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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2008

Check here if Amendment [ ]; Amendment Number: ___

This Amendment (Check only one): [ ] 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: Executive Vice President and Corporate Secretary
Phone: (662) 680-2084

Signature Place and Date of Signing:


     /s/ Cathy S. Freeman           Tupelo Mississippi          May 15, 2008
-----------------------------   -------------------------   --------------------
         [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:        997

Form 13F Information Table Value Total: $  784,288
                                        (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


                                       2


                           FORM 13F INFORMATION TABLE



                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
DAIMLER AG REG SHS                                   D1668R123      6        67 SH           SOLE       1         67       0       0
ACE LIMITED                                          G0070K103    123      2243 SH           SOLE       1        446       0    1797
ASPEN INSURANCE HOLDINGS                             G05384105      3       119 SH           SOLE       1        119       0       0
ASSURED GUARANTY LTD-USD                             G0585R106      4       156 SH           SOLE       1        156       0       0
ACCENTURE LTD                      CL A              G1150G111      7       202 SH           SOLE       1        202       0       0
BUNGE LIMITED                                        G16962105      2        25 SH           SOLE       1         25       0       0
COVIDIEN LTD                       COM               G2552X108      2        40 SH           SOLE       1         40       0       0
FOSTER WHEELER LTD                                   G36535139      3        58 SH           SOLE       1         58       0       0
FRONTLINE LDT F                                      G3682E127     23       500 SH           SOLE       1        500       0       0
HERBALIFE LTD COMUSD SHS                             G4412G101     78      1639 SH           SOLE       1         40       0    1599
INGSOLL-RAND CO                    CL A BERMUDA      G4776G101    209      4700 SH           SOLE       1       4700       0       0
INVESCO LTD SHS                                      G491BT108    312     12796 SH           SOLE       1        404       0   12392
IPC HLDGS LTD                      ORD               G4933P101     12       437 SH           SOLE       1          0       0     437
KNIGHTS BRIDGE TANKERS                               G5299G106     13       500 SH           SOLE       1        500       0       0
LAZARD LTD SHS A                                     G54050102      2        60 SH           SOLE       1         60       0       0
MARVELL TECHNOLOGY GROUP                             G5876H105     75      6934 SH           SOLE       1          0       0    6934
MONTPELIER RE HLD LTDF                               G62185106    427     26620 SH           SOLE       1      26620       0       0
NABORS INDUSTRIES                                    G6359F103    256      7579 SH           SOLE       1        590       0    6989
NOBLE CORP                                           G65422100     89      1798 SH           SOLE       1          0       0    1798
PLATINUM UNDERWRITERS HOLDINGS LTD                   G7127P100      3       101 SH           SOLE       1        101       0       0
RENAISSANCERE HOLDINGS LTD         COM               G7496G103     73      1407 SH           SOLE       1          0       0    1407
SEAGATE TECHNOLOGY SHS                               G7945J104     14       679 SH           SOLE       1        129       0     550
SHIP FINANCE INTERNATIONAL LTD                       G81075106      7       253 SH           SOLE       1        253       0       0
TRANSOCEAN INC                     NEW COM           G90073100    345      2549 SH           SOLE       1        306       0    2243
TYCO INTL LTD W/I                                    G9143X208      6       137 SH           SOLE       1        137       0       0
TYCO ELECTRONICS LTD               COM NEW           G9144P105      4       124 SH           SOLE       1        124       0       0
WEATHERFORD INTL LTD               NEW (BERMUDA)     G95089101     16       222 SH           SOLE       1        222       0       0
UBS AG                                               H89231338     14       476 SH           SOLE       1        476       0       0
MILLICOM INTL CELLULAR             NEW               L6388F110     54       570 SH           SOLE       1         21       0     549
MELLANOX TECHNOLOGIES LTD SHS                        M51363113     13       900 SH           SOLE       1          0       0     900
ASML HLDGS NV                      ADR               N07059186      3       119 SH           SOLE       1        119       0       0
CORE LABORATORIES NV F                               N22717107      4        30 SH           SOLE       1         30       0       0
DIANA SHIPPING INC                                   Y2066G104     13       500 SH           SOLE       1        500       0       0
FLEXTRONICS INT'L                                    Y2573F102    126     13420 SH           SOLE       1        427       0   12993
QUINTANA MARITIME LTD SHS                            Y7169G109     17       710 SH           SOLE       1          0       0     710
TEEKAY LNG PARTNERS L P                              Y8564M105     14       500 SH           SOLE       1        500       0       0
VERIGY, LTD                                          Y93691106      0         9 SH           SOLE       1          9       0       0
ABB LTD                                              000375204     21       768 SH           SOLE       1        768       0       0
ABM INDS INC                       COM               000957100      3       150 SH           SOLE       1        150       0       0
AFC ENTERPRISES INC                COM               00104Q107      6       662 SH           SOLE       1          0       0     662
A F L A C INC                                        001055102    544      8369 SH           SOLE       1       1904       0    6465
AGCO CORP                                            001084102      7       116 SH           SOLE       1        116       0       0
AGL RESOURCES, INC                                   001204106     18       518 SH           SOLE       1        518       0       0
AES CORPORATION                                      00130H105      1        69 SH           SOLE       1         69       0       0
AT&T INC                           COM               00206R102   1053     27511 SH           SOLE       1      25110       0    2401
AT&T INC                           COM               00206R102    253      6620 SH         DEFINED      1       1488    5132       0
ATMI INC                                             00207R101     10       350 SH           SOLE       1         87       0     263
AARON RENTS INC                    COM               002535201     12       557 SH           SOLE       1          0       0     557
ABBOTT LAB                                           002824100    574     10404 SH           SOLE       1       4287       0    6117
ABBOTT LAB                                           002824100    221      4000 SH         DEFINED      1          0    4000       0
ABERCROMBIE & FITCH CO             CL A              002896207    308      4205 SH           SOLE       1        133       0    4072
ACTIVISION INC                     NEW               004930202      4       129 SH           SOLE       1        129       0       0
ACTUANT CORP                       CLASS A           00508X203     12       394 SH           SOLE       1         57       0     337
ADAMS EXPRESS CO                   COM               006212104     37      2956 SH           SOLE       1       2956       0       0
ADOBE SYSTEMS INCORPORATED         DELAWARE          00724F101    274      7710 SH           SOLE       1        244       0    7466
ADVANCED AUTO PARTS INC                              00751Y106      2        60 SH           SOLE       1         60       0       0
ADVANTAGE ENERGY INCOME FD TR UNIT ADR               00762L101      6       500 SH           SOLE       1        500       0       0
ADVISORY BRD CO                                      00762W107      1        25 SH           SOLE       1         25       0       0
AEROPOSTALE                                          007865108      3       100 SH           SOLE       1        100       0       0
AEGON N V                          ORD               007924103    356     24330 SH           SOLE       1          0       0   24330
ADVENT SOFTWARE INC                                  007974108      2        40 SH           SOLE       1         40       0       0
AETNA INC                          COM               00817Y108      8       194 SH           SOLE       1        194       0       0
AFFILIATED MANAGERS GROUP          COM               008252108     16       171 SH           SOLE       1         55       0     116



                                        3





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
AGILENT TECHNOLOGIES, INC.                           00846U101     11       365 SH           SOLE       1        365       0       0
AGNICO EAGLE MINES                                   008474108     34       500 SH           SOLE       1        500       0       0
AGRIUM INC                                           008916108      3        49 SH           SOLE       1         49       0       0
AIR PRODS & CHEMS INC              COM               009158106     20       212 SH           SOLE       1        212       0       0
AIRGAS INC                         COM               009363102     12       269 SH           SOLE       1          0       0     269
AIRTRAN HLDGS INC                  COM               00949P108      2       258 SH           SOLE       1        258       0       0
AIXTRON AKTIENGELELLSCHAFT         ADR               009606104      7       510 SH           SOLE       1        510       0       0
AKAMAI TECH                                          00971T101     39      1390 SH           SOLE       1          0       0    1390
ALCOA INC                                            013817101    121      3369 SH           SOLE       1       1444       0    1925
ALCATEL LUCENT                     SPONSORED ADR     013904305      1       107 SH           SOLE       1         32       0      75
ALEXANDER & BALDWIN                                  014482103      2        54 SH           SOLE       1         54       0       0
ALEXANDRIA REAL ESTATE                               015271109      5        50 SH           SOLE       1         50       0       0
ALEXION PHARMACEUTICALS, INC                         015351109      2        33 SH           SOLE       1         33       0       0
ALLEGHENY ENERGY INC                                 017361106      3        66 SH           SOLE       1         66       0       0
ALLEGHENY TECHNOLOGIES                               01741R102     86      1205 SH           SOLE       1          0       0    1205
ALLERGAN INC                                         018490102    272      4818 SH           SOLE       1        334       0    4484
ALLIANCEBERNSTEIN GLOBAL HIGH
   INCOME FUND INC                                   01879R106     28      2100 SH           SOLE       1       2100       0       0
ALLIANT TECHSYSTEMS, INC                             018804104     15       145 SH           SOLE       1          0       0     145
ALLIANZ SE SP SH                   ADR 1/10          018805101      8       385 SH           SOLE       1          0       0     385
ALLIANCEBERNSTEIN INCOME FD                          01881E101     15      1850 SH           SOLE       1       1850       0       0
ALLIANCEBERSTEIN HLDG LP                             01881G106     32       499 SH           SOLE       1        499       0       0
ALLIED CAP CO FUND                                   01903Q108     24      1315 SH           SOLE       1       1315       0       0
ALLIED IRISH BKS P L C             SPON ADR ORD      019228402      8       180 SH           SOLE       1          0       0     180
ALLOS THEREPEUTICS, INC                              019777101      1       231 SH           SOLE       1        231       0       0
ALLSTATE CORP                      COMMON            020002101    372      7749 SH           SOLE       1       4559       0    3190
ALLSTATE CORP                      COMMON            020002101     15       310 SH         DEFINED      1        310       0       0
ALPHA NATURAL RESOURCES INC                          02076X102      3        65 SH           SOLE       1         65       0       0
ALTRIA GROUP INC                                     02209S103    226     10201 SH           SOLE       1       6987       0    3214
ALUMINA LIMITED                    ADR               022205108      5       260 SH           SOLE       1        260       0       0
AMAZON COMINC                      COM               023135106      4        60 SH           SOLE       1         60       0       0
AMCOL INTL CORP                    COM               02341W103     19       620 SH           SOLE       1          0       0     620
AMEREN CORP                                          023608102     29       669 SH           SOLE       1        434       0     235
AMERICA MOVIL SAB DE CV  SHS       SPON ADR L        02364W105     83      1299 SH           SOLE       1       1299       0       0
AMERICAN CAPITAL STRATEGIES LTD                      024937104      3        83 SH           SOLE       1         83       0       0
AMERICAN COMMERCIAL LINES          COM NEW           025195207     14       900 SH           SOLE       1          0       0     900
AMERICAN EAGLE OUTFITTERS, INC                       02553E106     64      3647 SH           SOLE       1          0       0    3647
AMERICAN ELECTRIC POWER                              025537101    286      6867 SH           SOLE       1       4242       0    2625
AMERICAN EQTY INVT LIFE HLD        COM               025676206      2       245 SH           SOLE       1        245       0       0
AMER EXPRESS CO                                      025816109    138      3165 SH           SOLE       1       1565       0    1600
AMERICAN INTERNATIONAL GROUP, INC                    026874107    182      4201 SH           SOLE       1       2701       0    1500
AMERICAN INTERNATIONAL GROUP, INC                    026874107      8       175 SH         DEFINED      1        175       0       0
AMERICAN TOWER CORP                CL A              029912201    108      2767 SH           SOLE       1         77       0    2690
AMERISOURCEBERGEN CORP                               03073E105      2        37 SH           SOLE       1         37       0       0
AMETEK INC                                           031100100      2        56 SH           SOLE       1         56       0       0
AMGEN INC                                            031162100     14       341 SH           SOLE       1        341       0       0
AMGEN INC                                            031162100      8       200 SH         DEFINED      1        200       0       0
AMYLIN PHARMACEUTICALS                               032346108      6       192 SH           SOLE       1        192       0       0
ANADARKO PETE CORP                                   032511107    131      2080 SH           SOLE       1        202       0    1878
ANADARKO PETE CORP                                   032511107    107      1696 SH         DEFINED      1          0    1696       0
ANALOG DEVICES INC                 COM               032654105      4       132 SH           SOLE       1        132       0       0
ANGIODYNAMICS INC                  COM               03475V101      6       525 SH           SOLE       1          0       0     525
ANHEUSER-BUSCH COMPANIES                             035229103    272      5731 SH           SOLE       1       5181       0     550
ANHEUSER-BUSCH COMPANIES                             035229103    133      2800 SH         DEFINED      1       2800       0       0
ANNALY CAPITAL MGMT INC                              035710409      3       200 SH           SOLE       1          0       0     200
ANSYS INC                          COM               03662Q105      3        90 SH           SOLE       1         90       0       0
APACHE CORP                                          037411105    123      1019 SH           SOLE       1       1019       0       0
APPLE INC                          COM               037833100    372      2591 SH           SOLE       1        222       0    2369
APPLIED MATERIALS INC                                038222105    102      5241 SH           SOLE       1       5241       0       0
AQUA AMERICAN INC                                    03836W103     25      1337 SH           SOLE       1       1337       0       0
AQUILA INC                         DEL NEW           03840P102      1       158 SH           SOLE       1        158       0       0
ARCELORMITTAL SA LUXEMBOURG        ADR               03938L104     12       151 SH           SOLE       1        151       0       0
ARCH COAL, INC                                       039380100    114      2615 SH           SOLE       1          0       0    2615



