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

                                   FORM 13F
                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 3/31/2009

Check here is Amendment [X]; Amendment Number: 1
This Amendment (Check only one.):  [X] is a restatement.
                                   [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:     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          4/30/2009
-----------------------------       -------------------       --------------
         [Signature]                   [City, State]              [Date]

Report Type (Check only one.):

[X] 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).)

[_] 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).)



                            FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                 4
                                          ----------

Form 13-F Information Table Entry Total:       3,101
                                          ----------

Form 13-F Information Table Value Total:   2,146,157
                                          ----------
                                          (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
       2         028-10910        Zirkin-Cutler Investments, Inc.
       3         028-10909        MTB Investment Advisors, Inc.
       4         028-11878        M&T Trust Company of Delaware, Inc.






                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                   COLUMN 2                        SHARES
                    TITLE               COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                      OF     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
ABB LTD SPON ADR   COMMON
                   STOCK     000375204      17       1184    Shares                X                 1       1184   0         0
ABB LTD SPON ADR   COMMON
                   STOCK     000375204      39       2790    Shares                         X        1       2790   0         0
ACCO BRANDS        COMMON
CORP               STOCK     00081T108       0        404    Shares                X                 1        404   0         0
AFLAC INC          COMMON
                   STOCK     001055102    1336      68999    Shares                X                 1      68999   0         0
AFLAC INC          COMMON
                   STOCK     001055102     253      13060    Shares                         X        1      12660   0       400
AFLAC INC          COMMON
                   STOCK     001055102    2234     115385    Shares                X                 2      28435   0     86950
AGCO CORP COM      COMMON
                   STOCK     001084102      25       1250    Shares                X                 1       1250   0         0
AGCO CORP COM      COMMON
                   STOCK     001084102     533      27200    Shares                X                 3      27200   0         0
AGL RESOURCES      COMMON
INC                STOCK     001204106     134       5050    Shares                X                 1       2050   0      3000
AGL RESOURCES      COMMON
INC                STOCK     001204106      80       3032    Shares                         X        1       3032   0         0
AES CORP COM       COMMON
                   STOCK     00130H105     596     102571    Shares                X                 1     101771   0       800
AES CORP COM       COMMON
                   STOCK     00130H105      40       6908    Shares                         X        1       5508   0      1400
AES CORP COM       COMMON
                   STOCK     00130H105    4379     753579    Shares                X                 2     289244   0    464335
AES CORP COM       COMMON
                   STOCK     00130H105      49       8446    Shares                X                 3       5196   0      3250
AK STEEL HOLDING   COMMON
CORP COM           STOCK     001547108       0         66    Shares                X                 1         66   0         0
AMB PROPERTY       COMMON
CORP               STOCK     00163T109       3        239    Shares                X                 3          0   0         0
AMAG
PHARMACEUTICALS    COMMON
INC                STOCK     00163U106      33        900    Shares                X                 1        900   0         0
AMAG
PHARMACEUTICALS    COMMON
INC                STOCK     00163U106     712      19350    Shares                X                 3      19350   0         0
AT&T INC           COMMON
                   STOCK     00206R102   17388     690001    Shares                X                 1     678731   0     11270
AT&T INC           COMMON
                   STOCK     00206R102   10247     406642    Shares                         X        1     360832   0     45810
AT&T INC           COMMON
                   STOCK     00206R102   11195     444251    Shares                X                 2     124534   0    319717
AT&T INC           COMMON
                   STOCK     00206R102     489      19397    Shares                X                 3      13867   0      5530
AT&T INC           COMMON
                   STOCK     00206R102       7        265    Shares                X                 4        265   0         0
ABBOTT             COMMON
LABORATORIES       STOCK     002824100   11836     248144    Shares                X                 1     245094   0      3050
ABBOTT             COMMON
LABORATORIES       STOCK     002824100    4787     100359    Shares                         X        1      93854   0      6505
ABBOTT             COMMON
LABORATORIES       STOCK     002824100    1304      27350    Shares                X                 2      13800   0     13550
ABBOTT             COMMON
LABORATORIES       STOCK     002824100    1799      37708    Shares                X                 3      33555   0      4153
ABERCROMBIE &      COMMON
FITCH CO CL A      STOCK     002896207     663      27839    Shares                X                 1      26939   0       900
ABERCROMBIE &      COMMON
FITCH CO CL A      STOCK     002896207       9        375    Shares                         X        1        375   0         0
ABERCROMBIE &      COMMON
FITCH CO CL A      STOCK     002896207     558      23436    Shares                X                 3      23350   0        86
ABERDEEN
AUSTRALIA EQUITY   PREFERRED
FUND               STOCK     003011103       7       1000    Shares                         X        1          0   0         0
ABIGAIL ADAMS
NATIONAL           COMMON
BANCORP            STOCK     003390101       0        137    Shares                X                 2          0   0       137
ACADIA REALTY      COMMON
TRUST (REIT)       STOCK     004239109       3        257    Shares                X                 3          0   0         0
ACTIVISION         COMMON
BLIZZARD INC       STOCK     00507V109     294      28105    Shares                X                 1      26105   0      2000
ACTIVISION         COMMON
BLIZZARD INC       STOCK     00507V109      39       3750    Shares                         X        1       3750   0         0
ACTIVISION         COMMON
BLIZZARD INC       STOCK     00507V109    1515     144876    Shares                X                 3     144876   0         0
ACUITY BRANDS
HOLDING            COMMON
COMPANY            STOCK     00508Y102     992      44000    Shares                X                 2          0   0     44000
ADOBE SYS INC      COMMON
COM                STOCK     00724F101      63       2960    Shares                X                 1       2960   0         0
ADOBE SYS INC      COMMON
COM                STOCK     00724F101      31       1450    Shares                         X        1       1450   0         0
ADOBE SYS INC      COMMON
COM                STOCK     00724F101     934      43655    Shares                X                 2      31990   0     11665
ADTRAN INC COM     COMMON
                   STOCK     00738A106      66       4075    Shares                X                 1       4075   0         0
ADTRAN INC COM     COMMON
                   STOCK     00738A106     517      31900    Shares                X                 3      31900   0         0
ADVANCE AUTO       COMMON
PARTS              STOCK     00751Y106      15        365    Shares                X                 1        365   0         0
ADVANCE AUTO       COMMON
PARTS              STOCK     00751Y106      31        750    Shares                         X        1        750   0         0
ADVANTAGE
ENERGY INCOME      COMMON
FUND               STOCK     00762L101      20       8435    Shares                X                 1       8435   0         0
AECOM              COMMON
TECHNOLOGY CORP    STOCK     00766T100       1         21    Shares                X                 1         21   0         0
AECOM              COMMON
TECHNOLOGY CORP    STOCK     00766T100    1041      39900    Shares                X                 2      14400   0     25500
AECOM              COMMON
TECHNOLOGY CORP    STOCK     00766T100       0         15    Shares                X                 3         15   0         0
AEROPOSTALE INC    COMMON
                   STOCK     007865108      45       1700    Shares                X                 1       1700   0         0
AEROPOSTALE INC    COMMON
                   STOCK     007865108    1144      43046    Shares                X                 3      43046   0         0
ADVANCED MICRO     COMMON
DEVICES INC COM    STOCK     007903107       0         80    Shares                X                 1         80   0         0
ADVANCED MICRO     COMMON
DEVICES INC COM    STOCK     007903107       0        125    Shares                         X        1        125   0         0
AEGON NV ORD       COMMON
AMER REG SHARESS   STOCK     007924103      32       8425    Shares                X                 1       8425   0         0
AEGON NV ORD       COMMON
AMER REG SHARESS   STOCK     007924103       4       1053    Shares                X                 3       1053   0         0
AES TRUST III PFD  PREFERRED
CONV 6.75% 1       STOCK     00808N202      14        400    Shares                X                 1          0   0         0
AES TRUST III PFD  PREFERRED
CONV 6.75% 1       STOCK     00808N202    3913     113150    Shares                X                 2      36400   0         0
AETNA INC NEW      COMMON
COM                STOCK     00817Y108     895      36800    Shares                X                 1      36800   0         0
AETNA INC NEW      COMMON
COM                STOCK     00817Y108    1557      64021    Shares                X                 3      64021   0         0
AFFILIATED
COMPUTER SVCS      COMMON
INC C              STOCK     008190100      17        360    Shares                X                 1        360   0         0
AFFILIATED         COMMON
MANAGERS GROUP     STOCK     008252108      13        300    Shares                X                 1        300   0         0
AFFILIATED         COMMON
MANAGERS GROUP     STOCK     008252108     205       4926    Shares                X                 3       4926   0         0


                                    3 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                   COLUMN 2                        SHARES
                    TITLE               COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                      OF     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
AGFEED INDUSTRIES  COMMON
INC                STOCK     00846L101       1         415   Shares                X                 1        415     0       0
AGILENT
TECHNOLOGIES INC   COMMON
COM                STOCK     00846U101      15         991   Shares                         X        1        381     0     610
AGILENT
TECHNOLOGIES INC   COMMON
COM                STOCK     00846U101      35        2288   Shares                X                 2          0     0    2288
AGILENT
TECHNOLOGIES INC   COMMON
COM                STOCK     00846U101       0          30   Shares                X                 3         30     0       0
AGNICO EAGLE       COMMON
MINES LTD          STOCK     008474108      26         450   Shares                X                 1        450     0       0
AGNICO EAGLE       COMMON
MINES LTD          STOCK     008474108     423        7425   Shares                X                 3       7425     0       0
AGRIUM INC         COMMON
                   STOCK     008916108      17         466   Shares                X                 1        466     0       0
AIR PRODUCTS &     COMMON
CHEMICALS INC      STOCK     009158106     667       11859   Shares                X                 1      11859     0       0
AIR PRODUCTS &     COMMON
CHEMICALS INC      STOCK     009158106     766       13625   Shares                         X        1      13625     0       0
AIR PRODUCTS &     COMMON
CHEMICALS INC      STOCK     009158106      58        1034   Shares                X                 3       1034     0       0
AIRGAS INC         COMMON
                   STOCK     009363102      19         560   Shares                X                 3        560     0       0
AKAMAI
TECHNOLOGIES INC   COMMON
COM                STOCK     00971T101      19         980   Shares                X                 3        980     0       0
ALASKA
COMMUNICATIONS     COMMON
SYSTEMS            STOCK     01167P101       5         750   Shares                X                 1        750     0       0
ALBEMARLE CORP     COMMON
COM                STOCK     012653101      98        4500   Shares                X                 1       4500     0       0
ALBEMARLE CORP     COMMON
COM                STOCK     012653101     479       22000   Shares                         X        1      22000     0       0
ALBEMARLE CORP     COMMON
COM                STOCK     012653101       6         279   Shares                X                 3        279     0       0
ALBERTO-CULVER     COMMON
COMPANY            STOCK     013078100       2         100   Shares                X                 1        100     0       0
ALCOA INC COM      COMMON
                   STOCK     013817101     620       84486   Shares                X                 1      84186     0     300
ALCOA INC COM      COMMON
                   STOCK     013817101     287       39080   Shares                         X        1      35620     0    3460
ALCOA INC COM      COMMON
                   STOCK     013817101       2         300   Shares                X                 2          0     0     300
ALCOA INC COM      COMMON
                   STOCK     013817101      48        6624   Shares                X                 3       6624     0       0
ALCOA INC COM      COMMON
                   STOCK     013817101       1         200   Shares                X                 4        200     0       0
ALCATEL-LUCENT--   COMMON
SPON ADR           STOCK     013904305       4        2022   Shares                X                 1       2022     0       0
ALCATEL-LUCENT--   COMMON
SPON ADR           STOCK     013904305       1         551   Shares                         X        1        519     0      32
ALCATEL-LUCENT--   COMMON
SPON ADR           STOCK     013904305       0         155   Shares                X                 2          0     0     155
ALCATEL-LUCENT--   COMMON
SPON ADR           STOCK     013904305      12        6413   Shares                X                 3       6413     0       0
ALDILA             COMMON
INCORPORATED NEW   STOCK     014384200       0          66   Shares                X                 1         66     0       0
ALEXANDRIA REAL    COMMON
ESTATE EQUITIE     STOCK     015271109       3          74   Shares                X                 1          0     0       0
ALEXANDRIA REAL    COMMON
ESTATE EQUITIE     STOCK     015271109       6         153   Shares                X                 3          0     0       0
ALEXION
PHARMACEUTICALS    COMMON
INC CO             STOCK     015351109      90        2401   Shares                X                 1       2401     0       0
ALEXION
PHARMACEUTICALS    COMMON
INC CO             STOCK     015351109      11         300   Shares                         X        1          0     0     300
ALEXION
PHARMACEUTICALS    COMMON
INC CO             STOCK     015351109    1920       50991   Shares                X                 3      50991     0       0
ALLEGHENY ENERGY   COMMON
INC                STOCK     017361106      53        2298   Shares                X                 1       2298     0       0
ALLEGHENY ENERGY   COMMON
INC                STOCK     017361106     268       11568   Shares                         X        1      11268     0     300
ALLEGHENY
TECHNOLOGIES INC   COMMON
COM                STOCK     01741R102      21         962   Shares                X                 1        962     0       0
ALLEGHENY
TECHNOLOGIES INC   COMMON
COM                STOCK     01741R102      18         800   Shares                X                 2          0     0     800
ALLEGIANT TRAVEL
CO                 COMMON    01748X102     186        4088   Shares                X                 3       4088     0       0
ALLERGAN INC       COMMON
                   STOCK     018490102    1399       29296   Shares                X                 1      29296     0       0
ALLERGAN INC       COMMON
                   STOCK     018490102      70        1464   Shares                         X        1       1464     0       0
ALLERGAN INC       COMMON
                   STOCK     018490102    4544       95156   Shares                X                 3      95156     0       0
ALLETE INC         COMMON
                   STOCK     018522300      35        1300   Shares                         X        1       1300     0       0
ALLIANCE HOLDINGS  COMMON
GP LP              STOCK     01861G100      26        1600   Shares                X                 2          0     0    1600
ALLIANCEBERNSTEIN  PREFERRED
NATL MUNI IN       STOCK     01864U106      11        1000   Shares                         X        1          0     0       0
ALLIANT            COMMON
TECHSYSTEMS INC    STOCK     018804104       5          81   Shares                X                 1         81     0       0
ALLIANT            COMMON
TECHSYSTEMS INC    STOCK     018804104      27         405   Shares                         X        1        405     0       0
ALLIANT            COMMON
TECHSYSTEMS INC    STOCK     018804104       3          44   Shares                X                 3         44     0       0
ALLIANCEBERNSTEIN  PREFERRED
INCOME FUND        STOCK     01881E101      14        1892   Shares                         X        1          0     0       0
ALLIANCEBERNSTEIN  COMMON
HOLDING LP         STOCK     01881G106      11         750   Shares                X                 1        750     0       0
ALLIANCEBERNSTEIN  COMMON
HOLDING LP         STOCK     01881G106      26        1800   Shares                         X        1       1800     0       0
ALLIANCEBERNSTEIN  COMMON
HOLDING LP         STOCK     01881G106     232       15750   Shares                X                 2          0     0   15750
ALLIED CAPITAL     COMMON
CORP NEW COM       STOCK     01903Q108       2         972   Shares                X                 1        972     0       0
ALLIED CAPITAL     COMMON
CORP NEW COM       STOCK     01903Q108      32       20212   Shares                         X        1      20212     0       0
ALLIED CAPITAL     COMMON
CORP NEW COM       STOCK     01903Q108      42       15486   Shares                X                 2      15486     0       0
ALLIED CAPITAL     COMMON
CORP NEW COM       STOCK     01903Q108       1         700   Shares                X                 3        700     0       0
ALLIANCE           COMMON
FINANCIAL CORP     STOCK     019205103      72        4027   Shares                X                 2          0     0    4027
ALLIED IRISHARES   COMMON
BKS PLC-SPON ADR   STOCK     019228402    1961     1265105   Shares                X                 1     733182  7143  524780
ALLIED IRISHARES   COMMON
BKS PLC-SPON ADR   STOCK     019228402     505      325593   Shares                         X        1     268193     0   57400
ALLSCRIPTS-MISYS   COMMON
HEALTHCARE         STOCK     01988P108    1686      163877   Shares                X                 1     163877     0       0
ALLSCRIPTS-MISYS   COMMON
HEALTHCARE         STOCK     01988P108      51        5000   Shares                         X        1       5000     0       0
ALLSCRIPTS-MISYS   COMMON
HEALTHCARE         STOCK     01988P108     830       80692   Shares                X                 3      77126     0    3566
ALLSTATE CORP      COMMON
                   STOCK     020002101     400       20900   Shares                X                 1      20900     0       0
ALLSTATE CORP      COMMON
                   STOCK     020002101     231       12048   Shares                         X        1      11098     0     950
ALLSTATE CORP      COMMON
                   STOCK     020002101    1037       54160   Shares                X                 2      16260     0   37900
ALLSTATE CORP      COMMON
                   STOCK     020002101      18         953   Shares                X                 3        953     0       0
ALNYLAM
PHARMACEUTICALS    COMMON
INC                STOCK     02043Q107       2         100   Shares                X                 1        100     0       0
ALNYLAM
PHARMACEUTICALS    COMMON
INC                STOCK     02043Q107      67        3500   Shares                X                 2          0     0    3500
ALON USA ENERGY    COMMON    020520102     152       11100   Shares                X                 3      11100     0       0


                                    4 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
ALPINE TOTAL   PREFERRED
DYNAMIC DVD FD STOCK        021060108       3        590    Shares                         X        1          0   0         0
ALTERA CORP
COM            COMMON STOCK 021441100     125       7106    Shares                X                 1       7106   0         0
ALTERA CORP
COM            COMMON STOCK 021441100     653      37200    Shares                X                 3      37200   0         0
ALTRIA GROUP
INC            COMMON STOCK 02209S103    4461     278441    Shares                X                 1     274841   0      3600
ALTRIA GROUP
INC            COMMON STOCK 02209S103    2359     147244    Shares                         X        1     140519   0      6725
ALTRIA GROUP
INC            COMMON STOCK 02209S103     549      34270    Shares                X                 2      10470   0     23800
ALTRIA GROUP
INC            COMMON STOCK 02209S103     137       8549    Shares                X                 3       8549   0         0
ALUMINA
LIMITED
SPON-ADR       COMMON STOCK 022205108       4       1061    Shares                X                 3       1061   0         0
AMAZON.COM INC COMMON STOCK 023135106     606       8247    Shares                X                 1       8247   0         0
AMAZON.COM INC COMMON STOCK 023135106       4         50    Shares                         X        1          0   0        50
AMAZON.COM INC COMMON STOCK 023135106    1387      18882    Shares                X                 3      18882   0         0
AMBAC
FINANCIAL
GROUP INC      COMMON STOCK 023139108       0        200    Shares                X                 1        200   0         0
AMBAC
FINANCIAL
GROUP INC      COMMON STOCK 023139108       1       1102    Shares                         X        1       1102   0         0
AMBAC
FINANCIAL
GROUP INC      COMMON STOCK 023139108       0        600    Shares                X                 2          0   0       600
AMEDISYS INC   COMMON STOCK 023436108       2         57    Shares                X                 1         57   0         0
AMEDISYS INC   COMMON STOCK 023436108       5        200    Shares                X                 3        200   0         0
AMEREN CORP    COMMON STOCK 023608102     112       4834    Shares                X                 1       4834   0         0
AMEREN CORP    COMMON STOCK 023608102      12        500    Shares                         X        1        500   0         0
AMEREN CORP    COMMON STOCK 023608102      10        444    Shares                X                 3        444   0         0
AMERICA MOVIL
SA - SPONS
ADR S          COMMON STOCK 02364W105      30       1120    Shares                X                 1       1120   0         0
AMERICA MOVIL
SA - SPONS
ADR S          COMMON STOCK 02364W105      81       3000    Shares                         X        1          0   0      3000
AMERICA MOVIL
SA - SPONS
ADR S          COMMON STOCK 02364W105      54       2000    Shares                X                 2          0   0      2000
AMERICAN
APPAREL INC    COMMON STOCK 023850100      10       3325    Shares                X                 1       3325   0         0
AMERICAN
APPAREL INC    COMMON STOCK 023850100     211      72325    Shares                X                 3      72325   0         0
AMERICAN
CAPITAL LTD    COMMON STOCK 02503Y103       6       3150    Shares                X                 1       3150   0         0
AMERICAN
CAPITAL LTD    COMMON STOCK 02503Y103       2        869    Shares                         X        1        869   0         0
AMERICAN
CAPITAL LTD    COMMON STOCK 02503Y103     510     273130    Shares                X                 2      16200   0    256930
AMERICAN
ELECTRIC
POWER CO INC   COMMON STOCK 025537101      88       3473    Shares                X                 1       3473   0         0
AMERICAN
ELECTRIC
POWER CO INC   COMMON STOCK 025537101     124       4914    Shares                         X        1       2084   0      2830
AMERICAN
ELECTRIC
POWER CO INC   COMMON STOCK 025537101       5        200    Shares                X                 2          0   0       200
AMERICAN
ELECTRIC
POWER CO INC   COMMON STOCK 025537101      35       1367    Shares                X                 3       1367   0         0
AMERICAN
EAGLE OUTFT    COMMON       02553E106      58       4700    Shares                X                 3       4700   0         0
AMERICAN
ELECTRIC
TECHNOLOGIES   COMMON STOCK 025576109       0        100    Shares                X                 1        100   0         0
AMERICAN
ELECTRIC
TECHNOLOGIES   COMMON STOCK 025576109       0        160    Shares                X                 2          0   0       160
AM EX CO       COMMON STOCK 025816109     313      22931    Shares                X                 1      22331   0       600
AM EX CO       COMMON STOCK 025816109     172      12623    Shares                         X        1      10145   0      2478
AM EX CO       COMMON STOCK 025816109     634      46488    Shares                X                 2          0   0     46488
AM EX CO       COMMON STOCK 025816109       9        692    Shares                X                 3        692   0         0
AM EX CO       COMMON STOCK 025816109       3        200    Shares                X                 4        200   0         0
AMERICAN
FINANCIAL
GROUP INC      COMMON STOCK 025932104      10        600    Shares                         X        1          0   0       600
AMERICAN
INTERNATIONAL
GROUP I        COMMON STOCK 026874107      30      29549    Shares                X                 1      29549   0         0
AMERICAN
INTERNATIONAL
GROUP I        COMMON STOCK 026874107      16      15627    Shares                         X        1      10782   0      4845
AMERICAN
INTERNATIONAL
GROUP I        COMMON STOCK 026874107     140     140299    Shares                X                 2      54089   0     86210
AMERICAN
INTERNATIONAL
GROUP I        COMMON STOCK 026874107       0        140    Shares                X                 3        140   0         0
AMERICAN INTL
GROUP PFD CV   PREFERRED
8.5            STOCK        026874115       3        500    Shares                X                 1          0   0         0
AMERICAN INTL
GROUP PFD CV   PREFERRED
8.5            STOCK        026874115     289      53500    Shares                X                 2      11550   0         0
AMERICAN
PUBLIC EDU     COMMON       02913V103     239       5694    Shares                X                 3       5694   0         0
AMERICAN
SELECT         PREFERRED
PORTFOLIO      STOCK        029570108       9       1100    Shares                X                 1          0   0         0
AMERICAN
TOWER CORP CL
A              COMMON STOCK 029912201       5        178    Shares                X                 1        178   0         0
AMERICAN
TOWER CORP CL
A              COMMON STOCK 029912201      78       2569    Shares                X                 3       2569   0         0
AMERICAN
STRATEGIC      PREFERRED
INCOME II      STOCK        030099105      12       1500    Shares                X                 1          0   0         0
AMERICAN
STRATEGIC      PREFERRED
INCOME III     STOCK        03009T101      10       1400    Shares                X                 1          0   0         0
AMERICAN
SUPERCONDUCTOR
CORP           COMMON STOCK 030111108      32       1850    Shares                X                 1       1850   0         0
AMERICAN
SUPERCONDUCTOR
CORP           COMMON STOCK 030111108     714      41275    Shares                X                 3      41275   0         0
AMERISOURCE
BERGEN CORP
COM            COMMON STOCK 03073E105      13        411    Shares                X                 1        411   0         0
AMERIPRISE
FINANCIAL INC  COMMON STOCK 03076C106      52       2561    Shares                X                 1       2441   0       120
AMERIPRISE
FINANCIAL INC  COMMON STOCK 03076C106      32       1569    Shares                         X        1       1179   0       390
AMERIPRISE
FINANCIAL INC  COMMON STOCK 03076C106      37       1790    Shares                X                 2          0   0      1790
AMERIS BANCORP COMMON STOCK 03076K108       1        123    Shares                X                 1        123   0         0
AMERIGAS
PARTNERS LP    COMMON STOCK 030975106      37       1300    Shares                         X        1       1300   0         0
AMETEK
AEROSPACE
PRODS INC COM  COMMON STOCK 031100100      32       1038    Shares                X                 1       1038   0         0
AMGEN INC COM  COMMON STOCK 031162100    8090     163378    Shares                X                 1     162278   0      1100
AMGEN INC COM  COMMON STOCK 031162100    1989      40169    Shares                         X        1      34004   0      6165
AMGEN INC COM  COMMON STOCK 031162100     807      16294    Shares                X                 2          0   0     16294
AMGEN INC COM  COMMON STOCK 031162100    3148      63581    Shares                X                 3      62598   0       983
AMGEN INC COM  COMMON STOCK 031162100      10        200    Shares                X                 4        200   0         0
AMPHENOL CORP
NEW CL A       COMMON STOCK 032095101      16        560    Shares                X                 3        560   0         0


                                    5 of 49





                                                   SEC USE ______________________________________________

                                                                                   COLUMN 6                       COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                   ------------------------ ----------------------          --------------------
                   COLUMN 2                         SHARES
                    TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                      OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                   
AMSURG CORP      COMMON STOCK 03232P405      13        800    Shares                X                 1        800   0         0
ANADARKO
PETROLEUM CORP   COMMON STOCK 032511107     868      22323    Shares                X                 1      22323   0         0
ANADARKO
PETROLEUM CORP   COMMON STOCK 032511107     312       8016    Shares                         X        1       8016   0         0
ANADARKO
PETROLEUM CORP   COMMON STOCK 032511107     360       9254    Shares                X                 2       5400   0      3854
ANADARKO
PETROLEUM CORP   COMMON STOCK 032511107      11        290    Shares                X                 3        290   0         0
ANALOG
DEVICES INC      COMMON STOCK 032654105     510      26462    Shares                X                 1      26462   0         0
ANALOG
DEVICES INC      COMMON STOCK 032654105      18        960    Shares                         X        1        360   0       600
ANALOG
DEVICES INC      COMMON STOCK 032654105     405      21000    Shares                X                 2          0   0     21000
ANALOG
DEVICES INC      COMMON STOCK 032654105     986      51194    Shares                X                 3      51194   0         0
ANAREN INC       COMMON STOCK 032744104      23       2090    Shares                X                 1       2090   0         0
ANCHOR
BANCORP
WISCONSIN INC    COMMON STOCK 032839102       0        250    Shares                X                 1        250   0         0
ANCHOR
BANCORP
WISCONSIN INC    COMMON STOCK 032839102       0         35    Shares                X                 3         35   0         0
ANGLO
AMERICAN
PLC-UNSP ADR     COMMON STOCK 03485P201      10       1125    Shares                         X        1       1125   0         0
ANGLOGOLD
ASHARESANTI
SPON ADR         COMMON STOCK 035128206       4        110    Shares                X                 1        110   0         0
ANGLOGOLD
ASHARESANTI
SPON ADR         COMMON STOCK 035128206      49       1338    Shares                X                 3       1338   0         0
ANNALY
CAPITAL
MANAGEMENT INC   COMMON STOCK 035710409      27       1951    Shares                X                 1          0   0         0
ANNALY
CAPITAL
MANAGEMENT INC   COMMON STOCK 035710409       7        500    Shares                         X        1          0   0         0
ANNALY
CAPITAL
MANAGEMENT INC   COMMON STOCK 035710409    6056     436600    Shares                X                 2     112100   0         0
ANNALY
CAPITAL
MANAGEMENT INC   COMMON STOCK 035710409     423      30520    Shares                X                 3      30200   0         0
ANNAPOLIS
BANCORP
INCORPORATED     COMMON STOCK 035848100       3       1333    Shares                         X        1       1333   0         0
ANSYS INC        COMMON STOCK 03662Q105     450      17918    Shares                X                 1      17918   0         0
ANSYS INC        COMMON STOCK 03662Q105    1794      71508    Shares                X                 3      71508   0         0
ANTHRACITE
CAPITAL INC
COM              COMMON STOCK 037023108       1       2869    Shares                X                 1          0   0         0
AON CORP COM     COMMON STOCK 037389103     258       6310    Shares                X                 1       6310   0         0
AON CORP COM     COMMON STOCK 037389103      41       1004    Shares                X                 3       1004   0         0
APACHE CORP
COM              COMMON STOCK 037411105    2920      45562    Shares                X                 1      45562   0         0
APACHE CORP
COM              COMMON STOCK 037411105    1357      21176    Shares                         X        1      20966   0       210
APACHE CORP
COM              COMMON STOCK 037411105    1537      23969    Shares                X                 3      23902   0        67
APARTMENT
INVT & MGMT
CL A             COMMON STOCK 03748R101       0         17    Shares                X                 1          0   0         0
APARTMENT
INVT & MGMT
CL A             COMMON STOCK 03748R101       2        295    Shares                         X        1          0   0         0
APARTMENT
INVT & MGMT
CL A             COMMON STOCK 03748R101      21       3779    Shares                X                 2          0   0         0
APARTMENT
INVT & MGMT
CL A             COMMON STOCK 03748R101       0         16    Shares                X                 3          0   0         0
APOLLO GROUP
INC CL A         COMMON STOCK 037604105       2         26    Shares                X                 1         26   0         0
APOLLO GROUP
INC CL A         COMMON STOCK 037604105       8        100    Shares                         X        1        100   0         0
APOLLO GROUP
INC CL A         COMMON STOCK 037604105      34        436    Shares                X                 3        436   0         0
APOLLO
INVESTMENT       PREFERRED
CORPORATION      STOCK        03761U106       5       1500    Shares                X                 1          0   0         0
APOLLO
INVESTMENT       PREFERRED
CORPORATION      STOCK        03761U106       3        800    Shares                         X        1          0   0         0
APOLLO
INVESTMENT       PREFERRED
CORPORATION      STOCK        03761U106      20       5785    Shares                X                 2          0   0         0
APPLE INC        COMMON STOCK 037833100    8477      80643    Shares                X                 1      79278   0      1365
APPLE INC        COMMON STOCK 037833100    1037       9865    Shares                         X        1       8285   0      1580
APPLE INC        COMMON STOCK 037833100   18984     180595    Shares                X                 2      60705   0    119890
APPLE INC        COMMON STOCK 037833100    3608      34313    Shares                X                 3      33476   0       837
APPLIED
MATERIALS INC
COM              COMMON STOCK 038222105     513      47683    Shares                X                 1      46683   0      1000
APPLIED
MATERIALS INC
COM              COMMON STOCK 038222105      34       3150    Shares                         X        1       2300   0       850
APPLIED
MATERIALS INC
COM              COMMON STOCK 038222105     527      48975    Shares                X                 2      37475   0     11500
AQUA AMERICA
INC              COMMON STOCK 03836W103      55       2743    Shares                X                 1       2743   0         0
AQUA AMERICA
INC              COMMON STOCK 03836W103       4        200    Shares                         X        1        200   0         0
ARACRUZ
CELULOSE S A
SPONSORED        COMMON STOCK 038496204       1         90    Shares                X                 3         90   0         0
ARCH COAL INC    COMMON STOCK 039380100       3        200    Shares                X                 1        200   0         0
ARCH COAL INC    COMMON STOCK 039380100       4        300    Shares                X                 2          0   0       300

ARCELORMITTAL-NY
REGISTERED       COMMON STOCK 03938L104       6        300    Shares                X                 1        300   0         0
ARCHER
DANIELS
MIDLAND CO COM   COMMON STOCK 039483102     217       7828    Shares                X                 1       7828   0         0
ARCHER
DANIELS
MIDLAND CO COM   COMMON STOCK 039483102     369      13300    Shares                         X        1       7800   0      5500
ARCSIGHT INC     COMMON STOCK 039666102      19       1450    Shares                X                 1       1450   0         0
ARCSIGHT INC     COMMON STOCK 039666102     403      31575    Shares                X                 3      31575   0         0
ARENA
RESOURCES INC    COMMON       040049108     191       7511    Shares                X                 3       7511   0         0
ARRIS GROUP      COMMON STOCK 04269Q100     299      40570    Shares                         X        1      40570   0         0
ARRIS GROUP      COMMON STOCK 04269Q100      11       1485    Shares                X                 3       1485   0         0
ART
TECHNOLOGY
GROUP            COMMON       04289L107     330     129481    Shares         X                              129481   0         0
ARTESIAN
RESOURCES
CORPORATION      COMMON STOCK 043113208      55       3891    Shares                X                 1       3891   0         0
ARVINMERITOR
INC COM          COMMON STOCK 043353101       0        100    Shares                X                 1        100   0         0
ASCENT MEDIA
CORPORATION -
A                COMMON STOCK 043632108       3        122    Shares                         X        1        122   0         0
ASHARESLAND
INC              COMMON STOCK 044209104       9        850    Shares                X                 1        850   0         0
ASHARESLAND
INC              COMMON STOCK 044209104       5        474    Shares                         X        1        474   0         0
ASHARESLAND
INC              COMMON STOCK 044209104      32       3081    Shares                X                 3       3081   0         0
ASIAINFO
HOLDINGS INC     COMMON STOCK 04518A104      39       2325    Shares                X                 1       2325   0         0
ASIAINFO
HOLDINGS INC     COMMON STOCK 04518A104     859      50925    Shares                X                 3      50925   0         0


                                    6 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
ASSURANT INC    COMMON STOCK 04621X108       3        117    Shares                X                 3        117   0         0
ASTORIA
FINANCIAL
CORP COM        COMMON STOCK 046265104       6        665    Shares                X                 3        665   0         0
ASTRAZENECA
GROUP PLC
SPONSORE        COMMON STOCK 046353108      44       1228    Shares                X                 1       1228   0         0
ASTRAZENECA
GROUP PLC
SPONSORE        COMMON STOCK 046353108      11        300    Shares                         X        1        300   0         0
ASTRONICS CORP  COMMON STOCK 046433108       1        125    Shares                X                 1        125   0         0
ATHENAHEALTH
INC             COMMON STOCK 04685W103      26       1088    Shares                X                 1       1088   0         0
ATHENAHEALTH
INC             COMMON STOCK 04685W103     544      22550    Shares                X                 3      22550   0         0
ATLAS AIR
WORLDWIDE
HOLDINGS        COMMON STOCK 049164205       4        250    Shares                X                 1        250   0         0
ATLAS
PIPELINE
PARTNERS LP     COMMON STOCK 049392103       0         60    Shares                         X        1         60   0         0
ATLAS
PIPELINE
HOLDINGS LP     COMMON STOCK 04939R108       2       1600    Shares                X                 2          0   0      1600
ATMEL CORP      COMMON STOCK 049513104      29       8100    Shares                X                 1       8100   0         0
ATMEL CORP      COMMON STOCK 049513104     637     175525    Shares                X                 3     175525   0         0
ATMOS ENERGY
CORP            COMMON STOCK 049560105      34       1450    Shares                X                 1       1450   0         0
AUTODESK COM    COMMON STOCK 052769106     889      52895    Shares                X                 1      52295   0       600
AUTODESK COM    COMMON STOCK 052769106      21       1250    Shares                         X        1       1250   0         0
AUTODESK COM    COMMON STOCK 052769106     599      35663    Shares                X                 3      34031   0      1632
AUTOMATIC
DATA
PROCESSING INC  COMMON STOCK 053015103    2168      61665    Shares                X                 1      56765   0      4900
AUTOMATIC
DATA
PROCESSING INC  COMMON STOCK 053015103    1644      46746    Shares                         X        1      41886   0      4860
AUTOMATIC
DATA
PROCESSING INC  COMMON STOCK 053015103    1314      37348    Shares                X                 2      18048   0     19300
AUTOZONE INC
COM             COMMON STOCK 053332102       7         45    Shares                X                 1         45   0         0
AUTOZONE INC
COM             COMMON STOCK 053332102       9         53    Shares                X                 3         53   0         0
AUXILIUM
PHARMACEUTICALS
INC             COMMON STOCK 05334D107       3        100    Shares                X                 1        100   0         0
AUXILIUM
PHARMACEUTICALS
INC             COMMON STOCK 05334D107     147       5321    Shares                X                 3       5321   0         0
AVALONBAY
COMMUNITIES
INC             COMMON STOCK 053484101      14        298    Shares                X                 1          0   0         0
AVALONBAY
COMMUNITIES
INC             COMMON STOCK 053484101      19        412    Shares                X                 2          0   0         0
AVALONBAY
COMMUNITIES
INC             COMMON STOCK 053484101      10        202    Shares                X                 3          0   0         0
AVERY
DENNISON CORP
COM             COMMON STOCK 053611109       1         58    Shares                X                 1         58   0         0
AVERY
DENNISON CORP
COM             COMMON STOCK 053611109      38       1700    Shares                X                 3       1700   0         0
AVIS BUDGET
GROUP INC       COMMON STOCK 053774105       0        100    Shares                X                 1        100   0         0
AVNET INC COM   COMMON STOCK 053807103       8        475    Shares                         X        1        475   0         0
AVON PRODUCTS
INC             COMMON STOCK 054303102     735      38242    Shares                X                 1      38242   0         0
AVON PRODUCTS
INC             COMMON STOCK 054303102     180       9374    Shares                         X        1       8374   0      1000
AVON PRODUCTS
INC             COMMON STOCK 054303102    1042      54169    Shares                X                 3      54169   0         0
AXA SPONSORED
ADR             COMMON STOCK 054536107       0         41    Shares                X                 1         41   0         0
AXA SPONSORED
ADR             COMMON STOCK 054536107       3        236    Shares                         X        1        236   0         0
AXA SPONSORED
ADR             COMMON STOCK 054536107       3        285    Shares                X                 3        285   0         0
AXCELIS
TECHNOLOGIES
INC COM         COMMON STOCK 054540109       0        177    Shares                         X        1        177   0         0
BB&T CORP COM   COMMON STOCK 054937107     566      33429    Shares                X                 1      31501   0      1928
BB&T CORP COM   COMMON STOCK 054937107     438      25888    Shares                         X        1      25888   0         0
BB&T CORP COM   COMMON STOCK 054937107    1711     101142    Shares                X                 2      43340   0     57802
BB&T CORP COM   COMMON STOCK 054937107      71       4167    Shares                X                 3       4167   0         0
B & G FOODS
INC - EIS       COMMON STOCK 05508R205       8        750    Shares                X                 1        750   0         0
B & G FOODS
INC - EIS       COMMON STOCK 05508R205      13       1145    Shares                         X        1       1145   0         0
BJ SVCS CO COM  COMMON STOCK 055482103       2        215    Shares                X                 1        215   0         0
BOK FINANCIAL
CORPORATION     COMMON STOCK 05561Q201       0         11    Shares                X                 1         11   0         0
BP PLC
SPONSORED ADR   COMMON STOCK 055622104    9041     225462    Shares                X                 1     225462   0         0
BP PLC
SPONSORED ADR   COMMON STOCK 055622104    7222     180103    Shares                         X        1     166617   0     13486
BP PLC
SPONSORED ADR   COMMON STOCK 055622104     797      19865    Shares                X                 2          0   0     19865
BP PLC
SPONSORED ADR   COMMON STOCK 055622104     183       4564    Shares                X                 3       4564   0         0
BRE
PROPERTIES
INC CL A        COMMON STOCK 05564E106       4        201    Shares                X                 3          0   0         0
BT GROUP
PLC-SPON ADR    COMMON STOCK 05577E101       1        123    Shares                X                 1        123   0         0
BT GROUP
PLC-SPON ADR    COMMON STOCK 05577E101       3        250    Shares                         X        1        250   0         0
BMC SOFTWARE
INC COM         COMMON STOCK 055921100       1         16    Shares                X                 1         16   0         0
BAKER HUGHES
INC COM         COMMON STOCK 057224107     124       4333    Shares                X                 1       3858   0       475
BAKER HUGHES
INC COM         COMMON STOCK 057224107      47       1635    Shares                         X        1        800   0       835
BAKER HUGHES
INC COM         COMMON STOCK 057224107     607      21260    Shares                X                 2      12950   0      8310
BALL
CORPORATION     COMMON STOCK 058498106    1042      24000    Shares                X                 1      24000   0         0
BALLY
TECHNOLOGIES
INC             COMMON STOCK 05874B107      13        700    Shares                X                 1        700   0         0
BALLY
TECHNOLOGIES
INC             COMMON STOCK 05874B107     291      15775    Shares                X                 3      15775   0         0
BANCO
SANTANDER SA
- SPONS ADR     COMMON STOCK 05964H105     194      28098    Shares                X                 1      27225   0       873
BANCO
SANTANDER SA
- SPONS ADR     COMMON STOCK 05964H105       1        134    Shares                         X        1          0   0       134
BANCOLOMBIA
SA SPONS ADR    COMMON STOCK 05968L102       1         29    Shares                X                 1         29   0         0
BANCORP RHODE
ISLAND INC      COMMON STOCK 059690107       1         44    Shares                X                 1         44   0         0
BANK AMER CORP  COMMON STOCK 060505104    3502     513544    Shares                X                 1     506248   0      7296
BANK AMER CORP  COMMON STOCK 060505104    1377     201881    Shares                         X        1     194556   0      7325
BANK AMER CORP  COMMON STOCK 060505104    3798     556861    Shares                X                 2     142170   0    414691
BANK AMER CORP  COMMON STOCK 060505104     820     120107    Shares                X                 3     113122   0      6985


