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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 3/31/2012

Check here is Amendment [_]; Amendment Number:

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

Institutional Investment Manager Filing this Report:

Name:    M&T Bank Corporation

Address: One M&T Plaza
         Buffalo, NY 14240



Form 13-F File Number: 028-00267

This 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 part of this form.

Person Signing this Report on Behalf of Reporting Manager

Name:    Mark Czarnecki
Title:   President
Phone:   (716) 842-5291


Signature, Place & Date of Signing:

          /s/ Mark Czarnecki, President  Buffalo, New York  5/11/2012
          -----------------------------  -----------------  ---------
                   [Signature]             [City, State]     [Date]

Report Type (Check only one.):

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

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

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

List of Other Included Managers:

Form 13F File Number           Name
028-03980                      Manufacturers & Traders Trust Company
028-11878                      M&T Trust Company of Delaware, Inc.
028-10909                      Wilmington Trust Investment Advisors, Inc.


List of Other Managers Reporting for this Manager:

Form 13F File Number           Name
028-03742                      Wilmington Trust Company
028-12629                      Wilmington Trust Investment Management, LLC
028-06601                      Wilmington Funds Management Corporation
028-03740                      Wilmington Trust NA
028-10909                      WTIA Investment Advisors, Inc.

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                            FORM 13-F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                                          3

Form 13-F Information Table Entry Total:                                1,956

Form 13-F Information Table Value Total:                            1,987,174
                                                                   ----------
                                                                   (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.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

    No.    Form 13F File Number         Name

    1       028-39800                   Manufacturers & Traders Trust Company
    3       028-10909                   Wilmington Trust Investment Advisors,
                                        Inc.
    4       028-11878                   M&T Trust Company of Delaware, Inc.



                                    SEC USE



                  COLUMN 2   COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                            INVESTMENT AUTHORITY
                ------------ --------- ---------- ------------------------ ----------------------
                                                   SHARES                                                    VOTING AUTHORITY
                                                     OR      SHARES   PUT                                  ---------------------
NAME OF           TITLE OF               VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER             CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------         ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                    
BRISTOL-MYERS
 SQUIBB CO..... COMMON STOCK 110122108      17        500    Shares                         X        4         500    0        0
CVS/CAREMARK
 CORP.......... COMMON STOCK 126650100      36        800    Shares                         X        4         800    0        0
CATERPILLAR
 INC........... COMMON STOCK 149123101      91        850    Shares                         X        4         850    0        0
CHEVRON
 CORP.......... COMMON STOCK 166764100     149       1390    Shares                         X        4        1390    0        0
FORD MOTOR
 CO............ COMMON STOCK 345370860      56       4500    Shares                         X        4        4500    0        0
FULTON
 FINANCIAL
 CORP.......... COMMON STOCK 360271100    4119     392282    Shares         X                               392282    0        0
GENERAL
 ELECTRIC
 COMPANY....... COMMON STOCK 369604103      40       2000    Shares                         X        4        2000    0        0
HONEYWELL
 INTL INC
 COM........... COMMON STOCK 438516106      12        200    Shares                         X        4         200    0        0
INTEL CORP
 COM........... COMMON STOCK 458140100      84       3000    Shares                         X        4        3000    0        0
IBM
 CORPORATION... COMMON STOCK 459200101     130        625    Shares                         X        4         625    0        0
ISHARES MSCI
 EAFE INDEX
 ETF........... COMMON STOCK 464287465      64       1164    Shares                X                 4           0    0        0
ISHARES
 RUSSELL 1000
 VALUE INDEX
 ETF........... COMMON STOCK 464287598      67        960    Shares                X                 4           0    0        0
ISHARES
 RUSSELL 1000
 GROWTH IDX
 ETF........... COMMON STOCK 464287614      98       1476    Shares                X                 4           0    0        0
ISHARES
 RUSSELL 2000
 GROWTH IDX
 ETF........... COMMON STOCK 464287648      50        528    Shares                X                 4           0    0        0
JOHNSON &
 JOHNSON....... COMMON STOCK 478160104     102       1550    Shares                         X        4        1550    0        0
LOCKHEED
 MARTIN
 CORPORATION
 COM........... COMMON STOCK 539830109      45        500    Shares                         X        4         500    0        0
MCDONALD'S
 CORPORATION... COMMON STOCK 580135101     177       1800    Shares                         X        4        1800    0        0
MICROSOFT
 CORP.......... COMMON STOCK 594918104      81       2500    Shares                         X        4        2500    0        0
NATIONAL
 OILWELL
 VARCO INC..... COMMON STOCK 637071101      40        500    Shares                         X        4         500    0        0
PEPSICO INC
 COM........... COMMON STOCK 713448108     113       1700    Shares                         X        4        1700    0        0
PHILIP MORRIS
 INTL INC...... COMMON STOCK 718172109     111       1250    Shares                         X        4        1250    0        0
PROCTER &
 GAMBLE CO
 COM........... COMMON STOCK 742718109     202       3000    Shares                         X        4        3000    0        0
SCHLUMBERGER
 LTD........... COMMON STOCK 806857108     108       1550    Shares                         X        4        1550    0        0
WELLS FARGO &
 CO............ COMMON STOCK 949746101      68       2000    Shares                         X        4        2000    0        0
ABB LTD SPON
 ADR........... COMMON STOCK 000375204       8        371    Shares                X                 1         371    0        0
ABB LTD SPON
 ADR........... COMMON STOCK 000375204      42       2060    Shares                         X        1        2060    0        0
ACCO BRANDS
 CORP.......... COMMON STOCK 00081T108      12       1000    Shares                X                 1        1000    0        0
ACNB CORP...... COMMON STOCK 000868109     282      19475    Shares                X                 1       13548    0     5927
AFLAC INC...... COMMON STOCK 001055102     388       8426    Shares                X                 1        8426    0        0
AFLAC INC...... COMMON STOCK 001055102     593      12895    Shares                         X        1       12495    0      400
AGL RESOURCES
 INC........... COMMON STOCK 001204106      20        509    Shares                X                 1         509    0        0
AGL RESOURCES
 INC........... COMMON STOCK 001204106      22        567    Shares                         X        1         567    0        0
AES CORP COM... COMMON STOCK 00130H105      30       2300    Shares                X                 1        2300    0        0
AK STEEL
 HOLDING CORP
 COM........... COMMON STOCK 001547108       2        291    Shares                X                 1         291    0        0
AMC NETWORKS
 INC A......... COMMON STOCK 00164V103      31        700    Shares                X                 1         700    0        0
AOL INC........ COMMON STOCK 00184X105       2        105    Shares                X                 1         105    0        0
AOL INC........ COMMON STOCK 00184X105       2         95    Shares                         X        1          95    0        0
AT&T INC....... COMMON STOCK 00206R102   13983     447745    Shares                X                 1      444115    0     3630
AT&T INC....... COMMON STOCK 00206R102    9960     318927    Shares                         X        1      273076    0    45851
AT&T INC....... COMMON STOCK 00206R102      96       3089    Shares                X                 3        3089    0        0
AVI BIOPHARMA
 INC........... COMMON STOCK 002346104      18      12000    Shares                X                 1       12000    0        0
ABBOTT
 LABORATORIES.. COMMON STOCK 002824100    9486     154775    Shares                X                 1      153275    0     1500
ABBOTT
 LABORATORIES.. COMMON STOCK 002824100    4380      71462    Shares                         X        1       68457    0     3005
ABBOTT
 LABORATORIES.. COMMON STOCK 002824100      56        910    Shares                X                 3         910    0        0
ABBOTT
 LABORATORIES.. COMMON STOCK 002824100      31        500    Shares                         X        4         500    0        0
ABERDEEN ASIA
 PACIFIC INC
 FD............ COMMON STOCK 003009107      18       2533    Shares                X                 1           0    0        0
ABERDEEN
 AUSTRALIA
 EQUITY
 FUND.......... COMMON STOCK 003011103       5        500    Shares                         X        1           0    0        0
ABERDEEN CHILE
 FUND INC...... COMMON STOCK 00301W105       6        300    Shares                X                 1           0    0        0
ABOVENET
 INC........... COMMON STOCK 00374N107      23        275    Shares                X                 1         275    0        0
ACME PACKET
 INC........... COMMON STOCK 004764106      46       1666    Shares                X                 1        1666    0        0
ACME PACKET
 INC........... COMMON STOCK 004764106       8        284    Shares                         X        1         284    0        0
ACTIVE
 NETWORK INC/
 THE........... COMMON STOCK 00506D100      34       2025    Shares                X                 1        2025    0        0
ACTIVISION
 BLIZZARD
 INC........... COMMON STOCK 00507V109     122       9514    Shares                X                 1        9514    0        0
ACTIVISION
 BLIZZARD
 INC........... COMMON STOCK 00507V109      64       4994    Shares                         X        1        4994    0        0
ADOBE SYSTEMS
 COMMON........ COMMON STOCK 00724F101      48       1400    Shares                X                 1        1400    0        0
ADOBE SYSTEMS
 COMMON........ COMMON STOCK 00724F101       9        265    Shares                         X        1         265    0        0
ADTRAN INC
 COM........... COMMON STOCK 00738A106     345      11060    Shares                X                 1       11060    0        0
ADTRAN INC
 COM........... COMMON STOCK 00738A106     167       5345    Shares                X                 3        5345    0        0
ADVANCED
 SEMICONDUCTOR
 E ADR......... COMMON STOCK 00756M404      11       2170    Shares                X                 1        2170    0        0
ADVISORY
 BOARD CO
 (THE)......... COMMON STOCK 00762W107      44        500    Shares                X                 1         500    0        0
ADVANCED
 MICRO
 DEVICES INC
 COM........... COMMON STOCK 007903107    1175     146503    Shares                X                 1      146503    0        0


                                    3 of 32





                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES                                                    VOTING AUTHORITY
                                                    OR      SHARES   PUT                                  ---------------------
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------            -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                   
ADVANCED MICRO
 DEVICES INC        COMMON
 COM..............   STOCK  007903107       4         500   Shares                         X        1         500    0       0
ADVANCED MICRO
 DEVICES INC        COMMON
 COM..............   STOCK  007903107      48        6043   Shares                X                 3        6043    0       0
AEGON NV ORD        COMMON
 AMER REG SHS.....   STOCK  007924103      13        2349   Shares                         X        1        2349    0       0
AES TRUST III PFD
 CONV 6.75%         COMMON
 10/29............   STOCK  00808N202      20         400   Shares                X                 1           0    0       0
AES TRUST III PFD
 CONV 6.75%         COMMON
 10/29............   STOCK  00808N202      16         325   Shares                         X        1           0    0       0
AETNA INC NEW       COMMON
 COM..............   STOCK  00817Y108     523       10427   Shares                X                 1       10427    0       0
AFFILIATED
 MANAGERS           COMMON
 GROUP............   STOCK  008252108     862        7708   Shares                X                 1        7550    0     158
AFFILIATED
 MANAGERS           COMMON
 GROUP............   STOCK  008252108      22         201   Shares                         X        1         201    0       0
AFFYMAX INC.......  COMMON
                     STOCK  00826A109      30        2575   Shares                X                 1        2575    0       0
AGILENT
 TECHNOLOGIES       COMMON
 INC COM..........   STOCK  00846U101       4          81   Shares                X                 1          81    0       0
AGILENT
 TECHNOLOGIES       COMMON
 INC COM..........   STOCK  00846U101      38         853   Shares                         X        1         243    0     610
AIR METHODS         COMMON
 CORPORATION......   STOCK  009128307      39         450   Shares                X                 1         450    0       0
AIR PRODUCTS &
 CHEMICALS          COMMON
 INC..............   STOCK  009158106    2417       26328   Shares                X                 1       26078    0     250
AIR PRODUCTS &
 CHEMICALS          COMMON
 INC..............   STOCK  009158106    1345       14655   Shares                         X        1       14541    0     114
AIR PRODUCTS &
 CHEMICALS          COMMON
 INC..............   STOCK  009158106      28         310   Shares                X                 3         310    0       0
ALASKA AIR GROUP    COMMON
 INC..............   STOCK  011659109      38        1050   Shares                X                 1        1050    0       0
ALBEMARLE CORP      COMMON
 COM..............   STOCK  012653101    3116       48754   Shares                X                 1       48078    0     676
ALBEMARLE CORP      COMMON
 COM..............   STOCK  012653101    1465       22922   Shares                         X        1       22922    0       0
ALBEMARLE CORP      COMMON
 COM..............   STOCK  012653101      40         630   Shares                X                 3         630    0       0
ALCOA INC COM.....  COMMON
                     STOCK  013817101     323       32282   Shares                X                 1       31982    0     300
ALCOA INC COM.....  COMMON
                     STOCK  013817101     210       20912   Shares                         X        1       20152    0     760
ALCATEL-LUCENT -    COMMON
 SPON ADR.........   STOCK  013904305       1         389   Shares                X                 1         389    0       0
ALCATEL-LUCENT -    COMMON
 SPON ADR.........   STOCK  013904305       1         253   Shares                         X        1         253    0       0
ALEXANDER &
 BALDWIN            COMMON
 COMMON...........   STOCK  014482103    1703       35140   Shares                X                 1       34624    0     516
ALEXANDER &
 BALDWIN            COMMON
 COMMON...........   STOCK  014482103      81        1676   Shares                         X        1        1676    0       0
ALEXANDER &
 BALDWIN            COMMON
 COMMON...........   STOCK  014482103      25         510   Shares                X                 3         510    0       0
ALERE INC.........  COMMON
                     STOCK  01449J105     220        8456   Shares                X                 1        8456    0       0
ALERE INC.........  COMMON
                     STOCK  01449J105     107        4130   Shares                X                 3        4130    0       0
ALEXION
 PHARMACEUTICALS    COMMON
 INC COM..........   STOCK  015351109    2644       28472   Shares                X                 1       28044    0     428
ALEXION
 PHARMACEUTICALS    COMMON
 INC COM..........   STOCK  015351109     126        1356   Shares                         X        1        1206    0     150
ALLEGHANY           COMMON
 CORPORATION......   STOCK  017175100       1           3   Shares                X                 1           3    0       0
ALLEGHANY           COMMON
 CORPORATION......   STOCK  017175100       7          21   Shares                         X        1          21    0       0
ALLEGHENY TECH
 CONV 4.250%        COMMON
 6/01/1...........   STOCK  01741RAD4       2        2000   Shares                X                 1           0    0       0
ALLERGAN INC......  COMMON
                     STOCK  018490102    3280       34375   Shares                X                 1       33937    0     438
ALLERGAN INC......  COMMON
                     STOCK  018490102     148        1546   Shares                         X        1        1546    0       0
ALLERGAN INC......  COMMON
                     STOCK  018490102      17         180   Shares                X                 3         180    0       0
ALLETE INC........  COMMON
                     STOCK  018522300      47        1125   Shares                         X        1        1125    0       0
ALLIANCE DATA       COMMON
 SYSTEMS CORP.....   STOCK  018581108      73         576   Shares                X                 1         576    0       0
ALLIANCE DATA       COMMON
 SYSTEMS CORP.....   STOCK  018581108       4          28   Shares                         X        1          28    0       0
ALLIANT TECH        COMMON
 SYSTEMS INC......   STOCK  018804104      20         405   Shares                         X        1         405    0       0
ALLISON
 TRANSMISSION       COMMON
 HOLDINGS.........   STOCK  01973R101      10         430   Shares                X                 1         430    0       0
ALLSCRIPTS
 HEALTHCARE
 SOLUTIONS          COMMON
 INC..............   STOCK  01988P108     372       22397   Shares                X                 1       22397    0       0
ALLSCRIPTS
 HEALTHCARE
 SOLUTIONS          COMMON
 INC..............   STOCK  01988P108      57        3450   Shares                         X        1        3450    0       0
ALLSCRIPTS
 HEALTHCARE
 SOLUTIONS          COMMON
 INC..............   STOCK  01988P108     136        8195   Shares                X                 3        8195    0       0
ALLSTATE CORP.....  COMMON
                     STOCK  020002101     338       10259   Shares                X                 1       10259    0       0
ALLSTATE CORP.....  COMMON
                     STOCK  020002101     177        5374   Shares                         X        1        5374    0       0
ALPHA NATURAL       COMMON
 RESOURCES........   STOCK  02076X102     441       28978   Shares                X                 1       28978    0       0
ALPHA NATURAL       COMMON
 RESOURCES........   STOCK  02076X102      20        1291   Shares                X                 3        1291    0       0
ALPINE GLOBAL
 PREMIER            COMMON
 PPTYS............   STOCK  02083A103   14219     2187614   Shares                X                 1           0    0       0
ALPINE GLOBAL
 PREMIER            COMMON
 PPTYS............   STOCK  02083A103    2648      407317   Shares                         X        1           0    0       0
ALPINE GLOBAL
 PREMIER            COMMON
 PPTYS............   STOCK  02083A103     587       90379   Shares                X                 3           0    0       0
ALPINE GLOBAL
 PREMIER            COMMON
 PPTYS............   STOCK  02083A103       6         999   Shares                X                 4           0    0       0
ALPINE TOTAL
 DYNAMIC DVD        COMMON
 FD...............   STOCK  021060108      32        6844   Shares                X                 1           0    0       0
ALPINE TOTAL
 DYNAMIC DVD        COMMON
 FD...............   STOCK  021060108       5        1000   Shares                         X        1           0    0       0
ALTERA CORP         COMMON
 COM..............   STOCK  021441100     491       12336   Shares                X                 1       12336    0       0
ALTERA CORP         COMMON
 COM..............   STOCK  021441100     203        5110   Shares                X                 3        5110    0       0
ALTRIA GROUP        COMMON
 INC..............   STOCK  02209S103    8884      287779   Shares                X                 1      282482    0    5297
ALTRIA GROUP        COMMON
 INC..............   STOCK  02209S103    3747      121367   Shares                         X        1      116091    0    5276
ALTRIA GROUP        COMMON
 INC..............   STOCK  02209S103      78        2538   Shares                X                 3        2538    0       0
AMAZON.COM          COMMON
 INC..............   STOCK  023135106    8104       40019   Shares                X                 1       39608    0     411
AMAZON.COM          COMMON
 INC..............   STOCK  023135106     346        1709   Shares                         X        1         896    0     813
AMAZON.COM          COMMON
 INC..............   STOCK  023135106    1436        7091   Shares                X                 3        6060    0    1031
AMAZON.COM          COMMON
 INC..............   STOCK  023135106      25         125   Shares                         X        4         125    0       0
AMERICA MOVIL SA
 - SPONS ADR SER    COMMON
 L................   STOCK  02364W105      36        1446   Shares                X                 1        1446    0       0
AMERICA MOVIL SA
 - SPONS ADR SER    COMMON
 L................   STOCK  02364W105     300       12100   Shares                         X        1        6600    0    5500
AMERICAN CAMPUS
 COMMUNITIES        COMMON
 INC-REI..........   STOCK  024835100      32         726   Shares                X                 1           0    0       0
AMERICAN
 CAPITAL AGENCY     COMMON
 CORP.............   STOCK  02503X105       7         250   Shares                X                 1           0    0       0


                                    4 of 32





                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES
                                                    OR      SHARES   PUT                                    VOTING AUTHORITY
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER   ---------------------
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                   
AMERICAN CAPITAL    COMMON
 AGENCY CORP......   STOCK  02503X105       9        300    Shares                         X        1          0     0       0
AMERICAN
 ELECTRIC POWER     COMMON
 CO INC...........   STOCK  025537101     155       4015    Shares                X                 1       4015     0       0
AMERICAN
 ELECTRIC POWER     COMMON
 CO INC...........   STOCK  025537101      98       2534    Shares                         X        1       1704     0     830
AMERICAN EAGLE      COMMON
 OUTFITTER INC....   STOCK  02553E106      17        965    Shares                X                 1        965     0       0
AMERICAN
 ELECTRIC
 TECHNOLOGIES       COMMON
 INC..............   STOCK  025576109       0        100    Shares                X                 1        100     0       0
AMERICAN EXPRESS    COMMON
 CO...............   STOCK  025816109    1055      18234    Shares                X                 1      17634     0     600
AMERICAN EXPRESS    COMMON
 CO...............   STOCK  025816109     673      11623    Shares                         X        1       9345     0    2278
AMERICAN EXPRESS    COMMON
 CO...............   STOCK  025816109      15        260    Shares                X                 3        260     0       0
AMERICAN
 FINANCIAL GROUP    COMMON
 INC..............   STOCK  025932104      23        600    Shares                         X        1          0     0     600
AMERICAN INTL       COMMON
 CW21 1/19/21.....   STOCK  026874156       1         76    Shares                X                 1         76     0       0
AMERICAN INTL       COMMON
 CW21 1/19/21.....   STOCK  026874156       0         32    Shares                         X        1         32     0       0
AMERICAN
 INTERNATIONAL      COMMON
 GROUP............   STOCK  026874784       4        137    Shares                X                 1        137     0       0
AMERICAN
 INTERNATIONAL      COMMON
 GROUP............   STOCK  026874784       5        157    Shares                         X        1         57     0     100
AMERICAN TOWER      COMMON
 CORP.............   STOCK  03027X100     337       5354    Shares                X                 1          0     0       0
AMERICAN TOWER      COMMON
 CORP.............   STOCK  03027X100      14        216    Shares                X                 3          0     0       0
AMERICAN WATER      COMMON
 WORKS CO INC.....   STOCK  030420103      19        550    Shares                X                 1        550     0       0
AMERICAN WATER      COMMON
 WORKS CO INC.....   STOCK  030420103      95       2800    Shares                         X        1       2800     0       0
AMERISOURCE         COMMON
 BERGEN CORP......   STOCK  03073E105      14        342    Shares                X                 1        342     0       0
AMERIGROUP          COMMON
 CORPORATION......   STOCK  03073T102      64        950    Shares                X                 1        950     0       0
AMERIPRISE          COMMON
 FINANCIAL INC....   STOCK  03076C106      76       1327    Shares                X                 1       1207     0     120
AMERIPRISE          COMMON
 FINANCIAL INC....   STOCK  03076C106      77       1351    Shares                         X        1       1156     0     195
AMERIS BANCORP....  COMMON
                     STOCK  03076K108       2        123    Shares                X                 1        123     0       0
AMERIGAS            COMMON
 PARTNERS LP......   STOCK  030975106      12        300    Shares                         X        1        300     0       0
AMGEN INC COM.....  COMMON
                     STOCK  031162100    3824      56262    Shares                X                 1      56262     0       0
AMGEN INC COM.....  COMMON
                     STOCK  031162100    1468      21598    Shares                         X        1      17248     0    4350
AMGEN INC COM.....  COMMON
                     STOCK  031162100      27        400    Shares                         X        4        400     0       0
AMPAL-AMERICAN      COMMON
 ISRAEL CORP A....   STOCK  032015109       6      25359    Shares                X                 1      25359     0       0
AMPHENOL CORP       COMMON
 NEW CL A.........   STOCK  032095101       7        109    Shares                X                 1        109     0       0
ANADARKO
 PETROLEUM          COMMON
 CORP.............   STOCK  032511107    2674      34128    Shares                X                 1      33958     0     170
ANADARKO
 PETROLEUM          COMMON
 CORP.............   STOCK  032511107     330       4210    Shares                         X        1       2953     0    1257
ANADARKO
 PETROLEUM          COMMON
 CORP.............   STOCK  032511107     843      10767    Shares                X                 3       9103     0    1664
ANALOG DEVICES      COMMON
 INC..............   STOCK  032654105       4        108    Shares                X                 1        108     0       0
ANALOG DEVICES      COMMON
 INC..............   STOCK  032654105      15        360    Shares                         X        1        360     0       0
ANAREN INC........  COMMON
                     STOCK  032744104     141       7671    Shares                X                 1       7671     0       0
ANNALY CAPITAL
 MANAGEMENT INC     COMMON
 (REIT............   STOCK  035710409      81       5130    Shares                X                 1          0     0       0
ANNALY CAPITAL
 MANAGEMENT INC     COMMON
 (REIT............   STOCK  035710409       5        300    Shares                         X        1          0     0       0
ANSYS INC.........  COMMON
                     STOCK  03662Q105     455       6991    Shares                X                 1       6991     0       0
ANSYS INC.........  COMMON
                     STOCK  03662Q105     217       3345    Shares                X                 3       3345     0       0
AON CORP..........  COMMON
                     STOCK  037389103     226       4600    Shares                X                 1       4600     0       0
APACHE CORP         COMMON
 COM..............   STOCK  037411105    3625      36093    Shares                X                 1      35843     0     250
APACHE CORP         COMMON
 COM..............   STOCK  037411105     929       9254    Shares                         X        1       9036     0     218
APACHE CORP         COMMON
 COM..............   STOCK  037411105      40        400    Shares                         X        4        400     0       0
APACHE CORP CONV    COMMON
 PFD 6%8/13 SER...   STOCK  037411808      19        350    Shares                         X        1          0     0       0
APOLLO GROUP INC    COMMON
 CL A.............   STOCK  037604105      22        575    Shares                X                 1        575     0       0
APOLLO
 INVESTMENT         COMMON
 CORPORATION......   STOCK  03761U106      22       3000    Shares                X                 1          0     0       0
APOLLO
 INVESTMENT         COMMON
 CORPORATION......   STOCK  03761U106       6        800    Shares                         X        1          0     0       0
APPLE INC.........  COMMON
                     STOCK  037833100   42216      70413    Shares                X                 1      69686     0     727
APPLE INC.........  COMMON
                     STOCK  037833100    6554      10932    Shares                         X        1      10006     0     926
APPLE INC.........  COMMON
                     STOCK  037833100    3755       6262    Shares                X                 3       5565     0     697
APPLE INC.........  COMMON
                     STOCK  037833100     779       1300    Shares                         X        4       1300     0       0
APPLIED MATERIALS   COMMON
 INC COM..........   STOCK  038222105      67       5395    Shares                X                 1       4395     0    1000
APPLIED MATERIALS   COMMON
 INC COM..........   STOCK  038222105      47       3800    Shares                         X        1       3400     0     400
AQUA AMERICA        COMMON
 INC..............   STOCK  03836W103      40       1783    Shares                X                 1       1783     0       0
AQUA AMERICA        COMMON
 INC..............   STOCK  03836W103      27       1200    Shares                         X        1       1000     0     200
ARCH COAL INC.....  COMMON
                     STOCK  039380100       6        540    Shares                X                 1        540     0       0
ARCELORMITTAL-NY    COMMON
 REGISTERED.......   STOCK  03938L104       6        300    Shares                X                 1        300     0       0
ARCHER DANIELS
 MIDLAND CO         COMMON
 COM..............   STOCK  039483102     155       4900    Shares                X                 1       4900     0       0
ARCHER DANIELS
 MIDLAND CO         COMMON
 COM..............   STOCK  039483102     380      12000    Shares                         X        1       6500     0    5500
ARCTIC CAT INC....  COMMON
                     STOCK  039670104      30        700    Shares                X                 1        700     0       0
ARM HOLDINGS        COMMON
 PLC..............   STOCK  042068106    1341      47408    Shares                X                 1      46710     0     698
ARM HOLDINGS        COMMON
 PLC..............   STOCK  042068106      50       1770    Shares                         X        1       1770     0       0
ARMOUR
 RESIDENTIAL REIT   COMMON
 INC..............   STOCK  042315101      68      10000    Shares                X                 1          0     0       0
ARMSTRONG WORLD     COMMON
 INDUSTRIES.......   STOCK  04247X102      41        850    Shares                X                 1        850     0       0
ARRIS GROUP.......  COMMON
                     STOCK  04269Q100     223      19720    Shares                         X        1      19720     0       0
ARTESIAN
 RESOURCES
 CORPORATION CL     COMMON
 A................   STOCK  043113208      17        885    Shares                X                 1        885     0       0
ARUBA NETWORKS      COMMON
 INC..............   STOCK  043176106    1075      48262    Shares                X                 1      48262     0       0
ARUBA NETWORKS      COMMON
 INC..............   STOCK  043176106     198       8881    Shares                X                 3       8881     0       0


                                    5 of 32





                  COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                          INVESTMENT AUTHORITY
                  -------- --------- ---------- ------------------------ ----------------------
                                                 SHARES                                                    VOTING AUTHORITY
                                                   OR      SHARES   PUT                                  ---------------------
NAME OF           TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER             CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------           -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                  
ASHLAND INC......  COMMON
                    STOCK  044209104      29        474    Shares                         X        1         474    0       0
ASPEN
 TECHNOLOGY        COMMON
 INC.............   STOCK  045327103      39       1900    Shares                X                 1        1900    0       0
ASSURANT INC.....  COMMON
                    STOCK  04621X108       2         45    Shares                X                 1          45    0       0
ASTRAZENECA
 GROUP PLC
 SPONSORED         COMMON
 ADR.............   STOCK  046353108     100       2247    Shares                X                 1        2247    0       0
ASTRAZENECA
 GROUP PLC
 SPONSORED         COMMON
 ADR.............   STOCK  046353108      61       1380    Shares                         X        1        1380    0       0
ATHENAHEALTH       COMMON
 INC.............   STOCK  04685W103      43        575    Shares                X                 1         575    0       0
ATLAS AIR
 WORLDWIDE         COMMON
 HOLDINGS........   STOCK  049164205      32        650    Shares                X                 1         650    0       0
ATMOS ENERGY       COMMON
 CORP............   STOCK  049560105       1         30    Shares                X                 1          30    0       0
AUTODESK COM.....  COMMON
                    STOCK  052769106     477      11279    Shares                X                 1       11279    0       0
AUTODESK COM.....  COMMON
                    STOCK  052769106      42       1000    Shares                         X        1        1000    0       0
AUTODESK COM.....  COMMON
                    STOCK  052769106     196       4620    Shares                X                 3        4620    0       0
AUTOMATIC DATA
 PROCESSING        COMMON
 INC.............   STOCK  053015103    1594      28883    Shares                X                 1       28083    0     800
AUTOMATIC DATA
 PROCESSING        COMMON
 INC.............   STOCK  053015103    2155      39049    Shares                         X        1       36299    0    2750
AUTOZONE INC       COMMON
 COM.............   STOCK  053332102      64        172    Shares                X                 1         172    0       0
AUTOZONE INC       COMMON
 COM.............   STOCK  053332102      77        208    Shares                         X        1         208    0       0
AUXILIUM
 PHARMACEUTICALS   COMMON
 INC.............   STOCK  05334D107     122       6575    Shares                X                 1        6575    0       0
AUXILIUM
 PHARMACEUTICALS   COMMON
 INC.............   STOCK  05334D107      59       3200    Shares                X                 3        3200    0       0
AVALONBAY
 COMMUNITIES       COMMON
 INC.............   STOCK  053484101      36        257    Shares                X                 1           0    0       0
AVERY DENNISON     COMMON
 CORP COM........   STOCK  053611109       5        180    Shares                X                 1         180    0       0
AVIS BUDGET        COMMON
 GROUP INC.......   STOCK  053774105       1         50    Shares                X                 1          50    0       0
AVON PRODUCTS      COMMON
 INC.............   STOCK  054303102     111       5734    Shares                X                 1        5734    0       0
AVON PRODUCTS      COMMON
 INC.............   STOCK  054303102     156       8074    Shares                         X        1        8074    0       0
AXCELIS
 TECHNOLOGIES      COMMON
 INC COM.........   STOCK  054540109       1        330    Shares                X                 1         330    0       0
BB&T CORP COM....  COMMON
                    STOCK  054937107     486      15485    Shares                X                 1       14085    0    1400
BB&T CORP COM....  COMMON
                    STOCK  054937107     515      16410    Shares                         X        1       16410    0       0
BCE INC..........  COMMON
                    STOCK  05534B760     138       3450    Shares                X                 1        3450    0       0
BCE INC..........  COMMON
                    STOCK  05534B760      23        584    Shares                         X        1         584    0       0
BOK FINANCIAL      COMMON
 CORPORATION.....   STOCK  05561Q201       1         11    Shares                X                 1          11    0       0
BP PLC SPONSORED   COMMON
 ADR.............   STOCK  055622104     801      17792    Shares                X                 1       17792    0       0
BP PLC SPONSORED   COMMON
 ADR.............   STOCK  055622104     813      18065    Shares                         X        1       17465    0     600
BABCOCK &          COMMON
 WILCOX CO.......   STOCK  05615F102     327      12692    Shares                X                 1       12692    0       0
BABCOCK &          COMMON
 WILCOX CO.......   STOCK  05615F102       7        275    Shares                         X        1         275    0       0
BABCOCK &          COMMON
 WILCOX CO.......   STOCK  05615F102     151       5880    Shares                X                 3        5880    0       0
BAIDU INC-SPON     COMMON
 ADR.............   STOCK  056752108    1514      10389    Shares                X                 1       10257    0     132
BAIDU INC-SPON     COMMON
 ADR.............   STOCK  056752108      24        166    Shares                         X        1         166    0       0
BAIDU INC-SPON     COMMON
 ADR.............   STOCK  056752108      14         97    Shares                X                 3          97    0       0
BAKER HUGHES INC   COMMON
 COM.............   STOCK  057224107     141       3357    Shares                X                 1        3357    0       0
BAKER HUGHES INC   COMMON
 COM.............   STOCK  057224107      27        650    Shares                         X        1         650    0       0
BALL               COMMON
 CORPORATION.....   STOCK  058498106    1700      39650    Shares                X                 1       39650    0       0
BANCO BRADESCO -   COMMON
 SPONS ADR.......   STOCK  059460303      10        570    Shares                X                 1         570    0       0
BANCO BILBAO
 VIZCAYA
 ARGENTARIA        COMMON
 ADR.............   STOCK  05946K101       5        570    Shares                X                 1         570    0       0
BANCO
 SANTANDER SA -    COMMON
 SPONS ADR.......   STOCK  05964H105      25       3206    Shares                X                 1        3206    0       0
BANCO
 SANTANDER SA -    COMMON
 SPONS ADR.......   STOCK  05964H105      13       1700    Shares                         X        1        1700    0       0
BANCOLOMBIA SA     COMMON
 SPONS ADR.......   STOCK  05968L102      13        198    Shares                X                 1         198    0       0
BANK AMER          COMMON
 CORP............   STOCK  060505104    3780     395005    Shares                X                 1      388644    0    6361
BANK AMER          COMMON
 CORP............   STOCK  060505104    1306     136433    Shares                         X        1      129270    0    7163
BANK AMER          COMMON
 CORP............   STOCK  060505104     782      81701    Shares                X                 3       71774    0    9927
BANK AMER PFD
 CONV 7.25% SER    COMMON
 L...............   STOCK  060505682      49         50    Shares                         X        1           0    0       0
BANK OF THE        COMMON
 OZARKS INC......   STOCK  063904106      30        975    Shares                X                 1         975    0       0
BANK NEW YORK      COMMON
 MELLON CORP.....   STOCK  064058100    1561      64684    Shares                X                 1       64684    0       0
BANK NEW YORK      COMMON
 MELLON CORP.....   STOCK  064058100     274      11338    Shares                         X        1       10526    0     812
BANK NEW YORK      COMMON
 MELLON CORP.....   STOCK  064058100      27       1100    Shares                X                 3        1100    0       0
BARD C R INC       COMMON
 COM.............   STOCK  067383109      49        500    Shares                X                 1         500    0       0
BARD C R INC       COMMON
 COM.............   STOCK  067383109     424       4300    Shares                         X        1        4300    0       0
BARCLAYS PLC -     COMMON
 SPONS ADR.......   STOCK  06738E204       5        322    Shares                X                 1         322    0       0
BARCLAYS PLC -     COMMON
 SPONS ADR.......   STOCK  06738E204      11        755    Shares                         X        1         755    0       0
BARRICK GOLD       COMMON
 CORP............   STOCK  067901108       4         94    Shares                X                 1          94    0       0
BARRICK GOLD       COMMON
 CORP............   STOCK  067901108     140       3220    Shares                         X        1        3220    0       0
BAXTER             COMMON
 INTERNATIONAL...   STOCK  071813109     973      16277    Shares                X                 1       16277    0       0
BAXTER             COMMON
 INTERNATIONAL...   STOCK  071813109     344       5750    Shares                         X        1        5750    0       0
BAXTER             COMMON
 INTERNATIONAL...   STOCK  071813109      18        302    Shares                X                 3         302    0       0
BEACON ROOFING     COMMON
 SUPPLY INC......   STOCK  073685109      40       1554    Shares                X                 1        1554    0       0
BEAM INC.........  COMMON
                    STOCK  073730103     561       9574    Shares                X                 1        9574    0       0
BEAM INC.........  COMMON
                    STOCK  073730103     192       3278    Shares                         X        1        3171    0     107
BECTON
 DICKINSON & CO    COMMON
 COM.............   STOCK  075887109    1108      14268    Shares                X                 1       14268    0       0
BECTON
 DICKINSON & CO    COMMON
 COM.............   STOCK  075887109     371       4779    Shares                         X        1        4779    0       0
BED BATH &
 BEYOND INC        COMMON
 COM.............   STOCK  075896100     135       2054    Shares                X                 1        2054    0       0