                                        4





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
ARCHER-DANIELS-MIDLAND COMPANY                       039483102    223      5419 SH           SOLE       1        439       0    4980
ARENA RESOURCES INC                COM               040049108     27       709 SH           SOLE       1          0       0     709
ARIBA INC                                            04033V203      3       283 SH           SOLE       1        283       0       0
ARM HLDGS PLC                                        042068106     10      1883 SH           SOLE       1       1883       0       0
ARTHROCARE CORP                    COM               043136100     10       310 SH           SOLE       1          0       0     310
ARVINMERITOR                                         043353101      1        44 SH           SOLE       1         44       0       0
ASSURANT INC                       COM               04621X108     87      1429 SH           SOLE       1          0       0    1429
ATHEROS COMMUNICATIONS INC         COM               04743P108      2        74 SH           SOLE       1         74       0       0
ATMOS ENERGY CORP                                    049560105     88      3435 SH           SOLE       1       2949       0     486
ATWOOD OCEANICS INC                COM               050095108      4        39 SH           SOLE       1         39       0       0
AUBURN NATL BANCORP                                  050473107     22      1000 SH           SOLE       1       1000       0       0
AUTODESK INC                                         052769106      2        65 SH           SOLE       1         65       0       0
AUTO DATA PROCESS                                    053015103    131      3100 SH           SOLE       1       3100       0       0
AUTOZONE                                             053332102     28       249 SH         DEFINED      1        249       0       0
AVALONBAY CMNTY INC                                  053484101     34       350 SH           SOLE       1        350       0       0
AVON PRODUCTS INC                  COM               054303102     15       375 SH           SOLE       1        375       0       0
AXA-UAP                            ADR               054536107     46      1264 SH           SOLE       1       1094       0     170
BB&T CORP                                            054937107     42      1300 SH           SOLE       1       1300       0       0
BHP BILLITON PLC                   ADR               05545E209     47       803 SH           SOLE       1        803       0       0
BJ SERVICES CO                                       055482103    144      5050 SH           SOLE       1        152       0    4898
BP AMOCO PLC                       SPONSORED ADR     055622104   1220     20112 SH           SOLE       1      11038       0    9074
BP AMOCO PLC                       SPONSORED ADR     055622104    188      3100 SH         DEFINED      1       3100       0       0
BT GROUP PLC                                         05577E101      6       145 SH           SOLE       1          0       0     145
BMC SOFTWARE                                         055921100      9       290 SH           SOLE       1        290       0       0
BAKER HUGHES INC                   COM               057224107    149      2173 SH           SOLE       1         69       0    2104
BALDOR ELEC CO                     COM               057741100   5215    186267 SH           SOLE       1     186267       0       0
BANCO BILBAO VIZCAYA SP            ADR               05946K101     55      2522 SH           SOLE       1       2522       0       0
BANCO SANTANDER S.A.               ADR               05964H105      7       345 SH           SOLE       1          0       0     345
BANCORPSOUTH INC                                     059692103  23367   1009395 SH           SOLE       1    1003960       0    5435
BANCORPSOUTH INC                                     059692103    934     40340 SH         DEFINED      1      37748    2592       0
BANK OF AMERICA CORP               NEW COM           060505104    295      7777 SH           SOLE       1       7512       0     265
BANK HAWAII CORP                                     062540109      3        54 SH           SOLE       1         54       0       0
BANK OF THE OZARKS, INC                              063904106   2203     92200 SH         DEFINED      1      92200       0       0
BANK NEW YORK MELLON CORP          COM               064058100    319      7646 SH           SOLE       1       7646       0       0
BANK NEW YORK MELLON CORP          COM               064058100      6       132 SH         DEFINED      1        132       0       0
BARCLAYS PLC                                         06738E204    354      9782 SH           SOLE       1       1342       0    8440
CR BARD INC                                          067383109      7        73 SH           SOLE       1         73       0       0
BARNES GROUP INC                                     067806109      5       211 SH           SOLE       1        211       0       0
BARR PHARMACEUTICALS INC                             068306109    178      3695 SH           SOLE       1         68       0    3627
BARRETT BILL CORP                                    06846N104      3        69 SH           SOLE       1         69       0       0
BAXTER INTL INC                                      071813109     87      1500 SH           SOLE       1       1500       0       0
BE AEROSPACE INC                                     073302101      6       184 SH           SOLE       1        184       0       0
BEAR STEARNS COS INC                                 073902108      6       607 SH           SOLE       1        607       0       0
BECKMAN COULTER INC                COM               075811109      2        26 SH           SOLE       1         26       0       0
BECTON DICKINSON                                     075887109    112      1303 SH           SOLE       1       1303       0       0
BED BATH & BEYOND                                    075896100      1        50 SH           SOLE       1         50       0       0
BELDEN INC                         COM               077454106    104      2953 SH           SOLE       1          0       0    2953
BENTLEY PHARMACEUTICALS, INC                         082657107      1        50 SH           SOLE       1          0       0      50
BERKSHIRE HATHAWAY "A"                               084670108    133         1 SH           SOLE       1          1       0       0
BERKSHIRE HATHAWAY INC DEL         CL B              084670207      4         1 SH           SOLE       1          1       0       0
BERKSHIRE HATHAWAY INC             DEL CL B          084670207     13         3 SH         DEFINED      1          3       0       0
BEST BUY INC                       COMMON STOCK      086516101    232      5594 SH           SOLE       1        177       0    5417
BHP BILLITON LIMITED               ADR SPONSORED     088606108      7       100 SH           SOLE       1        100       0       0
BIOMARIN PHARMACEUTICAL            COM               09061G101      3        80 SH           SOLE       1         80       0       0
BIOHEART, INC                      (NEW)             09062F201     21      5252 SH           SOLE       1       5252       0       0
BIOGEN IDEC INC                                      09062X103      8       130 SH           SOLE       1        130       0       0
BLACK & DECKER CORP                COM               091797100      9       135 SH           SOLE       1          0       0     135
BLACKROCK INSD MUNI INCOME TRUST                     092479104     62      4700              SOLE       1       4700       0       0
BLACKROCK MUNIVEST FD INC                            09253R105     43      5000              SOLE       1       5000       0       0
BLACKROCK REAL ASSET EQUITY                          09254B109     57      3500 SH           SOLE       1       3500       0       0
BLACKROCK MUNIYIELD INSURED FD                       09254E103     39      3150              SOLE       1       3150       0       0
BLACKROCK MUNIYIELD INSURED FD                       09254E103     93      7500            DEFINED      1       7500       0       0
BLACKROCK SR HIGH INCOME FD                          09255T109      6      1275 SH           SOLE       1       1275       0       0
BOEING INC                                           097023105    547      7356 SH           SOLE       1       2071       0    5285
BOSTON PROPERTIES INC                                101121101      6        65 SH           SOLE       1         65       0       0
BOYD GAMING CORP                                     103304101    137      6855 SH           SOLE       1        110       0    6745
BRISTOL MYERS SQUIBB CO                              110122108    153      7209 SH           SOLE       1       7209       0       0
BRITISH SKY BROADCASTING GP PLC    SPON ADR          111013108      7       169 SH           SOLE       1        169       0       0



                                        5





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
BROADCOM CORP                                        111320107    104      5413 SH           SOLE       1         80       0    5333
BROADRIDGE FINL SOLUTIONS INC      COM               11133T103      5       275 SH           SOLE       1        275       0       0
BROCADE COMM SYS                                     111621306      3       387 SH           SOLE       1        387       0       0
BROOKDALE SR LIVING SERV                             112463104      1        62 SH           SOLE       1         62       0       0
BROOKS AUTOMATION INC                                114340102      5       538 SH           SOLE       1          0       0     538
BROWN SHOE INC                     NEW               115736100      3       172 SH           SOLE       1        172       0       0
BRUNSWICK CORP                     COM               117043109      4       240 SH           SOLE       1          0       0     240
BUCYRUS INTL INC                   NEW               118759109      3        27 SH           SOLE       1         27       0       0
BURGER KING HLDGS INC              COM               121208201      2        80 SH           SOLE       1         80       0       0
BURLINGTON NORTHERN/SANTA FE CORP                    12189T104     20       220 SH           SOLE       1        220       0       0
CBS CORP                           NEW CL B          124857202      9       420 SH           SOLE       1         45       0     375
CF INDS HLDGS INC                                    125269100      4        40 SH           SOLE       1         40       0       0
C H ROBINSON WORLDWIDE INC                           12541W209      2        31 SH           SOLE       1         31       0       0
CIGNA CORPORATION                                    125509109     10       240 SH           SOLE       1        240       0       0
CME GROUP INC                      COM               12572Q105    147       313 SH           SOLE       1         10       0     303
CRA INTL INC                                         12618T105      2        61 SH           SOLE       1         61       0       0
CRH PLC                            ADR               12626K203     45      1164 SH           SOLE       1       1019       0     145
CSX CORP                           COM               126408103     36       650 SH           SOLE       1        650       0       0
CVS CAREMARK CORPORATION           COM               126650100    172      4235 SH           SOLE       1        598       0    3637
CABLEVISION SYS CORP                                 12686C109      2       110 SH           SOLE       1        110       0       0
CADBURY SCHWEPPES PLC              ADR               127209302     49      1100 SH           SOLE       1       1100       0       0
CADENCE FINANCIAL CORP                               12738A101     54      3333 SH           SOLE       1       3333       0       0
CADENCE DESIGN SYSTEMS INC                           127387108     94      8845 SH           SOLE       1          0       0    8845
CALPINE CORP                       COM NEW           131347304     49      2678 SH           SOLE       1          0       0    2678
CAMERON INTL CORP                                    13342B105     16       383 SH           SOLE       1        383       0       0
CAMPBELL SOUP CO                   COM               134429109    115      3379 SH           SOLE       1        125       0    3254
CANADIAN PAC RAILWAY                                 13645T100     62       958 SH           SOLE       1        128       0     830
CANON INC                          ADR REPSTG 5 SHRS 138006309    420      9049 SH           SOLE       1        404       0    8645
CAPELLA EDUCATION COMPANY          COM               139594105      9       170 SH           SOLE       1          0       0     170
CAPITAL ONE FINL CORP              COM               14040H105    365      7406 SH           SOLE       1       7406       0       0
CAPSTEAD MTG CORP                                    14067E308     12      1000 SH           SOLE       1       1000       0       0
CARNIVAL CORP                                        143658300      8       201 SH           SOLE       1        201       0       0
CARPENTER TECHNOLOGY CORP          COM               144285103      3        50 SH           SOLE       1         50       0       0
CATERPILLAR INC                                      149123101    122      1560 SH           SOLE       1          0       0    1560
CELGENE CORP                                         151020104    270      4402 SH           SOLE       1        139       0    4263
CEMEX SAB DE CV                    ADR               151290889     69      2631 SH           SOLE       1         93       0    2538
CENTERPOINT ENERGY INC                               15189T107     34      2348 SH           SOLE       1       1848       0     500
CENTRAL EUROPEAN DISTRIBUTION CORP                   153435102      4        67 SH           SOLE       1         67       0       0
CENTURY ALUMINUM CO                                  156431108      6        97 SH           SOLE       1          0       0      97
CEPHEID                                              15670R107      2        70 SH           SOLE       1         70       0       0
CENTURYTEL, INC                                      156700106     35      1064 SH           SOLE       1       1064       0       0
CEPHALON INC                                         156708109      6        95 SH           SOLE       1         95       0       0
CERNER CORP                        COM               156782104     64      1718 SH           SOLE       1        162       0    1556
CHARMING SHOPPES INC                                 161133103      0       100 SH           SOLE       1        100       0       0
CHATTEM INC                        COM               162456107     21       310 SH           SOLE       1         30       0     280
CHESAPEAKE ENERGY CORP                               165167107    106      2296 SH           SOLE       1          0       0    2296
CHEVRON CORPORATION                                  166764100    614      7194 SH           SOLE       1       5124       0    2070
CHEVRON CORPORATION                                  166764100    188      2200 SH         DEFINED      1       2200       0       0
CHICO'S FAS INC                                      168615102      1       181 SH           SOLE       1        181       0       0
CHINA MOBILE HONG KONG LTD                           16941M109     32       422 SH           SOLE       1        422       0       0
CHINA PETE & CHEM CORP SHS         SPON ADR H        16941R108      4        45 SH           SOLE       1          0       0      45
CINCINNATI BELL INC                NEW               171871106      3       770 SH           SOLE       1        770       0       0
CINEMARK HOLDING INC                                 17243V102      2       180 SH           SOLE       1        180       0       0
CISCO SYS INC                                        17275R102    731     30344 SH           SOLE       1      12342       0   18002
CIRRUS LOGIC INC                   COM               172755100      1        90 SH           SOLE       1         90       0       0
CITADEL BROADCASTING CORP          COM               17285T106      0         2 SH           SOLE       1          2       0       0
CITIGROUP, INC                                       172967101    242     11305 SH           SOLE       1      11305       0       0
CITIGROUP, INC                                       172967101    152      7107 SH         DEFINED      1       7107       0       0
CITIZENS HOLDING COMPANY                             174715102   3177    158987 SH           SOLE       1     158987       0       0
CITY NATL CORP                     COM               178566105      7       137 SH           SOLE       1         39       0      98
CLARCOR INC                                          179895107      3        89 SH           SOLE       1         89       0       0
CLEAN HARBOR                                         184496107     14       215 SH           SOLE       1          0       0     215
CLEVELAND CLIFFS INC                                 185896107     17       141 SH           SOLE       1         36       0     105
CLOROX COMPANY                                       189054109     57      1000 SH           SOLE       1       1000       0       0
COACH INC                                            189754104     33      1080 SH           SOLE       1        125       0     955
COCA COLA CO                                         191216100    962     15799 SH           SOLE       1      11854       0    3945
COCA COLA CO                                         191216100    312      5125 SH         DEFINED      1       5125       0       0