                                    7 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
BANK AMER CORP COMMON STOCK 060505104       1         85    Shares                X                 4         85   0        0
BANK OF
FLORIDA
CORPORATION    COMMON STOCK 062128103      10       2782    Shares                X                 2          0   0     2782
BANK OF
HAWAII CORP    COMMON STOCK 062540109       4        125    Shares                         X        1        125   0        0
BANK NEW YORK
MELLON CORP    COMMON STOCK 064058100    3431     121453    Shares                X                 1     118403   0     3050
BANK NEW YORK
MELLON CORP    COMMON STOCK 064058100     619      21900    Shares                         X        1      18493   0     3407
BANK NEW YORK
MELLON CORP    COMMON STOCK 064058100    1625      57523    Shares                X                 2          0   0    57523
BANK NEW YORK
MELLON CORP    COMMON STOCK 064058100     142       5035    Shares                X                 3       5035   0        0
BAR HARBOR
BANCSHARESARES COMMON STOCK 066849100      98       4200    Shares                X                 2          0   0     4200
BARD C R INC
COM            COMMON STOCK 067383109      56        700    Shares                X                 1        700   0        0
BARD C R INC
COM            COMMON STOCK 067383109     315       3950    Shares                         X        1       3950   0        0
BARCLAYS PLC
- SPONS ADR    COMMON STOCK 06738E204     136      16000    Shares                         X        1      16000   0        0
BARCLAYS BANK  PREFERRED
PFD 7.75% SER  STOCK        06739H511      15       1200    Shares                X                 1          0   0        0
BARE
ESCENTUALS INC COMMON STOCK 067511105       8       2000    Shares                X                 1       2000   0        0
BARRICK GOLD
CORP           COMMON STOCK 067901108      44       1351    Shares                X                 1       1351   0        0
BARRICK GOLD
CORP           COMMON STOCK 067901108     152       4700    Shares                         X        1       4600   0      100
BARRICK GOLD
CORP           COMMON STOCK 067901108      26        792    Shares                X                 3        792   0        0
BASIN WATER
INC            COMMON STOCK 07011T306       9      10000    Shares                X                 2          0   0    10000
BAXTER INTL
INC            COMMON STOCK 071813109     776      15151    Shares                X                 1      15151   0        0
BAXTER INTL
INC            COMMON STOCK 071813109     518      10116    Shares                         X        1      10116   0        0
BECKMAN
COULTER INC    COMMON STOCK 075811109     137       2680    Shares                         X        1       1680   0     1000
BECKMAN
COULTER INC    COMMON STOCK 075811109     816      16000    Shares                X                 2          0   0    16000
BECTON
DICKINSON &
CO COM         COMMON STOCK 075887109     423       6288    Shares                X                 1       6288   0        0
BECTON
DICKINSON &
CO COM         COMMON STOCK 075887109     600       8924    Shares                         X        1       8924   0        0
BECTON
DICKINSON &
CO COM         COMMON STOCK 075887109       4         64    Shares                X                 3         64   0        0
BED BATH &
BEYOND INC COM COMMON STOCK 075896100      92       3735    Shares                X                 1       3735   0        0
BED BATH &
BEYOND INC COM COMMON STOCK 075896100       3        125    Shares                         X        1        125   0        0
BED BATH &
BEYOND INC COM COMMON STOCK 075896100      30       1200    Shares                X                 2          0   0     1200
BEMIS INC      COMMON STOCK 081437105      17        800    Shares                         X        1        800   0        0
BERKLEY (WR)
CORP-RTS       COMMON STOCK 084423102      12        531    Shares                X                 3        531   0        0
BERKSHARESIRE
HATHAWAY INC
CLASS A        COMMON STOCK 084670108     260          3    Shares                         X        1          3   0        0
BERKSHARESIRE
HATHAWAY INC
CLASS A        COMMON STOCK 084670108     867         10    Shares                X                 2          0   0       10
BERKSHARESIRE
HATHAWAY INC
CLASS B        COMMON STOCK 084670207     742        263    Shares                X                 1        263   0        0
BERKSHARESIRE
HATHAWAY INC
CLASS B        COMMON STOCK 084670207     505        179    Shares                         X        1        169   0       10
BERKSHARESIRE
HATHAWAY INC
CLASS B        COMMON STOCK 084670207     494        175    Shares                X                 2          0   0      175
BERRY
PETROLEUM
COMPANY CLASS  COMMON STOCK 085789105       2        200    Shares                X                 1        200   0        0
BEST BUY
COMPANY INC    COMMON STOCK 086516101     111       2936    Shares                X                 1       2936   0        0
BEST BUY
COMPANY INC    COMMON STOCK 086516101      95       2512    Shares                         X        1       2512   0        0
BEST BUY
COMPANY INC    COMMON STOCK 086516101      72       1900    Shares                X                 2          0   0     1900
BHP BILLITON
LTD SPONSORED
ADR            COMMON STOCK 088606108     185       4149    Shares                X                 1       4149   0        0
BHP BILLITON
LTD SPONSORED
ADR            COMMON STOCK 088606108     207       4632    Shares                         X        1       3600   0     1032
BHP BILLITON
LTD SPONSORED
ADR            COMMON STOCK 088606108      46       1040    Shares                X                 3       1040   0        0
BIG 5
SPORTING
GOODS CORP     COMMON STOCK 08915P101      12       2000    Shares                X                 1       2000   0        0
BIG 5
SPORTING
GOODS CORP     COMMON STOCK 08915P101     256      43576    Shares                X                 3      43576   0        0
BIO RAD LABS
INC CL A       COMMON STOCK 090572207      13        190    Shares                X                 3        190   0        0
BIOMARIN
PHARMACEUTICAL
INC            COMMON STOCK 09061G101     440      35635    Shares                X                 1      35635   0        0
BIOMARIN
PHARMACEUTICAL
INC            COMMON STOCK 09061G101     240      19375    Shares                X                 3      19375   0        0
BIOGEN IDEC
INC            COMMON STOCK 09062X103     609      11616    Shares                X                 1      11616   0        0
BIOGEN IDEC
INC            COMMON STOCK 09062X103      95       1805    Shares                         X        1       1695   0      110
BIOGEN IDEC
INC            COMMON STOCK 09062X103     872      16630    Shares                X                 2          0   0    16630
BIOTECH
HOLDRS TRUST   COMMON STOCK 09067D201      10         60    Shares                X                 1         60   0        0
BLACK &
DECKER CORP
COM            COMMON STOCK 091797100      67       2121    Shares                X                 1       2121   0        0
BLACK &
DECKER CORP
COM            COMMON STOCK 091797100     519      16440    Shares                         X        1      16440   0        0
BLACK &
DECKER CORP
COM            COMMON STOCK 091797100      28        900    Shares                X                 3        900   0        0
BLACKBOARD INC COMMON STOCK 091935502      40       1275    Shares                X                 1       1275   0        0
BLACKBOARD INC COMMON STOCK 091935502     913      28745    Shares                X                 3      28745   0        0
BLACK HILLS
CORP           COMMON STOCK 092113109      32       1800    Shares                X                 1       1800   0        0
BLACK HILLS
CORP           COMMON STOCK 092113109       4        200    Shares                         X        1        200   0        0
BLACKROCK INC  COMMON STOCK 09247X101    1573      12095    Shares                X                 1      12095   0        0
BLACKROCK INC  COMMON STOCK 09247X101      46        355    Shares                         X        1        355   0        0
BLACKROCK INC  COMMON STOCK 09247X101    2636      20272    Shares                X                 3      20147   0      125
BLACKROCK
MARYLAND MUNI  PREFERRED
BD TR          STOCK        09249L105     349      27000    Shares                         X        1          0   0        0
BLACKROCK
MARYLAND MUNI  PREFERRED
BD TR          STOCK        09249L105      39       3000    Shares                X                 2          0   0        0
BLACKROCK
STRAT DVD      PREFERRED
ACHV TRS       STOCK        09249Y107       7       1000    Shares                X                 1          0   0        0
BLACKROCK
ENERGY &       PREFERRED
RESOURCES T    STOCK        09250U101      18       1200    Shares                X                 1          0   0        0
BLACKROCK
HEALTH         PREFERRED
SCIENCES TRUS  STOCK        09250W107      94       5000    Shares                         X        1          0   0        0
BLACKROCK
MUNIENHANCED   PREFERRED
FUND IN        STOCK        09253Y100      18       2032    Shares                         X        1          0   0        0
BLACKROCK
MUNIYLD        PREFERRED
QUALITY FUND   STOCK        09254G108      66       6850    Shares                         X        1          0   0        0


                                    8 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
BLACKROCK
MUNIYLD        PREFERRED
CALIFORNIA I   STOCK        09254N103      31       3050    Shares                         X        1          0   0        0
BLACKROCK
MUNIHOLDINGS   PREFERRED
INSD IN        STOCK        09254P108      20       2000    Shares                X                 2          0   0        0
BLACKROCK
MUNIYIELD      PREFERRED
MICHIGAN I     STOCK        09254V105      20       2000    Shares                X                 2          0   0        0
BLACKROCK
MUNIHLDGS NJ   PREFERRED
INSURED        STOCK        09254X101      35       3050    Shares                         X        1          0   0        0
BLACKROCK
MUNIHLDGS NY   PREFERRED
INSURED        STOCK        09255C106      31       3050    Shares                         X        1          0   0        0
BLACKROCK
MUNIYLD NEW    PREFERRED
YORK INS       STOCK        09255E102      16       1601    Shares                         X        1          0   0        0
BLACKROCK
MUNIYLD        PREFERRED
PENNSYLVANIA   STOCK        09255G107      11        981    Shares                X                 1          0   0        0
BLACKROCK
MUNIYLD        PREFERRED
PENNSYLVANIA   STOCK        09255G107      93       8181    Shares                         X        1          0   0        0
BLACKROCK
MUNIYLD        PREFERRED
PENNSYLVANIA   STOCK        09255G107      23       2000    Shares                X                 2          0   0        0
BLOCK H & R
INC            COMMON STOCK 093671105      12        642    Shares                X                 1        642   0        0
BLOCK H & R
INC            COMMON STOCK 093671105      62       3400    Shares                         X        1       3400   0        0
BLOCK H & R
INC            COMMON STOCK 093671105       9        496    Shares                X                 3        496   0        0
BLUE CHIP      PREFERRED
VALUE FUND INC STOCK        095333100       4       1920    Shares                X                 1          0   0        0
BLUE COAT
SYSTEMS
INCORPORATED   COMMON STOCK 09534T508      25       2075    Shares                X                 1       2075   0        0
BLUE COAT
SYSTEMS
INCORPORATED   COMMON STOCK 09534T508     544      45325    Shares                X                 3      45325   0        0
BOARDWALK
PIPELINE
PARTNERS LP    COMMON STOCK 096627104      22       1000    Shares                X                 2          0   0     1000
BOB EVANS
FARMS          COMMON STOCK 096761101       4        200    Shares                X                 1        200   0        0
BOEING CO COM  COMMON STOCK 097023105    1264      35518    Shares                X                 1      33418   0     2100
BOEING CO COM  COMMON STOCK 097023105     593      16667    Shares                         X        1      16442   0      225
BOEING CO COM  COMMON STOCK 097023105     401      11280    Shares                X                 2          0   0    11280
BOEING CO COM  COMMON STOCK 097023105      15        435    Shares                X                 3        435   0        0
BON-TON
STORES
INCORPORATED   COMMON STOCK 09776J101      30      17320    Shares                X                 1      17320   0        0
BORG WARNER
INC COM        COMMON STOCK 099724106     369      18201    Shares                X                 1      18201   0        0
BORG WARNER
INC COM        COMMON STOCK 099724106    2285     112590    Shares                X                 3     112590   0        0
BOSTON BEER
INCORPORATED
CLASS          COMMON STOCK 100557107      16        750    Shares                X                 1        750   0        0
BOSTON BEER
INCORPORATED
CLASS          COMMON STOCK 100557107       2        100    Shares                         X        1        100   0        0
BOSTON
PROPERTIES
INC (REIT)     COMMON STOCK 101121101     107       3054    Shares                X                 1          0   0        0
BOSTON
PROPERTIES
INC (REIT)     COMMON STOCK 101121101     105       3000    Shares                         X        1          0   0        0
BOSTON
PROPERTIES
INC (REIT)     COMMON STOCK 101121101     276       3000    Shares                X                 2       3000   0        0
BOSTON
PROPERTIES
INC (REIT)     COMMON STOCK 101121101      16        458    Shares                X                 3          0   0        0
BOSTON
SCIENTIFIC
CORP COM       COMMON STOCK 101137107       6        736    Shares                X                 1        736   0        0
BOSTON
SCIENTIFIC
CORP COM       COMMON STOCK 101137107      43       5360    Shares                         X        1       5360   0        0
BOSTON
SCIENTIFIC
CORP COM       COMMON STOCK 101137107     295      12800    Shares                X                 2      12800   0        0
BOSTON
SCIENTIFIC
CORP COM       COMMON STOCK 101137107      24       2958    Shares                X                 3       2958   0        0
BOULDER TOTAL
RETURN FUND    PREFERRED
INC            STOCK        101541100      11       1400    Shares                X                 1          0   0        0
BOULDER TOTAL
RETURN FUND    PREFERRED
INC            STOCK        101541100       4        500    Shares                         X        1          0   0        0
BOWNE & CO INC COMMON STOCK 103043105      11       3319    Shares                X                 1       3319   0        0
BRANDYWINE
REALTY TRUST
(REIT)         COMMON STOCK 105368203       4       1500    Shares                X                 1          0   0        0
BRINKER INTL
INC COM        COMMON STOCK 109641100     349      23110    Shares                X                 1      23110   0        0
BRINKER INTL
INC COM        COMMON STOCK 109641100     179      11850    Shares                         X        1      11850   0        0
BRINKER INTL
INC COM        COMMON STOCK 109641100    2236     148057    Shares                X                 3     148057   0        0
BRISTOL-MYERS
SQUIBB CO      COMMON STOCK 110122108    6073     277068    Shares                X                 1     273852   0     3216
BRISTOL-MYERS
SQUIBB CO      COMMON STOCK 110122108    6398     291876    Shares                         X        1     260866   0    31010
BRISTOL-MYERS
SQUIBB CO      COMMON STOCK 110122108    1993      90942    Shares                X                 2      29532   0    61410
BRISTOL-MYERS
SQUIBB CO      COMMON STOCK 110122108     210       9609    Shares                X                 3       9609   0        0
BRISTOL-MYERS
SQUIBB CO      COMMON STOCK 110122108       5        250    Shares                X                 4        250   0        0
BRITISHARES
AMERICAN
TOBACCO-SP AD  COMMON STOCK 110448107      20        435    Shares                X                 3        435   0        0
BROADCOM CORP
CL A           COMMON STOCK 111320107     148       7428    Shares                X                 1       7428   0        0
BROADCOM CORP
CL A           COMMON STOCK 111320107     816      40866    Shares                X                 3      40866   0        0
BROADRIDGE
FINANCIAL
SOLUTIONS      COMMON STOCK 11133T103      73       3902    Shares                X                 1       3902   0        0
BROADRIDGE
FINANCIAL
SOLUTIONS      COMMON STOCK 11133T103      41       2190    Shares                         X        1       2190   0        0
BROADRIDGE
FINANCIAL
SOLUTIONS      COMMON STOCK 11133T103      34       1850    Shares                X                 2          0   0     1850
BROCADE
COMMUNICATIONS
SYSTEM         COMMON STOCK 111621306      29       8450    Shares                X                 1       8450   0        0
BROCADE
COMMUNICATIONS
SYSTEM         COMMON STOCK 111621306     633     183475    Shares                X                 3     183475   0        0
BROOKFIELD
ASSET
MANAGEMENT CL  COMMON STOCK 112585104       4        318    Shares                X                 3        318   0        0
BROWN-FORMAN
CORP CL B      COMMON STOCK 115637209      15        375    Shares                         X        1        375   0        0
BROWN-FORMAN
CORP CL B      COMMON STOCK 115637209     262       6750    Shares                X                 2          0   0     6750
BRYN MAWR
BANK
CORPORATION    COMMON STOCK 117665109     125       7392    Shares                X                 1       7392   0        0
BUCKEYE
PARTNERS LP
UNIT LTD P     COMMON STOCK 118230101      32        900    Shares                X                 1        900   0        0
BUCKEYE
PARTNERS LP
UNIT LTD P     COMMON STOCK 118230101       2         50    Shares                         X        1         50   0        0
BUCKEYE
PARTNERS LP
UNIT LTD P     COMMON STOCK 118230101     232       6500    Shares                X                 2       6000   0      500
BUCKLE
INCORPORATED   COMMON STOCK 118440106      42       1325    Shares                X                 1       1325   0        0
BUCKLE
INCORPORATED   COMMON STOCK 118440106     780      24425    Shares                X                 3      24425   0        0
BUCYRUS
INTERNATIONAL
INC            COMMON STOCK 118759109     116       7650    Shares                X                 1       7650   0        0
BUCYRUS
INTERNATIONAL
INC            COMMON STOCK 118759109       7        449    Shares                X                 3        449   0        0
BUFFALO WILD
WINGS          COMMON       119848109     129       3538    Shares                X                 3       3538   0        0
BURGER KING
HOLDINGS INC   COMMON STOCK 121208201     338      14749    Shares                X                 1      14749   0        0


                                    9 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
BURGER KING
HOLDINGS INC   COMMON STOCK 121208201    1922      83808    Shares                X                 3      83808   0        0
BURLINGTON
NORTHERN
SANTA FE C     COMMON STOCK 12189T104    3667      60970    Shares                X                 1      59474   0     1496
BURLINGTON
NORTHERN
SANTA FE C     COMMON STOCK 12189T104     696      11570    Shares                         X        1       9450   0     2120
BURLINGTON
NORTHERN
SANTA FE C     COMMON STOCK 12189T104    1307      21748    Shares                X                 3      20349   0     1399
CBL &
ASSOCIATES
PROPERTIES     COMMON STOCK 124830100       0        169    Shares                X                 1          0   0        0
CBS CORP CL B  COMMON STOCK 124857202      18       4618    Shares                X                 1       4618   0        0
CBS CORP CL B  COMMON STOCK 124857202      14       3630    Shares                         X        1       3305   0      325
CBS CORP CL B  COMMON STOCK 124857202      25       6400    Shares                X                 3       6400   0        0
CB RICHARD
ELLIS GROUP
INC-A          COMMON STOCK 12497T101      94      23400    Shares                X                 2      13400   0    10000
CB RICHARD
ELLIS GROUP
INC-A          COMMON STOCK 12497T101     548     136100    Shares                X                 3     136100   0        0
CF INDUSTRIES
HOLDINGS INC   COMMON STOCK 125269100      27        375    Shares                X                 1        375   0        0
CH ENERGY
GROUP INC COM  COMMON STOCK 12541M102      70       1500    Shares                X                 1       1400   0      100
CH ENERGY
GROUP INC COM  COMMON STOCK 12541M102     141       3000    Shares                         X        1       3000   0        0
CH ROBINSON
WORLDWIDE INC  COMMON STOCK 12541W209     277       6072    Shares                X                 1       6072   0        0
CH ROBINSON
WORLDWIDE INC  COMMON STOCK 12541W209       5        100    Shares                         X        1        100   0        0
CH ROBINSON
WORLDWIDE INC  COMMON STOCK 12541W209    1375      30142    Shares                X                 3      30142   0        0
CIGNA CORP     COMMON STOCK 125509109     115       6555    Shares                X                 1       6555   0        0
CIGNA CORP     COMMON STOCK 125509109     170       9660    Shares                         X        1       9660   0        0
CIGNA CORP     COMMON STOCK 125509109     142       8100    Shares                X                 3       8100   0        0
CIT GROUP INC  COMMON STOCK 125581108     190      66634    Shares                X                 1      66634   0        0
CIT GROUP INC  COMMON STOCK 125581108      26       9025    Shares                         X        1       9025   0        0
CIT GROUP INC  COMMON STOCK 125581108      26       9030    Shares                X                 3       6155   0     2875
CIT GROUP INC  COMMON STOCK 125581108       1        250    Shares                X                 4        250   0        0
CME GROUP INC  COMMON STOCK 12572Q105      14         58    Shares                X                 1         58   0        0
CME GROUP INC  COMMON STOCK 12572Q105      28        114    Shares                         X        1        114   0        0
CMS ENERGY
CORP COM       COMMON STOCK 125896100       2        160    Shares                X                 3        160   0        0
CNOOC LTD -ADR COMMON STOCK 126132109      30        300    Shares                         X        1        300   0        0
CSX CORP       COMMON STOCK 126408103     963      37259    Shares                X                 1      37259   0        0
CSX CORP       COMMON STOCK 126408103     882      34104    Shares                         X        1      29904   0     4200
CSX CORP       COMMON STOCK 126408103      13        512    Shares                X                 2          0   0      512
CSX CORP       COMMON STOCK 126408103      52       2000    Shares                X                 3       2000   0        0
CVS /CAREMARK
CORP           COMMON STOCK 126650100    4273     155435    Shares                X                 1     152135   0     3300
CVS /CAREMARK
CORP           COMMON STOCK 126650100    1499      54530    Shares                         X        1      53746   0      784
CVS /CAREMARK
CORP           COMMON STOCK 126650100     554      20140    Shares                X                 2          0   0    20140
CVS /CAREMARK
CORP           COMMON STOCK 126650100      73       2657    Shares                X                 3       2657   0        0
CV
THERAPEUTICS
INC            COMMON STOCK 126667104     108       5425    Shares                X                 1       5425   0        0
CV
THERAPEUTICS
INC            COMMON STOCK 126667104     621      31250    Shares                X                 3      31250   0        0
CA INC         COMMON STOCK 12673P105     130       7393    Shares                X                 1       7393   0        0
CABOT CORP     COMMON       127055101      25       2400    Shares                X                 3       2400   0        0
CABOT OIL &
GAS CORP       COMMON STOCK 127097103      16        675    Shares                X                 3        675   0        0
CADBURY PLC -
SPONS ADR      COMMON STOCK 12721E102       2         64    Shares                X                 1         64   0        0
CADBURY PLC -
SPONS ADR      COMMON STOCK 12721E102      17        572    Shares                X                 3        572   0        0
CAL MAINE
FOODS INC      COMMON       128030202      72       3200    Shares                X                 3       3200   0        0
CALAMOS ASSET
MANAGEMENT
INC-A          COMMON STOCK 12811R104       4        755    Shares                X                 3        755   0        0
CALAMOS
STRATEGIC TOT  PREFERRED
RET FD         STOCK        128125101       3        500    Shares                         X        1          0   0        0
CALLAWAY GOLF
CO COM         COMMON STOCK 131193104       0         23    Shares                X                 1         23   0        0
CAMDEN
PROPERTY
TRUST (REIT)   COMMON STOCK 133131102      27       1265    Shares                X                 1          0   0        0
CAMDEN
PROPERTY
TRUST (REIT)   COMMON STOCK 133131102      10        464    Shares                X                 3          0   0        0
CAMECO
CORPORATION    COMMON STOCK 13321L108      26       1500    Shares                X                 1       1500   0        0
CAMECO
CORPORATION    COMMON STOCK 13321L108       7        424    Shares                X                 3        424   0        0
CAMERON
INTERNATIONAL
CORP           COMMON STOCK 13342B105     305      13925    Shares                X                 1      13425   0      500
CAMERON
INTERNATIONAL
CORP           COMMON STOCK 13342B105      35       1600    Shares                         X        1        600   0     1000
CAMERON
INTERNATIONAL
CORP           COMMON STOCK 13342B105    1114      50800    Shares                X                 3      50800   0        0
CAMPBELL SOUP
CO COM         COMMON STOCK 134429109      63       2300    Shares                X                 1       2300   0        0
CAMPBELL SOUP
CO COM         COMMON STOCK 134429109     142       5200    Shares                         X        1       5200   0        0
CAMPBELL SOUP
CO COM         COMMON STOCK 134429109      27        989    Shares                X                 3        989   0        0
CANADIAN
NATIONAL
RAILWAY COMP   COMMON STOCK 136375102     101       2850    Shares                X                 1       2850   0        0
CANADIAN
NATIONAL
RAILWAY COMP   COMMON STOCK 136375102      19        525    Shares                X                 3        525   0        0
CANADIAN
NATURAL
RESOURCES LTD  COMMON STOCK 136385101       8        218    Shares                X                 1        218   0        0
CANADIAN
NATURAL
RESOURCES LTD  COMMON STOCK 136385101      12        305    Shares                X                 3        305   0        0
CANADIAN
PACIFIC
RAILWAY LTD    COMMON STOCK 13645T100       5        158    Shares                X                 1        158   0        0
CANADIAN
PACIFIC
RAILWAY LTD    COMMON STOCK 13645T100      13        430    Shares                X                 3        430   0        0
CANON INC
SPONS ADR      COMMON STOCK 138006309       0         11    Shares                X                 1         11   0        0
CAPELLA
EDUCATION      COMMON       139594105     207       3915    Shares                X                 3       3915   0        0
CAPLEASE INC   COMMON STOCK 140288101      14       7000    Shares                X                 2          0   0        0
CAPITAL ONE
FINANCIAL CORP COMMON STOCK 14040H105     285      23274    Shares                X                 1      23274   0        0
CAPITAL ONE
FINANCIAL CORP COMMON STOCK 14040H105     387      31620    Shares                         X        1      29670   0     1950


                                   10 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
CAPITAL ONE
FINANCIAL CORP COMMON STOCK 14040H105    1015       82890   Shares                X                 2      39590   0     43300
CAPITAL ONE
FINANCIAL CORP COMMON STOCK 14040H105      43        3489   Shares                X                 3       2056   0      1433
CAPITALSOURCE
INC            COMMON STOCK 14055X102       5        4000   Shares                X                 1       4000   0         0
CAPITALSOURCE
INC            COMMON STOCK 14055X102       2        2000   Shares                         X        1       2000   0         0
CAPITALSOURCE
INC            COMMON STOCK 14055X102    1393     1141800   Shares                X                 2     232400   0    909400
CAPSTEAD
MORTGAGE CV    PREFERRED
PFD $1.26      STOCK        14067E308      65        4950   Shares                X                 1          0   0         0
CARDINAL
HEALTH INC     COMMON STOCK 14149Y108     127        4046   Shares                X                 1       4046   0         0
CARDINAL
HEALTH INC     COMMON STOCK 14149Y108      90        2873   Shares                         X        1       2873   0         0
CARDINAL
HEALTH INC     COMMON STOCK 14149Y108     296        6000   Shares                X                 2       6000   0         0
CARLISLE
COMPANIES INC  COMMON STOCK 142339100      35        1800   Shares                X                 1       1000   0       800
CARLISLE
COMPANIES INC  COMMON STOCK 142339100      79        4000   Shares                         X        1       4000   0         0
CARMAX INC     COMMON STOCK 143130102      12        1000   Shares                X                 1       1000   0         0
CARNIVAL
CORPORATION    COMMON STOCK 143658300    1687       78090   Shares                X                 1      78090   0         0
CARNIVAL
CORPORATION    COMMON STOCK 143658300     254       11750   Shares                         X        1      10750   0      1000
CARNIVAL
CORPORATION    COMMON STOCK 143658300      79        3656   Shares                X                 3       3656   0         0
CARPENTER
TECHNOLOGY
CORP COM       COMMON STOCK 144285103      56        3952   Shares                         X        1       3952   0         0
CARROLLTON
BANCORP        COMMON STOCK 145282109       2         462   Shares                X                 1        462   0         0
CATALYST
HEALTH
SOLUTIONS INC  COMMON STOCK 14888B103       8         400   Shares                X                 1        400   0         0
CATALYST
HEALTH
SOLUTIONS INC  COMMON STOCK 14888B103      50        2500   Shares                X                 2          0   0      2500
CATERPILLAR
INC            COMMON STOCK 149123101    2134       76324   Shares                X                 1      72174   0      4150
CATERPILLAR
INC            COMMON STOCK 149123101     344       12289   Shares                         X        1       9069   0      3220
CATERPILLAR
INC            COMMON STOCK 149123101      99        3536   Shares                X                 2          0   0      3536
CAVCO
INDUSTRIES,
INC.           COMMON STOCK 149568107       1          60   Shares                X                 1         60   0         0
CAVIUM
NETWORKS       COMMON       14965A101     129       11137   Shares                X                 3      11137   0         0
CEDAR FAIR
LTD PTR        COMMON STOCK 150185106       7         750   Shares                X                 1        750   0         0
CELERA
CORPORATION    COMMON STOCK 15100E106       5         600   Shares                X                 1        600   0         0
CELGENE CORP
COM            COMMON STOCK 151020104    1445       32555   Shares                X                 1      31415   0      1140
CELGENE CORP
COM            COMMON STOCK 151020104     157        3545   Shares                         X        1       1945   0      1600
CELGENE CORP
COM            COMMON STOCK 151020104    2092       47117   Shares                X                 3      47117   0         0
CEMEX SAB
SPONS ADR
PART CER       COMMON STOCK 151290889       0          43   Shares                X                 1         43   0         0
CEMEX SAB
SPONS ADR
PART CER       COMMON STOCK 151290889      25        3965   Shares                         X        1       3965   0         0
CENTERPOINT
ENERGY INC     COMMON STOCK 15189T107       4         371   Shares                X                 1        371   0         0
CENTEX CORP    COMMON STOCK 152312104      14        1800   Shares                X                 1       1800   0         0
CENTEX CORP    COMMON STOCK 152312104       3         400   Shares                         X        1        400   0         0
CENTRAIS ELEC
BRAS-ADR PREF  COMMON STOCK 15234Q108      12        1157   Shares                X                 3       1157   0         0
CENTRAIS
ELETRICAS
BRAS-SP ADR    COMMON STOCK 15234Q207       5         430   Shares                X                 3        430   0         0
CENTRAL
EUROPEAN
DISTRIBUTION   COMMON STOCK 153435102       2         218   Shares                X                 1        218   0         0
CENTRAL
EUROPEAN
DISTRIBUTION   COMMON STOCK 153435102       5         450   Shares                X                 3        450   0         0
CENTURYTEL
INC COM        COMMON STOCK 156700106      56        2000   Shares                X                 1       2000   0         0
CEPHALON INC
COM            COMMON STOCK 156708109     122        1787   Shares                X                 1       1787   0         0
CEPHALON INC
COM            COMMON STOCK 156708109    1252       18393   Shares                X                 3      18393   0         0
CEPHEID INC    COMMON STOCK 15670R107      24        3450   Shares                X                 1       3450   0         0
CEPHEID INC    COMMON STOCK 15670R107     523       75700   Shares                X                 3      75700   0         0
CERNER CORP    COMMON STOCK 156782104    4782      108750   Shares                X                 1     108030   0       720
CERNER CORP    COMMON STOCK 156782104     539       12265   Shares                         X        1       9125   0      3140
CERNER CORP    COMMON STOCK 156782104    7154      162710   Shares                X                 2      38650   0    124060
CERNER CORP    COMMON STOCK 156782104    1438       32704   Shares                X                 3      31026   0      1678
CHARLES RIVER
LABS INTL INC
CO             COMMON STOCK 159864107      10         350   Shares                X                 1        350   0         0
CHARLES RIVER
LABS INTL INC
CO             COMMON STOCK 159864107       5         193   Shares                X                 3        193   0         0
THE
CHEESECAKE
FACTORY        COMMON STOCK 163072101      17        1525   Shares                X                 1       1525   0         0
THE
CHEESECAKE
FACTORY        COMMON STOCK 163072101     328       28625   Shares                X                 3      28625   0         0
CHENIERE
ENERGY INC     COMMON STOCK 16411R208      43       10000   Shares                X                 2          0   0     10000
CHESAPEAKE
ENERGY CORP
COM            COMMON STOCK 165167107      32        1900   Shares                X                 1       1900   0         0
CHESAPEAKE
ENERGY CORP
COM            COMMON STOCK 165167107     133        7800   Shares                X                 2          0   0      7800
CHESAPEAKE
ENERGY CORP
COM            COMMON STOCK 165167107      20        1158   Shares                X                 3       1158   0         0
CHESAPEAKE
ENERGY CONV    PREFERRED
PFD 4.5        STOCK        165167842     550        8950   Shares                X                 2          0   0         0
CHESAPEAKE
UTILITIES
CORPORATI      COMMON STOCK 165303108      15         500   Shares                         X        1        500   0         0
CHEVRON CORP   COMMON STOCK 166764100   28121      418211   Shares                X                 1     413475   0      4736
CHEVRON CORP   COMMON STOCK 166764100   15247      226758   Shares                         X        1     213389   0     13369
CHEVRON CORP   COMMON STOCK 166764100    6529       97100   Shares                X                 2      21238   0     75862
CHEVRON CORP   COMMON STOCK 166764100    5132       76319   Shares                X                 3      72548   0      3771
CHEVRON CORP   COMMON STOCK 166764100      10         150   Shares                X                 4        150   0         0
CHICAGO
BRIDGE & IRON
CO N V C       COMMON STOCK 167250109       3         400   Shares                X                 1        400   0         0
CHICAGO
BRIDGE & IRON
CO N V C       COMMON STOCK 167250109       0          25   Shares                         X        1         25   0         0
CHICAGO
BRIDGE & IRON
CO N V C       COMMON STOCK 167250109     212       33785   Shares                X                 2          0   0     33785
CHICOS FAS INC COMMON STOCK 168615102       2         300   Shares                         X        1        300   0         0
CHINA MOBILE
LTD SPON ADR   COMMON STOCK 16941M109      13         300   Shares                         X        1        300   0         0


                                   11 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
CHRISTOPHER &
BANKS CORP     COMMON STOCK 171046105       1        337    Shares                X                 1        337   0         0
CHUBB CORP     COMMON STOCK 171232101     283       6683    Shares                X                 1       6683   0         0
CHUBB CORP     COMMON STOCK 171232101      41        958    Shares                         X        1        958   0         0
CHUBB CORP     COMMON STOCK 171232101    1296      30620    Shares                X                 2          0   0     30620
CHURCH &
DWIGHT CO INC  COMMON STOCK 171340102     241       4617    Shares                X                 1       3917   0       700
CHURCH &
DWIGHT CO INC  COMMON STOCK 171340102     597      11425    Shares                         X        1      11425   0         0
CHURCH &
DWIGHT CO INC  COMMON STOCK 171340102     522      10000    Shares                X                 3      10000   0         0
CIENA CORP     COMMON STOCK 171779309       1        100    Shares                X                 1        100   0         0
CINCINNATI
FINL CORP COM  COMMON STOCK 172062101     732      32015    Shares                X                 1      32015   0         0
CINCINNATI
FINL CORP COM  COMMON STOCK 172062101      80       3481    Shares                         X        1       3481   0         0
CINCINNATI
FINL CORP COM  COMMON STOCK 172062101     111       4857    Shares                X                 2          0   0      4857
CINCINNATI
FINL CORP COM  COMMON STOCK 172062101     101       4425    Shares                X                 3       2574   0      1851
CISCO SYSTEMS
INC            COMMON STOCK 17275R102   12758     760760    Shares                X                 1     744760   0     16000
CISCO SYSTEMS
INC            COMMON STOCK 17275R102    3920     233743    Shares                         X        1     216033   0     17710
CISCO SYSTEMS
INC            COMMON STOCK 17275R102    5109     304662    Shares                X                 2     109792   0    194870
CISCO SYSTEMS
INC            COMMON STOCK 17275R102    3170     189033    Shares                X                 3     181755   0      7278
CISCO SYSTEMS
INC            COMMON STOCK 17275R102      14        850    Shares                X                 4        850   0         0
CITIGROUP INC
COM            COMMON STOCK 172967101     423     167023    Shares                X                 1     163940   0      3083
CITIGROUP INC
COM            COMMON STOCK 172967101     224      88486    Shares                         X        1      83376   0      5110
CITIGROUP INC
COM            COMMON STOCK 172967101     577     228000    Shares                X                 2      79119   0    148881
CITIGROUP INC
COM            COMMON STOCK 172967101      37      14603    Shares                X                 3       9576   0      5027
CITIGROUP INC
COM            COMMON STOCK 172967101       1        400    Shares                X                 4        400   0         0
CITRIX
SYSTEMS INC
COM            COMMON STOCK 177376100     596      26342    Shares                X                 1      23642   0      2700
CITRIX
SYSTEMS INC
COM            COMMON STOCK 177376100      45       2000    Shares                         X        1       1220   0       780
CITRIX
SYSTEMS INC
COM            COMMON STOCK 177376100    1291      57000    Shares                X                 3      57000   0         0
CITY HOLDING
COMPANY        COMMON STOCK 177835105    1051      38509    Shares                X                 1      38509   0         0
CLAYMORE S&P
GLOBAL WATER   PREFERRED
ETF            STOCK        18383Q507       1        100    Shares                         X        1          0   0         0
CLEAN HARBORS
INC            COMMON STOCK 184496107      14        300    Shares                X                 1        300   0         0
CLEAN HARBORS
INC            COMMON STOCK 184496107     352       7325    Shares                X                 3       7325   0         0
CLEAN ENERGY
FUELS
CORPORATION    COMMON STOCK 184499101      32       5175    Shares                X                 1       5175   0         0
CLEAN ENERGY
FUELS
CORPORATION    COMMON STOCK 184499101     683     112125    Shares                X                 3     112125   0         0
CLIFFS
NATURAL
RESOURCES INC  COMMON STOCK 18683K101    1915     105458    Shares                X                 1     104158   0      1300
CLIFFS
NATURAL
RESOURCES INC  COMMON STOCK 18683K101     132       7260    Shares                         X        1       4960   0      2300
CLIFFS
NATURAL
RESOURCES INC  COMMON STOCK 18683K101     786      43235    Shares                X                 3      41695   0      1540
CLOROX COMPANY COMMON STOCK 189054109     389       7552    Shares                X                 1       7552   0         0
CLOROX COMPANY COMMON STOCK 189054109     196       3815    Shares                         X        1       3815   0         0
CLOROX COMPANY COMMON STOCK 189054109     129       2500    Shares                X                 2          0   0      2500
CLOROX COMPANY COMMON STOCK 189054109       7        138    Shares                X                 3        138   0         0
COACH INC      COMMON STOCK 189754104    1291      77295    Shares                X                 1      73795   0      3500
COACH INC      COMMON STOCK 189754104     145       8702    Shares                         X        1       8402   0       300
COACH INC      COMMON STOCK 189754104    1756     105158    Shares                X                 3     103020   0      2138
COCA COLA
BOTTLING CO
CONSOLID       COMMON STOCK 191098102       7        125    Shares                X                 1        125   0         0
COCA COLA CO
COM            COMMON STOCK 191216100   12712     289249    Shares                X                 1     285674   0      3575
COCA COLA CO
COM            COMMON STOCK 191216100    5161     117422    Shares                         X        1     115312   0      2110
COCA COLA CO
COM            COMMON STOCK 191216100     889      20228    Shares                X                 2       5000   0     15228
COCA COLA CO
COM            COMMON STOCK 191216100    2935      66780    Shares                X                 3      62393   0      4387
COCA COLA CO
COM            COMMON STOCK 191216100      11        250    Shares                X                 4        250   0         0
COCA COLA
ENTERPRISES
INC            COMMON STOCK 191219104      16       1177    Shares                X                 1       1177   0         0
COCA COLA
ENTERPRISES
INC            COMMON STOCK 191219104       2        156    Shares                X                 3        156   0         0
COCA-COLA
FEMSA SA DE
CV SPON        COMMON STOCK 191241108       1         16    Shares                X                 1         16   0         0
CODORUS
VALLEY
BANCORP INC    COMMON STOCK 192025104     239      29599    Shares                X                 1      26991   0      2608
CODORUS
VALLEY
BANCORP INC    COMMON STOCK 192025104      76       9398    Shares                         X        1       9398   0         0
COGNIZANT
TECH SOL CORP  COMMON STOCK 192446102      73       3514    Shares                X                 1       3514   0         0
COGNIZANT
TECH SOL CORP  COMMON STOCK 192446102     368      17676    Shares                X                 3      17676   0         0
COGO GROUP INC COMMON STOCK 192448108      24       3625    Shares                X                 1       3625   0         0
COGO GROUP INC COMMON STOCK 192448108     528      79000    Shares                X                 3      79000   0         0
COHERENT INC   COMMON STOCK 192479103       9        510    Shares                X                 3        510   0         0
COHEN &
STEERS
QUALITY INC    PREFERRED
RLT            STOCK        19247L106       6       3000    Shares                X                 1          0   0         0
COHEN &
STEERS
ADVANTAGE INC  PREFERRED
R              STOCK        19247W102       2       1000    Shares                X                 2          0   0         0
COHEN &
STEERS REIT    PREFERRED
AND UTILIT     STOCK        19247Y108       3        600    Shares                X                 2          0   0         0
COHEN &
STEERS SELECT  PREFERRED
UTILITY        STOCK        19248A109       9       1009    Shares                X                 1          0   0         0
COHU
INCORPORATED   COMMON STOCK 192576106       6        800    Shares                X                 1        800   0         0
COINSTAR
INCORPORATED   COMMON STOCK 19259P300      39       1189    Shares                X                 1       1189   0         0
COINSTAR
INCORPORATED   COMMON STOCK 19259P300     762      23250    Shares                X                 3      23250   0         0
COLGATE
PALMOLIVE CO
COM            COMMON STOCK 194162103    5640      95622    Shares                X                 1      95622   0         0
COLGATE
PALMOLIVE CO
COM            COMMON STOCK 194162103    3608      61171    Shares                         X        1      57021   0      4150
COLGATE
PALMOLIVE CO
COM            COMMON STOCK 194162103   11820     200406    Shares                X                 2      64249   0    136157


                                   12 of 49





                                                SEC USE ______________________________________________

                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                  COLUMN 2                       SHARES
                   TITLE              COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
COLGATE
PALMOLIVE CO       COMMON
COM                STOCK   194162103     995      16861    Shares                X                 3      16861   0        0
COLGATE
PALMOLIVE CO       COMMON
COM                STOCK   194162103       6        100    Shares                X                 4        100   0        0
COLLECTORS         COMMON
UNIVERSE INC       STOCK   19421R200       0         55    Shares                X                 1         55   0        0
COMCAST CORP       COMMON
NEW A              STOCK   20030N101    3414     250280    Shares                X                 1     250280   0        0
COMCAST CORP       COMMON
NEW A              STOCK   20030N101     868      63602    Shares                         X        1      60258   0     3344
COMCAST CORP       COMMON
NEW A              STOCK   20030N101     256      18738    Shares                X                 3      13876   0     4862
COMCAST CORP-      COMMON
SPECIAL CL A       STOCK   20030N200      94       7306    Shares                X                 1       7306   0        0
COMCAST CORP-      COMMON
SPECIAL CL A       STOCK   20030N200      85       6598    Shares                         X        1       6298   0      300
COMCAST CORP-      COMMON
SPECIAL CL A       STOCK   20030N200       6        450    Shares                X                 4        450   0        0
COMERICA INC       COMMON
                   STOCK   200340107      75       4101    Shares                X                 1       4101   0        0
COMERICA INC       COMMON
                   STOCK   200340107      37       2000    Shares                X                 2          0   0     2000
COMMERCE
BANCSHARESARES     COMMON
INC                STOCK   200525103       6        176    Shares                X                 3        176   0        0
COMMERCIAL         COMMON
METALS COMPANY     STOCK   201723103     181      15664    Shares                         X        1      15664   0        0
COMMERCIAL NATL    COMMON
FINANCIAL CORP     STOCK   202217105      12        820    Shares                X                 1        820   0        0
COMMSCOPE INC      COMMON
COM                STOCK   203372107       4        378    Shares                X                 3        378   0        0
COMMUNITY BANK     COMMON
SYSTEM INC         STOCK   203607106     377      22500    Shares                X                 1          0   0    22500
COMMUNITY
BANKERS TRUST      COMMON
CORP               STOCK   203612106      39      11455    Shares                X                 2          0   0    11455
COMPANHIA VALE     COMMON
DO RIO DOCE SPO    STOCK   204412100      23       2000    Shares                X                 1       2000   0        0
COMPANHIA VALE     COMMON
DO RIO DOCE-ADR    STOCK   204412209     707      53161    Shares                X                 1      53161   0        0
COMPANHIA VALE     COMMON
DO RIO DOCE-ADR    STOCK   204412209      10        750    Shares                         X        1        750   0        0
COMPANHIA VALE     COMMON
DO RIO DOCE-ADR    STOCK   204412209      43       3257    Shares                X                 3       3257   0        0
COMPANHIA DE
SANEAMENTO         COMMON
BASICO             STOCK   20441A102       1         50    Shares                X                 1         50   0        0
COMPUTER TASK      COMMON
GROUP              STOCK   205477102     203      58750    Shares                X                 1      58750   0        0
COMPUWARE CORP     COMMON
                   STOCK   205638109       3        513    Shares                X                 1        513   0        0
COMPUWARE CORP     COMMON
                   STOCK   205638109      10       1500    Shares                         X        1       1500   0        0
COMSTOCK RES INC   COMMON  205768203     137       4581    Shares                X                 3       4581   0        0
CONAGRA FOODS      COMMON
INC                STOCK   205887102      44       2634    Shares                X                 1       2634   0        0
CONAGRA FOODS      COMMON
INC                STOCK   205887102      80       4754    Shares                         X        1       4754   0        0
CONAGRA FOODS      COMMON
INC                STOCK   205887102       6        377    Shares                X                 3        377   0        0
CON-WAY INC        COMMON
                   STOCK   205944101       9        500    Shares                X                 1        500   0        0
CON-WAY INC        COMMON
                   STOCK   205944101       7        400    Shares                X                 2          0   0      400
CONCHO             COMMON
RESOURCES INC      STOCK   20605P101      29       1125    Shares                X                 1       1125   0        0
CONCHO             COMMON
RESOURCES INC      STOCK   20605P101     743      29020    Shares                X                 3      29020   0        0
CONCUR
TECHNOLOGIES       COMMON
INCORPORAT         STOCK   206708109      15        765    Shares                X                 3        765   0        0
CONOCOPHILLIPS     COMMON
                   STOCK   20825C104    9407     240210    Shares                X                 1     236535   0     3675
CONOCOPHILLIPS     COMMON
                   STOCK   20825C104    3021      77140    Shares                         X        1      71053   0     6087
CONOCOPHILLIPS     COMMON
                   STOCK   20825C104     280       7143    Shares                X                 2          0   0     7143
CONOCOPHILLIPS     COMMON
                   STOCK   20825C104     452      11544    Shares                X                 3       8679   0     2865
CONOCOPHILLIPS     COMMON
                   STOCK   20825C104      13        344    Shares                X                 4        344   0        0
CONSOL ENERGY      COMMON
INC                STOCK   20854P109     794      31451    Shares                X                 1      31041   0      410
CONSOL ENERGY      COMMON
INC                STOCK   20854P109      21        850    Shares                         X        1          0   0      850
CONSOL ENERGY      COMMON
INC                STOCK   20854P109     841      33321    Shares                X                 3      33321   0        0
CONSOLIDATED       COMMON
EDISON INC COM     STOCK   209115104     181       4582    Shares                X                 1       4582   0        0
CONSOLIDATED       COMMON
EDISON INC COM     STOCK   209115104     120       3024    Shares                         X        1       3024   0        0
CONSOLIDATED-      COMMON
TOMOKA LAND CO     STOCK   210226106       9        300    Shares                X                 1        300   0        0
CONSTANT
CONTACT            COMMON  210313102     141      10113    Shares                X                 3      10113   0        0
CONSTELLATION      COMMON
BRANDS INC CL A    STOCK   21036P108      11        955    Shares                X                 1        955   0        0
CONSTELLATION      COMMON
BRANDS INC CL A    STOCK   21036P108       9        770    Shares                         X        1        770   0        0
CONSTELLATION      COMMON
BRANDS INC CL A    STOCK   21036P108     957      38200    Shares                X                 2      38200   0        0
CONSTELLATION      COMMON
ENERGY GROUP INC   STOCK   210371100    1385      67046    Shares                X                 1      64625   0     2421
CONSTELLATION      COMMON
ENERGY GROUP INC   STOCK   210371100    1297      62778    Shares                         X        1      62778   0        0
CONSTELLATION      COMMON
ENERGY GROUP INC   STOCK   210371100      29       1414    Shares                X                 3       1414   0        0
CONTINENTAL RES    COMMON  212015101       2        100    Shares                X                 3        100   0        0
CORINTHIAN
COLLEGES           COMMON  218868107     253      12984    Shares                X                 3      12984   0        0
CORN PRODS INTL    COMMON
INC COM            STOCK   219023108      95       4488    Shares                         X        1       4488   0        0
CORNING INC        COMMON
                   STOCK   219350105    2828     213137    Shares                X                 1     212087   0     1050
CORNING INC        COMMON
                   STOCK   219350105     622      46880    Shares                         X        1      42310   0     4570
CORNING INC        COMMON
                   STOCK   219350105     905      68200    Shares                X                 2          0   0    68200
CORNING INC        COMMON
                   STOCK   219350105     773      58196    Shares                X                 3      55885   0     2311
CORNING INC        COMMON
                   STOCK   219350105       4        300    Shares                X                 4        300   0        0
CORTEX
PHARMACEUTICALS    COMMON
INC                STOCK   220524300       0       1390    Shares                         X        1       1390   0        0
COSTCO
WHOLESALE CORP     COMMON
COM                STOCK   22160K105     436       9418    Shares                X                 1       9418   0        0
COSTCO
WHOLESALE CORP     COMMON
COM                STOCK   22160K105     236       5100    Shares                         X        1       5100   0        0
COSTCO
WHOLESALE CORP     COMMON
COM                STOCK   22160K105     218       4700    Shares                X                 2          0   0     4700
COUGAR
BIOTECHNOLOGY      COMMON
INC                STOCK   222083107      24        750    Shares                X                 1        750   0        0
COUGAR
BIOTECHNOLOGY      COMMON
INC                STOCK   222083107     541      16800    Shares                X                 3      16800   0        0
COVANCE INC COM    COMMON
                   STOCK   222816100      58       1617    Shares                X                 1       1617   0        0


