UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

      Report for the Calendar Year or Quarter Ended: September 30, 2003

      Check here if Amendment [X]; Amendment Number 1

      This Amendment (Check only one): [X] is a restatement

                                       [ ] adds new holdings entries.

      Institutional Investment Manager Filing this Report:

      Name:                   BancorpSouth, Inc.

      Address:                One Mississippi Plaza
                              201 South Spring Street
                              Tupelo, MS 38804

      Form 13F File Number:   28-10453

      The institutional investment manager filing this report and the person by
whom it is signed hereby represent that the person signing the report is
authorized to submit it, that all information contained herein is true, correct
and complete, and that it is understood that all required items, statements,
schedules, lists and tables are considered integral parts of this form.

      Person Signing this Report on Behalf of Reporting Manager:

      Name: Cathy S. Freeman

      Title: Senior Vice President and Corporate Secretary

      Phone: (662) 680-2084

      Signature, Place, and Date of Signing:

      /s/ Cathy S. Freeman        Tupelo, Mississippi          November 15, 2004
      --------------------        -------------------          -----------------
      [Signature]                    [City, State]                  [Date]

      Report Type (Check only one.):

      [X] 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).)

      [ ] 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: None.



                              FORM 13F SUMMARY PAGE

      Report Summary:

      Number of Other Included Managers: 1

      Form 13F Information Table Entry Total: 645

      Form 13F Information Table Value Total: $432,688
                                             (thousands)

LIST OF OTHER INCLUDED MANAGERS:

      Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

            No.               Form 13F File Number              Name
         --------             --------------------       -----------------
             1                      28-10939             BancorpSouth Bank



                           FORM 13F INFORMATION TABLE



                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED     NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------     -----
                                                                                             
DAIMLERCHRYSLER AG               ORD           D1668R123       1        49 SH         SOLE         1         49        0          0
ACE LIMITED                                    G0070K103      10       311 SH         SOLE         1        311        0          0
INGSOLL-RAND CO CL A BERMUDA                   G4776G101     344      6447 SH         SOLE         1       5135        0       1312
NOBLE CORP                                     G65422100      15       447 SH         SOLE         1        447        0          0
ROYAL CARIBBEAN CRUISES                        V7780T103       5       200 SH         SOLE         1        200        0          0
A F L A C INC                                  001055102      77      2400 SH         SOLE         1       2400        0          0
AGL RESOURCES, INC                             001204106      30      1090 SH         SOLE         1       1090        0          0
AES CORPORATION                                00130H105       7      1000 SH         SOLE         1       1000        0          0
AOL TIME WARNER                                00184A105     489     32407 SH         SOLE         1      31958        0        449
AT&T CORP                        COM NEW       001957505     118      5517 SH         SOLE         1       5517        0          0
AT&T CORP                        COM NEW       001957505       2       119 SH         DEFINED      1        119        0          0
AT&T WIRELESS SVCS INC                         00209A106      59      7327 SH         SOLE         1       6927        0        400
AT&T WIRELESS SVCS INC                         00209A106       1       192 SH         DEFINED      1        192        0          0
ABBOTT LAB                                     002824100    1316     30958 SH         SOLE         1      27788        0       3170
ABBOTT LAB                                     002824100     204      4800 SH         DEFINED      1        200     4000        600
ACTUANT CORP                     CLASS A       00508X203       1        20 SH         SOLE         1         20        0          0
ACXIOM CORP                      COM           005125109      15      1000 SH         SOLE         1       1000        0          0
ADAMS EXPRESS CO                 COM           006212104     114      9692 SH         SOLE         1       9692        0          0
ADAPTEC INC                                    00651F108       3       400 SH         SOLE         1        400        0          0
ADECCO SA                        SPONS ADR     006754105       3       260 SH         SOLE         1        260        0          0
ADVANCED MICRO DEVICES INC                     007903107       6       600 SH         SOLE         1        600        0          0
ADVANCED MICRO DEVICES INC                     007903107       2       200 SH         DEFINED      1        200        0          0
AETNA INC                        COM           00817Y108       6       100 SH         DEFINED      1          0        0        100
AGERE SYSTEM INC-A                             00845V100       0        32 SH         SOLE         1         32        0          0
AGERE SYS INC                    CL B          00845V209       2       793 SH         SOLE         1        793        0          0
AGILENT TECHNOLOGIES, INC.                     00846U101      37      1675 SH         SOLE         1       1675        0          0
AGNICO EAGLE MINES                             008474108       6       500 SH         SOLE         1        500        0          0
AIR PRODS & CHEMS INC            COM           009158106       1        27 SH         SOLE         1          0        0         27
ALCOA INC                                      013817101     134      5156 SH         SOLE         1       3270        0       1886
ALCOA INC                                      013817101      13       500 SH         DEFINED      1        500        0          0
ALLEGHENY ENERGY INC                           017361106       1       200 SH         SOLE         1        200        0          0
ALLIANCE CAP MGMT HLDG L P                     01855A101      66      2000 SH         DEFINED      1      20000        0          0
ALLIED CAP CORP NEW              COM           01903Q108       7       315 SH         SOLE         1        315        0          0
ALLSTATE CORP COMMON                           020002101     182      4990 SH         SOLE         1       4941        0         49
ALLSTATE CORP COMMON                           020002101      22       604 SH         DEFINED      1        310        0        294
ALLTEL CORP                                    020039103     215      4640 SH         SOLE         1       4640        0          0
ALLTEL CORP                                    020039103     491     10600 SH         DEFINED      1      10600        0          0
ALTRIA GROUP INC                               02209S103     528     12068 SH         SOLE         1       9585        0       2483
AMERICAN EAGLE OUTFITTERS, INC                 02553E106       3       220 SH         SOLE         1        220        0          0
AMERICAN ELECTRIC POWER                        025537101     147      4903 SH         SOLE         1       3503        0       1400
AMER EXPRESS CO                                025816109     171      3800 SH         SOLE         1       3800        0          0
AMERICAN INTERNATIONAL GROUP,                  026874107     325      5633 SH         SOLE         1       3527        0       2106
INC
AMERICAN INTERNATIONAL GROUP,                  026874107      10       175 SH         DEFINED      1        175        0          0
INC
AMERICAN ITALIAN PASTA COMPANY   CLASS A       027070101       3        80 SH         SOLE         1         80        0          0
AMERUS LIFE HOLDINGS                           03072M108      24       712 SH         SOLE         1        712        0          0
AMERISOURCEBERGEN CORP                         03073E105      10       193 SH         SOLE         1        193        0          0
AMATEK INC                                     031100100       3        80 SH         SOLE         1         80        0          0
AMGEN INC                                      031162100     198      3071 SH         SOLE         1       2086        0        985
AMGEN INC                                      031162100      12       200 SH         DEFINED      1        200        0          0
AMSOUTH BANCORPORATION                         032165102    1717     80971 SH         SOLE         1      80971        0          0
AMVESCAP PLC                     ADR           03235E100       1       120 SH         SOLE         1        120        0          0
ANADARKO PETE CORP                             032511107      61      1464 SH         DEFINED      1       1464        0
ANALOG DEVICES INC               COM           032654105       3       100 SH         SOLE         1        100        0          0
ANHEUSER-BUSCH COMPANIES                       035229103    1061     21509 SH         SOLE         1      18719        0       2790
ANHEUSER-BUSCH COMPANIES                       035229103     177      3600 SH         DEFINED      1       3600        0          0
ANTHEM INC                                     03674B104     227      3195 SH         SOLE         1       1940        0       1255
APARTMENT INVT & MGMT CO         CL A          03748R101      43      1100 SH         SOLE         1       1100        0          0
APPLE COMP INC                                 037833100      66      3200 SH         DEFINED      1       3200        0          0
APPLIED MATERIALS INC                          038222105      96      5350 SH         SOLE         1       5350        0          0
ARCH COAL, INC                                 039380100       4       200 SH         SOLE         1        200        0          0
ARCHER-DANIELS-MIDLAND COMPANY                 039483102       3       279 SH         SOLE         1        279        0          0
ARMOR HOLDINGS, INC                            042260109       4       285 SH         SOLE         1        285        0          0
ARVINMERITOR                                   043353101       0        44 SH         SOLE         1         44        0          0
ASTORIA FINANCIAL CORP                         046265104       4       155 SH         SOLE         1        155        0          0
AUTODESK INC                                   052769106       4       277 SH         SOLE         1        277        0          0
AUTO DATA PROCESS                              053015103     186      5200 SH         SOLE         1       5200        0          0
AUTO DATA PROCESS                              053015103      78      2200 SH         DEFINED      1       2200        0          0
AUTOZONE                                       053332102      17       200 SH         SOLE         1        200        0          0
AUTOZONE                                       053332102      47       530 SH         DEFINED      1        530        0          0
AVAYA INC                                      053499109       2       227 SH         SOLE         1        227        0          0
AVON PRODUCTS INC                COM           054303102      45       700 SH         SOLE         1        700        0          0
AXA-UAP                          ADR           054536107       4       236 SH         SOLE         1        236        0          0
BP AMOCO PLC                     SPONSORED ADR 055622104     425     10117 SH         SOLE         1      10084        0         33