                                    6 of 32





                  COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                          INVESTMENT AUTHORITY
                  -------- --------- ---------- ------------------------ ----------------------
                                                 SHARES
                                                   OR      SHARES   PUT                                    VOTING AUTHORITY
NAME OF           TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER   ---------------------
ISSUER             CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
----------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                  
BELO
  CORPORATION      COMMON
  CL A...........   STOCK  080555105      32       4475    Shares                X                 1        4475    0        0
BERKSHIRE
  HATHAWAY INC     COMMON
  CLASS A........   STOCK  084670108     366          3    Shares                         X        1           3    0        0
BERKSHIRE
  HATHAWAY INC     COMMON
  DEL CL B.......   STOCK  084670702    3439      42376    Shares                X                 1       41689    0      687
BERKSHIRE
  HATHAWAY INC     COMMON
  DEL CL B.......   STOCK  084670702    1077      13270    Shares                         X        1       10682    0     2588
BERKSHIRE
  HATHAWAY INC     COMMON
  DEL CL B.......   STOCK  084670702      56        688    Shares                X                 3         688    0        0
BERRY
  PETROLEUM
  COMPANY          COMMON
  CLASS A........   STOCK  085789105      19        400    Shares                X                 1         400    0        0
BEST BUY           COMMON
  COMPANY INC....   STOCK  086516101     207       8749    Shares                X                 1        8749    0        0
BEST BUY           COMMON
  COMPANY INC....   STOCK  086516101      65       2747    Shares                         X        1        2715    0       32
BHP BILLITON LTD
  SPONSORED        COMMON
  ADR............   STOCK  088606108     414       5714    Shares                X                 1        5714    0        0
BHP BILLITON LTD
  SPONSORED        COMMON
  ADR............   STOCK  088606108     425       5875    Shares                         X        1        4403    0     1472
BIOMARIN
  PHARMACEUTICAL   COMMON
  INC............   STOCK  09061G101       7        200    Shares                X                 1         200    0        0
BIOGEN IDEC        COMMON
  INC............   STOCK  09062X103    2204      17489    Shares                X                 1       17333    0      156
BIOGEN IDEC        COMMON
  INC............   STOCK  09062X103     263       2091    Shares                         X        1        1981    0      110
BIOGEN IDEC        COMMON
  INC............   STOCK  09062X103      10         83    Shares                X                 3          83    0        0
BLACK HILLS        COMMON
  CORP...........   STOCK  092113109      54       1600    Shares                X                 1        1600    0        0
BLACKROCK          COMMON
  INC............   STOCK  09247X101    2352      11481    Shares                X                 1       11481    0        0
BLACKROCK          COMMON
  INC............   STOCK  09247X101     279       1360    Shares                         X        1        1360    0        0
BLACKROCK
  ENERGY AND
  RESOURCES        COMMON
  TRUS...........   STOCK  09250U101      11        438    Shares                         X        1           0    0        0
BLACKROCK
  HEALTH
  SCIENCES         COMMON
  TRUST..........   STOCK  09250W107     128       4650    Shares                         X        1           0    0        0
BLACKROCK INTL
  GROWTH &         COMMON
  INCOME TR......   STOCK  092524107       5        700    Shares                X                 1           0    0        0
BLACKROCK
  KELSO CAPITAL    COMMON
  CORP...........   STOCK  092533108       4        420    Shares                         X        1         420    0        0
BLACKSTONE
  GROUP LP         COMMON
  (THE)..........   STOCK  09253U108      90       5657    Shares                X                 1        5657    0        0
BLACKSTONE
  GROUP LP         COMMON
  (THE)..........   STOCK  09253U108       4        256    Shares                         X        1         156    0      100
BLACKROCK REAL
  ASSET EQUITY     COMMON
  TRUST..........   STOCK  09254B109      24       2000    Shares                X                 1           0    0        0
BLACKROCK
  MUNIYLD
  QUALITY FUND     COMMON
  II.............   STOCK  09254G108      93       6850    Shares                         X        1           0    0        0
BLACKROCK
  MUNIHLDGS NJ
  QUALITY          COMMON
  FUND...........   STOCK  09254X101      47       3050    Shares                         X        1           0    0        0
BLACKROCK
  MUNIHLDGS NY
  QUALITY          COMMON
  FUND...........   STOCK  09255C106      46       3050    Shares                         X        1           0    0        0
H & R BLOCK        COMMON
  COMMON.........   STOCK  093671105     109       6600    Shares                         X        1        6600    0        0
BODY CENTRAL       COMMON
  CORP...........   STOCK  09689U102      36       1250    Shares                X                 1        1250    0        0
BOEING CO COM....  COMMON
                    STOCK  097023105    6089      81875    Shares                X                 1       81525    0      350
BOEING CO COM....  COMMON
                    STOCK  097023105    1206      16212    Shares                         X        1       14350    0     1862
BOEING CO COM....  COMMON
                    STOCK  097023105     944      12699    Shares                X                 3       12699    0        0
BORG WARNER        COMMON
  INC COM........   STOCK  099724106    1265      15004    Shares                X                 1       15004    0        0
BORG WARNER        COMMON
  INC COM........   STOCK  099724106     262       3107    Shares                X                 3        3107    0        0
BOSTON BEER
  INCORPORATED     COMMON
  CLASS A........   STOCK  100557107       5         50    Shares                X                 1          50    0        0
BOSTON
  PROPERTIES INC   COMMON
  (REIT).........   STOCK  101121101      21        200    Shares                X                 1           0    0        0
BOSTON
  PROPERTIES INC   COMMON
  (REIT).........   STOCK  101121101      63        600    Shares                         X        1           0    0        0
BRANDYWINE
  REALTY TRUST     COMMON
  (REIT).........   STOCK  105368203      17       1500    Shares                X                 1           0    0        0
BRAVO BRIO
  RESTAURANT       COMMON
  GROUP..........   STOCK  10567B109      35       1775    Shares                X                 1        1775    0        0
BRIGGS &
  STRATTON         COMMON
  CORP...........   STOCK  109043109      14        800    Shares                X                 1         800    0        0
BRIGUS GOLD        COMMON
  CORP...........   STOCK  109490102      39      50000    Shares                X                 1       50000    0        0
BRINKER INTL INC   COMMON
  COM............   STOCK  109641100      43       1562    Shares                X                 1        1562    0        0
BRINKER INTL INC   COMMON
  COM............   STOCK  109641100      39       1425    Shares                         X        1        1425    0        0
BRISTOL-MYERS      COMMON
  SQUIBB CO......   STOCK  110122108   10292     304947    Shares                X                 1      303889    0     1058
BRISTOL-MYERS      COMMON
  SQUIBB CO......   STOCK  110122108    6634     196563    Shares                         X        1      176553    0    20010
BRISTOL-MYERS      COMMON
  SQUIBB CO......   STOCK  110122108      37       1098    Shares                X                 3        1098    0        0
BRITISH
  AMERICAN
  TOBACCO-SP       COMMON
  ADR............   STOCK  110448107       3         28    Shares                X                 1          28    0        0
BROADCOM CORP      COMMON
  CL A...........   STOCK  111320107    1257      31977    Shares                X                 1       31525    0      452
BROADCOM CORP      COMMON
  CL A...........   STOCK  111320107       9        232    Shares                         X        1         232    0        0
BROADSOFT........  COMMON
                    STOCK  11133B409     395      10333    Shares         X                                10333    0        0
BROADRIDGE
  FINANCIAL
  SOLUTIONS        COMMON
  INC............   STOCK  11133T103       4        150    Shares                         X        1         150    0        0
BROCADE
  COMMUNICATIONS   COMMON
  SYSTEM.........   STOCK  111621306       3        500    Shares                X                 1         500    0        0
BROWN & BROWN      COMMON
  INC COMMON.....   STOCK  115236101     241      10145    Shares                X                 1       10145    0        0
BROWN & BROWN      COMMON
  INC COMMON.....   STOCK  115236101     117       4920    Shares                X                 3        4920    0        0
BROWN-FORMAN       COMMON
  CORP CL B......   STOCK  115637209     743       8914    Shares                X                 1        8730    0      184
BROWN-FORMAN       COMMON
  CORP CL B......   STOCK  115637209      70        837    Shares                         X        1         837    0        0
BROWN-FORMAN       COMMON
  CORP CL B......   STOCK  115637209      14        167    Shares                X                 3         167    0        0
BUCKEYE
  PARTNERS LP
  UNIT LTD         COMMON
  PARTNE.........   STOCK  118230101       3         50    Shares                         X        1          50    0        0
BUFFALO WILD       COMMON
  WINGS INC......   STOCK  119848109      70        775    Shares                X                 1         775    0        0
CBS CORP CL B....  COMMON
                    STOCK  124857202    4864     143447    Shares                X                 1      142947    0      500
CBS CORP CL B....  COMMON
                    STOCK  124857202     115       3377    Shares                         X        1        3052    0      325
CBS CORP CL B....  COMMON
                    STOCK  124857202    1023      30161    Shares                X                 3       20890    0     9271
CBRE CLARION
  GLBL REAL
  ESTATE           COMMON
  INCOM..........   STOCK  12504G100    7178     892818    Shares                X                 1           0    0        0
CBRE CLARION
  GLBL REAL
  ESTATE           COMMON
  INCOM..........   STOCK  12504G100    2003     249175    Shares                         X        1           0    0        0
CBRE CLARION
  GLBL REAL
  ESTATE           COMMON
  INCOM..........   STOCK  12504G100     452      56259    Shares                X                 3           0    0        0
CBRE CLARION
  GLBL REAL
  ESTATE           COMMON
  INCOM..........   STOCK  12504G100       4        558    Shares                X                 4           0    0        0
CBRE GROUP         COMMON
  INC............   STOCK  12504L109    2674     133985    Shares                X                 1      133985    0        0


                                    7 of 32





                COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                        INVESTMENT AUTHORITY
                -------- --------- ---------- ------------------------ ----------------------
                                               SHARES                                                    VOTING AUTHORITY
                                                 OR      SHARES   PUT                                  ---------------------
NAME OF         TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER           CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------         -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                
CBRE GROUP       COMMON
 INC...........   STOCK  12504L109      24       1192    Shares                         X        1        1192    0       0
CBRE GROUP       COMMON
 INC...........   STOCK  12504L109     504      25248    Shares                X                 3       19179    0    6069
CH ENERGY
 GROUP INC       COMMON
 COM...........   STOCK  12541M102       7        100    Shares                X                 1         100    0       0
CH ENERGY
 GROUP INC       COMMON
 COM...........   STOCK  12541M102     127       1900    Shares                         X        1        1900    0       0
CH ROBINSON
 WORLDWIDE       COMMON
 INC...........   STOCK  12541W209    1076      16428    Shares                X                 1       16428    0       0
CH ROBINSON
 WORLDWIDE       COMMON
 INC...........   STOCK  12541W209     180       2752    Shares                X                 3        2752    0       0
CIGNA CORP.....  COMMON
                  STOCK  125509109     154       3125    Shares                         X        1        3125    0       0
CME GROUP        COMMON
 INC...........   STOCK  12572Q105      32        112    Shares                X                 1         112    0       0
CME GROUP        COMMON
 INC...........   STOCK  12572Q105       3         10    Shares                         X        1          10    0       0
CNOOC LTD        COMMON
 -ADR..........   STOCK  126132109      21        102    Shares                X                 1         102    0       0
CPFL ENERGIA     COMMON
 SA - ADR......   STOCK  126153105      45       1500    Shares                X                 1        1500    0       0
CSX CORP         COMMON
 COMMON........   STOCK  126408103    2488     115602    Shares                X                 1      115602    0       0
CSX CORP         COMMON
 COMMON........   STOCK  126408103    1423      66139    Shares                         X        1       65539    0     600
CVR ENERGY       COMMON
 INC...........   STOCK  12662P108      13        475    Shares                X                 1         475    0       0
CVR PARTNERS     COMMON
 LP............   STOCK  126633106       5        200    Shares                         X        1           0    0       0
CVS/CAREMARK     COMMON
 CORP..........   STOCK  126650100    2562      57188    Shares                X                 1       57188    0       0
CVS/CAREMARK     COMMON
 CORP..........   STOCK  126650100    1004      22415    Shares                         X        1       21831    0     584
CA INC.........  COMMON
                  STOCK  12673P105     142       5150    Shares                X                 1        5150    0       0
CABOT OIL &      COMMON
 GAS CORP......   STOCK  127097103     228       7312    Shares                X                 1        7312    0       0
CABOT OIL &      COMMON
 GAS CORP......   STOCK  127097103     110       3540    Shares                X                 3        3540    0       0
CALAMOS
 GLOBAL
 DYNAMIC         COMMON
 INCOME........   STOCK  12811L107       8        900    Shares                X                 1           0    0       0
CALAMOS
 STRATEGIC       COMMON
 TOT RET FD....   STOCK  128125101      50       5000    Shares                         X        1           0    0       0
CALLAWAY
 GOLF CO         COMMON
 COM...........   STOCK  131193104       0         23    Shares                X                 1          23    0       0
CAMDEN
 PROPERTY
 TRUST           COMMON
 (REIT)........   STOCK  133131102      66       1000    Shares                X                 1           0    0       0
CAMERON
 INTERNATIONAL   COMMON
 CORP..........   STOCK  13342B105    3143      59495    Shares                X                 1       58923    0     572
CAMERON
 INTERNATIONAL   COMMON
 CORP..........   STOCK  13342B105      80       1512    Shares                         X        1        1512    0       0
CAMERON
 INTERNATIONAL   COMMON
 CORP..........   STOCK  13342B105     205       3877    Shares                X                 3        3877    0       0
CAMERON
 INTERNATIONAL   COMMON
 CORP..........   STOCK  13342B105      26        500    Shares                         X        4         500    0       0
CAMPBELL SOUP    COMMON
 CO COM........   STOCK  134429109      44       1300    Shares                X                 1        1300    0       0
CAMPBELL SOUP    COMMON
 CO COM........   STOCK  134429109     103       3050    Shares                         X        1        3050    0       0
CANADIAN
 NATIONAL
 RAILWAY         COMMON
 COMPANY.......   STOCK  136375102      24        300    Shares                X                 1         300    0       0
CANADIAN
 NATURAL
 RESOURCES       COMMON
 LTD...........   STOCK  136385101      15        450    Shares                X                 1         450    0       0
CANADIAN
 NATURAL
 RESOURCES       COMMON
 LTD...........   STOCK  136385101      11        322    Shares                         X        1         322    0       0
CANON INC        COMMON
 SPONS ADR.....   STOCK  138006309      26        555    Shares                         X        1         555    0       0
CAPITAL ONE
 FINANCIAL       COMMON
 CORP..........   STOCK  14040H105     455       8158    Shares                X                 1        8158    0       0
CAPITAL ONE
 FINANCIAL       COMMON
 CORP..........   STOCK  14040H105     518       9300    Shares                         X        1        8800    0     500
CAPITALSOURCE    COMMON
 INC...........   STOCK  14055X102       8       1250    Shares                X                 1        1250    0       0
CAPSTEAD
 MORTGAGE
 CV PFD $1.26    COMMON
 SER...........   STOCK  14067E308      35       2400    Shares                X                 1           0    0       0
CARDINAL
 HEALTH          COMMON
 INC...........   STOCK  14149Y108     156       3608    Shares                X                 1        3608    0       0
CARDINAL
 HEALTH          COMMON
 INC...........   STOCK  14149Y108      56       1297    Shares                         X        1        1297    0       0
CARDTRONICS      COMMON
 INC...........   STOCK  14161H108      40       1525    Shares                X                 1        1525    0       0
CAREFUSION       COMMON
 CORP..........   STOCK  14170T101       3        125    Shares                X                 1         125    0       0
CAREFUSION       COMMON
 CORP..........   STOCK  14170T101       8        298    Shares                         X        1         298    0       0
CARLISLE
 COMPANIES       COMMON
 INC...........   STOCK  142339100     100       2000    Shares                         X        1        2000    0       0
CARMAX INC.....  COMMON
                  STOCK  143130102    1876      54129    Shares                X                 1       53153    0     976
CARMAX INC.....  COMMON
                  STOCK  143130102      66       1906    Shares                         X        1        1906    0       0
CARMAX INC.....  COMMON
                  STOCK  143130102      31        906    Shares                X                 3         906    0       0
CARNIVAL         COMMON
 CORPORATION...   STOCK  143658300     541      16864    Shares                X                 1       16864    0       0
CARNIVAL         COMMON
 CORPORATION...   STOCK  143658300     198       6175    Shares                         X        1        5175    0    1000
CARPENTER
 TECHNOLOGY      COMMON
 CORP COM......   STOCK  144285103      41        776    Shares                         X        1         776    0       0
CASH AMERICA     COMMON
 INTL INC......   STOCK  14754D100      46        950    Shares                X                 1         950    0       0
CATALYST
 HEALTH
 SOLUTIONS       COMMON
 INC...........   STOCK  14888B103      69       1075    Shares                X                 1        1075    0       0
CATERPILLAR      COMMON
 INC...........   STOCK  149123101   14787     138821    Shares                X                 1      137046    0    1775
CATERPILLAR      COMMON
 INC...........   STOCK  149123101    2601      24415    Shares                         X        1       21235    0    3180
CATERPILLAR      COMMON
 INC...........   STOCK  149123101    2007      18842    Shares                X                 3       16197    0    2645
CAVIUM INC.....  COMMON
                  STOCK  14964U108      23        750    Shares                X                 1         750    0       0
CEDAR FAIR LTD   COMMON
 PTR...........   STOCK  150185106      22        750    Shares                X                 1         750    0       0
CELGENE CORP     COMMON
 COM...........   STOCK  151020104    1977      25509    Shares                X                 1       25169    0     340
CELGENE CORP     COMMON
 COM...........   STOCK  151020104     236       3050    Shares                         X        1        2150    0     900
CELGENE CORP     COMMON
 COM...........   STOCK  151020104      36        463    Shares                X                 3         463    0       0
CENOVUS
 ENERGY          COMMON
 INC...........   STOCK  15135U109      22        600    Shares                X                 1         600    0       0
CENOVUS
 ENERGY          COMMON
 INC...........   STOCK  15135U109      11        300    Shares                         X        1         300    0       0
CENTERPOINT
 ENERGY          COMMON
 INC...........   STOCK  15189T107      15        750    Shares                X                 1         750    0       0
CENTRAIS
 ELETRICAS
 BRAS-SP ADR     COMMON
 CM............   STOCK  15234Q207      14       1540    Shares                         X        1        1540    0       0
CENTURYLINK      COMMON
 INC...........   STOCK  156700106     318       8223    Shares                X                 1        8223    0       0
CENTURYLINK      COMMON
 INC...........   STOCK  156700106     105       2719    Shares                         X        1        2719    0       0
CERNER CORP....  COMMON
                  STOCK  156782104    5042      66206    Shares                X                 1       65876    0     330


                                    8 of 32





                 COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                         INVESTMENT AUTHORITY
                 -------- --------- ---------- ------------------------ ----------------------
                                                SHARES                                                    VOTING AUTHORITY
                                                  OR      SHARES   PUT                                  ---------------------
NAME OF          TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER            CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------          -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                 
CERNER CORP.....  COMMON
                   STOCK  156782104    1037      13615    Shares                         X        1       11655    0     1960
CERNER CORP.....  COMMON
                   STOCK  156782104     428       5621    Shares                X                 3        3730    0     1891
CHARLES RIVER
 LABS INTL INC    COMMON
 COM............   STOCK  159864107      30        825    Shares                X                 1         825    0        0
CHART
 INDUSTRIES       COMMON
 INC............   STOCK  16115Q308      33        450    Shares                X                 1         450    0        0
CHESAPEAKE
 ENERGY CORP      COMMON
 COM............   STOCK  165167107     209       9006    Shares                X                 1        9006    0        0
CHESAPEAKE
 ENERGY CORP      COMMON
 COM............   STOCK  165167107       6        275    Shares                         X        1         275    0        0
CHESAPEAKE
 GRANITE WASH     COMMON
 TRUST..........   STOCK  165185109      14        525    Shares                X                 1           0    0        0
CHEVRON CORP....  COMMON
                   STOCK  166764100   26029     242783    Shares                X                 1      239786    0     2997
CHEVRON CORP....  COMMON
                   STOCK  166764100   19037     177568    Shares                         X        1      167244    0    10324
CHEVRON CORP....  COMMON
                   STOCK  166764100      58        542    Shares                X                 3         542    0        0
CHICAGO
 BRIDGE & IRON    COMMON
 CO N V COM.....   STOCK  167250109       1         25    Shares                         X        1          25    0        0
CHIMERA
 INVESTMENT       COMMON
 CORP...........   STOCK  16934Q109       4       1250    Shares                X                 1           0    0        0
CHINA MOBILE
 LTD SPON         COMMON
 ADR............   STOCK  16941M109      14        256    Shares                X                 1         256    0        0
CHINA MOBILE
 LTD SPON         COMMON
 ADR............   STOCK  16941M109      37        675    Shares                         X        1         675    0        0
CHINA TELECOM
 CORP             COMMON
 LTD-ADR........   STOCK  169426103       5        100    Shares                         X        1         100    0        0
CHIPOTLE
 MEXICAN          COMMON
 GRILL-CL A.....   STOCK  169656105    2113       5056    Shares                X                 1        4980    0       76
CHIPOTLE
 MEXICAN          COMMON
 GRILL-CL A.....   STOCK  169656105      74        178    Shares                         X        1         178    0        0
CHUBB CORP......  COMMON
                   STOCK  171232101     479       6935    Shares                X                 1        6935    0        0
CHUBB CORP......  COMMON
                   STOCK  171232101      48        700    Shares                         X        1         700    0        0
CHURCH &
 DWIGHT CO        COMMON
 INC............   STOCK  171340102     319       6494    Shares                X                 1        6494    0        0
CHURCH &
 DWIGHT CO        COMMON
 INC............   STOCK  171340102     154       3130    Shares                X                 3        3130    0        0
CIMAREX ENERGY    COMMON
 CO.............   STOCK  171798101      15        200    Shares                         X        1         200    0        0
CINCINNATI
 FINANCIAL CORP   COMMON
 COMMON.........   STOCK  172062101      51       1487    Shares                X                 1        1487    0        0
CINCINNATI
 FINANCIAL CORP   COMMON
 COMMON.........   STOCK  172062101      19        550    Shares                         X        1         550    0        0
CINEMARK
 HOLDINGS         COMMON
 INC............   STOCK  17243V102      51       2325    Shares                X                 1        2325    0        0
CIRRUS LOGIC      COMMON
 INC............   STOCK  172755100      38       1600    Shares                X                 1        1600    0        0
CISCO SYSTEMS     COMMON
 INC............   STOCK  17275R102   12540     592925    Shares                X                 1      585116    0     7809
CISCO SYSTEMS     COMMON
 INC............   STOCK  17275R102    3585     169526    Shares                         X        1      154059    0    15467
CISCO SYSTEMS     COMMON
 INC............   STOCK  17275R102    1958      92579    Shares                X                 3       82443    0    10136
CITIGROUP INC...  COMMON
                   STOCK  172967424     198       5404    Shares                X                 1        5404    0        0
CITIGROUP INC...  COMMON
                   STOCK  172967424      90       2460    Shares                         X        1        1844    0      616
CITRIX SYSTEMS    COMMON
 INC COM........   STOCK  177376100    2812      35639    Shares                X                 1       35191    0      448
CITRIX SYSTEMS    COMMON
 INC COM........   STOCK  177376100      89       1132    Shares                         X        1        1132    0        0
CITRIX SYSTEMS    COMMON
 INC COM........   STOCK  177376100     189       2400    Shares                X                 3        2400    0        0
GUGGENHEIM S&P
 GLOBAL           COMMON
 DIVIDEND.......   STOCK  18383M860       3        200    Shares                         X        1           0    0        0
GUGGENHEIM S&P
 GLOBAL           COMMON
 WATER..........   STOCK  18383Q507       2        100    Shares                         X        1           0    0        0
CLEAN ENERGY
 FUELS            COMMON
 CORPORATION....   STOCK  184499101      27       1250    Shares                X                 1        1250    0        0
CLIFFS NATURAL
 RESOURCES        COMMON
 INC............   STOCK  18683K101    2358      34051    Shares                X                 1       34051    0        0
CLIFFS NATURAL
 RESOURCES        COMMON
 INC............   STOCK  18683K101     116       1670    Shares                         X        1        1270    0      400
CLIFFS NATURAL
 RESOURCES        COMMON
 INC............   STOCK  18683K101      28        399    Shares                X                 3         399    0        0
CLOROX            COMMON
 COMPANY........   STOCK  189054109     507       7373    Shares                X                 1        7373    0        0
CLOROX            COMMON
 COMPANY........   STOCK  189054109     369       5365    Shares                         X        1        3365    0     2000
CLOUGH GLOBAL     COMMON
 OPPORTUNITIES..   STOCK  18914E106     125      10613    Shares                X                 1           0    0        0
COACH INC         COMMON
 COMMON.........   STOCK  189754104    1246      16117    Shares                X                 1       14617    0     1500
COACH INC         COMMON
 COMMON.........   STOCK  189754104     368       4767    Shares                         X        1        4767    0        0
COACH INC         COMMON
 COMMON.........   STOCK  189754104     202       2610    Shares                X                 3        2610    0        0
COCA COLA
 BOTTLING CO      COMMON
 CONSOLIDATED...   STOCK  191098102       8        125    Shares                X                 1         125    0        0
COCA COLA CO      COMMON
 COM............   STOCK  191216100   18979     256436    Shares                X                 1      253325    0     3111
COCA COLA CO      COMMON
 COM............   STOCK  191216100    7546     101957    Shares                         X        1       97164    0     4793
COCA COLA CO      COMMON
 COM............   STOCK  191216100    2137      28869    Shares                X                 3       25639    0     3230
COCA-COLA
 ENTERPRISES      COMMON
 INC............   STOCK  19122T109      29       1000    Shares                X                 1        1000    0        0
CODORUS VALLEY    COMMON
 BANCORP INC....   STOCK  192025104     197      17600    Shares                X                 1       17600    0        0
CODORUS VALLEY    COMMON
 BANCORP INC....   STOCK  192025104     102       9106    Shares                         X        1        9106    0        0
COGENT
 COMMUNICATIONS   COMMON
 GROUP..........   STOCK  19239V302      28       1450    Shares                X                 1        1450    0        0
COGNIZANT
 TECHNOLOGY
 SOLUTIONS        COMMON
 CORP...........   STOCK  192446102    3063      39803    Shares                X                 1       39235    0      568
COGNIZANT
 TECHNOLOGY
 SOLUTIONS        COMMON
 CORP...........   STOCK  192446102     340       4418    Shares                         X        1        4418    0        0
COHEN & STEERS    COMMON
 INC............   STOCK  19247A100      18        575    Shares                X                 1         575    0        0
COHEN & STEERS
 REIT & PFD INC   COMMON
 FD.............   STOCK  19247X100      26       1600    Shares                         X        1           0    0        0
COHU              COMMON
 INCORPORATED...   STOCK  192576106      14       1200    Shares                X                 1        1200    0        0
COLFAX            COMMON
 CORPORATION....   STOCK  194014106      46       1300    Shares                X                 1        1300    0        0
COLGATE
 PALMOLIVE CO     COMMON
 COM............   STOCK  194162103    5562      56879    Shares                X                 1       56879    0        0
COLGATE
 PALMOLIVE CO     COMMON
 COM............   STOCK  194162103    3984      40742    Shares                         X        1       36692    0     4050
COLGATE
 PALMOLIVE CO     COMMON
 COM............   STOCK  194162103      84        855    Shares                X                 3         855    0        0
COLLECTORS        COMMON
 UNIVERSE INC...   STOCK  19421R200       3        150    Shares                X                 1         150    0        0
COMCAST CORP      COMMON
 NEW A..........   STOCK  20030N101    3178     105890    Shares                X                 1      105105    0      785
COMCAST CORP      COMMON
 NEW A..........   STOCK  20030N101     966      32194    Shares                         X        1       26478    0     5716
COMCAST CORP      COMMON
 NEW A..........   STOCK  20030N101     818      27263    Shares                X                 3       27263    0        0