                                   13 of 49





                                               SEC USE ______________________________________________

                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2                        SHARES
                 TITLE               COLUMN 4     OR      SHARES   PUT                         COLUMN 7
NAME OF            OF     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER           CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------         --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
COVANCE INC     COMMON
COM             STOCK     222816100      46       1283    Shares                         X        1       1283   0         0
COVANCE INC     COMMON
COM             STOCK     222816100      12        340    Shares                X                 3        340   0         0
COVENTRY
HEALTH CARE     COMMON
INC             STOCK     222862104       9        700    Shares                X                 1        700   0         0
COVENTRY
HEALTH CARE     COMMON
INC             STOCK     222862104    2402     185653    Shares                X                 2      61758   0    123895
COVENTRY
HEALTH CARE     COMMON
INC             STOCK     222862104       0         24    Shares                X                 3         24   0         0
CRANE CO        COMMON
                STOCK     224399105     135       8000    Shares                         X        1       8000   0         0
CRAY INC        COMMON
                STOCK     225223304       0         75    Shares                X                 1         75   0         0
CREDIT
SUISSE
GROUP           COMMON
SPONSORED       STOCK     225401108      15        500    Shares                X                 1        500   0         0
CREE
RESEARCH        COMMON
INC COM         STOCK     225447101      18        750    Shares                         X        1          0   0       750
CROSS
TIMBERS
ROYALTY         COMMON
TRUST           STOCK     22757R109       0          1    Shares                X                 1          0   0         0
CROSSTEX        COMMON
ENERGY LP       STOCK     22765U102       2       1200    Shares                X                 2          0   0      1200
CROWN           COMMON
HOLDINGS INC    STOCK     228368106     273      12024    Shares                X                 1      12024   0         0
CROWN           COMMON
HOLDINGS INC    STOCK     228368106    1620      71275    Shares                X                 3      71275   0         0
CUISINE
SOLUTIONS       COMMON
INC             STOCK     229904107       7      12578    Shares                X                 2          0   0     12578
CUMMINS INC     COMMON
COM             STOCK     231021106    1458      57283    Shares                X                 1      55883   0      1400
CUMMINS INC     COMMON
COM             STOCK     231021106      96       3775    Shares                         X        1       2025   0      1750
CUMMINS INC     COMMON
COM             STOCK     231021106    2722     106959    Shares                X                 3     105638   0      1321
CURRENCY

SHARESARES-EURO PREFERRED
CURRENCY T      STOCK     23130C108      10         72    Shares                X                 3          0   0         0
CURTISS         COMMON
WRIGHT CORP     STOCK     231561101      45       1622    Shares                X                 1       1622   0         0
CURTISS         COMMON
WRIGHT CORP     STOCK     231561101      20        728    Shares                X                 2          0   0       728
CUTERA INC      COMMON
                STOCK     232109108       3        400    Shares                X                 1        400   0         0
CYBERSOURCE     COMMON
CORP            STOCK     23251J106      21       1425    Shares                X                 1       1425   0         0
CYBERSOURCE     COMMON
CORP            STOCK     23251J106     453      30575    Shares                X                 3      30575   0         0
CYPRESS
BIOSCIENCE      COMMON
INC             STOCK     232674507      38       5300    Shares                X                 1       5300   0         0
CYPRESS
BIOSCIENCE      COMMON
INC             STOCK     232674507     701      98605    Shares                X                 3      98605   0         0
D&E
COMMUNICATIONS  COMMON
INC             STOCK     232860106       2        300    Shares                X                 1        300   0         0
DCP
MIDSTREAM       COMMON
PARTNERS LP     STOCK     23311P100      14       1000    Shares                X                 2          0   0      1000
DCT
INDUSTRIAL
TRUST INC -     COMMON
REI             STOCK     233153105       5       1515    Shares                X                 3          0   0         0
DNB
FINANCIAL       COMMON
CORPORATION     STOCK     233237106      13       1878    Shares                X                 1       1878   0         0
DNP SELECT
INCOME FUND     PREFERRED
INC             STOCK     23325P104      20       2928    Shares                X                 1          0   0         0
DNP SELECT
INCOME FUND     PREFERRED
INC             STOCK     23325P104       7       1000    Shares                         X        1          0   0         0
DPL INC         COMMON
                STOCK     233293109      89       3955    Shares                X                 1       3955   0         0
DPL INC         COMMON
                STOCK     233293109      15        668    Shares                         X        1        668   0         0
DPL INC         COMMON
                STOCK     233293109      13        586    Shares                X                 3        586   0         0
DTE ENERGY      COMMON
CO              STOCK     233331107     180       6514    Shares                X                 1       6514   0         0
DTE ENERGY      COMMON
CO              STOCK     233331107      54       1962    Shares                         X        1       1651   0       311
DTE ENERGY      COMMON
CO              STOCK     233331107       8        300    Shares                X                 3        300   0         0
DTS INC         COMMON    23335C101     383      15916    Shares                X                 3      15916   0         0
DWS
MUNICIPAL       PREFERRED
INCOME TRUST    STOCK     23338M106      13       1400    Shares                         X        1          0   0         0
DWS
STRATEGIC
MUNICIPAL       PREFERRED
INCOME          STOCK     23338T101      14       1500    Shares                X                 1          0   0         0
DANAHER         COMMON
CORP COM        STOCK     235851102     701      12936    Shares                X                 1      12936   0         0
DANAHER         COMMON
CORP COM        STOCK     235851102     117       2155    Shares                         X        1       1585   0       570
DANAHER         COMMON
CORP COM        STOCK     235851102    4738      87390    Shares                X                 2      26105   0     61285
DARDEN
RESTAURANTS     COMMON
INC COM         STOCK     237194105     599      17487    Shares                X                 1      17487   0         0
DARDEN
RESTAURANTS     COMMON
INC COM         STOCK     237194105     219       6403    Shares                         X        1       6403   0         0
DARDEN
RESTAURANTS     COMMON
INC COM         STOCK     237194105     298       8700    Shares                X                 3       8700   0         0
DAVITA INC
WITH
ATTACHED        COMMON
RIGHT           STOCK     23918K108       7        150    Shares                         X        1          0   0       150
DEAN FOODS      COMMON
CO              STOCK     242370104      24       1302    Shares                X                 3       1302   0         0
DEERE & CO      COMMON
                STOCK     244199105    1158      35215    Shares                X                 1      34615   0       600
DEERE & CO      COMMON
                STOCK     244199105     219       6660    Shares                         X        1       5174   0      1486
DEERE & CO      COMMON
                STOCK     244199105     118       3600    Shares                X                 3       3600   0         0
DEL MONTE       COMMON
FOODS CO        STOCK     24522P103       2        223    Shares                X                 1        223   0         0
DEL MONTE       COMMON
FOODS CO        STOCK     24522P103      13       1736    Shares                         X        1       1736   0         0
DELL INC        COMMON
                STOCK     24702R101     299      31508    Shares                X                 1      31508   0         0
DELL INC        COMMON
                STOCK     24702R101     160      16865    Shares                         X        1      14665   0      2200
DELL INC        COMMON
                STOCK     24702R101       1        100    Shares                X                 2          0   0       100
DELL INC        COMMON
                STOCK     24702R101      20       2057    Shares                X                 3       2057   0         0
DELPHI FINL
GROUP INC       COMMON
COM             STOCK     247131105       6        470    Shares                X                 3        470   0         0
DELTA AIR       COMMON
LINES INC       STOCK     247361702      14       2511    Shares                X                 1       2511   0         0
DELTA
PETROLEUM       COMMON
CORP            STOCK     247907207      19      15500    Shares                         X        1      15500   0         0
DENBURY
RESOURCES       COMMON
INCORPORATED    STOCK     247916208     171      11516    Shares                X                 1      11516   0         0
DENBURY
RESOURCES       COMMON
INCORPORATED    STOCK     247916208     880      59234    Shares                X                 3      59234   0         0
DELUXE
CORPORATION     COMMON    248019101     118      12300    Shares                X                 3      12300   0         0
DENTSPLY
INTERNATIONAL   COMMON
INC COM         STOCK     249030107    1185      44146    Shares                X                 1      43946   0       200
DENTSPLY
INTERNATIONAL   COMMON
INC COM         STOCK     249030107     243       9050    Shares                         X        1       9050   0         0
DENTSPLY
INTERNATIONAL   COMMON
INC COM         STOCK     249030107     983      36614    Shares                X                 3      36614   0         0

POWERSHARESARES
DB
COMMODITY       PREFERRED
DBL L           STOCK     25154H475      12       2000    Shares                X                 1          0   0         0


                                   14 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
DEUTSCHE
TELEKOM AG
SPONSORED      COMMON STOCK 251566105       6        505    Shares                X                 1        505   0        0
DEV
DIVERSIFIED
RLTY CORP      COMMON STOCK 251591103       5       2581    Shares                X                 1          0   0        0
DEV
DIVERSIFIED
RLTY CORP      COMMON STOCK 251591103       1        600    Shares                         X        1          0   0        0
DEVON ENERGY
CORP           COMMON STOCK 25179M103    1804      40378    Shares                X                 1      39952   0      426
DEVON ENERGY
CORP           COMMON STOCK 25179M103     115       2579    Shares                         X        1       2579   0        0
DEVON ENERGY
CORP           COMMON STOCK 25179M103      49       1100    Shares                X                 2          0   0     1100
DEVON ENERGY
CORP           COMMON STOCK 25179M103    1342      30025    Shares                X                 3      30025   0        0
DEVRY INC      COMMON STOCK 251893103      29        606    Shares                X                 1        606   0        0
DEVRY INC      COMMON STOCK 251893103      20        420    Shares                X                 3        420   0        0
DIAGEO PLC
SPONSORED ADR  COMMON STOCK 25243Q205     226       5044    Shares                X                 1       5044   0        0
DIAGEO PLC
SPONSORED ADR  COMMON STOCK 25243Q205      18        400    Shares                         X        1        400   0        0
DIAGEO PLC
SPONSORED ADR  COMMON STOCK 25243Q205      42        945    Shares                X                 3        945   0        0
DIAMOND
OFFSHARESORE
DRILLING COM   COMMON STOCK 25271C102       4         65    Shares                X                 1         65   0        0
DIAMONDS TR
UNIT SER 1     COMMON STOCK 252787106     190       2500    Shares                X                 1       2500   0        0
DIAMONDS TR
UNIT SER 1     COMMON STOCK 252787106     325       4285    Shares                X                 2          0   0     4285
DICKS
SPORTING
GOODS INC      COMMON STOCK 253393102       5        380    Shares                X                 3        380   0        0
DIEBOLD INC    COMMON STOCK 253651103       2         90    Shares                X                 1         90   0        0
DIEBOLD INC    COMMON STOCK 253651103       7        350    Shares                         X        1        350   0        0
DIGITAL
REALTY TRUST
INC            COMMON STOCK 253868103      24        723    Shares                X                 1          0   0        0
DIGITAL
REALTY TRUST
INC            COMMON STOCK 253868103     523      15746    Shares                X                 3      15300   0        0
DIGITAL RIVER
INC            COMMON STOCK 25388B104      35       1175    Shares                X                 1       1175   0        0
DIGITAL RIVER
INC            COMMON STOCK 25388B104     782      26220    Shares                X                 3      26220   0        0
DIONEX CORP    COMMON STOCK 254546104     657      13900    Shares                X                 2          0   0    13900
THE DIRECTV
GROUP INC      COMMON STOCK 25459L106      56       2454    Shares                X                 1       2405   0       49
THE DIRECTV
GROUP INC      COMMON STOCK 25459L106      33       1448    Shares                         X        1       1448   0        0
THE DIRECTV
GROUP INC      COMMON STOCK 25459L106      39       1693    Shares                X                 3       1693   0        0
DISNEY WALT CO COMMON STOCK 254687106    4143     228161    Shares                X                 1     225811   0     2350
DISNEY WALT CO COMMON STOCK 254687106    1605      88370    Shares                         X        1      82445   0     5925
DISNEY WALT CO COMMON STOCK 254687106     530      29200    Shares                X                 2          0   0    29200
DISNEY WALT CO COMMON STOCK 254687106      74       4062    Shares                X                 3       2506   0     1556
DISNEY WALT CO COMMON STOCK 254687106       8        425    Shares                X                 4        425   0        0
DISCOVER
FINANCIAL
SERVICES       COMMON STOCK 254709108      13       2092    Shares                X                 1       2092   0        0
DISCOVER
FINANCIAL
SERVICES       COMMON STOCK 254709108       3        521    Shares                         X        1        365   0      156
DISCOVERY
COMMUNICATIONS
INC            COMMON STOCK 25470F104      12        734    Shares                X                 1        734   0        0
DISCOVERY
COMMUNICATIONS
INC            COMMON STOCK 25470F104      20       1224    Shares                         X        1       1224   0        0
DISCOVERY
COMMUNICATIONS
INC -          COMMON STOCK 25470F203      16        936    Shares                         X        1        936   0        0
DISCOVERY
COMMUNICATIONS
INC -          COMMON STOCK 25470F302      11        734    Shares                X                 1        734   0        0
DISCOVERY
COMMUNICATIONS
INC -          COMMON STOCK 25470F302      32       2160    Shares                         X        1       2160   0        0
DISHARES
NETWORK CORP
CL A           COMMON STOCK 25470M109     331      29750    Shares                X                 3      29750   0        0
DOLBY
LABORATORIES
INC CL A       COMMON STOCK 25659T107     441      12932    Shares                X                 1      12932   0        0
DOLBY
LABORATORIES
INC CL A       COMMON STOCK 25659T107     116       3400    Shares                X                 2          0   0     3400
DOLBY
LABORATORIES
INC CL A       COMMON STOCK 25659T107    1729      50715    Shares                X                 3      50715   0        0
DOLLAR
FINANCIAL CORP COMMON STOCK 256664103     118      12400    Shares                X                 1      12400   0        0
DOLLAR
FINANCIAL CORP COMMON STOCK 256664103    1025     107600    Shares                X                 3     107600   0        0
DOLLAR TREE
INC            COMMON STOCK 256746108       1         15    Shares                X                 1         15   0        0
DOLLAR TREE
INC            COMMON STOCK 256746108      14        307    Shares                         X        1        307   0        0
DOMINION
RESOURCES
BLACK WARRI    COMMON STOCK 25746Q108      35       2300    Shares                X                 1       2300   0        0
DOMINION
RESOURCES INC  COMMON STOCK 25746U109    3184     102752    Shares                X                 1     101177   0     1575
DOMINION
RESOURCES INC  COMMON STOCK 25746U109    2182      70411    Shares                         X        1      60825   0     9586
DOMINION
RESOURCES INC  COMMON STOCK 25746U109      93       3000    Shares                X                 2          0   0     3000
DONNELLEY R R
& SONS CO      COMMON STOCK 257867101      18       2480    Shares                X                 1       2480   0        0
DONNELLEY R R
& SONS CO      COMMON STOCK 257867101      26       3566    Shares                         X        1       3566   0        0
DONNELLEY R R
& SONS CO      COMMON STOCK 257867101      37       5080    Shares                X                 2          0   0     5080
DONNELLEY R R
& SONS CO      COMMON STOCK 257867101      27       3700    Shares                X                 3       3700   0        0
DOUGLAS
EMMETT INC     COMMON STOCK 25960P109       2        245    Shares                X                 3          0   0        0
DOVER CORP     COMMON STOCK 260003108     582      22050    Shares                X                 1      22050   0        0
DOVER CORP     COMMON STOCK 260003108     425      16107    Shares                         X        1      16107   0        0
DOW CHEMICAL
CO             COMMON STOCK 260543103    1120     132899    Shares                X                 1     127424   0     5475
DOW CHEMICAL
CO             COMMON STOCK 260543103     542      64324    Shares                         X        1      64049   0      275
DOW CHEMICAL
CO             COMMON STOCK 260543103     749      88900    Shares                X                 2      35150   0    53750
DOW CHEMICAL
CO             COMMON STOCK 260543103      39       4600    Shares                X                 3       4600   0        0
DOW 30
PREMIUM & DVD  PREFERRED
INC FD IN      STOCK        260582101      62       5000    Shares                X                 1          0   0        0
DR PEPPER
SNAPPLE GROUP
INC            COMMON STOCK 26138E109       1         48    Shares                X                 1         48   0        0
DREAMWORKS
ANIMATION SKG
INC-A          COMMON STOCK 26153C103       1         27    Shares                X                 1         27   0        0
DRESSER-RAND
GROUP INC      COMMON STOCK 261608103      11        518    Shares                X                 1        518   0        0
DREYFUS
MUNICIPAL      PREFERRED
INCOME FUND    STOCK        26201R102      51       7200    Shares                         X        1          0   0        0
DREYFUS
STRATEGIC MUN  PREFERRED
BD FD          STOCK        26202F107     175      27602    Shares                X                 1          0   0        0


                                   15 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
DREYFUS
STRATEGIC MUN  PREFERRED
BD FD          STOCK        26202F107      44       7000    Shares                         X        1          0   0         0
DRIL-QUIP INC  COMMON STOCK 262037104      16        525    Shares                X                 1        525   0         0
DRIL-QUIP INC  COMMON STOCK 262037104     361      11766    Shares                X                 3      11766   0         0
DUPONT EI DE
NEMOURS & CO
COM            COMMON STOCK 263534109    3001     134402    Shares                X                 1     133152   0      1250
DUPONT EI DE
NEMOURS & CO
COM            COMMON STOCK 263534109    3532     158192    Shares                         X        1     153892   0      4300
DUPONT EI DE
NEMOURS & CO
COM            COMMON STOCK 263534109     914      40934    Shares                X                 2      15436   0     25498
DUPONT EI DE
NEMOURS & CO
COM            COMMON STOCK 263534109      36       1600    Shares                X                 3       1600   0         0
DUPONT EI DE
NEMOURS & CO
COM            COMMON STOCK 263534109       2        100    Shares                X                 4        100   0         0
DUKE REALTY
CORP           COMMON STOCK 264411505       7       1275    Shares                X                 1          0   0         0
DUKE REALTY
CORP           COMMON STOCK 264411505      35       6400    Shares                         X        1          0   0         0
DUKE REALTY
CORP           COMMON STOCK 264411505      43       7747    Shares                X                 2          0   0         0
DUKE ENERGY
CORP           COMMON STOCK 26441C105     600      41916    Shares                X                 1      34916   0      7000
DUKE ENERGY
CORP           COMMON STOCK 26441C105     527      36769    Shares                         X        1      33469   0      3300
DUKE ENERGY
CORP           COMMON STOCK 26441C105      74       5184    Shares                X                 3       5184   0         0
DUN &
BRADSTREET
CORP           COMMON STOCK 26483E100      52        681    Shares                X                 1        581   0       100
DUN &
BRADSTREET
CORP           COMMON STOCK 26483E100      64        836    Shares                         X        1        836   0         0
DYCOM
INDUSTRIES INC COMMON STOCK 267475101       7       1220    Shares                X                 3       1220   0         0
EMC CORP MASS
COM            COMMON STOCK 268648102    3691     323757    Shares                X                 1     321357   0      2400
EMC CORP MASS
COM            COMMON STOCK 268648102     708      62112    Shares                         X        1      55967   0      6145
EMC CORP MASS
COM            COMMON STOCK 268648102    5754     504709    Shares                X                 2     173934   0    330775
EMC CORP MASS
COM            COMMON STOCK 268648102     198      17369    Shares                X                 3      13464   0      3905
ENSCO
INTERNATIONAL
INC COM        COMMON STOCK 26874Q100    2858     108261    Shares                X                 1     105261   0      3000
ENSCO
INTERNATIONAL
INC COM        COMMON STOCK 26874Q100     321      12170    Shares                         X        1       9625   0      2545
ENSCO
INTERNATIONAL
INC COM        COMMON STOCK 26874Q100     146       5517    Shares                X                 3       3283   0      2234
ENI SPA-SPONS
ADR            COMMON STOCK 26874R108       1         14    Shares                X                 1         14   0         0
ENI SPA-SPONS
ADR            COMMON STOCK 26874R108       8        212    Shares                X                 2          0   0       212
EOG RESOURCES
INC COM        COMMON STOCK 26875P101    2558      46722    Shares                X                 1      46122   0       600
EOG RESOURCES
INC COM        COMMON STOCK 26875P101     268       4885    Shares                         X        1       2945   0      1940
EOG RESOURCES
INC COM        COMMON STOCK 26875P101    1255      22911    Shares                X                 3      21675   0      1236
EPIQ SYSTEMS
INC            COMMON STOCK 26882D109      59       3250    Shares                X                 1       3250   0         0
EPIQ SYSTEMS
INC            COMMON STOCK 26882D109    1286      71325    Shares                X                 3      71325   0         0
EQT
CORPORATION    COMMON STOCK 26884L109     384      12250    Shares                X                 1      12250   0         0
EQT
CORPORATION    COMMON STOCK 26884L109     141       4500    Shares                         X        1       4500   0         0
EQT
CORPORATION    COMMON STOCK 26884L109       6        199    Shares                X                 3        199   0         0
EAGLE BANCORP
INC MD         COMMON STOCK 268948106     651     104178    Shares                X                 2      16750   0     87428
EV ENERGY
PARTNER LP     COMMON STOCK 26926V107      17       1200    Shares                X                 2          0   0      1200
EXCO
RESOURCES INC  COM          269279402      96       9567    Shares                X                 3       9567   0         0
EAGLE
MATERIALS INC
COM W RIGH     COMMON STOCK 26969P108       8        345    Shares                X                 1        345   0         0
EASTGROUP
PROPERTIES
INCORPORA      COMMON STOCK 277276101    2199      78350    Shares                X                 2          0   0         0
EASTGROUP
PROPERTIES
INCORPORA      COMMON STOCK 277276101       2         63    Shares                X                 3          0   0         0
EASTMAN
CHEMICAL
COMPANY COM    COMMON STOCK 277432100      30       1127    Shares                X                 1       1127   0         0
EASTMAN
CHEMICAL
COMPANY COM    COMMON STOCK 277432100      23        872    Shares                         X        1        372   0       500
EASTMAN KODAK
CO COM         COMMON STOCK 277461109       6       1520    Shares                X                 1       1520   0         0
EASTMAN KODAK
CO COM         COMMON STOCK 277461109      11       2935    Shares                         X        1       2935   0         0
EATON CORP COM COMMON STOCK 278058102     265       7178    Shares                X                 1       7178   0         0
EATON CORP COM COMMON STOCK 278058102      11        300    Shares                         X        1        300   0         0
EATON CORP COM COMMON STOCK 278058102       4         97    Shares                X                 3         97   0         0
EATON VANCE
CORP           COMMON STOCK 278265103       5        230    Shares                X                 1        230   0         0
EATON VANCE
CORP           COMMON STOCK 278265103      18        805    Shares                X                 3        805   0         0
EATON VANCE    PREFERRED
PA MUNI INC TR STOCK        27826T101      50       5000    Shares                         X        1          0   0         0
EATON VANCE
MUNICIPAL      PREFERRED
INCOME T       STOCK        27826U108      47       5000    Shares                         X        1          0   0         0
EATON VANCE
FLOATING-RATE  PREFERRED
INC            STOCK        278279104      30       3633    Shares                X                 1          0   0         0
EATON VANCE
TAX-ADVANTAGED PREFERRED
DVD            STOCK        27828G107      33       3750    Shares                X                 1          0   0         0
EATON VANCE
TAX-ADVANTAGED PREFERRED
DVD            STOCK        27828G107      35       3900    Shares                         X        1          0   0         0
EATON VANCE
SR FLOATING    PREFERRED
RATE F         STOCK        27828Q105      35       4200    Shares                X                 1          0   0         0
EATON VANCE
TAX-MANAGED    PREFERRED
GLOBAL         STOCK        27829F108     254      29511    Shares                X                 2          0   0         0
EBAY INC COM   COMMON STOCK 278642103     262      20863    Shares                X                 1      20863   0         0
EBAY INC COM   COMMON STOCK 278642103      46       3645    Shares                         X        1       3645   0         0
EBAY INC COM   COMMON STOCK 278642103      19       1500    Shares                X                 2          0   0      1500
ECOLAB INC COM COMMON STOCK 278865100     950      27350    Shares                X                 1      27350   0         0
ECOLAB INC COM COMMON STOCK 278865100      69       2000    Shares                         X        1       2000   0         0
EDISON
INTERNATIONAL
COM            COMMON STOCK 281020107      21        727    Shares                X                 1        727   0         0
EDISON
INTERNATIONAL
COM            COMMON STOCK 281020107      12        400    Shares                         X        1        400   0         0
EDISON
INTERNATIONAL
COM            COMMON STOCK 281020107       9        314    Shares                X                 3        314   0         0
EDWARDS
LIFESCIENCES
CORP COM       COMMON STOCK 28176E108      89       1464    Shares                X                 1       1464   0         0
EDWARDS
LIFESCIENCES
CORP COM       COMMON STOCK 28176E108      61       1000    Shares                         X        1       1000   0         0
EDWARDS
LIFESCIENCES
CORP COM       COMMON STOCK 28176E108       7        119    Shares                X                 3        119   0         0


                                   16 of 49





                                                   SEC USE ______________________________________________

                                                                                   COLUMN 6                       COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                   ------------------------ ----------------------          ---------------------
                    COLUMN 2                        SHARES
                     TITLE               COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                       OF     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER       CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------      --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
EL PASO CORP COM    COMMON
                    STOCK     28336L109      20        3261   Shares                X                 1        3261   0         0
EL PASO CORP COM    COMMON
                    STOCK     28336L109      17        2648   Shares                         X        1        2648   0         0
EL PASO CORP COM    COMMON
                    STOCK     28336L109      94       15000   Shares                X                 2           0   0     15000
ELECTRONICS ARTS    COMMON
COM                 STOCK     285512109     931       51204   Shares                X                 1       51104   0       100
ELECTRONICS ARTS    COMMON
COM                 STOCK     285512109     102        5625   Shares                         X        1        4425   0      1200
ELECTRONICS ARTS    COMMON
COM                 STOCK     285512109      60        3274   Shares                X                 3        1820   0      1454
EMBARQ CORP         COMMON
                    STOCK     29078E105       3          82   Shares                X                 1          17   0        65
EMBARQ CORP         COMMON
                    STOCK     29078E105       9         248   Shares                         X        1         248   0         0
EMBARQ CORP         COMMON
                    STOCK     29078E105     248        6563   Shares                X                 3        6563   0         0
EMERGENT            COMMON
BIOSOLUTIONS INC    STOCK     29089Q105       1         100   Shares                X                 2           0   0       100
EMERSON ELECTRIC    COMMON
CO                  STOCK     291011104    5955      208366   Shares                X                 1      206966   0      1400
EMERSON ELECTRIC    COMMON
CO                  STOCK     291011104    3513      122909   Shares                         X        1      109179   0     13730
EMERSON ELECTRIC    COMMON
CO                  STOCK     291011104    2943      102990   Shares                X                 2       19500   0     83490
EMERSON ELECTRIC    COMMON
CO                  STOCK     291011104     170        5960   Shares                X                 3        3594   0      2366
EMPIRE DISTRICT     COMMON
ELECTRIC CO         STOCK     291641108       7         500   Shares                X                 1         500   0         0
ENCANA CORP         COMMON
                    STOCK     292505104      29         722   Shares                X                 1         722   0         0
ENDEAVOUR           COMMON
INTERNATIONAL CORP  STOCK     29259G101       1        1000   Shares                         X        1        1000   0         0
ENERGY CONVERSION   COMMON
DEVICES INC         STOCK     292659109       3         190   Shares                X                 1         190   0         0
ENERGY CONVERSION   COMMON
DEVICES INC         STOCK     292659109       3         200   Shares                         X        1         200   0         0
ENERGIZER HLDGS     COMMON
INC COM             STOCK     29266R108      55        1100   Shares                X                 1        1100   0         0
ENERGIZER HLDGS     COMMON
INC COM             STOCK     29266R108       5         100   Shares                         X        1         100   0         0
ENERGIZER HLDGS     COMMON
INC COM             STOCK     29266R108       1          26   Shares                X                 3          26   0         0
ENERGY TRANSFER     COMMON
PARTNERS LP         STOCK     29273R109      37        1000   Shares                         X        1        1000   0         0
ENERGY TRANSFER     COMMON
PARTNERS LP         STOCK     29273R109      26         700   Shares                X                 2           0   0       700
ENERGY TRANSFER     COMMON
EQUITY LP           STOCK     29273V100      23        1100   Shares                X                 2           0   0      1100
ENERPLUS            COMMON
RESOURCES FUND      STOCK     29274D604      10         600   Shares                X                 1         600   0         0
ENERPLUS            COMMON
RESOURCES FUND      STOCK     29274D604      52        3205   Shares                         X        1        3205   0         0
ENTERGY CORP COM    COMMON
NEW                 STOCK     29364G103     849       12474   Shares                X                 1       12474   0         0
ENTERGY CORP COM    COMMON
NEW                 STOCK     29364G103     142        2080   Shares                         X        1        2080   0         0
ENTERGY CORP COM    COMMON
NEW                 STOCK     29364G103      16         232   Shares                X                 3         232   0         0
ENTERPRISE GP       COMMON
HOLDINGS LP         STOCK     293716106      23        1000   Shares                X                 2           0   0      1000
ENTERPRISE
PRODUCTS PARTNERS   COMMON
L                   STOCK     293792107      48        2150   Shares                X                 1        2150   0         0
ENTERPRISE
PRODUCTS PARTNERS   COMMON
L                   STOCK     293792107      70        3132   Shares                         X        1        3132   0         0
ENTERPRISE
PRODUCTS PARTNERS   COMMON
L                   STOCK     293792107    3800      170785   Shares                X                 2       22685   0    148100
ENVIRONMENTAL       COMMON
POWER CORP          STOCK     29406L201       0         100   Shares                X                 1         100   0         0
EQUIFAX INC COM     COMMON
                    STOCK     294429105      66        2716   Shares                         X        1        2716   0         0
EQUINIX INC         COMMON
                    STOCK     29444U502      28         500   Shares                X                 1         500   0         0
EQUINIX INC         COMMON
                    STOCK     29444U502     721       12846   Shares                X                 3       12846   0         0
EQUITY ONE          COMMON
INCORPORATED        STOCK     294752100      10         800   Shares                X                 1           0   0         0
EQUITY              COMMON
RESIDENTIAL (REIT)  STOCK     29476L107       5         250   Shares                X                 1           0   0         0
EQUITY              COMMON
RESIDENTIAL (REIT)  STOCK     29476L107      66        3600   Shares                         X        1           0   0         0
EQUITY              COMMON
RESIDENTIAL (REIT)  STOCK     29476L107       5         250   Shares                X                 2           0   0         0
EQUITY              COMMON
RESIDENTIAL (REIT)  STOCK     29476L107      18         954   Shares                X                 3           0   0         0

TELEFONAKTIEBOLAGET COMMON
LM ERICSSO          STOCK     294821608       8         986   Shares                X                 1         986   0         0

TELEFONAKTIEBOLAGET COMMON
LM ERICSSO          STOCK     294821608      19        2400   Shares                         X        1        2400   0         0

TELEFONAKTIEBOLAGET COMMON
LM ERICSSO          STOCK     294821608      10        1190   Shares                X                 3        1190   0         0
ERIE INDEMNITY CO   COMMON
CL A                STOCK     29530P102    2788       81576   Shares                X                 1       81576   0         0
ESSEX PROPERTY      COMMON
TRUST INC (REIT     STOCK     297178105      12         209   Shares                X                 3           0   0         0
DELHAIZE GROUP      COMMON
SPONSORED ADR       STOCK     29759W101       6         100   Shares                X                 1         100   0         0
EVERGREEN INCOME    PREFERRED
ADV FD              STOCK     30023Y105      12        2000   Shares                X                 1           0   0         0
EVERGREEN ENERGY    COMMON
INC                 STOCK     30024B104      28       20000   Shares                X                 2           0   0     20000
EVERGREEN SOLAR     COMMON
INC                 STOCK     30033R108       0         200   Shares                X                 1         200   0         0
EVERGREEN SOLAR     COMMON
INC                 STOCK     30033R108      21       10000   Shares                X                 2           0   0     10000
EXELON CORP         COMMON
                    STOCK     30161N101    3947       86957   Shares                X                 1       86107   0       850
EXELON CORP         COMMON
                    STOCK     30161N101     983       21667   Shares                         X        1       21217   0       450
EXPEDIA INC         COMMON
                    STOCK     30212P105       3         300   Shares                         X        1         300   0         0
EXPEDITORS INTL     COMMON
WASHARES INC COM    STOCK     302130109     316       11170   Shares                X                 1       11170   0         0
EXPEDITORS INTL     COMMON
WASHARES INC COM    STOCK     302130109    1605       56738   Shares                X                 3       56738   0         0
EXPRESS-1
EXPEDITED           COMMON
SOLUTIONS           STOCK     30217Q108       1         800   Shares                X                 1         800   0         0
EXPRESS SCRIPTS     COMMON
INC                 STOCK     302182100    9624      208443   Shares                X                 1      204243   0      4200
EXPRESS SCRIPTS     COMMON
INC                 STOCK     302182100    2321       50265   Shares                         X        1       46975   0      3290
EXPRESS SCRIPTS     COMMON
INC                 STOCK     302182100    1852       40116   Shares                X                 3       37621   0      2495
EXXON MOBIL CORP    COMMON
                    STOCK     30231G102   73118     1073682   Shares                X                 1     1062628   0     11054
EXXON MOBIL CORP    COMMON
                    STOCK     30231G102   56464      829131   Shares                         X        1      751469   0     77662
EXXON MOBIL CORP    COMMON
                    STOCK     30231G102    6236       91564   Shares                X                 2       14638   0     76926
EXXON MOBIL CORP    COMMON
                    STOCK     30231G102   12009      176337   Shares                X                 3      170771   0      5566
EXXON MOBIL CORP    COMMON
                    STOCK     30231G102      20         300   Shares                X                 4         300   0         0


                                   17 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          ------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                
FLIR SYSTEMS
INC            COMMON STOCK 302445101     104       5075    Shares                X                 1      5075   0        0
FLIR SYSTEMS
INC            COMMON STOCK 302445101     887      43300    Shares                X                 3     43300   0        0
FMC
TECHNOLOGIES
INC COM        COMMON STOCK 30249U101     158       5025    Shares                X                 1      5025   0        0
FMC
TECHNOLOGIES
INC COM        COMMON STOCK 30249U101    1007      32100    Shares                X                 3     32100   0        0
FNB CORP PA    COMMON STOCK 302520101      54       7034    Shares                X                 1      7034   0        0
FNB CORP PA    COMMON STOCK 302520101     160      20921    Shares                         X        1     16014   0     4907
FPL GROUP INC
COM            COMMON STOCK 302571104    4598      90630    Shares                X                 1     90555   0       75
FPL GROUP INC
COM            COMMON STOCK 302571104    2892      57008    Shares                         X        1     48266   0     8742
FPL GROUP INC
COM            COMMON STOCK 302571104      15        300    Shares                X                 4       300   0        0
FTI CONSULTING COMMON STOCK 302941109     161       3267    Shares                X                 3      3267   0        0
FACTSET
RESEARCH
SYSTEMS INC    COMMON STOCK 303075105       1         10    Shares                X                 1        10   0        0
FACTSET
RESEARCH
SYSTEMS INC    COMMON STOCK 303075105      45        900    Shares                         X        1       900   0        0
FAIRPOINT
COMMUNICATIONS
INC            COMMON STOCK 305560104       1        813    Shares                X                 1       812   0        1
FAIRPOINT
COMMUNICATIONS
INC            COMMON STOCK 305560104       1        671    Shares                         X        1       671   0        0
FAMILY DOLLAR
STORES         COMMON STOCK 307000109      29        875    Shares                X                 1       875   0        0
FAMILY DOLLAR
STORES         COMMON STOCK 307000109       3         75    Shares                         X        1        75   0        0
FAMILY DOLLAR
STORES         COMMON STOCK 307000109     281       8400    Shares                X                 3      8400   0        0
FASTENAL CO    COMMON STOCK 311900104     142       4417    Shares                X                 1      4417   0        0
FASTENAL CO    COMMON STOCK 311900104      38       1175    Shares                         X        1      1175   0        0
FASTENAL CO    COMMON STOCK 311900104     939      29196    Shares                X                 3     29196   0        0
FREDDIE MAC    COMMON STOCK 313400301       0        140    Shares                X                 1       140   0        0
FREDDIE MAC    COMMON STOCK 313400301       0        250    Shares                         X        1       250   0        0
FREDDIE MAC    COMMON STOCK 313400301      82     108690    Shares                X                 2     31952   0    76738
FED NATL MTG
ASSN COM       COMMON STOCK 313586109       3       3965    Shares                X                 1      3965   0        0
FED NATL MTG
ASSN COM       COMMON STOCK 313586109       6       9092    Shares                         X        1      7092   0     2000
FED NATL MTG
ASSN COM       COMMON STOCK 313586109      66      94193    Shares                X                 2     19100   0    75093
FEDERAL
REALTY INV TR
(REIT)         COMMON STOCK 313747206      37        800    Shares                X                 1         0   0        0
FEDERAL
REALTY INV TR
(REIT)         COMMON STOCK 313747206      40        860    Shares                         X        1         0   0        0
FEDERAL
REALTY INV TR
(REIT)         COMMON STOCK 313747206     313       6800    Shares                X                 2         0   0        0
FEDERAL
REALTY INV TR
(REIT)         COMMON STOCK 313747206      19        423    Shares                X                 3         0   0        0
FEDEX CORP COM COMMON STOCK 31428X106    1092      24555    Shares                X                 1     22830   0     1725
FEDEX CORP COM COMMON STOCK 31428X106     179       4015    Shares                         X        1      3240   0      775
FEDEX CORP COM COMMON STOCK 31428X106      91       2050    Shares                X                 2         0   0     2050
FEDEX CORP COM COMMON STOCK 31428X106     562      12657    Shares                X                 3     12657   0        0
FERRELLGAS
PARTNERS LP    COMMON STOCK 315293100      27       2000    Shares                X                 1      2000   0        0
FERRELLGAS
PARTNERS LP    COMMON STOCK 315293100      13       1000    Shares                         X        1      1000   0        0
F5 NETWORKS
INC            COMMON STOCK 315616102     789      37681    Shares                X                 1     37681   0        0
F5 NETWORKS
INC            COMMON STOCK 315616102      47       2265    Shares                         X        1      2265   0        0
F5 NETWORKS
INC            COMMON STOCK 315616102     981      46813    Shares                X                 3     45191   0     1622
FIDELITY NATL
INFORMATION
SERV           COMMON STOCK 31620M106      25       1372    Shares                X                 1      1372   0        0
FIDELITY NATL
INFORMATION
SERV           COMMON STOCK 31620M106      14        748    Shares                         X        1       748   0        0
FIDELITY
NATIONAL
FINANCIAL -    COMMON STOCK 31620R105       7        374    Shares                X                 1       374   0        0
FIDELITY
NATIONAL
FINANCIAL -    COMMON STOCK 31620R105      14        735    Shares                         X        1       735   0        0
FIDELITY
NATIONAL
FINANCIAL -    COMMON STOCK 31620R105      28       1441    Shares                X                 2         0   0     1441
FIFTH THIRD
BANCORP COM    COMMON STOCK 316773100      31      10736    Shares                X                 1     10736   0        0
FIFTH THIRD
BANCORP COM    COMMON STOCK 316773100       6       2037    Shares                         X        1      2037   0        0
FIFTH THIRD
BANCORP COM    COMMON STOCK 316773100     208      71281    Shares                X                 2         0   0    71281
FIFTH THIRD
BANCORP COM    COMMON STOCK 316773100       1        455    Shares                X                 3       455   0        0
FIRST
COMMUNITY
BANK CORP OF A COMMON STOCK 31985E202      27       6615    Shares                X                 2         0   0     6615
FIRST HORIZON
NATIONAL CORP  COMMON STOCK 320517105      11        998    Shares                X                 1       998   0        0
FIRST HORIZON
NATIONAL CORP  COMMON STOCK 320517105       1        104    Shares                         X        1       104   0        0
FIRST
INDUSTRIAL
REALTY TR (RE  COMMON STOCK 32054K103       4       1817    Shares                X                 1         0   0        0
THE FIRST
MARBLEHEAD
CORPORATI      COMMON STOCK 320771108      96      74625    Shares                X                 2     40575   0    34050
FIRST MARINER
BANCORP
INCORPOR       COMMON STOCK 320795107       2       3000    Shares                         X        1      3000   0        0
FIRST NIAGARA
FINANCIAL
GROUP          COMMON STOCK 33582V108       3        292    Shares                X                 1       292   0        0
FIRST NIAGARA
FINANCIAL
GROUP          COMMON STOCK 33582V108       2        225    Shares                         X        1       225   0        0
FIRST SOLAR
INC            COMMON STOCK 336433107     388       2921    Shares                X                 1      2921   0        0
FIRST SOLAR
INC            COMMON STOCK 336433107      13        100    Shares                X                 2         0   0      100
FIRST SOLAR
INC            COMMON STOCK 336433107     669       5043    Shares                X                 3      5043   0        0
FIRST STATE
FINANCIAL
CORP FLO       COMMON STOCK 33708M206       3       3253    Shares                X                 1      3253   0        0
FIRST TRUST
ABERDEEN       PREFERRED
GLOBAL         STOCK        337319107       5        500    Shares                X                 1         0   0        0
FISERV INC     COMMON STOCK 337738108      82       2255    Shares                X                 1      2255   0        0
FISERV INC     COMMON STOCK 337738108       9        250    Shares                         X        1        50   0      200
FISERV INC     COMMON STOCK 337738108    1597      43800    Shares                X                 2      6500   0    37300
FIRSTENERGY
CORP COM       COMMON STOCK 337932107     295       7642    Shares                X                 1      7642   0        0
FIRSTENERGY
CORP COM       COMMON STOCK 337932107      78       2026    Shares                         X        1      2026   0        0
FIRSTENERGY
CORP COM       COMMON STOCK 337932107      46       1200    Shares                X                 2         0   0     1200