                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED     NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------     -----
                                                                                             
BP AMOCO PLC                     SPONSORED ADR 055622104     194      4610 SH         DEFINED      1       4610        0          0
BMC SOFTWARE                                   055921100      11       797 SH         SOLE         1        797        0          0
BAKER HUGHES INC                 COM           057224107      14       506 SH         SOLE         1        506        0          0
BALDOR ELEC CO                   COM           057741100   30026   1422387 SH         DEFINED      1    1422387        0          0
BANCO BILBAO VIZCAYA             SP ADR        05946K101       2       285 SH         SOLE         1        285        0          0
BANCORP MS                                     05969210X     306     14000 SH         SOLE         1      14000        0          0
BANCORPSOUTH INC                               059692103   19640    897229 SH         SOLE         1     896229        0       1000
BANCORPSOUTH INC                               059692103    2977    136013 SH         DEFINED      1     132747     2592        674
BANK OF AMERICA CORP             NEW COM       060505104     652      8360 SH         SOLE         1       6720        0       1640
BANK OF AMERICA CORP             NEW COM       060505104      23       300 SH         DEFINED      1        300        0          0
BANK OF THE OZARKS, INC                        063904106    2051     46100 SH         DEFINED      1      46100        0          0
BANK OF NEW YORK                               064057102     231      7965 SH         SOLE         1       4845        0       3120
BANK ONE CORP                    COM           06423A103      93      2420 SH         SOLE         1       2420        0          0
BANK ONE CORP                    COM           06423A103      57      1482 SH         DEFINED      1          0     1482          0
BAXTER INTL INC                                071813109     224      7715 SH         SOLE         1       5500        0       2215
BEAR STEARNS COS INC                           073902108     103      1381 SH         SOLE         1       1357        0         24
BED BATH & BEYOND                              075896100       7       200 SH         SOLE         1        200        0          0
BELLSOUTH CORP                                 079860102     788     33284 SH         SOLE         1      29979        0       3305
BELLSOUTH CORP                                 079860102       9       400 SH         DEFINED      1        400        0          0
BERKSHIRE HATHAWAY "A"                         084670108      75         1 SH         SOLE         1          1        0          0
BERKSHIRE HATHAWAY INC DEL       CL B          084670207       7         3 SH         DEFINED      1          3        0          0
BLACKROCK INVT QUALITY MUNI TR                 09247D105      41      3000 SH         SOLE         1       3000        0          0
INC
MF BLACKROCK INCOME TRUST                      09247F100      18      2400 SH         SOLE         1       2400        0          0
BLACKSTONE INVESTMENT            QUALITY TERM  09247J102      39      4155 SH         SOLE         1       4155        0          0
                                 TRUST
BLOCK H & R INC                  COM           093671105      16       375 SH         SOLE         1        348        0         27
BOEING INC                                     097023105      45      1330 SH         SOLE         1        730        0        600
BORG WARNER AUTOMOTIVE INC                     099724106       4        62 SH         SOLE         1         62        0          0
BOSTON SCIENTIFIC                              101137107       1        23 SH         SOLE         1          0        0         23
BRISTOL MYERS SQUIBB CO                        110122108     529     20638 SH         SOLE         1      20598        0         40
BRISTOL MYERS SQUIBB CO                        110122108      15       600 SH         DEFINED      1        600        0          0
BRITISH SKY BROADCASTING GP PLC  SPON ADR      111013108       2        70 SH         SOLE         1         70        0          0
BROWN TOM INC NEW                              115660201       2       105 SH         SOLE         1        105        0          0
BUCKEYE TECHNOLOGY INC                         118255108      13      1500 SH         SOLE         1       1500        0          0
CBRL GROUP INC                   COM           12489V106      35      1000 SH         SOLE         1       1000        0          0
CEC ENTMT INC                                  125137109      33       850 SH         SOLE         1        850        0          0
CIGNA CORPORATION                              125509109       9       217 SH         SOLE         1        217        0          0
CLECO CORP COM                                 12561W105       7       461 SH         SOLE         1        461        0          0
CSK AUTO CORP                                  125965103       3       250 SH         SOLE         1        250        0          0
CNET NETWORKS INC                              12613R104       0       118 SH         SOLE         1        118        0          0
CVS CORP DELAWARE                              126650100      10       353 SH         SOLE         1        353        0          0
CADBURY SCHWEPPES PLC            ADR           127209302      30      1200 SH         SOLE         1       1200        0          0
CALLAWAY GOLF CO                               131193104       5       385 SH         SOLE         1        185        0        200
CAMPBELL SOUP CO                 COM           134429109      10       400 SH         SOLE         1        400        0          0
CANON INC                        ADR REPSTG    138006309       3        70 SH         SOLE         1         70        0          0
                                 5SHRS
CAPITAL ONE FINL CORP            COM           14040H105     148      2600 SH         SOLE         1       2600        0          0
CARDINAL HEALTH INC              COM           14149Y108      11       200 SH         SOLE         1        200        0          0
CARNIVAL CORP                                  143658300       6       206 SH         SOLE         1        206        0          0
CATERPILLAR INC                                149123101      61       900 SH         SOLE         1        900        0          0
CENDANT CORP                     COM           151313103      20      1099 SH         SOLE         1       1000        0         99
CENTERPOINT ENERGY INC                         15189T107       4       500 SH         SOLE         1        500        0          0
CENTURYTEL, INC                                156700106     102      3040 SH         SOLE         1       3040        0          0
CHARTER COMMUNICATIONS INC       DEL CL A      16117M107       2       600 SH         SOLE         1        600        0          0
CHECKPOINT SYSTEMS                             162825103      15      1000 SH         SOLE         1       1000        0          0
CHEVRONTEXACO CORP                             166764100     933     13063 SH         SOLE         1      11683        0       1380
CHEVRONTEXACO CORP                             166764100      94      1327 SH         DEFINED      1       1327        0          0
CINERGY                                        172474108       4       114 SH         SOLE         1         75        0         39
CISCO SYS INC                                  17275R102     751     38342 SH         SOLE         1      34217        0       4125
CISCO SYS INC                                  17275R102      27      1400 SH         DEFINED      1        800        0        600
CITIGROUP, INC                                 172967101     919     20204 SH         SOLE         1      17546        0       2658
CITIGROUP, INC                                 172967101     369      8117 SH         DEFINED      1       8117        0          0
CITIZENS HOLDING COMPANY                       174715102    3020    158987 SH         SOLE         1     158987        0          0
CLEAR CHANNEL COMMUNICATIONS                   184502102       3       100 SH         SOLE         1        100        0          0
COCA COLA BOTTLING CO CONS       COM           191098102      21       420 SH         SOLE         1        420        0          0
COCA COLA CO                                   191216100    1124     26182 SH         SOLE         1      23777        0       2405
COCA COLA CO                                   191216100      60      1400 SH         DEFINED      1        400                1000
COCA COLA ENTERPRISES INC        COM           191219104      45      2400 SH         SOLE         1       2400        0          0
COLGATE-PALMOLIVE CO                           194162103     229      4112 SH         SOLE         1       4112        0          0
COLGATE-PALMOLIVE CO                           194162103      11       200 SH         DEFINED      1          0        0        200
COLONIAL BANCGROUP INC                         195493309       1        90 SH         SOLE         1         90        0          0
COLONIAL HIGH INCOME MUNICIPAL                 195743109       1       200            SOLE         1        200        0          0
TRUST
COMCAST CORP                     NEW CL ACOM   20030N101     186      6060 SH         SOLE         1       6060        0          0
COMCAST CORP                     NEW CL A COM  20030N101       2        80 SH         DEFINED      1         80        0          0
COMMSCOPE INC                                  203372107      12      1000 SH         SOLE         1       1000        0          0
COMPUTER SCIENCES CORPORATION                  205363104       3        99 SH         DEFINED      1          0        0         99
COMMON






                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED     NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------     -----
                                                                                             