                                        6





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
COCA COLA ENTERPRISES INC          COM               191219104     63      2600 SH           SOLE       1       2600       0       0
COCA COLA FEMSA S A B DE C V       SPON ADR REP L    191241108      9       161 SH           SOLE       1          0       0     161
COGNIZANT TECHNOLOGY SOL                             192446102      3       100 SH           SOLE       1        100       0       0
COLGATE-PALMOLIVE CO                                 194162103    254      3260 SH           SOLE       1       3260       0       0
COLONIAL BANCGROUP INC                               195493309      2       176 SH           SOLE       1        176       0       0
COMCAST CORP                       NEW CL A COM      20030N101     23      1197 SH           SOLE       1       1197       0       0
COMCAST CORP                       NEW CL A COM      20030N101     12       601 SH         DEFINED      1          0     601       0
COMCAST CORP                       NEW SPL CL A      20030N200      4       225 SH           SOLE       1        225       0       0
COMMSCOPE INC                                        203372107     10       274 SH           SOLE       1          0       0     274
COMMUNITY HEALTH SYSTEMS                             203668108      2        72 SH           SOLE       1         72       0       0
COMMVAULT SYSTEMS INC              COM               204166102     13      1060 SH           SOLE       1          0       0    1060
COMPANHIA VALE DO RIO DOCE                           204412209     15       422 SH           SOLE       1        422       0       0
COMPASS MINERALS INTL                                20451N101     34       572 SH           SOLE       1        572       0       0
COMPLETE PRODUCTION SERVICES       COM               20453E109      6       280 SH           SOLE       1          0       0     280
COMTECH GROUP INC                  COM NEW           205821200     14      1295 SH           SOLE       1          0       0    1295
CONAGRA FOODS INC                  COM               205887102    192      8014 SH           SOLE       1       3197       0    4817
CONCHO RES INC                     COM               20605P101     17       647 SH           SOLE       1        120       0     527
CONEXANT SYS INC                   COM               207142100      0       176 SH           SOLE       1        176       0       0
CONOCO PHILLIPS                                      20825C104    591      7752 SH           SOLE       1       7592       0     160
CONSOLIDATED GRAPHICS INC                            209341106      3        45 SH           SOLE       1         45       0       0
CONTINENTAL RESOURCES INC          COM               212015101     22       683 SH           SOLE       1        166       0     517
COOPER TIRE & RUBBER CO                              216831107     90      6028 SH           SOLE       1       5653       0     375
COOPER TIRE & RUBBER CO                              216831107      1       100 SH         DEFINED      1        100       0       0
CORN PRODUCTS INTERNATIONAL INC                      219023108      9       251 SH           SOLE       1          0       0     251
CORNING INC                                          219350105    293     12201 SH           SOLE       1       1146       0   11055
CORRECTIONS CORP OF AMERICA                          22025Y407     86      3119 SH           SOLE       1          0       0    3119
COVANCE INC                                          222816100      2        30 SH           SOLE       1         30       0       0
CREDIT SUISSE GROUP                ADR               225401108    265      5218 SH           SOLE       1        202       0    5016
CREE RESEARCH INC                                    225447101      2        70 SH           SOLE       1         70       0       0
CROCS INC                                            227046109      2        94 SH           SOLE       1         94       0       0
CROSS TIMBERS ROYALTY TRUST                          22757R109     25       500 SH           SOLE       1          0       0     500
CROWN CASTLE INTL CORP             COM               228227104    118      3431 SH           SOLE       1         74       0    3357
CROWN HLDGS INC                                      228368106      3       125 SH           SOLE       1        125       0       0
CTRIP COMINTL LTD                  ADR               22943F100      3        51 SH           SOLE       1         51       0       0
CULLEN FROST BANKERS INC                             229899109     17       317 SH           SOLE       1         63       0     254
CUMMINS, INC                                         231021106      3        74 SH           SOLE       1         74       0       0
CYPRESS SEMICONDUCTOR                                232806109      2        89 SH           SOLE       1         89       0       0
DNP SELECT INCOME FD INC                             23325P104     12      1100 SH           SOLE       1       1100       0       0
DRS TECHNOLOGIES INC                                 23330X100     11       188 SH           SOLE       1          0       0     188
DST SYS INC                        DEL               233326107      9       142 SH           SOLE       1        142       0       0
DTE ENERGY CO                                        233331107      4       100 SH           SOLE       1        100       0       0
DWS MUNICIPAL INCOME TRUST                           23338M106    110     10425            DEFINED      1      10425       0       0
DANAHER CORP                       DEL COM           235851102    328      4317 SH           SOLE       1        190       0    4127
DATASCOPR CORP                                       238113104      2        59 SH           SOLE       1         59       0       0
DAVITA INC                                           23918K108    107      2231 SH           SOLE       1          0       0    2231
DEAN FOODS CO                                        242370104      1        60 SH           SOLE       1         60       0       0
DECKERS OUTDOOR CORP                                 243537107      2        20 SH           SOLE       1         20       0       0
DEERE & CO                                           244199105    269      3340 SH           SOLE       1       3340       0       0
DELL INC                                             24702R101     60      3038 SH           SOLE       1       3038       0       0
DELTIC TIMBER INC                                    247850100    352      6324 SH           SOLE       1       6324       0       0
DELTIC TIMBER INC                                    247850100  24271    435743 SH         DEFINED      1          0  435743       0
DELTA PETROLEUM CORPORATION        NEW               247907207     11       470 SH           SOLE       1          0       0     470
DENBURY RES INC                    NEW               247916208      5       184 SH           SOLE       1        184       0       0
DEVRY INC                          DEL COMUSD1       251893103      2        44 SH           SOLE       1         44       0       0
DIAGEO P L C                       SPON ADR NEW      25243Q205    288      3537 SH           SOLE       1        485       0    3052
DIAMOND OFFSHORE DRILLING IN       COM               25271C102     10        86 SH           SOLE       1          0       0      86
DIRECTTV GROUP INC                                   25459L106    204      8230 SH           SOLE       1          0       0    8230
DISCOVERY HOLDING CO               COM SERIES A      25468Y107      1        40 SH           SOLE       1         40       0       0
WALT DISNEY CO                                       254687106     67      2139 SH           SOLE       1        539       0    1600
DISCOVER FINL SVCS                 COM               254709108     25      1505 SH           SOLE       1       1505       0       0
DISCOVER FINL SVCS                 COM               254709108      2       130 SH         DEFINED      1        130       0       0
DIVIDEND CAPITAL REALTY INCOME
   ALLOCATION FUND                                   25537T105      2       266 SH           SOLE       1        266       0       0



                                        7





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
DOMINOS PIZZA INC                                    25754A201      2       143 SH           SOLE       1        143       0       0
DONNELLEY RR & SONS                                  257867101      9       290 SH           SOLE       1          0       0     290
DOUBLE-TAKE SOFTWARE INC           COM               258598101      8       685 SH           SOLE       1          0       0     685
DOW CHEMICAL CO                                      260543103     40      1080 SH           SOLE       1        515       0     565
DRIL-QUIP INC                                        262037104      2        40 SH           SOLE       1         40       0       0
DU PONT EI D NEMOURS & CO                            263534109    365      7815 SH           SOLE       1       2974       0    4841
DUKE ENERGY CORP                   COM               26441C105     23      1317 SH           SOLE       1       1317       0       0
DUN & BRADSTREET NW                                  26483E100      2        19 SH           SOLE       1         19       0       0
DYNEGY INC                         DEL  CL A         26817G102    138     17528 SH           SOLE       1          0       0   17528
EMC CORP                                             268648102     12       805 SH           SOLE       1        805       0       0
EMC CORP                                             268648102     24      1700 SH         DEFINED      1       1700       0       0
ENSCO INTERNATIONAL INC                              26874Q100      5        73 SH           SOLE       1         73       0       0
ENI S P A                          SPONSORED ADR     26874R108    268      3928 SH           SOLE       1        367       0    3561
EASTGROUP PROPERTIES INC                             277276101     96      2059 SH           SOLE       1       2059       0       0
EASTMAN CHEMICAL CO                                  277432100      3        49 SH           SOLE       1         49       0       0
EATON CORP                         COM               278058102    198      2490 SH           SOLE       1         90       0    2400
EATON VANCE INSURED MUNICIPAL BOND
   FUND II                                           27827K109     10       768              SOLE       1          0       0     768
EATON VANCE INSURED MUNI BOND FD                     27827X101     43      3300              SOLE       1       3300       0       0
EATON VANCE LIMITED DURATION
   INCOME FUND                                       27828H105     18      1253 SH           SOLE       1       1253       0       0
EATON VANCE TAX ADV GLOBAL DIV
   INCOME                                            27828S101     22      1000 SH           SOLE       1       1000       0       0
EATON VANCE TAX MANAGED GLOB                         27829C105     16      1000 SH           SOLE       1       1000       0       0
EATON VANCE TAX MANAGED GLOBAL                       27829F108     17      1100 SH           SOLE       1       1100       0       0
EBAY INC                                             278642103      8       260 SH           SOLE       1        260       0       0
ECOLAB INC                         COMMON            278865100    255      5870 SH           SOLE       1        317       0    5553
EDWARDS LIFESCIENCES CORP                            28176E108     11       240 SH           SOLE       1        240       0       0
EHEALTH INC                        COM               28238P109     11       500 SH           SOLE       1          0       0     500
EL PASO CORPORATION                                  28336L109    168     10101 SH           SOLE       1        479       0    9622
EL PASO ELEC CO                                      283677854      0         6 SH           SOLE       1          6       0       0
ELECTRONIC ARTS INC                                  285512109    369      7394 SH           SOLE       1        525       0    6869
EMBARQ CORP                        COM               29078E105    100      2500 SH           SOLE       1       2500       0       0
EMBRAER-EMPRESA BRASILEIRA DSP SHS ADR COM           29081M102     85      2163 SH           SOLE       1         77       0    2086
EMERSON ELECTRIC CO                                  291011104     74      1431 SH           SOLE       1       1431       0       0
ENCANA CORP-CAD                                      292505104    139      1836 SH           SOLE       1          0       0    1836
ENCORE WIRE CORP                   COM               292562105    469     25748 SH           SOLE       1       8198       0   17550
ENERGEN CORP                                         29265N108     63      1006 SH           SOLE       1       1006       0       0
ENERGY EAST CORP                   COM               29266M109      6       240 SH           SOLE       1        240       0       0
ENERPLUS RESOURCE FD                                 29274D604     42       975 SH           SOLE       1        975       0       0
ENTERGY CORP                                         29364G103    363      3325 SH           SOLE       1        950       0    2375
ENTERGY CORP                                         29364G103     80       734 SH         DEFINED      1        734       0       0
EQUINIX INC                        COM NEW           29444U502      3        46 SH           SOLE       1         46       0       0
EQUITY ONE INC                                       294752100      2        76 SH           SOLE       1         76       0       0
EQUITY RESIDENTIAL PPTYS SBI                         29476L107      1        34 SH           SOLE       1         34       0       0
ERESEARCHTECHNOLOGY INC            COM               29481V108     20      1590 SH           SOLE       1          0       0    1590
ERICSSON (LM) TELE CO              ADR (NEW)         294821608    399     20308 SH           SOLE       1        980       0   19328
EXELON CORP                                          30161N101     65       799 SH           SOLE       1        799       0       0
EXELON CORP                                          30161N101     49       600 SH         DEFINED      1        600       0       0
EXPEDIA INC                        DEL               30212P105      3       147 SH           SOLE       1        147       0       0
EXPRESS SCRIPTS INC                                  302182100    110      1705 SH           SOLE       1         96       0    1609
EXTERRAN PARTNERS, L.P.                              30225N105      6       200 SH           SOLE       1          0       0     200
EXTERRAN HOLDGS INC                                  30225X103      2        35 SH           SOLE       1         35       0       0
EXXON MOBIL CORP                                     30231G102   6116     72310 SH           SOLE       1      63339       0    8971
EXXON MOBIL CORP                                     30231G102   1863     22023 SH         DEFINED      1      13423    8600       0
FEI CO                                               30241L109      2        80 SH           SOLE       1         80       0       0
FLIR CORP                                            302445101      2        65 SH           SOLE       1         65       0       0
FMC TECHNOLOGIES                                     30249U101      3        56 SH           SOLE       1         56       0       0
F M C CORP                         COM NEW           302491303      9       162 SH           SOLE       1         62       0     100
FPL GROUP INC                                        302571104     69      1100 SH           SOLE       1       1100       0       0
FTI CONSULTING INC                                   302941109      4        59 SH           SOLE       1         59       0       0
FACTSET RESH SYS INC               COM               303075105      2        42 SH           SOLE       1         42       0       0
FED HMN LN MTG CORP VOTING         COM               313400301     11       420 SH           SOLE       1        420       0       0
FNMA                               COM               313586109     44      1656 SH           SOLE       1       1656       0       0
FEDEX CORPORATION                                    31428X106     17       186 SH           SOLE       1        186       0       0
FERRELLGAS PARTNERS L P                              315293100     15       700 SH           SOLE       1        700       0       0
FIDELITY NATIONAL INFORMATION SVCS COM               31620M106      1        23 SH           SOLE       1         23       0       0
FIDELITY NATIONAL FINANCIAL INC                      31620R105     66      3621 SH           SOLE       1         45       0    3576
FIRST AMERICAN FINANCIAL CORP                        318522307      3        78 SH           SOLE       1         78       0       0
FIRST BANCSHARES INC MISS                            318916103     77      3692 SH           SOLE       1       3692       0       0
FIRST CASH FINANCIAL SVC INC                         31942D107      7       716 SH           SOLE       1          0       0     716
FIRST FINL CORP IND                                  320218100      3        98 SH           SOLE       1         98       0       0



