SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C.  20549

FORM 8-K

CURRENT REPORT

Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934

Date of Report:                 December 26, 2000

ADVANTA Mortgage Loan Trust 1998-4A,  1998-4B, 1998-4C

New York                          333-52351-02                 88-0360305
                                  333-52351-03                 23-2723382
                                  333-52351-04


c/o ADVANTA Mortgage Corp., USA
Attn:  H. John Berens
10790 Rancho Bernardo Road
San Diego, CA  92127

(858) 676-3099



Item 5.                         Other Events

Information relating to the distributions to Certificate holders
for the November, 2000 Monthly Period of the Trust in respect of
the Mortgage Backed Notes, Series 1998-4, Class A, Class B
and Class C (the "Certificates") issued by the Registrant and the
performance of the Trust (including distributions of principal
and interest, delinquent balances of Home  Loans,
and the Subordinated amount remaining), together with certain other
information relating to the certificates, is contained in the
Monthly Report for the Monthly Period provided to certificateholders
pursuant to the Pooling and Servicing Agreement (the "Agreement")
dated as of November 1, 1998 between ADVANTA Mortgage Corp.,
USA as Servicer, and Bankers Trust Company, as Trustee.


Item 7.                         Financial Statements, Exhibits

                 Exhibit No.                    Exhibit

                             1. Monthly Report for the November 2000 Monthly
                                Period relating to the Mortgage Backed Notes
                                Series 1998-4, Class A, Class B, and Class C
                                issued by the ADVANTA Mortgage Loan
                                Trust 1998-4A, 1998-4B, 1998-4C.


                                                EXHIBIT INDEX

Exhibit

       1.        Monthly Report for the November 2000 Monthly
                 Period relating to the Mortgage Backed Notes, Series
                 1998-4, Class A, Class B, and Class C issued by the
                 ADVANTA Mortgage Loan Trust 1998-4A, 1998-4B, 1998-4C.





                                                SIGNATURE


Pursuant to the requirements of the Securities Exchange Act
of 1934, the Registrant has duly caused this report to be signed
on its behalf by the undersigned thereunto duly authorized.



ADVANTA Mortgage Loan Trust 1998-4A, 19984-B, 1998-4C.

BY:              ADVANTA Mortgage Corp., USA




BY:              /s/ H. John Berens
                 H. John Berens
                 Senior Vice President
                 Advanta Mortgage



December 29, 2000

                                                EXHIBIT 1


                 ADVANTA Mortgage Loan Trust 1998-4A

                            Statement to Certificateholders


                 Original       Prior
                 Face           Principal
Class            Value          Balance         Interest       Principal      Total
                                                               
A                    650,000,000      454,807,60       2,680,93        7,309,3       9,990,327.16
A Certificate                                             105,2                         105,241.46

Totals               650,000,000      454,807,60       2,786,17        7,309,3     10,095,568.62



                                                Current        Pass-Through
                 Realized       Deferred        Principal      Rates
Class            Losses         Interest        Balance        Current        Next
                                                               
A                                                  447,498,206.      7.317500%     7.347500%
A Certificate                                                              NA            NA

Totals                                             447,498,206.03



                                Prior                                                       Current
                                Principal                                                   Principal
Class            CUSIP          Balance         Interest       Principal      Total         Balance
                                                                          
A                   00755WGC4         699.704000       4.124512      11.245222     15.369734    688.458778
A Certificate                           0.000000       0.161910       0.000000      0.161910      0.000000


Delinquent Loan Information:

                                                               90+ Days       Loans         Loans
                                30-59           60-89          excldg f/c,REO in            in
                                Days            Days           & Bkrptcy      Bankruptcy    REO
                                                                                
Trust A          Principal Balan  13,302,876.22   4,154,133.89   1,795,444.58 12,313,234.16  5,023,013.13
                 % of Pool Balan        2.81695%       8.79660%       0.38019%      2.60739%      1.06365%
                 Number of Loans             246             67             29           203            84
                 % of Loans             3.25742%       0.88718%       0.38400%      2.68803%      1.11229%

                                Loans
                                in
                                Foreclosure
                                
Trust A          Principal Balan        19,004,411.39
                 % of Pool Balan        4.02427%
                 Number of Loans             320
                 % of Loans             4.23729%


General Mortgage Loan Information:

                                                                                               Trust A
                                                                                         
Beginning Aggregate Mortgage Loan Balance                                                   479,493,108.22
Prefunding                                                                                           0.00
Principal Reduction                                                                          7,248,682.39
Ending Aggregate Mortgage Loan Balance                                                      472,244,425.83

Beginning Aggregate Mortgage Loan Count                                                               7640
Ending Aggregate Mortgage Loan Count                                                                  7552

Current Weighted Average Coupon Rate                                                             9.521567%
Next Weighted Average Coupon Rate                                                                9.517648%


Mortgage Loan Principal Reduction Information:

                                                                                               Trust A
                                                                                         
Scheduled Principal                                                                            634,038.26
Curtailments                                                                                   224,174.26
Prepayments                                                                                  5,496,871.16
Repurchases                                                                                          0.00
Substitutions                                                                                        0.00
Liquidation Proceeds                                                                           893,598.71
Other Principal                                                                                      0.00

Less: Realized Losses                                                                          347,948.25

Total Principal Reduction                                                                         7,596,630.64


Servicer Information:

                                                                                               Trust A
                                                                                         
Accrued Servicing Fee for the Current Period                                                         199,788.80
Less: Amounts to Cover Interest Shortfalls                                                       7,084.39
Less: Delinquent Service Fees                                                                          61,728.68
Collected Servicing Fees for Current Period:                                                         130,975.73

Advanced Principal                                                                                   N/A
Advanced Interest                                                                                 1,168,975.67



                                Other           Scheduled       Interest       Available     Available Funds
                 Prepayment     Unscheduled     Principal      Carry          Funds Cap     Cap Carry
                 Principal      Principal       Distribution   Forward        Current       Forward
Class            Distributed    Distributed     Amount         Amount         Amount        Amount
                                                                          
Class A                  5,496,8          1,117,       6,900,73                                                    -
                                                                                                                   -

Total                    5,496,8          1,117,       6,900,73                                                    -


                  Applied
                  Realized Loss
                  Amount
                                                                          
Class A                                   -
                                          -

Total                                     -



                                                     Prior                                     Current
                      Has a        Remaining         Over-       Accelerated      Extra          Over
                  Trigger Event    Pre-Funded     Collateral      Principal     Principal     Collateral
                    Occurred         Amount         Amount       Distributed   Distributed      Amount
                                                                          
Trust A                NO             0.00       24,685,507.91     408,660.14          0.00 24,746,219.80


                    Specified        Over-
                      Over-        Collateral
                   Collateral       Deficit
                     Amount          Amount
                          
Trust A            24,746,219.80            0.00









                                                                          



Trust A Insured Payment                                                                               0.00
Pool Rolling six month delinquency rate                                                           0.039836
Pool Cumulative Realized Losses - Average of 12 preceeding remittance periods                        0.00%
Pool Cumulative Realized Losses - Percentage of the original aggregate loan balance                  0.00%
Book Value of REO loans                                                                       6,103,480.37
Cumulative Number of Mortgage loans repurchased to date                                                 11
Unreimbursed Delinquent/Servicing Advances Paid Back to Servicer This Period                   332,539.96
Unreimbursed Delinquent/Servicing Advances Paid Back to Certificateholder This Period                0.00
Unremibursed Delinquent/Servicing Advances still Outstanding                                         0.00




TOTAL AVAILABLE FUNDS:

                                                                                
Current Interest Collected:                                            2,573,900.58

Principal Collected:                                                   6,355,083.68

Insurance Proceeds Received:                                                            -

Net Liquidation Proceeds:                                                 545,650.46

Delinquency Advances on Mortgage Interest:                             1,168,975.67

Delinquency Advances on Mortgage Principal                                NA

Repurchase and Substitution Amounts:                                                    -

Trust Termination Proceeds:                                                             -

Investment Earnings on Note Account:                                          7,358.40

Capitalized Interest Requirement:                                                       -

Capitalized Interest Fund Earnings                                       0.00

Capitalized Interest Account                                             0.00

Investment Earnings on Pre-Funding Account                                0.00

Unreimbursed Delq/Servicing Advances Paid Back To CertificateHo                         -

Sum of the Above Amounts:                                                          10,650,968.79

LESS:

Servicing Fees (including PPIS):                                          138,060.12

Non Recoverable Advance                                                       1,082.55

Indenture Trustee Fees:                                                       2,797.04