                                    9 of 32





                COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                        INVESTMENT AUTHORITY
                -------- --------- ---------- ------------------------ ----------------------
                                               SHARES                                                    VOTING AUTHORITY
                                                 OR      SHARES   PUT                                  ---------------------
NAME OF         TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER           CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------         -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                
COMCAST CORP-    COMMON
 SPECIAL CL A..   STOCK  20030N200      65       2218    Shares                X                 1        2218    0       0
COMCAST CORP-    COMMON
 SPECIAL CL A..   STOCK  20030N200     112       3784    Shares                         X        1        3784    0       0
COMMERCIAL
 NATL
 FINANCIAL       COMMON
 CORP..........   STOCK  202217105      19        820    Shares                X                 1         820    0       0
COMMERCIAL
 VEHICLE         COMMON
 GROUP INC.....   STOCK  202608105      14       1125    Shares                X                 1        1125    0       0
COMMONWEALTH     COMMON
 REIT..........   STOCK  203233101       7        400    Shares                         X        1           0    0       0
COMMUNITY
 BANK SYSTEM     COMMON
 INC...........   STOCK  203607106     100       3480    Shares                X                 1         980    0    2500
COMMUNITY
 HEALTH          COMMON
 SYSTEMS INC...   STOCK  203668108       5        217    Shares                X                 1         217    0       0
COMPANHIA DE
 BEBIDAS DAS     COMMON
 AMERICAS......   STOCK  20441W203      53       1278    Shares                X                 1           0    0       0
COMPANHIA DE
 BEBIDAS DAS     COMMON
 AMERICAS......   STOCK  20441W203       2         54    Shares                         X        1           0    0       0
COMPUTER
 SCIENCES CORP   COMMON
 COM...........   STOCK  205363104       5        172    Shares                X                 1         172    0       0
COMPUTER TASK    COMMON
 GROUP.........   STOCK  205477102     900      58750    Shares                X                 1       58750    0       0
COMVERSE
 TECHNOLOGY      COMMON
 INC COM.......   STOCK  205862402       1        200    Shares                X                 1         200    0       0
CONAGRA FOODS    COMMON
 INC...........   STOCK  205887102       9        360    Shares                X                 1         360    0       0
CONAGRA FOODS    COMMON
 INC...........   STOCK  205887102      35       1346    Shares                         X        1        1346    0       0
CON-WAY INC....  COMMON
                  STOCK  205944101      16        500    Shares                X                 1         500    0       0
CONCHO
 RESOURCES       COMMON
 INC...........   STOCK  20605P101      11        104    Shares                X                 1         104    0       0
CONCUR
 TECHNOLOGIES    COMMON
 INCORPORATED..   STOCK  206708109      44        775    Shares                X                 1         775    0       0
CONOCOPHILLIPS.  COMMON
                  STOCK  20825C104   10040     132093    Shares                X                 1      130296    0    1797
CONOCOPHILLIPS.  COMMON
                  STOCK  20825C104    4532      59623    Shares                         X        1       55403    0    4220
CONOCOPHILLIPS.  COMMON
                  STOCK  20825C104      80       1048    Shares                X                 3        1048    0       0
CONSOL ENERGY    COMMON
 INC...........   STOCK  20854P109     118       3450    Shares                X                 1        3450    0       0
CONSOL ENERGY    COMMON
 INC...........   STOCK  20854P109      29        850    Shares                         X        1           0    0     850
CONSOLIDATED     COMMON
 EDISON INC....   STOCK  209115104     168       2876    Shares                X                 1        2876    0       0
CONSOLIDATED     COMMON
 EDISON INC....   STOCK  209115104      45        774    Shares                         X        1         474    0     300
CONSTELLATION
 BRANDS INC CL   COMMON
 A.............   STOCK  21036P108       6        270    Shares                         X        1         270    0       0
CONTINENTAL
 RESOURCES       COMMON
 INC...........   STOCK  212015101       4         50    Shares                         X        1           0    0      50
COOPER TIRE &    COMMON
 RUBBER CO.....   STOCK  216831107      14        950    Shares                X                 1         950    0       0
CORN PRODUCTS
 INTERNATIONAL   COMMON
 INC...........   STOCK  219023108      23        400    Shares                         X        1         400    0       0
CORNING INC....  COMMON
                  STOCK  219350105    2710     192494    Shares                X                 1      192494    0       0
CORNING INC....  COMMON
                  STOCK  219350105     402      28543    Shares                         X        1       22143    0    6400
CORNING INC....  COMMON
                  STOCK  219350105      14       1007    Shares                X                 3        1007    0       0
COSTCO
 WHOLESALE       COMMON
 CORP COM......   STOCK  22160K105    1147      12629    Shares                X                 1       12629    0       0
COSTCO
 WHOLESALE       COMMON
 CORP COM......   STOCK  22160K105     218       2402    Shares                         X        1        2402    0       0
COSTCO
 WHOLESALE       COMMON
 CORP COM......   STOCK  22160K105      33        361    Shares                X                 3         361    0       0
COSTCO
 WHOLESALE       COMMON
 CORP COM......   STOCK  22160K105     114       1250    Shares                         X        4        1250    0       0
COVANCE INC      COMMON
 COM...........   STOCK  222816100      40        848    Shares                X                 1         848    0       0
COVANCE INC      COMMON
 COM...........   STOCK  222816100      48       1000    Shares                         X        1        1000    0       0
CRANE CO.......  COMMON
                  STOCK  224399105     340       7000    Shares                X                 1        7000    0       0
CREDIT SUISSE
 GROUP
 SPONSORED       COMMON
 ADR...........   STOCK  225401108      21        738    Shares                X                 1         738    0       0
CREDIT SUISSE
 GROUP
 SPONSORED       COMMON
 ADR...........   STOCK  225401108      19        675    Shares                         X        1         675    0       0
CREE RESEARCH    COMMON
 INC COM.......   STOCK  225447101       7        218    Shares                X                 1         218    0       0
CREE RESEARCH    COMMON
 INC COM.......   STOCK  225447101      24        750    Shares                         X        1           0    0     750
CROWN CASTLE
 INTL CORP       COMMON
 COM...........   STOCK  228227104       4         82    Shares                X                 1          82    0       0
CROWN
 HOLDINGS        COMMON
 INC...........   STOCK  228368106     449      12178    Shares                X                 1       12178    0       0
CROWN
 HOLDINGS        COMMON
 INC...........   STOCK  228368106     199       5400    Shares                X                 3        5400    0       0
CUMMINS INC      COMMON
 COM...........   STOCK  231021106    2078      17311    Shares                X                 1       17086    0     225
CUMMINS INC      COMMON
 COM...........   STOCK  231021106     225       1875    Shares                         X        1        1575    0     300
CUMMINS INC      COMMON
 COM...........   STOCK  231021106     181       1510    Shares                X                 3        1510    0       0
CURTISS WRIGHT   COMMON
 CORP..........   STOCK  231561101      39       1064    Shares                X                 1        1064    0       0
CUTERA INC.....  COMMON
                  STOCK  232109108       3        400    Shares                X                 1         400    0       0
DNB FINANCIAL    COMMON
 CORPORATION...   STOCK  233237106      26       1878    Shares                X                 1        1878    0       0
DNP SELECT
 INCOME FUND     COMMON
 INC...........   STOCK  23325P104      10       1000    Shares                         X        1           0    0       0
D R HORTON       COMMON
 INC...........   STOCK  23331A109    2149     141633    Shares                X                 1      140633    0    1000
D R HORTON       COMMON
 INC...........   STOCK  23331A109     279      18397    Shares                         X        1       13112    0    5285
D R HORTON       COMMON
 INC...........   STOCK  23331A109     824      54308    Shares                X                 3       54308    0       0
DTE ENERGY
 COMPANY         COMMON
 COMMON........   STOCK  233331107     154       2800    Shares                X                 1        2800    0       0
DTE ENERGY
 COMPANY         COMMON
 COMMON........   STOCK  233331107      55       1001    Shares                         X        1        1001    0       0
DSW INC-CL A...  COMMON
                  STOCK  23334L102      26        475    Shares                X                 1         475    0       0
DWS MUNICIPAL
 INCOME          COMMON
 TRUST.........   STOCK  23338M106      41       3000    Shares                X                 1           0    0       0
DANA HOLDING     COMMON
 CORPORATION...   STOCK  235825205      14        875    Shares                X                 1         875    0       0
DANAHER CORP     COMMON
 COM...........   STOCK  235851102    3394      60599    Shares                X                 1       60599    0       0
DANAHER CORP     COMMON
 COM...........   STOCK  235851102     281       5015    Shares                         X        1        3875    0    1140
DANAHER CORP     COMMON
 COM...........   STOCK  235851102     423       7553    Shares                X                 3        4676    0    2877
DARDEN
 RESTAURANTS     COMMON
 INC COM.......   STOCK  237194105     775      15139    Shares                X                 1       15139    0       0
DARDEN
 RESTAURANTS     COMMON
 INC COM.......   STOCK  237194105     120       2350    Shares                         X        1        2350    0       0
DAVITA INC       COMMON
 COMMON........   STOCK  23918K108       4         48    Shares                X                 1          48    0       0
DAVITA INC       COMMON
 COMMON........   STOCK  23918K108       9        100    Shares                         X        1           0    0     100


                                   10 of 32





                 COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                         INVESTMENT AUTHORITY
                 -------- --------- ---------- ------------------------ ----------------------
                                                SHARES                                                    VOTING AUTHORITY
                                                  OR      SHARES   PUT                                  ---------------------
NAME OF          TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER            CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------          -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                 
DEERE & CO        COMMON
 COMMON.........   STOCK  244199105    2477      30612    Shares                X                 1       30012    0     600
DEERE & CO        COMMON
 COMMON.........   STOCK  244199105     475       5870    Shares                         X        1        4384    0    1486
DELL INC........  COMMON
                   STOCK  24702R101    1516      91381    Shares                X                 1       90167    0    1214
DELL INC........  COMMON
                   STOCK  24702R101     137       8245    Shares                         X        1        6445    0    1800
DELL INC........  COMMON
                   STOCK  24702R101      17       1004    Shares                X                 3        1004    0       0
DELTA AIR LINES   COMMON
 INC............   STOCK  247361702       0         18    Shares                X                 1          18    0       0
DENTSPLY
 INTERNATIONAL    COMMON
 INC COM........   STOCK  249030107    1110      27669    Shares                X                 1       27469    0     200
DENTSPLY
 INTERNATIONAL    COMMON
 INC COM........   STOCK  249030107     169       4200    Shares                         X        1        4200    0       0
DESCARTES
 SYSTEMS GROUP    COMMON
 INC/THE........   STOCK  249906108      32       3700    Shares                X                 1        3700    0       0
DESARROLLADORA    COMMON
 HOMEX ADR......   STOCK  25030W100       0         24    Shares                X                 1          24    0       0
DEVON ENERGY      COMMON
 CORP...........   STOCK  25179M103      98       1379    Shares                X                 1        1379    0       0
DEVON ENERGY      COMMON
 CORP...........   STOCK  25179M103     131       1836    Shares                         X        1        1836    0       0
DEXCOM INC......  COMMON
                   STOCK  252131107      29       2775    Shares                X                 1        2775    0       0
DIAGEO PLC
 SPONSORED        COMMON
 ADR............   STOCK  25243Q205     306       3170    Shares                X                 1        3170    0       0
DIAGEO PLC
 SPONSORED        COMMON
 ADR............   STOCK  25243Q205      60        625    Shares                         X        1         625    0       0
DIAGEO PLC
 SPONSORED        COMMON
 ADR............   STOCK  25243Q205      48        500    Shares                X                 3         500    0       0
DIAMOND
 OFFSHORE
 DRILLING         COMMON
 COM............   STOCK  25271C102      38        575    Shares                X                 1         575    0       0
DIEBOLD INC       COMMON
 COMMON.........   STOCK  253651103       3         90    Shares                X                 1          90    0       0
DINEEQUITY INC..  COMMON
                   STOCK  254423106     321       6476    Shares                X                 1        6476    0       0
DINEEQUITY INC..  COMMON
                   STOCK  254423106     140       2820    Shares                X                 3        2820    0       0
DISNEY WALT       COMMON
 CO.............   STOCK  254687106    6594     150609    Shares                X                 1      150309    0     300
DISNEY WALT       COMMON
 CO.............   STOCK  254687106    2109      48182    Shares                         X        1       42932    0    5250
DISNEY WALT       COMMON
 CO.............   STOCK  254687106     306       6984    Shares                X                 3        4192    0    2792
DISCOVER
 FINANCIAL        COMMON
 SERVICES.......   STOCK  254709108      11        321    Shares                         X        1         165    0     156
DISCOVERY
 COMMUNICATIONS   COMMON
 INC............   STOCK  25470F104      12        234    Shares                X                 1         234    0       0
DISCOVERY
 COMMUNICATIONS   COMMON
 INC............   STOCK  25470F104      35        696    Shares                         X        1         696    0       0
DISCOVERY
 COMMUNICATIONS   COMMON
 INC - C........   STOCK  25470F302      11        234    Shares                X                 1         234    0       0
DISCOVERY
 COMMUNICATIONS   COMMON
 INC - C........   STOCK  25470F302      58       1239    Shares                         X        1        1239    0       0
DISH NETWORK      COMMON
 CORP CL A......   STOCK  25470M109      63       1906    Shares                X                 1        1906    0       0
DISH NETWORK      COMMON
 CORP CL A......   STOCK  25470M109       3         84    Shares                         X        1          84    0       0
THE DIRECTV
 GROUP HLDGS      COMMON
 CL A...........   STOCK  25490A101     192       3882    Shares                X                 1        3882    0       0
THE DIRECTV
 GROUP HLDGS      COMMON
 CL A...........   STOCK  25490A101     293       5946    Shares                         X        1        5946    0       0
DOLLAR TREE       COMMON
 INC............   STOCK  256746108    1655      17511    Shares                X                 1       17225    0     286
DOLLAR TREE       COMMON
 INC............   STOCK  256746108      54        574    Shares                         X        1         574    0       0
DOMINION
 RESOURCES        COMMON
 INC............   STOCK  25746U109    5464     106707    Shares                X                 1      105459    0    1248
DOMINION
 RESOURCES        COMMON
 INC............   STOCK  25746U109    3040      59371    Shares                         X        1       50271    0    9100
DOMINION
 RESOURCES        COMMON
 INC............   STOCK  25746U109     102       2000    Shares                         X        4        2000    0       0
DOVER CORP        COMMON
 COMMON.........   STOCK  260003108     669      10630    Shares                X                 1       10630    0       0
DOVER CORP        COMMON
 COMMON.........   STOCK  260003108      41        644    Shares                         X        1         644    0       0
DOW CHEMICAL      COMMON
 CO.............   STOCK  260543103    4027     116239    Shares                X                 1      116239    0       0
DOW CHEMICAL      COMMON
 CO.............   STOCK  260543103    1717      49566    Shares                         X        1       49566    0       0
DOW CHEMICAL      COMMON
 CO.............   STOCK  260543103      43       1252    Shares                X                 3        1252    0       0
DREYFUS
 MUNICIPAL        COMMON
 INCOME FUND....   STOCK  26201R102      71       7200    Shares                         X        1           0    0       0
DREYFUS
 STRATEGIC MUN    COMMON
 BD FD..........   STOCK  26202F107     240      27602    Shares                X                 1           0    0       0
DREYFUS
 STRATEGIC MUN    COMMON
 BD FD..........   STOCK  26202F107      61       7000    Shares                         X        1           0    0       0
E I DUPONT DE
 NEMOURS & CO     COMMON
 COMMON.........   STOCK  263534109    9899     187131    Shares                X                 1      186616    0     515
E I DUPONT DE
 NEMOURS & CO     COMMON
 COMMON.........   STOCK  263534109    6666     126002    Shares                         X        1      118727    0    7275
E I DUPONT DE
 NEMOURS & CO     COMMON
 COMMON.........   STOCK  263534109    1563      29548    Shares                X                 3       25286    0    4262
DUKE ENERGY       COMMON
 CORP...........   STOCK  26441C105    2419     115126    Shares                X                 1      113596    0    1530
DUKE ENERGY       COMMON
 CORP...........   STOCK  26441C105     606      28846    Shares                         X        1       25682    0    3164
DUKE ENERGY       COMMON
 CORP...........   STOCK  26441C105      80       3810    Shares                X                 3        3810    0       0
DUN &
 BRADSTREET       COMMON
 CORP...........   STOCK  26483E100      23        266    Shares                X                 1         266    0       0
DUN &
 BRADSTREET       COMMON
 CORP...........   STOCK  26483E100      37        433    Shares                         X        1         433    0       0
EMC CORP MASS     COMMON
 COM............   STOCK  268648102   13300     445115    Shares                X                 1      441631    0    3484
EMC CORP MASS     COMMON
 COM............   STOCK  268648102    1443      48302    Shares                         X        1       47852    0     450
EMC CORP MASS     COMMON
 COM............   STOCK  268648102     659      22045    Shares                X                 3       13985    0    8060
ENI SPA-SPONS     COMMON
 ADR............   STOCK  26874R108      18        380    Shares                         X        1         380    0       0
EOG RESOURCES     COMMON
 INC COM........   STOCK  26875P101     461       4146    Shares                X                 1        4146    0       0
EOG RESOURCES     COMMON
 INC COM........   STOCK  26875P101     137       1231    Shares                         X        1        1231    0       0
EQT               COMMON
 CORPORATION....   STOCK  26884L109      48        990    Shares                X                 1         990    0       0
EQT               COMMON
 CORPORATION....   STOCK  26884L109      63       1300    Shares                         X        1        1300    0       0
EAGLE MATERIALS
 INC COM W        COMMON
 RIGHTS.........   STOCK  26969P108      28        800    Shares                X                 1         800    0       0
EASTERN
 INSURANCE        COMMON
 HOLDINGS.......   STOCK  276534104       7        500    Shares                X                 1         500    0       0
EASTMAN
 CHEMICAL
 COMPANY          COMMON
 COM............   STOCK  277432100      52       1000    Shares                         X        1           0    0    1000
EATON CORP        COMMON
 COM............   STOCK  278058102     491       9851    Shares                X                 1        9851    0       0
EATON CORP        COMMON
 COM............   STOCK  278058102      30        600    Shares                         X        1         600    0       0
EATON VANCE       COMMON
 CORP...........   STOCK  278265103    1991      69656    Shares                X                 1       68614    0    1042


                                   11 of 32





                     COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                             INVESTMENT AUTHORITY
                                                                            ----------------------
                                                    SHARES                                                    VOTING AUTHORITY
                                                      OR      SHARES   PUT                                  ---------------------
NAME OF              TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER                CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------              -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                     
EATON VANCE           COMMON
 CORP...............   STOCK  278265103      76       2652    Shares                         X        1        2652    0        0
EATON VANCE           COMMON
 CORP...............   STOCK  278265103      28        978    Shares                X                 3         978    0        0
EATON VANCE
 MUNICIPAL
 INCOME               COMMON
 TRUST..............   STOCK  27826U108      68       5000    Shares                         X        1           0    0        0
EATON VANCE
 FLOATING RATE        COMMON
 INCOME CE..........   STOCK  278279104       7        450    Shares                X                 1           0    0        0
EATON VANCE
 MUNICIPAL            COMMON
 BOND FD II.........   STOCK  27827K109      35       2400    Shares                X                 1           0    0        0
EATON VANCE NY        COMMON
 MUNI BD FD.........   STOCK  27827Y109      20       1500    Shares                         X        1           0    0        0
EATON VANCE
 TAX-MANAGED          COMMON
 DIV EQ.............   STOCK  27828N102       7        750    Shares                X                 1           0    0        0
EATON VANCE
 SENIOR
 FLOATING RATE        COMMON
 CE.................   STOCK  27828Q105     552      36200    Shares                X                 1           0    0        0
EATON VANCE
 SENIOR
 FLOATING RATE        COMMON
 CE.................   STOCK  27828Q105      58       3802    Shares                         X        1           0    0        0
EATON VANCE
 TAX MAN GLBL         COMMON
 BR.................   STOCK  27829C105      11       1000    Shares                X                 1           0    0        0
EATON VANCE
 TAX-MANAGED          COMMON
 GLOBAL.............   STOCK  27829F108       3        300    Shares                X                 1           0    0        0
EBAY INC COM........  COMMON
                       STOCK  278642103     261       7081    Shares                X                 1        7081    0        0
EBAY INC COM........  COMMON
                       STOCK  278642103      10        275    Shares                         X        1         275    0        0
ECOLAB INC            COMMON
 COM................   STOCK  278865100    1144      18536    Shares                X                 1       18536    0        0
ECOLAB INC            COMMON
 COM................   STOCK  278865100     123       2000    Shares                         X        1        2000    0        0
EDISON
 INTERNATIONAL        COMMON
 COM................   STOCK  281020107      42        992    Shares                X                 1         992    0        0
EDISON
 INTERNATIONAL        COMMON
 COM................   STOCK  281020107      53       1250    Shares                         X        1        1250    0        0
EDWARDS
 LIFESCIENCES         COMMON
 CORP COM...........   STOCK  28176E108      49        676    Shares                X                 1         676    0        0
EL PASO CORP          COMMON
 COM................   STOCK  28336L109      19        635    Shares                X                 1         635    0        0
EL PASO PIPELINE      COMMON
 PARTNERS LP........   STOCK  283702108      55       1575    Shares                X                 1        1575    0        0
ELECTRONICS           COMMON
 ARTS COM...........   STOCK  285512109      27       1635    Shares                X                 1        1635    0        0
ELECTRONICS           COMMON
 ARTS COM...........   STOCK  285512109      23       1425    Shares                         X        1         225    0     1200
EMERSON               COMMON
 ELECTRIC CO........   STOCK  291011104    5442     104302    Shares                X                 1      103502    0      800
EMERSON               COMMON
 ELECTRIC CO........   STOCK  291011104    4578      87726    Shares                         X        1       75726    0    12000
ENCANA CORP.........  COMMON
                       STOCK  292505104      12        600    Shares                X                 1         600    0        0
ENCANA CORP.........  COMMON
                       STOCK  292505104      29       1500    Shares                         X        1        1500    0        0
ENBRIDGE INC........  COMMON
                       STOCK  29250N105      41       1048    Shares                X                 1        1048    0        0
ENCORE CAPITAL        COMMON
 GROUP INC..........   STOCK  292554102      52       2300    Shares                X                 1        2300    0        0
ENERGIZER HLDGS       COMMON
 INC COM............   STOCK  29266R108    1402      18905    Shares                X                 1       18511    0      394
ENERGIZER HLDGS       COMMON
 INC COM............   STOCK  29266R108      23        304    Shares                         X        1         304    0        0
ENERGY
 TRANSFER             COMMON
 PARTNERS LP........   STOCK  29273R109      60       1275    Shares                X                 1        1275    0        0
ENERGY
 TRANSFER             COMMON
 PARTNERS LP........   STOCK  29273R109      26        550    Shares                         X        1         500    0       50
ENERPLUS CORP.......  COMMON
                       STOCK  292766102      26       1155    Shares                         X        1        1155    0        0
ENSCO PLC...........  COMMON
                       STOCK  29358Q109       8        150    Shares                X                 1         150    0        0
ENSCO PLC...........  COMMON
                       STOCK  29358Q109      53       1000    Shares                         X        1         200    0      800
ENTERGY CORP          COMMON
 COM NEW............   STOCK  29364G103     138       2059    Shares                X                 1        2059    0        0
ENTERGY CORP          COMMON
 COM NEW............   STOCK  29364G103     118       1760    Shares                         X        1        1760    0        0
ENTERPRISE
 PRODUCTS             COMMON
 PARTNERS LP........   STOCK  293792107     255       5062    Shares                X                 1        5062    0        0
ENTERPRISE
 PRODUCTS             COMMON
 PARTNERS LP........   STOCK  293792107      20        404    Shares                         X        1         404    0        0
EQUIFAX INC           COMMON
 COM................   STOCK  294429105      53       1200    Shares                         X        1        1200    0        0
EQUINIX INC.........  COMMON
                       STOCK  29444U502      53        337    Shares                X                 1         337    0        0
EQUINIX INC.........  COMMON
                       STOCK  29444U502       3         20    Shares                         X        1          20    0        0
EQUITY ONE            COMMON
 INCORPORATED.......   STOCK  294752100       8        400    Shares                X                 1           0    0        0
EQUITY
 RESIDENTIAL          COMMON
 REIT...............   STOCK  29476L107      34        543    Shares                X                 1           0    0        0
EQUITY
 RESIDENTIAL          COMMON
 REIT...............   STOCK  29476L107     166       2646    Shares                         X        1           0    0        0
TELEFONAKTIEBOLAGET
 LM ERICSSON          COMMON
 ADR................   STOCK  294821608      31       3032    Shares                X                 1        3032    0        0
TELEFONAKTIEBOLAGET
 LM ERICSSON          COMMON
 ADR................   STOCK  294821608      22       2115    Shares                         X        1        2115    0        0
ERIE INDEMNITY        COMMON
 CO CL A............   STOCK  29530P102     164       2106    Shares                X                 1        2106    0        0
DELHAIZE GROUP
 SPONSORED            COMMON
 ADR................   STOCK  29759W101       5        100    Shares                X                 1         100    0        0
EVERCORE
 PARTNERS INC         COMMON
 CL A...............   STOCK  29977A105      60       2075    Shares                X                 1        2075    0        0
EXELON CORP.........  COMMON
                       STOCK  30161N101    3104      79162    Shares                X                 1       79162    0        0
EXELON CORP.........  COMMON
                       STOCK  30161N101    2334      59533    Shares                         X        1       57553    0     1980
EXELIS INC..........  COMMON
                       STOCK  30162A108       3        200    Shares                X                 1         200    0        0
EXELIS INC..........  COMMON
                       STOCK  30162A108      33       2620    Shares                         X        1        2620    0        0
EXPEDITORS INTL
 WASH INC             COMMON
 COM................   STOCK  302130109     740      15901    Shares                X                 1       15439    0      462
EXPEDITORS INTL
 WASH INC             COMMON
 COM................   STOCK  302130109      42        898    Shares                         X        1         698    0      200
EXPEDITORS INTL
 WASH INC             COMMON
 COM................   STOCK  302130109     121       2610    Shares                X                 3        2610    0        0
EXPRESS SCRIPTS       COMMON
 INC................   STOCK  302182100   13992     258242    Shares                X                 1      256238    0     2004
EXPRESS SCRIPTS       COMMON
 INC................   STOCK  302182100    3642      67229    Shares                         X        1       63054    0     4175
EXPRESS SCRIPTS       COMMON
 INC................   STOCK  302182100    1428      26353    Shares                X                 3       22105    0     4248
EXPRESS INC.........  COMMON
                       STOCK  30219E103      35       1400    Shares                X                 1        1400    0        0
EXXON MOBIL           COMMON
 CORP...............   STOCK  30231G102   61313     706945    Shares                X                 1      700776    0     6169
EXXON MOBIL           COMMON
 CORP...............   STOCK  30231G102   51068     588820    Shares                         X        1      513536    0    75284
EXXON MOBIL           COMMON
 CORP...............   STOCK  30231G102    2507      28909    Shares                X                 3       24918    0     3991
EXXON MOBIL           COMMON
 CORP...............   STOCK  30231G102     265       3050    Shares                         X        4        3050    0        0
FLIR SYSTEMS          COMMON
 INC................   STOCK  302445101     292      11525    Shares                X                 1       11525    0        0
FLIR SYSTEMS          COMMON
 INC................   STOCK  302445101     142       5600    Shares                X                 3        5600    0        0


                                   12 of 32





                 COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                         INVESTMENT AUTHORITY
                 -------- --------- ---------- ------------------------ ----------------------
                                                SHARES                                                    VOTING AUTHORITY
                                                  OR      SHARES   PUT                                  ---------------------
NAME OF          TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER            CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------          -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                 
FMC
 TECHNOLOGIES     COMMON
 INC COM........   STOCK  30249U101     228       4530    Shares                X                 1        4530    0        0
FMC
 TECHNOLOGIES     COMMON
 INC COM........   STOCK  30249U101     103       2050    Shares                X                 3        2050    0        0
FNB CORP PA.....  COMMON
                   STOCK  302520101      88       7260    Shares                X                 1        7260    0        0
FNB CORP PA.....  COMMON
                   STOCK  302520101      59       4907    Shares                         X        1           0    0     4907
FACTSET
 RESEARCH         COMMON
 SYSTEMS INC....   STOCK  303075105      50        500    Shares                         X        1         500    0        0
FAMILY DOLLAR     COMMON
 STORES.........   STOCK  307000109       7        115    Shares                X                 1         115    0        0
FAMILY DOLLAR     COMMON
 STORES.........   STOCK  307000109       5         75    Shares                         X        1          75    0        0
FASTENAL CO.....  COMMON
                   STOCK  311900104     426       7874    Shares                X                 1        7874    0        0
FASTENAL CO.....  COMMON
                   STOCK  311900104     111       2052    Shares                         X        1        2052    0        0
FASTENAL CO.....  COMMON
                   STOCK  311900104     160       2950    Shares                X                 3        2950    0        0
FEDERAL REALTY    COMMON
 INV TR (REIT)..   STOCK  313747206      97       1000    Shares                         X        1           0    0        0
FEDEX CORP        COMMON
 COM............   STOCK  31428X106    1787      19435    Shares                X                 1       18545    0      890
FEDEX CORP        COMMON
 COM............   STOCK  31428X106     181       1963    Shares                         X        1        1963    0        0
FEDEX CORP        COMMON
 COM............   STOCK  31428X106      18        194    Shares                X                 3         194    0        0
F5 NETWORKS       COMMON
 INC............   STOCK  315616102     826       6119    Shares                X                 1        6119    0        0
F5 NETWORKS       COMMON
 INC............   STOCK  315616102     213       1575    Shares                         X        1        1575    0        0
F5 NETWORKS       COMMON
 INC............   STOCK  315616102     143       1060    Shares                X                 3        1060    0        0
FIDELITY NATL
 INFORMATION      COMMON
 SERVICES.......   STOCK  31620M106      54       1620    Shares                X                 1        1620    0        0
FIFTH THIRD
 BANCORP          COMMON
 COM............   STOCK  316773100     144      10219    Shares                X                 1       10219    0        0
FINISAR           COMMON
 CORPORATION....   STOCK  31787A507     397      19712    Shares                X                 1       19712    0        0
FINISAR           COMMON
 CORPORATION....   STOCK  31787A507      21       1050    Shares                X                 3        1050    0        0
THE FINISH LINE   COMMON
 INC CL A.......   STOCK  317923100      12        575    Shares                X                 1         575    0        0
FIRST CASH
 FINANCIAL        COMMON
 SERVICES INC...   STOCK  31942D107      68       1575    Shares                X                 1        1575    0        0
FIRST NIAGARA
 FINANCIAL        COMMON
 GROUP..........   STOCK  33582V108      13       1292    Shares                X                 1        1292    0        0
FIRST NIAGARA
 FINANCIAL        COMMON
 GROUP..........   STOCK  33582V108       2        225    Shares                         X        1         225    0        0
FIRST SOLAR       COMMON
 INC............   STOCK  336433107       5        200    Shares                X                 1         200    0        0
FIRST TRUST
 ENHANCED
 EQUITY           COMMON
 INCOME.........   STOCK  337318109      27       2200    Shares                         X        1           0    0        0
FISERV INC......  COMMON
                   STOCK  337738108      17        250    Shares                         X        1          50    0      200
FIRSTENERGY       COMMON
 CORP...........   STOCK  337932107     166       3638    Shares                X                 1        3638    0        0
FIRSTENERGY       COMMON
 CORP...........   STOCK  337932107     150       3299    Shares                         X        1        3099    0      200
FLEXIBLE
 SOLUTIONS        COMMON
 INTERNATIONAL..   STOCK  33938T104       1        250    Shares                X                 1         250    0        0
FLOTEK
 INDUSTRIES       COMMON
 INC............   STOCK  343389102      24       2000    Shares                X                 1        2000    0        0
FLUOR CORP......  COMMON
                   STOCK  343412102      22        359    Shares                X                 1         359    0        0
FLUOR CORP......  COMMON
                   STOCK  343412102     180       3000    Shares                         X        1        3000    0        0
FLOWERS FOODS     COMMON
 INC COM........   STOCK  343498101      15        750    Shares                X                 1         750    0        0
FLOWSERVE CORP    COMMON
 COM............   STOCK  34354P105       5         40    Shares                X                 1          40    0        0
FOMENTO
 ECONOMICO
 MEXICANA         COMMON
 ADR............   STOCK  344419106       1         14    Shares                X                 1          14    0        0
FOOT LOCKER       COMMON
 INC............   STOCK  344849104      41       1325    Shares                X                 1        1325    0        0
FORD MOTOR        COMMON
 CO.............   STOCK  345370860    4946     396470    Shares                X                 1      394870    0     1600
FORD MOTOR        COMMON
 CO.............   STOCK  345370860     423      33932    Shares                         X        1       26337    0     7595
FORD MOTOR        COMMON
 CO.............   STOCK  345370860    1494     119775    Shares                X                 3      102388    0    17387
FOREST LABS INC   COMMON
 COM............   STOCK  345838106      55       1595    Shares                X                 1        1595    0        0
FOREST LABS INC   COMMON
 COM............   STOCK  345838106      59       1710    Shares                         X        1        1710    0        0
FORESTAR GROUP    COMMON
 INC............   STOCK  346233109       1         42    Shares                X                 1          42    0        0
FORTUNE HOME
 BRANDS HOME &    COMMON
 SEC INC........   STOCK  34964C106      79       3560    Shares                X                 1        3560    0        0
FORTUNE HOME
 BRANDS HOME &    COMMON
 SEC INC........   STOCK  34964C106      63       2871    Shares                         X        1        2871    0        0
FOSSIL INC......  COMMON
                   STOCK  349882100       5         40    Shares                X                 1          40    0        0
FRANKLIN
 RESOURCES        COMMON
 INC............   STOCK  354613101      45        360    Shares                X                 1         360    0        0
FREEPORT-
 MCMORAN
 COPPER & GOLD    COMMON
 INC............   STOCK  35671D857    6005     157852    Shares                X                 1      156697    0     1155
FREEPORT-
 MCMORAN
 COPPER & GOLD    COMMON
 INC............   STOCK  35671D857     592      15571    Shares                         X        1       11646    0     3925
FREEPORT-
 MCMORAN
 COPPER & GOLD    COMMON
 INC............   STOCK  35671D857    1358      35700    Shares                X                 3       30763    0     4937
FREEPORT-
 MCMORAN
 COPPER & GOLD    COMMON
 INC............   STOCK  35671D857      32        850    Shares                         X        4         850    0        0
FRESENIUS
 MEDICAL CARE     COMMON
 AG-ADR.........   STOCK  358029106      34        479    Shares                         X        1         479    0        0
FRONTIER
 COMMUNICATIONS   COMMON
 CORP...........   STOCK  35906A108      64      15245    Shares                X                 1       13167    0     2078
FRONTIER
 COMMUNICATIONS   COMMON
 CORP...........   STOCK  35906A108      46      11048    Shares                         X        1       10316    0      732
FULL HOUSE        COMMON
 RESORTS INC....   STOCK  359678109       1        500    Shares                X                 1         500    0        0
FULTON
 FINANCIAL        COMMON
 CORP...........   STOCK  360271100    1153     109788    Shares                X                 1      109788    0        0
FULTON
 FINANCIAL        COMMON
 CORP...........   STOCK  360271100     234      22282    Shares                         X        1       21940    0      342
FULTON
 FINANCIAL        COMMON
 CORP...........   STOCK  360271100    4224     402282    Shares                X                 3      402282    0        0
GATX CORP         COMMON
 COMMON.........   STOCK  361448103      25        625    Shares                X                 1         625    0        0
GSV CAPITAL       COMMON
 CORP...........   STOCK  36191J101      19       1000    Shares                X                 1        1000    0        0
GALLAGHER
 ARTHUR J. &      COMMON
 CO.............   STOCK  363576109      93       2615    Shares                X                 1        2615    0        0
GAMESTOP CORP -   COMMON
 CLASS A........   STOCK  36467W109     260      11917    Shares                X                 1       11917    0        0
GAMESTOP CORP -   COMMON
 CLASS A........   STOCK  36467W109     125       5740    Shares                X                 3        5740    0        0
GANNET CO         COMMON
 COMMON.........   STOCK  364730101      31       2000    Shares                         X        1        2000    0        0
GAP INC COM.....  COMMON
                   STOCK  364760108      54       2069    Shares                X                 1        2069    0        0
GAP INC COM.....  COMMON
                   STOCK  364760108      65       2500    Shares                         X        1        2500    0        0