                                   18 of 49





                                                   SEC USE ______________________________________________

                                                                                   COLUMN 6                       COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                   ------------------------ ----------------------          --------------------
                   COLUMN 2                         SHARES
                    TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                      OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                   
FIRSTENERGY
CORP COM         COMMON STOCK 337932107       7        182    Shares                X                 3        182     0       0
FIVE STAR
QUALITY CARE
INC              COMMON STOCK 33832D106       0         10    Shares                         X        1          0     0      10
FLANDERS
CORPORATION      COMMON STOCK 338494107    2389     591506    Shares                X                 2     225306     0  366200
FLEXIBLE
SOLUTIONS
INTERNATION      COMMON STOCK 33938T104       0        250    Shares                X                 1        250     0       0
FLUOR CORP       COMMON STOCK 343412102     231       6680    Shares                X                 1       6680     0       0
FLUOR CORP       COMMON STOCK 343412102     114       3300    Shares                         X        1       3300     0       0
FLOWERS FOODS
INC COM          COMMON STOCK 343498101      12        500    Shares                X                 1        500     0       0
FLOWERS FOODS
INC COM          COMMON STOCK 343498101     106       4530    Shares                X                 2          0     0    4530
FLOWERS FOODS
INC COM          COMMON STOCK 343498101      13        570    Shares                X                 3        570     0       0
FLOWSERVE
CORP COM         COMMON STOCK 34354P105      34        607    Shares                X                 1        607     0       0
FORD MOTOR CO    COMMON STOCK 345370860      14       5356    Shares                X                 1       5356     0       0
FORD MOTOR CO    COMMON STOCK 345370860       8       3229    Shares                         X        1       2766     0     463
FORD MOTOR CO    COMMON STOCK 345370860     162      14283    Shares                X                 2      14283     0       0
FOREST CITY
ENTERPRISES
INC              COMMON STOCK 345550107       4       1000    Shares                X                 2          0     0    1000
FOREST LABS
INC COM          COMMON STOCK 345838106    1146      52171    Shares                X                 1      52171     0       0
FOREST LABS
INC COM          COMMON STOCK 345838106      52       2360    Shares                         X        1       2360     0       0
FOREST LABS
INC COM          COMMON STOCK 345838106    1363      62073    Shares                X                 3      61145     0     928
FOREST OIL
CORP             COMMON STOCK 346091705       7        500    Shares                X                 1        500     0       0
FORESTAR
GROUP INC        COMMON STOCK 346233109       0         42    Shares                X                 1         42     0       0
FORTUNE
BRANDS INC       COMMON STOCK 349631101     301      12263    Shares                X                 1      12263     0       0
FORTUNE
BRANDS INC       COMMON STOCK 349631101     181       7389    Shares                         X        1       7282     0     107
FORTUNE
BRANDS INC       COMMON STOCK 349631101       6        250    Shares                X                 2          0     0     250
FORTUNE
BRANDS INC       COMMON STOCK 349631101      30       1197    Shares                X                 3       1197     0       0
FOSTER LB
COMPANY CLASS
A                COMMON STOCK 350060109      21        850    Shares                X                 1        850     0       0
FOSTER LB
COMPANY CLASS
A                COMMON STOCK 350060109     454      18300    Shares                X                 3      18300     0       0
FOUNDATION
COAL HOLDINGS
INC              COMMON STOCK 35039W100      23       1575    Shares                X                 1       1575     0       0
FOUNDATION
COAL HOLDINGS
INC              COMMON STOCK 35039W100     491      34225    Shares                X                 3      34225     0       0
FRANCE
TELECOM
SA-SPONS ADR     COMMON STOCK 35177Q105       2         70    Shares                X                 1         70     0       0
FRANKLIN
RESOURCES INC    COMMON STOCK 354613101      23        425    Shares                X                 1        425     0       0
FRANKLIN
RESOURCES INC    COMMON STOCK 354613101      13        250    Shares                         X        1        250     0       0
FRANKLIN
RESOURCES INC    COMMON STOCK 354613101       4         77    Shares                X                 3         77     0       0

FREEPORT-MCMORAN
CPR & GLD INC    COMMON STOCK 35671D857     757      19866    Shares                X                 1      19766     0     100

FREEPORT-MCMORAN
CPR & GLD INC    COMMON STOCK 35671D857     136       3575    Shares                         X        1       3575     0       0

FREEPORT-MCMORAN
CPR & GLD INC    COMMON STOCK 35671D857     961      25209    Shares                X                 3      25209     0       0
FRONTEER
DEVELOPMENT
GROUP INC        COMMON STOCK 35903Q106       1        500    Shares                X                 1        500     0       0
FRONTIER
COMMUNICATIONS
CORP             COMMON STOCK 35906A108      50       7000    Shares                X                 1       7000     0       0
FRONTIER
COMMUNICATIONS
CORP             COMMON STOCK 35906A108      38       5250    Shares                         X        1       3500     0    1750
FRONTIER
COMMUNICATIONS
CORP             COMMON STOCK 35906A108      23       3200    Shares                X                 2          0     0    3200
FRONTIER
COMMUNICATIONS
CORP             COMMON STOCK 35906A108      26       3600    Shares                X                 3       3600     0       0
FUELCELL
ENERGY INC       COMMON STOCK 35952H106      35      14550    Shares                X                 1      14550     0       0
FUELCELL
ENERGY INC       COMMON STOCK 35952H106     763     317825    Shares                X                 3     317825     0       0
FUEL SYSTEMS
SOLUTIONS INC    COMMON STOCK 35952W103       3        250    Shares                X                 1        250     0       0
FUJIFILM
HOLDINGS
CORP--ADR        COMMON STOCK 35958N107      22        992    Shares                X                 3        992     0       0
FULL HOUSE
RESORTS INC      COMMON STOCK 359678109       1        500    Shares                X                 1        500     0       0
FULTON
FINANCIAL COR    COMMON       360271100    1124     169546    Shares                X                 1     169546     0       0
FULTON
FINANCIAL COR    COMMON       360271100     367      55360    Shares                         X        1      53218  1800     342
FULTON
FINANCIAL COR    COMMON       360271100      66      10000    Shares                X                 3      10000     0       0
FULTON
FINANCIAL COR    COMMON       360271100    2601     392282    Shares         X                              392282     0       0
GABELLI          PREFERRED
EQUITY TRUST     STOCK        362397101       5       1509    Shares                X                 1          0     0       0
GALLAGHER
ARTHUR J. & CO   COMMON STOCK 363576109      17       1000    Shares                X                 1       1000     0       0
GAMESTOP
CORP--CLASS A    COMMON STOCK 36467W109    1802      64325    Shares                X                 1      63845     0     480
GAMESTOP
CORP--CLASS A    COMMON STOCK 36467W109    2777      99140    Shares                X                 3      99140     0       0
GANNETT CO INC   COMMON STOCK 364730101      16       7061    Shares                X                 1       7061     0       0
GANNETT CO INC   COMMON STOCK 364730101      13       5850    Shares                         X        1       5850     0       0
GAP INC COM      COMMON STOCK 364760108      23       1750    Shares                X                 1       1750     0       0
GAP INC COM      COMMON STOCK 364760108      91       7000    Shares                         X        1       7000     0       0
GAP INC COM      COMMON STOCK 364760108     158      12148    Shares                X                 3      12148     0       0
GEN-PROBE INC    COMMON STOCK 36866T103     128       2800    Shares                X                 1       2800     0       0
GEN-PROBE INC    COMMON STOCK 36866T103     766      16800    Shares                X                 3      16800     0       0
GENCORP INC      COMMON STOCK 368682100       1        645    Shares                X                 1        645     0       0
GENENTECH INC    COMMON STOCK 368710406    1496      15755    Shares                X                 1      15430     0     325
GENENTECH INC    COMMON STOCK 368710406     321       3375    Shares                         X        1       3375     0       0
GENERAL
AMERICAN         PREFERRED
INVESTORS CO     STOCK        368802104      28       1829    Shares                X                 2          0     0       0
GENERAL
COMMUNICATIONS
INC CLA          COMMON STOCK 369385109       1        200    Shares                X                 2          0     0     200
GENERAL
DYNAMICS CORP
COM              COMMON STOCK 369550108    2128      51161    Shares                X                 1      51161     0       0
GENERAL
DYNAMICS CORP
COM              COMMON STOCK 369550108     519      12475    Shares                         X        1      12475     0       0
GENERAL
DYNAMICS CORP
COM              COMMON STOCK 369550108      15        357    Shares                X                 2          0     0     357


                                   19 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          ---------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                   
GENERAL
DYNAMICS CORP
COM             COMMON STOCK 369550108      21         500   Shares                X                 3         500   0         0
GENERAL
ELECTRIC
COMPANY         COMMON STOCK 369604103   18282     1808341   Shares                X                 1     1781449   0     26892
GENERAL
ELECTRIC
COMPANY         COMMON STOCK 369604103   15484     1531583   Shares                         X        1     1458831   0     72752
GENERAL
ELECTRIC
COMPANY         COMMON STOCK 369604103    8503      841049   Shares                X                 2      185609   0    655440
GENERAL
ELECTRIC
COMPANY         COMMON STOCK 369604103    1271      125723   Shares                X                 3      114473   0     11250
GENERAL
ELECTRIC
COMPANY         COMMON STOCK 369604103       6         550   Shares                X                 4         550   0         0
GENERAL
GROWTH PPTYS
INC             COMMON STOCK 370021107       7       10191   Shares                X                 2           0   0         0
GENERAL MILLS
INC             COMMON STOCK 370334104    3052       61188   Shares                X                 1       61188   0         0
GENERAL MILLS
INC             COMMON STOCK 370334104    1371       27490   Shares                         X        1       27290   0       200
GENERAL MILLS
INC             COMMON STOCK 370334104     100        2000   Shares                X                 2           0   0      2000
GENERAL MILLS
INC             COMMON STOCK 370334104      99        1979   Shares                X                 3        1979   0         0
GENERAL MILLS
INC             COMMON STOCK 370334104       7         150   Shares                X                 4         150   0         0
GENERAL
MOTORS CORP
COM             COMMON STOCK 370442105       4        2030   Shares                X                 1        1630   0       400
GENERAL
MOTORS CORP
COM             COMMON STOCK 370442105       5        2384   Shares                         X        1        2236   0       148
GENERAL
MOTORS CORP
COM             COMMON STOCK 370442105       2        1000   Shares                X                 2           0   0      1000
GENERAL
MOTORS CORP     PREFERRED
PFD 5.25%       STOCK        370442733       1         200   Shares                X                 1           0   0         0
GENESIS LEASE
LTD-ADS         COMMON STOCK 37183T107       1         500   Shares                X                 1         500   0         0
GENESIS
ENERGY LP       COMMON STOCK 371927104      20        2000   Shares                X                 2           0   0      2000
GENUINE PARTS
INC             COMMON STOCK 372460105     112        3750   Shares                X                 1        3750   0         0
GENUINE PARTS
INC             COMMON STOCK 372460105     187        6250   Shares                         X        1        6250   0         0
GENUINE PARTS
INC             COMMON STOCK 372460105     278        9300   Shares                X                 2        7300   0      2000
GENWORTH
FINANCIAL
INC--CL A       COMMON STOCK 37247D106       0          85   Shares                X                 1          85   0         0
GEOEYE INC      COMMON STOCK 37250W108      17         870   Shares                X                 3         870   0         0
GENZYME CORP
COM             COMMON STOCK 372917104    1360       22892   Shares                X                 1       22317   0       575
GENZYME CORP
COM             COMMON STOCK 372917104     128        2160   Shares                         X        1        1860   0       300
GERON CORP      COMMON STOCK 374163103       1         300   Shares                X                 1         300   0         0
GIBRALTAR
INDUSTRIES INC  COMMON STOCK 374689107      12        2500   Shares                X                 1           0   0      2500
GILEAD
SCIENCES INC
COM             COMMON STOCK 375558103    4726      102031   Shares                X                 1      100981   0      1050
GILEAD
SCIENCES INC
COM             COMMON STOCK 375558103     669       14435   Shares                         X        1       12115   0      2320
GILEAD
SCIENCES INC
COM             COMMON STOCK 375558103    2198       47440   Shares                X                 3       45083   0      2357
GLADSTONE
CAPITAL CORP    COMMON STOCK 376535100      31        5000   Shares                X                 1        5000   0         0
GLADSTONE
CAPITAL CORP    COMMON STOCK 376535100    3049      487015   Shares                X                 2      128705   0    358310
GLADSTONE
COMMERCIAL
CORP            COMMON STOCK 376536108      36        4000   Shares                X                 1           0   0         0
GLADSTONE
COMMERCIAL
CORP            COMMON STOCK 376536108    3503      394460   Shares                X                 2           0   0         0
GLATFELTER      COMMON STOCK 377316104     192       30825   Shares                X                 1       30825   0         0
GLATFELTER      COMMON STOCK 377316104      20        3258   Shares                         X        1        3258   0         0

GLAXOSMITHKLINE
PLC ADR         COMMON STOCK 37733W105     650       20933   Shares                X                 1       20023   0       910

GLAXOSMITHKLINE
PLC ADR         COMMON STOCK 37733W105    1004       32326   Shares                         X        1       26826   0      5500

GLAXOSMITHKLINE
PLC ADR         COMMON STOCK 37733W105      69        2227   Shares                X                 2           0   0      2227
GLOBAL
PAYMENTS INC    COMMON STOCK 37940X102     147        4400   Shares                X                 1        4400   0         0
GLOBAL
PAYMENTS INC    COMMON STOCK 37940X102    1270       38040   Shares                X                 3       38040   0         0
GOLD FIELDS
LIMITED ADR     COMMON STOCK 38059T106       3         250   Shares                X                 1         250   0         0
GOLD FIELDS
LIMITED ADR     COMMON STOCK 38059T106      43        3792   Shares                X                 3        3792   0         0
GOLDMAN SACHS
GROUP INC COM   COMMON STOCK 38141G104    3566       33637   Shares                X                 1       32377   0      1260
GOLDMAN SACHS
GROUP INC COM   COMMON STOCK 38141G104     875        8256   Shares                         X        1        7501   0       755
GOLDMAN SACHS
GROUP INC COM   COMMON STOCK 38141G104      70         660   Shares                X                 2           0   0       660
GOLDMAN SACHS
GROUP INC COM   COMMON STOCK 38141G104    3565       33630   Shares                X                 3       33178   0       452
GOODRICH CORP   COMMON STOCK 382388106      44        1150   Shares                X                 1        1150   0         0
GOODRICH CORP   COMMON STOCK 382388106     877       23125   Shares                X                 3       23125   0         0
GOODYEAR
TIRE & RUBBER
CO              COMMON STOCK 382550101       1         100   Shares                         X        1         100   0         0
GOOGLE INC CL
A               COMMON STOCK 38259P508    7161       20573   Shares                X                 1       20283   0       290
GOOGLE INC CL
A               COMMON STOCK 38259P508     578        1660   Shares                         X        1        1245   0       415
GOOGLE INC CL
A               COMMON STOCK 38259P508   12245       35180   Shares                X                 2       10475   0     24705
GOOGLE INC CL
A               COMMON STOCK 38259P508    4498       12925   Shares                X                 3       12587   0       338
GRACO INC COM   COMMON STOCK 384109104     110        6439   Shares                X                 1        6439   0         0
GRACO INC COM   COMMON STOCK 384109104      13         750   Shares                         X        1         750   0         0
GRACO INC COM   COMMON STOCK 384109104     626       36661   Shares                X                 3       36661   0         0
GRAFTECH
INTERNATIONAL
LTD             COMMON STOCK 384313102       2         405   Shares                X                 1         405   0         0
W W GRAINGER
INC COM         COMMON STOCK 384802104     407        5800   Shares                X                 1        5800   0         0
W W GRAINGER
INC COM         COMMON STOCK 384802104     182        2600   Shares                         X        1        2600   0         0
W W GRAINGER
INC COM         COMMON STOCK 384802104      70        1000   Shares                X                 2           0   0      1000
GRANITE
CONSTRUCTION
INCORPORA       COMMON STOCK 387328107      64        1700   Shares                X                 1        1700   0         0
GRANITE
CONSTRUCTION
INCORPORA       COMMON STOCK 387328107     852       22725   Shares                X                 3       22725   0         0
GREAT PLAINS
ENERGY INC      COMMON STOCK 391164100      10         770   Shares                X                 1         770   0         0
GREAT PLAINS
ENERGY INC      COMMON STOCK 391164100      11         850   Shares                         X        1         850   0         0
GREATER CHINA   PREFERRED
FUND INC        STOCK        39167B102       5         631   Shares                X                 1           0   0         0
GREATER CHINA   PREFERRED
FUND INC        STOCK        39167B102       1         150   Shares                         X        1           0   0         0


                                   20 of 49





                                                   SEC USE ______________________________________________

                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                   COLUMN 2                         SHARES
                    TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                      OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
GREEN MTN
COFFEE RO        COMMON       393122106      86       1795    Shares                X                 3       1795   0        0
GREENBRIER
COMPANIES INC    COMMON STOCK 393657101      22       6000    Shares                X                 2          0   0     6000
GREENBRIER
COS CONV
2.375% 5         OTHER        393657AD3     188     500000    Shares                X                 2          0   0        0
GUARANTY
FINANCIAL
GROUP            COMMON STOCK 40108N106       0         42    Shares                X                 1         42   0        0
THE GYMBOREE
CORPORATION      COMMON STOCK 403777105      23       1075    Shares                X                 1       1075   0        0
THE GYMBOREE
CORPORATION      COMMON STOCK 403777105     372      17425    Shares                X                 3      17425   0        0
HCC INS HLDGS
INC COM          COMMON STOCK 404132102     198       7859    Shares                X                 1       7859   0        0
HCC INS HLDGS
INC COM          COMMON STOCK 404132102    1301      51616    Shares                X                 3      51616   0        0
HCP
INCORPORATED
REITS            COMMON STOCK 40414L109      18       1000    Shares                X                 1          0   0        0
HCP
INCORPORATED
REITS            COMMON STOCK 40414L109       5        300    Shares                         X        1          0   0        0
HCP
INCORPORATED
REITS            COMMON STOCK 40414L109      59       3316    Shares                X                 2          0   0        0
HCP
INCORPORATED
REITS            COMMON STOCK 40414L109      14        771    Shares                X                 3          0   0        0
HMS HOLDINGS
CORP             COMMON       40425J101     150       4555    Shares                X                 3       4555   0        0
HRPT
PROPERTIES
TRUST (REIT)     COMMON STOCK 40426W101       0        148    Shares                X                 1          0   0        0
HRPT
PROPERTIES
TRUST (REIT)     COMMON STOCK 40426W101       4       1200    Shares                         X        1          0   0        0
HSBC HOLDINGS
PLC SPON ADR     COMMON STOCK 404280406      26        906    Shares                X                 1        906   0        0
HSBC HOLDINGS
PLC SPON ADR     COMMON STOCK 404280406      16        571    Shares                         X        1        571   0        0
HSBC HOLDINGS
PLC PFD          PREFERRED
6.2SER A         STOCK        404280604      15       1000    Shares                X                 1          0   0        0
HAEMONETICS
CORP MASS        COMMON STOCK 405024100      41        750    Shares                X                 1        750   0        0
HAEMONETICS
CORP MASS        COMMON STOCK 405024100     898      16300    Shares                X                 3      16300   0        0
HALLIBURTON
HLDG CO COM      COMMON STOCK 406216101     137       8877    Shares                X                 1       7777   0     1100
HALLIBURTON
HLDG CO COM      COMMON STOCK 406216101      99       6425    Shares                         X        1       6425   0        0
HAMPTON ROADS
BANKSHARESARES
INC              COMMON STOCK 409321106       5        670    Shares                X                 2          0   0      670
JOHN HANCOCK
BANK & THRIFT    PREFERRED
OPP              STOCK        409735206       5        500    Shares                X                 1          0   0        0
JOHN HANCOCK
BANK & THRIFT    PREFERRED
OPP              STOCK        409735206       4        404    Shares                X                 2          0   0        0
JOHN HANCOCK
PATR PREM DIV    PREFERRED
FD               STOCK        41013T105       7       1123    Shares                         X        1          0   0        0
JOHN HANCOCK     PREFERRED
PFD INC FD II    STOCK        41013X106      11       1050    Shares                X                 1          0   0        0
HANESBRANDS
INC              COMMON STOCK 410345102       2        237    Shares                X                 1        237   0        0
HANESBRANDS
INC              COMMON STOCK 410345102       8        850    Shares                         X        1        450   0      400
HANSEN
MEDICAL INC      COMMON STOCK 411307101       8       2000    Shares                X                 1       2000   0        0

HARLEY-DAVIDSON
INC              COMMON STOCK 412822108     183      13699    Shares                X                 1      13699   0        0

HARLEY-DAVIDSON
INC              COMMON STOCK 412822108      54       4050    Shares                         X        1        850   0     3200
HARLEYSVILLE
NATIONAL CORP    COMMON STOCK 412850109       3        500    Shares                X                 1        500   0        0
HARMAN
INTERNATIONAL
INDUSTRIE        COMMON STOCK 413086109      19       1400    Shares                X                 2          0   0     1400
HARMONIC
LIGHTWAVES
INC COM          COMMON STOCK 413160102      27       4175    Shares                X                 1       4175   0        0
HARMONIC
LIGHTWAVES
INC COM          COMMON STOCK 413160102     590      90675    Shares                X                 3      90675   0        0
HARMONY GOLD
MINING-SPON
ADR              COMMON STOCK 413216300       1        116    Shares                X                 1        116   0        0
HARRIS &
HARRIS GROUP
INC              COMMON STOCK 413833104       0        100    Shares                X                 1        100   0        0
HARRIS CORP      COMMON STOCK 413875105    2289      79109    Shares                X                 1      79109   0        0
HARRIS CORP      COMMON STOCK 413875105     303      10455    Shares                         X        1      10455   0        0
HARRIS CORP      COMMON STOCK 413875105    1737      59993    Shares                X                 3      57924   0     2069
HARSCO CORP      COMMON STOCK 415864107    8978     404978    Shares                X                 1     333959   0    71019
HARSCO CORP      COMMON STOCK 415864107    2398     108171    Shares                         X        1     105901   0     2270
HARSCO CORP      COMMON STOCK 415864107    2577     116187    Shares                X                 3     114052   0     2135
HARTFORD
FINANCIAL
SVCS GRP IN      COMMON STOCK 416515104     116      14806    Shares                X                 1      12246   0     2560
HARTFORD
FINANCIAL
SVCS GRP IN      COMMON STOCK 416515104      61       7767    Shares                         X        1       6727   0     1040
HARTFORD
FINANCIAL
SVCS GRP IN      COMMON STOCK 416515104       9       1140    Shares                X                 2          0   0     1140
HARTFORD
FINANCIAL
SVCS GRP IN      COMMON STOCK 416515104       1        100    Shares                X                 4        100   0        0
HARVEST
ENERGY
TRUST-UNITS      COMMON STOCK 41752X101       0        100    Shares                X                 1        100   0        0
HARVEST
ENERGY
TRUST-UNITS      COMMON STOCK 41752X101       0        100    Shares                         X        1        100   0        0
HASBRO INC       COMMON       418056107     293      11700    Shares                X                 3      11700   0        0
HEALTHCARE
SVCS GROUP INC   COMMON STOCK 421906108      10        650    Shares                X                 1        650   0        0
HEALTHCARE
SVCS GROUP INC   COMMON STOCK 421906108     214      14250    Shares                X                 3      14250   0        0
HEALTH
MANAGEMENT-CLASS
A                COMMON STOCK 421933102       6       2175    Shares                X                 1       2175   0        0
HEALTH
MANAGEMENT-CLASS
A                COMMON STOCK 421933102       4       1385    Shares                         X        1       1385   0        0
HEALTHCARE
REALTY TRUST
INC (R           COMMON STOCK 421946104       5        350    Shares                X                 1          0   0        0
HEALTHCARE
REALTY TRUST
INC (R           COMMON STOCK 421946104      99       6600    Shares                X                 2          0   0        0
HEALTH CARE
REIT INC         COMMON STOCK 42217K106      14        450    Shares                         X        1          0   0        0
HEALTH CARE
REIT INC         COMMON STOCK 42217K106     245       8000    Shares                X                 2          0   0        0
HEALTH CARE
REIT INC         COMMON STOCK 42217K106      14        473    Shares                X                 3          0   0        0
HEALTH NET
INC COM          COMMON STOCK 42222G108       0         24    Shares                X                 3         24   0        0
HECLA MNG CO
COM              COMMON STOCK 422704106      14       7100    Shares                X                 1       7100   0        0
HECLA MNG CO
COM              COMMON STOCK 422704106     296     147775    Shares                X                 3     147775   0        0
HEICO
CORPORATION      COMMON STOCK 422806109      11        450    Shares                X                 1        450   0        0
HEICO
CORPORATION      COMMON STOCK 422806109     246      10100    Shares                X                 3      10100   0        0
HEINZ H J CO
COM              COMMON STOCK 423074103     825      24964    Shares                X                 1      24964   0        0
HEINZ H J CO
COM              COMMON STOCK 423074103     441      13341    Shares                         X        1      13341   0        0


                                   21 of 49





                                                   SEC USE ______________________________________________

                                                                                   COLUMN 6
                                                                                  INVESTMENT                      COLUMN 8
                                                           COLUMN 5               AUTHORITY                   VOTING AUTHORITY
                                                   ------------------------ ----------------------          --------------------
                    COLUMN 2                        SHARES
                     TITLE               COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                       OF     COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER       CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                   
HEINZ H J CO        COMMON
COM                 STOCK     423074103     478      14462    Shares                X                 2       8662   0      5800
HELIX ENERGY        COMMON
SOLUTIONS GRP       STOCK     42330P107       1        218    Shares                X                 1        218   0         0
HELIX ENERGY        COMMON
SOLUTIONS GRP       STOCK     42330P107       9       1735    Shares                X                 3       1735   0         0
HERCULES TECH
GROWTH              COMMON    427096508       4        806    Shares                X                 3        806   0         0
HERITAGE
FINANCIAL           COMMON
GROUP               STOCK     42725U109      24       3000    Shares                X                 2          0   0      3000
THE
HERSHARESEY         COMMON
COMPANY             STOCK     427866108    2863      82388    Shares                X                 1      79513   0      2875
THE
HERSHARESEY         COMMON
COMPANY             STOCK     427866108    1204      34644    Shares                         X        1      28944   0      5700
THE
HERSHARESEY         COMMON
COMPANY             STOCK     427866108      28        800    Shares                X                 2          0   0       800
THE
HERSHARESEY         COMMON
COMPANY             STOCK     427866108     184       5308    Shares                X                 3       3337   0      1971
HEWITT              COMMON
ASSOCIATES INC      STOCK     42822Q100       0         16    Shares                X                 1         16   0         0

HEWLETT-PACKARD     COMMON
CO                  STOCK     428236103    8171     254868    Shares                X                 1     253236   0      1632

HEWLETT-PACKARD     COMMON
CO                  STOCK     428236103    2100      65495    Shares                         X        1      61795   0      3700

HEWLETT-PACKARD     COMMON
CO                  STOCK     428236103    1425      44462    Shares                X                 2      17630   0     26832

HEWLETT-PACKARD     COMMON
CO                  STOCK     428236103    2777      86608    Shares                X                 3      83235   0      3373

HEWLETT-PACKARD     COMMON
CO                  STOCK     428236103       8        237    Shares                X                 4        237   0         0
HEXCEL CORP         COMMON
                    STOCK     428291108      25       3750    Shares                X                 1       3750   0         0
HEXCEL CORP         COMMON
                    STOCK     428291108     535      81520    Shares                X                 3      81520   0         0
HIGHWOODS
PROPERTIES          COMMON
(REIT)              STOCK     431284108       2        109    Shares                X                 3          0   0         0
HILAND              COMMON
PARTNERS LP         STOCK     431291103       6        700    Shares                X                 2          0   0       700
HILAND              COMMON
HOLDINGS GP LP      STOCK     43129M107     324     138600    Shares                X                 2          0   0    138600
HOKU                COMMON
SCIENTIFIC INC      STOCK     434712105       1        500    Shares                X                 1        500   0         0
HOLOGIC INC         COMMON
COM                 STOCK     436440101    1882     143759    Shares                X                 1     143089   0       670
HOLOGIC INC         COMMON
COM                 STOCK     436440101     222      16973    Shares                         X        1       9873   0      7100
HOLOGIC INC         COMMON
COM                 STOCK     436440101    1554     118772    Shares                X                 3     114420   0      4352
HOME DEPOT          COMMON
INC COM             STOCK     437076102    5495     233243    Shares                X                 1     229693   0      3550
HOME DEPOT          COMMON
INC COM             STOCK     437076102    2139      90802    Shares                         X        1      84777   0      6025
HOME DEPOT          COMMON
INC COM             STOCK     437076102    2026      85999    Shares                X                 2      56399   0     29600
HOME DEPOT          COMMON
INC COM             STOCK     437076102     206       8723    Shares                X                 3       5811   0      2912
HOME DEPOT          COMMON
INC COM             STOCK     437076102       5        200    Shares                X                 4        200   0         0
HOME
PROPERTIES          COMMON
INC (REIT)          STOCK     437306103      45       1475    Shares                X                 1          0   0         0
HOME
PROPERTIES          COMMON
INC (REIT)          STOCK     437306103      77       2500    Shares                         X        1          0   0         0
HOME
PROPERTIES          COMMON
INC (REIT)          STOCK     437306103    6465     210950    Shares                X                 2      26998   0         0
HOME
PROPERTIES          COMMON
INC (REIT)          STOCK     437306103       3         87    Shares                X                 3          0   0         0
HONDA MTR LTD       COMMON
AMERN SHARESS       STOCK     438128308       5        200    Shares                X                 1        200   0         0
HONEYWELL           COMMON
INTL INC COM        STOCK     438516106     436      15666    Shares                X                 1      15666   0         0
HONEYWELL           COMMON
INTL INC COM        STOCK     438516106     883      31678    Shares                         X        1      31678   0         0
HONEYWELL           COMMON
INTL INC COM        STOCK     438516106     894      32062    Shares                X                 2      13912   0     18150
HONEYWELL           COMMON
INTL INC COM        STOCK     438516106      22        804    Shares                X                 3        804   0         0
HONEYWELL           COMMON
INTL INC COM        STOCK     438516106       8        300    Shares                X                 4        300   0         0
HORNBECK
OFFSHARESORE        COMMON
SERVICES            STOCK     440543106       6        365    Shares                X                 3        365   0         0
HOSPIRA INC         COMMON
                    STOCK     441060100     107       3459    Shares                X                 1       3459   0         0
HOSPIRA INC         COMMON
                    STOCK     441060100      72       2320    Shares                         X        1       1950   0       370
HOSPITALITY
PROPERTIES          COMMON
TRUST (             STOCK     44106M102       4        309    Shares                X                 1          0   0         0
HOSPITALITY
PROPERTIES          COMMON
TRUST (             STOCK     44106M102       4        300    Shares                         X        1          0   0         0
HOSPITALITY
PROPERTIES          COMMON
TRUST (             STOCK     44106M102      24       2000    Shares                X                 2          0   0         0
HOST HOTELS &       COMMON
RESORTS INC         STOCK     44107P104       0         61    Shares                X                 1          0   0         0
HOST HOTELS &       COMMON
RESORTS INC         STOCK     44107P104       1        275    Shares                         X        1          0   0         0
HOST HOTELS &       COMMON
RESORTS INC         STOCK     44107P104      47      11978    Shares                X                 2          0   0         0
HOST HOTELS &       COMMON
RESORTS INC         STOCK     44107P104       8       2162    Shares                X                 3          0   0         0
HOVNANIAN           COMMON
ENTERPRISES-A       STOCK     442487203       1        730    Shares                X                 3        730   0         0
HUANENG POWER       COMMON
INTL-SPONS ADR      STOCK     443304100      70       2620    Shares                         X        1       2620   0         0
HUDSON CITY         COMMON
BANCORP INC         STOCK     443683107       0         42    Shares                X                 1         42   0         0
HUDSON CITY         COMMON
BANCORP INC         STOCK     443683107       5        417    Shares                X                 3        417   0         0
HUDSON
TECHNOLOGIES        COMMON
INC                 STOCK     444144109       1        500    Shares                X                 1        500   0         0
HUGOTON             COMMON
ROYALTY TRUST       STOCK     444717102       1        100    Shares                         X        1        100   0         0
HUMANA INC COM      COMMON
                    STOCK     444859102       5        200    Shares                X                 1        200   0         0
HUMANA INC COM      COMMON
                    STOCK     444859102      31       1200    Shares                X                 2          0   0      1200
HUMAN GENOME        COMMON
SCIENCES INC        STOCK     444903108       0        200    Shares                         X        1        200   0         0
HUMAN GENOME        COMMON
SCIENCES INC        STOCK     444903108       0        600    Shares                X                 2          0   0       600
HUNTINGTON
BANCSHARESARES      COMMON
INC COM             STOCK     446150104       0        209    Shares                X                 1        209   0         0
HUNTINGTON
BANCSHARESARES      COMMON
INC COM             STOCK     446150104       0        279    Shares                X                 3        279   0         0
HURON
CONSULTING GRP      COMMON    447462102     222       5234    Shares                X                 3       5234   0         0
IAC/INTERACTIVECORP COMMON
                    STOCK     44919P508       2        104    Shares                X                 1        104   0         0
IAC/INTERACTIVECORP COMMON
                    STOCK     44919P508       1         87    Shares                         X        1         87   0         0
ING PRIME           PREFERRED
RATE TR             STOCK     44977W106       7       2000    Shares                         X        1          0   0         0
IMS HEALTH          COMMON
INC COM             STOCK     449934108     125      10017    Shares                X                 1       9265   0       752
IMS HEALTH          COMMON
INC COM             STOCK     449934108      17       1400    Shares                         X        1       1100   0       300


                                   22 of 49





                                                   SEC USE ______________________________________________

                                                                                   COLUMN 6                       COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                   ------------------------ ----------------------          --------------------
                   COLUMN 2                         SHARES
                    TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                      OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                   
IMS HEALTH
INC COM          COMMON STOCK 449934108       4        338    Shares                X                 3        338   0         0
ISTAR
FINANCIAL INC    COMMON STOCK 45031U101       7       2500    Shares                X                 1          0   0         0
ISTAR
FINANCIAL INC    COMMON STOCK 45031U101     602     214270    Shares                X                 2      61695   0         0
ITT
EDUCATIONAL
SERVICES INC C   COMMON STOCK 45068B109     164       1350    Shares                X                 1       1350   0         0
ITT
EDUCATIONAL
SERVICES INC C   COMMON STOCK 45068B109    1287      10600    Shares                X                 3      10600   0         0
ITT CORP         COMMON STOCK 450911102     540      14034    Shares                X                 1      13374   0       660
ITT CORP         COMMON STOCK 450911102     140       3645    Shares                         X        1       2720   0       925
ITT CORP         COMMON STOCK 450911102      32        840    Shares                X                 2          0   0       840
ICON PLC
SPONSORED ADR    COMMON STOCK 45103T107       3        174    Shares                X                 1        174   0         0
ICON PLC
SPONSORED ADR    COMMON STOCK 45103T107       7        450    Shares                X                 3        450   0         0
ICICI BANK
LIMITED
SPONSORED A      COMMON STOCK 45104G104       4        300    Shares                         X        1        300   0         0
IHS INC CL A     COMMON STOCK 451734107       0         10    Shares                X                 1         10   0         0
IHS INC CL A     COMMON STOCK 451734107     252       6126    Shares                X                 3       6126   0         0
ILLINOIS TOOL
WKS INC COM      COMMON STOCK 452308109     487      15770    Shares                X                 1      15770   0         0
ILLINOIS TOOL
WKS INC COM      COMMON STOCK 452308109     512      16600    Shares                         X        1      16600   0         0
ILLINOIS TOOL
WKS INC COM      COMMON STOCK 452308109    1530      49590    Shares                X                 2      10350   0     39240
ILLUMINA INC     COMMON STOCK 452327109     286       7679    Shares                X                 3       7679   0         0
IMMUCOR INC      COMMON STOCK 452526106      45       1800    Shares                X                 1       1800   0         0
IMMUCOR INC      COMMON STOCK 452526106    1057      42051    Shares                X                 3      42051   0         0
IMPERIAL OIL
LTD              COMMON STOCK 453038408     180       5000    Shares                         X        1       5000   0         0
IMPERIAL OIL
LTD              COMMON STOCK 453038408      97       2700    Shares                X                 2          0   0      2700
IMPLANT
SCIENCES CORP    COMMON STOCK 45320R108       0       2500    Shares                X                 1       2500   0         0
INCYTE
GENOMICS INC
COM              COMMON STOCK 45337C102       1        400    Shares                X                 1        400   0         0
INERGY
HOLDINGS LP      COMMON STOCK 45661Q107      27        900    Shares                X                 2          0   0       900
INFORMATICA
CORP COM         COMMON STOCK 45666Q102      36       2700    Shares                X                 1       2700   0         0
INFORMATICA
CORP COM         COMMON STOCK 45666Q102     784      59100    Shares                X                 3      59100   0         0
INFOSYS
TECHNOLOGIES
LTDSPON A        COMMON STOCK 456788108       5        200    Shares                X                 1        200   0         0
ING GROEP NV
SPONSORED ADR    COMMON STOCK 456837103       1        270    Shares                X                 1        270   0         0
ING GROEP NV
SPONSORED ADR    COMMON STOCK 456837103       4        700    Shares                         X        1        700   0         0
ING GROEP NV
SPONSORED ADR    COMMON STOCK 456837103       3        525    Shares                X                 2          0   0       525
ING GLOBAL
EQUITY DIV &     PREFERRED
PREM O           STOCK        45684E107      11       1150    Shares                         X        1          0   0         0
INOVIO
BIOMEDICAL
CORP             COMMON STOCK 45773H102       0        250    Shares                X                 1        250   0         0
INSURED
MUNICIPAL        PREFERRED
INCOME FD        STOCK        45809F104      34       2964    Shares                X                 2          0   0         0
INTEL CORP COM   COMMON STOCK 458140100    8661     576260    Shares                X                 1     572260   0      4000
INTEL CORP COM   COMMON STOCK 458140100    3708     246702    Shares                         X        1     222272   0     24430
INTEL CORP COM   COMMON STOCK 458140100     572      38035    Shares                X                 2      32663   0      5372
INTEL CORP COM   COMMON STOCK 458140100    1939     128868    Shares                X                 3     123768   0      5100
INTEL CORP COM   COMMON STOCK 458140100       6        400    Shares                X                 4        400   0         0
INTEGRYS
ENERGY GROUP
INC              COMMON STOCK 45822P105      13        500    Shares                X                 1        500   0         0
INTEGRYS
ENERGY GROUP
INC              COMMON STOCK 45822P105      54       2066    Shares                         X        1       2066   0         0

INTERCONTINENTAL
EXCHANGE INC     COMMON STOCK 45865V100    1291      17335    Shares                X                 1      17195   0       140

INTERCONTINENTAL
EXCHANGE INC     COMMON STOCK 45865V100      47        630    Shares                         X        1        125   0       505

INTERCONTINENTAL
EXCHANGE INC     COMMON STOCK 45865V100    2788      37434    Shares                X                 3      37079   0       355
INTERDIGITAL
INC              COMMON STOCK 45867G101      26       1000    Shares                X                 1       1000   0         0
INTERDIGITAL
INC              COMMON STOCK 45867G101     552      21400    Shares                X                 2      11400   0     10000
IBM
CORPORATION      COMMON STOCK 459200101   33373     344446    Shares                X                 1     338382   0      6064
IBM
CORPORATION      COMMON STOCK 459200101   12202     125941    Shares                         X        1     116766   0      9175
IBM
CORPORATION      COMMON STOCK 459200101   14773     152470    Shares                X                 2      22149   0    130321
IBM
CORPORATION      COMMON STOCK 459200101    3385      34936    Shares                X                 3      33055   0      1881
IBM
CORPORATION      COMMON STOCK 459200101      19        200    Shares                X                 4        200   0         0
INTL
FLAVORS &
FRAGRANCES INC   COMMON STOCK 459506101      21        700    Shares                X                 1        700   0         0
INTERNATIONAL
GAME TECH COM    COMMON STOCK 459902102       1        100    Shares                X                 1        100   0         0
INTERNATIONAL
GAME TECH COM    COMMON STOCK 459902102      28       3000    Shares                         X        1       3000   0         0
INTERNATIONAL
PAPER CO COM     COMMON STOCK 460146103     109      15415    Shares                X                 1      15415   0         0
INTERNATIONAL
PAPER CO COM     COMMON STOCK 460146103      47       6661    Shares                         X        1       4425   0      2236
INTERNATIONAL
RECTIFIER CORP   COMMON STOCK 460254105       3        200    Shares                X                 1        200   0         0
INTERNATIONAL
RECTIFIER CORP   COMMON STOCK 460254105       1        100    Shares                         X        1        100   0         0
INTERNATIONAL
RECTIFIER CORP   COMMON STOCK 460254105       8        610    Shares                X                 3        610   0         0
INTERNATIONAL
SPEEDWAY CORP
CL               COMMON STOCK 460335201       1         50    Shares                X                 1         50   0         0
INTERPUBLIC
GROUP COS INC
COM              COMMON STOCK 460690100       2        474    Shares                         X        1        474   0         0
INTERPUBLIC
GROUP COS INC
COM              COMMON STOCK 460690100       7       1722    Shares                X                 3       1722   0         0
INTERSIL CORP
CL A             COMMON STOCK 46069S109      24       2050    Shares                X                 1       2050   0         0
INTERSIL CORP
CL A             COMMON STOCK 46069S109     516      44850    Shares                X                 3      44850   0         0
INTUIT INC COM   COMMON STOCK 461202103      32       1200    Shares                X                 1       1200   0         0
INTUIT INC COM   COMMON STOCK 461202103      84       3100    Shares                         X        1       3100   0         0
INVACARE CORP
COM              COMMON STOCK 461203101       3        200    Shares                X                 1        200   0         0
INTUITIVE
SURGICAL INC     COMMON STOCK 46120E602    2181      22873    Shares                X                 1      22683   0       190