                                        8





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
FIRST HORIZON NATIONAL                               320517105     19      1382 SH           SOLE       1       1382       0       0
FIRST M & F CORP                                     320744105     69      4776 SH           SOLE       1       4492       0     284
FIRST MERCHANTS CORP                                 320817109      3        93 SH           SOLE       1         93       0       0
FIRST SOLAR INC                    COM               336433107     19        84 SH           SOLE       1         84       0       0
FISERV INC                                           337738108     46       963 SH           SOLE       1          0       0     963
FIRST ENERGY CORP                  COMMON            337932107    323      4713 SH           SOLE       1       4713       0       0
FLOWSERVE CORP                                       34354P105      3        24 SH           SOLE       1         24       0       0
FORD MOTOR COMPANY                 COMMON            345370860      4       694 SH           SOLE       1        194       0     500
FORDING CANADIAN COAL                                345425102     26       500 SH           SOLE       1        500       0       0
FOREST LABS                                          345838106     82      2056 SH           SOLE       1        100       0    1956
FORESTAR REAL ESTATE GROUP INC     COM               346233109      9       366 SH           SOLE       1        366       0       0
FORTUNE BRANDS INC                                   349631101      6        85 SH           SOLE       1         85       0       0
FORWARD AIR CORP                   COM               349853101     10       275 SH           SOLE       1          0       0     275
FRANCE TELECOM                     SPONSORED ADR     35177Q105      9       258 SH           SOLE       1        258       0       0
FRANLIN RES INC                    COM               354613101      7        75 SH           SOLE       1         75       0       0
FREEPORT MCMORAN COPPER & GOLD     COM               35671D857     22       224 SH           SOLE       1        224       0       0
FRONTIER OIL CORP                                    35914P105      7       260 SH           SOLE       1        260       0       0
FUEL TECH INC                      COM               359523107      8       410 SH           SOLE       1          0       0     410
FUJIFILM HLDGS CORP                ADR 2 ORD         35958N107    315      8858 SH           SOLE       1          0       0    8858
GEO GROUP INC                      COM               36159R103     23       805 SH           SOLE       1         70       0     735
GFI GROUP INC                      COM               361652209     13       230 SH           SOLE       1         25       0     205
GAMESTOP CORP                                        36467W109      3        60 SH           SOLE       1         60       0       0
GANNETT INC                        COM               364730101      7       235 SH           SOLE       1          0       0     235
GAP INC                            DEL COM           364760108      1        76 SH           SOLE       1         76       0       0
GAYLORD ENTMT CO                   NEW COM           367905106      1        27 SH           SOLE       1         27       0       0
GEN-PROBE INC JPY                                    36866T103      1        30 SH           SOLE       1         30       0       0
GENENTECH INC                                        368710406    366      4510 SH           SOLE       1       1130       0    3380
GENERAL CABLE CORP                 DELNEW COM        369300108     75      1272 SH           SOLE       1         35       0    1237
GENERAL DYNAMICS CORP              COM               369550108     34       403 SH           SOLE       1        403       0       0
GENERAL ELECTRIC CO                                  369604103   2152     58173 SH           SOLE       1      47487       0   10686
GENERAL ELECTRIC CO                                  369604103      6       150 SH         DEFINED      1        150       0       0
GENERAL MLS INC                    COM               370334104      1        22 SH           SOLE       1         22       0       0
GEN MTR CORP                                         370442105     29      1525 SH           SOLE       1        225       0    1300
GENESEE & WYOMING                  CLASS A           371559105      3        77 SH           SOLE       1         77       0       0
GEOEYE INC                         COM               37250W108      5       175 SH           SOLE       1          0       0     175
GENZYME CORP                                         372917104     13       178 SH           SOLE       1        178       0       0
GILEAD SCIENCES INC                                  375558103    302      5853 SH           SOLE       1        185       0    5668
GLAXOSMITHKLINE PLC                ADR               37733W105    339      7993 SH           SOLE       1       2914       0    5079
GLOBAL PAYMENTS INC                                  37940X102    106      2556 SH           SOLE       1         70       0    2486
GOLDMAN SACHS GROUP                                  38141G104     75       452 SH           SOLE       1        352       0     100
B F GOODRICH                                         382388106     91      1574 SH           SOLE       1         35       0    1539
GOOGLE INC                                           38259P508    442      1003 SH           SOLE       1        112       0     891
GRANT PRIDECO INC                  COM               38821G101      2        50 SH           SOLE       1         50       0       0
GREEN MTN COFFEE ROASTERS IN       COM               393122106      9       300 SH           SOLE       1          0       0     300
GREENE BANKSHARES                                    394361208     11       644 SH           SOLE       1        644       0       0
GREENHILL & CO INC                                   395259104      2        35 SH           SOLE       1         35       0       0
GRUPO TELEVISA SA                  SPONSORED ADR     40049J206     13       548 SH           SOLE       1        548       0       0
GUARANTY FINANCIAL GROUP           COM               40108N106      4       366 SH           SOLE       1        366       0       0
GUESS INC                                            401617105      7       167 SH           SOLE       1        167       0       0
GULFPORT ENERGY CORP               COM NEW           402635304      6       559 SH           SOLE       1          0       0     559
HCC INSURANCE HOLDINGS, INC                          404132102     13       578 SH           SOLE       1          0       0     578
HCP INC                            COM               40414L109     10       300 SH           SOLE       1        300       0       0
HMS HLDGS CORP                     COM               40425J101     17       580 SH           SOLE       1          0       0     580
HSBC HLDGS PLC                     SPONSORED ADR     404280406    433      5262 SH           SOLE       1         75       0    5187
HAEMONETICS CORP                                     405024100     18       305 SH           SOLE       1          0       0     305
HALLIBURTON CO                     COM               406216101    281      7147 SH           SOLE       1       2660       0    4487
JOHN HANCOCK PFD INC II                              41013X106      8       400 SH           SOLE       1        400       0       0
JOHN HANCOCK PREFERRED INCOME FUND
   III                                               41021P103      2       130 SH           SOLE       1        130       0       0
HANOVER CAP MTG HLDGS INC          COM               410761100      0       600 SH           SOLE       1        600       0       0
HANSEN NATURAL CORP                                  411310105      2        55 SH           SOLE       1         55       0       0
HARRIS CORP                                          413875105    138      2834 SH           SOLE       1       2834       0       0
HARTFORD FNCL SV GRP INC           COM               416515104      9       125 SH           SOLE       1        125       0       0
HASBRO, INC                                          418056107      3        95 SH           SOLE       1         95       0       0
HAWAIIAN ELEC INDS INC                               419870100     27      1130 SH         DEFINED      1       1130       0       0
HAYNES INTERNATIONAL INC           COM NEW           420877201     20       370 SH           SOLE       1          0       0     370
HEALTH CARE SERVICES GROUP INC                       421906108      9       446 SH           SOLE       1          0       0     446
HEALTH CARE REIT INC                                 42217K106      3        57 SH           SOLE       1         57       0       0
HEALTHEXTRAS INC                   COM               422211102     12       497 SH           SOLE       1         72       0     425
HEALTHSPRING INC                   COM               42224N101      8       548 SH           SOLE       1          0       0     548
HEARTLAND PMT SYS INC                                42235N108      2        85 SH           SOLE       1         85       0       0



                                        9





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
HEINZ H J CO                       COM               423074103     50      1073 SH           SOLE       1       1073       0       0
HEWLETT PACKARD CO                                   428236103    680     14896 SH           SOLE       1       6395       0    8501
HILB ROGAL & HOBBS COMPANY                           431294107      8       255 SH           SOLE       1          0       0     255
HITTITE MICROWAVE CORP                               43365Y104      2        55 SH           SOLE       1         55       0       0
HOLOGIC INC                        COM               436440101    284      5100 SH           SOLE       1        226       0    4874
HOME DEPOT                                           437076102    155      5538 SH           SOLE       1       3313       0    2225
HOME DEPOT                                           437076102     19       692 SH         DEFINED      1        692       0       0
HONDA MOTOR                        ADR               438128308      7       235 SH           SOLE       1        235       0       0
HONEYWELL INTL INC                                   438516106     85      1500 SH           SOLE       1          0       0    1500
HORACE MANN EDUCATORS CORP         NEW               440327104      3       144 SH           SOLE       1        144       0       0
HOSPITALITY PROPERTIES                               44106M102      2        61 SH           SOLE       1         61       0       0
HOSPIRA, INC                                         441060100      2        50 SH           SOLE       1         50       0       0
HOSPIRA, INC                                         441060100     17       400 SH         DEFINED      1          0     400       0
HOST HOTELS & RESORTS INC          COM               44107P104    125      7838 SH           SOLE       1        306       0    7532
HUB GROUP INC                      CL A              443320106     17       508 SH           SOLE       1         73       0     435
HUBBELL INC                        CL B              443510201     44      1000 SH           SOLE       1          0       0    1000
JB HUNT TRANSPORT SVC INC                            445658107     51      1614 SH           SOLE       1          0       0    1614
HUNTINGTON BANCSHARE INC                             446150104      0        23 SH           SOLE       1         23       0       0
HURON CONSULTING GROUP INC         COM               447462102      8       204 SH           SOLE       1         44       0     160
LAC/INTERACTIVE CORP                                 44919P300      2        75 SH           SOLE       1         75       0       0
ISTAR FINL INC                     COM               45031U101      4       280 SH           SOLE       1        280       0       0
ICON PUB LTD CO                    ADR               45103T107      5        81 SH           SOLE       1         81       0       0
ICONIX BRAND GROUP INC                               451055107      2       105 SH           SOLE       1        105       0       0
IDACORP INC                        COM               451107106      3       100 SH           SOLE       1        100       0       0
IDEARC INC                         COM               451663108      1       161 SH           SOLE       1        161       0       0
IDEARC INC                         COM               451663108      0        99 SH         DEFINED      1         60      39       0
ILLINOIS TOOL WORKS INC                              452308109     26       535 SH           SOLE       1        535       0       0
ILLUMINA INC                                         452327109      2        31 SH           SOLE       1         31       0       0
IMCLONE SYSTEMS INC                                  45245W109      2        45 SH           SOLE       1         45       0       0
IMPAC MORTGAGE HOLDINGS INC                          45254P102      0       300 SH           SOLE       1        300       0       0
INFINEON TECH AG                   ADR               45662N103    135     19261 SH           SOLE       1        617       0   18644
INFOSYS TECHNOLOGIES LTD           SPONSORED ADR     456788108      3        73 SH           SOLE       1          0       0      73
ING GROEP N V                                        456837103     21       559 SH           SOLE       1        404       0     155
ING GLOBAL EQUITY DIV                                45684E107     41      2500 SH           SOLE       1       2500       0       0
INGRAM MICRO INC                   CL A              457153104     98      6165 SH           SOLE       1        190       0    5975
INSIGHT ENTERPRISES INC            COM               45765U103      2       130 SH           SOLE       1        130       0       0
INNERWORKINGS INC                  COM               45773Y105     16      1105 SH           SOLE       1          0       0    1105
INTEL CORP CAP                                       458140100    880     41549 SH           SOLE       1      12550       0   28999
INTEL CORP CAP                                       458140100     45      2125 SH         DEFINED      1       2125       0       0
INTEGRYS ENERGY GROUP INC          COM               45822P105      3        62 SH           SOLE       1         62       0       0
INTERCONTINENTALEXCHANGE INC       COM               45865V100    329      2520 SH           SOLE       1         65       0    2455
IBM CORP                                             459200101   1005      8729 SH           SOLE       1       5081       0    3648
IBM CORP                                             459200101     52       450 SH         DEFINED      1        450       0       0
INTERNATIONAL GAME TECH                              459902102    174      4326 SH           SOLE       1        194       0    4132
INTL PAPER CO                                        460146103      8       300 SH           SOLE       1        300       0       0
INTL PAPER CO                                        460146103     24       900 SH         DEFINED      1          0     900       0
INTERSIL CORPORATION                                 46069S109     10       395 SH           SOLE       1        395       0       0
INTERPUBLIC GROUP COS INC          COM               460690100    110     13088 SH           SOLE       1        422       0   12666
INTERVOICE INC                     NEW COM           461142101     12      1570 SH           SOLE       1          0       0    1570
INTUITIVE SURGICAL INC                               46120E602      6        20 SH           SOLE       1         20       0       0
INTUIT                                               461202103      4       131 SH           SOLE       1        131       0       0
INVENTIV HEALTH INC                COM               46122E105      6       222 SH           SOLE       1          0       0     222
INVESTMENT GRADE MUNICIPAL INCOME
   FUND                                              461368102    112      9055            DEFINED      1       9055       0       0
BANK OF IRELAND                                      46267Q103      9       153 SH           SOLE       1        153       0       0
IRON MTN INC                       COM               462846106    153      5786 SH           SOLE       1        183       0    5603
ISHARES TR RUSSELL 2000 VALUE
   INDEX FD                                          464287630     52       789 SH           SOLE       1          0       0     789
ISHARES RUSSELL 2000 GROWTH INDEX
   FUND                                              464287648     94      1302 SH           SOLE       1        200       0    1102
ISHARES TRUST RUSSELL 2000 INDEX                     464287655    247      3612 SH           SOLE       1          0       0    3612
ISHARES TR DOW JONES REAL ESTATE
   INDEX FUND                                        464287739     34       520 SH           SOLE       1        520       0       0
ISHARES S&P SMALL CAP 600 GROWTH
   INDEX FUND                                        464287887     12       100 SH           SOLE       1        100       0       0
ITC HLDGS CORP                                       465685105      2        40 SH           SOLE       1         40       0       0
ITRON INC                                            465741106      3        30 SH           SOLE       1         30       0       0
JA SOLAR HOLDGS CO LTD             SPONS ADR         466090107      2        85 SH           SOLE       1         85       0       0
JPMORGAN CHASE & CO                COM               46625H100    372      8652 SH           SOLE       1       6887       0    1765
JPMORGAN CHASE & CO                COM               46625H100     84      1956 SH         DEFINED      1          0    1956       0



