINNESOTA MNG & MFG CO     COM        604059105       271       2,820     SH      SHARED      10                   2,820         0
                                                      148       1,540     SH      OTHER       10                   1,540         0
MOBIL CORP                 COM        607059102     2,768      27,477     SH      SHARED      10                  27,477         0
                                                       30         300     SH      SHARED      9, 10                  300         0
                                                    1,702      16,896     SH      OTHER       10                  16,896         0
J P MORGAN & CO INC        COM        616880100       417       3,650     SH      SHARED      10                   3,650         0
                                                       29         250     SH      OTHER       10                     250         0
MOTOROLA INC               COM        620076109       321       3,650     SH      SHARED      10                   3,650         0
                                                       22         250     SH      OTHER       10                     250         0
NETWORK ASSOCIATES INC     COM        640938106     1,003      52,440     SH      SHARED      10                  52,440         0
                                                       27       1,425     SH      OTHER       10                   1,425         0
NEW FRONTIER MEDIA INC     COM        644398109       139      21,000     SH      SHARED      10                  21,000         0
NOKIA CORP                 SPONSORED  654902204       876       9,750     SH      SHARED      10                   9,750         0
                                                       90       1,000     SH      OTHER       10                   1,000         0
NORFOLK SOUTHERN CORP      COM        655844108       162       6,600     SH      SHARED      10                   6,600         0
                                                       85       3,456     SH      OTHER       10                   3,456         0
ORACLE CORP                COM        68389X105       724      15,919     SH      SHARED      10                  15,919         0
                                                      109       2,401     SH      OTHER       10                   2,401         0
PNC BANK CORPORATION       COM        693475105       862      16,361     SH      SHARED      10                  16,361         0
                                                       74       1,400     SH      OTHER       10                   1,400         0
PPG INDUSTRIES INC         COM        693506107       297       4,950     SH      SHARED      10                   4,950         0
PARKER HANNIFIN CORP       COM        701094104     1,129      25,200     SH      SHARED      10                  25,200         0
                                                       99       2,200     SH      OTHER       10                   2,200         0
PEPSICO INC                COM        713448108     1,618      53,050     SH      SHARED      10                  53,050         0
                                                      250       8,200     SH      OTHER       10                   8,200         0
                                                      122       4,000     SH      OTHER       7, 10                4,000         0
PFIZER INC                 COM        717081103       502      13,995     SH      SHARED      10                  13,995         0
                                                      237       6,600     SH      OTHER       10                   6,600         0
PHILIP MORRIS COS INC      COM        718154107        46       1,350     SH      SHARED      10                   1,350         0
                                                      193       5,640     SH      OTHER       10                   5,640         0
PITNEY BOWES INC           COM        724479100       504       8,270     SH      SHARED      10                   8,270         0
                                                       98       1,600     SH      OTHER       10                   1,600         0
PROCTER & GAMBLE CO        COM        742718109     2,216      23,640     SH      SHARED      10                  23,640         0
                                                      394       4,200     SH      OTHER       10                   4,200         0
QAD INC                    COM        74727D108        68      16,000     SH      SHARED      10                  16,000         0
</TABLE>