                                   23 of 49





                                                     SEC USE ______________________________________________

                                                                                     COLUMN 6                      COLUMN 8
                                                             COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                     COLUMN 2                         SHARES
                      TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                        OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
INTUITIVE
SURGICAL INC       COMMON STOCK 46120E602     147       1540    Shares                         X        1       1495   0      45
INTUITIVE
SURGICAL INC       COMMON STOCK 46120E602      14        150    Shares                X                 2          0   0     150
INTUITIVE
SURGICAL INC       COMMON STOCK 46120E602     920       9648    Shares                X                 3       9324   0     324
INTREPID
POTASHARES INC     COMMON STOCK 46121Y102      41       2200    Shares                X                 1       2200   0       0
INTREPID
POTASHARES INC     COMMON STOCK 46121Y102     883      47875    Shares                X                 3      47875   0       0
INVERNESS
MEDICAL
INNOVATIONS        COMMON STOCK 46126P106      24        900    Shares                X                 1        900   0       0
INVERNESS
MEDICAL
INNOVATIONS        COMMON STOCK 46126P106      53       2000    Shares                X                 2          0   0    2000
INVERNESS
MEDICAL
INNOVATIONS        COMMON STOCK 46126P106     543      20375    Shares                X                 3      20375   0       0
INVESTORS
TITLE COMPANY      COMMON STOCK 461804106      58       2000    Shares                X                 2          0   0    2000
IOWA
TELECOMMUNICATIONS
SERVIC             COMMON STOCK 462594201      25       2150    Shares                X                 2          0   0    2150
BANK OF
IRELAND
SPONSORED ADR      COMMON STOCK 46267Q103       0        100    Shares                X                 1        100   0       0
IRON MTN INC
PA COM             COMMON STOCK 462846106       6        253    Shares                X                 3        253   0       0
ISHARESARES
COMEX GOLD         PREFERRED
TRUST              STOCK        464285105      55        610    Shares                X                 1          0   0       0
ISHARESARES
MSCI
AUSTRALIA          PREFERRED
INDEX F            STOCK        464286103       6        415    Shares                         X        1          0   0       0
ISHARESARES
MSCI CANADA        PREFERRED
INDEX FD           STOCK        464286509       6        365    Shares                         X        1          0   0       0
ISHARESARES
MSCI ISRAEL        PREFERRED
CAPPED INV         STOCK        464286632       9        280    Shares                X                 1          0   0       0
ISHARESARES
MSCI PACIFIC       PREFERRED
EX-JAPAN           STOCK        464286665     292      11860    Shares                X                 2          0   0       0
ISHARESARES
MSCI
SINGAPORE
INDEX F            COMMON STOCK 464286673       8       1238    Shares                X                 1       1238   0       0
ISHARESARES
MSCI TURKEY        PREFERRED
INV MKT            STOCK        464286715       6        266    Shares                X                 1          0   0       0
ISHARESARES
MSCI
SWITZERLAND        PREFERRED
INDEX              STOCK        464286749       9        620    Shares                X                 1          0   0       0
ISHARESARES
MSCI SPAIN         PREFERRED
INDEX FD           STOCK        464286764       8        282    Shares                X                 1          0   0       0
ISHARESARES
MSCI GERMANY       PREFERRED
INDEX FD           STOCK        464286806       8        560    Shares                         X        1          0   0       0
ISHARESARES
MSCI
NETHERLANDS        PREFERRED
INV M              STOCK        464286814       7        598    Shares                X                 1          0   0       0
ISHARESARES
MSCI JAPAN         PREFERRED
INDEX FD           STOCK        464286848      75       9500    Shares                X                 1          0   0       0
ISHARESARES
MSCI JAPAN         PREFERRED
INDEX FD           STOCK        464286848      26       3300    Shares                         X        1          0   0       0
ISHARESARES
MSCI HONG          PREFERRED
KONG INDEX F       STOCK        464286871       9        905    Shares                X                 1          0   0       0
ISHARESARES
S&P 100 INDEX
FUND               COMMON STOCK 464287101      77       2048    Shares                X                 2          0   0    2048
ISHARESARES
DJ SELECT          PREFERRED
DIVIDEND IND       STOCK        464287168      19        620    Shares                X                 1          0   0       0
ISHARESARES
DJ SELECT          PREFERRED
DIVIDEND IND       STOCK        464287168       8        250    Shares                         X        1          0   0       0
ISHARESARES
BARCLAYS TIPS      PREFERRED
BOND FD            STOCK        464287176      50        485    Shares                X                 1          0   0       0
ISHARESARES
FTSE/XINHUA        PREFERRED
CHINA 25           STOCK        464287184      20        702    Shares                         X        1          0   0       0
ISHARESARES
FTSE/XINHUA        PREFERRED
CHINA 25           STOCK        464287184     342      12000    Shares                X                 2          0   0       0
ISHARESARES
DOW JONES US       PREFERRED
TRANS IND          STOCK        464287192       3         60    Shares                X                 1          0   0       0
ISHARESARES
S&P 500 INDEX      PREFERRED
FD                 STOCK        464287200    3556      44665    Shares                X                 1          0   0       0
ISHARESARES
S&P 500 INDEX      PREFERRED
FD                 STOCK        464287200     672       8435    Shares                         X        1          0   0       0
ISHARESARES
S&P 500 INDEX      PREFERRED
FD                 STOCK        464287200      12        150    Shares                X                 2          0   0       0
ISHARESARES
S&P 500 INDEX      PREFERRED
FD                 STOCK        464287200    1922      24138    Shares                X                 3          0   0       0
ISHARESARES
MSCI EMERGING      PREFERRED
MARKETS            STOCK        464287234      75       3013    Shares                X                 1          0   0       0
ISHARESARES
MSCI EMERGING      PREFERRED
MARKETS            STOCK        464287234      70       2825    Shares                X                 2          0   0       0
ISHARESARES
S&P 500/BARRA      PREFERRED
GRWTH IN           STOCK        464287309     539      12870    Shares                X                 1          0   0       0
ISHARESARES
S&P 500/BARRA      PREFERRED
GRWTH IN           STOCK        464287309      59       1400    Shares                         X        1          0   0       0
ISHARESARES
S&P GLOBAL         PREFERRED
ENERGY SECT        STOCK        464287341     116       4390    Shares                X                 2          0   0       0
ISHARESARES
S&P NA NAT         PREFERRED
RES SIF            STOCK        464287374     295      12500    Shares                X                 2          0   0       0
ISHARESARES
S&P 500 BARRA
VALUE IN           COMMON STOCK 464287408     120       3225    Shares                X                 1       3225   0       0
ISHARESARES
S&P 500 BARRA
VALUE IN           COMMON STOCK 464287408      26        700    Shares                         X        1        700   0       0
ISHARESARES
BARCLAYS 20+       PREFERRED
YR TREAS           STOCK        464287432      21        200    Shares                         X        1          0   0       0
ISHARESARES
BARCLAYS 7-10      PREFERRED
YRS TREA           STOCK        464287440      29        297    Shares                         X        1          0   0       0
ISHARESARES
BARCLAYS 1-3       PREFERRED
YR TREAS           STOCK        464287457      71        842    Shares                X                 1          0   0       0
ISHARESARES
MSCI EAFE          PREFERRED
INDEX FD           STOCK        464287465    3627      96491    Shares                X                 1          0   0       0
ISHARESARES
MSCI EAFE          PREFERRED
INDEX FD           STOCK        464287465    2326      61886    Shares                         X        1          0   0       0
ISHARESARES
MSCI EAFE          PREFERRED
INDEX FD           STOCK        464287465    1238      32921    Shares                X                 2          0   0       0
ISHARESARES
MSCI EAFE          PREFERRED
INDEX FD           STOCK        464287465     459      12209    Shares                X                 3          0   0       0
I SHARESARES
RUSSELL            PREFERRED
MIDCAP VAL IN      STOCK        464287473      43       1785    Shares                         X        1          0   0       0
ISHARESARES
RUSSELL MID        PREFERRED
CAP GROWTH         STOCK        464287481      44       1450    Shares                         X        1          0   0       0
ISHARESARES
RUSSELL MID        PREFERRED
CAP GROWTH         STOCK        464287481      72       2380    Shares                X                 2          0   0       0
ISHARESARES
RUSSELL MID        PREFERRED
CAP GROWTH         STOCK        464287481    3612     120000    Shares                X                 3     120000   0       0
ISHARESARES
RUSSELL
MIDCAP INDEX F     COMMON STOCK 464287499     369       6825    Shares                X                 3       6825   0       0
ISHARESARES
S&P MIDCAP         PREFERRED
400 INDEX F        STOCK        464287507       5        110    Shares                X                 1          0   0       0
ISHARESARES
S&P MIDCAP         PREFERRED
400 INDEX F        STOCK        464287507      87       1782    Shares                X                 2          0   0       0
ISHARESARES
S&P NA             PREFERRED
TECHNOLOGY SFI     STOCK        464287549      12        350    Shares                X                 1          0   0       0
ISHARESARES
S&P NA             PREFERRED
TECHNOLOGY SFI     STOCK        464287549       3         85    Shares                X                 2          0   0       0
ISHARESARES
S&P GLOBAL         PREFERRED
100 INDEX F        STOCK        464287572      30        700    Shares                X                 2          0   0       0
ISHARESARES
RUSSELL 1000       PREFERRED
VALUE IND          STOCK        464287598     560      13739    Shares                X                 1          0   0       0
ISHARESARES
RUSSELL 1000       PREFERRED
VALUE IND          STOCK        464287598       1         29    Shares                X                 3          0   0       0
ISHARESARES
S&P MIDCAP         PREFERRED
400 BARRA G        STOCK        464287606     219       4167    Shares                X                 1          0   0       0
ISHARESARES
S&P MIDCAP         PREFERRED
400 BARRA G        STOCK        464287606     444       8450    Shares                X                 2          0   0       0
ISHARESARES
S&P MIDCAP         PREFERRED
400 BARRA G        STOCK        464287606    1053      20000    Shares                X                 3      20000   0       0


                                   24 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
ISHARESARES
RUSSELL 1000    PREFERRED
GROWTH IN       STOCK        464287614     612      17433    Shares                X                 1          0   0         0
ISHARESARES
RUSSELL 1000    PREFERRED
GROWTH IN       STOCK        464287614      67       1908    Shares                         X        1          0   0         0
ISHARESARES
RUSSELL 1000    PREFERRED
GROWTH IN       STOCK        464287614       0          8    Shares                X                 3          0   0         0
ISHARESARES
RUSSELL 1000    PREFERRED
INDEX FD        STOCK        464287622     119       2759    Shares                X                 1          0   0         0
ISHARESARES
RUSSELL 1000    PREFERRED
INDEX FD        STOCK        464287622    2135      49364    Shares                         X        1          0   0         0
ISHARESARES
RUSSELL 2000    PREFERRED
VALUE           STOCK        464287630      47       1180    Shares                X                 2          0   0         0
ISHARESARES
RUSSELL 2000    PREFERRED
GRWTH FD        STOCK        464287648     322       7000    Shares                X                 1          0   0         0
ISHARESARES
RUSSELL 2000    PREFERRED
GRWTH FD        STOCK        464287648   12348     268550    Shares                X                 3     268550   0         0
ISHARESARES
RUSSELL 2000    PREFERRED
INDEX FD        STOCK        464287655     796      18923    Shares                X                 1          0   0         0
ISHARESARES
RUSSELL 2000    PREFERRED
INDEX FD        STOCK        464287655      11        260    Shares                         X        1          0   0         0
ISHARESARES
RUSSELL 2000    PREFERRED
INDEX FD        STOCK        464287655   17746     423092    Shares                X                 3     412925   0         0
ISHARESARES
DOW JONES US    PREFERRED
UTIL SECT       STOCK        464287697      23        385    Shares                X                 1          0   0         0
ISHARESARES
S&P MIDCAP      PREFERRED
400/BARRA V     STOCK        464287705     142       3234    Shares                X                 1          0   0         0
ISHARESARES
S&P MIDCAP      PREFERRED
400/BARRA V     STOCK        464287705      88       2000    Shares                X                 2          0   0         0
ISHARESARES
DOW JONES US    PREFERRED
TELECOM         STOCK        464287713       4        236    Shares                X                 1          0   0         0
ISHARESARES
DJ US TECH
SEC INDEX F     COMMON STOCK 464287721    3977     107386    Shares                X                 2      29165   0     78221
ISHARESARES
DJ US REAL
ESTATE INDE     COMMON STOCK 464287739       8        300    Shares                X                 1        300   0         0
ISHARESARES
DJ US REAL
ESTATE INDE     COMMON STOCK 464287739       3        100    Shares                X                 2          0   0       100
ISHARESARES
DJ US
INDUSTRIAL      PREFERRED
SEC I           STOCK        464287754       7        200    Shares                X                 2          0   0         0
ISHARESARES
DJ US
HEALTHCARE
SECTO           COMMON STOCK 464287762       5        100    Shares                X                 2          0   0       100
ISHARESARES
DOW JONES US    PREFERRED
FINL SECT       STOCK        464287788      11        340    Shares                X                 1          0   0         0
ISHARESARES
DOW JONES US    PREFERRED
FINL SECT       STOCK        464287788      23        705    Shares                         X        1          0   0         0
ISHARESARES
DOW JONES US    PREFERRED
FINL SECT       STOCK        464287788       9        275    Shares                X                 2          0   0         0
ISHARESARES
DJ US ENERGY
SECTOR ID       COMMON STOCK 464287796       9        336    Shares                X                 2          0   0       336
ISHARESARES
S&P SMALLCAP    PREFERRED
600 INDEX       STOCK        464287804     178       4890    Shares                X                 1          0   0         0
ISHARESARES
S&P SMALLCAP    PREFERRED
600 INDEX       STOCK        464287804     239       6575    Shares                         X        1          0   0         0
ISHARESARES
S&P SMALLCAP    PREFERRED
600 INDEX       STOCK        464287804      52       1426    Shares                X                 2          0   0         0
ISHARESARES
DJ US BASIC     PREFERRED
MATERIALS       STOCK        464287838      68       1950    Shares                X                 1          0   0         0
ISHARESARES
DJ US BASIC     PREFERRED
MATERIALS       STOCK        464287838      26        750    Shares                         X        1          0   0         0
ISHARESARES
S&P EUROPE      PREFERRED
350 INDEX F     STOCK        464287861      87       3409    Shares                         X        1          0   0         0
ISHARESARES
S&P EUROPE      PREFERRED
350 INDEX F     STOCK        464287861      92       3610    Shares                X                 2          0   0         0
ISHARESARES
S&P SMALLCAP    PREFERRED
600 BARRA       STOCK        464287887      32        848    Shares                X                 1          0   0         0
ISHARESARES
IBOXX HI YLD    PREFERRED
CORP BD F       STOCK        464288513      25        374    Shares                         X        1          0   0         0
ISHARESARES
BARCLAYS        PREFERRED
CREDIT BOND F   STOCK        464288620     162       1780    Shares                X                 1          0   0         0
ISHARESARES
DJ US HOME
CONSTRUCT F     COMMON STOCK 464288752     173      19800    Shares                X                 2          0   0     19800
ISHARESARES
DOW JONES US    PREFERRED
HEALTHCAR       STOCK        464288828      40       1300    Shares                X                 2          0   0         0
ISHARESARES
DJ US OIL       PREFERRED
EQUIP & SV      STOCK        464288844     112       4450    Shares                X                 2          0   0         0
ISHARESARES
MSCI EAFE       PREFERRED
GRWTH INDEX     STOCK        464288885      80       2064    Shares                         X        1          0   0         0
ISIS
PHARMACEUTICALS
COM             COMMON STOCK 464330109      46       3050    Shares                X                 1       3050   0         0
ISIS
PHARMACEUTICALS
COM             COMMON STOCK 464330109     998      66424    Shares                X                 3      66424   0         0
ITC HOLDINGS
CORP            COMMON STOCK 465685105      21        475    Shares                X                 1        475   0         0
ITC HOLDINGS
CORP            COMMON STOCK 465685105     633      14515    Shares                X                 3      14515   0         0
ITRON INC COM   COMMON STOCK 465741106      25        525    Shares                X                 1        525   0         0
ITRON INC COM   COMMON STOCK 465741106     554      11700    Shares                X                 3      11700   0         0
IVANHOE MINES
LTD             COMMON STOCK 46579N103       6       1000    Shares                X                 1       1000   0         0
IVANHOE MINES
LTD             COMMON STOCK 46579N103       7       1064    Shares                X                 3       1064   0         0
JDS UNIPHASE
CORP            COMMON STOCK 46612J507       0        125    Shares                X                 1        125   0         0
JDS UNIPHASE
CORP            COMMON STOCK 46612J507       1        311    Shares                X                 2          0   0       311
JER INVESTORS
TRUST INC       COMMON STOCK 46614H400      35      53113    Shares                X                 2          0   0         0
JPMORGAN
CHASE & CO      COMMON STOCK 46625H100    6589     247910    Shares                X                 1     243618   0      4292
JPMORGAN
CHASE & CO      COMMON STOCK 46625H100    3511     132080    Shares                         X        1     120574   0     11506
JPMORGAN
CHASE & CO      COMMON STOCK 46625H100    8000     300997    Shares                X                 2      69012   0    231985
JPMORGAN
CHASE & CO      COMMON STOCK 46625H100     478      18012    Shares                X                 3      15417   0      2595
J2 GLOBAL
COMMUNICATONS
INC NE          COMMON STOCK 46626E205      32       1475    Shares                X                 1       1475   0         0
J2 GLOBAL
COMMUNICATONS
INC NE          COMMON STOCK 46626E205     724      33100    Shares                X                 3      33100   0         0
JABIL CIRCUIT
INC             COMMON STOCK 466313103      16       2850    Shares                X                 1       2850   0         0
JABIL CIRCUIT
INC             COMMON STOCK 466313103       2        355    Shares                         X        1        355   0         0
JABIL CIRCUIT
INC             COMMON STOCK 466313103      37       6600    Shares                X                 3       6600   0         0
JACOBS
ENGINEERING
GROUP INC C     COMMON STOCK 469814107    1069      27650    Shares                X                 1      26050   0      1600
JACOBS
ENGINEERING
GROUP INC C     COMMON STOCK 469814107     150       3875    Shares                         X        1       3875   0         0
JAMES RIVER
COAL CO         COMMON STOCK 470355207     175      14150    Shares                X                 1      14150   0         0
JAMES RIVER
COAL CO         COMMON STOCK 470355207     498      40350    Shares                X                 3      40350   0         0
JEFFERIES
GROUP INC       COMMON STOCK 472319102      18       1295    Shares                X                 3       1295   0         0
JETBLUE
AIRWAYS
CORPORATION     COMMON STOCK 477143101       0        100    Shares                X                 1        100   0         0
JETBLUE
AIRWAYS
CORPORATION     COMMON STOCK 477143101       3        843    Shares                X                 2          0   0       843
JOHNSON &
JOHNSON         COMMON STOCK 478160104   25900     492391    Shares                X                 1     485391   0      7000
JOHNSON &
JOHNSON         COMMON STOCK 478160104   24377     463436    Shares                         X        1     447886   0     15550


                                   25 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
JOHNSON &
JOHNSON        COMMON STOCK 478160104    7372     140158    Shares                X                 2      26772   0    113386
JOHNSON &
JOHNSON        COMMON STOCK 478160104    4686      89072    Shares                X                 3      89072   0         0
JOHNSON &
JOHNSON        COMMON STOCK 478160104      11        200    Shares                X                 4        200   0         0
JOHNSON
CONTROLS INC
COM            COMMON STOCK 478366107     302      25145    Shares                X                 1      25145   0         0
JOHNSON
CONTROLS INC
COM            COMMON STOCK 478366107      83       6925    Shares                         X        1       6925   0         0
JOHNSON
CONTROLS INC
COM            COMMON STOCK 478366107      33       2711    Shares                X                 3       2711   0         0
JOS A BANK
CLOTHIERS INC  COMMON STOCK 480838101      14        489    Shares                X                 3        489   0         0
JOY GLOBAL
INCORPORATED   COMMON STOCK 481165108    1347      63259    Shares                X                 1      62514   0       745
JOY GLOBAL
INCORPORATED   COMMON STOCK 481165108     208       9765    Shares                         X        1       9415   0       350
JOY GLOBAL
INCORPORATED   COMMON STOCK 481165108    1286      60400    Shares                X                 3      60400   0         0
JUNIPER
NETWORKS INC   COMMON STOCK 48203R104       2        133    Shares                X                 1        133   0         0
JUNIPER
NETWORKS INC   COMMON STOCK 48203R104       5        350    Shares                         X        1        350   0         0
KBW INC        COMMON STOCK 482423100      40       1950    Shares                X                 1       1950   0         0
KBW INC        COMMON STOCK 482423100     863      42375    Shares                X                 3      42375   0         0
KBR INC        COMMON STOCK 48242W106       7        500    Shares                X                 1        500   0         0
KLA TENCOR
CORP COM       COMMON STOCK 482480100       7        335    Shares                X                 3        335   0         0
KKR FINANCIAL
HOLDINGS LLC   COMMON STOCK 48248A306       5       6000    Shares                X                 1       6000   0         0
KKR FINANCIAL
HOLDINGS LLC   COMMON STOCK 48248A306     824     935739    Shares                X                 2     150764   0    784975
KT
CORPORATION
SP ADR         COMMON STOCK 48268K101       1         41    Shares                X                 1         41   0         0
KT
CORPORATION
SP ADR         COMMON STOCK 48268K101      23       1664    Shares                X                 3       1664   0         0
KADANT INC COM COMMON STOCK 48282T104      12       1000    Shares                         X        1       1000   0         0
KANSAS LIFE
INS CO COM     COMMON STOCK 484836101      47       1300    Shares                X                 1       1300   0         0
KAYDON CORP    COMMON STOCK 486587108      49       1800    Shares                X                 1       1800   0         0
KAYDON CORP    COMMON STOCK 486587108    1059      38750    Shares                X                 3      38750   0         0
KAYNE
ANDERSON MLP   PREFERRED
INVESTMENT     STOCK        486606106      51       2541    Shares                X                 1          0   0         0
KELLOGG CO COM COMMON STOCK 487836108     905      24695    Shares                X                 1      24695   0         0
KELLOGG CO COM COMMON STOCK 487836108     869      23727    Shares                         X        1      22530   0      1197
KENDLE
INTERNATIONAL
INCORPORA      COMMON STOCK 48880L107      12        560    Shares                X                 3        560   0         0
KENNAMETAL INC COMMON STOCK 489170100      16       1000    Shares                X                 1       1000   0         0
KENNAMETAL INC COMMON STOCK 489170100      21       1325    Shares                         X        1       1325   0         0
KEYCORP NEW
COM            COMMON STOCK 493267108      19       2460    Shares                X                 1       2460   0         0
KEYCORP NEW
COM            COMMON STOCK 493267108       9       1200    Shares                         X        1       1200   0         0
KEYCORP NEW
COM            COMMON STOCK 493267108      35       4500    Shares                X                 2          0   0      4500
KEYCORP NEW
COM            COMMON STOCK 493267108      63       8000    Shares                X                 3       8000   0         0
KIMBERLY
CLARK CORP     COMMON STOCK 494368103    3390      73510    Shares                X                 1      73510   0         0
KIMBERLY
CLARK CORP     COMMON STOCK 494368103    2293      49729    Shares                         X        1      45929   0      3800
KIMBERLY
CLARK CORP     COMMON STOCK 494368103     199       4312    Shares                X                 2          0   0      4312
KIMBERLY
CLARK CORP     COMMON STOCK 494368103      40        868    Shares                X                 3        868   0         0
KIMBERLY
CLARK CORP     COMMON STOCK 494368103       5        100    Shares                X                 4        100   0         0
KIMCO REALTY
CORP (REIT)    COMMON STOCK 49446R109       9       1200    Shares                X                 2          0   0         0
KIMCO REALTY
CORP (REIT)    COMMON STOCK 49446R109       7        882    Shares                X                 3          0   0         0
KINDER MORGAN
ENERGY
PARTNERS       COMMON STOCK 494550106     205       4380    Shares                X                 1       4380   0         0
KINDER MORGAN
ENERGY
PARTNERS       COMMON STOCK 494550106      46        975    Shares                         X        1        975   0         0
KINDER MORGAN
ENERGY
PARTNERS       COMMON STOCK 494550106   10343     221370    Shares                X                 2      40470   0    180900
KINDER MORGAN
MANAGEMENT LLC COMMON STOCK 49455U100      72       1762    Shares                X                 1       1762   0         0
KINDER MORGAN
MANAGEMENT LLC COMMON STOCK 49455U100    4643     113914    Shares                X                 2      31680   0     82234
KINETIC
CONCEPTS INC   COMMON STOCK 49460W208       3        150    Shares                X                 1        150   0         0
KINETIC
CONCEPTS INC   COMMON STOCK 49460W208       4        166    Shares                X                 3        166   0         0
KINROSS GOLD
CORPORATION    COMMON STOCK 496902404      12        669    Shares                X                 1        669   0         0
KNOLL INC      COMMON       498904200     131      21400    Shares                X                 3      21400   0         0
KNOLOGY INC    COMMON STOCK 499183804     106      25642    Shares                X                 2          0   0     25642
KOHLS CORP COM COMMON STOCK 500255104     130       3079    Shares                X                 1       3079   0         0
KOHLS CORP COM COMMON STOCK 500255104     113       2675    Shares                         X        1       2675   0         0
KOHLS CORP COM COMMON STOCK 500255104      63       1500    Shares                X                 2          0   0      1500
KOHLS CORP COM COMMON STOCK 500255104      76       1803    Shares                X                 3       1803   0         0
KONINKLIJKE
PHILIPS ELEC
N V N          COMMON STOCK 500472303       5        356    Shares                X                 1        356   0         0
KONINKLIJKE
PHILIPS ELEC
N V N          COMMON STOCK 500472303     193      13000    Shares                         X        1      13000   0         0
KOREA
ELECTRIC
POWER CORP SP
A              COMMON STOCK 500631106       0         24    Shares                X                 1         24   0         0
KOREA
ELECTRIC
POWER CORP SP
A              COMMON STOCK 500631106      15       1673    Shares                X                 3       1673   0         0
KRAFT FOODS
INC CL A       COMMON STOCK 50075N104    5469     245370    Shares                X                 1     244263   0      1107
KRAFT FOODS
INC CL A       COMMON STOCK 50075N104    2434     109191    Shares                         X        1     101270   0      7921
KRAFT FOODS
INC CL A       COMMON STOCK 50075N104     365      16367    Shares                X                 2          0   0     16367
KRAFT FOODS
INC CL A       COMMON STOCK 50075N104     339      15229    Shares                X                 3      11123   0      4106
KRAFT FOODS
INC CL A       COMMON STOCK 50075N104       2        100    Shares                X                 4        100   0         0
KROGER CO      COMMON STOCK 501044101     172       8094    Shares                X                 1       8094   0         0
KROGER CO      COMMON STOCK 501044101      11        500    Shares                         X        1          0   0       500
KROGER CO      COMMON STOCK 501044101       8        400    Shares                X                 4        400   0         0


                                   26 of 49





                                                    SEC USE ______________________________________________

                                                                                    COLUMN 6                       COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                    ------------------------ ----------------------          --------------------
                    COLUMN 2                         SHARES
                     TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                       OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER       CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
KUBOTA
CORP-SPONS ADR    COMMON STOCK 501173207       1         46    Shares                X                 1         46     0       0
LKQ
CORPORATION       COMMON STOCK 501889208     179      12525    Shares                X                 1      12525     0       0
LKQ
CORPORATION       COMMON STOCK 501889208    1216      85200    Shares                X                 3      85200     0       0
LSI
CORPORATION       COMMON STOCK 502161102       3        880    Shares                X                 1        880     0       0
LSI
CORPORATION       COMMON STOCK 502161102       0         22    Shares                         X        1         14     0       8
LSI
CORPORATION       COMMON STOCK 502161102      18       5809    Shares                X                 3       5809     0       0
L 3
COMMUNICATIONS
CORP COM          COMMON STOCK 502424104      56        825    Shares                         X        1        825     0       0
L 3
COMMUNICATIONS
CORP COM          COMMON STOCK 502424104      98       1450    Shares                X                 2          0     0    1450
LABORATORY
CRP OF AMER
HLDGS C           COMMON STOCK 50540R409      26        450    Shares                X                 1        450     0       0
LABORATORY
CRP OF AMER
HLDGS C           COMMON STOCK 50540R409       2         40    Shares                         X        1         40     0       0
LABORATORY
CRP OF AMER
HLDGS C           COMMON STOCK 50540R409    9866     168680    Shares                X                 2      42585     0  126095
LABORATORY
CRP OF AMER
HLDGS C           COMMON STOCK 50540R409      22        377    Shares                X                 3        377     0       0
LADISHARES CO
INC               COMMON STOCK 505754200       1        200    Shares                X                 1        200     0       0
LANDSTAR
SYSTEMS INC       COMMON STOCK 515098101     303       9064    Shares                X                 3       9064     0       0
LAS VEGAS
SANDS CORP        COMMON STOCK 517834107       1        300    Shares                X                 1        300     0       0
LASALLE HOTEL
PROP REIT         COMMON STOCK 517942108       1        114    Shares                X                 3          0     0       0
LASERCARD CORP    COMMON STOCK 51807U101       1        500    Shares                X                 2          0     0     500
LAUDER ESTEE
CO CL A           COMMON STOCK 518439104    2405      97558    Shares                X                 1      93358     0    4200
LAUDER ESTEE
CO CL A           COMMON STOCK 518439104     142       5760    Shares                         X        1       4560     0    1200
LAUDER ESTEE
CO CL A           COMMON STOCK 518439104     177       7192    Shares                X                 3       4328     0    2864
LAWSON
PRODUCTS INC      COMMON STOCK 520776105       1        100    Shares                         X        1          0     0     100
LEAP WIRELESS
INTERNATIONAL
IN                COMMON STOCK 521863308       7        200    Shares                X                 1        200     0       0
LEAR CORP         COMMON STOCK 521865105       0         33    Shares                X                 1         33     0       0
LEGGETT &
PLATT INC         COMMON STOCK 524660107     123       9500    Shares                X                 1       9500     0       0
LEGG MASON INC    COMMON STOCK 524901105      77       4830    Shares                X                 1       4830     0       0
LEGG MASON INC    COMMON STOCK 524901105      37       2315    Shares                         X        1       2315     0       0
LEGG MASON INC    COMMON STOCK 524901105       9        560    Shares                X                 2          0     0     560
LENDER
PROCESSING
SERVICES INC      COMMON STOCK 52602E102     246       8031    Shares                X                 1       8031     0       0
LENDER
PROCESSING
SERVICES INC      COMMON STOCK 52602E102       6        206    Shares                         X        1        206     0       0
LENDER
PROCESSING
SERVICES INC      COMMON STOCK 52602E102    1896      61950    Shares                X                 3      61950     0       0
LENNAR CORP
CL A              COMMON STOCK 526057104      10       1294    Shares                X                 3       1294     0       0
LENNOX INTL
INC COM           COMMON STOCK 526107107       2         78    Shares                X                 3         78     0       0
LEVEL 3
COMMUNICATIONS
INC               COMMON STOCK 52729N100       5       5000    Shares                X                 1       5000     0       0
LEVEL 3
COMMUNICATIONS
INC               COMMON STOCK 52729N100      72      35000    Shares                X                 2      35000     0       0
LIBERTY ALL       PREFERRED
STAR EQUITY FD    STOCK        530158104     125      42932    Shares                         X        1          0     0       0
LIBERTY
GLOBAL INC -
CL A              COMMON STOCK 530555101       3        213    Shares                X                 1        213     0       0
LIBERTY
GLOBAL INC -
CL A              COMMON STOCK 530555101      22       1512    Shares                         X        1       1512     0       0
LIBERTY
GLOBAL INC-CL
B                 COMMON STOCK 530555200      14        936    Shares                         X        1        936     0       0
LIBERTY
GLOBAL INC CL
C                 COMMON STOCK 530555309       3        216    Shares                X                 1        216     0       0
LIBERTY
GLOBAL INC CL
C                 COMMON STOCK 530555309      35       2448    Shares                         X        1       2448     0       0
LIBERTY MEDIA
HLDG CORP -
INTE              COMMON STOCK 53071M104      12       4000    Shares                X                 1       4000     0       0
LIBERTY MEDIA
HLDG CORP -
INTE              COMMON STOCK 53071M104      34      11840    Shares                         X        1      11840     0       0
LIBERTY MEDIA
HLDG CORP -
INTE              COMMON STOCK 53071M203      13       4680    Shares                         X        1       4680     0       0
LIBERTY MEDIA
HLDG CORP -
CAP               COMMON STOCK 53071M302       5        684    Shares                X                 1        684     0       0
LIBERTY MEDIA
HLDG CORP -
CAP               COMMON STOCK 53071M302      10       1368    Shares                         X        1       1368     0       0
LIBERTY MEDIA
HLDG CORP -
CAP               COMMON STOCK 53071M401       7        936    Shares                         X        1        936     0       0
LIBERTY MEDIA
CORP - ENT
SER A             COMMON STOCK 53071M500      94       4736    Shares                X                 1       4736     0       0
LIBERTY MEDIA
CORP - ENT
SER A             COMMON STOCK 53071M500     169       8472    Shares                         X        1       8472     0       0
LIBERTY MEDIA
CORP - CL B       COMMON STOCK 53071M609      74       3744    Shares                         X        1       3744     0       0
LIBERTY
PROPERTY
TRUST (REIT)      COMMON STOCK 531172104      19       1000    Shares                X                 2          0     0       0
LIBERTY
PROPERTY
TRUST (REIT)      COMMON STOCK 531172104       8        448    Shares                X                 3          0     0       0
LIFE
TECHNOLOGIES
CORP              COMMON STOCK 53217V109     247       7615    Shares                X                 1       7615     0       0
LIFE
TECHNOLOGIES
CORP              COMMON STOCK 53217V109      26        800    Shares                         X        1          0     0     800
LIFE
TECHNOLOGIES
CORP              COMMON STOCK 53217V109    2044      62941    Shares                X                 3      62941     0       0
LIHIR GOLD
LIMITED-SPONSORED
A                 COMMON STOCK 532349107      14        633    Shares                X                 3        633     0       0
LILLY ELI & CO    COMMON STOCK 532457108    2428      72682    Shares                X                 1      72682     0       0
LILLY ELI & CO    COMMON STOCK 532457108    3103      92881    Shares                         X        1      90636  1600     645
LILLY ELI & CO    COMMON STOCK 532457108     241       7200    Shares                X                 2          0     0    7200
LILLY ELI & CO    COMMON STOCK 532457108     122       3660    Shares                X                 3       2282     0    1378
LILLY ELI & CO    COMMON STOCK 532457108       3        100    Shares                X                 4        100     0       0
LIMELIGHT
NETWORKS INC      COMMON STOCK 53261M104      30       9050    Shares                X                 1       9050     0       0
LIMELIGHT
NETWORKS INC      COMMON STOCK 53261M104     665     198725    Shares                X                 3     198725     0       0
LIMITED
BRANDS INC        COMMON       532716107      53       6100    Shares                X                 3       6100     0       0
LINCARE
HOLDINGS INC
COM               COMMON STOCK 532791100      16        715    Shares                X                 3        715     0       0
LINCOLN
NATIONAL CORP     COMMON STOCK 534187109     396      59245    Shares                X                 1      56688     0    2557
LINCOLN
NATIONAL CORP     COMMON STOCK 534187109      69      10310    Shares                         X        1      10310     0       0
LINCOLN
NATIONAL CORP     COMMON STOCK 534187109     135      20150    Shares                X                 2      10750     0    9400


                                   27 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
LINCOLN
NATIONAL CORP   COMMON STOCK 534187109      17       2582    Shares                X                 3       1202   0      1380
LINCOLN
NATIONAL CORP   COMMON STOCK 534187109       1        200    Shares                X                 4        200   0         0
LINEAR
TECHNOLOGY
CORP COM        COMMON STOCK 535678106     192       8355    Shares                X                 1       7605   0       750
LINEAR
TECHNOLOGY
CORP COM        COMMON STOCK 535678106      72       3140    Shares                         X        1       1500   0      1640
LINN ENERGY
LLC             COMMON STOCK 536020100      19       1300    Shares                X                 1       1300   0         0
LIZ CLAIBORNE
INC             COMMON STOCK 539320101       1        400    Shares                         X        1        400   0         0
LLOYDS
BANKING GROUP
PLC             COMMON STOCK 539439109       0         16    Shares                X                 1         16   0         0
LOCKHEED
MARTIN
CORPORATION CO  COMMON STOCK 539830109    7304     105809    Shares                X                 1     105609   0       200
LOCKHEED
MARTIN
CORPORATION CO  COMMON STOCK 539830109    1689      24465    Shares                         X        1      23890   0       575
LOCKHEED
MARTIN
CORPORATION CO  COMMON STOCK 539830109     849      12298    Shares                X                 2          0   0     12298
LOCKHEED
MARTIN
CORPORATION CO  COMMON STOCK 539830109     146       2117    Shares                X                 3       2117   0         0
LOCKHEED
MARTIN
CORPORATION CO  COMMON STOCK 539830109       7        100    Shares                X                 4        100   0         0
LOEWS CORP      COMMON STOCK 540424108      60       2700    Shares                X                 1       2700   0         0
LOEWS CORP      COMMON STOCK 540424108      80       3600    Shares                X                 2          0   0      3600
LORILLARD INC   COMMON STOCK 544147101      46        746    Shares                X                 3        746   0         0
LOUISIANA PAC
CORP            COMMON STOCK 546347105       4       1580    Shares                X                 3       1580   0         0
LOWES
COMPANIES INC   COMMON STOCK 548661107    2977     163126    Shares                X                 1     158026   0      5100
LOWES
COMPANIES INC   COMMON STOCK 548661107     288      15775    Shares                         X        1      12525   0      3250
LOWES
COMPANIES INC   COMMON STOCK 548661107    1762      96560    Shares                X                 3      93222   0      3338
LUBRIZOL CORP   COMMON STOCK 549271104     557      16376    Shares                         X        1      16376   0         0
LUBRIZOL CORP   COMMON STOCK 549271104      44       1300    Shares                X                 3       1300   0         0
LUFKIN
INDUSTRIES INC  COMMON STOCK 549764108      12        315    Shares                X                 3        315   0         0
LULULEMON
ATHLETICA
INC-W/I         COMMON STOCK 550021109     191      22050    Shares                X                 1      22050   0         0
LULULEMON
ATHLETICA
INC-W/I         COMMON STOCK 550021109    1956     225875    Shares                X                 3     225875   0         0
LUMINEX
CORPORATION     COMMON STOCK 55027E102      33       1800    Shares                X                 1       1800   0         0
LUMINEX
CORPORATION     COMMON STOCK 55027E102     738      40700    Shares                X                 3      40700   0         0
M & T BANK
CORP            COMMON STOCK 55261F104   28494     629847    Shares                X                 1     617514   0     12333
M & T BANK
CORP            COMMON STOCK 55261F104    6625     146431    Shares                         X        1      21339   0    125092
M & T BANK
CORP            COMMON STOCK 55261F104       7        150    Shares                X                 2          0   0       150
M & T BANK
CORP            COMMON STOCK 55261F104      13        281    Shares                X                 3        281   0         0
MBIA INC COM    COMMON STOCK 55262C100       0        100    Shares                X                 1        100   0         0
MDU RES GROUP
INC             COMMON STOCK 552690109      16       1000    Shares                X                 1       1000   0         0
MEMC
ELECTRONIC
MATERIALS INC   COMMON STOCK 552715104    1036      62814    Shares                X                 1      61114   0      1700
MEMC
ELECTRONIC
MATERIALS INC   COMMON STOCK 552715104      11        675    Shares                         X        1        600   0        75
MEMC
ELECTRONIC
MATERIALS INC   COMMON STOCK 552715104      29       1755    Shares                X                 3       1085   0       670
MFA FINANCIAL
INC             COMMON STOCK 55272X102      76      13000    Shares                X                 2          0   0         0
MFS
MULTIMARKET     PREFERRED
INCOME TRUST    STOCK        552737108      18       3600    Shares                X                 1          0   0         0
MFS MUN
INCOME TR
SHARES BEN INT  OTHER        552738106      13       2600    Shares                X                 2          0   0         0
MFS GOVT
MARKETS         PREFERRED
INCOME TRUST    STOCK        552939100      23       3200    Shares                X                 1          0   0         0
MYR GROUP INC   COMMON STOCK 55405W104      53       3459    Shares                X                 1       3459   0         0
MYR GROUP INC   COMMON STOCK 55405W104    1395      91415    Shares                X                 3      91415   0         0
THE MACERICH
COMPANY (REIT)  COMMON STOCK 554382101       1        211    Shares                X                 3          0   0         0
MACK CALI
RLTY CORP       COMMON STOCK 554489104       8        396    Shares                X                 3          0   0         0

MACROSHARESARES PREFERRED
USD 100 OIL UP  STOCK        55610W204      42      12000    Shares                X                 1          0   0         0
MACY'S INC      COMMON STOCK 55616P104     385      43260    Shares                X                 1      42760   0       500
MACY'S INC      COMMON STOCK 55616P104      22       2479    Shares                         X        1       2004   0       475
MACY'S INC      COMMON STOCK 55616P104       0         42    Shares                X                 2          0   0        42
MACY'S INC      COMMON STOCK 55616P104      90      10123    Shares                X                 3       7448   0      2675
MAGELLAN
MIDSTREAM
HOLDINGS        COMMON STOCK 55907R108      26       1500    Shares                X                 2          0   0      1500
MAGELLAN
MIDSTREAM
PARTNERS L.     COMMON STOCK 559080106      15        500    Shares                         X        1        500   0         0
MAGELLAN
MIDSTREAM
PARTNERS L.     COMMON STOCK 559080106    4425     150650    Shares                X                 2      23650   0    127000
MAGNA INTL
INC CL A        COMMON STOCK 559222401       0          8    Shares                X                 1          8   0         0
MAGNA INTL
INC CL A        COMMON STOCK 559222401      19        700    Shares                         X        1        700   0         0
MAGNA INTL
INC CL A        COMMON STOCK 559222401      13        486    Shares                X                 3        486   0         0
MAGUIRE
PROPERTIES INC  COMMON STOCK 559775101       1       2000    Shares                X                 2          0   0         0
MANPOWER INC
WIS             COMMON STOCK 56418H100      47       1500    Shares                X                 1       1500   0         0
MANULIFE
FINANCIAL CORP  COMMON STOCK 56501R106     390      34844    Shares                X                 1      34844   0         0
MANULIFE
FINANCIAL CORP  COMMON STOCK 56501R106     287      25600    Shares                X                 2          0   0     25600
MANULIFE
FINANCIAL CORP  COMMON STOCK 56501R106       4        390    Shares                X                 3        390   0         0
MARATHON OIL
CORP            COMMON STOCK 565849106     410      15588    Shares                X                 1      15588   0         0
MARATHON OIL
CORP            COMMON STOCK 565849106     156       5935    Shares                         X        1       5710   0       225
MARATHON OIL
CORP            COMMON STOCK 565849106     581      22100    Shares                X                 3      22100   0         0
MARATHON OIL
CORP            COMMON STOCK 565849106      19        725    Shares                X                 4        725   0         0
MARINER
ENERGY INC      COMMON STOCK 56845T305       3        404    Shares                X                 1        404   0         0
MARKEL CORP
COM             COMMON STOCK 570535104    3163      11145    Shares                X                 2       2210   0      8935
MARKET
VECTORS GOLD    PREFERRED
MINERS          STOCK        57060U100       4        100    Shares                         X        1          0   0         0
MARKET
VECTORS
AGRIBUSINESS    PREFERRED
ET              STOCK        57060U605      11        400    Shares                X                 2          0   0         0


                                   28 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
MARKWEST
ENERGY
PARTNERS LP    COMMON STOCK 570759100      13       1100    Shares                X                 2          0   0     1100
MARSHARES &
MCLENNAN COS
INC COM        COMMON STOCK 571748102      45       2200    Shares                X                 1       2200   0        0
MARSHARES &
MCLENNAN COS
INC COM        COMMON STOCK 571748102      48       2375    Shares                         X        1       2375   0        0
MARSHARES &
MCLENNAN COS
INC COM        COMMON STOCK 571748102       4        215    Shares                X                 3        215   0        0

MARSHARESALL &
ILSLEY CORP    COMMON STOCK 571837103       0         86    Shares                X                 1         86   0        0