                                       10





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
JACOBS ENGINEERING GROUP INC                         469814107     14       193 SH           SOLE       1        193       0       0
JANUS CAPITAL GROUP INC.                             47102X105      2        80 SH           SOLE       1         80       0       0
JOHNSON & JOHNSON                                    478160104   1637     25240 SH           SOLE       1      23840       0    1400
JOHNSON & JOHNSON                                    478160104    454      7000 SH         DEFINED      1       5800    1200       0
JOHNSON CONTROLS INC                                 478366107    332      9832 SH           SOLE       1       1909       0    7923
JONES LANG LASALLE INC             COM               48020Q107      2        30 SH           SOLE       1         30       0       0
KBR INC                            COM               48242W106     85      3061 SH           SOLE       1         84       0    2977
KBW INC                            COM               482423100      4       185 SH           SOLE       1          0       0     185
KANSAS CITY SOUTHERN               COM NEW           485170302    102      2548 SH           SOLE       1          0       0    2548
KAYDON CORP                                          486587108      2        45 SH           SOLE       1         45       0       0
KELLOGG CO                                           487836108     11       211 SH           SOLE       1        211       0       0
KENDLE INTERNATIONAL INC           COM               48880L107     17       385 SH           SOLE       1          0       0     385
KEYCORP                            NEW               493267108     26      1175 SH           SOLE       1        800       0     375
KIMBERLY-CLARK CORP                                  494368103    162      2507 SH           SOLE       1       2312       0     195
KIMBERLY-CLARK CORP                                  494368103     16       250 SH         DEFINED      1        250       0       0
KINDER MORGAN ENERGY PARTNERS, L.P                   494550106     35       632 SH           SOLE       1        632       0       0
KOHL'S CORP                                          500255104      1        30 SH           SOLE       1         30       0       0
KONINKLIJKE PHLPS ELECTRS N V SP   ADR NEW           500472303    185      4832 SH           SOLE       1        790       0    4042
KOOKMIN BANK F                     ADR               50049M109     46       824 SH           SOLE       1         29       0     795
KRAFT FOODS                                          50075N104    157      5078 SH           SOLE       1       4700       0     378
KROGER CO                                            501044101      2        75 SH           SOLE       1         75       0       0
LHC GROUP INC                      COM               50187A107      8       462 SH           SOLE       1          0       0     462
LKQ CORP                           COMMON            501889208      3       125 SH           SOLE       1        125       0       0
LSI CORPORATION                    COM               502161102      0         6 SH           SOLE       1          6       0       0
LTC PROPERTIES                                       502175102      3       116 SH           SOLE       1        116       0       0
L 3 COMMUNICATIONS                                   502424104     11       100 SH           SOLE       1        100       0       0
LABORATORY CORP AMER HLDGS         COM NEW           50540R409     81      1097 SH           SOLE       1         45       0    1052
LAMAR ADVERTISING CO                                 512815101      2        50 SH           SOLE       1         50       0       0
LAS VEGAS SANDS CORP                                 517834107     30       407 SH           SOLE       1        407       0       0
ESTEE LAUDER CO                                      518439104      2        52 SH           SOLE       1         52       0       0
LEAP WIRELESS INTL INC             COM NEW           521863308    112      2401 SH           SOLE       1          0       0    2401
LEHMAN BROTHERS HOLDINGS           COM               524908100     19       513 SH           SOLE       1        513       0       0
LENNOX INTL INC                    COM               526107107      8       211 SH           SOLE       1          0       0     211
LEVEL 3 COMMUNICATIONS INC                           52729N100    105     49607 SH           SOLE       1       4685       0   44922
LIBERTY ALL STAR EQUITY FD                           530158104     79     12381 SH           SOLE       1      12381       0       0
LIBERTY MEDIA GLOBAL INC           COM SER A         530555101      1        32 SH           SOLE       1         32       0       0
LIBERTY GLOBAL SERIES C            COMMON STOCK      530555309      1        23 SH           SOLE       1         23       0       0
LIBERTY MEDIA HLDG                                   53071M104      2       125 SH           SOLE       1        125       0       0
LIBERTY MEDIA HLDG CORCAP                            53071M302      0        20 SH           SOLE       1         20       0       0
LIBERTY MEDIA ENTERTAINMENT GROUP
   SERIES A                        COM               53071M500      2        80 SH           SOLE       1         80       0       0
LIFECELL CORP                      COM               531927101     25       600 SH           SOLE       1          0       0     600
LIFE TIME FITNESS INC                                53217R207      2        50 SH           SOLE       1         50       0       0
ELI LILLY & CO                                       532457108     63      1222 SH           SOLE       1       1222       0       0
ELI LILLY & CO                                       532457108     57      1100 SH         DEFINED      1       1100       0       0
LIMITED BRANDS, INC                                  532716107     78      4577 SH           SOLE       1        382       0    4195
LINCOLN ELECTRIC CO HOLDINGS                         533900106     15       228 SH           SOLE       1          0       0     228
LINCOLN NATIONAL CORP IND                            534187109     10       185 SH           SOLE       1          0       0     185
LINEAR TECHNOLOGY CORP             COM               535678106      3        82 SH           SOLE       1         82       0       0
LIQUIDITY SERVICES INC             COM               53635B107      8      1020 SH           SOLE       1          0       0    1020
LOCKHEED MARTIN CORP                                 539830109    133      1339 SH           SOLE       1       1339       0       0
LOEWS CORP                                           540424108     11       275 SH           SOLE       1        275       0       0
LOEWS CORP CAROLINA GROUP                            540424207     24       327 SH           SOLE       1        327       0       0
LOWES CO INC                                         548661107    223      9733 SH           SOLE       1       9733       0       0
M & T BANK CORP                                      55261F104    161      2000 SH           SOLE       1       2000       0       0
MEMC ELECTRONIC MATERIALS                            552715104      3        43 SH           SOLE       1         43       0       0
MGM MIRAGE                                           552953101     19       330 SH           SOLE       1        330       0       0
MACYS INC                                            55616P104     93      4023 SH           SOLE       1        627       0    3396
MAGELLAN HEALTH SERVICE INC                          559079207     17       430 SH           SOLE       1         75       0     355
MAGELLAN MIDSTREAM PARTNERS LP                       559080106     10       250 SH           SOLE       1        250       0       0
MANITOWOC CO INC                                     563571108      2        55 SH           SOLE       1         55       0       0
MANULIFE FINANCIAL CORP                              56501R106    965     25403 SH           SOLE       1      25403       0       0
MARATHON OIL CORP                                    565849106     13       281 SH           SOLE       1         76       0     205
MARSH & MCLENNAN                                     571748102      1        45 SH           SOLE       1         45       0       0
MARSHALL & ILSLEY CORP             NEW COM           571837103     89      3843 SH           SOLE       1        255       0    3588
MARRIOTT INTL INC                  NEW CL A          571903202    241      7002 SH           SOLE       1        340       0    6662
MASCO CORPORATION                                    574599106      4       219 SH           SOLE       1        219       0       0
MASIMO CORP                                          574795100      2        70 SH           SOLE       1         70       0       0