<PAGE>

<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>
RAYTHEON CO                CL B COMMO 755111408       319       6,437     SH      SHARED      10                   6,437         0
                                                       40         800     SH      OTHER       10                     800         0
                                                       79       1,600     SH      OTHER       7, 10                1,600         0
ROHN INDUSTRIES INC        COM        775381106        34      16,900     SH      SHARED      10                  16,900         0
ROYAL DUTCH PETE CO        REGISTRY S 780257804       589       9,975     SH      SHARED      10                   9,975         0
                                                       37         623     SH      OTHER       10                     623         0
                                                      165       2,800     SH      OTHER       7, 10                2,800         0
SBC COMMUNICATIONS INC     COM        78387G103     2,231      43,684     SH      SHARED      10                  43,684         0
                                                      157       3,084     SH      OTHER       10                   3,084         0
SAFEGUARD SCIENTIFICS INC  COM        786449108     1,535      22,577     SH      SHARED      10                  22,577         0
SAKS INCORPORATED          COMMON     79377W108       278      18,300     SH      SHARED      10                  18,300         0
SARA LEE CORP              COM        803111103     1,577      67,445     SH      SHARED      10                  67,445         0
                                                       98       4,200     SH      OTHER       10                   4,200         0
SCHERING PLOUGH CORP       COM        806605101       595      13,640     SH      SHARED      10                  13,640         0
                                                        8         188     SH      SHARED      9, 10                  188         0
SCHLUMBERGER LTD           COM        806857108     1,611      25,860     SH      SHARED      10                  25,860         0
                                                      143       2,300     SH      OTHER       10                   2,300         0
                                                      125       2,000     SH      OTHER       7, 10                2,000         0
SIGMA ALDRICH CORP         COM        826552101       941      29,625     SH      SHARED      10                  29,625         0
                                                       48       1,500     SH      OTHER       10                   1,500         0
SMITHKLINE BEECHAM PLC     ADR REPSTG 832378301       257       4,457     SH      SHARED      10                   4,457         0
                                                       93       1,616     SH      OTHER       10                   1,616         0
SOUTHWEST AIRLS CO         COM        844741108       404      26,625     SH      SHARED      10                  26,625         0
                                                       28       1,875     SH      OTHER       10                   1,875         0
SOVEREIGN BANCORP INC      COM        845905108       158      17,361     SH      SHARED      10                  17,361         0
STAPLES INC                COM        855030102     1,766      80,983     SH      SHARED      10                  80,983         0
                                                      113       5,200     SH      OTHER       10                   5,200         0
SYSCO CORP                 COM        871829107       338       9,635     SH      SHARED      10                   9,635         0
TELLABS OPERATIONS INC     COM        879664100       344       6,040     SH      SHARED      10                   6,040         0
TEXACO INC                 COM        881694103        90       1,423     SH      SHARED      10                   1,423         0
                                                       51         808     SH      OTHER       10                     808         0
                                                      126       2,000     SH      OTHER       7, 10                2,000         0
TEXTRON INC                COM        883203101       218       2,822     SH      SHARED      10                   2,822         0
                                                       15         200     SH      OTHER       10                     200         0
TYCO INTERNATIONAL LTD     COM NEW    902124106     1,875      18,161     SH      SHARED      10                  18,161         0
                                                      108       1,050     SH      OTHER       10                   1,050         0
U S FAX INC                COMMON     902913300         3      52,025     SH      SHARED      10                  52,025         0
UNITED TECHNOLOGIES CORP   COM        913017109       219       3,700     SH      SHARED      10                   3,700         0
VERTICALNET INC            COMMON     92532L107       788      21,300     SH      SHARED      10                  21,300         0
VODAFONE AIRTOUCH PLC      SPONSORED  92857T107       468       1,970     SH      SHARED      10                   1,970         0
                                                       12          50     SH      SHARED      9, 10                   50         0
WACHOVIA CORP              NEW COM    929771103       232       2,950     SH      SHARED      10                   2,950         0
                                                       26         326     SH      OTHER       10                     326         0
WAL MART STORES INC        COM        931142103       214       4,500     SH      SHARED      10                   4,500         0
                                                      944      19,840     SH      OTHER       10                  19,840         0
WALGREEN CO                COM        931422109       781      30,780     SH      SHARED      10                  30,780         0
                                                       41       1,600     SH      OTHER       10                   1,600         0
WARNER LAMBERT CO          COM        934488107     2,061      31,050     SH      SHARED      10                  31,050         0
                                                       20         300     SH      SHARED      9, 10                  300         0
                                                       20         300     SH      OTHER       10                     300         0
WELLS FARGO & CO NEW       COMMON     949746101       548      13,840     SH      SHARED      10                  13,840         0
WILMINGTON TRUST CORPORAT  COM        971807102     6,597     135,849     SH      SHARED      10                 135,849         0
                                                      223       4,600     SH      OTHER       10                   4,600         0
ZIONS BANCORP              COM        989701107     1,202      21,800     SH      SHARED      10                  21,800         0

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