CONEXANT SYS INC                 COM            20714200       0       176 SH         SOLE         1        176        0          0
CONOCO PHILLIPS                                20825C104     290      5314 SH         SOLE         1       4288        0       1026
CONSECO STRATEGIC INC FD         SH BEN INT    20847A102       8       866 SH         SOLE         1        866        0          0
CONSTELLATION ENERGY CORP                      210371100       5       150 SH         SOLE         1        150        0          0
COOPER TIRE & RUBBER CO                        216831107     253     15953 SH         SOLE         1      14953        0       1000
COOPER TIRE & RUBBER CO                        216831107       1       100 SH         DEFINED      1        100        0          0
COSTCO WHOLESALE CORP                          22160K105      13       445 SH         SOLE         1        445        0          0
COX COMMUNICATIONS               CL A          224044107       3       100 SH         DEFINED      1        100        0          0
CRESCENT REAL ESTATE EQUITIE     COM           225756105       2       200 SH         SOLE         1        200        0          0
CROSS COUNTRY HEALTHCARE, INC                  227483104       3       280 SH         SOLE         1        280        0          0
CYTYC CORPORATION                              232946103       2       175 SH         SOLE         1        175        0          0
DNP SELECT INCOME FD INC                       23325P104      11      1100 SH         DEFINED      1       1100        0          0
DANAHER CORP DEL                  COM          235851102     229      3105 SH         SOLE         1       1885        0       1220
DANKA BUSINESS SYS PLC           SPONSORED ADR 236277109      12      5000 SH         SOLE         1       5000        0          0
DEERE & CO                                     244199105      79      1500 SH         SOLE         1       1500        0          0
DEL MONTE FOODS                  COM           24522P103       1       121 SH         SOLE         1        121        0          0
DELPHI AUTO SYSTEMS                            247126105       2       250 SH         SOLE         1        250        0          0
DELTA & PINE LD CO               COM           247357106      11       509 SH         SOLE         1        509        0          0
DELTIC TIMBER INC                              247850100     182      6324 SH         SOLE         1       6324        0          0
DELTIC TIMBER INC                              247850100   18660    645471 SH         DEFINED      1     242423   403048          0
DEVON ENERGY CORP NEW            COM           25179M103       3        82 SH         SOLE         1         82        0          0
DIAL CORPORATION                               25247D101       7       348 SH         SOLE         1        348        0          0
WALT DISNEY CO                                 254687106     248     12323 SH         SOLE         1       8668        0       3655
WALT DISNEY CO                                 254687106       4       200 SH         DEFINED      1        200        0          0
DOMINION RES INC VA NEW                        25746U109       1        25 SH         SOLE         1         25        0          0
DOW CHEMICAL CO                                260543103      77      2383 SH         SOLE         1       2383        0          0
DOW CHEMICAL CO                                260543103      15       483 SH         DEFINED      1        483        0          0
DREYFUS STRATEGIC MUNICIPALS INC               261932107      19      2086            SOLE         1       2086        0          0
DREYFUS MUNICIPAL INCOME INC                   26201R102      17      1832            SOLE         1       1832        0          0
DU PONT EI D NEMOURS & CO                      263534109      80      2011 SH         SOLE         1       1980        0         31
DU PONT EI D NEMOURS & CO                      263534109       4       100 SH         DEFINED      1        100        0          0
DUKE ENERGY CORP                 COM           264399106      59      3364 SH         SOLE         1       3364        0          0
DYNEX CAP INC                    COM NEW       26817Q506       0       106 SH         DEFINED      1        106        0          0
E-LOAN INC                                     26861P107       3      1000 SH         SOLE         1       1000        0          0
EMC CORP                                       268648102   23818     18880 SH         SOLE         1      12945        0       5935
EMC CORP                                       268648102      50      4000 SH         DEFINED      1       4000        0          0
ENSCO INTERNATIONAL INC                        26874Q100      10       396 SH         SOLE         1        322        0         74
E TRADE GROUP INC                              269246104      37      4000 SH         SOLE         1       4000        0          0
EASTMAN KODAK CO                               277461109      20      1000 SH         SOLE         1       1000        0          0
EASTMAN KODAK CO                               277461109       2       125 SH         DEFINED      1        125        0          0
EATON CORP                        COM          278058102     280      3165 SH         SOLE         1       2450        0        715
ECHOSTAR COMMUN                                278762109      19       500 SH         SOLE         1        500        0          0
EDWARDS LIFESCIENCES CORP                      28176E108       6       240 SH         SOLE         1        240        0          0
EL PASO CORPORATION                            28336L109       1       212 SH         SOLE         1        212        0          0
ELAN CORP PLC                    ADR           284131208       0       100 SH         SOLE         1        100        0          0
ELECTRONIC DATA SYS CORP NEW                   285661104      12       642 SH         SOLE         1        550        0         92
EMCOR GROUP INC                                29084Q100       2        50 SH         SOLE         1         50        0          0
EMERSON ELECTRIC CO                            291011104     115      2200 SH         SOLE         1       2200        0          0
ENCYSIVE PHARMACEUTICALS INC     COM           29256X107       0       100 SH         SOLE         1        100        0          0
ENCORE WIRE CORP                 COM           292562105     282     21300 SH         SOLE         1      13900        0       7400
ENGELHARD CORP                                 292845104       6       253 SH         DEFINED      1          0        0        253
ENTERASYS NETWORKS INC                         293637104       0       200 SH         SOLE         1        200        0          0
ENTERGY CORP                                   29364G103     285      5274 SH         SOLE         1       4249        0       1025
ENTERGY CORP                                   29364G103      32       593 SH         DEFINED      1        593        0          0
EQUITY INNS, INC                               294703103      11      1500 SH         DEFINED      1       1500        0          0
EQUITY RESIDENTIAL PPTYS SBI                   29476L107      12       436 SH         SOLE         1        436        0          0
ESTERLINE TECHNOLOGIES CORP                    297425100       3       185 SH         SOLE         1        185        0          0
EXXON MOBIL CORP                               30231G102    5465    149364 SH         SOLE         1     148344        0       1020
EXXON MOBIL CORP                               30231G102     976     26676 SH         DEFINED      1      16476     4700       5500
FPL GROUP INC                                  302571104     216      3430 SH         SOLE         1       2095        0       1335
FED HMN LN MTG CORP              VOTING COM    313400301      13       250 SH         SOLE         1        250        0          0
FNMA COM                                       313586109      84      1200 SH         SOLE         1       1200        0          0
FEDERATED DEPT STORES INC                      31410H101       1        41 SH         SOLE         1          0        0         41
FEDEX CORPORATION                              31428X106      96      1500 SH         SOLE         1       1500        0          0
FEDEX CORPORATION                              31428X106       6       100 SH         DEFINED      1        100        0          0
FIRST DATA CORP                  COM           319963104       1        40 SH         SOLE         1          0        0         40
FIRST INDL RLTY TR INC                         32054K103      14       450 SH         SOLE         1        450        0          0
FIRST M & F CORP                               320744105      46      1293 SH         SOLE         1       1293        0          0
FIRST TENNESSEE NATIONAL CORP                  337162101     300      7082 SH         SOLE         1       7082        0          0
FISERV INC                                     337738108     183      5045 SH         SOLE         1       3065        0       1980
FIRSTMERIT CORP                                337915102       1        75 SH         SOLE         1         75        0          0
FLEET BOSTON CORP                              339030108      29       976 SH         SOLE         1        976        0          0
FORD MOTOR COMPANY COMMON                      345370860      30      2830 SH         SOLE         1       2830        0          0
FORD MOTOR COMPANY COMMON                      345370860       7       700 SH         DEFINED      1        700        0          0
FOREST LABS                                    345838106      13       266 SH         SOLE         1        266        0          0






                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED     NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------     -----
                                                                                             