Owner Trustee Fees:                                                     277.78

Insurance Premiums:                                                         49,270.82

Reimbursement of Delinquency Advances/Servicing Advances                  332,539.96

Total Reductions to Available Funds Amount:                                             524,028.27

Total Available Funds:                                                                          10,126,940.52


                                                EXHIBIT 1


                 ADVANTA Mortgage Loan Trust 1998-4B

                            Statement to Certificateholders

                 Original       Prior
                 Face           Principal
Class            Value          Balance         Interest       Principal      Total
                                                               
B                    350,000,000      246,443,95       1,452,70        4,527,9       5,980,657.86
B Certificate                                                                                         -

Totals               350,000,000      246,443,95       1,452,70        4,527,9       5,980,657.86



                                                Current        Pass-Through
                 Realized       Deferred        Principal      Rates
Class            Losses         Interest        Balance        Current        Next
                                                               
B                                                  241,915,994.      7.317500%     7.347500%
B Certificate                                                              NA            NA

Totals                                             241,915,994.67



                                Prior                                                       Current
                                Principal                                                   Principal
Class            CUSIP          Balance         Interest       Principal      Total         Balance
                                                                          
B                   00755WGD2         704.125574       4.150576      12.937018     17.087594    691.188556
B Certificate                           0.000000       0.000000       0.000000      0.000000      0.000000


Delinquent Loan Information:

                                                               90+ Days       Loans         Loans
                                30-59           60-89          excldg f/c,REO in            in
                                Days            Days           & Bkrptcy      Bankruptcy    REO
                                                                             
Trust B          Principal Balan   6,845,214.28   1,308,836.51     772,730.71  6,840,871.04  3,400,095.18
                 % of Pool Balan        2.68220%       0.51285%       0.30278%      2.68050%      1.33228%
                 Number of Loans             129             26             14           115            60
                 % of Loans             3.78632%       0.76313%       0.41092%      3.37540%      1.76108%

                                Loans
                                in
                                Foreclosure
                                
Trust B          Principal Balan  11,494,307.00
                 % of Pool Balan        4.50388%
                 Number of Loans             176
                 % of Loans             5.16584%


General Mortgage Loan Information:

                                                                                               Trust B
                                                                                         
Beginning Aggregate Mortgage Loan Balance                                                   259,646,981.11
Subsequent Mortgage Loans Added This Period                                                          0.00
Principal Reduction                                                                          4,438,213.26
Ending Aggregate Mortgage Loan Balance                                                      255,208,767.85

Beginning Aggregate Mortgage Loan Count                                                                       3,468
Ending Aggregate Mortgage Loan Count                                                                          3,407

Current Weighted Average Coupon Rate                                                             9.517887%
Next Weighted Average Coupon Rate                                                                9.505847%


Mortgage Loan Principal Reduction Information:

                                                                                               Trust B
                                                                                         
Scheduled Principal                                                                            318,781.38
Curtailments                                                                                    19,423.43
Prepayments                                                                                  3,332,509.27
Repurchases                                                                                          0.00
Substitutions                                                                                        0.00
Liquidation Proceeds                                                                           767,499.18
Other Principal                                                                                      0.00

Less: Realized Losses                                                                          384,062.37

Total Principal Reduction                                                                         4,822,275.63


Servicer Information:

                                                                                               Trust B
                                                                                         
Accrued Servicing Fee for the Current Period                                                         108,186.24
Less: Amounts to Cover Interest Shortfalls                                                       2,674.97
Less: Delinquent Service Fees                                                                          32,824.28
Collected Servicing Fees for Current Period:                                                           72,686.99

Advanced Principal                                                                                   N/A
Advanced Interest                                                                                    629,290.39



                                Other           Scheduled       Interest       Available     Available Funds
                 Prepayment     Unscheduled     Principal      Carry          Funds Cap     Cap Carry
                 Principal      Principal       Distribution   Forward        Current       Forward
Class            Distributed    Distributed     Amount         Amount         Amount        Amount
                                                                          
Class B                  3,332,5             786       4,054,15                                                    -
                                          -                                                                        -

Total                    3,332,5             786       4,054,15                                                    -


                  Unpaid
                  Realized Loss
                  Amount
                                                                          
Class B                                   -
                                          -