                                   13 of 32





                  COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                          INVESTMENT AUTHORITY
                  -------- --------- ---------- ------------------------ ----------------------
                                                 SHARES                                                    VOTING AUTHORITY
                                                   OR      SHARES   PUT                                  ---------------------
NAME OF           TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER             CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------           -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                  
GENERAL
 DYNAMICS CORP     COMMON
 COM.............   STOCK  369550108    1861       25356   Shares                X                 1       25356    0        0
GENERAL
 DYNAMICS CORP     COMMON
 COM.............   STOCK  369550108     686        9355   Shares                         X        1        9355    0        0
GENERAL
 ELECTRIC          COMMON
 COMPANY.........   STOCK  369604103   24191     1205339   Shares                X                 1     1189164    0    16175
GENERAL
 ELECTRIC          COMMON
 COMPANY.........   STOCK  369604103   24497     1220590   Shares                         X        1     1175497    0    45093
GENERAL
 ELECTRIC          COMMON
 COMPANY.........   STOCK  369604103    1420       70744   Shares                X                 3       61969    0     8775
GENERAL MILLS      COMMON
 INC.............   STOCK  370334104    3226       81777   Shares                X                 1       81777    0        0
GENERAL MILLS      COMMON
 INC.............   STOCK  370334104    1641       41608   Shares                         X        1       40708    0      900
GENERAL MILLS      COMMON
 INC.............   STOCK  370334104      39        1000   Shares                X                 3        1000    0        0
GENERAL MOTORS     COMMON
 CO..............   STOCK  37045V100      11         425   Shares                X                 1         425    0        0
GENERAL MOTORS     COMMON
 CO..............   STOCK  37045V100      10         406   Shares                         X        1         406    0        0
GM CO WARRANTS     COMMON
 7/10/16.........   STOCK  37045V118       6         387   Shares                X                 1         387    0        0
GM CO WARRANTS     COMMON
 7/10/16.........   STOCK  37045V118       6         370   Shares                         X        1         370    0        0
GM CO WARRANTS     COMMON
 7/10/19.........   STOCK  37045V126       4         387   Shares                X                 1         387    0        0
GM CO WARRANTS     COMMON
 7/10/19.........   STOCK  37045V126       4         370   Shares                         X        1         370    0        0
GENESCO INC        COMMON
 COM.............   STOCK  371532102      21         300   Shares                X                 1         300    0        0
GENUINE PARTS      COMMON
 INC.............   STOCK  372460105     121        1925   Shares                X                 1        1925    0        0
GENUINE PARTS      COMMON
 INC.............   STOCK  372460105      78        1250   Shares                         X        1        1250    0        0
GILEAD SCIENCES    COMMON
 INC COM.........   STOCK  375558103    1630       33369   Shares                X                 1       33369    0        0
GILEAD SCIENCES    COMMON
 INC COM.........   STOCK  375558103     460        9420   Shares                         X        1        8631    0      789
GLACIER BANCORP    COMMON
 INC NEW.........   STOCK  37637Q105      22        1442   Shares                X                 1        1442    0        0
GLATFELTER.......  COMMON
                    STOCK  377316104     256       16225   Shares                X                 1       16225    0        0
GLAXOSMITHKLINE    COMMON
 PLC ADR.........   STOCK  37733W105     748       16657   Shares                X                 1       16657    0        0
GLAXOSMITHKLINE    COMMON
 PLC ADR.........   STOCK  37733W105    1141       25401   Shares                         X        1       18901    0     6500
GLOBAL             COMMON
 PAYMENTS INC....   STOCK  37940X102     254        5349   Shares                X                 1        5349    0        0
GLOBAL             COMMON
 PAYMENTS INC....   STOCK  37940X102     122        2570   Shares                X                 3        2570    0        0
GOLDCORP INC.....  COMMON
                    STOCK  380956409       2          50   Shares                X                 1          50    0        0
GOLDMAN SACHS
 GROUP INC         COMMON
 COM.............   STOCK  38141G104    6456       51907   Shares                X                 1       50957    0      950
GOLDMAN SACHS
 GROUP INC         COMMON
 COM.............   STOCK  38141G104     485        3903   Shares                         X        1        3389    0      514
GOLDMAN SACHS
 GROUP INC         COMMON
 COM.............   STOCK  38141G104    1146        9218   Shares                X                 3        8027    0     1191
GOOGLE INC CL      COMMON
 A...............   STOCK  38259P508    8934       13933   Shares                X                 1       13883    0       50
GOOGLE INC CL      COMMON
 A...............   STOCK  38259P508     834        1300   Shares                         X        1        1012    0      288
GOOGLE INC CL      COMMON
 A...............   STOCK  38259P508     350         546   Shares                X                 3         403    0      143
GOVERNMENT
 PROPERTIES        COMMON
 INCOME TRUST....   STOCK  38376A103      24        1000   Shares                X                 1           0    0        0
GOVERNMENT
 PROPERTIES        COMMON
 INCOME TRUST....   STOCK  38376A103      65        2700   Shares                         X        1           0    0        0
WR GRACE & CO....  COMMON
                    STOCK  38388F108     336        5811   Shares                X                 1        5811    0        0
WR GRACE & CO....  COMMON
                    STOCK  38388F108     162        2805   Shares                X                 3        2805    0        0
GRACO INC COM....  COMMON
                    STOCK  384109104     356        6708   Shares                X                 1        6708    0        0
GRACO INC COM....  COMMON
                    STOCK  384109104       3          50   Shares                         X        1          50    0        0
GRACO INC COM....  COMMON
                    STOCK  384109104     164        3090   Shares                X                 3        3090    0        0
W W GRAINGER INC   COMMON
 COM.............   STOCK  384802104    1010        4700   Shares                X                 1        4700    0        0
W W GRAINGER INC   COMMON
 COM.............   STOCK  384802104     537        2500   Shares                         X        1        2500    0        0
GREAT PLAINS       COMMON
 ENERGY INC......   STOCK  391164100      16         770   Shares                X                 1         770    0        0
GREATER CHINA      COMMON
 FUND INC........   STOCK  39167B102       3         300   Shares                X                 1           0    0        0
GREEN DOT CORP     COMMON
 CL A............   STOCK  39304D102       0          18   Shares                X                 1          18    0        0
GREEN MOUNTAIN
 COFFEE            COMMON
 ROASTERS INC....   STOCK  393122106     660       14085   Shares                X                 1       14085    0        0
GREEN MOUNTAIN
 COFFEE            COMMON
 ROASTERS INC....   STOCK  393122106     137        2935   Shares                X                 3        2935    0        0
GRUPO TELEVISA     COMMON
 SA SPONS ADR....   STOCK  40049J206       1          34   Shares                X                 1          34    0        0
GRUPO TELEVISA     COMMON
 SA SPONS ADR....   STOCK  40049J206       6         297   Shares                         X        1         297    0        0
GUESS? INC.......  COMMON
                    STOCK  401617105       3          95   Shares                X                 1          95    0        0
GULFPORT ENERGY    COMMON
 CORP............   STOCK  402635304      19         650   Shares                X                 1         650    0        0
HCP
 INCORPORATED      COMMON
 REITS...........   STOCK  40414L109      68        1722   Shares                X                 1           0    0        0
HCP
 INCORPORATED      COMMON
 REITS...........   STOCK  40414L109       8         208   Shares                         X        1           0    0        0
HSBC HOLDINGS      COMMON
 PLC SPON ADR....   STOCK  404280406      48        1086   Shares                X                 1        1086    0        0
HSBC HOLDINGS      COMMON
 PLC SPON ADR....   STOCK  404280406      14         323   Shares                         X        1         323    0        0
HALLIBURTON        COMMON
 HLDG CO COM.....   STOCK  406216101    1053       31721   Shares                X                 1       31721    0        0
HALLIBURTON        COMMON
 HLDG CO COM.....   STOCK  406216101     133        4000   Shares                         X        1        4000    0        0
HALLIBURTON        COMMON
 HLDG CO COM.....   STOCK  406216101      39        1174   Shares                X                 3        1174    0        0
JOHN HANCOCK       COMMON
 PFD INC FD II...   STOCK  41013X106      23        1050   Shares                X                 1           0    0        0
HANESBRANDS        COMMON
 INC.............   STOCK  410345102      15         500   Shares                         X        1         100    0      400
HARLEY DAVIDSON    COMMON
 COMMON..........   STOCK  412822108     282        5736   Shares                X                 1        5736    0        0
HARLEY DAVIDSON    COMMON
 COMMON..........   STOCK  412822108     167        3400   Shares                         X        1         200    0     3200
HARRIS CORP        COMMON
 COMMON..........   STOCK  413875105       4          85   Shares                X                 1          85    0        0
HARRIS CORP        COMMON
 COMMON..........   STOCK  413875105     265        5875   Shares                         X        1        5875    0        0
HARSCO CORP        COMMON
 COMMON..........   STOCK  415864107    2809      119719   Shares                X                 1      119719    0        0
HARSCO CORP        COMMON
 COMMON..........   STOCK  415864107    1334       56881   Shares                         X        1       56881    0        0
HARTFORD
 FINANCIAL SVCS    COMMON
 GRP INC.........   STOCK  416515104      64        3036   Shares                X                 1        3036    0        0
HARTFORD
 FINANCIAL SVCS    COMMON
 GRP INC.........   STOCK  416515104      50        2370   Shares                         X        1        1480    0      890


                                   14 of 32





                COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                        INVESTMENT AUTHORITY
                -------- --------- ---------- ------------------------ ----------------------
                                               SHARES                                                    VOTING AUTHORITY
                                                 OR      SHARES   PUT                                  ---------------------
NAME OF         TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER           CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------         -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                
HATTERAS
  FINANCIAL      COMMON
  CORP.........   STOCK  41902R103    1164      41724    Shares                X                 1           0    0        0
HATTERAS
  FINANCIAL      COMMON
  CORP.........   STOCK  41902R103      52       1852    Shares                         X        1           0    0        0
HATTERAS
  FINANCIAL      COMMON
  CORP.........   STOCK  41902R103      18        642    Shares                X                 3           0    0        0
HAWAIIAN
  ELECTRIC
  INDUSTRIES     COMMON
  COMMON.......   STOCK  419870100      18        714    Shares                X                 1         714    0        0
HEALTH
  MANAGEMENT-    COMMON
  CLASS A......   STOCK  421933102       0         50    Shares                         X        1          50    0        0
HEALTH CARE      COMMON
  REIT INC.....   STOCK  42217K106      42        770    Shares                X                 1           0    0        0
HEALTH CARE      COMMON
  REIT INC.....   STOCK  42217K106      10        190    Shares                         X        1           0    0        0
HEALTH NET INC   COMMON
  COM..........   STOCK  42222G108      14        357    Shares                X                 1         357    0        0
HEARTLAND
  PAYMENT
  SYSTEMS        COMMON
  INC..........   STOCK  42235N108      37       1275    Shares                X                 1        1275    0        0
HECLA MNG CO     COMMON
  COM..........   STOCK  422704106     162      35000    Shares                X                 1       35000    0        0
HEICO
  CORPORATION    COMMON
  - CLASS A....   STOCK  422806208     216       5375    Shares                X                 1        5375    0        0
HEICO
  CORPORATION    COMMON
  - CLASS A....   STOCK  422806208     105       2610    Shares                X                 3        2610    0        0
HEINZ H J CO     COMMON
  COM..........   STOCK  423074103    1244      23239    Shares                X                 1       23239    0        0
HEINZ H J CO     COMMON
  COM..........   STOCK  423074103     503       9399    Shares                         X        1        9399    0        0
HENRY JACK &
  ASSOC INC      COMMON
  COM..........   STOCK  426281101      37       1075    Shares                X                 1        1075    0        0
HERCULES
  TECHNOLOGY     COMMON
  GROWTH.......   STOCK  427096508       9        812    Shares                X                 1         812    0        0
HERITAGE-
  CRYSTAL        COMMON
  CLEAN INC....   STOCK  42726M106      18        900    Shares                X                 1         900    0        0
THE HERSHEY      COMMON
  COMPANY......   STOCK  427866108    2544      41485    Shares                X                 1       40455    0     1030
THE HERSHEY      COMMON
  COMPANY......   STOCK  427866108    1604      26152    Shares                         X        1       22352    0     3800
THE HERSHEY      COMMON
  COMPANY......   STOCK  427866108      14        226    Shares                X                 3         226    0        0
HESS             COMMON
  CORPORATION..   STOCK  42809H107     118       2000    Shares                         X        1        2000    0        0
HEWLETT-
  PACKARD        COMMON
  CO...........   STOCK  428236103    1505      63147    Shares                X                 1       63147    0        0
HEWLETT-
  PACKARD        COMMON
  CO...........   STOCK  428236103     784      32910    Shares                         X        1       29710    0     3200
HEXCEL CORP....  COMMON
                  STOCK  428291108      50       2075    Shares                X                 1        2075    0        0
HITACHI LTD      COMMON
  SPONS ADR....   STOCK  433578507       4         58    Shares                X                 1          58    0        0
HITACHI LTD      COMMON
  SPONS ADR....   STOCK  433578507      12        180    Shares                         X        1         180    0        0
HOLOGIC INC      COMMON
  COM..........   STOCK  436440101     142       6600    Shares                         X        1        3200    0     3400
HOME DEPOT INC   COMMON
  COM..........   STOCK  437076102    6354     126304    Shares                X                 1      125204    0     1100
HOME DEPOT INC   COMMON
  COM..........   STOCK  437076102    4406      87575    Shares                         X        1       83435    0     4140
HOME
  PROPERTIES     COMMON
  INC (REIT)...   STOCK  437306103     153       2500    Shares                         X        1           0    0        0
HONDA MTR LTD    COMMON
  AMERN SHS....   STOCK  438128308      11        286    Shares                X                 1         286    0        0
HONDA MTR LTD    COMMON
  AMERN SHS....   STOCK  438128308      26        675    Shares                         X        1         675    0        0
HONEYWELL
  INTL INC       COMMON
  COM..........   STOCK  438516106     912      14938    Shares                X                 1       14938    0        0
HONEYWELL
  INTL INC       COMMON
  COM..........   STOCK  438516106    1810      29643    Shares                         X        1       29643    0        0
HOSPIRA INC....  COMMON
                  STOCK  441060100      77       2065    Shares                X                 1        2065    0        0
HOSPIRA INC....  COMMON
                  STOCK  441060100      35        924    Shares                         X        1         924    0        0
HUDSON
  TECHNOLOGIES   COMMON
  INC..........   STOCK  444144109       2        500    Shares                X                 1         500    0        0
HUGOTON
  ROYALTY        COMMON
  TRUST........   STOCK  444717102       2        150    Shares                         X        1           0    0      150
HUMANA INC       COMMON
  COM..........   STOCK  444859102      10        112    Shares                X                 1         112    0        0
HUMAN GENOME
  SCIENCES INC   COMMON
  COMMON.......   STOCK  444903108       2        300    Shares                         X        1         300    0        0
J B HUNT
  TRANSPORT
  SERVICES       COMMON
  INC..........   STOCK  445658107       5         95    Shares                X                 1          95    0        0
HUNTINGTON
  INGALLS
  INDUSTRIES     COMMON
  WI...........   STOCK  446413106      11        265    Shares                         X        1         265    0        0
HYPERDYNAMICS    COMMON
  CORP.........   STOCK  448954107       5       3676    Shares                X                 1        3676    0        0
IPG PHOTONICS    COMMON
  CORP.........   STOCK  44980X109     352       6767    Shares                X                 1        6767    0        0
IPG PHOTONICS    COMMON
  CORP.........   STOCK  44980X109     156       3000    Shares                X                 3        3000    0        0
ITT
  EDUCATIONAL
  SERVICES INC   COMMON
  COM..........   STOCK  45068B109     235       3552    Shares                X                 1        3552    0        0
ITT
  EDUCATIONAL
  SERVICES INC   COMMON
  COM..........   STOCK  45068B109     113       1710    Shares                X                 3        1710    0        0
ITT CORP-W/I...  COMMON
                  STOCK  450911201       2        100    Shares                X                 1         100    0        0
ITT CORP-W/I...  COMMON
                  STOCK  450911201      30       1310    Shares                         X        1        1310    0        0
IAMGOLD          COMMON
  CORP.........   STOCK  450913108       1        100    Shares                         X        1         100    0        0
ICON PLC
  SPONSORED      COMMON
  ADR..........   STOCK  45103T107      10        458    Shares                X                 1         458    0        0
ICICI BANK
  LIMITED
  SPONSORED      COMMON
  ADR..........   STOCK  45104G104       6        164    Shares                X                 1         164    0        0
IDEXX LABS       COMMON
  COMMON.......   STOCK  45168D104       3         39    Shares                X                 1          39    0        0
ILLINOIS TOOL
  WKS INC        COMMON
  COM..........   STOCK  452308109     267       4670    Shares                X                 1        4670    0        0
ILLINOIS TOOL
  WKS INC        COMMON
  COM..........   STOCK  452308109     440       7700    Shares                         X        1        7700    0        0
ILLUMINA INC...  COMMON
                  STOCK  452327109      49        926    Shares                X                 1         926    0        0
ILLUMINA INC...  COMMON
                  STOCK  452327109       1         14    Shares                         X        1          14    0        0
IMMUNOGEN        COMMON
  INC..........   STOCK  45253H101       1        100    Shares                         X        1           0    0      100
IMPERIAL OIL     COMMON
  LTD..........   STOCK  453038408     113       2500    Shares                         X        1        2500    0        0
INDIA FUND.....  COMMON
                  STOCK  454089103      75       3361    Shares                X                 1           0    0        0
INERGY LP......  COMMON
                  STOCK  456615103      36       2210    Shares                X                 1        2210    0        0
INFOSYS          COMMON
  LIMITED......   STOCK  456788108      11        200    Shares                X                 1         200    0        0
ING GROEP NV
  SPONSORED      COMMON
  ADR..........   STOCK  456837103      12       1450    Shares                         X        1        1450    0        0
INSULET CORP...  COMMON
                  STOCK  45784P101      23       1200    Shares                X                 1        1200    0        0
INTEL CORP       COMMON
  COM..........   STOCK  458140100   15231     541742    Shares                X                 1      535059    0     6683
INTEL CORP       COMMON
  COM..........   STOCK  458140100    6853     243762    Shares                         X        1      215972    0    27790
INTEL CORP       COMMON
  COM..........   STOCK  458140100     882      31385    Shares                X                 3       26780    0     4605


                                   15 of 32





                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES                                                    VOTING AUTHORITY
                                                    OR      SHARES   PUT                                  ---------------------
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------            -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                   
INTEGRYS ENERGY     COMMON
  GROUP INC.......   STOCK  45822P105      19        350    Shares                         X        1         350    0       0
INTERCONTINENTAL    COMMON
  EXCHANGE INC....   STOCK  45865V100     933       6791    Shares                X                 1        6791    0       0
INTERCONTINENTAL    COMMON
  EXCHANGE INC....   STOCK  45865V100     202       1470    Shares                X                 3        1470    0       0
INTERDIGITAL        COMMON
  INC.............   STOCK  45867G101      17        500    Shares                X                 1         500    0       0
IBM                 COMMON
  CORPORATION.....   STOCK  459200101   47455     227438    Shares                X                 1      225422    0    2016
IBM                 COMMON
  CORPORATION.....   STOCK  459200101   20228      96946    Shares                         X        1       88800    0    8146
IBM                 COMMON
  CORPORATION.....   STOCK  459200101    2395      11477    Shares                X                 3        9971    0    1506
INTL FLAVORS &
  FRAGRANCES INC    COMMON
  COM.............   STOCK  459506101      41        700    Shares                X                 1         700    0       0
INTERNATIONAL       COMMON
  PAPER CO COM....   STOCK  460146103     156       4432    Shares                X                 1        4432    0       0
INTERNATIONAL       COMMON
  PAPER CO COM....   STOCK  460146103     143       4073    Shares                         X        1        2137    0    1936
INTERNATIONAL
  SPEEDWAY CORP     COMMON
  CL A............   STOCK  460335201       1         50    Shares                X                 1          50    0       0
INTUIT INC COM....  COMMON
                     STOCK  461202103      53        875    Shares                X                 1         875    0       0
INTUITIVE           COMMON
  SURGICAL INC....   STOCK  46120E602    6214      11471    Shares                X                 1       11351    0     120
INTUITIVE           COMMON
  SURGICAL INC....   STOCK  46120E602     312        575    Shares                         X        1         575    0       0
INTUITIVE           COMMON
  SURGICAL INC....   STOCK  46120E602     326        602    Shares                X                 3         467    0     135
INTUITIVE           COMMON
  SURGICAL INC....   STOCK  46120E602     339        625    Shares                         X        4         625    0       0
INVESCO VAN
  KAMPEN TR INVT    COMMON
  MUNI............   STOCK  46131M106       9        600    Shares                X                 1           0    0       0
INVESCO VAN
  KAMPEN TR INVT    COMMON
  MUNI............   STOCK  46131M106      89       5851    Shares                         X        1           0    0       0
INVESCO VAN
  KAMPEN MUNI       COMMON
  OPP TR..........   STOCK  46132C107     108       7385    Shares                         X        1           0    0       0
INVESCO VAN
  KAMPEN            COMMON
  ADVANTAGE.......   STOCK  46132E103       8        600    Shares                X                 1           0    0       0
INVESCO VAN
  KAMPEN PA         COMMON
  VALUE...........   STOCK  46132K109     195      13400    Shares                X                 1           0    0       0
INVESCO VAN
  KAMPEN PA         COMMON
  VALUE...........   STOCK  46132K109     201      13763    Shares                         X        1           0    0       0
INVESCO VAN
  KAMPEN BOND       COMMON
  FUND............   STOCK  46132L107      17        818    Shares                X                 1           0    0       0
INVESCO VALUE
  MUNICIPAL         COMMON
  INCOME TRUS.....   STOCK  46132P108      44       2814    Shares                         X        1           0    0       0
INVESCO VAN
  KAMPEN QUALITY    COMMON
  MUNI............   STOCK  46133G107      20       1413    Shares                         X        1           0    0       0
INVESCO QUALITY     COMMON
  MUNI INVT TR....   STOCK  46133H105      24       1708    Shares                         X        1           0    0       0
INVESCO HIGH
  YIELD
  INVESTMENTS       COMMON
  FUND............   STOCK  46133K108       2        300    Shares                X                 1           0    0       0
IRON MTN INC PA     COMMON
  COM.............   STOCK  462846106       2         67    Shares                X                 1          67    0       0
IRON MTN INC PA     COMMON
  COM.............   STOCK  462846106       9        329    Shares                         X        1         329    0       0
ISHARES GOLD        COMMON
  TRUST...........   STOCK  464285105    1224      75256    Shares                X                 1           0    0       0
ISHARES GOLD        COMMON
  TRUST...........   STOCK  464285105       1         50    Shares                         X        1           0    0       0
ISHARES MSCI
  CANADA INDEX      COMMON
  ETF.............   STOCK  464286509      28        992    Shares                X                 1           0    0       0
ISHARES MSCI
  ISRAEL CAPD INV   COMMON
  MKT ET..........   STOCK  464286632      17        393    Shares                X                 1           0    0       0
ISHARES MSCI
  SINGAPORE INDEX   COMMON
  ETF.............   STOCK  464286673       4        272    Shares                X                 1         272    0       0
ISHARES MSCI
  SWITZERLAND       COMMON
  INDEX ETF.......   STOCK  464286749       4        155    Shares                X                 1           0    0       0
ISHARES MSCI
  SWEDEN INDEX      COMMON
  ETF.............   STOCK  464286756       4        128    Shares                X                 1           0    0       0
ISHARES MSCI
  SOUTH KOREA       COMMON
  INDEX ETF.......   STOCK  464286772       4         68    Shares                X                 1          68    0       0
ISHARES MSCI
  JAPAN INDEX       COMMON
  FD..............   STOCK  464286848      25       2500    Shares                X                 1           0    0       0
ISHARES MSCI
  JAPAN INDEX       COMMON
  FD..............   STOCK  464286848      34       3300    Shares                         X        1           0    0       0
ISHARES MSCI
  HONG KONG         COMMON
  INDEX ETF.......   STOCK  464286871       4        202    Shares                X                 1           0    0       0
ISHARES DJ SELECT   COMMON
  DIVIDEND ETF....   STOCK  464287168      98       1760    Shares                X                 1           0    0       0
ISHARES BARCLAYS    COMMON
  TIPS BOND ETF...   STOCK  464287176     454       3855    Shares                X                 1           0    0       0
ISHARES BARCLAYS    COMMON
  TIPS BOND ETF...   STOCK  464287176    1412      12001    Shares                X                 3           0    0       0
ISHARES FTSE        COMMON
  CHINA 25........   STOCK  464287184       9        244    Shares                X                 1           0    0       0
ISHARES S&P 500     COMMON
  INDEX ETF.......   STOCK  464287200    4371      30955    Shares                X                 1           0    0       0
ISHARES S&P 500     COMMON
  INDEX ETF.......   STOCK  464287200    1147       8123    Shares                         X        1           0    0       0
ISHARES BARCLAYS
  AGGREGATE         COMMON
  BOND ETF........   STOCK  464287226     382       3482    Shares                X                 1           0    0       0
ISHARES BARCLAYS
  AGGREGATE         COMMON
  BOND ETF........   STOCK  464287226      77        701    Shares                         X        1           0    0       0
ISHARES MSCI
  EMERGING MKTS     COMMON
  IDX ETF.........   STOCK  464287234     244       5672    Shares                X                 1           0    0       0
ISHARES MSCI
  EMERGING MKTS     COMMON
  IDX ETF.........   STOCK  464287234      67       1550    Shares                         X        1           0    0       0
ISHARES IBOXX $
  INV GRADE CORP    COMMON
  ETF.............   STOCK  464287242      87        750    Shares                X                 1           0    0       0
ISHARES IBOXX $
  INV GRADE CORP    COMMON
  ETF.............   STOCK  464287242     309       2675    Shares                X                 3        2675    0       0
ISHARES BARCLAYS
  1-3 YR TREAS BD   COMMON
  FD..............   STOCK  464287457      61        724    Shares                         X        1           0    0       0
ISHARES MSCI EAFE   COMMON
  INDEX ETF.......   STOCK  464287465   11161     203332    Shares                X                 1           0    0       0
ISHARES MSCI EAFE   COMMON
  INDEX ETF.......   STOCK  464287465    4717      85942    Shares                         X        1           0    0       0
ISHARES MSCI EAFE   COMMON
  INDEX ETF.......   STOCK  464287465     837      15246    Shares                X                 3           0    0       0
ISHARES MSCI EAFE   COMMON
  INDEX ETF.......   STOCK  464287465     729      13289    Shares                         X        3           0    0       0
ISHARES RUSSELL
  MIDCAP INDEX      COMMON
  ETF.............   STOCK  464287499      22        200    Shares                X                 1           0    0       0
ISHARES S&P
  MIDCAP 400        COMMON
  INDEX ETF.......   STOCK  464287507      60        606    Shares                X                 1           0    0       0
ISHARES S&P
  MIDCAP 400        COMMON
  INDEX ETF.......   STOCK  464287507     835       8415    Shares                         X        3           0    0       0
ISHARES COHEN &
  STEERS REALTY     COMMON
  ETF.............   STOCK  464287564      13        175    Shares                X                 1           0    0       0
ISHARES COHEN &
  STEERS REALTY     COMMON
  ETF.............   STOCK  464287564      30        390    Shares                X                 3           0    0       0
ISHARES RUSSELL
  1000 VALUE        COMMON
  INDEX ET........   STOCK  464287598    7494     106954    Shares                X                 1           0    0       0
ISHARES RUSSELL
  1000 VALUE        COMMON
  INDEX ET........   STOCK  464287598    1568      22383    Shares                         X        1           0    0       0
ISHARES RUSSELL
  1000 VALUE        COMMON
  INDEX ET........   STOCK  464287598    1367      19510    Shares                X                 3           0    0       0
ISHARES S&P
  MIDCAP 400        COMMON
  GRWTH IDX ET....   STOCK  464287606     747       6641    Shares                X                 1           0    0       0
ISHARES RUSSELL
  1000 GROWTH IDX   COMMON
  ETF.............   STOCK  464287614   10265     155335    Shares                X                 1           0    0       0


                                   16 of 32





                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES                                                    VOTING AUTHORITY
                                                    OR      SHARES   PUT                                  ---------------------
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------            -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                   
ISHARES RUSSELL
  1000 GROWTH IDX   COMMON
  ETF.............   STOCK  464287614    2105      31856    Shares                         X        1           0    0        0
ISHARES RUSSELL
  1000 GROWTH IDX   COMMON
  ETF.............   STOCK  464287614     287       4335    Shares                X                 3        4008    0        0
ISHARES RUSSELL     COMMON
  1000 INDEX ETF..   STOCK  464287622    4196      53821    Shares                X                 1           0    0        0
ISHARES RUSSELL     COMMON
  1000 INDEX ETF..   STOCK  464287622      10        124    Shares                         X        1           0    0        0
ISHARES RUSSELL
  2000 GROWTH IDX   COMMON
  ETF.............   STOCK  464287648    2198      23045    Shares                X                 1           0    0        0
ISHARES RUSSELL
  2000 GROWTH IDX   COMMON
  ETF.............   STOCK  464287648     127       1328    Shares                         X        1           0    0        0
ISHARES RUSSELL     COMMON
  2000 INDEX ETF..   STOCK  464287655     130       1570    Shares                X                 1           0    0        0
ISHARES RUSSELL     COMMON
  2000 INDEX ETF..   STOCK  464287655      22        260    Shares                         X        1           0    0        0
ISHARES DOW
  JONES US UTIL     COMMON
  SECT............   STOCK  464287697       5         60    Shares                X                 1           0    0        0
ISHARES S&P
  MIDCAP 400        COMMON
  VALUE IDX ET....   STOCK  464287705     503       5892    Shares                X                 1           0    0        0
ISHARES DOW
  JONES US FINL     COMMON
  SECT............   STOCK  464287788      32        540    Shares                X                 1           0    0        0
ISHARES DOW
  JONES US FINL     COMMON
  SECT............   STOCK  464287788      14        235    Shares                         X        1           0    0        0
ISHARES S&P
  SMALLCAP 600      COMMON
  INDEX ETF.......   STOCK  464287804    1376      18032    Shares                X                 1           0    0        0
ISHARES S&P
  SMALLCAP 600      COMMON
  INDEX ETF.......   STOCK  464287804     869      11394    Shares                         X        3           0    0        0
ISHARES DJ US
  BASIC
  MATERIALS SEC     COMMON
  F...............   STOCK  464287838      53        750    Shares                         X        1           0    0        0
ISHARES S&P
  EUROPE 350        COMMON
  INDEX FD........   STOCK  464287861      93       2500    Shares                         X        1           0    0        0
ISHARES FTSE        COMMON
  DEVELOPED.......   STOCK  464288497       1         40    Shares                         X        1           0    0        0
ISHARES IBOXX HI
  YLD CORP BD       COMMON
  FD..............   STOCK  464288513      41        455    Shares                         X        1           0    0        0
ISHARES BARCLAYS
  INTER GOVT/CR     COMMON
  BD FD...........   STOCK  464288612    4462      40155    Shares                         X        3           0    0        0
ISHARES S&P US
  PFD STK INDEX     COMMON
  FD..............   STOCK  464288687     293       7505    Shares                X                 1           0    0        0
ISHARES S&P US
  PFD STK INDEX     COMMON
  FD..............   STOCK  464288687     102       2600    Shares                         X        1           0    0        0
ISHARES MSCI USA    COMMON
  ESG SELECT......   STOCK  464288802      19        316    Shares                X                 1           0    0        0
ISHARES MSCI EAFE
  GROWTH INDEX      COMMON
  ETF.............   STOCK  464288885      73       1250    Shares                X                 1           0    0        0
ISHARES MSCI EAFE
  GROWTH INDEX      COMMON
  ETF.............   STOCK  464288885     180       3062    Shares                         X        1           0    0        0
ISHARES MSCI NEW
  ZEALAND           COMMON
  INVESTABLE......   STOCK  464289123       4        126    Shares                X                 1           0    0        0
ISHARES SILVER      COMMON
  TRUST...........   STOCK  46428Q109      24        750    Shares                X                 1           0    0        0
ISHARES SILVER      COMMON
  TRUST...........   STOCK  46428Q109       3        100    Shares                         X        1           0    0        0
ISHARES S&P GSCI    COMMON
  COMMODITY - I...   STOCK  46428R107      17        500    Shares                X                 1           0    0        0
ISHARES MSCI
  POLAND            COMMON
  INVESTABLE......   STOCK  46429B606       3        110    Shares                X                 1           0    0        0
ISHARES HIGH
  DIVIDEND EQ       COMMON
  FD..............   STOCK  46429B663   18089     316515    Shares                X                 1           0    0        0
ISHARES HIGH
  DIVIDEND EQ       COMMON
  FD..............   STOCK  46429B663    1020      17848    Shares                         X        1           0    0        0
ISHARES HIGH
  DIVIDEND EQ       COMMON
  FD..............   STOCK  46429B663    5692      99601    Shares                X                 3           0    0        0
ISIS
  PHARMACEUTICALS   COMMON
  COM.............   STOCK  464330109       3        350    Shares                X                 1         350    0        0
ITAU UNIBANCO
  HOLDING SA -      COMMON
  PREF ADR........   STOCK  465562106       9        482    Shares                X                 1         482    0        0
JDS UNIPHASE        COMMON
  CORP............   STOCK  46612J507      30       2050    Shares                X                 1        2050    0        0
JPMORGAN            COMMON
  CHASE & CO......   STOCK  46625H100   12566     273299    Shares                X                 1      270349    0     2950
JPMORGAN            COMMON
  CHASE & CO......   STOCK  46625H100    5360     116564    Shares                         X        1      105116    0    11448
JPMORGAN            COMMON
  CHASE & CO......   STOCK  46625H100    1873      40741    Shares                X                 3       35205    0     5536
JPMORGAN            COMMON
  CHASE & CO......   STOCK  46625H100      57       1250    Shares                         X        4        1250    0        0
JACOBS
  ENGINEERING
  GROUP INC         COMMON
  COM.............   STOCK  469814107     104       2350    Shares                X                 1        2350    0        0
JACOBS
  ENGINEERING
  GROUP INC         COMMON
  COM.............   STOCK  469814107      57       1290    Shares                         X        1        1290    0        0
JANUS CAPITAL       COMMON
  GROUP INC.......   STOCK  47102X105      49       5536    Shares                X                 1        5536    0        0
JETBLUE AIRWAYS     COMMON
  CORPORATION.....   STOCK  477143101       0        100    Shares                X                 1         100    0        0
JOHNSON &           COMMON
  JOHNSON.........   STOCK  478160104   20909     317001    Shares                X                 1      313347    0     3654
JOHNSON &           COMMON
  JOHNSON.........   STOCK  478160104   19481     295345    Shares                         X        1      282544    0    12801
JOHNSON &           COMMON
  JOHNSON.........   STOCK  478160104     892      13514    Shares                X                 3       13514    0        0
JOHNSON
  CONTROLS INC      COMMON
  COM.............   STOCK  478366107     506      15591    Shares                X                 1       15591    0        0
JOHNSON
  CONTROLS INC      COMMON
  COM.............   STOCK  478366107     311       9570    Shares                         X        1        9570    0        0
JOY GLOBAL          COMMON
  INCORPORATED....   STOCK  481165108    1954      26587    Shares                X                 1       26087    0      500
JOY GLOBAL          COMMON
  INCORPORATED....   STOCK  481165108     150       2035    Shares                         X        1        1710    0      325
JOY GLOBAL          COMMON
  INCORPORATED....   STOCK  481165108     152       2070    Shares                X                 3        2070    0        0
JUNIPER
  NETWORKS          COMMON
  INC.............   STOCK  48203R104     860      37593    Shares                X                 1       37593    0        0
JUNIPER
  NETWORKS          COMMON
  INC.............   STOCK  48203R104      19        820    Shares                         X        1         820    0        0
JUNIPER
  NETWORKS          COMMON
  INC.............   STOCK  48203R104      40       1753    Shares                X                 3        1753    0        0
KT CORPORATION      COMMON
  SP ADR..........   STOCK  48268K101       3        235    Shares                         X        1         235    0        0
KELLOGG CO          COMMON
  COM.............   STOCK  487836108     912      17000    Shares                X                 1       17000    0        0
KELLOGG CO          COMMON
  COM.............   STOCK  487836108     693      12925    Shares                         X        1       12825    0      100
KIMBERLY CLARK      COMMON
  CORP............   STOCK  494368103    2593      35094    Shares                X                 1       35094    0        0
KIMBERLY CLARK      COMMON
  CORP............   STOCK  494368103    2742      37113    Shares                         X        1       33963    0     3150
KINDER MORGAN
  ENERGY            COMMON
  PARTNERS LP.....   STOCK  494550106     393       4755    Shares                X                 1        4755    0        0
KINDER MORGAN
  ENERGY            COMMON
  PARTNERS LP.....   STOCK  494550106      85       1022    Shares                         X        1         847    0      175
KINDER MORGAN
  MANAGEMENT        COMMON
  LLC.............   STOCK  49455U100    2046      27417    Shares                X                 1       26993    0      424
KINDER MORGAN
  MANAGEMENT        COMMON
  LLC.............   STOCK  49455U100      89       1192    Shares                         X        1        1192    0        0
KINDER MORGAN
  MANAGEMENT        COMMON
  LLC.............   STOCK  49455U100      26        342    Shares                X                 3         342    0        0
KINROSS GOLD        COMMON
  CORPORATION.....   STOCK  496902404       4        419    Shares                X                 1         419    0        0
KIRBY CORP COM....  COMMON
                     STOCK  497266106      53        800    Shares                X                 1         800    0        0
KODIAK OIL & GAS    COMMON
  CORPORATION.....   STOCK  50015Q100      13       1275    Shares                X                 1        1275    0        0