                                       11





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
MASTERCARD INC                     CL A              57636Q104     39       173 SH           SOLE       1        173       0       0
MATRIX SVC CO                      COM               576853105     16       950 SH           SOLE       1          0       0     950
MATSUSHITA ELEC INDL LTD           ADR               576879209      5       225 SH           SOLE       1        225       0       0
MATTELL INC                                          577081102     29      1470 SH           SOLE       1        970       0     500
MCAFEE INC                                           579064106      3        83 SH           SOLE       1         83       0       0
MCDERMOTT INTL INC                 COM               580037109     64      1171 SH           SOLE       1        296       0     875
MCDONALD'S CORP                                      580135101    381      6830 SH           SOLE       1       5230       0    1600
MCGRATH RENTCORP                                     580589109      6       252 SH           SOLE       1          0       0     252
MCKESSON CORP                                        58155Q103      3        59 SH           SOLE       1         59       0       0
MEADWESTVACO CORP                                    583334107     42      1547 SH           SOLE       1       1547       0       0
MEDCO HEALTH SOLUTIONS INC                           58405U102     47      1077 SH           SOLE       1       1077       0       0
MEDICAL ACTION INDUSTRIES INC                        58449L100      8       472 SH           SOLE       1         75       0     397
MEDTRONIC INC                      COM               585055106    189      3908 SH           SOLE       1       3908       0       0
MERCK & CO INC                                       589331107    275      7250 SH           SOLE       1       5550       0    1700
MERRILL LYNCH & CO, INC                              590188108     24       580 SH           SOLE       1        580       0       0
METLIFE INC                        COM               59156R108      1        14 SH           SOLE       1         14       0       0
METTLER TOLEDO INTL                                  592688105      4        40 SH           SOLE       1         40       0       0
MICROS SYSTEMS INC                                   594901100     10       291 SH           SOLE       1         65       0     226
MICROSOFT CORP                                       594918104    764     26906 SH           SOLE       1      13302       0   13604
MICRON TECHNOLOGY                                    595112103     58      9741 SH           SOLE       1        375       0    9366
MICROSEMI CORP                                       595137100     16       692 SH           SOLE       1        110       0     582
MID-AMERICA APARTMENT CMNTYS                         59522J103      3        55 SH           SOLE       1         55       0       0
MID-AMERICA APARTMENT CMNTYS                         59522J103     27       550 SH         DEFINED      1        550       0       0
MIDAS GROUP INC                                      595626102     11       666 SH           SOLE       1        666       0       0
MIDCAP SPDR TRUST SERIES 1                           595635103     14       100 SH           SOLE       1        100       0       0
MIDDLEBY CORP                      COM               596278101      2        35 SH           SOLE       1         35       0       0
MIDWEST BANC HLDGS INC                               598251106      2       195 SH           SOLE       1        195       0       0
MILLENNIUM PHARMACEUTICALS                           599902103      1        90 SH           SOLE       1         90       0       0
MILLIPORE CORP                                       601073109      3        44 SH           SOLE       1         44       0       0
MINDRAY MED INTL                   ADR               602675100      2        57 SH           SOLE       1         57       0       0
MINDSPEED TECNOLOGIES                                602682106      0        58 SH           SOLE       1         58       0       0
MIRANT CORP                        NEW COM           60467R100    128      3516 SH           SOLE       1        164       0    3352
MIRANT CORP                        NEW WT SER A      60467R118      2        95 SH           SOLE       1         95       0       0
MITSUBISHI UFJ FINANCIAL GROUP INC                   606822104    346     39755 SH           SOLE       1       1538       0   38217
MONEYGRAM INTERNATIONAL INC                          60935Y109      1       348 SH           SOLE       1        348       0       0
MONOTYPE IMAGING HOLDINGS IN       COM               61022P100     16      1090 SH           SOLE       1          0       0    1090
MONSANTO CO.                       (NEW)             61166W101    109       981 SH           SOLE       1        981       0       0
MOOG INC                           CL A              615394202     12       293 SH           SOLE       1          0       0     293
MORGAN STANLEY DEAN WITTER
   DISCOVER & CO                                     617446448    128      2795 SH           SOLE       1       2795       0       0
MORGAN STANLEY DEAN WITTER
   DISCOVER & CO                                     617446448     12       260 SH         DEFINED      1        260       0       0
MOTOROLA INC                                         620076109      2       268 SH           SOLE       1        268       0       0
MOTOROLA INC                                         620076109      3       300 SH         DEFINED      1        300       0       0
MURPHY OIL CORP                    COM               626717102  11726    142779 SH           SOLE       1     136779       0    6000
MURPHY OIL CORP                    COM               626717102 623058   7586237 SH         DEFINED      1          0 7586237       0
MYLAN INC                          COM               628530107     17      1500 SH           SOLE       1       1500       0       0
NBTY INC                           COM               628782104     81      2710 SH           SOLE       1          0       0    2710
NCR CORP                           NEW               62886E108      2       100 SH           SOLE       1        100       0       0
NII HLDGS INC                      CL B NEW          62913F201    139      4380 SH           SOLE       1          0       0    4380
NRG ENERGY INC                     COM NEW           629377508     94      2406 SH           SOLE       1         67       0    2339
NTT DOCOMO INC                     SPONS ADR         62942M201    190     12443 SH           SOLE       1        762       0   11681
NASDAQ OMX GROUP INC               COM               631103108    110      2840 SH           SOLE       1          0       0    2840
NATCO GROUP INC                    CL A              63227W203     15       320 SH           SOLE       1          0       0     320
NATIONAL BK GREECE S A             SPD ADR           633643408      1        50 SH           SOLE       1         50       0       0
NATIONAL CITY CORP                 COM               635405103      0        45 SH           SOLE       1         45       0       0
NATIONAL FINL PARTNERS CORP                          63607P208      3       142 SH           SOLE       1        142       0       0
NATIONAL HEALTH INVS INC                             63633D104      3        85 SH           SOLE       1         85       0       0
NATIONAL OILWELL VARCO INC                           637071101      6       108 SH           SOLE       1        108       0       0
NATIONWIDE HEALTH PROPERTIES                         638620104      2        70 SH           SOLE       1         70       0       0
NEUSTAR INC                        CL A              64126X201     22       830 SH           SOLE       1          0       0     830
NEW YORK COMMUNITY BANCORP INC                       649445103     52      2852 SH           SOLE       1       2852       0       0
NEWMONT MINING CORP                                  651639106    200      4410 SH           SOLE       1        141       0    4269
NEWPARK RESOURCES, INC                               651718504      0         8 SH           SOLE       1          8       0       0
NEWS CORP                                            65248E104    280     14943 SH           SOLE       1        472       0   14471
NEWS CORP                          CL B NEW          65248E203      1        70 SH           SOLE       1         70       0       0
NFJ DIV INT & PREM STRATEGY                          65337H109     42      1913 SH           SOLE       1       1913       0       0
NIKE INC                           CLASS B           654106103      5        74 SH           SOLE       1         74       0       0
NIPPON TEL & TEL                   SPON ADR          654624105    162      7459 SH           SOLE       1        311       0    7148
NISOURCE INC                                         65473P105      7       400 SH           SOLE       1        400       0       0



                                       12





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
NISSAN MOTORS                      SPONSORED ADR     654744408    166      9944 SH           SOLE       1        361       0    9583
NOKIA CORP                         SPND ADR          654902204    377     11860 SH           SOLE       1        255       0   11605
NOMURA HOLDINGS INC                ADR               65535H208     27      1776 SH           SOLE       1       1776       0       0
NORDSON CORP                       COM               655663102     10       186 SH           SOLE       1          0       0     186
NORDSTROM INC                                        655664100     45      1372 SH           SOLE       1          0       0    1372
NORFOLK SO CORP                                      655844108    372      6841 SH           SOLE       1       3592       0    3249
NORTEL NETWORKS CORP               NEW COM           656568508      0        20 SH           SOLE       1         20       0       0
NORTHERN TRUST COMPANY NTRS                          665859104     85      1280 SH           SOLE       1       1280       0       0
NORTHERN TRUST COMPANY NTRS                          665859104    213      3200 SH         DEFINED      1       3200       0       0
NORTHWEST NAT GAS CO                                 667655104      7       167 SH           SOLE       1        167       0       0
NOVARTIS AG                        SPONSORED ADR     66987V109    811     15835 SH           SOLE       1       1304       0   14531
NOVO NORDISK A/S                   ADR               670100205      1        20 SH           SOLE       1         20       0       0
NUANCE COMMUNICATIONS INC.                           67020Y100      2       128 SH           SOLE       1        128       0       0
NUCOR CORP                                           670346105      7       110 SH           SOLE       1        110       0       0
NUSTAR ENERGY LP                   COM UNIT          67058H102      6       122 SH           SOLE       1        122       0       0
NUVEEN INSD PREMIUM INCOME MUNI FD                   6706D8104    104      8938              SOLE       1       8938       0       0
NUVEEN EQUITY PREM ADVANTAGE                         6706ET107     23      1517 SH           SOLE       1       1517       0       0
NUVEEN PREMIUM INCOME MUN FUND 4                     6706K4105     23      2000            DEFINED      1       2000       0       0
NUVEEN INSURED QUALITY MUNICIPAL
   FD (CLOSED END)                                   67062N103     62      4700              SOLE       1       4700       0       0
NUVEEN PERFORMANCE PLUS MUNICIPAL
   FD                                                67062P108    124      9285            DEFINED      1       9285       0       0
NVIDIA CORPORATION                                   67066G104    158      7965 SH           SOLE       1        407       0    7558
NUVEEN DIV ADVANTAGE MUN FD                          67070F100     20      1350              SOLE       1       1350       0       0
NUVASIVE INC                                         670704105      3        77 SH           SOLE       1         77       0       0
NUVEEN INSURED ADVANTAGE                             67071L106     45      3400              SOLE       1       3400       0       0
NUVEEN MUN VALUE FD INC                              670928100    370     37531              SOLE       1      37531       0       0
NUVEEN MUN VALUE FD INC                              670928100     99     10000            DEFINED      1      10000       0       0
NUVEEN SELECT QUALITY MUNICIPAL
   FUND                                              670973106     23      1650              SOLE       1       1650       0       0
NUVEEN INSURED MUNICIPAL
   OPPORTUNITY FUND INC                              670984103    101      7600              SOLE       1       7600       0       0
NUVEEN PREMIER INSURED MUN INCOME
   FUND INC                                          670987106     13      1000            DEFINED      1       1000       0       0
OSI PHARMACEUTICALS INC            COM               671040103      2        60 SH           SOLE       1         60       0       0
OCCIDENTAL PETE COR                DEL               674599105    148      2025 SH           SOLE       1       1810       0     215
OCEANEERING INTL INC                                 675232102      2        35 SH           SOLE       1         35       0       0
OIL STATES INTERNATIONAL INC                         678026105     10       225 SH           SOLE       1          0       0     225
OLD DOMINION FGHT LINES INC        COM               679580100     11       340 SH           SOLE       1          0       0     340
OMNICOM GROUP                                        681919106      7       156 SH           SOLE       1        156       0       0
OMNITURE INC                       COM               68212S109      2        81 SH           SOLE       1         81       0       0
OMNICELL INC                                         68213N109      2        85 SH           SOLE       1         85       0       0
ON SEMICONDUCTOR CORP              COM               682189105     76     13363 SH           SOLE       1          0       0   13363
ONYX PHARMACEUTICALS INC                             683399109      1        51 SH           SOLE       1         51       0       0
ORACLE SYSTEMS CORP                                  68389X105     19       981 SH           SOLE       1        981       0       0
ORIX CORP                                            686330101      8       110 SH           SOLE       1         55       0      55
OSHKOSH CORP                                         688239201      2        46 SH           SOLE       1         46       0       0
OTELCO INC                                           688823202      8       500 SH           SOLE       1        500       0       0
OWENS & MINOR INC                  NEW COM           690732102     11       292 SH           SOLE       1         85       0     207
PDL BIOPHARMA INC                                    69329Y104      1        87 SH           SOLE       1         87       0       0
PG&E CORP                                            69331C108     28       768 SH           SOLE       1        768       0       0
PMC SIERRA INC                                       69344F106     87     15341 SH           SOLE       1          0       0   15341
PNC BANK CORP                                        693475105     15       225 SH           SOLE       1        225       0       0
POSCO                              ADR               693483109     12        99 SH           SOLE       1         99       0       0
PPL CORP                                             69351T106     17       375 SH           SOLE       1        375       0       0
PACCAR INC                                           693718108      3        66 SH           SOLE       1         66       0       0
PACIFIC SUNWEAR CALIF INC                            694873100      3       210 SH           SOLE       1        210       0       0
PACKAGING CORP AMER                                  695156109      2        83 SH           SOLE       1         83       0       0
PACTIV COPR                                          695257105     37      1419 SH           SOLE       1        897       0     522
PALL CORPORATION                   COM               696429307      2        50 SH           SOLE       1         50       0       0
PARALLEL PETE CORP                 DEL COM           699157103      3       158 SH           SOLE       1        158       0       0
PEABODY ENERGY CORP                                  704549104      4        69 SH           SOLE       1         69       0       0
PEDIATRIX MEDICAL GROUP INC                          705324101     17       246 SH           SOLE       1         39       0     207
PENNEY J C INC                     COM               708160106      6       147 SH           SOLE       1        147       0       0
PEOPLES UNITED FINANCIAL INC       COM               712704105     45      2579 SH           SOLE       1          0       0    2579
PEPSI BOTTLING GROUP INC                             713409100      1        33 SH           SOLE       1         33       0       0
PEPSIAMERICAS INC                                    71343P200    102      4000 SH           SOLE       1       4000       0       0