FORREST OIL CORP                               346091705     129      5400 SH         SOLE         1          0        0       5400
FORRESTER RESEARCH INC                         346563109       3       235 SH         SOLE         1        235        0          0
FULTON FINANCIAL CORP -PA                      360271100       4       205 SH         SOLE         1        205        0          0
FURNITURE BRANDS INTL                          360921100       4       185 SH         SOLE         1        185        0          0
GSI COMMERCE INC                               36238G102       0        29 SH         SOLE         1         29        0          0
GAP INC DEL                      COM           364760108      26      1562 SH         SOLE         1       1500        0         62
GENERAL ELECTRIC CO                            369604103    2382     79943 SH         SOLE         1      79568        0        375
GENERAL ELECTRIC CO                            369604103      83      2800 SH         DEFINED      1       1600        0       1200
GENERAL MLS INC                  COM           370334104      18       397 SH         SOLE         1        370        0         27
GENERAL MLS INC                  COM           370334104       0        20 SH         DEFINED      1          0        0         20
GEN MTR CORP                                   370442105      23       571 SH         SOLE         1        540        0         31
GENOME THERAPEUTICS CORP         COM           372430108       3      1000 SH         SOLE         1          0        0       1000
GEORGIA PAC CORP                               373298108      40      1660 SH         SOLE         1       1660        0          0
GILLETTE CO                                    375766102      89      2806 SH         SOLE         1       2806        0          0
GILLETTE CO                                    375766102     111      3485 SH         DEFINED      1       3485        0          0
GLAXO WELLCOME PLC               SPONSORED ADR 37733W105      17       405 SH         SOLE         1        305        0        100
GOLDMAN SACHS GROUP                            38141G104      14       178 SH         SOLE         1        178        0          0
GOODYEAR TIRE & RUBBER                         382550101       3       526 SH         SOLE         1        526        0          0
GREAT LAKES CHEM CORP            COM           390568103      35      1785 SH         DEFINED      1       1785        0          0
GREAT PLAINS ENERGY INC                        391164100      56      1855 SH         SOLE         1       1855        0          0
GUIDANT CORP                     COM           401698105     112      2405 SH         SOLE         1       2405        0          0
HCA INC.                                       404119109     101      2743 SH         SOLE         1       2743        0          0
HCC INSURANCE HOLDINGS, INC                    404132102       4       155 SH         SOLE         1        155        0          0
HALLIBURTON CO                   COM           406216101      19       800 SH         SOLE         1        800        0          0
HANCOCK FABRICS                                409900107      25      1600 SH         SOLE         1       1600        0          0
HANCOCK HLDG CO CAP VALUE                      410120109     214      4345 SH         SOLE         1       4345        0          0
CEF HANCOCK JOHN PFD                           41013X106       9       400 SH         SOLE         1        400        0          0
JOHN HANCOCK                                   41014S106       9       285 SH         SOLE         1        285        0          0
HARLEY DAVIDSON INC              COM           412822108      17       355 SH         SOLE         1        355        0          0
HARRIS CORP                                    413875105      50      1400 SH         SOLE         1       1400        0          0
HARTFORD FNCL SV GRP INC         COM           416515104      13       250 SH         DEFINED      1        250        0          0
HASBRO, INC                                    418056107      14       787 SH         DEFINED      1        787        0          0
HEADWATERS INC                                 42210P102       4       305 SH         SOLE         1        305        0          0
HEINZ H J CO                     COM           423074103       9       273 SH         SOLE         1        273        0          0
HERSHEY FOODS CORP                             427866108     179      2475 SH         SOLE         1       1490        0        985
HEWLETT PACKARD CO                             428236103     448     23160 SH         SOLE         1      20270        0       2890
HEWLETT PACKARD CO                             428236103       7       400 SH         DEFINED      1          0        0        400
HIBERNIA CORP                                  428656102    6232    307778 SH         SOLE         1     306878        0        900
HIBERNIA CORP                                  428656102      18       900 SH         DEFINED      1        900        0          0
HIGH INCOME OPPORTUNITY FD                     42967Q105      17      2500 SH         SOLE         1       2500        0          0
HILB ROGAL & HAMILTON COMPANY                  431294107       3       102 SH         SOLE         1        102        0          0
HOME DEPOT                                     437076102     487     15325 SH         SOLE         1      15325        0          0
HOME DEPOT                                     437076102      48      1532 SH         DEFINED      1       1532        0          0
HONEYWELL INTL INC                             438516106      24       925 SH         SOLE         1        925        0          0
HUBBELL INC                      CL B          443510201      36      1000 SH         SOLE         1       1000        0          0
HUDSON UNITED BANCORP                          444165104       1        45 SH         SOLE         1         45        0          0
ICN PHARMACEUTICALS INC NEW      COM           448924100       9       525 SH         SOLE         1          0        0        525
ING PRIME RATE TR                SH BEN INT    44977W106      99     13907 SH         SOLE         1      13907        0          0
ILLINOIS TOOL WORKS INC                        452308109       5        76 SH         SOLE         1         76        0          0
IMPERIAL TOBACCO PLC             SPON ADR      453142101       2        90 SH         SOLE         1         90        0          0
ING GROEP N V                                  456837103      10       548 SH         SOLE         1        548        0          0
INSIGHT ENTERPRISES INC          COM           45765U103      42      2775 SH         SOLE         1       2775        0          0
INPUT/OUTPUT INC                               457652105       3       835 SH         SOLE         1        835        0          0
INTEL CORP CAP                                 458140100    1513     54984 SH         SOLE         1      48299        0       6685
INTEL CORP CAP                                 458140100     104      3780 SH         DEFINED      1       2980        0        800
IBM CORP                                       459200101    1652     18705 SH         SOLE         1      16864        0       1841
IBM CORP                                       459200101      41       475 SH         DEFINED      1        475        0          0
INTL PAPER CO                                  460146103     221      5667 SH         SOLE         1       3999        0       1668
INTL PAPER CO                                  460146103      35       900 SH         DEFINED      1          0      900          0
IONICS, INC                                    462218108       3       155 SH         SOLE         1        155        0          0
JDS UNIPHASE CORP                COM           46612J101       0       120 SH         SOLE         1        120        0          0
J P MORGAN CHASE & CO                          46625H100     111      3249 SH         SOLE         1       3182        0         67
J P MORGAN CHASE & CO                          46625H100      51      1500 SH         DEFINED      1       1500        0          0
JANUS CAPITAL GROUP INC.                       47102X105       8       600 SH         SOLE         1        600        0          0
JOHNSON & JOHNSON                              478160104    2033     41062 SH         SOLE         1      39607        0       1455
JOHNSON & JOHNSON                              478160104     440      8900 SH         DEFINED      1       5000     1200       2700
JOHNSON CONTROLS INC                           478366107     271      2865 SH         SOLE         1       1850        0       1015
KLA TENCOR CORP                                482480100       5       100 SH         SOLE         1        100        0          0
KELLOGG CO                                     487836108       6       200 SH         SOLE         1        200        0          0
KIMBERLY-CLARK CORP                            494368103      25       500 SH         SOLE         1        500        0          0
KIMBERLY-CLARK CORP                            494368103      20       400 SH         DEFINED      1        400        0          0
KINDER MORGAN ENERGY PARTNERS,                 494550106      52      1232 SH         SOLE         1       1232        0          0
L.P
KOHL'S CORP                                    500255104     144      2700 SH         SOLE         1       2700        0          0
KONINKLIJKE PHLPS ELECTRSN V     SP ADR NEW    500472303       5       219 SH         SOLE         1        155        0         64
KROGER CO                                      501044101     195     10948 SH         SOLE         1       6953        0       3995
LSI LOGIC CORP                   COM           502161102       3       400 SH         SOLE         1        400        0          0
LA QUINTA CORP PAIRED CTF1       COM LA QUINTA 50419U202       2       389 SH         SOLE         1        389        0          0
LAFARGE SPONSORED                ADR           505861401       2       180 SH         SOLE         1        180        0          0
ESTEE LAUDER CO                                518439104      20       600 SH         DEFINED      1        600        0          0
LEHMAN BROTHERS HOLDINGS         COM           524908100     255      3695 SH         SOLE         1       2500        0       1195
LEVEL 3 COMMUNICATIONS INC                     52729N100      32      6037 SH         SOLE         1       6037        0          0






                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED     NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------     -----
                                                                                             