MARSHARESALL &
ILSLEY CORP    COMMON STOCK 571837103      20       3600    Shares                X                 3       3600   0        0
MARRIOTT INTL
INC CL A       COMMON STOCK 571903202      33       2000    Shares                X                 1       2000   0        0
MARRIOTT INTL
INC CL A       COMMON STOCK 571903202      33       2006    Shares                         X        1       2006   0        0
MARRIOTT INTL
INC CL A       COMMON STOCK 571903202     502      30689    Shares                X                 2          0   0    30689
MARTEK
BIOSCIENCES
CORP           COMMON STOCK 572901106      22       1200    Shares                X                 1       1200   0        0
MARTEK
BIOSCIENCES
CORP           COMMON STOCK 572901106     484      26500    Shares                X                 3      26500   0        0
MARTIN
MARIETTA
MATERIALS INC  COMMON STOCK 573284106       1         10    Shares                X                 3         10   0        0
MARVEL
ENTERTAINMENT
INC            COMMON STOCK 57383T103     397      14943    Shares                X                 1      14943   0        0
MARVEL
ENTERTAINMENT
INC            COMMON STOCK 57383T103    1023      38527    Shares                X                 3      38527   0        0
MASCO CORP     COMMON STOCK 574599106      78      11172    Shares                X                 1      11172   0        0
MASCO CORP     COMMON STOCK 574599106      64       9143    Shares                         X        1       9143   0        0
MASCO CORP     COMMON STOCK 574599106      24       3400    Shares                X                 3       3400   0        0
MASIMO
CORPORATION    COMMON STOCK 574795100      25        850    Shares                X                 1        850   0        0
MASIMO
CORPORATION    COMMON STOCK 574795100     532      18350    Shares                X                 3      18350   0        0
MASSEY ENERGY
CO COM         COMMON STOCK 576206106       5        523    Shares                X                 1        523   0        0
MASSEY ENERGY
CO COM         COMMON STOCK 576206106      15       1500    Shares                         X        1       1500   0        0
MASTEC INC     COMMON STOCK 576323109      59       4900    Shares                X                 1       4900   0        0
MASTEC INC     COMMON STOCK 576323109    1293     107000    Shares                X                 3     107000   0        0
MASTERCARD
INC CL A       COMMON STOCK 57636Q104     595       3550    Shares                X                 1       3550   0        0
MASTERCARD
INC CL A       COMMON STOCK 57636Q104    1153       6886    Shares                X                 3       6886   0        0
MATTEL INC     COMMON STOCK 577081102      19       1650    Shares                X                 1       1650   0        0
MATTEL INC     COMMON STOCK 577081102      46       3969    Shares                         X        1       3969   0        0
MATTEL INC     COMMON STOCK 577081102      25       2172    Shares                X                 3       2172   0        0
MAXIM
INTEGRATED
PRODS INC COM  COMMON STOCK 57772K101       9        705    Shares                X                 1        705   0        0
MAXIM
INTEGRATED
PRODS INC COM  COMMON STOCK 57772K101      45       3400    Shares                X                 3       3400   0        0
MCAFEE INC     COMMON STOCK 579064106     262       7830    Shares                X                 1       7830   0        0
MCAFEE INC     COMMON STOCK 579064106    1601      47800    Shares                X                 3      47800   0        0
MCCORMICK &
CO-NON VTG
SHARESS        COMMON STOCK 579780206    1575      53265    Shares                X                 1      52565   0      700
MCCORMICK &
CO-NON VTG
SHARESS        COMMON STOCK 579780206     331      11200    Shares                         X        1       9650   0     1550
MCCORMICK &
CO-NON VTG
SHARESS        COMMON STOCK 579780206      30       1000    Shares                X                 3       1000   0        0
MCDERMOTT
INTL INC       COMMON STOCK 580037109    1149      85816    Shares                X                 1      85816   0        0
MCDERMOTT
INTL INC       COMMON STOCK 580037109      20       1500    Shares                         X        1       1200   0      300
MCDERMOTT
INTL INC       COMMON STOCK 580037109      28       2100    Shares                X                 2          0   0     2100
MCDERMOTT
INTL INC       COMMON STOCK 580037109    1733     129537    Shares                X                 3     127804   0     1733
MCDONALD'S
CORPORATION    COMMON STOCK 580135101    6402     117322    Shares                X                 1     116572   0      750
MCDONALD'S
CORPORATION    COMMON STOCK 580135101    1995      36555    Shares                         X        1      32785   0     3770
MCDONALD'S
CORPORATION    COMMON STOCK 580135101     687      12584    Shares                X                 2       4049   0     8535
MCDONALD'S
CORPORATION    COMMON STOCK 580135101    1141      20925    Shares                X                 3      20789   0      136
MCDONALD'S
CORPORATION    COMMON STOCK 580135101      16        300    Shares                X                 4        300   0        0
MC GRAW HILL
COMPANIES INC  COMMON STOCK 580645109     277      12102    Shares                X                 1      12102   0        0
MC GRAW HILL
COMPANIES INC  COMMON STOCK 580645109     576      25195    Shares                         X        1      20795   0     4400
MC GRAW HILL
COMPANIES INC  COMMON STOCK 580645109      25       1100    Shares                X                 3       1100   0        0
MCKESSON
CORPORATION
COM            COMMON STOCK 58155Q103     495      14115    Shares                X                 1      14115   0        0
MCKESSON
CORPORATION
COM            COMMON STOCK 58155Q103       7        200    Shares                         X        1         50   0      150
MCKESSON
CORPORATION
COM            COMMON STOCK 58155Q103      51       1453    Shares                X                 3        430   0     1023
MCMORAN
EXPLORATION CO COMMON STOCK 582411104       1        125    Shares                X                 1        125   0        0
MEADWESTVACO
CORP           COMMON STOCK 583334107       6        489    Shares                X                 1        489   0        0
MEADWESTVACO
CORP           COMMON STOCK 583334107       4        375    Shares                X                 2          0   0      375
MEADWESTVACO
CORP           COMMON STOCK 583334107      19       1545    Shares                X                 3       1545   0        0
MEDAREX INC    COMMON STOCK 583916101      24       4600    Shares                X                 1       4600   0        0
MEDAREX INC    COMMON STOCK 583916101     523     101900    Shares                X                 3     101900   0        0
MEDASSETS INC  COMMON STOCK 584045108      36       2550    Shares                X                 1       2550   0        0
MEDASSETS INC  COMMON STOCK 584045108     656      46050    Shares                X                 3      46050   0        0
MEDCO HEALTH
SOLUTIONS INC  COMMON STOCK 58405U102    1067      25817    Shares                X                 1      25817   0        0
MEDCO HEALTH
SOLUTIONS INC  COMMON STOCK 58405U102    1817      43941    Shares                         X        1      38889   0     5052
MEDCO HEALTH
SOLUTIONS INC  COMMON STOCK 58405U102     100       2412    Shares                X                 2          0   0     2412
MEDCO HEALTH
SOLUTIONS INC  COMMON STOCK 58405U102       2         48    Shares                X                 4         48   0        0
MEDIA GEN INC
CL A           COMMON STOCK 584404107       1        400    Shares                X                 2          0   0      400
THE MEDICINES
COMPANY        COMMON STOCK 584688105      19       1750    Shares                X                 1       1750   0        0
THE MEDICINES
COMPANY        COMMON STOCK 584688105     415      38200    Shares                X                 3      38200   0        0
MEDNAX INC     COMMON STOCK 58502B106       4        130    Shares                         X        1        130   0        0
MEDTRONIC INC  COMMON STOCK 585055106    1969      66802    Shares                X                 1      66002   0      800


                                   29 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
MEDTRONIC INC  COMMON STOCK 585055106    2382      80837    Shares                         X        1      76172   0      4665
MEDTRONIC INC  COMMON STOCK 585055106   11618     394218    Shares                X                 2     124525   0    269693
MERCK & CO
INC COM        COMMON STOCK 589331107    5079     189852    Shares                X                 1     189852   0         0
MERCK & CO
INC COM        COMMON STOCK 589331107    3833     143297    Shares                         X        1     134667   0      8630
MERCK & CO
INC COM        COMMON STOCK 589331107     536      20028    Shares                X                 2          0   0     20028
MERCK & CO
INC COM        COMMON STOCK 589331107     131       4904    Shares                X                 3       3425   0      1479
MERCK & CO
INC COM        COMMON STOCK 589331107       5        200    Shares                X                 4        200   0         0
MERCURY
GENERAL CORP   COMMON       589400100      48       1600    Shares                X                 3       1600   0         0
MESA
LABORATORIES
INC COM        COMMON STOCK 59064R109       8        500    Shares                X                 1        500   0         0
METAVANTE
TECHNOLOGIES
INC            COMMON STOCK 591407101      24       1200    Shares                X                 3       1200   0         0
METLIFE CAP
TR I           COMMON STOCK 59156R108     662      29057    Shares                X                 1      29057   0         0
METLIFE CAP
TR I           COMMON STOCK 59156R108      14        621    Shares                         X        1        621   0         0
METLIFE CAP
TR I           COMMON STOCK 59156R108      13        588    Shares                X                 2          0   0       588
METLIFE CAP
TR I           COMMON STOCK 59156R108    1426      62628    Shares                X                 3      62478   0       150
METLIFE INC
PFD CONV       CONV PFD
6.375% 8/15/08 STOCK        59156R702     491      47645    Shares                X                 2      47645   0         0
METROPOLITAN
HEALTH
NETWORKS I     COMMON STOCK 592142103       1        500    Shares                X                 1        500   0         0
MICROS
SYSTEMS INC    COMMON STOCK 594901100      39       2100    Shares                X                 1       2100   0         0
MICROS
SYSTEMS INC    COMMON STOCK 594901100     859      45825    Shares                X                 3      45825   0         0
MICROSOFT CORP COMMON STOCK 594918104   15234     829292    Shares                X                 1     811437   0     17855
MICROSOFT CORP COMMON STOCK 594918104    5080     276511    Shares                         X        1     247590   0     28921
MICROSOFT CORP COMMON STOCK 594918104     845      45982    Shares                X                 2      40782   0      5200
MICROSOFT CORP COMMON STOCK 594918104    4642     252627    Shares                X                 3     244318   0      8309
MICROSOFT CORP COMMON STOCK 594918104      20       1100    Shares                X                 4       1100   0         0
MICROSTRATEGY
INC            COMMON STOCK 594972408       1         27    Shares                X                 2          0   0        27
MICROCHIP
TECHNOLOGY
INC COM        COMMON STOCK 595017104     118       5550    Shares                X                 1       5550   0         0
MICROCHIP
TECHNOLOGY
INC COM        COMMON STOCK 595017104      11        500    Shares                         X        1        500   0         0
MICROSEMI CORP COMMON STOCK 595137100      60       5200    Shares                X                 1       5200   0         0
MICROSEMI CORP COMMON STOCK 595137100    1313     113175    Shares                X                 3     113175   0         0
MID-AMERICA
APARTMENT
COMMUNIT       COMMON STOCK 59522J103      46       1500    Shares                X                 2          0   0         0
MID-AMERICA
APARTMENT
COMMUNIT       COMMON STOCK 59522J103       7        236    Shares                X                 3          0   0         0
MID PENN
BANCORP
INCORPORATED   COMMON STOCK 59540G107      30       1597    Shares                X                 1       1597   0         0
MIDCAP SPDR
TRUST SERIES   PREFERRED
1 S&P          STOCK        595635103     936      10567    Shares                X                 1          0   0         0
MIDCAP SPDR
TRUST SERIES   PREFERRED
1 S&P          STOCK        595635103    1464      16520    Shares                         X        1          0   0         0
MIDCAP SPDR
TRUST SERIES   PREFERRED
1 S&P          STOCK        595635103     117       1325    Shares                X                 2          0   0         0
MIDCAP SPDR
TRUST SERIES   PREFERRED
1 S&P          STOCK        595635103      40        455    Shares                X                 3          0   0         0
MINE SAFETY
APPLIANCES CO  COMMON STOCK 602720104      13        650    Shares                X                 1        650   0         0
MIRANT CORP    COMMON       60467R100     169      14800    Shares                X                 3      14800   0         0

MITSUBISHARESI
UFJ FINANCIAL
GRP-A          COMMON STOCK 606822104       1        200    Shares                X                 1        200   0         0
MITSUI & CO
LTD-SPONS ADR  COMMON STOCK 606827202       1          4    Shares                X                 1          4   0         0
MOLEX INC      COMMON STOCK 608554101      47       3400    Shares                X                 1       3400   0         0
MOLSON COORS
BREWING
COMPANY        COMMON STOCK 60871R209      21        600    Shares                         X        1        600   0         0
MONOGRAM
BIOSCIENCES
INC            COMMON STOCK 60975U207       2        833    Shares                X                 2          0   0       833
MONOLITHIC
POWER SYSTEMS
INC            COMMON STOCK 609839105       7        430    Shares                X                 3        430   0         0
MONSANTO
COMPANY        COMMON STOCK 61166W101    3072      36973    Shares                X                 1      36673   0       300
MONSANTO
COMPANY        COMMON STOCK 61166W101    1157      13923    Shares                         X        1      12528   0      1395
MONSANTO
COMPANY        COMMON STOCK 61166W101    1476      17760    Shares                X                 3      17217   0       543
MONTGOMERY ST
INCOME SECS    PREFERRED
INC            STOCK        614115103      62       4653    Shares                X                 1          0   0         0
MOODYS CORP    COMMON STOCK 615369105     250      10927    Shares                X                 1       8575   0      2352
MOODYS CORP    COMMON STOCK 615369105     186       8125    Shares                         X        1       7900   0       225
MOODYS CORP    COMMON STOCK 615369105     541      23600    Shares                X                 3      23600   0         0
MOOG INC CL A  COMMON STOCK 615394202       2         75    Shares                X                 1         75   0         0
MOOG INC CL A  COMMON STOCK 615394202       5        235    Shares                X                 3        235   0         0
MORGAN
STANLEY GROUP
INC            COMMON STOCK 617446448     784      34416    Shares                X                 1      34416   0         0
MORGAN
STANLEY GROUP
INC            COMMON STOCK 617446448     364      15970    Shares                         X        1      15458   0       512
MORGAN
STANLEY GROUP
INC            COMMON STOCK 617446448     173       7594    Shares                X                 3       6238   0      1356
MORGAN
STANLEY
EMERGING MKTS  PREFERRED
D              STOCK        61744H105       4        500    Shares                X                 1          0   0         0
MORGAN
STANLEY HIGH   PREFERRED
YLD FD INC     STOCK        61744M104       1        300    Shares                X                 1          0   0         0
MORGAN
STANLEY
QUALITY MUNI   PREFERRED
IN             STOCK        61745P668      18       1708    Shares                         X        1          0   0         0
MORGAN STAN
DEAN QUALITY   PREFERRED
MUN I          STOCK        61745P734      15       1413    Shares                         X        1          0   0         0
MORGAN
STANLEY INSD   PREFERRED
MUNI INCOM     STOCK        61745P791      33       2814    Shares                         X        1          0   0         0
THE MOSAIC
COMPANY        COMMON STOCK 61945A107    2630      62640    Shares                X                 1      62640   0         0
THE MOSAIC
COMPANY        COMMON STOCK 61945A107     227       5415    Shares                         X        1       4940   0       475
THE MOSAIC
COMPANY        COMMON STOCK 61945A107    1168      27806    Shares                X                 3      26891   0       915
MOTOROLA INC   COMMON STOCK 620076109     130      30755    Shares                X                 1      30755   0         0
MOTOROLA INC   COMMON STOCK 620076109     179      42250    Shares                         X        1      42250   0         0
MOTOROLA INC   COMMON STOCK 620076109      18       4300    Shares                X                 2          0   0      4300
MOTOROLA INC   COMMON STOCK 620076109      15       3450    Shares                X                 3       3450   0         0


                                   30 of 49





                                                   SEC USE ______________________________________________

                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                   COLUMN 2                         SHARES
                    TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                      OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
MOTOROLA INC     COMMON STOCK 620076109       1        150    Shares                X                 4        150   0        0
MURPHY OIL
CORP             COMMON STOCK 626717102      34        750    Shares                X                 1        750   0        0
MURPHY OIL
CORP             COMMON STOCK 626717102      67       1500    Shares                         X        1       1500   0        0
MURPHY OIL
CORP             COMMON STOCK 626717102      45       1000    Shares                X                 2          0   0     1000
MYLAN INC        COMMON STOCK 628530107       7        533    Shares                X                 1        533   0        0
MYLAN INC        COMMON STOCK 628530107      13        945    Shares                X                 3        945   0        0
MYRIAD
GENETICS INC
COM              COMMON STOCK 62855J104      89       1950    Shares                X                 1       1950   0        0
MYRIAD
GENETICS INC
COM              COMMON STOCK 62855J104    1809      39788    Shares                X                 3      39788   0        0
NBT BANCORP
INC. COM         COMMON STOCK 628778102     103       4748    Shares                X                 1       4748   0        0
NCR CORP         COMMON STOCK 62886E108       2        298    Shares                X                 1        298   0        0
NCR CORP         COMMON STOCK 62886E108       6        724    Shares                         X        1        708   0       16
NCI
INCORPORATED
- CLASS A        COMMON STOCK 62886K104      39       1482    Shares                X                 1       1482   0        0
NCI
INCORPORATED
- CLASS A        COMMON STOCK 62886K104     840      32300    Shares                X                 3      32300   0        0
NII HOLDINGS
INC-CL B         COMMON STOCK 62913F201       5        300    Shares                X                 1        300   0        0
NII HOLDINGS
INC-CL B         COMMON STOCK 62913F201      36       2409    Shares                X                 3       2409   0        0
NTT DOCOMO
INC SPONSORED
ADR              COMMON STOCK 62942M201       1         81    Shares                X                 1         81   0        0
NVR INC          COMMON STOCK 62944T105       5         12    Shares                X                 3         12   0        0
NYSE EURONEXT    COMMON STOCK 629491101      20       1100    Shares                X                 1         50   0     1050
NYSE EURONEXT    COMMON STOCK 629491101      14        800    Shares                         X        1        800   0        0
NASDAQ OMX
GROUP            COMMON STOCK 631103108       4        200    Shares                X                 1        200   0        0
NASDAQ OMX
GROUP            COMMON STOCK 631103108       4        195    Shares                X                 3        195   0        0
NASDAQ
PREMIUM
INCOME &         PREFERRED
GROWTH           STOCK        63110R105     238      24400    Shares                X                 2          0   0        0
NATCO GROUP
INC              COMMON STOCK 63227W203       7        375    Shares                X                 1        375   0        0
NATCO GROUP
INC              COMMON STOCK 63227W203     158       8350    Shares                X                 3       8350   0        0
NATL FUEL GAS
CO               COMMON STOCK 636180101      12        400    Shares                X                 1        400   0        0
NATL FUEL GAS
CO               COMMON STOCK 636180101      31       1000    Shares                         X        1       1000   0        0
NATIONAL GRID
GROUP PLC-ADR    COMMON STOCK 636274300      16        415    Shares                X                 1        415   0        0
NATIONAL GRID
GROUP PLC-ADR    COMMON STOCK 636274300       5        118    Shares                         X        1        118   0        0

NATIONAL-OILWELL
VARCO INC        COMMON STOCK 637071101    1488      51813    Shares                X                 1      50263   0     1550

NATIONAL-OILWELL
VARCO INC        COMMON STOCK 637071101     186       6489    Shares                         X        1       3274   0     3215

NATIONAL-OILWELL
VARCO INC        COMMON STOCK 637071101    1311      45675    Shares                X                 2      17325   0    28350

NATIONAL-OILWELL
VARCO INC        COMMON STOCK 637071101    2843      99034    Shares                X                 3      99034   0        0
NATIONAL PENN
BANCSHARESARES
INC              COMMON STOCK 637138108      69       8356    Shares                X                 1       8356   0        0
NATIONAL PENN
BANCSHARESARES
INC              COMMON STOCK 637138108      58       7041    Shares                         X        1       7041   0        0
NATIONAL
SEMICONDUCTOR
CORP CO          COMMON STOCK 637640103       9        850    Shares                X                 1        850   0        0
NATIONAL
SEMICONDUCTOR
CORP CO          COMMON STOCK 637640103      32       3090    Shares                         X        1       3090   0        0
NATIONWIDE
HEALTH
PROPERTIES (     COMMON STOCK 638620104      22       1000    Shares                X                 1          0   0        0
NATIONWIDE
HEALTH
PROPERTIES (     COMMON STOCK 638620104      17        761    Shares                X                 3          0   0        0
NATURAL
RESOURCE
PARTNERS L P     COMMON STOCK 63900P103     558      25000    Shares                X                 2          0   0    25000
NAVISTAR
INTERNATIONAL
CORP             COMMON STOCK 63934E108       3        100    Shares                X                 1        100   0        0
NAVISTAR
INTERNATIONAL
CORP             COMMON STOCK 63934E108       2         45    Shares                X                 2          0   0       45
NEENAH PAPER
INC              COMMON STOCK 640079109       4       1020    Shares                X                 1       1020   0        0
NEENAH PAPER
INC              COMMON STOCK 640079109       0         18    Shares                         X        1         18   0        0
NET 1 UEPS
TECHNOLOGIES
INC              COMMON STOCK 64107N206      26       1700    Shares                X                 1       1700   0        0
NET 1 UEPS
TECHNOLOGIES
INC              COMMON STOCK 64107N206     564      37075    Shares                X                 3      37075   0        0
NETAPP INC       COMMON STOCK 64110D104      48       3225    Shares                X                 1       2525   0      700
NETAPP INC       COMMON STOCK 64110D104       4        275    Shares                         X        1        275   0        0
NETFLIX.COM
INC              COMMON STOCK 64110L106      38        875    Shares                X                 1        875   0        0
NETFLIX.COM
INC              COMMON STOCK 64110L106     462      10759    Shares                X                 3      10759   0        0
NETSUITE INC     COMMON STOCK 64118Q107      26       2290    Shares                X                 1       2290   0        0
NETSUITE INC     COMMON STOCK 64118Q107     549      48825    Shares                X                 3      48825   0        0
NEUROCRINE
BIOSCIENCES
INC              COMMON STOCK 64125C109       2        500    Shares                         X        1          0   0      500
NEW JERSEY
RESOURCES CORP   COMMON STOCK 646025106       3         99    Shares                         X        1         99   0        0
NEW YORK
COMMUNITY
BANCORP INC      COMMON STOCK 649445103      14       1290    Shares                X                 3       1290   0        0
NEW YORK
TIMES CO CL A    COMMON STOCK 650111107       6       1220    Shares                X                 1       1220   0        0
NEWELL
RUBBERMAID
INC COM          COMMON STOCK 651229106      34       5331    Shares                X                 1       5331   0        0
NEWELL
RUBBERMAID
INC COM          COMMON STOCK 651229106      69      10817    Shares                         X        1      10817   0        0
NEWELL
RUBBERMAID
INC COM          COMMON STOCK 651229106      25       3954    Shares                X                 3       3954   0        0
NEWFIELD
EXPLORATION CO   COMMON STOCK 651290108      65       2879    Shares                X                 1       2879   0        0
NEWFIELD
EXPLORATION CO   COMMON STOCK 651290108       3        125    Shares                         X        1        125   0        0
NEWFIELD
EXPLORATION CO   COMMON STOCK 651290108     301      13242    Shares                X                 3      13242   0        0
NEWMARKET
CORPORATION      COMMON STOCK 651587107     348       7860    Shares                         X        1       7800   0       60
NEWMONT MINING   COMMON STOCK 651639106      18        391    Shares                X                 1        340   0       51
NEWMONT MINING   COMMON STOCK 651639106      67       1500    Shares                         X        1        600   0      900
NEWMONT MINING   COMMON STOCK 651639106      39        879    Shares                X                 3        879   0        0
NEWS CORP
INC-A            COMMON STOCK 65248E104     898     135641    Shares                X                 1     135631   0       10
NEWS CORP
INC-A            COMMON STOCK 65248E104      28       4275    Shares                         X        1       4275   0        0


                                   31 of 49





                                                     SEC USE ______________________________________________

                                                                                     COLUMN 6                      COLUMN 8
                                                             COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                     COLUMN 2                         SHARES
                      TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                        OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
NEWS CORP
INC-A              COMMON STOCK 65248E104      88      13237    Shares                X                 3       7989   0    5248
NEWS
CORP-CLASS B       COMMON STOCK 65248E203       6        765    Shares                X                 1        765   0       0
NEWS
CORP-CLASS B       COMMON STOCK 65248E203       3        450    Shares                         X        1        450   0       0
NEXEN INC          COMMON STOCK 65334H102       3        160    Shares                X                 1        160   0       0
NEXEN INC          COMMON STOCK 65334H102      10        595    Shares                X                 3        595   0       0

NICHOLAS-APPLEGATE PREFERRED
INTL & PREM        STOCK        65370C108       6        600    Shares                         X        1          0   0       0
NICOR INC          COMMON STOCK 654086107      17        500    Shares                X                 1        500   0       0
NICOR INC          COMMON STOCK 654086107       7        200    Shares                         X        1        200   0       0
NIKE INC CL B      COMMON STOCK 654106103    1934      41255    Shares                X                 1      40260   0     995
NIKE INC CL B      COMMON STOCK 654106103     198       4220    Shares                         X        1       2970   0    1250
NIKE INC CL B      COMMON STOCK 654106103      36        765    Shares                X                 2          0   0     765
NIKE INC CL B      COMMON STOCK 654106103     675      14403    Shares                X                 3      14403   0       0
NIPPON
TELEGRAPH &
TELE ADR           COMMON STOCK 654624105      27       1435    Shares                X                 3       1435   0       0
NISOURCE INC       COMMON STOCK 65473P105      45       4621    Shares                X                 1       4621   0       0
NISOURCE INC       COMMON STOCK 65473P105      22       2251    Shares                         X        1       2251   0       0
NISSAN MOTOR
LTD SPONS ADR      COMMON STOCK 654744408       1        115    Shares                X                 1        115   0       0
NOKIA CORP
SPONSORED ADR      COMMON STOCK 654902204     401      34344    Shares                X                 1      34344   0       0
NOKIA CORP
SPONSORED ADR      COMMON STOCK 654902204     293      25095    Shares                         X        1      24645   0     450
NOKIA CORP
SPONSORED ADR      COMMON STOCK 654902204      43       3700    Shares                X                 3       3700   0       0
NOBLE ENERGY
INC                COMMON STOCK 655044105     259       4815    Shares                X                 1       4815   0       0
NOBLE ENERGY
INC                COMMON STOCK 655044105      22        400    Shares                         X        1        400   0       0
NOBLE ENERGY
INC                COMMON STOCK 655044105    1354      25135    Shares                X                 3      25135   0       0
NOMURA HLDGS
INC                COMMON STOCK 65535H208       1        147    Shares                X                 1        147   0       0
NORDSTROM INC
COM                COMMON STOCK 655664100     502      29973    Shares                X                 1      29973   0       0
NORDSTROM INC
COM                COMMON STOCK 655664100       2        100    Shares                         X        1        100   0       0
NORDSTROM INC
COM                COMMON STOCK 655664100    1326      79118    Shares                X                 3      79118   0       0
NORFOLK
SOUTHERN CORP      COMMON STOCK 655844108     876      25955    Shares                X                 1      25755   0     200
NORFOLK
SOUTHERN CORP      COMMON STOCK 655844108     598      17710    Shares                         X        1      15010   0    2700
NORFOLK
SOUTHERN CORP      COMMON STOCK 655844108      15        450    Shares                X                 3        450   0       0
NORTHEAST
UTILITIES COM      COMMON STOCK 664397106      20        930    Shares                X                 1        930   0       0
NORTHERN
TRUST CORP COM     COMMON STOCK 665859104       1         16    Shares                X                 1         16   0       0
NORTHERN
TRUST CORP COM     COMMON STOCK 665859104      23        389    Shares                X                 3        389   0       0
NORTHROP
GRUMMAN CORP       COMMON STOCK 666807102     248       5693    Shares                X                 1       5693   0       0
NORTHROP
GRUMMAN CORP       COMMON STOCK 666807102      97       2223    Shares                         X        1       2223   0       0
NORTHROP
GRUMMAN CORP       COMMON STOCK 666807102     126       2900    Shares                X                 3       2900   0       0
NORTHWEST
NATURAL GAS
COMPANY            COMMON STOCK 667655104      48       1100    Shares                X                 1       1100   0       0
NORTHWEST
NATURAL GAS
COMPANY            COMMON STOCK 667655104      22        500    Shares                         X        1        500   0       0
NORTHWEST
PIPE COMPANY       COMMON STOCK 667746101      19        670    Shares                X                 1        670   0       0
NORTHWESTERN
CORP               COMMON STOCK 668074305       0          1    Shares                         X        1          1   0       0
NOVA
CHEMICALS CORP     COMMON STOCK 66977W109       2        312    Shares                X                 1        312   0       0
NOVAGOLD
RESOURCES INC      COMMON STOCK 66987E206       0         76    Shares                X                 3         76   0       0
NOVARTIS AG
ADR                COMMON STOCK 66987V109    3826     101135    Shares                X                 1     100048   0    1087
NOVARTIS AG
ADR                COMMON STOCK 66987V109     507      13399    Shares                         X        1      10989   0    2410
NOVARTIS AG
ADR                COMMON STOCK 66987V109     296       7825    Shares                X                 3       5442   0    2383
NOVELL INC         COMMON STOCK 670006105       3        650    Shares                X                 1        650   0       0
NOVELL INC         COMMON STOCK 670006105      21       5000    Shares                         X        1       5000   0       0
NOVO-NORDISK
A/S SPONS ADR      COMMON STOCK 670100205     240       5000    Shares                X                 2          0   0    5000
NU SKIN
ENTERPRISES
INC                COMMON STOCK 67018T105       8        800    Shares                X                 2          0   0     800
NSTAR COM          COMMON STOCK 67019E107      37       1170    Shares                X                 1       1170   0       0
NUANCE
COMMUNICATIONS
INC                COMMON STOCK 67020Y100      27       2450    Shares                X                 1       2450   0       0
NUANCE
COMMUNICATIONS
INC                COMMON STOCK 67020Y100     723      66502    Shares                X                 3      66502   0       0
NUCOR CORP         COMMON STOCK 670346105     318       8330    Shares                X                 1       6030   0    2300
NUCOR CORP         COMMON STOCK 670346105      56       1469    Shares                         X        1       1469   0       0
NUCOR CORP         COMMON STOCK 670346105       4        101    Shares                X                 3        101   0       0
NUCRYST
PHARMACEUTICALS
CORP               COMMON STOCK 67035Q100       0        200    Shares                X                 1        200   0       0
NUSTAR ENERGY
LP                 COMMON STOCK 67058H102       9        200    Shares                         X        1        200   0       0
NUSTAR GP
HOLDINGS LLC       COMMON STOCK 67059L102      31       1500    Shares                X                 2          0   0    1500
NUVEEN PA
PREM INCOME        PREFERRED
MUN FD 2           STOCK        67061F101      32       3215    Shares                X                 1          0   0       0
NUVEEN PA
PREM INCOME        PREFERRED
MUN FD 2           STOCK        67061F101    1391     137734    Shares                         X        1          0   0       0
NUVEEN
MARYLAND PREM      PREFERRED
INC MUN F          STOCK        67061Q107      24       2100    Shares                X                 2          0   0       0
NUVEEN INVT
QUALITY MUNI       PREFERRED
FD                 STOCK        67062E103       4        333    Shares                         X        1          0   0       0
NUVEEN
MUNICIPAL          PREFERRED
ADVANTAGE FD       STOCK        67062H106      12       1000    Shares                         X        1          0   0       0
NUVEEN INSD        PREFERRED
QUALITY MUN FD     STOCK        67062N103      17       1400    Shares                X                 1          0   0       0
NUVEEN INSD        PREFERRED
QUALITY MUN FD     STOCK        67062N103       9        760    Shares                X                 2          0   0       0
NUVEEN
PERFORMANCE        PREFERRED
PLUS MUNI F        STOCK        67062P108      35       3000    Shares                X                 1          0   0       0
NUVEEN
PERFORMANCE        PREFERRED
PLUS MUNI F        STOCK        67062P108       5        390    Shares                         X        1          0   0       0
NUVEEN SELECT      PREFERRED
TAX-FREE INC 2     STOCK        67063C106     526      40000    Shares                         X        1          0   0       0


                                   32 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                      COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                  ------------------------ ----------------------          -------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                  
NVIDIA CORP
COM             COMMON STOCK 67066G104     103      10475    Shares                X                 1      10475   0        0
NVIDIA CORP
COM             COMMON STOCK 67066G104     541      54800    Shares                X                 3      54800   0        0
NUVEEN VA DVD
ADV MUNI BOND   PREFERRED
FU              STOCK        67069M108      53       4000    Shares                X                 1          0   0        0
NUVEEN
MARYLAND        PREFERRED
DIVIDEND ADV M  STOCK        67069R107      11        923    Shares                X                 1          0   0        0
NUVEEN CA DVD   PREFERRED
ADV MUNI FD 2   STOCK        67069X104      32       2975    Shares                X                 1          0   0        0
NUVEEN
INSURED PREM    PREFERRED
INC MUNI F      STOCK        6706D8104      32       3100    Shares                X                 2          0   0        0
NUVASIVE INC    COMMON STOCK 670704105      57       1826    Shares                X                 1       1826   0        0
NUVASIVE INC    COMMON STOCK 670704105    1063      33856    Shares                X                 3      33856   0        0
NUVEEN PA
DIVIDEND ADV    PREFERRED
MUNI FD         STOCK        67070E103      11       1000    Shares                         X        1          0   0        0
NUVEEN MD DIV
ADVANTAGE MUN   PREFERRED
FD              STOCK        67070V105      49       4059    Shares                X                 1          0   0        0
NUVEEN MD DIV
ADVANTAGE MUN   PREFERRED
FD              STOCK        67070V105      12       1000    Shares                X                 2          0   0        0
NUVEEN VA DVD   PREFERRED
ADV MUNI FD 2   STOCK        67071C106      56       4000    Shares                X                 1          0   0        0
NUVEEN
QUALITY
PREFERRED INC   PREFERRED
F               STOCK        67071S101      57      15000    Shares                X                 2          0   0        0
NUVEEN
QUALITY PFD     PREFERRED
INCOME FD 2     STOCK        67072C105       7       1735    Shares                X                 1          0   0        0
NUVEEN
QUALITY PFD     PREFERRED
INCOME FD 2     STOCK        67072C105     100      25000    Shares                X                 2          0   0        0
NUVEEN
QUALITY PFD     PREFERRED
INCOME FD 3     STOCK        67072W101       3        700    Shares                         X        1          0   0        0
NUVEEN PFD &
CVRT INCOME     PREFERRED
FUND            STOCK        67073B106       4       1000    Shares                X                 1          0   0        0
NUVEEN MULTI
STRATEGY        PREFERRED
INC & GR        STOCK        67073D102       7       1860    Shares                X                 1          0   0        0
NUVEEN MULTI
STRATEGY        PREFERRED
INC & GR        STOCK        67073D102       2        500    Shares                         X        1          0   0        0
NV ENERGY INC   COMMON STOCK 67073Y106       5        495    Shares                X                 1        495   0        0
OGE ENERGY
CORP COM        COMMON STOCK 670837103       7        300    Shares                X                 1        300   0        0
OGE ENERGY
CORP COM        COMMON STOCK 670837103      43       1810    Shares                         X        1       1810   0        0
NUVEEN
MUNICIPAL       PREFERRED
VALUE FUND      STOCK        670928100      26       2963    Shares                X                 1          0   0        0
NUVEEN
MUNICIPAL       PREFERRED
VALUE FUND      STOCK        670928100      23       2594    Shares                         X        1          0   0        0
NUVEEN PA
INVT QUALITY    PREFERRED
MUN FD          STOCK        670972108     101       9066    Shares                X                 1          0   0        0
NUVEEN PA
INVT QUALITY    PREFERRED
MUN FD          STOCK        670972108      40       3600    Shares                         X        1          0   0        0
NUVEEN SELECT   PREFERRED
QUALITY MUN FD  STOCK        670973106       5        406    Shares                         X        1          0   0        0
NUVEEN
QUALITY         PREFERRED
INCOME MUNI FD  STOCK        670977107       6        500    Shares                X                 1          0   0        0
NUVEEN
QUALITY         PREFERRED
INCOME MUNI FD  STOCK        670977107       2        210    Shares                         X        1          0   0        0
NUVEEN INSD
MUNI            PREFERRED
OPPORTUNITY     STOCK        670984103       5        396    Shares                         X        1          0   0        0
NUVEEN INSD
MUNI            PREFERRED
OPPORTUNITY     STOCK        670984103       6        500    Shares                X                 2          0   0        0
NUVEEN
PREMIER INSD    PREFERRED
MUNI INC F      STOCK        670987106       5        410    Shares                X                 1          0   0        0
NUVEEN
PREMIER INSD    PREFERRED
MUNI INC F      STOCK        670987106      12       1000    Shares                         X        1          0   0        0
NUVEEN
PREMIER INSD    PREFERRED
MUNI INC F      STOCK        670987106      13       1050    Shares                X                 2          0   0        0
OSI
PHARMACEUTICALS
INC COM         COMMON STOCK 671040103      57       1500    Shares                X                 1       1500   0        0
OSI
PHARMACEUTICALS
INC COM         COMMON STOCK 671040103    1472      38478    Shares                X                 3      38478   0        0
OCCIDENTAL
PETE CORP COM   COMMON STOCK 674599105     376       6761    Shares                X                 1       6761   0        0
OCCIDENTAL
PETE CORP COM   COMMON STOCK 674599105     195       3501    Shares                         X        1       3501   0        0
OCCIDENTAL
PETE CORP COM   COMMON STOCK 674599105    1416      25450    Shares                X                 2       8000   0    17450
OCCIDENTAL
PETE CORP COM   COMMON STOCK 674599105      28        500    Shares                X                 3        500   0        0
OCEANEERING
INTL INC COM    COMMON STOCK 675232102      29        800    Shares                X                 1        800   0        0
OFFICEMAX INC   COMMON STOCK 67622P101       1        280    Shares                X                 1        280   0        0
OLD NATIONAL
BANCORP COM     COMMON STOCK 680033107      64       5700    Shares                X                 1       5700   0        0
OLD REPUBLIC
INTL CORP COM   COMMON STOCK 680223104      30       2800    Shares                X                 1       2800   0        0
OLIN CORP COM   COMMON STOCK 680665205      15       1050    Shares                X                 1       1050   0        0
OLIN CORP COM   COMMON STOCK 680665205      14       1000    Shares                         X        1       1000   0        0
OMNICARE INC
COM             COMMON STOCK 681904108       0         17    Shares                X                 1         17   0        0
OMNICOM GROUP
INC COM         COMMON STOCK 681919106      80       3430    Shares                X                 1       3430   0        0
OMNICOM GROUP
INC COM         COMMON STOCK 681919106      73       3100    Shares                         X        1       3100   0        0
OMEGA
HEALTHCARE
INVESTORS INC   COMMON STOCK 681936100       5        356    Shares                X                 3          0   0        0
OMNITURE INC    COMMON STOCK 68212S109      10        760    Shares                X                 3        760   0        0
ON
SEMICONDUCTOR
CORPORATION     COMMON STOCK 682189105       0         85    Shares                X                 1         85   0        0
ONCOTHYREON
INC             COMMON STOCK 682324108       2        833    Shares                X                 1        150   0      683
ONEOK INC       COMMON STOCK 682680103      18        800    Shares                X                 1        800   0        0
ONEOK
PARTNERS LP     COMMON STOCK 68268N103      61       1500    Shares                X                 1       1500   0        0
ONEOK
PARTNERS LP     COMMON STOCK 68268N103      37        900    Shares                         X        1        900   0        0
ONEOK
PARTNERS LP     COMMON STOCK 68268N103      24        600    Shares                X                 2          0   0      600
ONYX
PHARMACEUTICALS
INC             COMMON STOCK 683399109      17        600    Shares                X                 1        600   0        0
ONYX
PHARMACEUTICALS
INC             COMMON STOCK 683399109     624      21847    Shares                X                 3      21847   0        0
OPTIMAL GROUP
INC - CL A      COMMON STOCK 68388R208       0        300    Shares                X                 1        300   0        0
ORACLE
CORPORATION
COM             COMMON STOCK 68389X105    2553     141268    Shares                X                 1     141268   0        0
ORACLE
CORPORATION
COM             COMMON STOCK 68389X105     476      26315    Shares                         X        1      25215   0     1100
ORACLE
CORPORATION
COM             COMMON STOCK 68389X105    1431      79166    Shares                X                 2      36166   0    43000
ORACLE
CORPORATION
COM             COMMON STOCK 68389X105    1720      95197    Shares                X                 3      95197   0        0
ORACLE
CORPORATION
COM             COMMON STOCK 68389X105      15        850    Shares                X                 4        850   0        0
OPTIONSXPRESS
HOLDINGS INC    COMMON STOCK 684010101      13       1150    Shares                X                 1       1150   0        0
OPTIONSXPRESS
HOLDINGS INC    COMMON STOCK 684010101     284      24950    Shares                X                 3      24950   0        0


                                   33 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                      COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                  ------------------------ ----------------------          -------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                  
OREXIGEN
THERAPEUTICS
INC             COMMON STOCK 686164104      14       5550    Shares                X                 1       5550     0      0
OREXIGEN
THERAPEUTICS
INC             COMMON STOCK 686164104     320     122550    Shares                X                 3     122550     0      0
ORION MARINE
GROUP INC       COMMON STOCK 68628V308      48       3700    Shares                X                 1       3700     0      0
ORION MARINE
GROUP INC       COMMON STOCK 68628V308    1088      83000    Shares                X                 3      83000     0      0

OSHARESKOSHARES
CORPORATION     COMMON STOCK 688239201       1        200    Shares                X                 1        200     0      0
OTELCO INC      COMMON STOCK 688823202       1         55    Shares                X                 1         55     0      0
PAB
BANKSHARESARES
INC             COMMON STOCK 69313P101       8       2040    Shares                X                 2          0     0   2040
P G & E CORP    COMMON STOCK 69331C108     116       3044    Shares                X                 1       3044     0      0
P G & E CORP    COMMON STOCK 69331C108      80       2100    Shares                         X        1        600     0   1500
P G & E CORP    COMMON STOCK 69331C108      10        256    Shares                X                 3        256     0      0
PHH
CORPORATION     COMMON STOCK 693320202      14       1000    Shares                X                 1       1000     0      0
P F CHANG'S
CHINA BISTRO
INC             COMMON STOCK 69333Y108      25       1100    Shares                X                 1       1100     0      0
P F CHANG'S
CHINA BISTRO
INC             COMMON STOCK 69333Y108     524      22873    Shares                X                 3      22873     0      0
PMC SIERRA INC  COMMON STOCK 69344F106      74      11650    Shares                X                 1      11650     0      0
PMC SIERRA INC  COMMON STOCK 69344F106     672     105326    Shares                X                 3     105326     0      0
PNC FINANCIAL
SERVICES
GROUP I         COMMON STOCK 693475105    5114     174615    Shares                X                 1     164819     0   9796
PNC FINANCIAL
SERVICES
GROUP I         COMMON STOCK 693475105    1582      54005    Shares                         X        1      44301  4450   5254
PNC FINANCIAL
SERVICES
GROUP I         COMMON STOCK 693475105     544      18568    Shares                X                 2          0     0  18568
PNC FINANCIAL
SERVICES
GROUP I         COMMON STOCK 693475105     115       3922    Shares                X                 3       3922     0      0
PNC BANK CORP
PFD CONV 1.80   PREFERRED
SE              STOCK        693475501      10        194    Shares                X                 1          0     0      0
PPG INDS INC    COMMON STOCK 693506107     389      10547    Shares                X                 1       9747     0    800
PPG INDS INC    COMMON STOCK 693506107     488      13233    Shares                         X        1      12233     0   1000
PPG INDS INC    COMMON STOCK 693506107      37       1000    Shares                X                 3       1000     0      0
PPL CORP COM    COMMON STOCK 69351T106    3955     137741    Shares                X                 1     136441     0   1300
PPL CORP COM    COMMON STOCK 69351T106    1073      37373    Shares                         X        1      31506  2130   3737
PPL CORP COM    COMMON STOCK 69351T106      14        498    Shares                X                 3        498     0      0
PS BUSINESS
PKS INC         COMMON STOCK 69360J107       2         58    Shares                X                 3          0     0      0
PSS WORLD MED
INC COM         COMMON STOCK 69366A100      28       1985    Shares                X                 3       1985     0      0
PACCAR INC      COMMON STOCK 693718108     104       4050    Shares                X                 2          0     0   4050
PACTIV CORP
COM             COMMON STOCK 695257105       1        100    Shares                X                 1        100     0      0
PACTIV CORP
COM             COMMON STOCK 695257105       3        200    Shares                         X        1        200     0      0
PACTIV CORP
COM             COMMON STOCK 695257105       8        560    Shares                X                 3        560     0      0
PAETEC
HOLDING CORP    COMMON STOCK 695459107      14      10000    Shares                X                 1       5000     0   5000
PALL CORP COM   COMMON STOCK 696429307      41       2000    Shares                         X        1       2000     0      0
PALM INC        COMMON STOCK 696643105      25       2875    Shares                X                 1       2875     0      0
PALM INC        COMMON STOCK 696643105     542      62850    Shares                X                 3      62850     0      0
PAN AMERICAN
SILVER CORP     COMMON STOCK 697900108       2        100    Shares                X                 1        100     0      0
PANASONIC
CORP SPONS ADR  COMMON STOCK 69832A205      10        938    Shares                X                 3        938     0      0
PANERA BREAD
CO CL-A         COMMON STOCK 69840W108     201       3600    Shares                X                 1       3600     0      0
PANERA BREAD
CO CL-A         COMMON STOCK 69840W108    1372      24537    Shares                X                 3      24537     0      0
THE PANTRY INC  COMMON STOCK 698657103       3        150    Shares                X                 1        150     0      0
PAPA JOHNS
INTERNATIONAL
INC             COMMON STOCK 698813102       5        200    Shares                X                 1        200     0      0
PAREXEL
INTERNATIONAL
CORP            COMMON STOCK 699462107      27       2750    Shares                X                 1       2750     0      0
PAREXEL
INTERNATIONAL
CORP            COMMON STOCK 699462107     586      60225    Shares                X                 3      60225     0      0
PARKER
HANNIFIN CORP   COMMON STOCK 701094104     123       3607    Shares                X                 1       3607     0      0
PARKER
HANNIFIN CORP   COMMON STOCK 701094104      67       1982    Shares                         X        1       1982     0      0
PARKER
HANNIFIN CORP   COMMON STOCK 701094104     440      12973    Shares                X                 3      12973     0      0
PARTNER
COMMUNICATIONS
CO LTD-         COMMON STOCK 70211M109       3        172    Shares                X                 1        172     0      0
PATRIOT COAL
CORP            COMMON STOCK 70336T104       0         20    Shares                         X        1         20     0      0
PATTERSON
COMPANIES INC   COMMON STOCK 703395103       4        210    Shares                         X        1        210     0      0
PATTERSON-UTI
ENERGY INC      COMMON STOCK 703481101      40       4425    Shares                X                 1       4425     0      0
PATTERSON-UTI
ENERGY INC      COMMON STOCK 703481101     870      97075    Shares                X                 3      97075     0      0
PAYCHEX INC
COM             COMMON STOCK 704326107     893      34794    Shares                X                 1      34794     0      0
PAYCHEX INC
COM             COMMON STOCK 704326107      68       2650    Shares                         X        1       2650     0      0
PEABODY
ENERGY CORP     COMMON STOCK 704549104    1268      50652    Shares                X                 1      50202     0    450
PEABODY
ENERGY CORP     COMMON STOCK 704549104     205       8170    Shares                         X        1       6225     0   1945
PEABODY
ENERGY CORP     COMMON STOCK 704549104    1005      40100    Shares                X                 3      40100     0      0
PEARSON PLC
SPONSORED ADR   COMMON STOCK 705015105       0         20    Shares                X                 1         20     0      0
PEETS
COFFEE & TEA
INC COM         COMMON STOCK 705560100       4        200    Shares                X                 1        200     0      0
PENGROWTH
ENERGY TRUST    COMMON STOCK 706902509       1        200    Shares                X                 1        200     0      0
PENN VA
RESOURCE
PARTNERS LP     COMMON STOCK 707884102      11       1000    Shares                         X        1       1000     0      0
PENNWEST
ENERGY TRUST    COMMON STOCK 707885109      21       2210    Shares                         X        1       2210     0      0
PENN VIRGINIA
GP HOLDINGS LP  COMMON STOCK 70788P105      20       1700    Shares                X                 2          0     0   1700
PENNEY JC CO
INC             COMMON STOCK 708160106      67       3324    Shares                X                 1       3324     0      0
PENNEY JC CO
INC             COMMON STOCK 708160106      28       1408    Shares                         X        1       1408     0      0
PENNEY JC CO
INC             COMMON STOCK 708160106      58       2902    Shares                X                 3       2902     0      0
PENNICHUCK
CORPORATION
NEW             COMMON STOCK 708254206      12        600    Shares                X                 1        600     0      0