                                       13





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
PEPSICO INC                        COM               713448108   1611     22316 SH           SOLE       1      17169       0    5147
PEPSICO INC                        COM               713448108    110      1530 SH         DEFINED      1        430    1100       0
PT TELEKOM INDONESIA               ADR               715684106     68      1613 SH           SOLE       1         57       0    1556
PETROHAWK ENERGY CORP                                716495106     26      1292 SH           SOLE       1        805       0     487
PETROBRAS                                            71654V408    131      1284 SH           SOLE       1        405       0     879
PETROQUEST ENERGY INC              COM               716748108     12       707 SH           SOLE       1          0       0     707
PETSMART INC                                         716768106     45      2202 SH           SOLE       1          0       0    2202
PFIZER INC                                           717081103    535     25574 SH           SOLE       1      23774       0    1800
PFIZER INC                                           717081103     52      2500 SH         DEFINED      1       1800     700       0
PHARMACEUTICAL PRODUCT DEVELOPMENT
   INC                                               717124101      3        74 SH           SOLE       1         74       0       0
PHARMERICA CORP                    COM               71714F104      0         3 SH           SOLE       1          3       0       0
PHASE FORWARD INC                  COM               71721R406     15       873 SH           SOLE       1         65       0     808
PHILLIPS VAN HEUSEN CORP           COM               718592108     77      2041 SH           SOLE       1         54       0    1987
PHOENIX TECHNOLOGY LTD             COM               719153108     21      1315 SH           SOLE       1          0       0    1315
PIMCO MUNI INCOME FUND III                           72201A103     19      1333              SOLE       1       1333       0       0
PINNACLE ENTMT INC                 COM               723456109     80      6217 SH           SOLE       1          0       0    6217
PITNEY BOWES INC                   COM               724479100    113      3213 SH           SOLE       1       3213       0       0
PLUM CREEK TIMBER CO INC                             729251108      2        55 SH           SOLE       1         55       0       0
POLARIS INDS INC                                     731068102      8       200 SH           SOLE       1          0       0     200
POLO RALPH LAUREN CORP                               731572103      3        60 SH           SOLE       1         60       0       0
POLYCOM INC                                          73172K104      3       115 SH           SOLE       1        115       0       0
POTASH CP SASKATCHEW                                 73755L107      8        49 SH           SOLE       1         49       0       0
PRAXAIR INC                        COM               74005P104     66       781 SH           SOLE       1        781       0       0
PRECISION CASTPARTS CORP           COM               740189105    271      2653 SH           SOLE       1         68       0    2585
T ROWE PRICE & ASSOC                                 74144T108      4        85 SH           SOLE       1         85       0       0
PRICELINE COM INC                                    741503403      3        26 SH           SOLE       1         26       0       0
PRIDE INTL INC                     DEL               74153Q102     77      2216 SH           SOLE       1         88       0    2128
PRINCIPAL FINANCIAL GROUP                            74251V102     76      1365 SH           SOLE       1       1365       0       0
PROCTER & GAMBLE CO                COM               742718109   2028     28940 SH           SOLE       1      20112       0    8828
PROCTER & GAMBLE CO                COM               742718109    490      7000 SH         DEFINED      1       7000       0       0
PROGRESS ENERGY INC                COM               743263105     21       500 SH           SOLE       1        500       0       0
PROLOGIS SH BEN INT                COM               743410102      1        12 SH           SOLE       1         12       0       0
PROSPERITY BANCSHARES INC          COM               743606105     12       405 SH           SOLE       1          0       0     405
PRUDENTIAL FINANCIAL                                 744320102     11       145 SH           SOLE       1        145       0       0
PRUDENTIAL PLC                     ADR               74435K204     11       407 SH           SOLE       1        142       0     265
PSYCHIATRIC SOLUTIONS                                74439H108     33       969 SH           SOLE       1         69       0     900
PUBLIC SVC ENTERPRISE GROUP INC                      744573106     45      1120 SH           SOLE       1       1120       0       0
PUBLIC STORAGE, INC REIT                             74460D109     40       456 SH           SOLE       1        456       0       0
PUTNAM MANAGED MUNICIPAL INCOME
   TRUST                                             746823103      2       250              SOLE       1        250       0       0
QIMONDA AG                         SPONSORED ADR     746904101     49     11377 SH           SOLE       1        331       0   11046
QUALCOMM INC                                         747525103    448     10931 SH           SOLE       1        676       0   10255
QUANTA SERVICES, INC                                 74762E102      3       110 SH           SOLE       1        110       0       0
QUANTUM FUEL SYS TECHNOLOGIES      COM               74765E109      0       285 SH           SOLE       1        285       0       0
QUANTUM CORP DLT & STORAGE         COM               747906204      0       200 SH           SOLE       1        200       0       0
QUEST DIAGNOSTICS INC                                74834L100     95      2099 SH           SOLE       1          0       0    2099
RMK HIGH INCOME FUND                                 74963B105      4      1008 SH           SOLE       1       1008       0       0
RMK STATEGIC INCOME FD                               74963H102      4      1300 SH           SOLE       1       1300       0       0
R F MICRO DEVICES                                    749941100      1       423 SH           SOLE       1        423       0       0
RALCORP HOLDINGS                   NEW COM           751028101     15       261 SH           SOLE       1          0       0     261
RANGE RESOURCES CORP                                 75281A109     63       990 SH           SOLE       1          0       0     990
RAYMOND JAMES FINANCIAL CORP                         754730109     13       563 SH           SOLE       1          0       0     563
RAYONIER INC                                         754907103     15       345 SH           SOLE       1        345       0       0
RAYTHEON CO                        NEW               755111507    427      6607 SH           SOLE       1        619       0    5988
RBC BEARINGS INC                                     75524B104      2        65 SH           SOLE       1         65       0       0
REALTY INCOME CORP                                   756109104      3        99 SH           SOLE       1         99       0       0
RED ROBIN GOURMET BURGERS INC                        75689M101      2        60 SH           SOLE       1         60       0       0
REED ELSEVIER N V                  SPONS ADR NEW     758204200      6       151 SH           SOLE       1          0       0     151
REGAL BELOIT CORP                  COM               758750103      9       257 SH           SOLE       1          0       0     257
REGAL ENTMT GROUP                  CL A              758766109     80      4161 SH           SOLE       1          0       0    4161
REGIONS FINANCIAL CORP             NEW               7591EP100   1027     52016 SH           SOLE       1      49831       0    2185
REGIONS FINANCIAL CORP             NEW               7591EP100     44      2205 SH         DEFINED      1          0    2205       0
RELIANT ENERGY INC                                   75952B105    155      6547 SH           SOLE       1       1908       0    4639
RENASANT CORP                      COM               75970E107    217      9658 SH           SOLE       1       8524       0    1134
REPSOL YPF                         ADR               76026T205    187      5443 SH           SOLE       1          0       0    5443



                                       14





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
REYNOLDS AMERICAN INC                                761713106     12       195 SH           SOLE       1          0       0     195
RIO TINTO PLC                      SPONSORED ADR     767204100      2         5 SH           SOLE       1          5       0       0
ROCK-TENN CO                       CL A              772739207      3        85 SH           SOLE       1         85       0       0
ROCKWELL AUTOMATION, INC                             773903109     17       302 SH           SOLE       1        302       0       0
ROCKWELL COLLINS INC                                 774341101     12       217 SH           SOLE       1        217       0       0
ROFIN SINAR TECHNOLOGIES INC       COM               775043102      6       138 SH           SOLE       1          0       0     138
ROGERS COM INC                     CL B              775109200     10       288 SH           SOLE       1        288       0       0
ROPER INDS INC                     NEW COM           776696106      2        41 SH           SOLE       1         41       0       0
ROWAN COMPANIES INC                                  779382100    114      2758 SH           SOLE       1          0       0    2758
ROYAL BK SCOTLAND GROUP PREF SHS   ADR
   SER Q                                             780097754     28      1200 SH           SOLE       1       1200       0       0
ROYAL DUTCHSHELL PLC               SPON ADR B        780259107    167      2482 SH           SOLE       1         87       0    2395
ROYAL DUTCH SHELL PLC              SPON ADR B        780259107    105      1551 SH         DEFINED      1       1551       0       0
ROYAL DUTCH SHELL PLC                                780259206    288      4175 SH           SOLE       1       4015       0     160
ROYAL DUTCH SHELL PLC                                780259206    221      3200 SH         DEFINED      1       3200       0       0
ROYCE FOCUS TRUST INC                                78080N108      2       281 SH           SOLE       1        281       0       0
ROYCE VALUE TR INC                                   780910105      9       544 SH           SOLE       1        544       0       0
ROYCE MICRO CAP TRUST INC                            780915104      1       103 SH           SOLE       1        103       0       0
SBA COM CORP                       CL A              78388J106      4       130 SH           SOLE       1        130       0       0
SK TELCOM CO LTD                   ADR               78440P108      1        35 SH           SOLE       1         35       0       0
STANDARD & POORS DEP RECEIPTS                        78462F103     20       150 SH           SOLE       1        150       0       0
SPSS INC                                             78462K102      3        75 SH           SOLE       1         75       0       0
SVB FINL GROUP                     COM               78486Q101      2        55 SH           SOLE       1         55       0       0
SABINE ROYALTY TRUST                                 785688102    161      3200 SH           SOLE       1          0       0    3200
ST JUDE MEDICAL                                      790849103     60      1379 SH           SOLE       1          0       0    1379
SANDISK CORP                       COM               80004C101      2        85 SH           SOLE       1         85       0       0
SANOFI-AVENTIS                     ADR               80105N105    378     10077 SH           SOLE       1        370       0    9707
SAP AKTIENGESELLSCHAFT             SPNSD ADRS        803054204     12       236 SH           SOLE       1        236       0       0
SATYAM COMPUTER SVCS LTD           ADR               804098101     14       635 SH           SOLE       1        635       0       0
SAVIENT PHARMACEUTICALS INC        NEW               80517Q100      2        87 SH           SOLE       1         87       0       0
SAVVIS INC                         COM NEW           805423308    101      6211 SH           SOLE       1          0       0    6211
SCANA CORP                         NEW               80589M102     42      1157 SH           SOLE       1       1157       0       0
SCHEIN HENRY INC                   COM               806407102    301      5237 SH           SOLE       1        314       0    4923
SCHERING PLOUGH CORP               COM               806605101    196     13582 SH           SOLE       1      13582       0       0
SCHLUMBERGER LTD                   COM               806857108    588      6763 SH           SOLE       1       2267       0    4496
THE CHARLES SCHWAB CORP                              808513105    258     13724 SH           SOLE       1        436       0   13288
SCIENTIFIC GAMES CORP              CL A              80874P109     69      3252 SH           SOLE       1          0       0    3252
SCOTTS MIRACLE GRO CO              CL A              810186106      9       284 SH           SOLE       1          0       0     284
SEARS HOLDINGS CORP                                  812350106      2        20 SH           SOLE       1         20       0       0
SEMPRA ENERGY                      COM               816851109     37       693 SH           SOLE       1        693       0       0
SHINHAN FINL GROUP CO LTD          ADR               824596100     21       199 SH           SOLE       1        199       0       0
SHUTTERFLY INC                     COM               82568P304      8       564 SH           SOLE       1        124       0     440
SIEMENS AG                         SPONS ADR         826197501     46       421 SH           SOLE       1        421       0       0
SIGNET GROUP PLC                   SP ADR REP 10     82668L872      1       105 SH           SOLE       1          0       0     105
SIGNATURE BK NEW YORK N Y          COM               82669G104     11       430 SH           SOLE       1          0       0     430
SILGAN HOLDINGS INC                COM               827048109     16       325 SH           SOLE       1         59       0     266
SIMMONS 1ST NATL CORP              CL A $1 PAR       828730200    363     12200 SH           SOLE       1      12200       0       0
SIMMONS 1ST NATL CORP              CL A $1 PAR       828730200     15       500 SH         DEFINED      1        500       0       0
SIMON PROPERTY GROUP INC                             828806109      3        31 SH           SOLE       1         31       0       0
SIRIUS SATTELITE RADIO                               82966U103      1       300 SH           SOLE       1          0       0     300
SKYWORKS SOLUTIONS                                   83088M102      0        61 SH           SOLE       1         61       0       0
SMITH & NEPHEW P L C               SPD ADR           83175M205      1        20 SH           SOLE       1         20       0       0
SMITH INTERNATIONAL INC            COM               832110100      7       108 SH           SOLE       1        108       0       0
SONIC CORP                         COM               835451105      2        95 SH           SOLE       1         95       0       0
SONY CORP                                            835699307    233      5810 SH           SOLE       1        187       0    5623
SOTHEBYS HLDGS INC                 CL A              835898107     15       515 SH           SOLE       1         60       0     455
SOUTHERN CO                        COM               842587107    344      9650 SH           SOLE       1       9350       0     300
SOUTHERN CO                        COM               842587107    134      3771 SH         DEFINED      1       3771       0       0
SOUTHWESTERN ENERGY CO                               845467109     95      2808 SH           SOLE       1        128       0    2680
SPECTRA ENERGY                                       847560109     10       458 SH           SOLE       1        458       0       0
SPHERION CORP                                        848420105      2       368 SH           SOLE       1        368       0       0
SPRINT NEXTEL CORP                 COM SER 1         852061100    339     50727 SH           SOLE       1      50727       0       0
STANLEY WORKS                                        854616109      2        51 SH           SOLE       1         51       0       0
STAPLES INCORPORATED (RETAIL &
   DELIVERY)                                         855030102    299     13517 SH           SOLE       1        427       0   13090
STARBUCKS CORP                                       855244109     61      3462 SH           SOLE       1         81       0    3381