LEXMARK INTL NEW                 CL A          529771107     341      5412 SH         SOLE         1       3428        0       1984
THE LIBERTY CORPORATION                        530370105     100      2400 SH         SOLE         1       2400        0          0
ELI LILLY & CO                                 532457108     496      8360 SH         SOLE         1       7050        0       1310
ELI LILLY & CO                                 532457108      89      1500 SH         DEFINED      1       1500        0          0
LIMITED BRANDS, INC                            532716107       7       515 SH         SOLE         1        515        0          0
LINCOLN NATIONAL CORP IND                      534187109       1        35 SH         SOLE         1          0        0         35
LOCKHEED MARTIN CORP                           539830109       4       100 SH         SOLE         1        100        0          0
LOEWS CORP                                     540424108       1        34 SH         SOLE         1          0        0         34
LOWES CO INC                                   548661107     608     11725 SH         SOLE         1       8860        0       2865
LUCENT TECHNOLOGIES                            549463107      49     23205 SH         SOLE         1      23005        0        200
LUCENT TECHNOLOGIES                            549463107       4      2000 SH         DEFINED      1       2000        0          0
M & T BANK CORP                                55261F104     174      2000 SH         SOLE         1       2000        0          0
MFS INTER INCOME TR              SH BENINT     55273C107       6      1000 SH         SOLE         1       1000        0          0
MGNA ENTMT CORP                                559211107       0        20 SH         SOLE         1         20        0          0
MANULIFE FINANCIAL CORP                        56501R106    1105     38281 SH         SOLE         1      38281        0          0
MARATHON OIL CORP                              565849106       1        54 SH         SOLE         1          0        0         54
MARSH & MCLENNAN                               571748102     139      2928 SH         SOLE         1       1720        0       1208
MAXIM INTEGRATED PRODUCTS INC                  57772K101      14       356 SH         SOLE         1        356        0          0
MAY DEPARTMENT STORES CO                       577778103       8       335 SH         SOLE         1        335        0          0
MCCORMICK & CO                                 579780206     158      5800 SH         SOLE         1       3415        0       2385
MCDATA CORP                      CLASS A       580031201       0        73 SH         DEFINED      1         73        0          0
MCDONALD'S CORP                                580135101      87      3700 SH         SOLE         1       3700        0          0
MEADWESTVACO CORP                              583334107      39      1547 SH         SOLE         1       1547        0          0
MEDIMMUNE INC                     COM          584699102       2        75 SH         SOLE         1         75        0          0
MEDTRONIC INC                     COM          585055106      16       360 SH         SOLE         1        360        0          0
MELLON FINL CORP                               58551A108      24       800 SH         SOLE         1        800        0          0
MERCK & CO INC                                 589331107    1441     28489 SH         SOLE         1      26606        0       1883
MERCK & CO INC                                 589331107      83      1650 SH         DEFINED      1       1650        0          0
MERRILL LYNCH & CO, INC                        590188108      17       320 SH         SOLE         1        320        0          0
METLIFE INC                      COM           59156R108      74      2660 SH         SOLE         1       2660        0          0
MICROSOFT CORP                                 594918104     789     28419 SH         SOLE         1      28104        0        315
MICROSOFT CORP                                 594918104      22       800 SH         DEFINED      1          0        0        800
MICRON TECHNOLOGY                              595112103      26      2000 SH         SOLE         1       2000        0          0
MID-AMERICA APARTMENT            CMNTYS        59522J103      30      1000 SH         DEFINED      1       1000        0          0
MIDAS GROUP INC                                595626102       8       666 SH         SOLE         1        666        0          0
MILLER HERMAN INC                COM           600544100      77      3385 SH         SOLE         1       3385        0          0
MIRANT CORP                                    604675108       1      2698 SH         SOLE         1       2698        0          0
MONSANTO CO. (NEW)                             61166W101       4       187 SH         SOLE         1        187        0          0
MONSANTO CO. (NEW)                             61166W101       5       235 SH         DEFINED      1        150        0         85
MOODYS CORP                                    615369105      33       602 SH         SOLE         1        602        0          0
MORGAN STANLEY DEAN WITTER                     617446448     369      7316 SH         SOLE         1       6000        0       1316
DISCOVER & CO
MORGAN STANLEY DEAN WITTER                     617446448      13       260 SH         DEFINED      1        260        0          0
DISCOVER & CO
MOTOROLA INC                                   620076109     123     10308 SH         SOLE         1      10103        0        205
MOTOROLA INC                                   620076109      89      7466 SH         DEFINED      1       7166        0        300
MULTIMEDIA GAMES INC                           625453105      16       450 SH         SOLE         1        450        0          0
MUNICIPAL MORTGAGE & EQUITY LLC  GROWTH SH     62624B101     137      5600 SH         SOLE         1       5600        0          0
MUNIHOLDINGS INSD FD                           62625A102      13      1000            SOLE         1       1000        0          0
MUNIVEST FD INC                  COM           626295109      45      5000            SOLE         1       5000        0          0
MURPHY OIL CORP                  COM           626717102    4397     74858 SH         SOLE         1      73503        0       1355
MURPHY OIL CORP                  COM           626717102  273205   4650306 SH         DEFINED      1    2068366  2581940          0
MYLAN LABORATORIES INC                         628530107      84      2197 SH         SOLE         1       2197        0          0
NBC CAP CORP                                   628729105     129      5333 SH         SOLE         1       5333        0          0
NCR CORP NEW                                   62886E108       2        64 SH         SOLE         1         64        0          0
NASDAQ 100 TRUST                               631100104       6       200 SH         SOLE         1        200        0          0
NATIONAL COMM FINL CORP                        63545P104      64      2600 SH         SOLE         1       2600        0          0
NEWELL RUBBERMAID INC                          651229106      14       692 SH         SOLE         1        692        0          0
NEWS CORP LTD                    ADR           652487703       1        44 SH         SOLE         1          0        0         44
NICOR INC                        COM           654086107      17       500 SH         SOLE         1        500        0          0
NIKE INC                         CLASS B       654106103      52       860 SH         SOLE         1        860        0          0
NIPPON TEL & TEL                 SPON ADR      654624105       3       155 SH         SOLE         1        155        0          0
NISOURCE INC                                   65473P105     159      7980 SH         SOLE         1       4825        0       3155
NOKIA CORP                       SPND ADR      654902204     223     14303 SH         SOLE         1       9923        0       4380
NOBLE ENERGY INC                               655044105      38      1000 SH         SOLE         1       1000        0          0
NOMURA HOLDINGS INC              ADR           65535H208       4       270 SH         SOLE         1        270        0          0
NORFOLK SO CORP                                655844108      26      1434 SH         SOLE         1       1434        0          0
NORTEL NETWORK CORP NEW                        656568102      20      5000 SH         SOLE         1       5000        0          0
NORTHERN BORDER LP                             664785102      43      1000 SH         SOLE         1       1000        0          0
NORTHERN TRUST COMPANY           NTRS          665859104      75      1780 SH         SOLE         1       1780        0          0
NORTHERN TRUST COMPANY           NTRS          665859104     152      3600 SH         DEFINED      1       3600        0          0
NORTHRUP GRUMMAN                               666807102       1        23 SH         SOLE         1          0        0         23
NORTHWESTERN CORPORATION                       668074107       0       330 SH         SOLE         1        330        0          0
NOVARTIS AG SPONSORED            ADR           66987V109       3        80 SH         SOLE         1         80        0          0
NU SKIN ENTERPRISES INC          CLASS A       67018T105       5       395 SH         SOLE         1        395        0          0
NUVEEN INSD PREMIUM INCOME       MUNI FD       6706D8104       4       338            SOLE         1        338        0          0
NUVEEN MUNICIPAL MARKET OPP                    67062W103      50      3529            SOLE         1       3529        0          0
OKLAHOMA GAS & ELEC ENERGYCORP                 670837103      22      1000 SH         SOLE         1       1000        0          0
NUVEEN QUALITY INCOME MUNI                     670977107       7       500 SH         SOLE         1        500        0          0
NUVEEN PREMIER MUNICIPAL INC                   670988104      22      1565 SH         SOLE         1       1565        0          0






                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED     NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------     -----
                                                                                              