                      Has a        Remaining         Over-       Accelerated      Extra          Over
                  Trigger Event    Pre-Funded     Collateral      Principal     Principal     Collateral
                    Occurred         Amount         Amount       Distributed   Distributed      Amount
                                                                          
Trust B                NO             0.00       13,203,030.10     473,805.45          0.00 13,292,773.18


                    Specified        Over-
                      Over-        Collateral
                   Collateral       Deficit
                     Amount          Amount
                          
Trust B            13,324,873.10            0.00









                                                                          



Trust B Insured Payment                                                                               0.00
Pool Rolling six month delinquency rate                                                               0.05
Pool Cumulative Realized Losses - Average of 12 preceeding remittance periods                        0.00%
Pool Cumulative Realized Losses - Percentage of the original aggregate loan balance                  0.00%
Book Value of REO loans                                                                      4,099,151.17
Cumulative Number of Mortgage loans repurchased to date                                                  8
Unreimbursed Delinquent/Servicing Advances Paid Back to Servicer This Period                         0.00
Unreimbursed Delinquent/Servicing Advances Paid Back to Certificateholder This Period                 0.00
Unreimbursed Delinquent/Servicing Advances Still Outstanding                                         245,533.98




TOTAL AVAILABLE FUNDS:

                                                                                
                 Current Interest Collected:                           1,397,294.07

                 Principal Collected:                                  3,670,714.08

                 Insurance Proceeds Received:                                           -

                 Net Liquidation Proceeds:                                383,436.81

                 Delinquency Advances on Mortgage Interest:               629,290.39

                 Delinquency Advances on Mortgage Principal               NA

                 Repurchase and Substitution Amounts:                                   -

                 Trust Termination Proceeds:                                            -

                 Investment Earnings on Note Account:                         4,206.30

                 Capitalized Interest Requirement:                       0.00

                 Capitalized Interest Account  Earnings                  0.00

                 Capitalized Interest Account                            0.00

                 Reversal of Realized Loss Amount                                       -

                 Unreimbursed Delq/Servicing Advances Paid Back           0.00

                 Sum of the Above Amounts:                                           6,084,941.65

LESS:

                 Servicing Fees (including PPIS):                           75,361.96

                 Non-Recoverable Advance                                         431.35

                 Indenture Trustee Fees:                                      1,514.61

                 Owner Trustee Fees:                                    277.78

                 Insurance Premiums:                                        26,698.09

                 Reimbursement of Delinquency Advances/Servicin                         -

                 Total Reductions to Available Funds Amount:                            104,283.79

                 Total Available Funds:                                                           5,980,657.86


                                                EXHIBIT 1


                 ADVANTA Mortgage Loan Trust 1998-4C

                            Statement to Certificateholders

                 Original       Prior
                 Face           Principal
Class            Value          Balance         Interest       Principal      Total
                                                               
C                    100,000,000        59,086,5          341,1        5,358,9       5,700,090.73
C Certificate                                                                                         -

Totals               100,000,000        59,086,5          341,1        5,358,9       5,700,090.73



                                                Current        Pass-Through
                 Realized       Deferred        Principal      Rates
Class            Losses         Interest        Balance        Current        Next
                                                               
C                                                    53,727,607      7.167500%     7.197500%
C Certificate                                                              NA            NA

Totals                                               53,727,607.89



                                Prior                                                       Current
                                Principal                                                   Principal
Class            CUSIP          Balance         Interest       Principal      Total         Balance
                                                                          
C                   00755WGE0         590.865436       3.411550      53.589357     57.000907    537.276079
C Certificate                           0.000000       0.000000       0.000000      0.000000      0.000000


Delinquent Loan Information:

                                                               90+ Days       Loans         Loans
                                30-59           60-89          excldg f/c,REO in            in
                                Days            Days           & Bkrptcy      Bankruptcy    REO
                                                                             
Trust C          Principal Balan   1,716,886.95     864,456.83      42,212.55  2,322,971.80    882,813.07
                 % of Pool Balan        2.93011%       1.47532%       0.07204%      3.96447%      1.50664%
                 Number of Loans              20             10              2            28            10
                 % of Loans             3.04414%       1.52207%       0.30441%      4.26180%      1.52207%

                                Loans
                                in
                                Foreclosure
                                
Trust C          Principal Balan   3,934,821.05
                 % of Pool Balan        6.71532%
                 Number of Loans              48
                 % of Loans             7.30594%