                                   17 of 32





                  COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                          INVESTMENT AUTHORITY
                  -------- --------- ---------- ------------------------ ----------------------
                                                 SHARES                                                    VOTING AUTHORITY
                                                   OR      SHARES   PUT                                  ---------------------
NAME OF           TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER             CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------           -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                  
KOHLS CORP         COMMON
  COM............   STOCK  500255104      81       1623    Shares                X                 1        1623    0       0
KOHLS CORP         COMMON
  COM............   STOCK  500255104     112       2230    Shares                         X        1        2230    0       0
KONINKLIJKE
  PHILIPS ELEC N   COMMON
  V NY SHR.......   STOCK  500472303      11        550    Shares                X                 1         550    0       0
KOREA
  ELECTRIC
  POWER CORP       COMMON
  SP ADR.........   STOCK  500631106       6        655    Shares                         X        1         655    0       0
KRAFT FOODS        COMMON
  INC CL A.......   STOCK  50075N104    6019     158352    Shares                X                 1      156582    0    1770
KRAFT FOODS        COMMON
  INC CL A.......   STOCK  50075N104    3305      86957    Shares                         X        1       83937    0    3020
KRAFT FOODS        COMMON
  INC CL A.......   STOCK  50075N104     273       7171    Shares                X                 3        4125    0    3046
KRAFT FOODS        COMMON
  INC CL A.......   STOCK  50075N104      23        600    Shares                         X        4         600    0       0
KROGER
  COMPANY          COMMON
  COMMON.........   STOCK  501044101     136       5596    Shares                X                 1        5596    0       0
KROGER
  COMPANY          COMMON
  COMMON.........   STOCK  501044101      12        500    Shares                         X        1           0    0     500
KUBOTA CORP-       COMMON
  SPONS ADR......   STOCK  501173207      10        198    Shares                X                 1         198    0       0
LKQ                COMMON
  CORPORATION....   STOCK  501889208     379      12166    Shares                X                 1       12166    0       0
LKQ                COMMON
  CORPORATION....   STOCK  501889208     184       5900    Shares                X                 3        5900    0       0
LSB INDUSTRIES     COMMON
  INC............   STOCK  502160104      25        650    Shares                X                 1         650    0       0
LSI                COMMON
  CORPORATION....   STOCK  502161102       0          4    Shares                X                 1           4    0       0
LSI                COMMON
  CORPORATION....   STOCK  502161102       0         14    Shares                         X        1          14    0       0
LABORATORY
  CRP OF AMER
  HLDGS COM        COMMON
  NE.............   STOCK  50540R409      20        215    Shares                X                 1         215    0       0
LAM RESEARCH
  CORP             COMMON
  COMMON.........   STOCK  512807108     779      17456    Shares                X                 1       17456    0       0
LAM RESEARCH
  CORP             COMMON
  COMMON.........   STOCK  512807108     164       3683    Shares                X                 3        3683    0       0
LAS VEGAS          COMMON
  SANDS CORP.....   STOCK  517834107     577      10015    Shares                X                 1       10015    0       0
LAS VEGAS          COMMON
  SANDS CORP.....   STOCK  517834107      31        533    Shares                X                 3         533    0       0
ESTEE LAUDER
  COMPANIES        COMMON
  INC............   STOCK  518439104    2118      34191    Shares                X                 1       34191    0       0
ESTEE LAUDER
  COMPANIES        COMMON
  INC............   STOCK  518439104     142       2300    Shares                         X        1        2300    0       0
ESTEE LAUDER
  COMPANIES        COMMON
  INC............   STOCK  518439104      38        609    Shares                X                 3         609    0       0
LEGGETT &          COMMON
  PLATT INC......   STOCK  524660107     184       8000    Shares                X                 1        8000    0       0
LEGG MASON         COMMON
  INC............   STOCK  524901105      15        545    Shares                X                 1         545    0       0
LEGG MASON         COMMON
  INC............   STOCK  524901105       5        175    Shares                         X        1         175    0       0
LEXINGTON
  REALTY           COMMON
  TRUST..........   STOCK  529043101      18       2000    Shares                X                 1           0    0       0
LIBERTY MEDIA
  CORP -           COMMON
  LIBERTY A......   STOCK  530322106      37        415    Shares                X                 1         415    0       0
LIBERTY MEDIA
  CORP -           COMMON
  LIBERTY A......   STOCK  530322106      91       1037    Shares                         X        1        1037    0       0
LIBERTY MEDIA      COMMON
  CORP...........   STOCK  530322205      48        543    Shares                         X        1         543    0       0
LIBERTY
  GLOBAL INC -     COMMON
  CL A...........   STOCK  530555101      11        213    Shares                X                 1         213    0       0
LIBERTY
  GLOBAL INC -     COMMON
  CL A...........   STOCK  530555101      44        877    Shares                         X        1         877    0       0
LIBERTY
  GLOBAL           COMMON
  INC-CL B.......   STOCK  530555200      27        543    Shares                         X        1         543    0       0
LIBERTY
  GLOBAL INC       COMMON
  CL C...........   STOCK  530555309      10        216    Shares                X                 1         216    0       0
LIBERTY
  GLOBAL INC       COMMON
  CL C...........   STOCK  530555309      68       1420    Shares                         X        1        1420    0       0
LIBERTY
  INTERACTIV       COMMON
  CORPORATION....   STOCK  53071M104      10        500    Shares                X                 1         500    0       0
LIBERTY
  INTERACTIV       COMMON
  CORPORATION....   STOCK  53071M104      76       3967    Shares                         X        1        3967    0       0
LIBERTY
  INTERACTIVE      COMMON
  CORPORATION....   STOCK  53071M203      52       2714    Shares                         X        1        2714    0       0
LIFE
  TECHNOLOGIES     COMMON
  CORP...........   STOCK  53217V109     236       4830    Shares                X                 1        4830    0       0
LIFE
  TECHNOLOGIES     COMMON
  CORP...........   STOCK  53217V109     102       2080    Shares                X                 3        2080    0       0
LIFEPOINT HOSPS    COMMON
  INC COM........   STOCK  53219L109      11        273    Shares                X                 1         273    0       0
LIHUA
  INTERNATIONAL    COMMON
  INC............   STOCK  532352101      12       2000    Shares                         X        1        2000    0       0
LILLY ELY &
  COMPANY          COMMON
  COMMON.........   STOCK  532457108    4229     105019    Shares                X                 1      104819    0     200
LILLY ELY &
  COMPANY          COMMON
  COMMON.........   STOCK  532457108    3327      82629    Shares                         X        1       79496    0    3133
LILLY ELY &
  COMPANY          COMMON
  COMMON.........   STOCK  532457108     996      24750    Shares                X                 3       20429    0    4321
LIMITED
  BRANDS, INC      COMMON
  COM............   STOCK  532716107    2396      49910    Shares                X                 1       49460    0     450
LIMITED
  BRANDS, INC      COMMON
  COM............   STOCK  532716107     163       3389    Shares                         X        1        1219    0    2170
LIMITED
  BRANDS, INC      COMMON
  COM............   STOCK  532716107    1241      25848    Shares                X                 3       25848    0       0
LINCOLN
  NATIONAL
  CORP             COMMON
  COMMON.........   STOCK  534187109      29       1100    Shares                X                 1        1100    0       0
LINEAR
  TECHNOLOGY       COMMON
  CORP COM.......   STOCK  535678106      19        550    Shares                X                 1         550    0       0
LINEAR
  TECHNOLOGY       COMMON
  CORP COM.......   STOCK  535678106       4        110    Shares                         X        1           0    0     110
LINKEDIN CORP      COMMON
  A..............   STOCK  53578A108      10        100    Shares                X                 1         100    0       0
LIONS GATE
  ENTERTAINMENT    COMMON
  CORP...........   STOCK  535919203      63       4500    Shares                X                 1        4500    0       0
LINN ENERGY        COMMON
  LLC............   STOCK  536020100      50       1300    Shares                X                 1        1300    0       0
LINN ENERGY        COMMON
  LLC............   STOCK  536020100      32        847    Shares                         X        1         822    0      25
LITTLEFUSE INC     COMMON
  COM............   STOCK  537008104      24        375    Shares                X                 1         375    0       0
LIZ CLAIBORNE      COMMON
  INC............   STOCK  539320101      25       1850    Shares                X                 1        1850    0       0
LLOYDS
  BANKING          COMMON
  GROUP PLC......   STOCK  539439109       3       1370    Shares                X                 1        1370    0       0
LOCKHEED
  MARTIN
  CORPORATION      COMMON
  COM............   STOCK  539830109    3268      36368    Shares                X                 1       36368    0       0
LOCKHEED
  MARTIN
  CORPORATION      COMMON
  COM............   STOCK  539830109     886       9865    Shares                         X        1        9865    0       0
LOEWS CORP.......  COMMON
                    STOCK  540424108     164       4110    Shares                X                 1        4110    0       0
LOEWS CORP.......  COMMON
                    STOCK  540424108      16        405    Shares                         X        1         405    0       0
LORILLARD          COMMON
  INC............   STOCK  544147101      97        748    Shares                X                 1         748    0       0
LORILLARD          COMMON
  INC............   STOCK  544147101       8         60    Shares                         X        1          60    0       0
LOWES
  COMPANIES        COMMON
  INC............   STOCK  548661107    2989      95267    Shares                X                 1       94809    0     458
LOWES
  COMPANIES        COMMON
  INC............   STOCK  548661107     270       8620    Shares                         X        1        7520    0    1100


                                   18 of 32





                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES                                                     VOTING AUTHORITY
                                                    OR      SHARES   PUT                                  -----------------------
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED  OTHER
-------            -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -------
                                                                                   
LOWES COMPANIES     COMMON
  INC.............   STOCK  548661107       16        494   Shares                X                 3         494    0          0
LUFKIN INDUSTRIES   COMMON
  INC.............   STOCK  549764108      184       2282   Shares                X                 1        2282    0          0
LUFKIN INDUSTRIES   COMMON
  INC.............   STOCK  549764108       78        970   Shares                X                 3         970    0          0
LULULEMON
  ATHLETICA         COMMON
  INC-W/I.........   STOCK  550021109     2576      34465   Shares                X                 1       34123    0        342
LULULEMON
  ATHLETICA         COMMON
  INC-W/I.........   STOCK  550021109       58        776   Shares                         X        1         776    0          0
LULULEMON
  ATHLETICA         COMMON
  INC-W/I.........   STOCK  550021109      176       2357   Shares                X                 3        2357    0          0
LUMBER
  LIQUIDATORS       COMMON
  HOLDINGS........   STOCK  55003T107       46       1825   Shares                X                 1        1825    0          0
LUXOTTICA GROUP     COMMON
  SPA-SPON ADR....   STOCK  55068R202       12        332   Shares                X                 1         332    0          0
M & T BANK          COMMON
  CORP............   STOCK  55261F104   124863    1437189   Shares                         X        1           0    0    1437189
M & T BANK          COMMON
  CORP............   STOCK  55261F104    11425     131502   Shares                         X        1           0    0     131502
M & T BANK          COMMON
  CORP............   STOCK  55261F104       13        150   Shares                         X        4           0    0        150
MGM RESORTS         COMMON
  INTERNATIONAL...   STOCK  552953101       42       3100   Shares                X                 1        3100    0          0
MKS INSTRUMENTS     COMMON
  INC.............   STOCK  55306N104      165       5593   Shares                X                 1        5593    0          0
MKS INSTRUMENTS     COMMON
  INC.............   STOCK  55306N104       80       2720   Shares                X                 3        2720    0          0
MACY'S INC........  COMMON
                     STOCK  55616P104      139       3491   Shares                X                 1        3491    0          0
MACY'S INC........  COMMON
                     STOCK  55616P104        3         72   Shares                         X        1          72    0          0
STEVEN MADDEN,      COMMON
  LTD.............   STOCK  556269108       30        700   Shares                X                 1         700    0          0
MAGELLAN
  MIDSTREAM         COMMON
  PARTNERS L.P....   STOCK  559080106      127       1750   Shares                X                 1        1750    0          0
MAGELLAN
  MIDSTREAM         COMMON
  PARTNERS L.P....   STOCK  559080106       15        212   Shares                         X        1         212    0          0
MAGNA               COMMON
  INTERNATIONAL...   STOCK  559222401       19        400   Shares                         X        1         400    0          0
MAGNUM HUNTER
  RESOURCES         COMMON
  CORP............   STOCK  55973B102        1        100   Shares                         X        1           0    0        100
MAKO SURGICAL       COMMON
  CORP............   STOCK  560879108       34        800   Shares                X                 1         800    0          0
MANITOWOC CO        COMMON
  INC COM.........   STOCK  563571108      563      40606   Shares                X                 1       40606    0          0
MANITOWOC CO        COMMON
  INC COM.........   STOCK  563571108       23       1694   Shares                X                 3        1694    0          0
MANPOWER INC        COMMON
  WIS.............   STOCK  56418H100       71       1500   Shares                X                 1        1500    0          0
MANULIFE
  FINANCIAL         COMMON
  CORP............   STOCK  56501R106      442      32590   Shares                X                 1       32590    0          0
MANULIFE
  FINANCIAL         COMMON
  CORP............   STOCK  56501R106       25       1832   Shares                         X        1        1832    0          0
MAP
  PHARMACEUTICALS   COMMON
  INC.............   STOCK  56509R108      262      18265   Shares                X                 1       18265    0          0
MAP
  PHARMACEUTICALS   COMMON
  INC.............   STOCK  56509R108       81       5610   Shares                X                 3        5610    0          0
MARATHON OIL        COMMON
  CORP............   STOCK  565849106      197       6216   Shares                X                 1        6216    0          0
MARATHON OIL        COMMON
  CORP............   STOCK  565849106       35       1116   Shares                         X        1        1116    0          0
MARATHON
  PETROLEUM         COMMON
  CORPORATION.....   STOCK  56585A102      175       4043   Shares                X                 1        4043    0          0
MARATHON
  PETROLEUM         COMMON
  CORPORATION.....   STOCK  56585A102       24        560   Shares                         X        1         560    0          0
MARKEL CORP         COMMON
  COM.............   STOCK  570535104        2          4   Shares                X                 1           4    0          0
MARKET VECTORS      COMMON
  COAL ETF........   STOCK  57060U837       16        500   Shares                X                 1           0    0          0
MARKWEST
  ENERGY            COMMON
  PARTNERS LP.....   STOCK  570759100       12        200   Shares                         X        1         200    0          0
MARSH &
  MCLENNAN COS      COMMON
  INC COM.........   STOCK  571748102       59       1800   Shares                         X        1        1800    0          0
MARRIOTT INTL INC   COMMON
  CL A............   STOCK  571903202       26        700   Shares                X                 1         700    0          0
MARTIN MARIETTA
  MATERIALS         COMMON
  INC.............   STOCK  573284106       28        325   Shares                X                 1         325    0          0
MASCO CORP........  COMMON
                     STOCK  574599106       19       1417   Shares                X                 1        1417    0          0
MASCO CORP........  COMMON
                     STOCK  574599106       16       1200   Shares                         X        1        1200    0          0
MASTERCARD INC      COMMON
  CL A............   STOCK  57636Q104     1180       2806   Shares                X                 1        2806    0          0
MASTERCARD INC      COMMON
  CL A............   STOCK  57636Q104       53        126   Shares                         X        1         126    0          0
MASTERCARD INC      COMMON
  CL A............   STOCK  57636Q104       45        107   Shares                X                 3         107    0          0
MATTEL              COMMON
  COMMON..........   STOCK  577081102       64       1907   Shares                X                 1        1907    0          0
MAXIM
  INTEGRATED
  PRODS INC         COMMON
  COM.............   STOCK  57772K101        6        200   Shares                         X        1         200    0          0
MCCORMICK &
  CO-NON VTG        COMMON
  SHS.............   STOCK  579780206     2821      51825   Shares                X                 1       51825    0          0
MCCORMICK &
  CO-NON VTG        COMMON
  SHS.............   STOCK  579780206      167       3075   Shares                         X        1        3075    0          0
MCDERMOTT INTL      COMMON
  INC.............   STOCK  580037109       52       4050   Shares                X                 1        4050    0          0
MCDERMOTT INTL      COMMON
  INC.............   STOCK  580037109        7        550   Shares                         X        1         550    0          0
MCDONALD'S          COMMON
  CORPORATION.....   STOCK  580135101     9897     100891   Shares                X                 1      100816    0         75
MCDONALD'S          COMMON
  CORPORATION.....   STOCK  580135101     4396      44813   Shares                         X        1       42748    0       2065
MCDONALD'S          COMMON
  CORPORATION.....   STOCK  580135101      329       3352   Shares                X                 3        2083    0       1269
MCEWEN MINING       COMMON
  INC.............   STOCK  58039P107        2        400   Shares                X                 1         400    0          0
MCGRAW HILL
  COMPANIES INC     COMMON
  COMMON..........   STOCK  580645109      287       5930   Shares                X                 1        5930    0          0
MCGRAW HILL
  COMPANIES INC     COMMON
  COMMON..........   STOCK  580645109      867      17895   Shares                         X        1       14895    0       3000
MCKESSON
  CORPORATION       COMMON
  COM.............   STOCK  58155Q103       35        400   Shares                         X        1         400    0          0
MCMORAN
  EXPLORATION       COMMON
  CO..............   STOCK  582411104      107      10000   Shares                         X        1       10000    0          0
MEAD JOHNSON        COMMON
  NUTRITION CO....   STOCK  582839106      815       9879   Shares                X                 1        9707    0        172
MEAD JOHNSON        COMMON
  NUTRITION CO....   STOCK  582839106        9        108   Shares                         X        1         108    0          0
MEADWESTVACO        COMMON
  CORP COMMON.....   STOCK  583334107     1797      56890   Shares                X                 1       55998    0        892
MEADWESTVACO        COMMON
  CORP COMMON.....   STOCK  583334107       69       2192   Shares                         X        1        2192    0          0
MEADWESTVACO        COMMON
  CORP COMMON.....   STOCK  583334107       28        890   Shares                X                 3         890    0          0
MEDASSETS INC.....  COMMON
                     STOCK  584045108       32       2450   Shares                X                 1        2450    0          0
MEDCO HEALTH
  SOLUTIONS         COMMON
  INC.............   STOCK  58405U102     1204      17126   Shares                X                 1       17126    0          0
MEDCO HEALTH
  SOLUTIONS         COMMON
  INC.............   STOCK  58405U102     2071      29465   Shares                         X        1       24753    0       4712
MEDIDATA
  SOLUTIONS         COMMON
  INC.............   STOCK  58471A105        5        200   Shares                X                 1         200    0          0


                                   19 of 32





                 COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                         INVESTMENT AUTHORITY
                 -------- --------- ---------- ------------------------ ----------------------
                                                SHARES                                                    VOTING AUTHORITY
                                                  OR      SHARES   PUT                                  ---------------------
NAME OF          TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER            CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------          -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                 
MEDIVATION        COMMON
  INC...........   STOCK  58501N101      37        500    Shares                X                 1         500    0        0
MEDTRONIC         COMMON
  INC...........   STOCK  585055106    1115      28462    Shares                X                 1       28262    0      200
MEDTRONIC         COMMON
  INC...........   STOCK  585055106     743      18960    Shares                         X        1       15710    0     3250
MEDTRONIC         COMMON
  INC...........   STOCK  585055106      60       1529    Shares                X                 3        1529    0        0
MERCK & CO        COMMON
  INC...........   STOCK  58933Y105   11397     296798    Shares                X                 1      295483    0     1315
MERCK & CO        COMMON
  INC...........   STOCK  58933Y105    6256     162917    Shares                         X        1      148561    0    14356
MERCK & CO        COMMON
  INC...........   STOCK  58933Y105    1076      28027    Shares                X                 3       28027    0        0
METLIFE INC.....  COMMON
                   STOCK  59156R108    4738     126861    Shares                X                 1      126361    0      500
METLIFE INC.....  COMMON
                   STOCK  59156R108     485      12993    Shares                         X        1        9816    0     3177
METLIFE INC.....  COMMON
                   STOCK  59156R108    1537      41150    Shares                X                 3       35229    0     5921
METROPOLITAN
  HEALTH
  NETWORKS        COMMON
  INC...........   STOCK  592142103       5        500    Shares                X                 1         500    0        0
MICROSOFT         COMMON
  CORP..........   STOCK  594918104   21213     657650    Shares                X                 1      651491    0     6159
MICROSOFT         COMMON
  CORP..........   STOCK  594918104    7715     239180    Shares                         X        1      212730    0    26450
MICROSOFT         COMMON
  CORP..........   STOCK  594918104    2349      72823    Shares                X                 3       63130    0     9693
MICROSTRATEGY     COMMON
  INC...........   STOCK  594972408      35        250    Shares                X                 1         250    0        0
MICROCHIP
  TECHNOLOGY      COMMON
  INC COM.......   STOCK  595017104     233       6252    Shares                X                 1        6252    0        0
MICROCHIP
  TECHNOLOGY      COMMON
  INC COM.......   STOCK  595017104      56       1500    Shares                         X        1        1500    0        0
MICRON
  TECHNOLOGY      COMMON
  INC COM.......   STOCK  595112103       1        150    Shares                X                 1         150    0        0
MID PENN
  BANCORP         COMMON
  INCORPORATED..   STOCK  59540G107      16       1570    Shares                X                 1        1570    0        0
HERMAN MILLER     COMMON
  INC...........   STOCK  600544100      21        925    Shares                X                 1         925    0        0
MINDRAY
  MEDICAL INTL    COMMON
  LTD-ADR.......   STOCK  602675100      13        394    Shares                X                 1         394    0        0
MITSUBISHI UFJ
  FINANCIAL       COMMON
  GRP-ADR.......   STOCK  606822104      16       3180    Shares                         X        1        3180    0        0
MIZUHO
  FINANCIAL       COMMON
  GROUP INC.....   STOCK  60687Y109       5       1415    Shares                         X        1        1415    0        0
MOLSON COORS
  BREWING         COMMON
  COMPANY.......   STOCK  60871R209      27        600    Shares                         X        1         600    0        0
MONSANTO          COMMON
  COMPANY.......   STOCK  61166W101    2255      28270    Shares                X                 1       27896    0      374
MONSANTO          COMMON
  COMPANY.......   STOCK  61166W101     915      11471    Shares                         X        1       11271    0      200
MONSTER
  BEVERAGE        COMMON
  CORP..........   STOCK  611740101      69       1118    Shares                X                 1        1118    0        0
MONSTER
  BEVERAGE        COMMON
  CORP..........   STOCK  611740101       3         48    Shares                         X        1          48    0        0
MOODYS CORP.....  COMMON
                   STOCK  615369105      63       1500    Shares                X                 1        1500    0        0
MOODYS CORP.....  COMMON
                   STOCK  615369105       9        222    Shares                         X        1         222    0        0
MOOG INC CL       COMMON
  A.............   STOCK  615394202      13        300    Shares                X                 1         300    0        0
MORGAN
  STANLEY         COMMON
  GROUP INC.....   STOCK  617446448     804      40940    Shares                X                 1       40940    0        0
MORGAN
  STANLEY         COMMON
  GROUP INC.....   STOCK  617446448     109       5575    Shares                         X        1        3280    0     2295
MORGAN
  STANLEY         COMMON
  GROUP INC.....   STOCK  617446448     107       5468    Shares                X                 3        2912    0     2556
MOSAIC CO WI/     COMMON
  THE...........   STOCK  61945C103     911      16471    Shares                X                 1       16471    0        0
MOSAIC CO WI/     COMMON
  THE...........   STOCK  61945C103      53        955    Shares                         X        1         455    0      500
MOSAIC CO WI/     COMMON
  THE...........   STOCK  61945C103     122       2210    Shares                X                 3        2210    0        0
MOTOROLA
  SOLUTIONS       COMMON
  INC...........   STOCK  620076307     123       2415    Shares                X                 1        2415    0        0
MOTOROLA
  SOLUTIONS       COMMON
  INC...........   STOCK  620076307     185       3639    Shares                         X        1        3639    0        0
MOTOROLA
  MOBILITY
  HOLDINGS        COMMON
  W.............   STOCK  620097105      36        909    Shares                X                 1         909    0        0
MOTOROLA
  MOBILITY
  HOLDINGS        COMMON
  W.............   STOCK  620097105      97       2484    Shares                         X        1        2484    0        0
MURPHY OIL
  CORP            COMMON
  COMMON........   STOCK  626717102      37        650    Shares                X                 1         650    0        0
MURPHY OIL
  CORP            COMMON
  COMMON........   STOCK  626717102      84       1500    Shares                         X        1        1500    0        0
MYLAN INC.......  COMMON
                   STOCK  628530107      12        533    Shares                X                 1         533    0        0
MYRIAD
  GENETICS        COMMON
  INC...........   STOCK  62855J104       7        300    Shares                X                 1         300    0        0
NBT BANCORP       COMMON
  INC. COM......   STOCK  628778102     112       5052    Shares                X                 1        5052    0        0
NYSE              COMMON
  EURONEXT......   STOCK  629491101       4        117    Shares                X                 1         117    0        0
NATIONAL FUEL
  GAS CO          COMMON
  COMMON........   STOCK  636180101      82       1700    Shares                         X        1        1700    0        0
NATIONAL GRID
  GROUP           COMMON
  PLC-ADR.......   STOCK  636274300     101       1992    Shares                X                 1        1992    0        0
NATIONAL GRID
  GROUP           COMMON
  PLC-ADR.......   STOCK  636274300      79       1566    Shares                         X        1        1566    0        0
NATIONAL
  INSTRUMENTS     COMMON
  CORP COM......   STOCK  636518102       3        111    Shares                X                 1         111    0        0
NATIONAL
  OILWELL         COMMON
  VARCO INC.....   STOCK  637071101    7506      94453    Shares                X                 1       93878    0      575
NATIONAL
  OILWELL         COMMON
  VARCO INC.....   STOCK  637071101     564       7092    Shares                         X        1        4683    0     2409
NATIONAL
  OILWELL         COMMON
  VARCO INC.....   STOCK  637071101    1645      20691    Shares                X                 3       17536    0     3155
NATIONAL PENN
  BANCSHARES      COMMON
  INC...........   STOCK  637138108      13       1500    Shares                X                 1        1500    0        0
NATIONAL PENN
  BANCSHARES      COMMON
  INC...........   STOCK  637138108       9       1000    Shares                         X        1        1000    0        0
NATIONAL
  RETAIL
  PROPERTIES      COMMON
  INC...........   STOCK  637417106     109       4000    Shares                X                 1           0    0        0
NAVISTAR
  INTERNATIONAL   COMMON
  CORP..........   STOCK  63934E108       4        100    Shares                X                 1         100    0        0
NETAPP
  APPLIANCE       COMMON
  INC...........   STOCK  64110D104      19        426    Shares                X                 1         426    0        0
NETFLIX.COM       COMMON
  INC...........   STOCK  64110L106       8         68    Shares                X                 1          68    0        0
NETSPEND
  HOLDINGS        COMMON
  INC...........   STOCK  64118V106      47       6100    Shares                X                 1        6100    0        0
NEUROCRINE
  BIOSCIENCES     COMMON
  INC...........   STOCK  64125C109       4        500    Shares                         X        1           0    0      500
NEW YORK
  COMMUNITY
  BANCORP         COMMON
  INC...........   STOCK  649445103      58       4186    Shares                X                 1        4186    0        0
NEWELL
  RUBBERMAID      COMMON
  INC COM.......   STOCK  651229106      53       3000    Shares                         X        1        3000    0        0
NEWFIELD
  EXPLORATION
  CO              COMMON
  COMMON........   STOCK  651290108       6        170    Shares                X                 1         170    0        0
NEWFIELD
  EXPLORATION
  CO              COMMON
  COMMON........   STOCK  651290108       4        125    Shares                         X        1         125    0        0
NEWMARKET         COMMON
  CORPORATION...   STOCK  651587107    2996      15985    Shares                X                 1       15711    0      274