OSI PHARMACEUTICALSINC           COM           671040103       0         5 SH         SOLE         1          5        0          0
                                                                                                   1
OCCIDENTAL PETE COR DEL                        674599105      17       500 SH         SOLE         1        500        0          0
OCWEN FINANCIAL CORP                           675746101       3       880 SH         SOLE         1        880        0          0
OFFICEMAX INC                                  67622M108       9      1000 SH         SOLE         1       1000        0          0
OHIO CASUALTY CORP                             677240103       3       225 SH         SOLE         1        225        0          0
OLIN CORP                                      680665205       2       166 SH         DEFINED      1        166        0          0
OMNICOM GROUP                                  681919106      21       300 SH         SOLE         1        300        0          0
ORACLE SYSTEMS CORP                            68389X105     126     11255 SH         SOLE         1       6910        0       4345
PNC BANK CORP                                  693475105       1        29 SH         SOLE         1          0        0         29
PPG INDUSTRIES INC                             693506107      32       626 SH         SOLE         1        600        0         26
PACTIV COPR                                    695257105      43      2146 SH         SOLE         1       2146        0          0
PAYCHEX INC                                    704326107       5       150 SH         SOLE         1        150        0          0
PCCW LTD SONSORED                ADR           70454G207       3       494 SH         DEFINED      1        494        0          0
PENTAIR INC                                    709631105       3        80 SH         SOLE         1         80        0          0
PEOPLES ENERGY CORP              COM           711030106      20       500 SH         DEFINED      1        500        0          0
PEOPLES HLDG CO                  COM           711148106      16       367 SH         SOLE         1        367        0          0
PEOPLES HLDG CO                  COM           711148106      22       500 SH         DEFINED      1        500        0          0
PEPCO HLDGS INC                                713291102       7       457 SH         SOLE         1        457        0          0
PEPSIAMERICAS INC                              71343P200      57      4000 SH         SOLE         1       4000        0          0
PEPSICO INC                      COM           713448108    1473     32156 SH         SOLE         1      31891        0        265
PEPSICO INC                      COM           713448108      97      2130 SH         DEFINED      1        430     1100        600
PFIZER INC                                     717081103    1699     55958 SH         SOLE         1      55511        0        447
PFIZER INC                                     717081103     164      5417 SH         DEFINED      1       3817        0       1600
PHELPS DODGE CORP                 COM          717265102      23       500 SH         DEFINED      1        500        0          0
THE PHOENIX COMPANIES                          71902E109      12      1051 SH         SOLE         1       1051        0          0
PITNEY BOWES INC                  COM          724479100       8       220 SH         SOLE         1        220        0          0
PLACER DOME INC                                725906101       2       170 SH         SOLE         1        170        0          0
POPE & TALBOT INC DELAWARE                     732827100       3       220 SH         SOLE         1        220        0          0
POTLATCH CORP                     COM          737628107       4       150 SH         SOLE         1        150        0          0
POWER TECHNOLOGIES                             739363109       4       665 SH         SOLE         1        665        0          0
PRAXAIR INC                      COM           74005P104      18       300 SH         DEFINED      1        300        0          0
PRINCIPAL FINANCIAL GROUP                      74251V102      51      1671 SH         SOLE         1       1621        0         50
PROCTER & GAMBLE CO              COM           742718109    1239     13356 SH         SOLE         1      12076        0       1280
PROCTER & GAMBLE CO              COM           742718109     129      1400 SH         DEFINED      1       1400        0          0
PROGRESS ENERGY INC              COM           743263105      10       232 SH         SOLE         1        232        0          0
PRUDENTIAL FINANCIAL                           744320102     140      3773 SH         SOLE         1       3773        0          0
PUBLIC SVC ENTERPRISE GROUP INC                744573106       1        34 SH         SOLE         1          0        0         34
PUBLIC STORAGE, INC REIT                       74460D109       7       180 SH         SOLE         1        180        0          0
PUTNAM MANAGED MUNICIPAL INCOME                746823103       3       500            DEFINED      1          0        0        500
TRUST
PUTNAM MASTER INTER INCR                       746909100       7      1150 SH         SOLE         1       1150        0          0
QLOGIC CORP                      COM           747277101      49      1053 SH         SOLE         1       1053        0          0
QUALCOMM INC                                   747525103       8       200 SH         SOLE         1        200        0          0
QUANTA SERVICES, INC                           74762E102       6       730 SH         SOLE         1        730        0          0
QWEST COMMUNICATIONS INTL INC    COM           749121109       7      2104 SH         SOLE         1       2104        0          0
RALCORP HOLDINGS NEW             COM           751028101       1        66 SH         DEFINED      1          0        0         66
RARE HOSPITALITY INTL INC                      753820109       2       120 SH         SOLE         1        120        0          0
RAYOVAC CORP                                   755081106       2       180 SH         SOLE         1        180        0          0
RAYTHEON CO NEW                                755111507     157      5630 SH         SOLE         1       3780        0       1850
REED ELSEVIER PLC                SPON ADR      758205108       2        85 SH         SOLE         1         85        0          0
REGIONS FNCL CORP                              758940100     609     17800 SH         SOLE         1      16600        0       1200
REGIONS FNCL CORP                              758940100      61      1786 SH         DEFINED      1          0     1786          0
RELIANT RESOURCES INC                          75952B105       2       394 SH         SOLE         1        394        0          0
RELIANT RESOURCES INC                          75952B105      10      2022 SH         DEFINED      1       2022        0          0
REMINGTON OIL & GAS CORP         COM           759594302      29      1600 SH         SOLE         1       1600        0          0
RIO TINTO GBP                                  767204100       3        40 SH         SOLE         1         40        0          0
RIVERSTONE NETWORKS INC                        769320102       0       102 SH         SOLE         1        102        0          0
ROCKWELL INTL CORP NEW                         773903109       4       177 SH         SOLE         1        177        0          0
ROCKWELL COLLINS INC                           774341101       4       177 SH         SOLE         1        177        0          0
ROWAN COMPANIES INC                            779382100       3       155 SH         SOLE         1        155        0          0
ROXIE INC                                      780008108       0        65 SH         SOLE         1         65        0          0
ROYAL DUTCH PETE CO               NY REG       780257804     367      8313 SH         SOLE         1       6208        0       2105
                                 GLD1.25
ROYAL DUTCH PETE CO               NY REG       780257804     141      3200 SH         DEFINED      1       3200        0          0
                                 GLD1.25
RUBY TUESDAY INC                               781182100      30      1260 SH         DEFINED      1          0        0       1260
SBC COMMUNICATIONS, INC                        78387G103     625     28128 SH         SOLE         1      24330        0       3798
SBC COMMUNICATIONS, INC                        78387G103      17       780 SH         DEFINED      1        780        0          0
ST JUDE MEDICAL                                790849103     263      4895 SH         SOLE         1       3075        0       1820
SANMINA CORP                                   800907107       2       306 SH         SOLE         1        306        0          0
SARA LEE CORP                     COM          803111103      61      3340 SH         SOLE         1       3340        0          0
SCANA CORP NEW                                 80589M102     223      6512 SH         SOLE         1       4247        0       2265
SCHERING PLOUGH CORP              COM          806605101     284     18639 SH         SOLE         1      18639        0          0
SCHERING PLOUGH CORP              COM          806605101     289     19000 SH         DEFINED      1          0    19000          0
SCHLUMBERGER LTD                  COM          806857108     297      6156 SH         SOLE         1       4316        0       1840
THE CHARLES SCHWAB CORP                        808513105      17      1500 SH         SOLE         1       1500        0          0
SCRIPPS EW INC NEW               CL A          811054204      34       400 SH         SOLE         1        400        0          0
SEARS ROEBUCK & CO               COM           812387108      83      1920 SH         SOLE         1       1920        0          0
SEARS ROEBUCK & CO               COM           812387108       7       167 SH         DEFINED      1        167        0          0
SELIGMAN SELECT MUN FD INC                     816344105      13      1250 SH         SOLE         1       1250        0          0
SEROLOGICALS CORP                              817523103       3       235 SH         SOLE         1        235        0          0
SERVICEMASTER COMPANY            COM           81760N109      77      7593 SH         SOLE         1       7593        0          0






                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED     NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------     -----
                                                                                              