General Mortgage Loan Information:

                                                                                               Trust C
                                                                                         
Beginning Aggregate Mortgage Loan Balance                                                   63,953,628.79
Prefunding                                                                                            N/A
Principal Reduction                                                                          5,358,935.70
Ending Aggregate Mortgage Loan Balance                                                      58,594,693.09

Beginning Aggregate Mortgage Loan Count                                                                705
Ending Aggregate Mortgage Loan Count                                                                   657

Current Weighted Average Coupon Rate                                                            10.689428%
Next Weighted Average Coupon Rate                                                               10.648999%


Mortgage Loan Principal Reduction Information:

                                                                                               Trust C
                                                                                         
Scheduled Principal                                                                             23,486.91
Curtailments                                                                                     8,361.75
Prepayments                                                                                  4,525,782.30
Repurchases                                                                                          0.00
Substitutions                                                                                        0.00
Liquidation Proceeds                                                                           801,304.74
Other Principal                                                                                      0.00

Less: Realized Losses                                                                          229,380.97

Total Principal Reduction                                                                         5,588,316.67


Servicer Information:

                                                                                               Trust C
                                                                                         
Accrued Servicing Fee for the Current Period                                                           26,647.34
Less: Amounts to Cover Interest Shortfalls                                                       1,128.21
Less: Delinquent Service Fees                                                                            8,356.30
Collected Servicing Fees for Current Period:                                                           17,162.83

Advanced Principal                                                                                   N/A
Advanced Interest                                                                                    175,770.17



                                Other           Scheduled       Interest       Available     Available Funds
                 Prepayment     Unscheduled     Principal      Carry          Funds Cap     Cap Carry
                 Principal      Principal       Distribution   Forward        Current       Forward
Class            Distributed    Distributed     Amount         Amount         Amount        Amount
                                                                          
Class C                  4,525,7             809       5,129,55                                                    -
                                 .               .                                                                 -



                  Unpaid
                  Realized Loss
                  Amount
                                                                          
Class C                                   -
                                          -




                                                     Prior                                     Current
                      Has a                          Over-       Accelerated     Amounts         Over
                  Trigger Event                   Collateral      Principal    From Reserve   Collateral
                    Occurred                        Amount       Distributed       Fund         Amount
                                                                             
Trust C                NO                         4,867,085.20     197,395.44     31,985.53  4,867,085.20


                    Specified        Over-
                      Over-        Collateral
                   Collateral       Deficit
                     Amount          Amount
                          
Trust C             4,867,085.20            0.00









                                                                          



Trust C Insured Payment                                                                               0.00
Pool Rolling six month delinquency rate                                                               0.07
Pool Cumulative Realized Losses - Average of 12 preceeding remittance periods                        0.00%
Pool Cumulative Realized Losses - Percentage of the original aggregate loan balance                  0.00%
Book Value of REO loans                                                                       1,015,925.62
Cumulative Number of Mortgage loans repurchased to date                                                  3
Unreimbursed Delinquent/Servicing Advances Paid Back to Servicer This Period                         0.00
Unreimbursed Delinquent/Servicing Advances Paid Back to Certificateholder This Period                0.00
Unreimbursed Delinquent/Servicing Advances Still Outstanding                                    93,563.22




TOTAL AVAILABLE FUNDS:

                                                                                
                 Current Interest Collected:                              385,563.27

                 Principal Collected:                                  4,557,630.96

                 Insurance Proceeds Received:                                           -

                 Net Liquidation Proceeds:                                571,923.77

                 Delinquency Advances on Mortgage Interest:               175,770.17

                 Delinquency Advances on Mortgage Principal               NA

                 Repurchase and Substitution Amounts:                                   -

                 Trust Termination Proceeds:                                            -

                 Investment Earnings on Note Account:                         3,973.20


                 Sum of the Above Amounts:                                           5,694,861.37

LESS:

                 Servicing Fees (including PPIS):                           18,291.04

                 Non-Recoverable Advance                                         182.28

                 Indenture Trustee Fees:                                         373.06

                 Owner Trustee Fees:                                    277.78

                 Insurance Premiums:                                          7,632.01

                 Reimbursement of Delinquency Advances/Servicin                         -

                 Total Reductions to Available Funds Amount:                              26,756.17

                 Total Available Funds:                                                           5,668,105.20