                                   20 of 32





                  COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                          INVESTMENT AUTHORITY
                  -------- --------- ---------- ------------------------ ----------------------
                                                 SHARES                                                    VOTING AUTHORITY
                                                   OR      SHARES   PUT                                  ---------------------
NAME OF           TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER             CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------           -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                  
NEWMARKET          COMMON
  CORPORATION....   STOCK  651587107    1485       7922    Shares                         X        1       7922     0       0
NEWMARKET          COMMON
  CORPORATION....   STOCK  651587107      45        242    Shares                X                 3        242     0       0
NEWMONT MINING
  CORP             COMMON
  COMMON.........   STOCK  651639106      17        340    Shares                X                 1        340     0       0
NEWMONT MINING
  CORP             COMMON
  COMMON.........   STOCK  651639106      46        900    Shares                         X        1          0     0     900
NEWS CORP          COMMON
  INC-A..........   STOCK  65248E104      20       1007    Shares                X                 1       1007     0       0
NEWS CORP          COMMON
  INC-A..........   STOCK  65248E104      21       1073    Shares                         X        1       1073     0       0
NEXEN INC........  COMMON
                    STOCK  65334H102       2        122    Shares                X                 1        122     0       0
NEXTERA ENERGY     COMMON
  INC............   STOCK  65339F101    3912      64039    Shares                X                 1      63964     0      75
NEXTERA ENERGY     COMMON
  INC............   STOCK  65339F101    3079      50411    Shares                         X        1      43861     0    6550
NIKE INC CL B....  COMMON
                    STOCK  654106103    2609      24061    Shares                X                 1      24061     0       0
NIKE INC CL B....  COMMON
                    STOCK  654106103     265       2446    Shares                         X        1       2151     0     295
NIKE INC CL B....  COMMON
                    STOCK  654106103      25        230    Shares                X                 3        230     0       0
NIPPON
  TELEGRAPH &      COMMON
  TELE ADR.......   STOCK  654624105       2         70    Shares                X                 1         70     0       0
NIPPON
  TELEGRAPH &      COMMON
  TELE ADR.......   STOCK  654624105      17        745    Shares                         X        1        745     0       0
NISOURCE INC.....  COMMON
                    STOCK  65473P105     119       4894    Shares                X                 1       4894     0       0
NISOURCE INC.....  COMMON
                    STOCK  65473P105      99       4065    Shares                         X        1       4065     0       0
NOKIA CORP
  SPONSORED        COMMON
  ADR............   STOCK  654902204      23       4170    Shares                X                 1       4170     0       0
NOKIA CORP
  SPONSORED        COMMON
  ADR............   STOCK  654902204      22       4045    Shares                         X        1       4045     0       0
NOBLE ENERGY       COMMON
  INC............   STOCK  655044105     492       5035    Shares                X                 1       5035     0       0
NOBLE ENERGY       COMMON
  INC............   STOCK  655044105     152       1550    Shares                X                 3       1550     0       0
NOMURA HLDGS       COMMON
  INC............   STOCK  65535H208       4        875    Shares                         X        1        875     0       0
NORDSTROM INC      COMMON
  COM............   STOCK  655664100    1340      24041    Shares                X                 1      24041     0       0
NORDSTROM INC      COMMON
  COM............   STOCK  655664100     437       7837    Shares                X                 3       5646     0    2191
NORFOLK
  SOUTHERN         COMMON
  CORP...........   STOCK  655844108    1298      19710    Shares                X                 1      19510     0     200
NORFOLK
  SOUTHERN         COMMON
  CORP...........   STOCK  655844108     516       7840    Shares                         X        1       5140     0    2700
NORFOLK
  SOUTHERN         COMMON
  CORP...........   STOCK  655844108      24        370    Shares                X                 3        370     0       0
NORTHERN TRUST     COMMON
  CORP COM.......   STOCK  665859104       6        132    Shares                X                 1        132     0       0
NORTHROP
  GRUMMAN          COMMON
  CORP...........   STOCK  666807102     125       2052    Shares                X                 1       2052     0       0
NORTHROP
  GRUMMAN          COMMON
  CORP...........   STOCK  666807102     122       1998    Shares                         X        1       1998     0       0
NORTHWEST
  BANCSHARES       COMMON
  INC............   STOCK  667340103      56       4417    Shares                X                 1       4417     0       0
NOVARTIS AG        COMMON
  ADR............   STOCK  66987V109    1540      27800    Shares                X                 1      27663     0     137
NOVARTIS AG        COMMON
  ADR............   STOCK  66987V109     600      10832    Shares                         X        1      10747     0      85
NOVAVAX INC......  COMMON
                    STOCK  670002104      13      10000    Shares                X                 1      10000     0       0
NSTAR COM........  COMMON
                    STOCK  67019E107       7        150    Shares                X                 1        150     0       0
NUANCE
  COMMUNICATIONS   COMMON
  INC............   STOCK  67020Y100      66       2584    Shares                X                 1       2584     0       0
NUANCE
  COMMUNICATIONS   COMMON
  INC............   STOCK  67020Y100       3        130    Shares                         X        1        130     0       0
NUCOR CORP         COMMON
  COMMON.........   STOCK  670346105      51       1178    Shares                X                 1       1178     0       0
NUCOR CORP         COMMON
  COMMON.........   STOCK  670346105     496      11550    Shares                         X        1      11550     0       0
NUSTAR ENERGY      COMMON
  LP.............   STOCK  67058H102      12        200    Shares                         X        1        200     0       0
NUVEEN PA PREM
  INCOME MUN FD    COMMON
  2..............   STOCK  67061F101      89       6216    Shares                X                 1          0     0       0
NUVEEN SELECT      COMMON
  MATURITIES.....   STOCK  67061T101      26       2550    Shares                X                 1          0     0       0
NUVEEN INVT
  QUALITY MUNI     COMMON
  FD.............   STOCK  67062E103       5        333    Shares                         X        1          0     0       0
NUVEEN
  MUNICIPAL        COMMON
  INCOME FD......   STOCK  67062J102      26       2330    Shares                X                 1          0     0       0
NUVEEN QUALITY     COMMON
  MUNI FD........   STOCK  67062N103      17       1200    Shares                X                 1          0     0       0
NUVEEN
  PERFORMANCE      COMMON
  PLUS MUNI FD...   STOCK  67062P108       6        390    Shares                         X        1          0     0       0
NUVEEN NY PERF     COMMON
  PLUS MUNI FD...   STOCK  67062R104      31       2000    Shares                         X        1          0     0       0
NUVEEN MUNI
  MKT              COMMON
  OPPORTUNITY....   STOCK  67062W103      42       3000    Shares                X                 1          0     0       0
NUVEEN NY INVT
  QUALITY MUN      COMMON
  FD.............   STOCK  67062X101      22       1500    Shares                         X        1          0     0       0
NUVEEN SELECT
  TAX-FREE INC     COMMON
  2..............   STOCK  67063C106      30       2181    Shares                         X        1          0     0       0
NVIDIA CORP        COMMON
  COM............   STOCK  67066G104     566      36791    Shares                X                 1      36791     0       0
NVIDIA CORP        COMMON
  COM............   STOCK  67066G104      35       2257    Shares                X                 3       2257     0       0
NUTRISYSTEM        COMMON
  INC............   STOCK  67069D108       1        125    Shares                X                 1        125     0       0
NUVEEN
  MARYLAND
  DIVIDEND ADV     COMMON
  MUN FD.........   STOCK  67069R107      13        923    Shares                X                 1          0     0       0
NUVEEN CA DVD
  ADV MUNI FD      COMMON
  2..............   STOCK  67069X104      94       6300    Shares                X                 1          0     0       0
NUVEEN EQUITY
  PREMIUM ADV      COMMON
  FD.............   STOCK  6706ET107       2        200    Shares                X                 1          0     0       0
NUVEEN MD DIV
  ADVANTAGE        COMMON
  MUN FD 2.......   STOCK  67070V105      59       4059    Shares                X                 1          0     0       0
NUVEEN QUALITY
  PFD INCOME FD    COMMON
  2..............   STOCK  67072C105      15       1735    Shares                X                 1          0     0       0
NXSTAGE            COMMON
  MEDICAL INC....   STOCK  67072V103      35       1800    Shares                X                 1       1800     0       0
NUVEEN QUALITY
  PFD INCOME FD    COMMON
  3..............   STOCK  67072W101       6        700    Shares                         X        1          0     0       0
NUVEEN MULTI
  STRATEGY INC &   COMMON
  GRWTH 2........   STOCK  67073D102      17       1860    Shares                X                 1          0     0       0
NV ENERGY INC....  COMMON
                    STOCK  67073Y106       3        200    Shares                         X        1        200     0       0
OGE ENERGY CORP    COMMON
  COM............   STOCK  670837103      16        300    Shares                X                 1        300     0       0
OGE ENERGY CORP    COMMON
  COM............   STOCK  670837103      21        400    Shares                         X        1        400     0       0
OI SA............  COMMON
                    STOCK  670851104       0         54    Shares                         X        1         54     0       0
OI SA ADR........  COMMON
                    STOCK  670851203       1         94    Shares                         X        1         94     0       0
OCZ TECHNOLOGY     COMMON
  GROUP INC......   STOCK  67086E303      22       3100    Shares                X                 1       3100     0       0
NUVEEN
  MUNICIPAL        COMMON
  VALUE FUND.....   STOCK  670928100      30       2975    Shares                X                 1          0     0       0


                                   21 of 32





               COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                       INVESTMENT AUTHORITY
               -------- --------- ---------- ------------------------ ----------------------
                                              SHARES                                                    VOTING AUTHORITY
                                                OR      SHARES   PUT                                  ---------------------
NAME OF        TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER          CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                               
NUVEEN
  MUNICIPAL
  VALUE         COMMON
  FUND........   STOCK  670928100      31       3094    Shares                         X        1           0     0      0
NUVEEN PA
  INVT
  QUALITY       COMMON
  MUN FD......   STOCK  670972108      87       5584    Shares                X                 1           0     0      0
NUVEEN PA
  INVT
  QUALITY       COMMON
  MUN FD......   STOCK  670972108      56       3600    Shares                         X        1           0     0      0
NUVEEN
  SELECT
  QUALITY       COMMON
  MUN FD......   STOCK  670973106       6        406    Shares                         X        1           0     0      0
NUVEEN
  QUALITY
  INCOME        COMMON
  MUNI FD.....   STOCK  670977107       7        500    Shares                X                 1           0     0      0
NUVEEN
  QUALITY
  INCOME        COMMON
  MUNI FD.....   STOCK  670977107       3        210    Shares                         X        1           0     0      0
NUVEEN
  MUNICIPAL
  OPPORTUNITY   COMMON
  FD INC......   STOCK  670984103       6        396    Shares                         X        1           0     0      0
NUVEEN
  PREMIER
  MUNICIPAL
  INCOME        COMMON
  FUN.........   STOCK  670987106       6        410    Shares                X                 1           0     0      0
OSI SYS INC...  COMMON
                 STOCK  671044105      31        500    Shares                X                 1         500     0      0
OCCIDENTAL
  PETROLEUM
  CORP          COMMON
  COMMON......   STOCK  674599105    1883      19777    Shares                X                 1       19523     0    254
OCCIDENTAL
  PETROLEUM
  CORP          COMMON
  COMMON......   STOCK  674599105     433       4548    Shares                         X        1        4548     0      0
OLD LINE
  BANCSHARES    COMMON
  INC.........   STOCK  67984M100      16       1500    Shares                X                 1        1500     0      0
OLD NATIONAL
  BANCORP       COMMON
  COM.........   STOCK  680033107      26       2000    Shares                X                 1        2000     0      0
OLD REPUBLIC
  INTL CORP     COMMON
  COM.........   STOCK  680223104      39       3729    Shares                X                 1        3729     0      0
OLIN CORP       COMMON
  COM.........   STOCK  680665205      16        750    Shares                X                 1         750     0      0
OMNICOM
  GROUP INC     COMMON
  COM.........   STOCK  681919106      79       1550    Shares                X                 1        1550     0      0
OMNICOM
  GROUP INC     COMMON
  COM.........   STOCK  681919106      48        950    Shares                         X        1         950     0      0
ONCOTHYREON     COMMON
  INC.........   STOCK  682324108       4        833    Shares                X                 1         150     0    683
ONEOK INC.....  COMMON
                 STOCK  682680103      57        700    Shares                X                 1         700     0      0
ONEOK
  PARTNERS      COMMON
  LP..........   STOCK  68268N103      55       1000    Shares                X                 1        1000     0      0
ONEOK
  PARTNERS      COMMON
  LP..........   STOCK  68268N103      98       1800    Shares                         X        1        1800     0      0
OPENTABLE       COMMON
  INC.........   STOCK  68372A104      18        450    Shares                X                 1         450     0      0
ORACLE
  CORPORATION   COMMON
  COM.........   STOCK  68389X105    6329     217043    Shares                X                 1      215453     0   1590
ORACLE
  CORPORATION   COMMON
  COM.........   STOCK  68389X105     787      27000    Shares                         X        1       22405     0   4595
ORACLE
  CORPORATION   COMMON
  COM.........   STOCK  68389X105    1382      47388    Shares                X                 3       40561     0   6827
ORCHARD
  SUPPLY
  HARDWARE      COMMON
  CL A........   STOCK  685691404       0          8    Shares                X                 1           8     0      0
ORRSTOWN
  FINL SVCS     COMMON
  INC COM.....   STOCK  687380105      53       6075    Shares                X                 1        6075     0      0
OSHKOSH         COMMON
  CORPORATION.   STOCK  688239201       5        200    Shares                X                 1         200     0      0
OWENS
  CORNING       COMMON
  INC.........   STOCK  690742101      41       1150    Shares                X                 1        1150     0      0
OXIGENE INC...  COMMON
                 STOCK  691828305       0        250    Shares                X                 1         250     0      0
PAA NATURAL
  GAS
  STORAGE       COMMON
  LP..........   STOCK  693139107      10        500    Shares                         X        1         500     0      0
P G & E CORP..  COMMON
                 STOCK  69331C108     136       3135    Shares                X                 1        3135     0      0
P G & E CORP..  COMMON
                 STOCK  69331C108     141       3238    Shares                         X        1        1738     0   1500
PNC FINANCIAL
  SERVICES      COMMON
  GROUP INC...   STOCK  693475105    7994     123959    Shares                X                 1      122359     0   1600
PNC FINANCIAL
  SERVICES      COMMON
  GROUP INC...   STOCK  693475105    2044      31700    Shares                         X        1       27370   580   3750
POSCO - ADR...  COMMON
                 STOCK  693483109       8         98    Shares                X                 1          98     0      0
PPG
  INDUSTRIES    COMMON
  COMMON......   STOCK  693506107     939       9800    Shares                X                 1        9000     0    800
PPG
  INDUSTRIES    COMMON
  COMMON......   STOCK  693506107     732       7646    Shares                         X        1        6746     0    900
PPL CORP        COMMON
  COM.........   STOCK  69351T106    3062     108363    Shares                X                 1      107563     0    800
PPL CORP        COMMON
  COM.........   STOCK  69351T106     937      33166    Shares                         X        1       28731     0   4435
PVH CORP......  COMMON
                 STOCK  693656100     938      10502    Shares                X                 1       10502     0      0
PVH CORP......  COMMON
                 STOCK  693656100     223       2500    Shares                X                 3        2500     0      0
PACCAR INC....  COMMON
                 STOCK  693718108      12        250    Shares                X                 1         250     0      0
PACKAGING
  CORP OF       COMMON
  AMER COM....   STOCK  695156109      12        391    Shares                X                 1         391     0      0
PALL CORP       COMMON
  COM.........   STOCK  696429307      12        200    Shares                X                 1         200     0      0
PALL CORP       COMMON
  COM.........   STOCK  696429307      60       1000    Shares                         X        1        1000     0      0
PAN AMERICAN
  SILVER        COMMON
  CORP........   STOCK  697900108       3        150    Shares                X                 1         150     0      0
PANASONIC
  CORP SPONS    COMMON
  ADR.........   STOCK  69832A205       8        875    Shares                         X        1         875     0      0
PANERA BREAD    COMMON
  CO CL-A.....   STOCK  69840W108     219       1362    Shares                X                 1        1362     0      0
PANERA BREAD    COMMON
  CO CL-A.....   STOCK  69840W108     109        680    Shares                X                 3         680     0      0
PARAMETRIC
  TECHNOLOGY    COMMON
  CORP........   STOCK  699173209      68       2425    Shares                X                 1        2425     0      0
PARKER
  HANNIFIN      COMMON
  CORP........   STOCK  701094104     301       3558    Shares                X                 1        3558     0      0
PARKER
  HANNIFIN      COMMON
  CORP........   STOCK  701094104     103       1216    Shares                         X        1        1216     0      0
PATTERSON-UTI
  ENERGY        COMMON
  INC.........   STOCK  703481101       2        121    Shares                X                 1         121     0      0
PAYCHEX INC     COMMON
  COM.........   STOCK  704326107    1110      35817    Shares                X                 1       35817     0      0
PAYCHEX INC     COMMON
  COM.........   STOCK  704326107      26        850    Shares                         X        1         850     0      0
PEABODY
  ENERGY        COMMON
  CORP........   STOCK  704549104     529      18277    Shares                X                 1       18277     0      0
PEABODY
  ENERGY        COMMON
  CORP........   STOCK  704549104     152       5260    Shares                         X        1        5260     0      0
PEABODY
  ENERGY        COMMON
  CORP........   STOCK  704549104     118       4080    Shares                X                 3        4080     0      0
PEETS
  COFFEE &
  TEA INC       COMMON
  COM.........   STOCK  705560100      15        200    Shares                X                 1         200     0      0
PENN NATL
  GAMING        COMMON
  INC.........   STOCK  707569109      43       1000    Shares                X                 1        1000     0      0
PENN WEST
  ENERGY
  PETROLEUM     COMMON
  LTD.........   STOCK  707887105      78       4000    Shares                         X        1        4000     0      0
J C PENNEY
  COMPANY       COMMON
  COMMON......   STOCK  708160106      69       1940    Shares                X                 1        1940     0      0
PENNS WOODS
  BANCORP       COMMON
  INC.........   STOCK  708430103      41       1000    Shares                X                 1        1000     0      0
PENNS WOODS
  BANCORP       COMMON
  INC.........   STOCK  708430103     422      10331    Shares                X                 3       10331     0      0
PENTAIR INC     COMMON
  COM.........   STOCK  709631105     190       4000    Shares                         X        1        4000     0      0
PEOPLES
  UNITED
  FINANCIAL     COMMON
  INC.........   STOCK  712704105      33       2470    Shares                X                 1        2470     0      0


                                   22 of 32





                 COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                         INVESTMENT AUTHORITY
                 -------- --------- ---------- ------------------------ ----------------------
                                                SHARES                                                    VOTING AUTHORITY
                                                  OR      SHARES   PUT                                  ---------------------
NAME OF          TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER            CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------          -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                 
PEPCO
  HOLDINGS        COMMON
  INC...........   STOCK  713291102     342      18093    Shares                X                 1       17330    0      763
PEPCO
  HOLDINGS        COMMON
  INC...........   STOCK  713291102     168       8912    Shares                         X        1        6629    0     2283
PEPSICO INC       COMMON
  COM...........   STOCK  713448108   21402     322560    Shares                X                 1      320705    0     1855
PEPSICO INC       COMMON
  COM...........   STOCK  713448108   10504     158310    Shares                         X        1      146825    0    11485
PEPSICO INC       COMMON
  COM...........   STOCK  713448108     651       9813    Shares                X                 3        7772    0     2041
PERKINELMER       COMMON
  INC COM.......   STOCK  714046109     104       3750    Shares                         X        1        3750    0        0
PERRIGO           COMMON
  COMPANY.......   STOCK  714290103    2437      23591    Shares                X                 1       23335    0      256
PERRIGO           COMMON
  COMPANY.......   STOCK  714290103      96        926    Shares                         X        1         926    0        0
PERRIGO           COMMON
  COMPANY.......   STOCK  714290103     187       1810    Shares                X                 3        1810    0        0
PETMED
  EXPRESS         COMMON
  INC...........   STOCK  716382106      10        800    Shares                X                 1         800    0        0
PETROCHINA CO     COMMON
  LTD ADR.......   STOCK  71646E100      18        125    Shares                         X        1         125    0        0
PETROLEO
  BRASILEIRO
  SA SPNS         COMMON
  ADR...........   STOCK  71654V408      62       2320    Shares                X                 1        2320    0        0
PETROLEO
  BRASILEIRO
  SA SPNS         COMMON
  ADR...........   STOCK  71654V408      20        760    Shares                         X        1         760    0        0
PETSMART INC      COMMON
  COMMON........   STOCK  716768106     159       2775    Shares                X                 1        2775    0        0
PETSMART INC      COMMON
  COMMON........   STOCK  716768106      31        550    Shares                         X        1         550    0        0
PFIZER INC......  COMMON
                   STOCK  717081103   12742     562681    Shares                X                 1      558448    0     4233
PFIZER INC......  COMMON
                   STOCK  717081103    9774     431620    Shares                         X        1      389885    0    41735
PFIZER INC......  COMMON
                   STOCK  717081103     163       7202    Shares                X                 3        7202    0        0
PHILIP MORRIS     COMMON
  INTL INC......   STOCK  718172109   21085     237952    Shares                X                 1      235340    0     2612
PHILIP MORRIS     COMMON
  INTL INC......   STOCK  718172109    9133     103073    Shares                         X        1       96888    0     6185
PHILIP MORRIS     COMMON
  INTL INC......   STOCK  718172109     536       6055    Shares                X                 3        6055    0        0
PHOENIX COS       COMMON
  INC COM.......   STOCK  71902E109       3       1086    Shares                X                 1        1086    0        0
PIEDMONT NAT      COMMON
  GAS INC.......   STOCK  720186105      55       1780    Shares                X                 1        1780    0        0
PIEDMONT NAT      COMMON
  GAS INC.......   STOCK  720186105      12        400    Shares                         X        1         400    0        0
PIEDMONT
  OFFICE
  REALTY          COMMON
  TRUST-A.......   STOCK  720190206     192      10792    Shares                X                 1           0    0        0
PINNACLE WEST
  CAPITAL         COMMON
  CORP..........   STOCK  723484101       5        100    Shares                         X        1         100    0        0
PIONEER
  MUNICIPAL HI    COMMON
  INC ADV TR....   STOCK  723762100      22       1500    Shares                X                 1           0    0        0
PIZZA INN
  HOLDINGS        COMMON
  INC...........   STOCK  725846109       2        325    Shares                X                 1         325    0        0
PLAINS ALL
  AMERICAN        COMMON
  PIPELINE L P..   STOCK  726503105      39        500    Shares                X                 1         500    0        0
PLAINS ALL
  AMERICAN        COMMON
  PIPELINE L P..   STOCK  726503105      27        350    Shares                         X        1         350    0        0
PLUM CREEK
  TIMBER CO       COMMON
  INC...........   STOCK  729251108     169       4070    Shares                X                 1           0    0        0
POLARIS
  INDUSTRIES      COMMON
  INC...........   STOCK  731068102      49        675    Shares                X                 1         675    0        0
POLYPORE
  INTERNATIONAL   COMMON
  INC...........   STOCK  73179V103     125       3566    Shares                X                 1        3566    0        0
POLYPORE
  INTERNATIONAL   COMMON
  INC...........   STOCK  73179V103      18        520    Shares                         X        1         520    0        0
PORTUGAL
  TELECOM
  SGPS S A        COMMON
  SPONS ADR.....   STOCK  737273102       9       1614    Shares                         X        1        1614    0        0
POST HOLDINGS     COMMON
  INC...........   STOCK  737446104       1         36    Shares                X                 1          36    0        0
POST HOLDINGS     COMMON
  INC...........   STOCK  737446104       1         22    Shares                         X        1          22    0        0
POTASH CORP OF
  SASKATCHEWAN    COMMON
  INC...........   STOCK  73755L107     908      19865    Shares                X                 1       19865    0        0
POTASH CORP OF
  SASKATCHEWAN    COMMON
  INC...........   STOCK  73755L107     106       2328    Shares                         X        1        2328    0        0
POTASH CORP OF
  SASKATCHEWAN    COMMON
  INC...........   STOCK  73755L107      26        569    Shares                X                 3         569    0        0
POWERSHARES       COMMON
  QQQ...........   STOCK  73935A104      80       1180    Shares                X                 1           0    0        0
POWERSHARES       COMMON
  QQQ...........   STOCK  73935A104     108       1600    Shares                         X        1           0    0        0
POWERSHARES
  FINANCIAL       COMMON
  PREFERRED.....   STOCK  73935X229      50       2800    Shares                         X        1           0    0        0
POWERSHARES
  GLOBAL
  WATER           COMMON
  PORTFOLIO.....   STOCK  73935X575      25       1300    Shares                X                 1        1300    0        0
POWERSHARES
  DB US DOLLAR    COMMON
  INDEX BF......   STOCK  73936D107      20        920    Shares                         X        1           0    0        0
POWERSHARES
  DB US $ INDEX   COMMON
  BEAR FD.......   STOCK  73936D206      55       2000    Shares                X                 1           0    0        0
PRAXAIR INC       COMMON
  COM...........   STOCK  74005P104     384       3352    Shares                X                 1        3352    0        0
PRAXAIR INC       COMMON
  COM...........   STOCK  74005P104     341       2971    Shares                         X        1        2771    0      200
PRECISION
  CASTPARTS       COMMON
  CORP COM......   STOCK  740189105    1567       9064    Shares                X                 1        9064    0        0
PRECISION
  CASTPARTS       COMMON
  CORP COM......   STOCK  740189105       7         40    Shares                         X        1          40    0        0
PRECISION
  CASTPARTS       COMMON
  CORP COM......   STOCK  740189105     602       3479    Shares                X                 3        2279    0     1200
PRECISION
  DRILLING        COMMON
  TRUST.........   STOCK  74022D308      20       2000    Shares                         X        1        2000    0        0
T ROWE PRICE
  GROUP INC       COMMON
  COMMON........   STOCK  74144T108    9483     145218    Shares                X                 1      144553    0      665
T ROWE PRICE
  GROUP INC       COMMON
  COMMON........   STOCK  74144T108    1986      30410    Shares                         X        1       26356    0     4054
T ROWE PRICE
  GROUP INC       COMMON
  COMMON........   STOCK  74144T108    1789      27400    Shares                X                 3       23780    0     3620
T ROWE PRICE
  GROUP INC       COMMON
  COMMON........   STOCK  74144T108      78       1200    Shares                         X        4        1200    0        0
PRICELINE.COM     COMMON
  INCORPORATED..   STOCK  741503403    2572       3585    Shares                X                 1        3531    0       54
PRICELINE.COM     COMMON
  INCORPORATED..   STOCK  741503403      99        138    Shares                         X        1         138    0        0
PRINCIPAL
  FINANCIAL
  GROUP           COMMON
  COMMON........   STOCK  74251V102      23        795    Shares                X                 1         795    0        0
PROCERA
  NETWORKS        COMMON
  INC...........   STOCK  74269U203      59       2625    Shares                X                 1        2625    0        0
PROCTER &
  GAMBLE CO       COMMON
  COM...........   STOCK  742718109   28310     421218    Shares                X                 1      418913    0     2305
PROCTER &
  GAMBLE CO       COMMON
  COM...........   STOCK  742718109   27307     406291    Shares                         X        1      320042    0    86249
PROCTER &
  GAMBLE CO       COMMON
  COM...........   STOCK  742718109    1067      15880    Shares                X                 3       13066    0     2814
PROGRESS
  ENERGY INC      COMMON
  COM...........   STOCK  743263105     301       5663    Shares                X                 1        5063    0      600
PROGRESS
  ENERGY INC      COMMON
  COM...........   STOCK  743263105     144       2702    Shares                         X        1        2702    0        0
PROGRESSIVE       COMMON
  CORP COM......   STOCK  743315103      96       4121    Shares                X                 1        4121    0        0
PROGRESSIVE       COMMON
  CORP COM......   STOCK  743315103      16        711    Shares                         X        1         711    0        0


                                   23 of 32





                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES                                                    VOTING AUTHORITY
                                                    OR      SHARES   PUT                                  ---------------------
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------            -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                   
PROLOGIS INC......  COMMON
                     STOCK  74340W103       1         38    Shares                X                 1           0    0        0
ULTRASHORT
  LEHMAN 20+ YR     COMMON
  TREASURY........   STOCK  74347R297      10        500    Shares                X                 1           0    0        0
PROSHARES ULTRA     COMMON
  SHORT EURO......   STOCK  74347W882      24       1265    Shares                X                 1           0    0        0
PROVIDENT           COMMON
  ENERGY LTD......   STOCK  74386V100       2        200    Shares                X                 1         200    0        0
PROVIDENT NEW
  YORK              COMMON
  BANCORP.........   STOCK  744028101      19       2225    Shares                         X        1        2225    0        0
PRUDENTIAL          COMMON
  FINANCIAL INC...   STOCK  744320102     230       3628    Shares                X                 1        3628    0        0
PRUDENTIAL          COMMON
  FINANCIAL INC...   STOCK  744320102      43        683    Shares                         X        1         683    0        0
PRUDENTIAL          COMMON
  PLC-ADR.........   STOCK  74435K204      13        526    Shares                X                 1         526    0        0
PUBLIC SVC
  ENTERPRISE        COMMON
  GROUP INC.......   STOCK  744573106     384      12553    Shares                X                 1       12553    0        0
PUBLIC SVC
  ENTERPRISE        COMMON
  GROUP INC.......   STOCK  744573106     255       8318    Shares                         X        1        8318    0        0
QLT INC...........  COMMON
                     STOCK  746927102      14       2000    Shares                X                 1        2000    0        0
QLIK
  TECHNOLOGIES      COMMON
  INC.............   STOCK  74733T105      34       1075    Shares                X                 1        1075    0        0
QEP RESOURCES       COMMON
  INC.............   STOCK  74733V100      37       1200    Shares                X                 1        1200    0        0
QEP RESOURCES       COMMON
  INC.............   STOCK  74733V100      98       3200    Shares                         X        1        3200    0        0
QUALCOMM INC        COMMON
  COM.............   STOCK  747525103   10146     149067    Shares                X                 1      148105    0      962
QUALCOMM INC        COMMON
  COM.............   STOCK  747525103    1020      14993    Shares                         X        1       12650    0     2343
QUALCOMM INC        COMMON
  COM.............   STOCK  747525103    1518      22296    Shares                X                 3       19146    0     3150
QUALITY
  DISTRIBUTION      COMMON
  INC.............   STOCK  74756M102      50       3621    Shares                X                 1        3621    0        0
QUEST
  DIAGNOSTICS       COMMON
  INC.............   STOCK  74834L100     141       2300    Shares                         X        1        2000    0      300
QUESTAR CORP......  COMMON
                     STOCK  748356102      23       1200    Shares                X                 1        1200    0        0
QUESTAR CORP......  COMMON
                     STOCK  748356102      73       3800    Shares                         X        1        3800    0        0
QUESTCOR
  PHARMACEUTICALS   COMMON
  INC.............   STOCK  74835Y101      71       1875    Shares                X                 1        1875    0        0
QUIDEL              COMMON
  CORPORATION.....   STOCK  74838J101      18       1000    Shares                X                 1        1000    0        0
RGC RESOURCES       COMMON
  INC.............   STOCK  74955L103      28       1500    Shares                X                 1        1500    0        0
RGC RESOURCES       COMMON
  INC.............   STOCK  74955L103       9        500    Shares                         X        1         500    0        0
RPM
  INTERNATIONAL     COMMON
  INC COMMON......   STOCK  749685103      61       2325    Shares                X                 1        2325    0        0
RF MICRO DEVICES    COMMON
  INC COM.........   STOCK  749941100       1        140    Shares                X                 1         140    0        0
RAILAMERICA         COMMON
  INC.............   STOCK  750753402      23       1069    Shares                X                 1        1069    0        0
RALCORP             COMMON
  HOLDINGS INC....   STOCK  751028101       5         74    Shares                X                 1          74    0        0
RALCORP             COMMON
  HOLDINGS INC....   STOCK  751028101       3         45    Shares                         X        1          45    0        0
RALPH LAUREN        COMMON
  CORP............   STOCK  751212101      64        365    Shares                X                 1         365    0        0
RALPH LAUREN        COMMON
  CORP............   STOCK  751212101       2         14    Shares                         X        1          14    0        0
RAYMOND JAMES       COMMON
  FINANCIAL INC...   STOCK  754730109     423      11590    Shares                X                 1       11590    0        0
RAYMOND JAMES       COMMON
  FINANCIAL INC...   STOCK  754730109     204       5580    Shares                X                 3        5580    0        0
RAYONIER INC        COMMON
  COM.............   STOCK  754907103      25        562    Shares                         X        1         562    0        0
RAYTHEON CO COM     COMMON
  NEW.............   STOCK  755111507      10        193    Shares                X                 1         193    0        0
RAYTHEON CO COM     COMMON
  NEW.............   STOCK  755111507     191       3625    Shares                         X        1        3625    0        0
REALD INC.........  COMMON
                     STOCK  75604L105      32       2343    Shares                X                 1        2343    0        0
REALTY INCOME       COMMON
  CORP............   STOCK  756109104      51       1309    Shares                         X        1           0    0        0
RED HAT INC         COMMON
  COM.............   STOCK  756577102      12        200    Shares                X                 1         200    0        0
RED ROBIN
  GOURMET           COMMON
  BURGERS.........   STOCK  75689M101      34        925    Shares                X                 1         925    0        0
REED ELSEVIER NV
  SPONSORED         COMMON
  ADR.............   STOCK  758204200       2         72    Shares                X                 1          72    0        0
REGENERON           COMMON
  PHARMACEUTICALS.   STOCK  75886F107     106        910    Shares                X                 1         910    0        0
REGENERON           COMMON
  PHARMACEUTICALS.   STOCK  75886F107      49        420    Shares                X                 3         420    0        0
REGIONS
  FINANCIAL         COMMON
  CORP............   STOCK  7591EP100       3        396    Shares                X                 1         396    0        0
REGIONS
  FINANCIAL         COMMON
  CORP............   STOCK  7591EP100      28       4271    Shares                         X        1        4271    0        0
RELIANCE STEEL &
  ALUMINUM          COMMON
  COMPANY.........   STOCK  759509102     663      11740    Shares                X                 1           0    0    11740
RESEARCH IN
  MOTION            COMMON
  LIMITED.........   STOCK  760975102      45       3050    Shares                X                 1        3050    0        0
RESEARCH IN
  MOTION            COMMON
  LIMITED.........   STOCK  760975102      19       1318    Shares                X                 3         660    0      658
RESMED INC........  COMMON
                     STOCK  761152107     223       7221    Shares                X                 1        7221    0        0
RESMED INC........  COMMON
                     STOCK  761152107     108       3500    Shares                X                 3        3500    0        0
RESOLUTE ENERGY     COMMON
  CORP............   STOCK  76116A108      57       5000    Shares                X                 1        5000    0        0
REYNOLDS            COMMON
  AMERICAN INC....   STOCK  761713106     134       3234    Shares                X                 1        3234    0        0
REYNOLDS            COMMON
  AMERICAN INC....   STOCK  761713106      55       1324    Shares                         X        1        1324    0        0
RIO TINTO PLC
  SPONSORED         COMMON
  ADR.............   STOCK  767204100      16        284    Shares                X                 1         284    0        0
RIO TINTO PLC
  SPONSORED         COMMON
  ADR.............   STOCK  767204100      22        400    Shares                         X        1         400    0        0
RITE AID CORP       COMMON
  COM.............   STOCK  767754104      84      48300    Shares                X                 1       37000    0    11300
RIVERBED
  TECHNOLOGY        COMMON
  INC.............   STOCK  768573107     625      22265    Shares                X                 1       22265    0        0
RIVERBED
  TECHNOLOGY        COMMON
  INC.............   STOCK  768573107      24        867    Shares                X                 3         867    0        0
ROBERT HALF INTL    COMMON
  INC COM.........   STOCK  770323103      18        605    Shares                         X        1         500    0      105
ROCKWELL
  AUTOMATION        COMMON
  INC.............   STOCK  773903109    1073      13467    Shares                X                 1       13467    0        0
ROCKWELL
  AUTOMATION        COMMON
  INC.............   STOCK  773903109     310       3895    Shares                         X        1        3745    0      150
ROCKWELL
  AUTOMATION        COMMON
  INC.............   STOCK  773903109     170       2130    Shares                X                 3        2130    0        0
ROCKWELL            COMMON
  COLLINS COM.....   STOCK  774341101     232       4026    Shares                X                 1        4026    0        0
ROCKWELL            COMMON
  COLLINS COM.....   STOCK  774341101     127       2200    Shares                         X        1        2120    0       80
ROGERS
  COMMUNICATIONS    COMMON
  INC CL B........   STOCK  775109200       7        178    Shares                X                 1         178    0        0
ROPER INDUSTRIES    COMMON
  INC.............   STOCK  776696106       4         45    Shares                X                 1          45    0        0