SHELL TRANS & TRADING PLCNEW YRK SH NEW        822703609      67      1800 SH         DEFINED      1       1800        0          0
SHERWIN WILLIAMS CO              COM           824348106      32      1100 SH         SOLE         1       1100        0          0
SIEMENS AG                       SPONS ADR     826197501       3        55 SH         SOLE         1         55        0          0
SIMMONS 1ST NATL CORP            CL A $5 PAR   828730200     303     13200 SH         SOLE         1      13200        0          0
SIMMONS 1ST NATL CORP            CL A $5 PAR   828730200      11       500 SH         DEFINED      1        500        0          0
SIMON PROPERTY GROUP INC                       828806109     311      7155 SH         SOLE         1       4705        0       2450
SIRIUS SATTELITE RADIO                         82966U103      18     10000 SH         SOLE         1      10000        0          0
SKYWORKS SOLUTIONS                             83088M102       0        61 SH         SOLE         1         61        0          0
SMUCKER J M CO                                 832696405       0        18 SH         SOLE         1         18        0          0
SMURFIT-STONE CONTAINER CORP                   832727101       7       495 SH         SOLE         1        495        0          0
SNAP ON INC                                    833034101       4       145 SH         SOLE         1        145        0          0
SOLUTIA INC                      COM           834376105       1       500 SH         SOLE         1        500        0          0
SONIC WALL INC                                 835470105       5       910 SH         SOLE         1        910        0          0
SONY CORP                                      835699307      34      1000 SH         DEFINED      1       1000        0          0
SOUTHERN CO                      COM           842587107     567     19359 SH         SOLE         1      19359        0          0
SOUTHERN CO                      COM           842587107      76      2600 SH         DEFINED      1       2600        0          0
SOUTHWEST AIRLS CO               COM           844741108       8       505 SH         SOLE         1        505        0          0
SPINNAKER EXPLORATION CO                       84855W109       2       115 SH         SOLE         1        115        0          0
SPRINT CORP                      COM FON GROUP 852061100     845     56000 SH         SOLE         1      56000        0          0
STANCORP FINANCIAL GROUP                       852891100       2        50 SH         SOLE         1         50        0          0
STARBUCKS CORP                                 855244109      21       744 SH         SOLE         1        744        0          0
STEWART ENTERPRISES                            860370105      15      4000 SH         SOLE         1       4000        0          0
STONE ENERGY CORP                              861642106       3        95 SH         SOLE         1         95        0          0
SUN LIFE FINANCIAL                             866796105     294     13617 SH         SOLE         1      13617        0          0
SUN MICROSYSTEMS                               866810104       5      1700 SH         SOLE         1       1700        0          0
SUNGARD DATA SYSTEMS                           867363103     197      7525 SH         SOLE         1       7130        0        395
SUNOCO INC                                     86764P109      40      1000 SH         SOLE         1       1000        0          0
SUNTRUST BANKS INC               COM           867914103      60      1005 SH         SOLE         1       1005        0          0
SYNOVUS FINL CORP                              87161C105      28      1125 SH         SOLE         1       1125        0          0
TDC A/S SPONSORED                ADR           87236N102       3       210 SH         SOLE         1        210        0          0
TECO ENERGY INC                  COM           872375100       4       300 SH         SOLE         1        300        0          0
TXU CORP                                       873168108      35      1500 SH         SOLE         1       1500        0          0
TARGET CORP                                    87612E106     284      7557 SH         SOLE         1       5432        0       2125
TARGET CORP                                    87612E106      15       400 SH         DEFINED      1        400        0          0
TELEFONICA SA                    SPONSORED ADR 879382208       3        90 SH         SOLE         1         90        0          0
TELLABS INC DELAWARE                           879664100       4       600 SH         SOLE         1        600        0          0
TELLABS INC DELAWARE                           879664100       1       200 SH         DEFINED      1        200        0          0
TENNECO AUTOMOTIVE NW                          880349105       0       150 SH         SOLE         1        150        0          0
TEVA PHARMACEUTICAL IND ADR'S                  881624209      14       249 SH         SOLE         1        249        0          0
TEXAS GENCO HOLDINGS INC.                      882443104       0        25 SH         SOLE         1         25        0          0
TEXAS GENCO HOLDINGS INC.                      882443104       3       128 SH         DEFINED      1        128        0          0
TEXAS INSTRUMENTS                              882508104      27      1200 SH         SOLE         1       1200        0          0
TEXTRON INCORPORATED COMM                      883203101     244      6198 SH         SOLE         1       3725        0       2473
THOMAS & BETTS CORP              COM           884315102       3       200 SH         SOLE         1        200        0          0
THORNBURG MORTGAGE INC                         885218107       7       300 SH         SOLE         1        300        0          0
3M CO                                          88579Y101     355      5142 SH         SOLE         1       4352        0        790
TIFFANY & CO NEW                               886547108      82      2200 SH         SOLE         1       2200        0          0
TOTAL FINA ELF S.A. ADR                        89151E109       3        40 SH         SOLE         1         40        0          0
TOYOTA MOTOR CORP ADR NEW                      892331307       3        60 SH         SOLE         1         60        0          0
TRAVELERS PROPERTY CASUALTY CORP CL A          89420G109      13       831 SH         SOLE         1        831        0          0
TRAVELERS PROPERTY CASUALTY CORP CL A          89420G109       5       350 SH         DEFINED      1        350        0          0
TRAVELERS PPTY & CAS CORP        NEW CLASS B   89420G406       8       539 SH         SOLE         1        539        0          0
                                                                                                   1
TRAVELERS PPTY & CAS CORP        NEW CLASS B   89420G406      11       720 SH         DEFINED      1        720        0          0
TRIAD HOSPS INC                                89579K109       2        80 SH         SOLE         1         80        0          0
TRIBUNE COMPANY                                896047107      55      1200 SH         SOLE         1       1200        0          0
TRUSTMARK CORP                   COM           898402102     631     23288 SH         SOLE         1      23288        0          0
TRUSTMARK CORP                   COM           898402102      27      1000 SH         DEFINED      1       1000        0          0
TYCO INTL LTD NEW                COM           902124106       7       350 SH         SOLE         1        350        0          0
TYSON FOODS INC                  CL A          902494103      10       750 SH         SOLE         1          0        0        750
TYSON FOODS INC                  CL A          902494103     211     15000 SH         DEFINED      1      15000        0          0
UST INC COMMON STOCK                           902911106       1        50 SH         SOLE         1          0        0         50
USA TRUCK INC -RESTRICTED                      902925106     837     71498 SH         SOLE         1      71498        0          0
US BANCORP DEL NEW                             902973304      10       441 SH         SOLE         1        359        0         82
US UNWIRED INC                                 90338R104       5      5000 SH         SOLE         1       5000        0          0
ULTRATECH STEPPER INC                          904034105       1        65 SH         SOLE         1         65        0          0
UNIFI INC                                      904677101       2       605 SH         SOLE         1        605        0          0
UNION PACIFIC CORP                             907818108      12       222 SH         SOLE         1        200        0         22
UNION PACIFIC CORP                             907818108     229      3950 SH         DEFINED      1        150     3800          0
UNION PLANTERS CORP                            908068109    1007     31864 SH         SOLE         1      31864        0          0
UNION PLANTERS CORP              CONV PFD SER  908068307      57      1000 SH         SOLE         1       1000        0          0
                                 E 8%
UNISYS CORP                                    909214108       7       531 SH         SOLE         1        531        0          0






                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED    NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------  --------
                                                                                           