                                   34 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
PENNS WOODS
BANCORP INC.   COMMON STOCK 708430103      25       1000    Shares                X                 1          0    0     1000
PENNS WOODS
BANCORP INC.   COMMON STOCK 708430103     263      10348    Shares                X                 3      10348    0        0
PENN ESTATE
INV TR (REIT)  COMMON STOCK 709102107       8       2200    Shares                X                 1          0    0        0
PENTAIR INC
COM            COMMON STOCK 709631105      17        800    Shares                X                 1        800    0        0
PENTAIR INC
COM            COMMON STOCK 709631105     169       7800    Shares                         X        1       7800    0        0
PEOPLES
UNITED
FINANCIAL INC  COMMON STOCK 712704105       7        409    Shares                X                 3        409    0        0
PEPCO
HOLDINGS INC   COMMON STOCK 713291102     909      72847    Shares                X                 1      71321    0     1526
PEPCO
HOLDINGS INC   COMMON STOCK 713291102     174      13914    Shares                         X        1      11614    0     2300
PEPCO
HOLDINGS INC   COMMON STOCK 713291102      22       1793    Shares                X                 2          0    0     1793
PEPSI
BOTTLING
GROUP INC COM  COMMON STOCK 713409100      44       2000    Shares                         X        1       2000    0        0
PEPSI
BOTTLING
GROUP INC COM  COMMON STOCK 713409100      20        900    Shares                X                 3        900    0        0
PEPSIAMERICAS
INC COM        COMMON STOCK 71343P200       5        300    Shares                         X        1        300    0        0
PEPSIAMERICAS
INC COM        COMMON STOCK 71343P200     273      15800    Shares                X                 3      15800    0        0
PEPSICO INC
COM            COMMON STOCK 713448108   21732     422150    Shares                X                 1     418200    0     3950
PEPSICO INC
COM            COMMON STOCK 713448108   12087     234799    Shares                         X        1     213321    0    21478
PEPSICO INC
COM            COMMON STOCK 713448108    6136     119177    Shares                X                 2      21300    0    97877
PEPSICO INC
COM            COMMON STOCK 713448108    3596      69834    Shares                X                 3      67585    0     2249
PEPSICO INC
COM            COMMON STOCK 713448108       8        150    Shares                X                 4        150    0        0
PERKINELMER
INC COM        COMMON STOCK 714046109       6        505    Shares                X                 1        505    0        0
PERKINELMER
INC COM        COMMON STOCK 714046109      51       4000    Shares                         X        1       4000    0        0
PERKINELMER
INC COM        COMMON STOCK 714046109       2        182    Shares                X                 3        182    0        0
PERMA-FIX
ENVIRONMENTAL
SVCS           COMMON STOCK 714157104     566     290000    Shares                X                 2          0    0   290000
PERMIAN BASIN
ROYALTY TRUST  COMMON STOCK 714236106      15       1502    Shares                X                 1       1502    0        0
PERRIGO
COMPANY        COMMON STOCK 714290103     186       7476    Shares                X                 1       7476    0        0
PERRIGO
COMPANY        COMMON STOCK 714290103    1734      69824    Shares                X                 3      69824    0        0
PETMED
EXPRESS INC    COMMON STOCK 716382106      13        800    Shares                X                 1        800    0        0
PETRO-CANADA   COMMON STOCK 71644E102       1         34    Shares                X                 1         34    0        0
PETRO-CANADA   COMMON STOCK 71644E102      43       1600    Shares                         X        1       1600    0        0
PETRO-CANADA   COMMON STOCK 71644E102      11        419    Shares                X                 3        419    0        0
PETROCHINA CO
LTD ADR        COMMON STOCK 71646E100      10        125    Shares                         X        1        125    0        0
PETROHAWK
ENERGY CORP    COMMON STOCK 716495106     182       9450    Shares                X                 1       9450    0        0
PETROHAWK
ENERGY CORP    COMMON STOCK 716495106      13        680    Shares                X                 3        680    0        0
PETE & RES
CORP COM       COMMON STOCK 716549100      11        625    Shares                X                 1        625    0        0
PETROLEO
BRASILEIRO SA
ADR            COMMON STOCK 71654V101      22        880    Shares                X                 2          0    0      880
PETROLEO
BRASILEIRO SA
SPNS AD        COMMON STOCK 71654V408      11        358    Shares                X                 1        358    0        0
PETROLEO
BRASILEIRO SA
SPNS AD        COMMON STOCK 71654V408      35       1149    Shares                X                 3       1149    0        0
PETSMART INC   COMMON STOCK 716768106     334      15920    Shares                X                 1      15920    0        0
PETSMART INC   COMMON STOCK 716768106      60       2840    Shares                         X        1       2840    0        0
PETSMART INC   COMMON STOCK 716768106     451      21525    Shares                X                 3      21525    0        0
PFIZER INC     COMMON STOCK 717081103    9271     680670    Shares                X                 1     671582    0     9088
PFIZER INC     COMMON STOCK 717081103    5720     419984    Shares                         X        1     406569  600    12815
PFIZER INC     COMMON STOCK 717081103    3742     274711    Shares                X                 2      64900    0   209811
PFIZER INC     COMMON STOCK 717081103     209      15343    Shares                X                 3      15343    0        0
PFIZER INC     COMMON STOCK 717081103      10        750    Shares                X                 4        750    0        0
PHARMACEUTIAL
PRODUCT DEVEL
IN             COMMON STOCK 717124101     197       8325    Shares                X                 1       8325    0        0
PHARMACEUTIAL
PRODUCT DEVEL
IN             COMMON STOCK 717124101    1493      62940    Shares                X                 3      62940    0        0

PHARMACEUTICAL PREFERRED
HOLDERS TRUST  STOCK        71712A206      28        500    Shares                         X        1          0    0        0
PHILIP MORRIS
INTL INC       COMMON STOCK 718172109   10370     291449    Shares                X                 1     288524    0     2925
PHILIP MORRIS
INTL INC       COMMON STOCK 718172109    5077     142689    Shares                         X        1     136114    0     6575
PHILIP MORRIS
INTL INC       COMMON STOCK 718172109    1583      44500    Shares                X                 2          0    0    44500
PHILIP MORRIS
INTL INC       COMMON STOCK 718172109    1587      44610    Shares                X                 3      44610    0        0
PHOENIX COS
INC COM        COMMON STOCK 71902E109       2       1745    Shares                X                 1       1745    0        0
PHOENIX COS
INC COM        COMMON STOCK 71902E109       1       1256    Shares                         X        1       1256    0        0
PHOENIX COS
INC COM        COMMON STOCK 71902E109       3       2574    Shares                X                 2          0    0     2574
PIEDMONT NAT
GAS INC        COMMON STOCK 720186105      56       2180    Shares                X                 1       2180    0        0
PIEDMONT NAT
GAS INC        COMMON STOCK 720186105      10        400    Shares                         X        1        400    0        0
PIMCO
MUNICIPAL      PREFERRED
INCOME FUND    STOCK        72200R107       1         71    Shares                X                 1          0    0        0
PIMCO
MUNICIPAL      PREFERRED
INCOME FUND    STOCK        72200R107      10       1000    Shares                X                 2          0    0        0
PIMCO
MUNICIPAL      PREFERRED
INCOME FUND II STOCK        72201A103      12       1335    Shares                X                 1          0    0        0
PINNACLE DATA
SYSTEMS INC    COMMON STOCK 723454104       0        300    Shares                X                 1        300    0        0
PINNACLE WEST
CAPITAL CORP   COMMON STOCK 723484101      29       1100    Shares                X                 1       1100    0        0
PINNACLE WEST
CAPITAL CORP   COMMON STOCK 723484101       3        100    Shares                         X        1        100    0        0
PIONEER HIGH   PREFERRED
INCOME TRUST   STOCK        72369H106      27       3392    Shares                         X        1          0    0        0
PIONEER
MUNICIPAL HI   PREFERRED
INC ADV T      STOCK        723762100      18       2000    Shares                X                 1          0    0        0
PIONEER
NATURAL
RESOURCES CO   COMMON STOCK 723787107       1         55    Shares                X                 1         55    0        0
PIPER JAFFRAY
COMPANIES INC  COMMON STOCK 724078100       4        169    Shares                X                 1        169    0        0
PIPER JAFFRAY
COMPANIES INC  COMMON STOCK 724078100       0         16    Shares                         X        1         16    0        0


                                   35 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
PITNEY BOWES
INC COM         COMMON STOCK 724479100     165       7050    Shares                X                 1       7050   0         0
PITNEY BOWES
INC COM         COMMON STOCK 724479100      90       3850    Shares                         X        1       3850   0         0
PITNEY BOWES
INC COM         COMMON STOCK 724479100      75       3225    Shares                X                 3       3225   0         0
PITTSBURGH &
WEST VIRGINIA
RR              COMMON STOCK 724819107       3        250    Shares                         X        1          0   0         0
PIZZA INN INC   COMMON STOCK 725848105       0        325    Shares                X                 1        325   0         0
PLAINS ALL
AMERICAN
PIPELINE L      COMMON STOCK 726503105    8120     220897    Shares                X                 2      33400   0    187497
PLAINS
EXPLORATION &
PRODUCT C       COMMON STOCK 726505100       0         22    Shares                X                 1         22   0         0
PLUG POWER
INC COM         COMMON STOCK 72919P103       0        500    Shares                X                 1        500   0         0
PLUM CREEK
TIMBER CO INC   COMMON STOCK 729251108     139       4780    Shares                X                 1          0   0         0
PLUM CREEK
TIMBER CO INC   COMMON STOCK 729251108      51       1750    Shares                X                 2          0   0         0
PLUM CREEK
TIMBER CO INC   COMMON STOCK 729251108      13        458    Shares                X                 3          0   0         0
POLO RALPH
LAUREN
CORPORATION     COMMON STOCK 731572103       8        185    Shares                X                 1        185   0         0
POLYCOM INC
COM             COMMON STOCK 73172K104      29       1900    Shares                X                 1       1900   0         0
POLYCOM INC
COM             COMMON STOCK 73172K104     643      41775    Shares                X                 3      41775   0         0
PORTUGAL
TELECOM SGPS
S A SPON        COMMON STOCK 737273102       6        765    Shares                X                 1        765   0         0
POTASHARES
CORP OF
SASKATCHEWAN
IN              COMMON STOCK 73755L107    1378      17055    Shares                X                 1      17055   0         0
POTASHARES
CORP OF
SASKATCHEWAN
IN              COMMON STOCK 73755L107      24        300    Shares                         X        1        300   0         0
POTASHARES
CORP OF
SASKATCHEWAN
IN              COMMON STOCK 73755L107     106       1310    Shares                X                 3        965   0       345

POWERSHARESARES PREFERRED
QQQ             STOCK        73935A104     576      18985    Shares                X                 1          0   0         0

POWERSHARESARES PREFERRED
QQQ             STOCK        73935A104    1662      54804    Shares                         X        1          0   0         0

POWERSHARESARES PREFERRED
QQQ             STOCK        73935A104      94       3100    Shares                X                 2          0   0         0

POWERSHARESARES
GLOBAL WATER
PORTF           COMMON STOCK 73935X575      16       1300    Shares                X                 1       1300   0         0

POWERSHARESARES
DYN BIOTECH &   PREFERRED
GENO            STOCK        73935X856      76       6000    Shares                         X        1          0   0         0

POWERSHARESARES
GLOBAL WATER    PREFERRED
PORTF           STOCK        73936T623      72       6500    Shares                X                 2          0   0         0
PRAXAIR INC
COM             COMMON STOCK 74005P104      56        826    Shares                X                 1        826   0         0
PRAXAIR INC
COM             COMMON STOCK 74005P104     195       2891    Shares                         X        1       2891   0         0
PRAXAIR INC
COM             COMMON STOCK 74005P104     639       9500    Shares                X                 2          0   0      9500
PRAXAIR INC
COM             COMMON STOCK 74005P104      34        502    Shares                X                 3        502   0         0
PRECISION
CASTPARTS
CORP COM        COMMON STOCK 740189105    2414      40307    Shares                X                 1      40307   0         0
PRECISION
CASTPARTS
CORP COM        COMMON STOCK 740189105       7        120    Shares                         X        1        120   0         0
PRECISION
CASTPARTS
CORP COM        COMMON STOCK 740189105    2121      35423    Shares                X                 3      34176   0      1247
PRECISION
DRILLING
CORP-US$        COMMON STOCK 740215108       4       1600    Shares                         X        1       1600   0         0
PRECISION
DRILLING
CORP-US$        COMMON STOCK 740215108       1        340    Shares                X                 3        340   0         0
PRICE T ROWE
GROUP INC COM   COMMON STOCK 74144T108    2768      95926    Shares                X                 1      95926   0         0
PRICE T ROWE
GROUP INC COM   COMMON STOCK 74144T108     834      28885    Shares                         X        1      27495   0      1390
PRICE T ROWE
GROUP INC COM   COMMON STOCK 74144T108      58       2000    Shares                X                 2          0   0      2000
PRICE T ROWE
GROUP INC COM   COMMON STOCK 74144T108    2735      94742    Shares                X                 3      94742   0         0
PRINCIPAL
FINL GROUP INC  COMMON STOCK 74251V102       1         89    Shares                X                 3         89   0         0
PROCTER &
GAMBLE CO COM   COMMON STOCK 742718109   28209     599041    Shares                X                 1     595829   0      3212
PROCTER &
GAMBLE CO COM   COMMON STOCK 742718109   24896     528700    Shares                         X        1     427292   0    101408
PROCTER &
GAMBLE CO COM   COMMON STOCK 742718109   16297     346083    Shares                X                 2      45442   0    300641
PROCTER &
GAMBLE CO COM   COMMON STOCK 742718109    3903      82894    Shares                X                 3      79453   0      3441
PROCTER &
GAMBLE CO COM   COMMON STOCK 742718109      14        295    Shares                X                 4        295   0         0
PROGRESS
ENERGY INC COM  COMMON STOCK 743263105     251       6932    Shares                X                 1       6332   0       600
PROGRESS
ENERGY INC COM  COMMON STOCK 743263105     110       3035    Shares                         X        1       3035   0         0
PROGRESSIVE
CORP COM        COMMON STOCK 743315103      54       4000    Shares                X                 1       4000   0         0
PROGRESSIVE
CORP COM        COMMON STOCK 743315103      48       3540    Shares                         X        1       3540   0         0
PROGRESSIVE
CORP COM        COMMON STOCK 743315103       8        617    Shares                X                 3        617   0         0
PROLOGIS
(REIT)          COMMON STOCK 743410102       4        669    Shares                X                 1          0   0         0
PROLOGIS
(REIT)          COMMON STOCK 743410102       7       1039    Shares                X                 2          0   0         0
PROLOGIS
(REIT)          COMMON STOCK 743410102       2        298    Shares                X                 3          0   0         0
ULTRA
FINANCIALS      PREFERRED
PROSHARESARES   STOCK        74347R743       5       2000    Shares                X                 1          0   0         0
PROTECTIVE
LIFE CORP COM   COMMON STOCK 743674103       2        420    Shares                X                 3        420   0         0
PROVIDENT
BANKSHARESARES
CORPORATI       COMMON STOCK 743859100      72      10165    Shares                X                 1      10165   0         0
PROVIDENT
BANKSHARESARES
CORPORATI       COMMON STOCK 743859100      20       2810    Shares                         X        1       2810   0         0
PROVIDENT
ENERGY TRUST
UNITS           COMMON STOCK 74386K104       6       1700    Shares                         X        1       1700   0         0
PROVIDENT
FINANCIAL
SERVICES I      COMMON STOCK 74386T105       6        600    Shares                X                 1        600   0         0
PRUDENTIAL
FINANCIAL INC   COMMON STOCK 744320102     141       7425    Shares                X                 1       7081   0       344
PRUDENTIAL
FINANCIAL INC   COMMON STOCK 744320102      14        713    Shares                         X        1        713   0         0
PSYCHIATRIC
SOLUTIONS INC   COMMON STOCK 74439H108    1792     113944    Shares                X                 1     113944   0         0
PSYCHIATRIC
SOLUTIONS INC   COMMON STOCK 74439H108     153       9700    Shares                         X        1       8525   0      1175
PSYCHIATRIC
SOLUTIONS INC   COMMON STOCK 74439H108    1663     105747    Shares                X                 3     101461   0      4286
PUBLIC SVC
ENTERPRISE
GROUP IN        COMMON STOCK 744573106     177       5996    Shares                X                 1       5996   0         0
PUBLIC SVC
ENTERPRISE
GROUP IN        COMMON STOCK 744573106     259       8804    Shares                         X        1       8804   0         0
PUBLIC
STORAGE INC
COM             COMMON STOCK 74460D109       3         56    Shares                X                 1          0   0         0
PUBLIC
STORAGE INC
COM             COMMON STOCK 74460D109      24        438    Shares                X                 3          0   0         0
PUBLIC
STORAGE-DEP
SHARESARES A    COMMON STOCK 74460D729      32       1400    Shares                X                 2          0   0         0


                                   36 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
PULTE HOMES
INC COM        COMMON STOCK 745867101      66       6000    Shares                X                 2          0   0      6000
PUTNAM
PREMIER        PREFERRED
INCOME TRUST   STOCK        746853100       0        114    Shares                X                 1          0   0         0
QLOGIC CORP    COMMON STOCK 747277101       3        306    Shares                X                 1        306   0         0
QUALCOMM INC
COM            COMMON STOCK 747525103    7159     183980    Shares                X                 1     183980   0         0
QUALCOMM INC
COM            COMMON STOCK 747525103    1176      30233    Shares                         X        1      29833   0       400
QUALCOMM INC
COM            COMMON STOCK 747525103      23        600    Shares                X                 2          0   0       600
QUALCOMM INC
COM            COMMON STOCK 747525103    4092     105169    Shares                X                 3     101914   0      3255
QUALITY
SYSTEMS
INCORPORATED   COMMON STOCK 747582104      12        275    Shares                X                 1        275   0         0
QUALITY
SYSTEMS
INCORPORATED   COMMON STOCK 747582104     267       5900    Shares                X                 3       5900   0         0
QUANTA
SERVICES INC
COM            COMMON STOCK 74762E102    1119      52148    Shares                X                 1      51433   0       715
QUANTA
SERVICES INC
COM            COMMON STOCK 74762E102       8        375    Shares                         X        1          0   0       375
QUANTA
SERVICES INC
COM            COMMON STOCK 74762E102    2374     110675    Shares                X                 3     110675   0         0
QUEST
DIAGNOSTICS
INC            COMMON STOCK 74834L100     291       6135    Shares                X                 1       6135   0         0
QUEST
DIAGNOSTICS
INC            COMMON STOCK 74834L100     240       5048    Shares                         X        1       4748   0       300
QUEST
DIAGNOSTICS
INC            COMMON STOCK 74834L100      95       2000    Shares                X                 2          0   0      2000
QUESTAR CORP
COM            COMMON STOCK 748356102      35       1200    Shares                X                 1       1200   0         0
QUESTAR CORP
COM            COMMON STOCK 748356102     112       3800    Shares                         X        1       3800   0         0
QUESTAR CORP
COM            COMMON STOCK 748356102      59       2000    Shares                X                 2          0   0      2000
QUEST CAPITAL
CORP           COMMON STOCK 74835U109       1       1000    Shares                X                 1       1000   0         0
QUIXOTE CORP   COMMON STOCK 749056107       1        300    Shares                X                 1        300   0         0
QWEST
COMMUNICATIONS
INTL INC       COMMON STOCK 749121109       8       2266    Shares                X                 1       2266   0         0
QWEST
COMMUNICATIONS
INTL INC       COMMON STOCK 749121109       5       1564    Shares                         X        1       1354   0       210
QWEST
COMMUNICATIONS
INTL INC       COMMON STOCK 749121109     816     238664    Shares                X                 2     106955   0    131709
QWEST
COMMUNICATIONS
INTL INC       COMMON STOCK 749121109      31       8976    Shares                X                 3       8976   0         0
RAIT
FINANCIAL
TRUST          COMMON STOCK 749227104       1        500    Shares                         X        1          0   0         0
RLI CORP       COMMON STOCK 749607107      95       1900    Shares                         X        1       1900   0         0
RPM INTL INC   COMMON STOCK 749685103      20       1600    Shares                         X        1       1600   0         0
RPM INTL INC   COMMON STOCK 749685103     373      29300    Shares                X                 2      18300   0     11000
RPM INTL INC   COMMON STOCK 749685103      39       3100    Shares                X                 3       3100   0         0
RF MICRO
DEVICES INC
COM            COMMON STOCK 749941100      77      57825    Shares                X                 1      57825   0         0
RF MICRO
DEVICES INC
COM            COMMON STOCK 749941100     971     730275    Shares                X                 3     730275   0         0
RADIOSHACK
CORP           COMMON       750438103     191      22300    Shares                X                 3      22300   0         0
RAINIER
PACIFIC
FINANCIAL GROU COMMON STOCK 75087U101       1       1000    Shares                X                 2          0   0      1000
RALCORP
HOLDINGS INC   COMMON STOCK 751028101      14        268    Shares                X                 1        268   0         0
RALCORP
HOLDINGS INC   COMMON STOCK 751028101      15        283    Shares                         X        1        283   0         0
RANGE
RESOURCES
CORPORATION    COMMON STOCK 75281A109       7        158    Shares                X                 1        158   0         0
RANGE
RESOURCES
CORPORATION    COMMON STOCK 75281A109      14        336    Shares                X                 3        336   0         0
RAYMOND JAMES
FINANCIAL INC  COMMON STOCK 754730109      17        842    Shares                X                 3        842   0         0
RAYONIER INC
COM            COMMON STOCK 754907103      14        464    Shares                X                 1        464   0         0
RAYONIER INC
COM            COMMON STOCK 754907103      92       3050    Shares                         X        1       3050   0         0
RAYONIER INC
COM            COMMON STOCK 754907103    1220      40400    Shares                X                 2       6800   0     33600
RAYONIER INC
COM            COMMON STOCK 754907103      14        462    Shares                X                 3        462   0         0
RAYTHEON CO
COM NEW        COMMON STOCK 755111507     254       6514    Shares                X                 1       6490   0        24
RAYTHEON CO
COM NEW        COMMON STOCK 755111507     610      15676    Shares                         X        1      15676   0         0
RAYTHEON CO
COM NEW        COMMON STOCK 755111507      16        400    Shares                X                 2          0   0       400
RAYTHEON CO
COM NEW        COMMON STOCK 755111507       8        200    Shares                X                 4        200   0         0
REALTY INCOME
CORP           COMMON STOCK 756109104     151       8000    Shares                X                 2          0   0         0
RED HAT INC
COM            COMMON STOCK 756577102       1         33    Shares                X                 1         33   0         0
RED HAT INC
COM            COMMON STOCK 756577102       9        500    Shares                X                 2          0   0       500
REDWOOD TRUST
INC-REIT       COMMON STOCK 758075402       4        290    Shares                X                 1          0   0         0
REED ELSEVIER
PLC SPONS ADR  COMMON STOCK 758205207       1         24    Shares                X                 1         24   0         0
REGAL BELOIT
CORP           COMMON       758750103     344      11243    Shares                X                 3      11243   0         0
REGAL
ENTERTAINMENT
GROUP-A        COMMON STOCK 758766109       1        100    Shares                X                 1        100   0         0
REGIS CORP
MINN           COMMON STOCK 758932107       1        100    Shares                X                 1        100   0         0
REGIONS
FINANCIAL CORP COMMON STOCK 7591EP100       6       1427    Shares                X                 1       1427   0         0
REGIONS
FINANCIAL CORP COMMON STOCK 7591EP100      20       4771    Shares                         X        1       4771   0         0
REGIONS
FINANCIAL CORP COMMON STOCK 7591EP100      14       3400    Shares                X                 3       3400   0         0
RELIANCE
STEEL &
ALUMINUM COMP  COMMON STOCK 759509102       3        100    Shares                X                 1          0   0       100
REPSOL YPF SA
SPON ADR       COMMON STOCK 76026T205      14        818    Shares                X                 1        818   0         0
REPUBLIC SVCS
INC COM        COMMON STOCK 760759100       0         18    Shares                X                 1         18   0         0
REPUBLIC SVCS
INC COM        COMMON STOCK 760759100      25       1430    Shares                X                 3       1430   0         0
RESEARCH IN
MOTION LIMITED COMMON STOCK 760975102    1762      40879    Shares                X                 1      40879   0         0
RESEARCH IN
MOTION LIMITED COMMON STOCK 760975102      51       1175    Shares                         X        1       1175   0         0
RESEARCH IN
MOTION LIMITED COMMON STOCK 760975102    7669     177883    Shares                X                 2          0   0    177883
RESEARCH IN
MOTION LIMITED COMMON STOCK 760975102    1984      46040    Shares                X                 3      46040   0         0
RESMED INC     COMMON STOCK 761152107     114       3225    Shares                X                 1       3225   0         0
RESMED INC     COMMON STOCK 761152107    1094      30954    Shares                X                 3      30954   0         0


                                   37 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
REYNOLDS
AMERICAN INC   COMMON STOCK 761713106      72       2021    Shares                X                 1       2021   0         0
REYNOLDS
AMERICAN INC   COMMON STOCK 761713106      36       1000    Shares                         X        1       1000   0         0
REYNOLDS
AMERICAN INC   COMMON STOCK 761713106       3         80    Shares                X                 3         80   0         0
RIO TINTO PLC
SPONSORED ADR  COMMON STOCK 767204100      34        250    Shares                X                 2          0   0       250
RIO TINTO PLC
SPONSORED ADR  COMMON STOCK 767204100      34        255    Shares                X                 3        255   0         0
RITCHIE BROS
AUCTIONEERS    COMMON STOCK 767744105     731      39313    Shares                X                 1      39313   0         0
RITCHIE BROS
AUCTIONEERS    COMMON STOCK 767744105    1743      93740    Shares                X                 3      93740   0         0
RITE AID CORP
COM            COMMON STOCK 767754104       5      14800    Shares                X                 1       2500   0     12300
RITE AID CORP
COM            COMMON STOCK 767754104       0        600    Shares                         X        1        600   0         0
ROBBINS &
MEYERS INC     COMMON STOCK 770196103       1         87    Shares                X                 1         87   0         0
ROBERT HALF
INTL INC COM   COMMON STOCK 770323103      19       1070    Shares                X                 1       1070   0         0
ROBERT HALF
INTL INC COM   COMMON STOCK 770323103      21       1205    Shares                         X        1       1100   0       105
ROCKWELL
AUTOMATION
INC.           COMMON STOCK 773903109    1852      84806    Shares                X                 1      83806   0      1000
ROCKWELL
AUTOMATION
INC.           COMMON STOCK 773903109     285      13060    Shares                         X        1      11810   0      1250
ROCKWELL
AUTOMATION
INC.           COMMON STOCK 773903109      36       1632    Shares                X                 2          0   0      1632
ROCKWELL
AUTOMATION
INC.           COMMON STOCK 773903109     748      34234    Shares                X                 3      31378   0      2856
ROCKWELL
AUTOMATION
INC.           COMMON STOCK 773903109       4        175    Shares                X                 4        175   0         0
ROCKWELL
COLLINS COM    COMMON STOCK 774341101     168       5140    Shares                X                 1       5140   0         0
ROCKWELL
COLLINS COM    COMMON STOCK 774341101      95       2925    Shares                         X        1       2845   0        80
ROCKWELL
COLLINS COM    COMMON STOCK 774341101      53       1632    Shares                X                 2          0   0      1632
ROHM & HAAS CO COMMON STOCK 775371107      29        368    Shares                X                 1        368   0         0
ROHM & HAAS CO COMMON STOCK 775371107     268       3400    Shares                         X        1       3400   0         0
ROSS STORES
INC COM        COMMON STOCK 778296103     473      13192    Shares                X                 1      12492   0       700
ROSS STORES
INC COM        COMMON STOCK 778296103     159       4425    Shares                         X        1       3050   0      1375
ROSS STORES
INC COM        COMMON STOCK 778296103    1378      38385    Shares                X                 3      38385   0         0
ROYAL BK
CANADA         COMMON STOCK 780087102      29       1000    Shares                         X        1       1000   0         0
ROYAL BK
CANADA         COMMON STOCK 780087102      23        800    Shares                X                 2          0   0       800
ROYAL BANK
SCOTLAND PFD   PREFERRED
6.125%         STOCK        780097747       1        200    Shares                X                 1          0   0         0
ROYAL BANK
SCOTLAND PFD   PREFERRED
6.40%          STOCK        780097796       5        800    Shares                X                 1          0   0         0
ROYAL DUTCH
SHARESELL
PLC-ADR B      COMMON STOCK 780259107      35        800    Shares                X                 2          0   0       800
ROYAL DUTCH
SHARESELL
PLC-ADR B      COMMON STOCK 780259107      24        545    Shares                X                 3        545   0         0
ROYAL DUTCH
SHARESELL
PLC-ADR A      COMMON STOCK 780259206    2037      45972    Shares                X                 1      45972   0         0
ROYAL DUTCH
SHARESELL
PLC-ADR A      COMMON STOCK 780259206    2084      47033    Shares                         X        1      42433   0      4600
ROYAL DUTCH
SHARESELL
PLC-ADR A      COMMON STOCK 780259206     231       5214    Shares                X                 2          0   0      5214
ROYCE VALUE
TRUST (CE)     COMMON STOCK 780910105      59       8291    Shares                         X        1       8291   0         0
RYDER SYS INC
COM            COMMON STOCK 783549108     168       5951    Shares                X                 3       5951   0         0
RYDEX RUSSELL  PREFERRED
TOP 50 ETF     STOCK        78355W205     387       6201    Shares                         X        1          0   0         0
RYLAND GROUP
INC            COMMON STOCK 783764103      18       1100    Shares                X                 2          0   0      1100
S & T BANCORP
INC            COMMON STOCK 783859101       8        400    Shares                         X        1        400   0         0
SBA
COMMUNICATIONS
CORP           COMMON STOCK 78388J106     404      17370    Shares                X                 3      17370   0         0
SCOLR PHARMA
INC            COMMON STOCK 78402X107       6      20000    Shares                X                 2          0   0     20000
SEI CORP COM   COMMON STOCK 784117103      28       2320    Shares                X                 1       2320   0         0
SK TELECOM CO
LTD - ADR      COMMON STOCK 78440P108       0         24    Shares                X                 1         24   0         0
SK TELECOM CO
LTD - ADR      COMMON STOCK 78440P108      22       1429    Shares                X                 3       1429   0         0
SL GREEN
REALTY CORP
(REIT)         COMMON STOCK 78440X101       4        351    Shares                X                 3          0   0         0
SLM CORP COM   COMMON STOCK 78442P106       9       1892    Shares                X                 1       1892   0         0
SLM CORP COM   COMMON STOCK 78442P106    2063     416853    Shares                X                 2     139828   0    277025
SLM CORP COM   COMMON STOCK 78442P106       2        370    Shares                X                 3        370   0         0
SPDR TRUST
SERIES 1 S&P   PREFERRED
500 IN         STOCK        78462F103    5371      67545    Shares                X                 1          0   0         0
SPDR TRUST
SERIES 1 S&P   PREFERRED
500 IN         STOCK        78462F103    5886      74024    Shares                         X        1          0   0         0
SPDR TRUST
SERIES 1 S&P   PREFERRED
500 IN         STOCK        78462F103     561       7056    Shares                X                 2       3775   0         0
SPX CORP COM   COMMON STOCK 784635104     148       3150    Shares                X                 1       3150   0         0
SPX CORP COM   COMMON STOCK 784635104      12        249    Shares                         X        1        249   0         0
SPDR GOLD      PREFERRED
TRUST          STOCK        78463V107    1500      16614    Shares                X                 1          0   0         0
SPDR GOLD      PREFERRED
TRUST          STOCK        78463V107      40        446    Shares                         X        1          0   0         0
SPDR S&P
EMERGING       PREFERRED
MARKETS ETF    STOCK        78463X509      66       1800    Shares                X                 2          0   0         0
SPDR DJ
WILSHARESIRE   PREFERRED
SMALL CAP VAL  STOCK        78464A300      14        380    Shares                         X        1          0   0         0
SPDR BARCALYS
CAP HI YLD BD  PREFERRED
ET             STOCK        78464A417      10        334    Shares                X                 1          0   0         0
KBW REGIONAL   PREFERRED
BANKING ETF    STOCK        78464A698     495      25770    Shares                X                 1          0   0         0
KBW REGIONAL   PREFERRED
BANKING ETF    STOCK        78464A698     652      33925    Shares                X                 3      33925   0         0
KBW INSURANCE  PREFERRED
ETF            STOCK        78464A789      24       1200    Shares                         X        1          0   0         0
SPDR DJ
WILSHARESIRE   PREFERRED
M/C VAL ETF    STOCK        78464A839      14        460    Shares                         X        1          0   0         0
SPDR S&P
HOMEBUILDERS   PREFERRED
ETF            STOCK        78464A888      75       7100    Shares                X                 2          0   0         0
STEC INC       COMMON STOCK 784774101       4        585    Shares                X                 1        585   0         0
SABINE RLY TR
INT BEN INT    COMMON STOCK 785688102      27        778    Shares                         X        1        778   0         0
SAFETY
INSURANCE GRP  COMMON STOCK 78648T100       3        108    Shares                X                 1        108   0         0
SAFEWAY INC
COM            COMMON STOCK 786514208     536      26540    Shares                X                 1      26540   0         0


                                   38 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                      COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                  ------------------------ ----------------------          -------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                  
SAFEWAY INC
COM             COMMON STOCK 786514208      30       1500    Shares                         X        1          0   0     1500
SAFEWAY INC
COM             COMMON STOCK 786514208      62       3071    Shares                X                 3       2321   0      750
ST JOE CORP     COMMON STOCK 790148100      19       1110    Shares                X                 1       1110   0        0
ST JOE CORP     COMMON STOCK 790148100       3        200    Shares                         X        1        200   0        0
ST JOE CORP     COMMON STOCK 790148100    2366     141353    Shares                X                 2      47618   0    93735
ST JUDE
MEDICAL INC
COM             COMMON STOCK 790849103     599      16495    Shares                X                 1      16495   0        0
ST JUDE
MEDICAL INC
COM             COMMON STOCK 790849103    1651      45427    Shares                X                 3      45303   0      124
ST MARY
LAND &
EXPLORATION
COM             COMMON STOCK 792228108      10        720    Shares                X                 3        720   0        0

SALESFORCE.COM
INC             COMMON STOCK 79466L302     109       3325    Shares                X                 1       3325   0        0

SALESFORCE.COM
INC             COMMON STOCK 79466L302       3        100    Shares                         X        1        100   0        0

SALESFORCE.COM
INC             COMMON STOCK 79466L302     762      23300    Shares                X                 3      23300   0        0
SALISBURY
BANCORP INC     COMMON       795226109     140       5700    Shares         X                                5700   0        0
SALLY BEAUTY
COMPANY INC     COMMON STOCK 79546E104       1        100    Shares                X                 1        100   0        0
SAN JUAN
BASIN ROYALTY
TR              COMMON STOCK 798241105      14       1000    Shares                X                 1       1000   0        0
SANDISK CORP
COM             COMMON STOCK 80004C101       9        705    Shares                X                 1        705   0        0
SANDISK CORP
COM             COMMON STOCK 80004C101       1        100    Shares                         X        1        100   0        0
SANDY SPRING
BANCORP INC     COMMON STOCK 800363103       6        500    Shares                X                 1        500   0        0
SANDY SPRING
BANCORP INC     COMMON STOCK 800363103     565      50629    Shares                         X        1      50629   0        0
SANMINA-SCI
CORP            COMMON STOCK 800907107       1       4310    Shares                X                 3       4310   0        0

SANOFI-AVENTIS
ADR             COMMON STOCK 80105N105      50       1789    Shares                X                 1       1789   0        0

SANOFI-AVENTIS
ADR             COMMON STOCK 80105N105      22        798    Shares                X                 3        798   0        0
SAP AG SPONS
ADR             COMMON STOCK 803054204       0          6    Shares                X                 1          6   0        0
SAP AG SPONS
ADR             COMMON STOCK 803054204      42       1200    Shares                         X        1       1200   0        0
SAP AG SPONS
ADR             COMMON STOCK 803054204       9        250    Shares                X                 2          0   0      250
SARA LEE CORP   COMMON STOCK 803111103     210      26005    Shares                X                 1      26005   0        0
SARA LEE CORP   COMMON STOCK 803111103     192      23790    Shares                         X        1      18990   0     4800
SARA LEE CORP   COMMON STOCK 803111103      29       3572    Shares                X                 3       3572   0        0
SASOL LTD
SPONS-ADR       COMMON STOCK 803866300      29       1000    Shares                         X        1       1000   0        0
SAUL CENTERS
INCORPORATED    COMMON STOCK 804395101      28       1200    Shares                         X        1          0   0        0
SAUL CENTERS
INCORPORATED    COMMON STOCK 804395101      57       2500    Shares                X                 2          0   0        0
SAVIENT
PHARMACEUTICALS
INC             COMMON STOCK 80517Q100      13       2700    Shares                X                 1       2700   0        0
SAVIENT
PHARMACEUTICALS
INC             COMMON STOCK 80517Q100     287      58100    Shares                X                 3      58100   0        0
SCANA CORP
NEW COM         COMMON STOCK 80589M102     113       3656    Shares                X                 1       3656   0        0
SCANA CORP
NEW COM         COMMON STOCK 80589M102     209       6759    Shares                         X        1       6759   0        0
HENRY SCHEIN
INC COM         COMMON STOCK 806407102       8        200    Shares                X                 1        200   0        0
SCHERING
PLOUGH CORP     COMMON STOCK 806605101    1408      59798    Shares                X                 1      59798   0        0
SCHERING
PLOUGH CORP     COMMON STOCK 806605101     792      33625    Shares                         X        1      28825   0     4800
SCHERING
PLOUGH CORP     COMMON STOCK 806605101     641      27200    Shares                X                 2          0   0    27200
SCHERING
PLOUGH CORP     COMMON STOCK 806605101      11        480    Shares                X                 3        480   0        0

SCHERING-PLOUGH PREFERRED
PFD CV 6.0% 08  STOCK        806605705    7426      35280    Shares                X                 2       8680   0        0
SCHLUMBERGER
LTD             COMMON STOCK 806857108    9070     223282    Shares                X                 1     222227   0     1055
SCHLUMBERGER
LTD             COMMON STOCK 806857108    3056      75223    Shares                         X        1      69288   0     5935
SCHLUMBERGER
LTD             COMMON STOCK 806857108    1806      44465    Shares                X                 2          0   0    44465
SCHLUMBERGER
LTD             COMMON STOCK 806857108    1881      46301    Shares                X                 3      44616   0     1685
SCHLUMBERGER
LTD             COMMON STOCK 806857108      16        400    Shares                X                 4        400   0        0
SCHWAB
CHARLES CORP
NEW COM         COMMON STOCK 808513105     260      16743    Shares                X                 1      16743   0        0
SCIENTIFIC
GAMES CORP CL
A               COMMON STOCK 80874P109      12        990    Shares                X                 3        990   0        0
THE SCOTTS
MIRACLE-GRO
COMPANY         COMMON STOCK 810186106     442      12750    Shares                X                 1      12750   0        0
THE SCOTTS
MIRACLE-GRO
COMPANY         COMMON STOCK 810186106      87       2500    Shares                X                 2          0   0     2500
THE SCOTTS
MIRACLE-GRO
COMPANY         COMMON STOCK 810186106      13        375    Shares                X                 3        375   0        0
SCRIPPS E W
CO OHIO CL A    COMMON STOCK 811054402       1        549    Shares                         X        1        549   0        0
SCRIPPS
NETWORKS
INTERACTIVE -   COMMON STOCK 811065101      37       1650    Shares                         X        1       1650   0        0
SEABRIGHT
INSURANCE
HOLDINGS        COMMON STOCK 811656107      11       1070    Shares                X                 3       1070   0        0
SEALED AIR
CORP NEW COM    COMMON STOCK 81211K100       4        270    Shares                X                 1        270   0        0
SEALED AIR
CORP NEW COM    COMMON STOCK 81211K100      52       3800    Shares                X                 3       3800   0        0
SEARS
HOLDINGS CORP   COMMON STOCK 812350106      60       1314    Shares                X                 1       1314   0        0
SEARS
HOLDINGS CORP   COMMON STOCK 812350106      22        472    Shares                         X        1        472   0        0
HEALTH CARE
SELECT SECTOR
SPDR            COMMON STOCK 81369Y209      14        585    Shares                X                 1        585   0        0
HEALTH CARE
SELECT SECTOR
SPDR            COMMON STOCK 81369Y209     202       8350    Shares                X                 2          0   0     8350
CONSUMER
STAPLES         PREFERRED
SELECT SECTOR   STOCK        81369Y308       6        294    Shares                X                 1          0   0        0
CONSUMER
DISCRETIONARY   PREFERRED
SELECT          STOCK        81369Y407       5        229    Shares                X                 1          0   0        0
ENERGY SELECT   PREFERRED
SECTOR SPDR FD  STOCK        81369Y506      27        637    Shares                X                 1          0   0        0
ENERGY SELECT   PREFERRED
SECTOR SPDR FD  STOCK        81369Y506       5        110    Shares                         X        1          0   0        0
ENERGY SELECT   PREFERRED
SECTOR SPDR FD  STOCK        81369Y506     136       3200    Shares                X                 2          0   0        0
FINANCIAL
SELECT SECTOR   PREFERRED
SPDR F          STOCK        81369Y605     857      97223    Shares                X                 1          0   0        0
FINANCIAL
SELECT SECTOR   PREFERRED
SPDR F          STOCK        81369Y605     248      28099    Shares                         X        1          0   0        0
FINANCIAL
SELECT SECTOR   PREFERRED
SPDR F          STOCK        81369Y605      15       1720    Shares                X                 3          0   0        0