                                   24 of 32





                 COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                         INVESTMENT AUTHORITY
                 -------- --------- ---------- ------------------------ ----------------------
                                                SHARES                                                    VOTING AUTHORITY
                                                  OR      SHARES   PUT                                  ---------------------
NAME OF          TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER            CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------          -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                 
ROSS STORES INC   COMMON
  COM...........   STOCK  778296103     117       2022    Shares                X                 1       2022     0       0
ROSS STORES INC   COMMON
  COM...........   STOCK  778296103     285       4904    Shares                         X        1       4904     0       0
ROYAL BK          COMMON
  CANADA........   STOCK  780087102      23        400    Shares                X                 1        400     0       0
ROYAL BK          COMMON
  CANADA........   STOCK  780087102      58       1000    Shares                         X        1       1000     0       0
ROYAL BANK
  SCOTLAND-       COMMON
  SPON ADR......   STOCK  780097689       2        281    Shares                         X        1        281     0       0
ROYAL DUTCH
  SHELL PLC-ADR   COMMON
  B.............   STOCK  780259107     110       1554    Shares                X                 1       1554     0       0
ROYAL DUTCH
  SHELL PLC-ADR   COMMON
  B.............   STOCK  780259107      26        364    Shares                         X        1        364     0       0
ROYAL DUTCH
  SHELL PLC-ADR   COMMON
  A.............   STOCK  780259206    2945      41991    Shares                X                 1      41991     0       0
ROYAL DUTCH
  SHELL PLC-ADR   COMMON
  A.............   STOCK  780259206    2672      38107    Shares                         X        1      33657     0    4450
RUDOLPH
  TECHNOLOGIES    COMMON
  INC...........   STOCK  781270103      20       1800    Shares                X                 1       1800     0       0
RYDER SYS INC     COMMON
  COM...........   STOCK  783549108     913      17285    Shares                X                 1      17285     0       0
RYDER SYS INC     COMMON
  COM...........   STOCK  783549108      37        694    Shares                X                 3        694     0       0
SEI CORP COM....  COMMON
                   STOCK  784117103       4        175    Shares                X                 1        175     0       0
SK TELECOM CO     COMMON
  LTD - ADR.....   STOCK  78440P108      14       1020    Shares                         X        1       1020     0       0
SPDR S&P 500      COMMON
  ETF...........   STOCK  78462F103    9403      66776    Shares                X                 1          0     0       0
SPDR S&P 500      COMMON
  ETF...........   STOCK  78462F103    4908      34852    Shares                         X        1          0     0       0
SPDR S&P 500      COMMON
  ETF...........   STOCK  78462F103    2601      18471    Shares                         X        3          0     0       0
SPDR S&P 500      COMMON
  ETF...........   STOCK  78462F103    1190       8454    Shares                         X        4          0     0       0
SPX CORP COM....  COMMON
                   STOCK  784635104     271       3500    Shares                         X        1       3500     0       0
SPDR GOLD         COMMON
  TRUST.........   STOCK  78463V107    2379      14677    Shares                X                 1          0     0       0
SPDR GOLD         COMMON
  TRUST.........   STOCK  78463V107      80        496    Shares                         X        1          0     0       0
SPDR S&P
  EMERGING        COMMON
  ASIA PACIFIC..   STOCK  78463X301     445       6000    Shares                         X        1          0     0       0
SPDR DJ INT'L
  REAL ESTATE     COMMON
  ETF...........   STOCK  78463X863     387      10505    Shares                X                 1          0     0       0
SPDR DJ INT'L
  REAL ESTATE     COMMON
  ETF...........   STOCK  78463X863    1780      48348    Shares                X                 3          0     0       0
SPDR DJ
  WILSHIRE
  SMALL CAP       COMMON
  VAL - E.......   STOCK  78464A300      29        380    Shares                         X        1          0     0       0
SPDR BARCLAYS
  CAP HI YLD BD   COMMON
  ETF...........   STOCK  78464A417      47       1200    Shares                X                 1          0     0       0
SPDR DJ REIT      COMMON
  ETF...........   STOCK  78464A607     229       3235    Shares                X                 1          0     0       0
SPDR BARCLAYS
  CAPITAL TIPS    COMMON
  ETF...........   STOCK  78464A656     163       2800    Shares                X                 1          0     0       0
SPDR S&P
  REGIONAL        COMMON
  BANKING.......   STOCK  78464A698      11        400    Shares                X                 1          0     0       0
SPDR S&P
  REGIONAL        COMMON
  BANKING.......   STOCK  78464A698       6        200    Shares                         X        1          0     0       0
SPDR S&P OIL &
  GAS             COMMON
  EXPLORATION...   STOCK  78464A730      41        720    Shares                         X        1          0     0       0
SPDR S&P
  DIVIDEND        COMMON
  ETF...........   STOCK  78464A763   48139     849906    Shares                X                 1          0     0       0
SPDR S&P
  DIVIDEND        COMMON
  ETF...........   STOCK  78464A763    5074      89587    Shares                         X        1          0     0       0
SPDR S&P
  DIVIDEND        COMMON
  ETF...........   STOCK  78464A763    1778      31389    Shares                X                 3       5325     0       0
SPDR S&P
  DIVIDEND        COMMON
  ETF...........   STOCK  78464A763      27        476    Shares                X                 4          0     0       0
SPDR S&P
  DIVIDEND        COMMON
  ETF...........   STOCK  78464A763     214       3787    Shares                         X        4          0     0       0
SPDR S&P BANK     COMMON
  ETF...........   STOCK  78464A797       9        386    Shares                X                 1          0     0       0
SPDR DJ MID CAP   COMMON
  VALUE - E.....   STOCK  78464A839      27        460    Shares                         X        1          0     0       0
SPDR S&P          COMMON
  BIOTECH ETF...   STOCK  78464A870     402       5000    Shares                         X        1          0     0       0
SPDR DJ
  INDUSTRIAL      COMMON
  AVG ETF FD....   STOCK  78467X109    5466      41470    Shares                X                 1          0     0       0
SPDR S&P          COMMON
  MIDCAP........   STOCK  78467Y107     108        600    Shares                X                 1          0     0       0
SPDR S&P          COMMON
  MIDCAP........   STOCK  78467Y107    2940      16270    Shares                         X        1          0     0       0
SPDR S&P          COMMON
  MIDCAP........   STOCK  78467Y107      82        455    Shares                X                 3          0     0       0
SVB FINANCIAL     COMMON
  GROUP.........   STOCK  78486Q101      39        600    Shares                X                 1        600     0       0
SXC HEALTH
  SOLUTIONS       COMMON
  CORP..........   STOCK  78505P100      27        360    Shares                X                 1        360     0       0
SAFEWAY INC       COMMON
  COM...........   STOCK  786514208      21       1039    Shares                X                 1       1039     0       0
SAFEWAY INC       COMMON
  COM...........   STOCK  786514208      30       1500    Shares                         X        1          0     0    1500
ST JOE COMPANY    COMMON
  COMMON........   STOCK  790148100       4        200    Shares                         X        1        200     0       0
ST JUDE MEDICAL   COMMON
  INC COM.......   STOCK  790849103      17        392    Shares                X                 1        392     0       0
ST JUDE MEDICAL   COMMON
  INC COM.......   STOCK  790849103      44       1000    Shares                         X        1       1000     0       0
ST JUDE MEDICAL   COMMON
  INC COM.......   STOCK  790849103     167       3775    Shares                X                 3       1885     0    1890
SALESFORCE.COM    COMMON
  INC...........   STOCK  79466L302      51        333    Shares                X                 1        333     0       0
SALLY BEAUTY
  COMPANY         COMMON
  INC...........   STOCK  79546E104       2        100    Shares                X                 1        100     0       0
SAN JUAN BASIN    COMMON
  ROYALTY TR....   STOCK  798241105       3        150    Shares                         X        1          0     0     150
SANDISK CORP      COMMON
  COM...........   STOCK  80004C101       5        100    Shares                X                 1        100     0       0
SANDRIDGE
  MISSISSIPPIAN   COMMON
  TRUST.........   STOCK  80007T101      24        820    Shares                X                 1          0     0       0
SANDRIDGE
  MISSISSIPPIAN   COMMON
  TRUST.........   STOCK  80007T101      22        745    Shares                         X        1          0     0       0
SANDY SPRING
  BANCORP         COMMON
  INC...........   STOCK  800363103     228      12567    Shares                         X        1      12567     0       0
SANOFI-ADR......  COMMON
                   STOCK  80105N105      39       1000    Shares                X                 1       1000     0       0
SANOFI-ADR......  COMMON
                   STOCK  80105N105      48       1250    Shares                         X        1       1250     0       0
SANOFI-CVR        COMMON
  12/31/20......   STOCK  80105N113       4       2900    Shares                X                 1       2900     0       0
SANOFI-CVR        COMMON
  12/31/20......   STOCK  80105N113       0        200    Shares                         X        1        200     0       0
SAP AG SPONS      COMMON
  ADR...........   STOCK  803054204      35        500    Shares                X                 1        500     0       0
SARA LEE          COMMON
  CORP..........   STOCK  803111103      17        800    Shares                X                 1        800     0       0
SARA LEE          COMMON
  CORP..........   STOCK  803111103     132       6125    Shares                         X        1       2925     0    3200
SCANA CORP NEW    COMMON
  COM...........   STOCK  80589M102     113       2476    Shares                X                 1       2476     0       0
SCANA CORP NEW    COMMON
  COM...........   STOCK  80589M102      98       2150    Shares                         X        1       2150     0       0


                                   25 of 32





                 COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                         INVESTMENT AUTHORITY
                 -------- --------- ---------- ------------------------ ----------------------
                                                SHARES                                                    VOTING AUTHORITY
                                                  OR      SHARES   PUT                                  ---------------------
NAME OF          TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER            CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------          -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                 
HENRY SCHEIN      COMMON
  INC COM.......   STOCK  806407102      95       1254    Shares                X                 1        1254    0       0
SCHLUMBERGER      COMMON
  LTD...........   STOCK  806857108   17217     246200    Shares                X                 1      245049    0    1151
SCHLUMBERGER      COMMON
  LTD...........   STOCK  806857108    5255      75144    Shares                         X        1       69094    0    6050
SCHLUMBERGER      COMMON
  LTD...........   STOCK  806857108    1518      21709    Shares                X                 3       18261    0    3448
SCHWAB
  CHARLES
  CORP NEW        COMMON
  COM...........   STOCK  808513105     230      15974    Shares                X                 1       15974    0       0
SCHWAB
  CHARLES
  CORP NEW        COMMON
  COM...........   STOCK  808513105       9        642    Shares                         X        1         642    0       0
SCOTTS
  MIRACLE-GRO     COMMON
  COMPANY.......   STOCK  810186106     509       9400    Shares                X                 1        9400    0       0
SEALED AIR
  CORP NEW        COMMON
  COM...........   STOCK  81211K100       1         77    Shares                X                 1          77    0       0
SEALED AIR
  CORP NEW        COMMON
  COM...........   STOCK  81211K100      75       3908    Shares                         X        1        3908    0       0
SEARS
  HOLDINGS        COMMON
  CORP..........   STOCK  812350106      12        188    Shares                X                 1         188    0       0
SEARS
  HOLDINGS        COMMON
  CORP..........   STOCK  812350106      23        350    Shares                         X        1         350    0       0
SPDR ENERGY
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y506      11        152    Shares                X                 1           0    0       0
SPDR ENERGY
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y506      13        185    Shares                         X        1           0    0       0
SPDR
  FINANCIAL
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y605    1154      73043    Shares                X                 1           0    0       0
SPDR
  FINANCIAL
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y605     692      43803    Shares                         X        1           0    0       0
SPDR
  FINANCIAL
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y605       5        300    Shares                X                 4           0    0       0
SPDR
  TECHNOLOGY
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y803      24        800    Shares                X                 1         800    0       0
SPDR UTILITIES
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y886    2973      84840    Shares                X                 1           0    0       0
SPDR UTILITIES
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y886     457      13032    Shares                         X        1           0    0       0
SPDR UTILITIES
  SELECT
  SECTOR          COMMON
  ETF...........   STOCK  81369Y886    1533      43738    Shares                X                 3       29940    0       0
SELECTIVE INS     COMMON
  GROUP INC.....   STOCK  816300107      65       3712    Shares                X                 1        3712    0       0
SEMTECH CORP      COMMON
  COM...........   STOCK  816850101      52       1825    Shares                X                 1        1825    0       0
SENIOR
  HOUSING
  PROPERTIES      COMMON
  TR (REIT).....   STOCK  81721M109       2        100    Shares                         X        1           0    0       0
SERVICE CORP
  INTERNATIONAL   COMMON
  COMMON........   STOCK  817565104      70       6247    Shares                X                 1        6247    0       0
SERVICE CORP
  INTERNATIONAL   COMMON
  COMMON........   STOCK  817565104      19       1656    Shares                         X        1        1656    0       0
SHERWIN
  WILLIAMS CO     COMMON
  COM...........   STOCK  824348106      22        200    Shares                X                 1         200    0       0
SHERWIN
  WILLIAMS CO     COMMON
  COM...........   STOCK  824348106     543       5000    Shares                         X        1           0    0    5000
SHIRE PLC -       COMMON
  ADR...........   STOCK  82481R106      14        144    Shares                X                 1         144    0       0
SIEMENS A G
  SPONSORED       COMMON
  ADR...........   STOCK  826197501      14        135    Shares                X                 1         135    0       0
SIEMENS A G
  SPONSORED       COMMON
  ADR...........   STOCK  826197501     136       1350    Shares                         X        1        1350    0       0
SIGNATURE         COMMON
  BANK..........   STOCK  82669G104      46        725    Shares                X                 1         725    0       0
SILVER
  WHEATON         COMMON
  CORPORATION...   STOCK  828336107      13        392    Shares                X                 1         392    0       0
SILVER
  WHEATON         COMMON
  CORPORATION...   STOCK  828336107      70       2100    Shares                         X        1        2100    0       0
SILVERCORP
  METALS          COMMON
  INC...........   STOCK  82835P103       4        600    Shares                X                 1         600    0       0
SIMON
  PROPERTY
  GRP INC         COMMON
  (REIT)........   STOCK  828806109     994       6822    Shares                X                 1           0    0       0
SIMON
  PROPERTY
  GRP INC         COMMON
  (REIT)........   STOCK  828806109     790       5421    Shares                         X        1           0    0       0
SIRIUS XM         COMMON
  RADIO INC.....   STOCK  82967N108      24      10588    Shares                X                 1       10588    0       0
SKYWORKS          COMMON
  SOLUTIONSINC..   STOCK  83088M102      55       1975    Shares                X                 1        1975    0       0
SMITH &
  NEPHEW PLC -    COMMON
  SPONS ADR.....   STOCK  83175M205       2         46    Shares                X                 1          46    0       0
JM SMUCKER        COMMON
  CO............   STOCK  832696405      73        900    Shares                X                 1         900    0       0
JM SMUCKER        COMMON
  CO............   STOCK  832696405     267       3278    Shares                         X        1        2680    0     598
SNAP ON INC       COMMON
  COMMON........   STOCK  833034101       4         65    Shares                X                 1          65    0       0
SOLUTIA INC.....  COMMON
                   STOCK  834376501       2         68    Shares                X                 1          68    0       0
SONOCO
  PRODUCTS CO     COMMON
  COM...........   STOCK  835495102      49       1481    Shares                X                 1        1481    0       0
SONY CORP -
  SPONSORED       COMMON
  ADR...........   STOCK  835699307       4        192    Shares                X                 1         192    0       0
SOTHEBY'S.......  COMMON
                   STOCK  835898107      36        925    Shares                X                 1         925    0       0
SOURCEFIRE        COMMON
  INC...........   STOCK  83616T108     303       6301    Shares                X                 1        6301    0       0
SOURCEFIRE        COMMON
  INC...........   STOCK  83616T108     112       2320    Shares                X                 3        2320    0       0
SOUTHERN CO       COMMON
  COM...........   STOCK  842587107    1212      26979    Shares                X                 1       25929    0    1050
SOUTHERN CO       COMMON
  COM...........   STOCK  842587107    1442      32088    Shares                         X        1       31688    0     400
SOUTHERN
  COPPER          COMMON
  CORP..........   STOCK  84265V105      52       1625    Shares                X                 1        1019    0     606
SOUTHWEST
  AIRLINES CO     COMMON
  COM...........   STOCK  844741108       7        800    Shares                X                 1         800    0       0
SOUTHWEST
  AIRLINES CO     COMMON
  COM...........   STOCK  844741108       2        300    Shares                         X        1         300    0       0
SOUTHWESTERN
  ENERGY          COMMON
  COMPANY.......   STOCK  845467109     142       4654    Shares                X                 1        4654    0       0
SOUTHWESTERN
  ENERGY          COMMON
  COMPANY.......   STOCK  845467109       3        100    Shares                         X        1         100    0       0
SPECTRA
  ENERGY          COMMON
  CORP..........   STOCK  847560109     296       9391    Shares                X                 1        9391    0       0
SPECTRA
  ENERGY          COMMON
  CORP..........   STOCK  847560109     225       7133    Shares                         X        1        6733    0     400
SPECTRA
  ENERGY
  PARTNERS        COMMON
  LP............   STOCK  84756N109       2         50    Shares                         X        1          50    0       0
SPIRIT
  AEROSYSTEMS     COMMON
  HOLD-CL A.....   STOCK  848574109      39       1587    Shares                X                 1        1587    0       0
SPIRIT AIRLINES   COMMON
  INC...........   STOCK  848577102      41       2050    Shares                X                 1        2050    0       0
SPROTT
  PHYSICAL
  SILVER          COMMON
  TRUST.........   STOCK  85207K107      20       1500    Shares                X                 1           0    0       0
STAAR
  SURGICAL        COMMON
  COMPANY.......   STOCK  852312305      37       3450    Shares                X                 1        3450    0       0
STANDARD
  REGISTER        COMMON
  COMPANY.......   STOCK  853887107      16      13000    Shares                X                 1       13000    0       0
STANLEY
  BLACK &
  DECKER          COMMON
  INC...........   STOCK  854502101     225       2927    Shares                X                 1        2927    0       0
STANLEY
  BLACK &
  DECKER          COMMON
  INC...........   STOCK  854502101    1074      13950    Shares                         X        1       13950    0       0
STAPLES INC       COMMON
  COM...........   STOCK  855030102     725      44790    Shares                X                 1       44790    0       0
STAPLES INC       COMMON
  COM...........   STOCK  855030102     310      19147    Shares                         X        1       19047    0     100


                                   26 of 32





                  COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                          INVESTMENT AUTHORITY
                  -------- --------- ---------- ------------------------ ----------------------
                                                 SHARES                                                    VOTING AUTHORITY
                                                   OR      SHARES   PUT                                  ---------------------
NAME OF           TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER             CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------           -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                  
STARBUCKS CORP     COMMON
  COM............   STOCK  855244109     475       8494    Shares                X                 1        8494    0       0
STARBUCKS CORP     COMMON
  COM............   STOCK  855244109     100       1796    Shares                         X        1        1796    0       0
STARWOOD
  HOTELS &
  RESORTS          COMMON
  WORLDWIDE......   STOCK  85590A401    2683      47557    Shares                X                 1       47035    0     522
STARWOOD
  HOTELS &
  RESORTS          COMMON
  WORLDWIDE......   STOCK  85590A401      73       1286    Shares                         X        1        1286    0       0
STARWOOD
  HOTELS &
  RESORTS          COMMON
  WORLDWIDE......   STOCK  85590A401      26        466    Shares                X                 3         466    0       0
STATE STREET       COMMON
  CORP...........   STOCK  857477103      41        900    Shares                X                 1         900    0       0
STATE STREET       COMMON
  CORP...........   STOCK  857477103    2969      65250    Shares                         X        1       65250    0       0
STATOIL ASA
  SPONSORED        COMMON
  ADR............   STOCK  85771P102      10        358    Shares                X                 1         358    0       0
STELLARONE         COMMON
  CORP...........   STOCK  85856G100      21       1731    Shares                         X        1        1731    0       0
STERICYCLE INC     COMMON
  COM............   STOCK  858912108       7         87    Shares                X                 1          87    0       0
STIFEL FINANCIAL   COMMON
  CORPORATION....   STOCK  860630102      27        725    Shares                X                 1         725    0       0
STONE ENERGY       COMMON
  CORP...........   STOCK  861642106      19        650    Shares                X                 1         650    0       0
STRATASYS          COMMON
  INCORPORATED...   STOCK  862685104     225       6157    Shares                X                 1        6157    0       0
STRATASYS          COMMON
  INCORPORATED...   STOCK  862685104     109       2980    Shares                X                 3        2980    0       0
STRATEGIC
  HOTELS &         COMMON
  RESORTS INC....   STOCK  86272T106      57       8700    Shares                X                 1           0    0       0
STRYKER CORP       COMMON
  COM............   STOCK  863667101    1069      19266    Shares                X                 1       19266    0       0
STRYKER CORP       COMMON
  COM............   STOCK  863667101     200       3600    Shares                         X        1        2600    0    1000
STRYKER CORP       COMMON
  COM............   STOCK  863667101      31        552    Shares                X                 3         552    0       0
STUDENT
  TRANSPORTATION   COMMON
  INC............   STOCK  86388A108      30       4300    Shares                X                 1        4300    0       0
STURM RUGER &      COMMON
  CO INC COM.....   STOCK  864159108      12        250    Shares                X                 1         250    0       0
STURM RUGER &      COMMON
  CO INC COM.....   STOCK  864159108      49       1000    Shares                         X        1        1000    0       0
SUBURBAN
  PROPANE
  PARTNERS LP      COMMON
  LIMITE.........   STOCK  864482104      11        250    Shares                X                 1         250    0       0
SUBURBAN
  PROPANE
  PARTNERS LP      COMMON
  LIMITE.........   STOCK  864482104      43       1000    Shares                         X        1        1000    0       0
SUMITOMO TRUST
  AND BANKING      COMMON
  CO.............   STOCK  86562M209      13       2012    Shares                         X        1        2012    0       0
SUN LIFE FINL      COMMON
  INC............   STOCK  866796105      61       2592    Shares                X                 1        2592    0       0
SUNCOR ENERGY      COMMON
  INC............   STOCK  867224107      33       1016    Shares                X                 1        1016    0       0
SUNCOR ENERGY      COMMON
  INC............   STOCK  867224107     447      13665    Shares                         X        1       13665    0       0
SUNOCO
  LOGISTICS        COMMON
  PARTNERS LP....   STOCK  86764L108     147       3900    Shares                X                 1        3900    0       0
SUNOCO
  LOGISTICS        COMMON
  PARTNERS LP....   STOCK  86764L108      49       1300    Shares                         X        1        1300    0       0
SUNOCO INC         COMMON
  COM............   STOCK  86764P109       5        120    Shares                X                 1         120    0       0
PFD SUNPOWER       COMMON
  CORP "ONE".....   STOCK  867652406       1        200    Shares                X                 1         200    0       0
SUNTRUST BANKS     COMMON
  INC............   STOCK  867914103     206       8531    Shares                X                 1        8531    0       0
SUNTRUST BANKS     COMMON
  INC............   STOCK  867914103     114       4718    Shares                         X        1        3018    0    1700
SUPERVALU INC      COMMON
  COMMON.........   STOCK  868536103      17       2962    Shares                X                 1        2962    0       0
SUSQUEHANNA
  BANCSHARES       COMMON
  INC PA COM.....   STOCK  869099101     596      60339    Shares                X                 1       57844    0    2495
SUSQUEHANNA
  BANCSHARES       COMMON
  INC PA COM.....   STOCK  869099101      93       9440    Shares                         X        1        9440    0       0
ELEMENTS
  ROGERS AGRI      COMMON
  TOT RET........   STOCK  870297603       5        500    Shares                X                 1           0    0       0
SWIFT
  TRANSPORATION    COMMON
  CO.............   STOCK  87074U101      33       2875    Shares                X                 1        2875    0       0
SYMANTEC CORP      COMMON
  COM............   STOCK  871503108      63       3360    Shares                X                 1        3360    0       0
SYNGENTA AG        COMMON
  ADR............   STOCK  87160A100     138       2000    Shares                         X        1        2000    0       0
SYSCO CORP         COMMON
  COMMON.........   STOCK  871829107    1444      48361    Shares                X                 1       48261    0     100
SYSCO CORP         COMMON
  COMMON.........   STOCK  871829107    4009     134250    Shares                         X        1      132150    0    2100
TCF FINL CORP      COMMON
  COM............   STOCK  872275102       6        500    Shares                X                 1         500    0       0
TECO ENERGY        COMMON
  INC............   STOCK  872375100      32       1800    Shares                X                 1        1800    0       0
TECO ENERGY        COMMON
  INC............   STOCK  872375100      67       3814    Shares                         X        1        3814    0       0
TJX COMPANIES      COMMON
  COM............   STOCK  872540109     115       2886    Shares                X                 1        2886    0       0
TJX COMPANIES      COMMON
  COM............   STOCK  872540109     162       4092    Shares                         X        1        4092    0       0
TAIWAN
  SEMICONDUCTOR    COMMON
  SPON ADR.......   STOCK  874039100      13        840    Shares                X                 1         840    0       0
TAIWAN
  SEMICONDUCTOR    COMMON
  SPON ADR.......   STOCK  874039100      15       1014    Shares                         X        1           0    0    1014
TALISMAN           COMMON
  ENERGY INC.....   STOCK  87425E103      22       1755    Shares                X                 1        1755    0       0
TALISMAN           COMMON
  ENERGY INC.....   STOCK  87425E103       3        210    Shares                         X        1           0    0     210
TANZANIAN
  ROYALTY          COMMON
  EXPLORATION....   STOCK  87600U104       1        250    Shares                X                 1         250    0       0
TARGA
  RESOURCES        COMMON
  PARTNERS LP....   STOCK  87611X105      25        600    Shares                X                 1         600    0       0
TARGET CORP        COMMON
  COM............   STOCK  87612E106    4780      82029    Shares                X                 1       82029    0       0
TARGET CORP        COMMON
  COM............   STOCK  87612E106     576       9884    Shares                         X        1        9709    0     175
TARGET CORP        COMMON
  COM............   STOCK  87612E106     302       5176    Shares                X                 3        3686    0    1490
TECH DATA CORP     COMMON
  COM............   STOCK  878237106      27        500    Shares                         X        1         500    0       0
TECK RESOURCES     COMMON
  LTD- CL B......   STOCK  878742204      36       1000    Shares                         X        1        1000    0       0
TELE NORTE
  LESTE PART       COMMON
  ADR............   STOCK  879246106       4        365    Shares                         X        1         365    0       0
TELECOM NEW
  ZEALAND SPON     COMMON
  ADR............   STOCK  879278208       5        533    Shares                         X        1         533    0       0
TELECOM ITALIA     COMMON
  SPA............   STOCK  87927Y102      18       1519    Shares                         X        1        1519    0       0
TELEFONICA
  BRASIL/S         COMMON
  ADR............   STOCK  87936R106       6        192    Shares                         X        1         192    0       0
TELEFONICA S A
  SPONSORED        COMMON
  ADR............   STOCK  879382208      53       3258    Shares                X                 1        3258    0       0
TELEFONICA S A
  SPONSORED        COMMON
  ADR............   STOCK  879382208      53       3260    Shares                         X        1        3260    0       0
TEMPLETON
  DRAGON FUND      COMMON
  INC............   STOCK  88018T101       3        100    Shares                X                 1           0    0       0
TEMPLETON
  GLOBAL
  INCOME           COMMON
  FUND-DE........   STOCK  880198106     369      38250    Shares                X                 1           0    0       0
TENNECO INC......  COMMON
                    STOCK  880349105      21        575    Shares                X                 1         575    0       0


                                   27 of 32





                  COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                          INVESTMENT AUTHORITY
                  -------- --------- ---------- ------------------------ ----------------------
                                                 SHARES                                                    VOTING AUTHORITY
                                                   OR      SHARES   PUT                                  ---------------------
NAME OF           TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER             CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------           -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                  
TEREX CORP.......  COMMON
                    STOCK  880779103      21        947    Shares                X                 1         947    0       0
TEVA
  PHARMACEUTICAL   COMMON
  SPONS ADR......   STOCK  881624209     423       9398    Shares                X                 1        9398    0       0
TEVA
  PHARMACEUTICAL   COMMON
  SPONS ADR......   STOCK  881624209     681      15120    Shares                         X        1       15120    0       0
TEXAS CAPITAL
  BANCSHARES       COMMON
  INC............   STOCK  88224Q107     201       5818    Shares                X                 1        5818    0       0
TEXAS CAPITAL
  BANCSHARES       COMMON
  INC............   STOCK  88224Q107      97       2805    Shares                X                 3        2805    0       0
TEXAS
  INSTRUMENTS      COMMON
  INC............   STOCK  882508104    1639      48780    Shares                X                 1       48780    0       0
TEXAS
  INSTRUMENTS      COMMON
  INC............   STOCK  882508104    1549      46089    Shares                         X        1       42489    0    3600
TEXAS
  INSTRUMENTS      COMMON
  INC............   STOCK  882508104      50       1494    Shares                X                 3        1494    0       0
TEXTRON INC        COMMON
  COM............   STOCK  883203101     204       7336    Shares                X                 1        7336    0       0
THERMO FISHER
  SCIENTIFIC       COMMON
  INC............   STOCK  883556102       7        125    Shares                X                 1         125    0       0
THERMO FISHER
  SCIENTIFIC       COMMON
  INC............   STOCK  883556102      56       1000    Shares                         X        1         400    0     600
3M CO............  COMMON
                    STOCK  88579Y101    9762     109426    Shares                X                 1      109001    0     425
3M CO............  COMMON
                    STOCK  88579Y101    8059      90337    Shares                         X        1       81121    0    9216
3M CO............  COMMON
                    STOCK  88579Y101      58        650    Shares                         X        4         650    0       0
TIDEWATER          COMMON
  COMMON.........   STOCK  886423102      54       1000    Shares                X                 1        1000    0       0
TIFFANY & CO.....  COMMON
                    STOCK  886547108     390       5646    Shares                X                 1        5646    0       0
TIFFANY & CO.....  COMMON
                    STOCK  886547108      69       1000    Shares                         X        1        1000    0       0
TIFFANY & CO.....  COMMON
                    STOCK  886547108     160       2320    Shares                X                 3        2320    0       0
TIM HORTONS        COMMON
  INC............   STOCK  88706M103     232       4333    Shares                X                 1        4333    0       0
ADR TIM
  PARTICIPACOES    COMMON
  SA.............   STOCK  88706P205      43       1346    Shares                X                 1        1346    0       0
ADR TIM
  PARTICIPACOES    COMMON
  SA.............   STOCK  88706P205       2         72    Shares                         X        1          72    0       0
TIME WARNER        COMMON
  INC............   STOCK  887317303     205       5426    Shares                X                 1        5426    0       0
TIME WARNER        COMMON
  INC............   STOCK  887317303      90       2391    Shares                         X        1        2391    0       0
TIME WARNER        COMMON
  CABLE INC......   STOCK  88732J207      30        373    Shares                X                 1         373    0       0
TIME WARNER        COMMON
  CABLE INC......   STOCK  88732J207      22        265    Shares                         X        1         265    0       0
TOLL BROTHERS      COMMON
  COMMON.........   STOCK  889478103      17        700    Shares                         X        1         200    0     500
TOMPKINS
  FINANCIAL        COMMON
  CORP...........   STOCK  890110109      15        365    Shares                X                 1         365    0       0
TOOTSIE ROLL       COMMON
  INDUSTRIES.....   STOCK  890516107      62       2701    Shares                X                 1        2701    0       0
TORONTO-
  DOMINION         COMMON
  BANK...........   STOCK  891160509       7         82    Shares                X                 1          82    0       0
TORONTO-
  DOMINION         COMMON
  BANK...........   STOCK  891160509      49        582    Shares                         X        1         500    0      82
TORTOISE ENERGY
  INFRASTRUCTURE   COMMON
  CORP...........   STOCK  89147L100      21        500    Shares                         X        1           0    0       0
TORTOISE ENERGY
  CAPITAL          COMMON
  CORP...........   STOCK  89147U100      28       1000    Shares                         X        1        1000    0       0
TORTOISE MLP       COMMON
  FUND INC.......   STOCK  89148B101      67       2618    Shares                X                 1           0    0       0
TOTAL SA
  SPONSORED        COMMON
  ADR............   STOCK  89151E109     279       5465    Shares                X                 1        5465    0       0
TOTAL SA
  SPONSORED        COMMON
  ADR............   STOCK  89151E109      39        754    Shares                         X        1         754    0       0
TOTAL SYSTEMS      COMMON
  SERVICES INC...   STOCK  891906109       7        300    Shares                X                 1         300    0       0
TOYOTA MOTOR
  CORP SPON        COMMON
  ADR............   STOCK  892331307      17        200    Shares                X                 1         200    0       0
TOYOTA MOTOR
  CORP SPON        COMMON
  ADR............   STOCK  892331307      17        200    Shares                         X        1         200    0       0
TPC GROUP INC....  COMMON
                    STOCK  89236Y104      33        750    Shares                X                 1         750    0       0
TRANSACT
  TECHNOLOGIES     COMMON
  INC COM........   STOCK  892918103       8       1000    Shares                X                 1        1000    0       0
TRANSMONTAIGNE     COMMON
  PARTNERS LP....   STOCK  89376V100      20        570    Shares                X                 1         570    0       0
THE TRAVELERS
  COMPANIES        COMMON
  INC............   STOCK  89417E109     299       5054    Shares                X                 1        5054    0       0
THE TRAVELERS
  COMPANIES        COMMON
  INC............   STOCK  89417E109     631      10652    Shares                         X        1       10652    0       0
TRAVELZOO INC....  COMMON
                    STOCK  89421Q106      15        650    Shares                X                 1         650    0       0
TREDEGAR           COMMON
  CORP...........   STOCK  894650100      29       1500    Shares                X                 1        1500    0       0
TRIUMPH GROUP      COMMON
  INC............   STOCK  896818101      74       1175    Shares                X                 1        1175    0       0
TRUEBLUE INC.....  COMMON
                    STOCK  89785X101      45       2500    Shares                X                 1        2500    0       0
TUPPERWARE         COMMON
  BRANDS CORP....   STOCK  899896104      29        450    Shares                         X        1         450    0       0
TYSON FOODS INC    COMMON
  COM............   STOCK  902494103      12        625    Shares                         X        1         625    0       0
UDR INC REIT.....  COMMON
                    STOCK  902653104    1536      57501    Shares                X                 1           0    0       0
UDR INC REIT.....  COMMON
                    STOCK  902653104      69       2580    Shares                         X        1           0    0       0
UDR INC REIT.....  COMMON
                    STOCK  902653104      24        886    Shares                X                 3           0    0       0
UGI CORP NEW       COMMON
  COMMON.........   STOCK  902681105     264       9696    Shares                X                 1        9696    0       0
UGI CORP NEW       COMMON
  COMMON.........   STOCK  902681105      82       3000    Shares                         X        1        3000    0       0
UIL HOLDINGS       COMMON
  CORPORATION....   STOCK  902748102      41       1180    Shares                X                 1        1180    0       0
U S BANCORP DEL    COMMON
  COM NEW........   STOCK  902973304    4186     132139    Shares                X                 1      131389    0     750
U S BANCORP DEL    COMMON
  COM NEW........   STOCK  902973304     486      15338    Shares                         X        1       12243    0    3095
U S BANCORP DEL    COMMON
  COM NEW........   STOCK  902973304    1318      41624    Shares                X                 3       36116    0    5508
USG CORP.........  COMMON
                    STOCK  903293405      63       3650    Shares                X                 1        3650    0       0
US AIRWAYS         COMMON
  GROUP INC......   STOCK  90341W108      24       3200    Shares                X                 1        3200    0       0
ULTA SALON
  COSMETICS &      COMMON
  FRAGRANCE......   STOCK  90384S303      49        532    Shares                X                 1         532    0       0
ULTA SALON
  COSMETICS &      COMMON
  FRAGRANCE......   STOCK  90384S303       3         30    Shares                         X        1          30    0       0
THE ULTIMATE
  SOFTWARE         COMMON
  GROUP INC......   STOCK  90385D107      37        500    Shares                X                 1         500    0       0
UNDER ARMOUR       COMMON
  INC-CLASS A....   STOCK  904311107      66        700    Shares                X                 1         700    0       0
UNDER ARMOUR       COMMON
  INC-CLASS A....   STOCK  904311107       7         70    Shares                         X        1          70    0       0
UNILEVER PLC
  SPONSORED        COMMON
  ADR............   STOCK  904767704     120       3631    Shares                X                 1        3631    0       0
UNILEVER PLC
  SPONSORED        COMMON
  ADR............   STOCK  904767704     167       5062    Shares                         X        1        2062    0    3000