UNITED STATIONERS INC                          913004107       2        75 SH         SOLE         1         75        0           0
UNIVERSAL ELECTRONICS INC                      913483103       1       165 SH         SOLE         1        165        0           0
VERIZON COMMUNICATIONS                         92343V104     814     25102 SH         SOLE         1      22331        0        2771
VERIZON COMMUNICATIONS                         92343V104      76      2344 SH         DEFINED      1       2344        0           0
VIAD CORP                                      92552R109       8       348 SH         SOLE         1        348        0           0
VIACOM INC                       CL B          925524308      79      2071 SH         SOLE         1       1905        0         166
VIACOM INC                       CL B          925524308      12       325 SH         DEFINED      1        325        0           0
VISTEON CORP                                   92839U107       0        75 SH         SOLE         1         75        0           0
VODAFONE GROUP PLC NEW                         92857W100      86      4259 SH         SOLE         1       4259        0           0
W.P.CAREY & CO., LLC                           92930Y107      78      2474 SH         SOLE         1       2474        0           0
WACHOVIA CORP 2ND NEW                          929903102     425     10330 SH         SOLE         1      10269        0          61
WACHOVIA CORP 2ND NEW                          929903102      20       500 SH         DEFINED      1        500        0           0
WAL MART STORES INC              COM           931142103    2674     47896 SH         SOLE         1      44521        0        3375
WAL MART STORES INC              COM           931142103     256      4586 SH         DEFINED      1       1486     3000         100
WALGREEN CO                      COM           931422109     247      8094 SH         SOLE         1       5909        0        2185
WASHINGTON MUTUAL INC                          939322103      25       649 SH         SOLE         1        600        0          49
WASTE MANAGEMENT INC NEW                       94106L109     125      4803 SH         SOLE         1       2375        0        2428
WASTE MANAGEMENT INC NEW                       94106L109       0         1 SH         DEFINED      1          0        0           1
WATSON WYATT & CO HLDGS          CLASS A       942712100       3       170 SH         SOLE         1        170        0           0
WEBSTER FINANCIAL CORP                         947890109       3        90 SH         SOLE         1         90        0           0
WEINGARTEN RLTY INVS             SH BEN INT    948741103      67      1500 SH         SOLE         1       1500        0           0
WELLS FARGO & CO. NEW                          949746101     235      4575 SH         SOLE         1       4270        0         305
WELLS FARGO & CO. NEW                          949746101      10       200 SH         DEFINED      1        200        0           0
WESTAR ENERGY INC                              95709T100       3       200 SH         SOLE         1        200        0           0
WEYERHAEUSER CO                  COM           962166104     222      3800 SH         SOLE         1       3800        0           0
WHITNEY HOLDING CORP COMMON                    966612103     108      3180 SH         SOLE         1       3180        0           0
WILD OATS MKTS INC                             96808B107       3       365 SH         SOLE         1        365        0           0
WILLIAMS COMPANY COMMON                        969457100      16      1757 SH         SOLE         1       1757        0           0
WYETH                                          983024100     370      8045 SH         SOLE         1       6735        0        1310
WYETH                                          983024100      13       300 SH         DEFINED      1        300        0           0
XM SATELLITE                                   983759101     387     25000 SH         SOLE         1      25000        0           0
XCEL ENERGY INC                                98389B100       2       154 SH         SOLE         1        154        0           0
XILINX INC                                     983919101       2       100 SH         SOLE         1        100        0           0
YANKEE CANDLE CO INC                           984757104       4       175 SH         SOLE         1        175        0           0
YUM BRANDS INC                                 988498101      77      2626 SH         SOLE         1       2626        0           0
ZIMMER HLDGS INC                               98956P102      18       328 SH         SOLE         1        328        0           0
ZOLL MEDICAL CORP                              989922109       3       115 SH         SOLE         1        115        0           0
ALLIANT TECHSYSTEMS                            018804104      10       210 SH         SOLE                    0        0         210
ALLSTATE CORP                                  020002101       5       150 SH         SOLE                    0        0         150
ALLTEL CORP NEW                                020039103       6       125 SH         SOLE                    0        0         125
AMER INTL GROUP INC                            026874107       4        67 SH         SOLE                    0        0          67
AMGEN INC                                       31162100      11       175 SH         SOLE                    0        0         175
AMSOUTH BANCORP                                032165102     291     13724 SH         SOLE                    0        0       13724
AUTOMATIC DATA                                 053015103       4       100 SH         SOLE                    0        0         100
BANCORPSOUTH  INC                              059692103     271     12373 SH         SOLE                    0        0       12373
BANK OF AMERICA                                060505104      12       150 SH         SOLE                    0        0         150
BERKSHIRE HATHAWAY INC           DEL CL B      084670207      25        10 SH         SOLE                    0        0          10
BEST BUY INC                                    86516101       5       100 SH         SOLE                    0        0         100
BOMBAY COMPANY INC                             097924104       0         0 SH         SOLE                    0        0           0
BOSTON SCIENTIFIC                              101137107       8       120 SH         SOLE                    0        0         120
CAREER EDUCATION CRP                           141665109       0         0 SH         SOLE                    0        0           0
CITIGROUP INC                                   1.73E+08     102      2250 SH         SOLE                    0        0        2250
COCA COLA CO                                   191216100      52      1200 SH         SOLE                    0        0        1200
COVENTRY HEALTH CARE                           222862104       0         0 SH         SOLE                    0        0           0
DISNEY WALT CO DEL                             254687106       4       200 SH         SOLE                    0        0         200
E M C CORP MASS                                268648102      11       900 SH         SOLE                    0        0         900
EATON VANCE TAX MGD              CLASS B       277911848      35      1982 SH         SOLE                    0        0    1981.506
GENERAL DYNAMICS CRP                           369550108       9       110 SH         SOLE                    0        0         110
GENERAL ELECTRIC CO                              3.7E+08     226      7585 SH         SOLE                    0        0        7585
GENERAL MOTORS CORP                            370442105      10       240 SH         SOLE                    0        0         240
HEWLETT-PACKARD CO                             428236103      10       540 SH         SOLE                    0        0         540
HOME DEPOT INC                                 437076102       4       127 SH         SOLE                    0        0         127
INTEL CORP                                      4.58E+08     121      4380 SH         SOLE                    0        0        4380
ISHARES TR DOW JONES                           464287788     251      3157 SH         SOLE                    0        0        3157
JETBLUE AWYS CORP                              477143101       6       100 SH         SOLE                    0        0         100
JOHNSON & JOHNSON                              478160104       5       100 SH         SOLE                    0        0         100
L-3 COMMUNICATIONS                             502424104      12       280 SH         SOLE                    0        0         280
LUCENT TECH INC                                549463107       1       500 SH         SOLE                    0        0     500.178
MAGNA-LAB INC CL A                             559235106       0      2000 SH         SOLE                    0        0        2000
MICROSOFT CORP                                  5.95E+08      51      1834 SH         SOLE                    0        0        1834
MYLAN LABS INC                                 628530107       9       230 SH         SOLE                    0        0         230
NASDAQ 100 TR                                   6.31E+08       8       250 SH         SOLE                    0        0         250
NOKIA CORP ADR                                 654902204       2       100 SH         SOLE                    0        0         100
OPEN TEXT CORP                                 683715106       0         0 SH         SOLE                    0        0           0
OXFORD HEALTH PLANS                            691471106       0         0 SH         SOLE                    0        0           0
PEOPLES HLDG CO                                711148106      66      1439 SH         SOLE                    0        0        1439
PFIZER INC                                      7.17E+08      14       468 SH         SOLE                    0        0         468
PITNEY BOWES INC                               724479100       8       200 SH         SOLE                    0        0         200
PROCTER & GAMBLE CO                            742718109     136      1470 SH         SOLE                    0        0        1470
RF MICRO DEVICES INC                           749941100       4       400 SH         SOLE                    0        0         400
RESPIRONICS INC                                761230101       0         0 SH         SOLE                    0        0           0
SUN MICROSYSTEMS INC                           866810104       2       600 SH         SOLE                    0        0         600
SYBRON DENTAL COM                              871142105       2        83 SH         SOLE                    0        0          83
SYSCO CORP                                     871829107       3       100 SH         SOLE                    0        0         100
TAIWAN SEMICONDUCTOR                           874039100       7       680 SH         SOLE                    0        0         680
TEMPLETON FOREIGN                CLASS A       880196209     491     50649 SH         SOLE                    0        0    50648.57
TEXAS INSTRUMENTS                              882508104       7       300 SH         SOLE                    0        0         300






                                                                                                               VOTING AUTHORITY
                                   TITLE OF                VALUE   SHRS OR SH/ PCT/ INVESTMENT  OTHER   ----------------------------
        NAMES OF ISSUER              CLASS       CUSIP   [X$1000]  PRN AMT PRN CALL DISCRETION MANAGERS   SOLE      SHARED    NONE
-------------------------------- ------------- --------- -------- -------- --- ---- ---------- -------- -------     ------  --------
                                                                                           
TYCO INTL LTD NEW                              902124106       2        80 SH         SOLE                    0        0          80
US BANCORP DEL                                 902973304       5       215 SH         SOLE                    0        0         215
WAL-MART STORES INC                             9.31E+08      13       240 SH         SOLE                    0        0         240
WALGREEN COMPANY                               931422109       5       150 SH         SOLE                    0        0         150
PUTNAM INTERNATIONAL             EQUITY CL A   74680E101      37      1985 SH         SOLE                    0        0    1984.934


APOGENT TECHNOLOGIES                           03760A101       5       250 SH         SOLE                    0        0         250
BOEING CAP CORP SR                             09700WDJ9      25     25000 SH         SOLE                    0        0       25000
CISCO SYS INC                                  17275R102      22      1100 SH         SOLE                    0        0        1100
HOSPITALITY                                    44106M102       4       100 SH         SOLE                    0        0         100
INTL PAPER CO                                  460146AR4      25     25000 SH         SOLE                    0        0       25000
JDS UNIPHASE CORP                              46612J101       1       250 SH         SOLE                    0        0         250
JUNIPER NETWORKS                               48203R104       2       100 SH         SOLE                    0        0         100
KRAFT FOODS INC                  CL A          50075N104       3       100 SH         SOLE                    0        0         100


LABORATORY CORP AMER                           50540R409       3       100 SH         SOLE                    0        0         100
MBNA CORP                                      55262L100       2       100 SH         SOLE                    0        0         100
MERISTAR HOSPITALITY                           58984Y103       6       847 SH         SOLE                    0        0         847
NAUTILUS GROUP INC                             63910B102       4       300 SH         SOLE                    0        0         300
PRIVATE EXPT FDG                               742651CU4     545    500000 SH         SOLE                    0        0      500000
S & P 500 DEPOSITORY                           78462F103      10       100 SH         SOLE                    0        0         100
SONIC AUTOMOTIVE INC                           83545G102       0         0 SH         SOLE                    0        0           0
TRAVELERS PPTY CAS               CORP NEW CL A 89420G109       0        10 SH         SOLE                    0        0          10
TRAVELERS PPTY CAS               CORP NEW CL B 89420G406       0        22 SH         SOLE                    0        0          22
WORLDCOM INC GA NEW              COM           98157D106       0      1095 SH         SOLE                    0        0        1095
WORLDCOM INC GA (MCI                           98157D304       0        55 SH         SOLE                    0        0          55
AMDOCS LIMITED                   ISIN          G02602103       6       325 SH         SOLE                    0        0         325
                                 #GB0022569080

FLEXTRONICS INTL INC             ISIN          Y2573F102       9       600 SH         SOLE                    0        0         600
                                                             ---  --------                              -------  -------    --------
                                 #SG9999000020

 GRAND TOTALS                                             432688  10673059                              7459289  3030012      183758
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