                                       15





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
STARWOOD HOTELS & RESORTS
   WORLDWIDE INC                   COM               85590A401     27       520 SH           SOLE       1        520       0       0
STATE STREET CORP                                    857477103      9       116 SH           SOLE       1        116       0       0
STATOIL ASA                        SPON ADR          85771P102    224      7515 SH           SOLE       1        910       0    6605
STEEL DYNAMICS INC                                   858119100      2        51 SH           SOLE       1         51       0       0
STERICYCLE INC                                       858912108      3        62 SH           SOLE       1         62       0       0
STRAYER ED INC                     COM               863236105      2        11 SH           SOLE       1         11       0       0
STRYKER CORP                                         863667101    302      4649 SH           SOLE       1        216       0    4433
SUBURBAN PROPANE PARTNERS L P                        864482104     19       500 SH           SOLE       1        500       0       0
SUN MICROSYSTEMS INC               COM               866810203      8       500 SH           SOLE       1        500       0       0
SUNCOR ENERGY INC                                    867229106    100      1034 SH           SOLE       1       1034       0       0
SUNPOWER CORP                                        867652109      3        38 SH           SOLE       1         38       0       0
SUNTRUST BANKS INC                 COM               867914103    150      2717 SH           SOLE       1       2243       0     474
SUNTECH PWR HLDGS CO LTD           ADR               86800C104      2        60 SH           SOLE       1         60       0       0
SUPERIOR ENERGY SERVICES INC                         868157108     10       244 SH           SOLE       1          0       0     244
SYBASE INC                         COM               871130100     16       597 SH           SOLE       1          0       0     597
SYMANTEC                                             871503108    112      6744 SH           SOLE       1        667       0    6077
SYNOPSYS INC                                         871607107      2       101 SH           SOLE       1        101       0       0
SYNOVUS FINL CORP                                    87161C105     44      3952 SH           SOLE       1          0       0    3952
SYSCO CORP                                           871829107     70      2411 SH           SOLE       1       2411       0       0
TCF FINANCIAL CORP                                   872275102      2       101 SH           SOLE       1        101       0       0
TECO ENERGY INC                    COM               872375100     15       963 SH           SOLE       1        963       0       0
TJX COMPANIES                                        872540109      9       261 SH           SOLE       1        261       0       0
TAIWAN SEMICONDUCTOR MFG CO LTD    ADR'S             874039100     85      8266 SH           SOLE       1        549       0    7717
TALEO CORP                                           87424N104      2       112 SH           SOLE       1        112       0       0
TALISMAN ENERGY INC                COM               87425E103      5       290 SH           SOLE       1          0       0     290
TARGET CORP                                          87612E106    449      8850 SH           SOLE       1        767       0    8083
TARGET CORP                                          87612E106      3        55 SH         DEFINED      1         55       0       0
TASER INT'L UTS                                      87651B104     12      1270 SH           SOLE       1          0       0    1270
TEAM INC                                             878155100      4       135 SH           SOLE       1          0       0     135
TELE NORTE LESTE                                     879246106      4       150 SH           SOLE       1          0       0     150
TELEFLEX INC                       COM               879369106      9       192 SH           SOLE       1          0       0     192
TELEFONICA SA                      SPONSORED ADR     879382208     18       206 SH           SOLE       1        206       0       0
TELEFONOS DE MEXICO SA DE CV       SPONS ADR         879403780     12       314 SH           SOLE       1        314       0       0
TEMPLE INLAND INC                  COM               879868107     14      1100 SH           SOLE       1       1100       0       0
TEMPUR-PEDIC INTL                                    88023U101      6       538 SH           SOLE       1          0       0     538
TN COMMERCE BK                                       88043P108      3       200 SH           SOLE       1        200       0       0
TERADATA CORP                      COM               88076W103      2       100 SH           SOLE       1        100       0       0
TEREX CORP                         NEW COM           880779103     49       780 SH           SOLE       1         50       0     730
TERRA INDUSTRIES INC                                 880915103      1        15 SH           SOLE       1         15       0       0
TESCO CORP                         COM               88157K101     14       600 SH           SOLE       1          0       0     600
TESORO CORP                        COM               881609101     78      2590 SH           SOLE       1          0       0    2590
TEVA PHARMACEUTICAL IND            ADR'S             881624209     96      2087 SH           SOLE       1        123       0    1964
TESSERA TECHNOLOGIES INC                             88164L100      1        25 SH           SOLE       1         25       0       0
TEXAS INSTRUMENTS                                    882508104    339     12006 SH           SOLE       1       1898       0   10108
THERMO FISHER SCIENTIFIC INC                         883556102    423      7440 SH           SOLE       1       1331       0    6109
THESTREET COM                      COM               88368Q103      8       985 SH           SOLE       1          0       0     985
THOMAS MULTIMEDIA                  ADR               885118109    121     17371 SH           SOLE       1        736       0   16635
THORNBURG MORTGAGE INC                               885218107      0       155 SH           SOLE       1        155       0       0
3M CO                                                88579Y101    324      4091 SH           SOLE       1       1691       0    2400
TIBCO SOFTWARE INC                                   88632Q103      3       369 SH           SOLE       1        369       0       0
TIFFANY & CO                       NEW               886547108     44      1054 SH           SOLE       1       1054       0       0
TIME WARNER INC                                      887317105     38      2722 SH           SOLE       1       2722       0       0
TIME WARNER TELECOM INC            CL A              887319101     92      5946 SH           SOLE       1          0       0    5946
TITANIUM METALS CORP               COM NEW           888339207     70      4679 SH           SOLE       1          0       0    4679
F H TOMKINS PLC                    ADR               890030208      0        35 SH           SOLE       1         35       0       0
TORONTO-DOMINION BANK              ADR               891160509      6        94 SH           SOLE       1         94       0       0
TOTAL FINA ELF S.A.                ADR               89151E109    397      5359 SH           SOLE       1       1041       0    4318
TOWER GROUP INC                    COM               891777104     20       805 SH           SOLE       1          0       0     805
TOYOTA MOTOR CORP                  ADR NEW           892331307    220      2183 SH           SOLE       1        272       0    1911
TRANSCANDA CORP                    ADR               89353D107      6       162 SH           SOLE       1        162       0       0
TRAVELERS COMPANIES INC            COM               89417E109    112      2333 SH           SOLE       1         94       0    2239
TREEHOUSE FOODS INC                COM               89469A104      9       377 SH           SOLE       1          0       0     377
TRIARC COMPANIES "B" SR1                             895927309      7      1065 SH           SOLE       1          0       0    1065
TRIUMPH GROUP INC                  NEW COM           896818101     21       370 SH           SOLE       1          0       0     370
TRUSTMARK CORP                     COM               898402102    349     15659 SH           SOLE       1      15659       0       0
TYLER TECHNOLOGIES INC             COM               902252105      9       613 SH           SOLE       1          0       0     613
UGI CORP                           NEW               902681105     13       502 SH           SOLE       1        502       0       0
USA TRUCK INC -RESTRICTED                            902925106    292     22613 SH           SOLE       1      22613       0       0
US BANCORP                         DEL NEW           902973304    109      3379 SH           SOLE       1       3379       0       0
URS CORP                           NEW COM           903236107     10       296 SH           SOLE       1          0       0     296
UAP HLDG CORP                      COM               903441103     31       800 SH           SOLE       1          0       0     800
ULTRA CLEAN HLDGS INC              COM               90385V107      3       337 SH           SOLE       1          0       0     337



                                       16





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
ULTRA PETROLEUM CORP-CAD                             903914109     96      1235 SH           SOLE       1          0       0    1235
UNDER ARMOUR INC                                     904311107      2        50 SH           SOLE       1         50       0       0
UNIBANCO-UNIAO DE BANCOS           ADR               90458E107      6        53 SH           SOLE       1         53       0       0
UNILEVER NV NY                     NEW               904784709    371     11006 SH           SOLE       1        758       0   10248
UNION PACIFIC CORP                                   907818108     56       450 SH           SOLE       1        450       0       0
UNION PACIFIC CORP                                   907818108    276      2200 SH         DEFINED      1          0    2200       0
UNITED BANCSHARES INC W VA                           909907107      8       288 SH           SOLE       1          0       0     288
UNITED FIRE & CAS CO               COM               910331107     14       366 SH           SOLE       1          0       0     366
UNITED PARCEL SERVICE -            CLB               911312106      1        10 SH           SOLE       1         10       0       0
UNITED TECHNOLOGIES CORP                             913017109    442      6422 SH           SOLE       1        583       0    5839
UNITED THERA PEUTICS CORP                            91307C102     15       174 SH           SOLE       1         34       0     140
UNITEDHEALTH GROUP                                   91324P102     67      1943 SH           SOLE       1       1943       0       0
UNIVERSAL HEALTH SERVICES INC      CL B              913903100     79      1480 SH           SOLE       1          0       0    1480
URBAN OUTFITTERS INC               COM               917047102      5       145 SH           SOLE       1        145       0       0
VF CORPORATION                                       918204108     23       302 SH           SOLE       1        162       0     140
VALERO ENERGY                                        91913Y100      6       121 SH           SOLE       1        121       0       0
VALSPAR CORP                       COM               920355104      7       369 SH           SOLE       1        102       0     267
VALUECLICK INC                     COM               92046N102     17       995 SH           SOLE       1          0       0     995
VARIAN MEDICAL SYSTEMS                               92220P105     62      1326 SH           SOLE       1         45       0    1281
VARIAN INC                                           922206107      3        52 SH           SOLE       1         52       0       0
VARIAN SEMICONDUCTOR EQUIP                           922207105      7       258 SH           SOLE       1          0       0     258
VECTREN CORP                       COM               92240G101     16       597 SH           SOLE       1          0       0     597
VERIZON COMMUNICATIONS                               92343V104    467     12817 SH           SOLE       1       6232       0    6585
VERIZON COMMUNICATIONS                               92343V104     92      2517 SH         DEFINED      1       1719     798       0
VIAD CORPORATION                                     92552R406      3        87 SH           SOLE       1         87       0       0
VIRTUSA CORP                                         92827P102      1       149 SH           SOLE       1        149       0       0
VODAFONE GROUP PLC                 NEW SPONS ADR NEW 92857W209    476     16128 SH           SOLE       1       2860       0   13268
VODAFONE GROUP PLC                 NEW SPONS ADR NEW 92857W209     15       494 SH         DEFINED      1          0     494       0
VOCUS INC                                            92858J108      7       275 SH           SOLE       1        275       0       0
WGL HLDGS INC                                        92924F106      3        86 SH           SOLE       1         86       0       0
WMS INDUSTRIES INC                                   929297109      3        82 SH           SOLE       1         82       0       0
W.P.CAREY & CO., LLC                                 92930Y107     15       500 SH           SOLE       1        500       0       0
WPP GROUP PLC                      SPON ADR 0905     929309409    191      3207 SH           SOLE       1        546       0    2661
WACHOVIA CORP                      NEW COM           929903102     80      2963 SH           SOLE       1       2713       0     250
WACHOVIA CORP                      NEW COM           929903102      8       300 SH         DEFINED      1        300       0       0
WADDELL & REED FINANCIAL INC       CLASS A           930059100     13       392 SH           SOLE       1        113       0     279
WAL MART STORES INC                COM               931142103   1353     25691 SH           SOLE       1      22591       0    3100
WAL MART STORES INC                COM               931142103     61      1166 SH         DEFINED      1       1166       0       0
WALGREEN CO                        COM               931422109     73      1912 SH           SOLE       1       1912       0       0
WARNACO CORP INC                                     934390402      5       120 SH           SOLE       1        120       0       0
WASHINGTON MUTUAL INC                                939322103     40      3917 SH           SOLE       1       1325       0    2592
WASHINGTON REAL ESTATE SH BEN INT
   REITS                                             939653101      2        65 SH           SOLE       1         65       0       0
WASTE CONNECTIONS INC                                941053100     12       389 SH           SOLE       1          0       0     389
WASTE MANAGEMENT INC               NEW               94106L109     11       335 SH           SOLE       1          0       0     335
WATERS CORP                                          941848103      2        35 SH           SOLE       1         35       0       0
WATSON WYATT & CO HLDGS            CLASS A           942712100     16       278 SH           SOLE       1         55       0     223
WEINGARTEN RLTY INVS                                 948741103     10       300 SH           SOLE       1          0       0     300
WELLPOINT INC                      COM               94973V107    209      4731 SH           SOLE       1        150       0    4581
WELLS FARGO & CO.                  NEW               949746101    203      6976 SH           SOLE       1       6976       0       0
WELLS FARGO & CO.                  NEW               949746101     12       400 SH         DEFINED      1        400       0       0
WERNER ENTERPRISES INC                               950755108      2       105 SH           SOLE       1        105       0       0
WESTAR ENERGY INC                                    95709T100     32      1393 SH           SOLE       1        805       0     588
WESTERN UNION CO                                     959802109    210      9872 SH           SOLE       1        311       0    9561
WEYERHAEUSER CO                    COM               962166104     11       170 SH           SOLE       1        170       0       0
WHIRLPOOL CORP                                       963320106     13       150 SH           SOLE       1          0       0     150
WHITNEY HOLDING CORP               COMMON            966612103      7       272 SH           SOLE       1          0       0     272
WILLIAMS COMPANY                   COMMON            969457100     21       623 SH           SOLE       1        623       0       0
WINDSTREAM, INC                                      97381W104     20      1665 SH           SOLE       1        788       0     877
WISCONSIN ENERGY CORP                                976657106      3        60 SH           SOLE       1         60       0       0
WISDOM TREE TR DIV TOP 100 FD                        97717W406    386      7565 SH           SOLE       1       7565       0       0
WOODWARD GOVERNOR CO               COM               980745103      3       100 SH           SOLE       1        100       0       0
WRIGHT MEDICAL GROUP                                 98235T107     18       740 SH           SOLE       1          0       0     740
WE WRIGLEY JR. COMPANY                               982526105     27       422 SH           SOLE       1        422       0       0
WYETH                                                983024100     97      2332 SH           SOLE       1       2082       0     250



                                       17





                                                                                                              ** VOTING AUTHORITY **
                                                               MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
          NAME OF ISSUER            TITLE OF CLASS   CUSIP     x 1000     QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
          --------------           ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                            
WYNDHAM WORLDWIDE CORP                               98310W108    121      5831 SH           SOLE       1        108       0    5723
XM SATELLITE                                         983759101      1       100 SH           SOLE       1          0       0     100
XT0 ENERGY INC                                       98385X106    608      9832 SH           SOLE       1        929       0    8903
XCEL ENERGY INC                                      98389B100     21      1054 SH           SOLE       1       1054       0       0
XILINX INC                                           983919101      7       298 SH           SOLE       1        298       0       0
YAHOO INC                                            984332106      4       150 SH           SOLE       1        150       0       0
YUM BRANDS INC                                       988498101     85      2278 SH           SOLE       1       2278       0       0
ZIMMER HLDGS INC                                     98956P102      3        40 SH           SOLE       1         40       0       0
ZOLTEK COS INC                                       98975W104      2        60 SH           SOLE       1         60       0       0
ZUMIEZ INC                         COM               989817101      4       250 SH           SOLE       1          0       0     250
ZWEIG TOTAL RETURN FUND                              989837109      1       134 SH           SOLE       1          0       0     134

GRAND TOTALS                                                   784288  12242597                              2898767 8056593 1287237



                                       18