                                   28 of 32





                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES                                                    VOTING AUTHORITY
                                                    OR      SHARES   PUT                                  ---------------------
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------            -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                   
UNILEVER NV NY      COMMON
  SHARES..........   STOCK  904784709     193       5671    Shares                X                 1        5671    0        0
UNILEVER NV NY      COMMON
  SHARES..........   STOCK  904784709      91       2680    Shares                         X        1        2680    0        0
UNION PACIFIC       COMMON
  CORP COM........   STOCK  907818108    3446      32058    Shares                X                 1       31760    0      298
UNION PACIFIC       COMMON
  CORP COM........   STOCK  907818108    1040       9672    Shares                         X        1        9672    0        0
UNITED PARCEL       COMMON
  SERVICE CL B....   STOCK  911312106    6220      77053    Shares                X                 1       76828    0      225
UNITED PARCEL       COMMON
  SERVICE CL B....   STOCK  911312106    1170      14492    Shares                         X        1       12854    0     1638
UNITED PARCEL       COMMON
  SERVICE CL B....   STOCK  911312106    1649      20432    Shares                X                 3       17295    0     3137
UNITED RENTALS      COMMON
  INC COM.........   STOCK  911363109      70       1625    Shares                X                 1        1625    0        0
US NATURAL GAS      COMMON
  FUND LP.........   STOCK  912318201      19       1205    Shares                X                 1           0    0        0
UNITED STATES OIL   COMMON
  FD LP...........   STOCK  91232N108      20        500    Shares                X                 1           0    0        0
UNITED STATES 12
  MONTH NATURAL     COMMON
  GAS.............   STOCK  91288X109      22       1330    Shares                X                 1           0    0        0
UNITED STS STL      COMMON
  CORP NEW........   STOCK  912909108     178       6044    Shares                X                 1        6044    0        0
UNITED STS STL      COMMON
  CORP NEW........   STOCK  912909108      13        429    Shares                         X        1         410    0       19
UNITED
  TECHNOLOGIES      COMMON
  CORP COM........   STOCK  913017109    9922     119627    Shares                X                 1      118577    0     1050
UNITED
  TECHNOLOGIES      COMMON
  CORP COM........   STOCK  913017109    3674      44303    Shares                         X        1       41828    0     2475
UNITED
  TECHNOLOGIES      COMMON
  CORP COM........   STOCK  913017109     363       4386    Shares                X                 3        4026    0      360
UNITEDHEALTH        COMMON
  GROUP INC.......   STOCK  91324P102    5060      85852    Shares                X                 1       85502    0      350
UNITEDHEALTH        COMMON
  GROUP INC.......   STOCK  91324P102     318       5389    Shares                         X        1        3299    0     2090
UNITEDHEALTH        COMMON
  GROUP INC.......   STOCK  91324P102    1474      25003    Shares                X                 3       21040    0     3963
UNIVERSAL           COMMON
  DISPLAY CORP....   STOCK  91347P105      75       2050    Shares                X                 1        2050    0        0
UNIVEST CORP OF     COMMON
  PA..............   STOCK  915271100      37       2210    Shares                X                 1        2210    0        0
URSTADT BIDDLE
  PPTYS INC CL A    COMMON
  (REIT...........   STOCK  917286205      59       3000    Shares                         X        1           0    0        0
V F CORP..........  COMMON
                     STOCK  918204108     315       2156    Shares                X                 1        2156    0        0
V F CORP..........  COMMON
                     STOCK  918204108      18        125    Shares                         X        1         125    0        0
VALE SA...........  COMMON
                     STOCK  91912E105      14        600    Shares                X                 1         600    0        0
VALE SA...........  COMMON
                     STOCK  91912E105      19        800    Shares                         X        1         800    0        0
VALERO ENERGY       COMMON
  CORP COM........   STOCK  91913Y100      13        494    Shares                X                 1         494    0        0
VALERO ENERGY       COMMON
  CORP COM........   STOCK  91913Y100      26       1000    Shares                         X        1        1000    0        0
VANGUARD
  DIVIDEND
  APPRECIATION      COMMON
  ETF.............   STOCK  921908844      12        200    Shares                X                 1           0    0        0
VANGUARD SHORT-     COMMON
  TERM BD ETF.....   STOCK  921937827      13        155    Shares                         X        1           0    0        0
VANGUARD SHORT-     COMMON
  TERM BD ETF.....   STOCK  921937827    5777      71375    Shares                         X        3           0    0        0
VANGUARD TOTAL      COMMON
  BOND MKT ETF....   STOCK  921937835    5505      66105    Shares                X                 1           0    0        0
VANGUARD TOTAL      COMMON
  BOND MKT ETF....   STOCK  921937835     537       6450    Shares                         X        1           0    0        0
VANGUARD TOTAL      COMMON
  BOND MKT ETF....   STOCK  921937835    4056      48705    Shares                X                 3           0    0        0
VANGUARD HIGH
  DIVIDEND YIELD    COMMON
  ETF.............   STOCK  921946406    1023      21116    Shares                X                 1           0    0        0
VANGUARD HIGH
  DIVIDEND YIELD    COMMON
  ETF.............   STOCK  921946406     203       4181    Shares                         X        1           0    0        0
VANGUARD HIGH
  DIVIDEND YIELD    COMMON
  ETF.............   STOCK  921946406    1556      32094    Shares                X                 3        8865    0        0
VANGUARD MSCI
  EMERGING MKTS     COMMON
  ETF.............   STOCK  922042858       9        211    Shares                X                 1           0    0        0
VANGUARD MSCI
  EMERGING MKTS     COMMON
  ETF.............   STOCK  922042858     365       8402    Shares                         X        1           0    0        0
VANGUARD MSCI
  EMERGING MKTS     COMMON
  ETF.............   STOCK  922042858     248       5710    Shares                X                 3           0    0        0
VANGUARD            COMMON
  UTILITIES ETF...   STOCK  92204A876       4         50    Shares                X                 1           0    0        0
VANGUARD REIT       COMMON
  ETF.............   STOCK  922908553     251       3937    Shares                X                 1           0    0        0
VANGUARD REIT       COMMON
  ETF.............   STOCK  922908553    1509      23703    Shares                X                 3           0    0        0
VANGUARD
  SMALL-CAP         COMMON
  ETF.............   STOCK  922908751      10        124    Shares                X                 1           0    0        0
VANGUARD TOTAL
  STOCK MARKET      COMMON
  ETF.............   STOCK  922908769      53        728    Shares                X                 1           0    0        0
VERA BRADLEY        COMMON
  INC.............   STOCK  92335C106      30       1000    Shares                X                 1        1000    0        0
VERIFONE SYSTEMS    COMMON
  INC.............   STOCK  92342Y109      54       1050    Shares                X                 1        1050    0        0
VERIZON
  COMMUNICATIONS    COMMON
  COM.............   STOCK  92343V104   18421     481859    Shares                X                 1      475170    0     6689
VERIZON
  COMMUNICATIONS    COMMON
  COM.............   STOCK  92343V104    7548     197430    Shares                         X        1      186086    0    11344
VERIZON
  COMMUNICATIONS    COMMON
  COM.............   STOCK  92343V104    1681      43992    Shares                X                 3       37559    0     6433
VERTEX
  PHARMACEUTICALS   COMMON
  INC.............   STOCK  92532F100     702      17126    Shares                X                 1       17126    0        0
VERTEX
  PHARMACEUTICALS   COMMON
  INC.............   STOCK  92532F100      14        340    Shares                         X        1         340    0        0
VIACOM INC-CLASS    COMMON
  B...............   STOCK  92553P201     134       2826    Shares                X                 1        2826    0        0
VIACOM INC-CLASS    COMMON
  B...............   STOCK  92553P201     220       4646    Shares                         X        1        2246    0     2400
VIROPHARMA          COMMON
  INC.............   STOCK  928241108      45       1500    Shares                X                 1        1500    0        0
VIRTUALSCOPICS      COMMON
  INC.............   STOCK  928269109      14       8400    Shares                X                 1           0    0     8400
VISA INC..........  COMMON
                     STOCK  92826C839    3632      30781    Shares                X                 1       30287    0      494
VISA INC..........  COMMON
                     STOCK  92826C839     620       5256    Shares                         X        1        5256    0        0
VISA INC..........  COMMON
                     STOCK  92826C839      24        200    Shares                X                 3         200    0        0
VITESSE
  SEMICONDUCTOR     COMMON
  CORP............   STOCK  928497304       0          8    Shares                X                 1           8    0        0
VITAMIN SHOPPE      COMMON
  INC.............   STOCK  92849E101     288       6524    Shares                X                 1        6524    0        0
VITAMIN SHOPPE      COMMON
  INC.............   STOCK  92849E101     141       3180    Shares                X                 3        3180    0        0
VMWARE INC........  COMMON
                     STOCK  928563402      34        300    Shares                X                 1         300    0        0
VODAFONE GROUP      COMMON
  PLC - SP ADR....   STOCK  92857W209     814      29434    Shares                X                 1       27434    0     2000
VODAFONE GROUP      COMMON
  PLC - SP ADR....   STOCK  92857W209     210       7584    Shares                         X        1        7423    0      161
VODAFONE GROUP      COMMON
  PLC - SP ADR....   STOCK  92857W209      33       1200    Shares                         X        4        1200    0        0
VOCUS INC.........  COMMON
                     STOCK  92858J108       6        425    Shares                X                 1         425    0        0


                                   29 of 32





                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES                                                    VOTING AUTHORITY
                                                    OR      SHARES   PUT                                  ---------------------
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------            -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                   
VOLCANO CORP......  COMMON
                     STOCK  928645100      25        875    Shares                X                 1         875     0      0
VULCAN MATERIAL     COMMON
  COM.............   STOCK  929160109      62       1456    Shares                X                 1        1456     0      0
VULCAN MATERIAL     COMMON
  COM.............   STOCK  929160109      14        316    Shares                         X        1         316     0      0
WD 40 CO COM......  COMMON
                     STOCK  929236107       9        200    Shares                X                 1         200     0      0
WD 40 CO COM......  COMMON
                     STOCK  929236107       9        200    Shares                         X        1         200     0      0
WGL HLDGS INC       COMMON
  COM.............   STOCK  92924F106      28        700    Shares                X                 1         700     0      0
W P CAREY & CO      COMMON
  LLC.............   STOCK  92930Y107      20        425    Shares                X                 1           0     0      0
W P CAREY & CO      COMMON
  LLC.............   STOCK  92930Y107      19        400    Shares                         X        1           0     0      0
WABASH NATIONAL     COMMON
  CORPORATION.....   STOCK  929566107      12       1175    Shares                X                 1        1175     0      0
WAL MART STORES     COMMON
  INC COM.........   STOCK  931142103    9029     147540    Shares                X                 1      145082     0   2458
WAL MART STORES     COMMON
  INC COM.........   STOCK  931142103    3845      62824    Shares                         X        1       57820     0   5004
WAL MART STORES     COMMON
  INC COM.........   STOCK  931142103     407       6647    Shares                X                 3        4097     0   2550
WALGREEN
  COMPANY           COMMON
  COMMON..........   STOCK  931422109     389      11625    Shares                X                 1       11625     0      0
WALGREEN
  COMPANY           COMMON
  COMMON..........   STOCK  931422109     176       5268    Shares                         X        1        5198     0     70
WALTER ENERGY       COMMON
  INC.............   STOCK  93317Q105     212       3574    Shares                X                 1        3574     0      0
WALTER ENERGY       COMMON
  INC.............   STOCK  93317Q105     105       1770    Shares                X                 3        1770     0      0
WASHINGTON REAL
  ESTATE INVT       COMMON
  (REIT)..........   STOCK  939653101       6        200    Shares                X                 1           0     0      0
WASHINGTON REAL
  ESTATE INVT       COMMON
  (REIT)..........   STOCK  939653101      15        500    Shares                         X        1           0     0      0
WASTE
  CONNECTIONS       COMMON
  INC.............   STOCK  941053100     263       8096    Shares                X                 1        8096     0      0
WASTE
  CONNECTIONS       COMMON
  INC.............   STOCK  941053100     128       3940    Shares                X                 3        3940     0      0
WASTE
  MANAGEMENT        COMMON
  INC.............   STOCK  94106L109      95       2722    Shares                X                 1        2722     0      0
WASTE
  MANAGEMENT        COMMON
  INC.............   STOCK  94106L109     188       5385    Shares                         X        1        2085     0   3300
WATERS CORP         COMMON
  COMMON..........   STOCK  941848103     234       2521    Shares                X                 1        2521     0      0
WATSON
  PHARMACEUTICALS   COMMON
  INC COM.........   STOCK  942683103      51        763    Shares                         X        1           0   763      0
WEIS MARKETS        COMMON
  INC.............   STOCK  948849104      50       1150    Shares                X                 1         900     0    250
WELLCARE HEALTH     COMMON
  PLANS...........   STOCK  94946T106      70        975    Shares                X                 1         975     0      0
WELLPOINT INC.....  COMMON
                     STOCK  94973V107      39        525    Shares                X                 1         525     0      0
WELLS FARGO &       COMMON
  CO..............   STOCK  949746101   10285     301261    Shares                X                 1      298688     0   2573
WELLS FARGO &       COMMON
  CO..............   STOCK  949746101    3127      91581    Shares                         X        1       87674     0   3907
WELLS FARGO &       COMMON
  CO..............   STOCK  949746101      40       1172    Shares                X                 3        1172     0      0
WELLS FARGO PFD
  CONV 7.50% SER    COMMON
  L...............   STOCK  949746804      56         50    Shares                         X        1           0     0      0
WELLS FARGO
  ADVANTAGE         COMMON
  INCOME..........   STOCK  94987B105      52       5035    Shares                X                 1           0     0      0
WELLS FARGO ADV
  GLOBAL DIV OPP    COMMON
  FD..............   STOCK  94987C103       9       1000    Shares                X                 1           0     0      0
WELLS FARGO
  ADVANTAGE         COMMON
  MULTI-SECTOR....   STOCK  94987D101       0         15    Shares                X                 1           0     0      0
THE WENDY'S         COMMON
  COMPANY.........   STOCK  95058W100      68      13600    Shares                X                 1       13600     0      0
WESCO
  INTERNATIONAL     COMMON
  INCORPORATED....   STOCK  95082P105      39        600    Shares                X                 1         600     0      0
WESTAR ENERGY       COMMON
  INC.............   STOCK  95709T100      14        488    Shares                X                 1         488     0      0
WESTERN ASSET
  EMERGING          COMMON
  MARKETS.........   STOCK  95766A101       5        250    Shares                X                 1           0     0      0
WESTERN ASSET
  EMERGING          COMMON
  MARKETS.........   STOCK  95766A101      12        600    Shares                         X        1           0     0      0
WESTERN GAS         COMMON
  PARTNERS LP.....   STOCK  958254104     138       3000    Shares                X                 1        3000     0      0
WESTERN GAS         COMMON
  PARTNERS LP.....   STOCK  958254104      17        378    Shares                         X        1         378     0      0
WESTERN REFINING    COMMON
  INC.............   STOCK  959319104      29       1550    Shares                X                 1        1550     0      0
WESTERN UNION       COMMON
  COMPANY.........   STOCK  959802109     125       7087    Shares                X                 1        7087     0      0
WESTERN UNION       COMMON
  COMPANY.........   STOCK  959802109      96       5427    Shares                         X        1        5427     0      0
WESTPORT
  INNOVATIONS       COMMON
  INC.............   STOCK  960908309      24        575    Shares                X                 1         575     0      0
WEYERHAEUSER        COMMON
  CO COM..........   STOCK  962166104      52       2370    Shares                X                 1        2370     0      0
WEYERHAEUSER        COMMON
  CO COM..........   STOCK  962166104     176       8014    Shares                         X        1        5915     0   2099
WHIRLPOOL CORP      COMMON
  COM.............   STOCK  963320106      20        254    Shares                         X        1         254     0      0
WHITESTONE          COMMON
  REIT-B..........   STOCK  966084204      26       2000    Shares                X                 1           0     0      0
WHITING
  PETROLEUM         COMMON
  CORPORATION.....   STOCK  966387102     428       7886    Shares                X                 1        7886     0      0
WHITING
  PETROLEUM         COMMON
  CORPORATION.....   STOCK  966387102     197       3620    Shares                X                 3        3620     0      0
WHOLE FOODS MKT     COMMON
  INC COM.........   STOCK  966837106     505       6074    Shares                X                 1        6074     0      0
WHOLE FOODS MKT     COMMON
  INC COM.........   STOCK  966837106       3         38    Shares                         X        1          38     0      0
WHOLE FOODS MKT     COMMON
  INC COM.........   STOCK  966837106      24        284    Shares                X                 3         284     0      0
WILLIAMS
  COMPANY INC       COMMON
  (THE)...........   STOCK  969457100       5        177    Shares                X                 1         177     0      0
WILLIAMS
  COMPANY INC       COMMON
  (THE)...........   STOCK  969457100      37       1200    Shares                         X        1           0     0   1200
WINDSTREAM          COMMON
  CORP............   STOCK  97381W104     102       8689    Shares                X                 1        8689     0      0
WINDSTREAM          COMMON
  CORP............   STOCK  97381W104      77       6572    Shares                         X        1        6272     0    300
WISCONSIN
  ENERGY CORP       COMMON
  COM.............   STOCK  976657106     209       5950    Shares                X                 1        5950     0      0
WISCONSIN
  ENERGY CORP       COMMON
  COM.............   STOCK  976657106      99       2800    Shares                         X        1        2800     0      0
WISDOMTREE
  INVESTMENTS       COMMON
  INC.............   STOCK  97717P104      59       7050    Shares                X                 1        7050     0      0
WISDOMTREE
  EMERGING MKTS     COMMON
  EQ INC ETF......   STOCK  97717W315    6487     112604    Shares                X                 1           0     0      0
WISDOMTREE
  EMERGING MKTS     COMMON
  EQ INC ETF......   STOCK  97717W315      88       1520    Shares                         X        1           0     0      0
WISDOMTREE
  EMERGING MKTS     COMMON
  EQ INC ETF......   STOCK  97717W315     173       3000    Shares                X                 3           0     0      0
WISDOMTREE INTL     COMMON
  REAL ES FD......   STOCK  97717W331     159       6015    Shares                X                 1           0     0      0
WISDOMTREE
  JAPAN S/C DVD     COMMON
  FUND............   STOCK  97717W836      46       1000    Shares                         X        1           0     0      0
WORLD FUEL
  SERVICES          COMMON
  CORPORATION.....   STOCK  981475106     105       2550    Shares                X                 1        2550     0      0


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                   COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                           INVESTMENT AUTHORITY
                   -------- --------- ---------- ------------------------ ----------------------
                                                  SHARES                                                    VOTING AUTHORITY
                                                    OR      SHARES   PUT                                  ---------------------
NAME OF            TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER              CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------            -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                   
WORTHINGTON         COMMON
  INDS INC COM....   STOCK  981811102      14        708    Shares                X                 1        708     0        0
WORTHINGTON         COMMON
  INDS INC COM....   STOCK  981811102     249      13000    Shares                         X        1          0     0    13000
WPX ENERGY          COMMON
  INC-W/I.........   STOCK  98212B103       1         59    Shares                X                 1         59     0        0
WPX ENERGY          COMMON
  INC-W/I.........   STOCK  98212B103       7        400    Shares                         X        1          0     0      400
WRIGHT EXPRESS      COMMON
  CORP............   STOCK  98233Q105      50        775    Shares                X                 1        775     0        0
WYNDHAM
  WORLDWIDE         COMMON
  CORP............   STOCK  98310W108      44        950    Shares                X                 1        950     0        0
WYNDHAM
  WORLDWIDE         COMMON
  CORP............   STOCK  98310W108      18        385    Shares                         X        1        385     0        0
WYNN RESORTS        COMMON
  LIMITED.........   STOCK  983134107      12        100    Shares                X                 1        100     0        0
XCEL ENERGY INC     COMMON
  COM.............   STOCK  98389B100      26       1000    Shares                X                 1       1000     0        0
XCEL ENERGY INC     COMMON
  COM.............   STOCK  98389B100     219       8264    Shares                         X        1       8264     0        0
XILINX COM........  COMMON
                     STOCK  983919101     319       8743    Shares                X                 1       8743     0        0
XILINX COM........  COMMON
                     STOCK  983919101      14        372    Shares                X                 3        372     0        0
XEROX
  CORPORATION       COMMON
  COMMON..........   STOCK  984121103      20       2475    Shares                X                 1       2475     0        0
XEROX
  CORPORATION       COMMON
  COMMON..........   STOCK  984121103      16       2000    Shares                         X        1       2000     0        0
XYLEM INC-W/I.....  COMMON
                     STOCK  98419M100      14        500    Shares                X                 1        500     0        0
XYLEM INC-W/I.....  COMMON
                     STOCK  98419M100      73       2620    Shares                         X        1       2620     0        0
YAHOO INC COM.....  COMMON
                     STOCK  984332106       8        495    Shares                X                 1        495     0        0
YAHOO INC COM.....  COMMON
                     STOCK  984332106      15       1000    Shares                         X        1       1000     0        0
YAMANA GOLD         COMMON
  INC.............   STOCK  98462Y100       1         50    Shares                         X        1          0     0       50
YORK WATER          COMMON
  COMPANY.........   STOCK  987184108    1068      61758    Shares                X                 1      61758     0        0
YORK WATER          COMMON
  COMPANY.........   STOCK  987184108    1193      68969    Shares                         X        1      68719     0      250
YUM! BRANDS         COMMON
  INC.............   STOCK  988498101     604       8483    Shares                X                 1       8483     0        0
YUM! BRANDS         COMMON
  INC.............   STOCK  988498101     751      10550    Shares                         X        1       8350     0     2200
ZIMMER HOLDINGS     COMMON
  INC COMMON......   STOCK  98956P102     483       7514    Shares                X                 1       7514     0        0
ZIMMER HOLDINGS     COMMON
  INC COMMON......   STOCK  98956P102     427       6646    Shares                         X        1       5596     0     1050
ZIONS
  BANCORPORATION    COMMON
  COM.............   STOCK  989701107      39       1820    Shares                X                 1       1820     0        0
ZIONS
  BANCORPORATION    COMMON
  COM.............   STOCK  989701107      13        625    Shares                         X        1        625     0        0
DEUTSCHE BANK       COMMON
  AG-REG..........   STOCK  D18190898       3         66    Shares                X                 1         66     0        0
AMDOCS              COMMON
  LIMITED.........   STOCK  G02602103      12        375    Shares                X                 1        375     0        0
ARGO GROUP
  INTERNATIONAL     COMMON
  HLDGS...........   STOCK  G0464B107      22        735    Shares                X                 1        735     0        0
ACCENTURE PLC-      COMMON
  CL A............   STOCK  G1151C101     527       8171    Shares                X                 1       8071     0      100
ACCENTURE PLC-      COMMON
  CL A............   STOCK  G1151C101     700      10860    Shares                         X        1      10725     0      135
COOPER
  INDUSTRIES PLC    COMMON
  CL A............   STOCK  G24140108      64       1000    Shares                X                 1       1000     0        0
COVIDIEN PLC......  COMMON
                     STOCK  G2554F113     135       2476    Shares                X                 1       2401     0       75
COVIDIEN PLC......  COMMON
                     STOCK  G2554F113      95       1732    Shares                         X        1        929     0      803
EVEREST RE GROUP    COMMON
  LTD COM.........   STOCK  G3223R108       9         92    Shares                X                 1         92     0        0
GENPACT LTD.......  COMMON
                     STOCK  G3922B107       2        141    Shares                X                 1        141     0        0
HERBALIFE LTD.....  COMMON
                     STOCK  G4412G101     404       5868    Shares                X                 1       5868     0        0
HERBALIFE LTD.....  COMMON
                     STOCK  G4412G101     195       2830    Shares                X                 3       2830     0        0
INGERSOLL-RAND      COMMON
  PUBLIC LTD CO...   STOCK  G47791101      19        450    Shares                X                 1        450     0        0
INGERSOLL-RAND      COMMON
  PUBLIC LTD CO...   STOCK  G47791101     193       4670    Shares                         X        1       4670     0        0
INVESCO             COMMON
  LIMITED.........   STOCK  G491BT108       4        141    Shares                X                 1        141     0        0
JAZZ
  PHARMACEUTICALS   COMMON
  PLC.............   STOCK  G50871105      50       1025    Shares                X                 1       1025     0        0
MARVEL
  TECHNOLOGY        COMMON
  GROUP LTD.......   STOCK  G5876H105       3        200    Shares                         X        1        200     0        0
NABORS
  INDUSTRIES        COMMON
  LTD.............   STOCK  G6359F103     173       9880    Shares                X                 1       9880     0        0
NABORS
  INDUSTRIES        COMMON
  LTD.............   STOCK  G6359F103     150       8555    Shares                         X        1       8555     0        0
ONEBEACON
  INSURANCE         COMMON
  GROUP LTD.......   STOCK  G67742109      20       1306    Shares                X                 1       1306     0        0
ORIENT-EXPRESS
  HOTELS LIMITED    COMMON
  CL A............   STOCK  G67743107      37       3625    Shares                X                 1       3625     0        0
SEADRILL LTD......  COMMON
                     STOCK  G7945E105       2         62    Shares                X                 1         62     0        0
SEADRILL LTD......  COMMON
                     STOCK  G7945E105      21        550    Shares                         X        1        550     0        0
VALIDUS HOLDINGS    COMMON
  LTD.............   STOCK  G9319H102       1         36    Shares                X                 1         36     0        0
WHITE MOUNTAINS
  INSURANCE         COMMON
  GROUP LTD.......   STOCK  G9618E107    2266       4516    Shares                X                 1       4442     0       74
WHITE MOUNTAINS
  INSURANCE         COMMON
  GROUP LTD.......   STOCK  G9618E107      91        182    Shares                         X        1        182     0        0
WHITE MOUNTAINS
  INSURANCE         COMMON
  GROUP LTD.......   STOCK  G9618E107      27         54    Shares                X                 3         54     0        0
XL GROUP PLC......  COMMON
                     STOCK  G98290102       7        300    Shares                         X        1        300     0        0
ACE LIMITED.......  COMMON
                     STOCK  H0023R105    3057      41766    Shares                X                 1      41766     0        0
ACE LIMITED.......  COMMON
                     STOCK  H0023R105     447       6109    Shares                         X        1       5697     0      412
ACE LIMITED.......  COMMON
                     STOCK  H0023R105    1001      13675    Shares                X                 3      11390     0     2285
WEATHERFORD
  INTL LTD          COMMON
  SWITZERLAND.....   STOCK  H27013103     774      51291    Shares                X                 1      51291     0        0
WEATHERFORD
  INTL LTD          COMMON
  SWITZERLAND.....   STOCK  H27013103     101       6704    Shares                         X        1       6704     0        0
WEATHERFORD
  INTL LTD          COMMON
  SWITZERLAND.....   STOCK  H27013103      26       1730    Shares                X                 3       1730     0        0
FOSTER WHEELER      COMMON
  AG..............   STOCK  H27178104     225       9880    Shares                X                 1       9880     0        0
FOSTER WHEELER      COMMON
  AG..............   STOCK  H27178104      24       1070    Shares                         X        1       1070     0        0
NOBLE               COMMON
  CORPORATION.....   STOCK  H5833N103     142       3800    Shares                X                 1       3800     0        0
NOBLE               COMMON
  CORPORATION.....   STOCK  H5833N103      24        650    Shares                         X        1        650     0        0
TE CONNECTIVITY     COMMON
  LTD.............   STOCK  H84989104      50       1369    Shares                X                 1       1369     0        0
TE CONNECTIVITY     COMMON
  LTD.............   STOCK  H84989104      30        815    Shares                         X        1        815     0        0


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                  COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5              COLUMN 6          COLUMN 7 COLUMN 8
                                                                          INVESTMENT AUTHORITY
                  -------- --------- ---------- ------------------------ ----------------------
                                                 SHARES                                                    VOTING AUTHORITY
                                                   OR      SHARES   PUT                                  ---------------------
NAME OF           TITLE OF             VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER             CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED OTHER
-------           -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -----
                                                                                  
TRANSOCEAN         COMMON
  LIMITED........   STOCK  H8817H100     3489     63792    Shares                X                 1      62577     0    1215
TRANSOCEAN         COMMON
  LIMITED........   STOCK  H8817H100      485      8860    Shares                         X        1       6824     0    2036
TRANSOCEAN         COMMON
  LIMITED........   STOCK  H8817H100      879     16070    Shares                X                 3      13534     0    2536
TYCO
  INTERNATIONAL    COMMON
  LTD............   STOCK  H89128104       90      1604    Shares                X                 1       1604     0       0
TYCO
  INTERNATIONAL    COMMON
  LTD............   STOCK  H89128104       76      1349    Shares                         X        1        546     0     803
UBS AG...........  COMMON
                    STOCK  H89231338       13       906    Shares                X                 1        906     0       0
UBS AG...........  COMMON
                    STOCK  H89231338        6       450    Shares                         X        1        450     0       0
ALLOT
  COMMUNICATIONS   COMMON
  LTD............   STOCK  M0854Q105       55      2375    Shares                X                 1       2375     0       0
CERAGON
  NETWORKS         COMMON
  LTD............   STOCK  M22013102        5       528    Shares                X                 1        528     0       0
AERCAP             COMMON
  HOLDINGS NV....   STOCK  N00985106        6       500    Shares                X                 1        500     0       0
CORE
  LABORATORIES     COMMON
  N V............   STOCK  N22717107      349      2652    Shares                X                 1       2652     0       0
CORE
  LABORATORIES     COMMON
  N V............   STOCK  N22717107      157      1190    Shares                X                 3       1190     0       0
LYONDELLBASELL
  INDUSTRIES       COMMON
  NV.............   STOCK  N53745100       87      2000    Shares                         X        1       2000     0       0
SENSATA
  TECHNOLOGIES     COMMON
  HLDG NV........   STOCK  N7902X106        8       250    Shares                X                 1        250     0       0
DRYSHIPS INC.....  COMMON
                    STOCK  Y2109Q101        3      1000    Shares                X                 1       1000     0       0
FLEXTRONICS        COMMON
  INTL LTD.......   STOCK  Y2573F102       12      1700    Shares                         X        1       1700     0       0
OCEAN RIG UDW      COMMON
  INC - W/I......   STOCK  Y64354205        0         7    Shares                X                 1          7     0       0
SEASPAN CORP.....  COMMON
                    STOCK  Y75638109       88      5050    Shares                         X        1       5050     0       0
                                      1987174


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