                                   39 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
INDUSTRIAL
SELECT SECTOR  PREFERRED
SPDR           STOCK        81369Y704       6        309    Shares                X                 1          0   0        0
SELECT SECTOR
SPDRTECHNOLOGY COMMON STOCK 81369Y803      30       1917    Shares                X                 1       1917   0        0
SELECT SECTOR
SPDRTECHNOLOGY COMMON STOCK 81369Y803       6        356    Shares                         X        1        356   0        0
SELECT SECTOR
SPDR UTILITIES COMMON STOCK 81369Y886      17        670    Shares                X                 1        670   0        0
SELECT SECTOR
SPDR UTILITIES COMMON STOCK 81369Y886      15        600    Shares                         X        1        600   0        0
SELECTIVE INS
GROUP INC      COMMON STOCK 816300107      45       3712    Shares                X                 1       3712   0        0
SEMTECH CORP
COM            COMMON STOCK 816850101      31       2350    Shares                X                 1       2350   0        0
SEMTECH CORP
COM            COMMON STOCK 816850101     682      51050    Shares                X                 3      51050   0        0
SEMPRA ENERGY
COM            COMMON STOCK 816851109      18        400    Shares                X                 1        400   0        0
SEMPRA ENERGY
COM            COMMON STOCK 816851109      25        532    Shares                         X        1        532   0        0
SEMPRA ENERGY
COM            COMMON STOCK 816851109       4         86    Shares                X                 3         86   0        0
SENIOR
HOUSING
PROPERTIES TR
(              COMMON STOCK 81721M109       1        100    Shares                         X        1          0   0        0
SENIOR
HOUSING
PROPERTIES TR
(              COMMON STOCK 81721M109      11        750    Shares                X                 3          0   0        0
SERVICE
CORPORATION
INTL           COMMON STOCK 817565104      17       4800    Shares                X                 2          0   0     4800
SEVERN
BANCORP INC    COMMON STOCK 81811M100       2        484    Shares                X                 1        484   0        0
SEVERN
BANCORP INC    COMMON STOCK 81811M100       2        726    Shares                         X        1        726   0        0
SEVERN
BANCORP INC    COMMON STOCK 81811M100      32      10000    Shares                X                 2          0   0    10000
SHARESERWIN
WILLIAMS CO
COM            COMMON STOCK 824348106     270       5200    Shares                         X        1        200   0     5000
SIEMENS A G
SPONSORED ADR  COMMON STOCK 826197501      18        309    Shares                X                 3        309   0        0
SIGMA ALDRICH
CORP           COMMON STOCK 826552101      10        270    Shares                X                 1        270   0        0
SIGNATURE
BANK NY        COMMON       82669G104     133       4720    Shares                X                 3       4720   0        0
SILVER
STANDARD
RESOURCES INC  COMMON STOCK 82823L106       2        125    Shares                X                 1        125   0        0
SILVER
STANDARD
RESOURCES INC  COMMON STOCK 82823L106       8        471    Shares                X                 3        471   0        0
SIMON
PROPERTY GRP
INC (REIT)     COMMON STOCK 828806109     433      12486    Shares                X                 1          0   0        0
SIMON
PROPERTY GRP
INC (REIT)     COMMON STOCK 828806109     371      10722    Shares                         X        1          0   0        0
SIMON
PROPERTY GRP
INC (REIT)     COMMON STOCK 828806109     554      15996    Shares                X                 2          0   0        0
SIMON
PROPERTY GRP
INC (REIT)     COMMON STOCK 828806109      26        746    Shares                X                 3          0   0        0
SIRONA DENTAL
SYSTEMS INC    COMMON STOCK 82966C103      14        975    Shares                X                 1        975   0        0
SIRIUS XM
RADIO INC      COMMON STOCK 82967N108       5      13688    Shares                X                 1       3688   0    10000
SIRIUS XM
RADIO INC      COMMON STOCK 82967N108       4      12500    Shares                X                 2          0   0    12500
SIX FLAGS INC  COMMON STOCK 83001P109       5      20000    Shares                X                 2          0   0    20000
SKYWORKS
SOLUTIONSINC   COMMON STOCK 83088M102      15       1803    Shares                X                 1       1803   0        0
SKYWORKS
SOLUTIONSINC   COMMON STOCK 83088M102     151      18700    Shares                X                 3      18700   0        0
SMITH INTL INC COMMON STOCK 832110100     638      29725    Shares                X                 1      29725   0        0
SMITH INTL INC COMMON STOCK 832110100     232      10800    Shares                         X        1      10800   0        0
SMITH INTL INC COMMON STOCK 832110100       6        294    Shares                X                 3        294   0        0
SMITHFIELD
FOODS INC      COMMON STOCK 832248108       9       1000    Shares                         X        1       1000   0        0
SMITHFIELD
FOODS INC      COMMON STOCK 832248108       9        900    Shares                X                 2          0   0      900
JM SMUCKER CO  COMMON STOCK 832696405     104       2792    Shares                X                 1       2792   0        0
JM SMUCKER CO  COMMON STOCK 832696405     221       5932    Shares                         X        1       5334   0      598
SNAP ON INC    COMMON STOCK 833034101      11        440    Shares                X                 3        440   0        0
SOHU.COM INC   COMMON STOCK 83408W103       6        138    Shares                X                 1        138   0        0
SOLERA
HOLDINGS INC   COMMON STOCK 83421A104      28       1125    Shares                X                 1       1125   0        0
SOLERA
HOLDINGS INC   COMMON STOCK 83421A104     875      35321    Shares                X                 3      35321   0        0
SOLUTIA INC    COMMON STOCK 834376501       0         10    Shares                         X        1         10   0        0
SONIC CORP     COMMON STOCK 835451105       6        642    Shares                X                 3        642   0        0
SONICWALL INC  COMMON STOCK 835470105      23       5200    Shares                X                 1       5200   0        0
SONICWALL INC  COMMON STOCK 835470105     514     115215    Shares                X                 3     115215   0        0
SONOCO
PRODUCTS CO
COM            COMMON STOCK 835495102      13        600    Shares                X                 1        600   0        0
SONY CORP -
SPONSORED ADR  COMMON STOCK 835699307       5        241    Shares                X                 1        241   0        0
SONY CORP -
SPONSORED ADR  COMMON STOCK 835699307      25       1200    Shares                         X        1       1200   0        0
SONY CORP -
SPONSORED ADR  COMMON STOCK 835699307      17        828    Shares                X                 3        828   0        0
SOTHEBY'S      COMMON STOCK 835898107       7        810    Shares                X                 3        810   0        0
SOURCEFIRE INC COMMON STOCK 83616T108      35       4825    Shares                X                 1       4825   0        0
SOURCEFIRE INC COMMON STOCK 83616T108     761     104575    Shares                X                 3     104575   0        0
SOUTHERN CO
COM            COMMON STOCK 842587107     721      23535    Shares                X                 1      22485   0     1050
SOUTHERN CO
COM            COMMON STOCK 842587107    1031      33686    Shares                         X        1      33286   0      400
SOUTHERN CO
COM            COMMON STOCK 842587107      81       2653    Shares                X                 2          0   0     2653
SOUTHERN
COPPER CORP    COMMON STOCK 84265V105      10        600    Shares                X                 1          0   0      600
SOUTHERN
UNION CO NEW
COM            COMMON STOCK 844030106       3        200    Shares                X                 1        200   0        0
SOUTHWEST
AIRLINES CO
COM            COMMON STOCK 844741108       5        800    Shares                X                 1        800   0        0
SOUTHWEST
AIRLINES CO
COM            COMMON STOCK 844741108       9       1500    Shares                         X        1       1500   0        0
SOUTHWEST GAS
CORP COM       COMMON STOCK 844895102      21       1000    Shares                         X        1       1000   0        0
SOUTHWESTERN
ENERGY COMPANY COMMON STOCK 845467109    2066      69576    Shares                X                 1      69576   0        0
SOUTHWESTERN
ENERGY COMPANY COMMON STOCK 845467109       8        275    Shares                         X        1        275   0        0
SOUTHWESTERN
ENERGY COMPANY COMMON STOCK 845467109    3067     103261    Shares                X                 3     103261   0        0
SOVRAN SELF
STORAGE INC    COMMON STOCK 84610H108       2         83    Shares                X                 3          0   0        0


                                   40 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
SPECTRA
ENERGY CORP    COMMON STOCK 847560109     183      12907    Shares                X                 1      11507     0    1400
SPECTRA
ENERGY CORP    COMMON STOCK 847560109     194      13733    Shares                         X        1      13483     0     250
SPRINT NEXTEL
CORP           COMMON STOCK 852061100       6       1702    Shares                X                 1       1702     0       0
SPRINT NEXTEL
CORP           COMMON STOCK 852061100      21       6020    Shares                         X        1       6020     0       0
SPRINT NEXTEL
CORP           COMMON STOCK 852061100      43      11925    Shares                X                 2          0     0   11925
STANDARD
MOTOR
PRODUCTS
INCORP         COMMON STOCK 853666105       0        100    Shares                X                 1        100     0       0
STANLEY WORKS
COM            COMMON STOCK 854616109     167       5750    Shares                X                 1       5750     0       0
STANLEY WORKS
COM            COMMON STOCK 854616109     108       3700    Shares                         X        1       3700     0       0
STAPLES INC
COM            COMMON STOCK 855030102    3661     202181    Shares                X                 1     199081     0    3100
STAPLES INC
COM            COMMON STOCK 855030102     811      44785    Shares                         X        1      44410     0     375
STAPLES INC
COM            COMMON STOCK 855030102     502      27700    Shares                X                 2          0     0   27700
STAPLES INC
COM            COMMON STOCK 855030102     161       8869    Shares                X                 3       5068     0    3801
STARBUCKS
CORP COM       COMMON STOCK 855244109     173      15607    Shares                X                 1      15607     0       0
STARBUCKS
CORP COM       COMMON STOCK 855244109     875      78742    Shares                X                 2      42325     0   36417
STARENT
NETWORKS CORP  COMMON STOCK 85528P108      26       1625    Shares                X                 1       1625     0       0
STARENT
NETWORKS CORP  COMMON STOCK 85528P108     644      40745    Shares                X                 3      40745     0       0
STARWOOD
HOTELS &
RESORTS WORL   COMMON STOCK 85590A401       3        254    Shares                X                 1        254     0       0
STARWOOD
HOTELS &
RESORTS WORL   COMMON STOCK 85590A401      36       2800    Shares                X                 3       2800     0       0
STATE STREET
CORP           COMMON STOCK 857477103      39       1265    Shares                X                 1       1265     0       0
STATE STREET
CORP           COMMON STOCK 857477103    2579      83800    Shares                         X        1      83800     0       0
STATE STREET
CORP           COMMON STOCK 857477103     888      28842    Shares                X                 2      13500     0   15342
STATE STREET
CORP           COMMON STOCK 857477103      14        451    Shares                X                 3        451     0       0
STATOILHYDRO
ASA SPONSORED
ADR            COMMON STOCK 85771P102       4        211    Shares                X                 1        211     0       0
STEEL
DYNAMICS INC   COMMON STOCK 858119100     130      14700    Shares                X                 1      14700     0       0
STEEL
DYNAMICS INC   COMMON STOCK 858119100    1142     129690    Shares                X                 3     129690     0       0
STELLARONE
CORP           COMMON STOCK 85856G100      21       1731    Shares                X                 1       1731     0       0
STEMCELLS
INCORPORATED   COMMON STOCK 85857R105       2       1000    Shares                X                 2          0     0    1000
STERICYCLE
INC COM        COMMON STOCK 858912108      23        489    Shares                X                 2          0     0     489
STERIS CORP    COMMON STOCK 859152100      27       1150    Shares                X                 1       1150     0       0
STERIS CORP    COMMON STOCK 859152100     593      25475    Shares                X                 3      25475     0       0
STERLING
CONSTRUCTION
COMPANY        COMMON STOCK 859241101      52       2900    Shares                X                 1       2900     0       0
STERLING
CONSTRUCTION
COMPANY        COMMON STOCK 859241101    1168      65500    Shares                X                 3      65500     0       0
STIFEL
FINANCIAL
CORPORATION    COMMON STOCK 860630102      32        750    Shares                X                 1        750     0       0
STIFEL
FINANCIAL
CORPORATION    COMMON STOCK 860630102      11        264    Shares                X                 2          0     0     264
STIFEL
FINANCIAL
CORPORATION    COMMON STOCK 860630102     723      16700    Shares                X                 3      16700     0       0
STRYKER CORP
COM            COMMON STOCK 863667101     286       8405    Shares                X                 1       8405     0       0
STRYKER CORP
COM            COMMON STOCK 863667101     199       5845    Shares                         X        1       5145     0     700
STRYKER CORP
COM            COMMON STOCK 863667101    2295      67425    Shares                X                 2          0     0   67425
STURM RUGER &
CO INC COM     COMMON STOCK 864159108       3        250    Shares                X                 1        250     0       0
STURM RUGER &
CO INC COM     COMMON STOCK 864159108       1        100    Shares                         X        1        100     0       0
SUBURBAN
PROPANE
PARTNERS LP L  COMMON STOCK 864482104       9        250    Shares                X                 1        250     0       0
SUBURBAN
PROPANE
PARTNERS LP L  COMMON STOCK 864482104      37       1000    Shares                         X        1       1000     0       0
SUBURBAN
PROPANE
PARTNERS LP L  COMMON STOCK 864482104      37       1000    Shares                X                 2          0     0    1000
SUN LIFE FINL
INC            COMMON STOCK 866796105      46       2592    Shares                X                 1       2592     0       0
SUN
MICROSYSTEMS
INC            COMMON STOCK 866810203      12       1576    Shares                X                 1       1576     0       0
SUN
MICROSYSTEMS
INC            COMMON STOCK 866810203       9       1250    Shares                         X        1       1250     0       0
SUN
MICROSYSTEMS
INC            COMMON STOCK 866810203       9       1250    Shares                X                 2          0     0    1250
SUNCOR ENERGY
INC            COMMON STOCK 867229106     567      25542    Shares                X                 1      25542     0       0
SUNCOR ENERGY
INC            COMMON STOCK 867229106      36       1600    Shares                         X        1       1600     0       0
SUNCOR ENERGY
INC            COMMON STOCK 867229106      51       2291    Shares                X                 3       2291     0       0
SUNOCO
LOGISTICS
PARTNERS LP    COMMON STOCK 86764L108      46        900    Shares                         X        1        900     0       0
SUNOCO
LOGISTICS
PARTNERS LP    COMMON STOCK 86764L108    1372      26600    Shares                X                 2       5600     0   21000
SUNOCO INC COM COMMON STOCK 86764P109      21        800    Shares                X                 1        800     0       0
SUNOCO INC COM COMMON STOCK 86764P109     437      16500    Shares                X                 3      16500     0       0
SUNPOWER CORP
CL A           COMMON STOCK 867652109       6        237    Shares                X                 1        237     0       0
SUNRISE
SENIOR LIVING
INC            COMMON STOCK 86768K106       0        200    Shares                X                 1        200     0       0
SUNRISE
SENIOR LIVING
INC            COMMON STOCK 86768K106     224     329725    Shares                X                 2      91825     0  237900
SUNTRUST
BANKS INC      COMMON STOCK 867914103      64       5420    Shares                X                 1       5420     0       0
SUNTRUST
BANKS INC      COMMON STOCK 867914103     224      19109    Shares                         X        1      17409     0    1700
SUNTRUST
BANKS INC      COMMON STOCK 867914103     312      26591    Shares                X                 2          0     0   26591
SUNTRUST
BANKS INC      COMMON STOCK 867914103      67       5703    Shares                X                 3       5703     0       0

SUPERCONDUCTOR
TECHNOLOGIES
IN             COMMON STOCK 867931305       0         12    Shares                X                 1         12     0       0
SUPERVALU INC  COMMON STOCK 868536103      35       2480    Shares                X                 1       2480     0       0
SUPERVALU INC  COMMON STOCK 868536103       4        286    Shares                X                 3        286     0       0
SUSQUEHANNA
BANCSHARES INC COMMON       869099101     678      72712    Shares                X                 1      70566     0    2146
SUSQUEHANNA
BANCSHARES INC COMMON       869099101     362      38849    Shares                         X        1      37849  1000       0
SUSQUEHANNA
BANCSHARES INC COMMON       869099101     206      22111    Shares         X                               22111     0       0


                                   41 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
SWITCH AND
DATA
FACILITIES CO  COMMON STOCK 871043105      32       3650    Shares                X                 1       3650   0        0
SWITCH AND
DATA
FACILITIES CO  COMMON STOCK 871043105     715      81500    Shares                X                 3      81500   0        0
SYBASE INC COM COMMON STOCK 871130100      45       1500    Shares                X                 1       1500   0        0
SYBASE INC COM COMMON STOCK 871130100    1371      45254    Shares                X                 3      45254   0        0
SYKES
ENTERPRISES IN COMMON       871237103     230      13829    Shares                X                 3      13829   0        0
SYMANTEC CORP
COM            COMMON STOCK 871503108     125       8347    Shares                X                 1       8347   0        0
SYMANTEC CORP
COM            COMMON STOCK 871503108      54       3600    Shares                         X        1       3600   0        0
SYMANTEC CORP
COM            COMMON STOCK 871503108     272      18200    Shares                X                 3      18200   0        0
SYNAPTICS
INCORPORATED   COMMON STOCK 87157D109     190       7100    Shares                X                 1       7100   0        0
SYNAPTICS
INCORPORATED   COMMON STOCK 87157D109    1891      70625    Shares                X                 3      70625   0        0
SYNGENTA AG
ADR            COMMON STOCK 87160A100       2         43    Shares                X                 1         43   0        0
SYNOVUS FINL
CORP COM       COMMON STOCK 87161C105       3        900    Shares                X                 1        900   0        0
SYSCO CORP     COMMON STOCK 871829107    3472     152264    Shares                X                 1     152164   0      100
SYSCO CORP     COMMON STOCK 871829107    5370     235531    Shares                         X        1     233431   0     2100
SYSCO CORP     COMMON STOCK 871829107    1832      80346    Shares                X                 2      30646   0    49700
SYSCO CORP     COMMON STOCK 871829107     191       8399    Shares                X                 3       4749   0     3650
SYSCO CORP     COMMON STOCK 871829107       6        250    Shares                X                 4        250   0        0
TCW STRATEGIC  PREFERRED
INCOME FD      STOCK        872340104       3       1000    Shares                X                 1          0   0        0
TDK
CORPORATION
SPON ADR       COMMON STOCK 872351408      20        538    Shares                X                 3        538   0        0
TECO ENERGY
INC            COMMON STOCK 872375100      30       2650    Shares                X                 1       2650   0        0
TECO ENERGY
INC            COMMON STOCK 872375100     273      24522    Shares                         X        1      24222   0      300
TEPPCO
PARTNERS LTD
PARTNERS       COMMON STOCK 872384102      60       2650    Shares                X                 1       2650   0        0
TEPPCO
PARTNERS LTD
PARTNERS       COMMON STOCK 872384102    2817     124350    Shares                X                 2      27850   0    96500
TF FINANCIAL
CORP           COMMON STOCK 872391107      91       5000    Shares                X                 1       5000   0        0
THQ INC COM
NEW            COMMON STOCK 872443403       8       2555    Shares                X                 3       2555   0        0
TJX COMPANIES
COM            COMMON STOCK 872540109     221       8633    Shares                X                 1       8633   0        0
TJX COMPANIES
COM            COMMON STOCK 872540109       3        100    Shares                         X        1        100   0        0
TJX COMPANIES
COM            COMMON STOCK 872540109    1073      41815    Shares                X                 3      41815   0        0
TNS INC        COMMON STOCK 872960109       2        191    Shares                X                 1        191   0        0
TAIWAN
SEMICONDUCTOR
SPON ADR       COMMON STOCK 874039100      20       2200    Shares                X                 1       2200   0        0
TAIWAN
SEMICONDUCTOR
SPON ADR       COMMON STOCK 874039100       9       1009    Shares                         X        1          0   0     1009
TAIWAN
SEMICONDUCTOR
SPON ADR       COMMON STOCK 874039100       7        774    Shares                X                 3        774   0        0
TALISMAN
ENERGY INC     COMMON STOCK 87425E103      46       4365    Shares                X                 1       4365   0        0
TALISMAN
ENERGY INC     COMMON STOCK 87425E103       2        210    Shares                         X        1          0   0      210
TALISMAN
ENERGY INC     COMMON STOCK 87425E103       7        630    Shares                X                 3        630   0        0
TANGER
FACTORY
OUTLET CENTERS COMMON STOCK 875465106       2         78    Shares                X                 3          0   0        0
TARGET CORP
COM            COMMON STOCK 87612E106    4113     119598    Shares                X                 1     119598   0        0
TARGET CORP
COM            COMMON STOCK 87612E106     558      16232    Shares                         X        1      16057   0      175
TARGET CORP
COM            COMMON STOCK 87612E106     587      17050    Shares                X                 2      14650   0     2400
TARGET CORP
COM            COMMON STOCK 87612E106     177       5143    Shares                X                 3       3850   0     1293
TAUBMAN
CENTERS INC    COMMON STOCK 876664103       2         92    Shares                X                 3          0   0        0
TECH DATA
CORP COM       COMMON STOCK 878237106      11        500    Shares                         X        1        500   0        0
TECK COMINCO
LTD- CL B      COMMON STOCK 878742204       2        433    Shares                X                 1        433   0        0
TECK COMINCO
LTD- CL B      COMMON STOCK 878742204      12       2144    Shares                         X        1       2144   0        0
TECK COMINCO
LTD- CL B      COMMON STOCK 878742204       4        685    Shares                X                 3        685   0        0
TEKELEC COM    COMMON STOCK 879101103       8        600    Shares                X                 1        600   0        0
TELE NORTE
LESTE PART ADR COMMON STOCK 879246106       7        500    Shares                X                 1        500   0        0
TELECOM
ARGENTINA
SA-SP ADR      COMMON STOCK 879273209       1        190    Shares                X                 1        190   0        0
TELECOM NEW
ZEALAND SPON
ADR            COMMON STOCK 879278208       2        284    Shares                X                 1        284   0        0
TELECOM
ITALIA SPA     COMMON STOCK 87927Y102       1         54    Shares                X                 1         54   0        0
TELECOM
ITALIA SPA -
SPON ADR       COMMON STOCK 87927Y201      30       3013    Shares                X                 3       3013   0        0
TELEDYNE
TECHNOLOGIES
INC COM        COMMON STOCK 879360105      39       1475    Shares                X                 1       1475   0        0
TELEDYNE
TECHNOLOGIES
INC COM        COMMON STOCK 879360105     691      25900    Shares                X                 3      25900   0        0
TELEFONICA S
A SPONSORED
ADR            COMMON STOCK 879382208      72       1200    Shares                X                 1       1200   0        0
TELEFONOS DE
MEXICO SP ADR
L              COMMON STOCK 879403780      19       1280    Shares                X                 1       1280   0        0
TELEFONOS DE
MEXICO SP ADR
L              COMMON STOCK 879403780      30       2000    Shares                         X        1          0   0     2000
TELMEX
INTERNACIONAL
SAB DE CV      COMMON STOCK 879690105      18       2000    Shares                         X        1          0   0     2000
TELULAR CORP   COMMON STOCK 87970T208       1        500    Shares                X                 2          0   0      500
TEMPLE INLAND
INC            COMMON STOCK 879868107       1        128    Shares                X                 1        128   0        0
TEMPLE INLAND
INC            COMMON STOCK 879868107       1        100    Shares                         X        1        100   0        0
TEMPLE INLAND
INC            COMMON STOCK 879868107       3        513    Shares                X                 2          0   0      513
TEMPLETON
DRAGON FUND    PREFERRED
INC            STOCK        88018T101       2        100    Shares                X                 1          0   0        0
TEMPLETON
GLOBAL INCOME  PREFERRED
FUND-D         STOCK        880198106     279      37500    Shares                X                 1          0   0        0
TENARIS SA
SPONSORED ADR  COMMON STOCK 88031M109      21       1025    Shares                X                 3       1025   0        0
TENET
HEALTHCARE
CORP           COMMON STOCK 88033G100      11       9171    Shares                X                 3       9171   0        0
TERADATA CORP  COMMON STOCK 88076W103       3        212    Shares                X                 1        212   0        0
TERADATA CORP  COMMON STOCK 88076W103      12        724    Shares                         X        1        708   0       16


                                   42 of 49





                                                   SEC USE ______________________________________________

                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                   COLUMN 2                         SHARES
                    TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                      OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
TEREX CORP       COMMON STOCK 880779103     371      40139    Shares                X                 1      40139   0        0
TEREX CORP       COMMON STOCK 880779103       4        475    Shares                         X        1        475   0        0
TEREX CORP       COMMON STOCK 880779103     662      71500    Shares                X                 3      71500   0        0
TERRA
INDUSTRIES INC   COMMON STOCK 880915103      51       1829    Shares                X                 1       1829   0        0
TERRA
INDUSTRIES INC   COMMON STOCK 880915103     821      29225    Shares                X                 3      29225   0        0
TEVA
PHARMACEUTICAL
SPONS ADR        COMMON STOCK 881624209     630      13987    Shares                X                 1      13587   0      400
TEVA
PHARMACEUTICAL
SPONS ADR        COMMON STOCK 881624209     730      16210    Shares                         X        1      14035   0     2175
TEVA
PHARMACEUTICAL
SPONS ADR        COMMON STOCK 881624209      43        958    Shares                X                 3        958   0        0
TETRA TECH INC   COMMON STOCK 88162G103       2        100    Shares                         X        1        100   0        0
TEXAS
INSTRUMENTS
INC              COMMON STOCK 882508104    2460     148989    Shares                X                 1     147889   0     1100
TEXAS
INSTRUMENTS
INC              COMMON STOCK 882508104    1127      68281    Shares                         X        1      59631   0     8650
TEXAS
INSTRUMENTS
INC              COMMON STOCK 882508104    1440      87163    Shares                X                 2      73988   0    13175
TEXAS
INSTRUMENTS
INC              COMMON STOCK 882508104     114       6903    Shares                X                 3       5381   0     1522
TEXAS
INSTRUMENTS
INC              COMMON STOCK 882508104       2        100    Shares                X                 4        100   0        0
TEXTRON INC
COM              COMMON STOCK 883203101      48       8386    Shares                X                 1       8386   0        0
THERMO
FISHARESER
SCIENTIFIC INC   COMMON STOCK 883556102     286       8025    Shares                X                 1       8025   0        0
THERMO
FISHARESER
SCIENTIFIC INC   COMMON STOCK 883556102     116       3250    Shares                         X        1       3250   0        0
THERMO
FISHARESER
SCIENTIFIC INC   COMMON STOCK 883556102     465      13036    Shares                X                 2          0   0    13036
THERMO
FISHARESER
SCIENTIFIC INC   COMMON STOCK 883556102      59       1658    Shares                X                 3       1658   0        0
THOMSON
REUTERS PLC
ADR              COMMON STOCK 885141101      35        260    Shares                X                 1        260   0        0
3 COM CORP COM   COMMON STOCK 885535104       1        300    Shares                         X        1          0   0      300
3 COM CORP COM   COMMON STOCK 885535104     256      82700    Shares                X                 3      82700   0        0
3M CO            COMMON STOCK 88579Y101    8213     165175    Shares                X                 1     160911   0     4264
3M CO            COMMON STOCK 88579Y101    6718     135120    Shares                         X        1     122315   0    12805
3M CO            COMMON STOCK 88579Y101    3835      77130    Shares                X                 2      18270   0    58860
3M CO            COMMON STOCK 88579Y101     259       5205    Shares                X                 3       3496   0     1709
3M CO            COMMON STOCK 88579Y101       7        150    Shares                X                 4        150   0        0
3PAR INC         COMMON       88580F109     110      16708    Shares                X                 3      16708   0        0
TICKETMASTER
ENTERTAINMENT
INC              COMMON STOCK 88633P302       0         35    Shares                         X        1         35   0        0
TIDEWATER INC    COMMON STOCK 886423102      37       1000    Shares                X                 1       1000   0        0
TIFFANY & CO     COMMON STOCK 886547108     130       6029    Shares                X                 1       6029   0        0
TIFFANY & CO     COMMON STOCK 886547108      39       1800    Shares                         X        1       1800   0        0
TIFFANY & CO     COMMON STOCK 886547108      75       3500    Shares                X                 2          0   0     3500
TIFFANY & CO     COMMON STOCK 886547108     649      30100    Shares                X                 3      30100   0        0
TIGERLOGIC
CORP             COMMON STOCK 8867EQ101     113      60000    Shares                X                 2          0   0    60000
TIM HORTONS
INC              COMMON STOCK 88706M103     121       4768    Shares                X                 1       4768   0        0
TIME WARNER
INC              COMMON STOCK 887317105     204      31795    Shares                X                 1      31795   0        0
TIME WARNER
INC              COMMON STOCK 887317105     142      22078    Shares                         X        1      21378   0      700
TIME WARNER
INC              COMMON STOCK 887317105     819      87262    Shares                X                 2      70831   0    16431
TIME WARNER
INC              COMMON STOCK 887317105      30       4594    Shares                X                 3       4594   0        0
TIME WARNER
CABLE INC        COMMON STOCK 88732J207      66       2662    Shares                X                 1       2662   0        0
TIME WARNER
CABLE INC        COMMON STOCK 88732J207      46       1848    Shares                         X        1       1789   0       59
TIME WARNER
CABLE INC        COMMON STOCK 88732J207      34       1375    Shares                X                 2          0   0     1375
TIME WARNER
CABLE INC        COMMON STOCK 88732J207      10        384    Shares                X                 3        384   0        0
TIMKEN CO COM    COMMON STOCK 887389104      13        947    Shares                         X        1        947   0        0
TIMKEN CO COM    COMMON STOCK 887389104      28       2000    Shares                X                 3       2000   0        0
TOLL BROS INC    COMMON STOCK 889478103    1002      55151    Shares                X                 1      55151   0        0
TOLL BROS INC    COMMON STOCK 889478103     199      10950    Shares                         X        1      10450   0      500
TOLL BROS INC    COMMON STOCK 889478103     242      13325    Shares                X                 2          0   0    13325
TOLL BROS INC    COMMON STOCK 889478103    1397      76936    Shares                X                 3      76936   0        0
TOMKINS
PLC-SPONS ADR    COMMON STOCK 890030208       1        107    Shares                X                 3        107   0        0
TOMPKINS
FINANCIAL CORP   COMMON STOCK 890110109      13        300    Shares                X                 1        300   0        0
TOMPKINS
FINANCIAL CORP   COMMON STOCK 890110109     224       5213    Shares                X                 2          0   0     5213
TONGJITANG
CHINESE
MEDICINES-A      COMMON STOCK 89025E103       1        200    Shares                         X        1        200   0        0
TOOTSIE ROLL
INDUSTRIES       COMMON STOCK 890516107      11        492    Shares                X                 1        492   0        0
TOOTSIE ROLL
INDUSTRIES       COMMON STOCK 890516107       6        297    Shares                         X        1        297   0        0
TORCHMARK
CORP COM         COMMON STOCK 891027104       2         79    Shares                X                 3         79   0        0
TORO CO COM      COMMON STOCK 891092108      39       1600    Shares                X                 1       1600   0        0
TORO CO COM      COMMON STOCK 891092108      10        420    Shares                X                 3        420   0        0

TORONTO-DOMINION
BANK             COMMON STOCK 891160509      10        293    Shares                X                 1        293   0        0

TORONTO-DOMINION
BANK             COMMON STOCK 891160509      74       2152    Shares                         X        1       2070   0       82
TORTOISE
ENERGY           PREFERRED
INFRASTRUCTURE   STOCK        89147L100      21       1000    Shares                X                 1          0   0        0
TORTOISE
ENERGY
CAPITAL CORP     COMMON STOCK 89147U100      16       1000    Shares                         X        1       1000   0        0
TOTAL SA
SPONSORED ADR    COMMON STOCK 89151E109      56       1150    Shares                X                 1       1150   0        0
TOTAL SYSTEMS
SERVICES INC     COMMON STOCK 891906109       6        435    Shares                X                 1        435   0        0
TOYOTA MOTOR
CORP SPON ADR    COMMON STOCK 892331307      13        207    Shares                X                 1        207   0        0
TOYOTA MOTOR
CORP SPON ADR    COMMON STOCK 892331307      13        200    Shares                         X        1        200   0        0


                                   43 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
TOYOTA MOTOR
CORP SPON ADR   COMMON STOCK 892331307      13        200    Shares                X                 3        200   0         0
TRADESTATION
GROUP INC       COMMON STOCK 89267P105       6        900    Shares                X                 1        900   0         0
TRANSACT
TECHNOLOGIES
INC COM         COMMON STOCK 892918103       3       1000    Shares                X                 1       1000   0         0
TRANSCANADA
CORP            COMMON STOCK 89353D107      37       1573    Shares                X                 1       1573   0         0
TRANSCANADA
CORP            COMMON STOCK 89353D107       7        300    Shares                         X        1        300   0         0

TRANSMONTAIGNE
PARTNERS LP     COMMON STOCK 89376V100      20       1200    Shares                X                 2          0   0      1200
TRANS1
INCORPORATED    COMMON STOCK 89385X105      24       3900    Shares                X                 1       3900   0         0
TRANS1
INCORPORATED    COMMON STOCK 89385X105     528      86600    Shares                X                 3      86600   0         0
TRAVELCENTERS
OF AMERICA LLC  COMMON STOCK 894174101       0         30    Shares                         X        1         30   0         0
THE TRAVELERS
COMPANIES INC   COMMON STOCK 89417E109     385       9478    Shares                X                 1       9321   0       157
THE TRAVELERS
COMPANIES INC   COMMON STOCK 89417E109     330       8120    Shares                         X        1       8120   0         0
THE TRAVELERS
COMPANIES INC   COMMON STOCK 89417E109     274       6744    Shares                X                 2          0   0      6744
THE TRAVELERS
COMPANIES INC   COMMON STOCK 89417E109      81       1999    Shares                X                 3       1999   0         0
THE TRAVELERS
COMPANIES INC   COMMON STOCK 89417E109       7        160    Shares                X                 4        160   0         0
TREDEGAR CORP   COMMON STOCK 894650100      37       2250    Shares                X                 1       2250   0         0
TREDEGAR CORP   COMMON STOCK 894650100       6        360    Shares                         X        1        360   0         0
TREE.COM INC    COMMON STOCK 894675107       0          5    Shares                         X        1          5   0         0

TRI-CONTINENTAL PREFERRED
CORP            STOCK        895436103      44       5214    Shares                X                 1          0   0         0
TRINITY
INDUSTRIES INC  COMMON STOCK 896522109       7        750    Shares                         X        1        750   0         0
TRUSTCO BANK
CORP NY COM     COMMON STOCK 898349105      23       3800    Shares                X                 1       3800   0         0
TUPPERWARE
BRANDS CORP     COMMON STOCK 899896104       8        500    Shares                X                 1        500   0         0
TUPPERWARE
BRANDS CORP     COMMON STOCK 899896104       8        450    Shares                         X        1        450   0         0
TYLER
TECHNOLOGIES
INC             COMMON STOCK 902252105    3848     263000    Shares                X                 2      60300   0    202700
UDR INC REIT    COMMON STOCK 902653104       5        540    Shares                X                 1          0   0         0
UGI CORP        COMMON STOCK 902681105     184       7796    Shares                X                 1       7796   0         0
UGI CORP        COMMON STOCK 902681105     124       5250    Shares                         X        1       5250   0         0
U S BANCORP
DEL COM NEW     COMMON STOCK 902973304    1112      76140    Shares                X                 1      76140   0         0
U S BANCORP
DEL COM NEW     COMMON STOCK 902973304     313      21406    Shares                         X        1      16506   0      4900
U S BANCORP
DEL COM NEW     COMMON STOCK 902973304     798      54600    Shares                X                 2      18900   0     35700
U S BANCORP
DEL COM NEW     COMMON STOCK 902973304      42       2900    Shares                X                 3       2900   0         0
U S BANCORP
DEL COM NEW     COMMON STOCK 902973304       4        253    Shares                X                 4        253   0         0
URS CORP NEW    COMMON STOCK 903236107      19        465    Shares                X                 3        465   0         0
UNDER ARMOUR
INC-CLASS A     COMMON STOCK 904311107      15        900    Shares                X                 1        900   0         0
UNDER ARMOUR
INC-CLASS A     COMMON STOCK 904311107      33       2000    Shares                X                 2          0   0      2000
UNILEVER PLC
SPONSORED ADR   COMMON STOCK 904767704       6        293    Shares                X                 1        293   0         0
UNILEVER PLC
SPONSORED ADR   COMMON STOCK 904767704      88       4640    Shares                         X        1       1640   0      3000
UNILEVER NV
NY SHARESARES   COMMON STOCK 904784709     299      15246    Shares                X                 1      15246   0         0
UNILEVER NV
NY SHARESARES   COMMON STOCK 904784709      82       4190    Shares                         X        1       4190   0         0
UNILEVER NV
NY SHARESARES   COMMON STOCK 904784709      21       1060    Shares                X                 3       1060   0         0
UNION
BANKSHARESARES
CORPORATION     COMMON STOCK 905399101       4        300    Shares                         X        1        300   0         0
UNION PACIFIC
CORP COM        COMMON STOCK 907818108     720      17516    Shares                X                 1      17516   0         0
UNION PACIFIC
CORP COM        COMMON STOCK 907818108     390       9480    Shares                         X        1       9480   0         0
UNION PACIFIC
CORP COM        COMMON STOCK 907818108     716      17414    Shares                X                 2          0   0     17414
UNITED
BANKSHARESARES
INC             COMMON STOCK 909907107     359      20824    Shares                X                 2          0   0     20824
UNITED
NATURAL FOODS
INC COM         COMMON STOCK 911163103      14        745    Shares                X                 3        745   0         0
UNITED PARCEL
SERVICE CL B    COMMON STOCK 911312106    2463      50046    Shares                X                 1      48571   0      1475
UNITED PARCEL
SERVICE CL B    COMMON STOCK 911312106     726      14750    Shares                         X        1      12920   0      1830
UNITED PARCEL
SERVICE CL B    COMMON STOCK 911312106    7731     157062    Shares                X                 2       6278   0    150784
UNITED PARCEL
SERVICE CL B    COMMON STOCK 911312106      56       1128    Shares                X                 3        626   0       502
UNITED PARCEL
SERVICE CL B    COMMON STOCK 911312106       7        150    Shares                X                 4        150   0         0
UNITED
RENTALS INC
COM             COMMON STOCK 911363109      17       4000    Shares                X                 2          0   0      4000
UNITED STATES   PREFERRED
OIL FD LP       STOCK        91232N108      15        500    Shares                X                 1          0   0         0
UNITED STS
STL CORP NEW    COMMON STOCK 912909108       2        104    Shares                X                 1        104   0         0
UNITED STS
STL CORP NEW    COMMON STOCK 912909108       3        153    Shares                         X        1        153   0         0
UNITED STS
STL CORP NEW    COMMON STOCK 912909108       6        299    Shares                X                 3        299   0         0
UNITED
TECHNOLOGIES
CORP COM        COMMON STOCK 913017109    5125     119230    Shares                X                 1     114980   0      4250
UNITED
TECHNOLOGIES
CORP COM        COMMON STOCK 913017109    2290      53269    Shares                         X        1      50889   0      2380
UNITED
TECHNOLOGIES
CORP COM        COMMON STOCK 913017109    2194      51060    Shares                X                 2       5570   0     45490
UNITED
TECHNOLOGIES
CORP COM        COMMON STOCK 913017109       4        100    Shares                X                 3        100   0         0
UNITEDHEALTH
GROUP INC       COMMON STOCK 91324P102    1807      86347    Shares                X                 1      86347   0         0
UNITEDHEALTH
GROUP INC       COMMON STOCK 91324P102     127       6082    Shares                         X        1       4682   0      1400
UNITEDHEALTH
GROUP INC       COMMON STOCK 91324P102    5881     280995    Shares                X                 2     101580   0    179415
UNITEDHEALTH
GROUP INC       COMMON STOCK 91324P102     114       5429    Shares                X                 3       2963   0      2466
UNITRIN INC
COM             COMMON STOCK 913275103      26       1883    Shares                X                 1       1883   0         0
UNIVERSAL
DISPLAY CORP    COMMON STOCK 91347P105      12       1300    Shares                X                 1       1300   0         0
UNIVERSAL
HEALTH SVC      CLASS B      913903100     192       5000    Shares                X                 3       5000   0         0
UNIVEST CORP
OF PA           COMMON STOCK 915271100      43       2454    Shares                X                 1       2454   0         0


                                   44 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
UNUM GROUP      COMMON STOCK 91529Y106     793      63410    Shares                X                 2      18200   0     45210
UNUM GROUP      COMMON STOCK 91529Y106       4        330    Shares                X                 3        330   0         0
URBAN
OUTFITTERS INC  COMMON STOCK 917047102     719      43897    Shares                X                 1      43897   0         0
URBAN
OUTFITTERS INC  COMMON STOCK 917047102    2427     148235    Shares                X                 3     148235   0         0
URSTADT
BIDDLE PPTYS
INC CL A        COMMON STOCK 917286205      40       3000    Shares                         X        1          0   0         0
V F CORP        COMMON STOCK 918204108     164       2876    Shares                X                 1       2876   0         0
V F CORP        COMMON STOCK 918204108       9        160    Shares                         X        1        160   0         0
V F CORP        COMMON STOCK 918204108     171       3000    Shares                X                 2          0   0      3000
VIST
FINANCIAL CORP  COMMON STOCK 918255100       7       1000    Shares                X                 1       1000   0         0
VALEANT
PHARMACEUTICALS
INC             COMMON STOCK 91911X104      23       1300    Shares                X                 1       1300   0         0
VALEANT
PHARMACEUTICALS
INC             COMMON STOCK 91911X104     500      28125    Shares                X                 3      28125   0         0
VALERO ENERGY
CORP COM        COMMON STOCK 91913Y100      95       5300    Shares                X                 1       5300   0         0
VALERO ENERGY
CORP COM        COMMON STOCK 91913Y100      72       4000    Shares                         X        1       4000   0         0
VALERO ENERGY
CORP COM        COMMON STOCK 91913Y100      11        619    Shares                X                 3        619   0         0
VALSPAR CORP    COMMON STOCK 920355104      11        555    Shares                X                 3        555   0         0
VALUECLICK INC  COMMON STOCK 92046N102      17       2000    Shares                         X        1       2000   0         0
VAN KAMPEN
TRUST INSURED   PREFERRED
MUNIC           STOCK        920928108       6        505    Shares                X                 1          0   0         0
VAN KAMPEN TR
FOR INV GR      PREFERRED
MUNIC           STOCK        920929106      64       5851    Shares                         X        1          0   0         0
VAN KAMPEN
MUNICIPAL       PREFERRED
OPPORTUNI       STOCK        920935103      82       7385    Shares                         X        1          0   0         0
VAN KAMPEN      PREFERRED
BOND FUND       STOCK        920955101       2        100    Shares                         X        1          0   0         0
VAN KAMPEN
SENIOR INCOME   PREFERRED
TRUST           STOCK        920961109      10       4000    Shares                X                 1          0   0         0
VK ADVANTAGE
MUNI INCOME     PREFERRED
TR I            STOCK        92112K107       9        933    Shares                X                 1          0   0         0
VAN KAMPEN
PENN VALUE      PREFERRED
MUNI INC        STOCK        92112T108     223      20852    Shares                X                 1          0   0         0
VAN KAMPEN
PENN VALUE      PREFERRED
MUNI INC        STOCK        92112T108     486      45415    Shares                         X        1          0   0         0
VANGUARD
TOTAL BOND      PREFERRED
MKT ETF         STOCK        921937835    1160      15031    Shares                X                 3          0   0         0
VANGUARD
EUROPE          PREFERRED
PACIFIC ETF     STOCK        921943858     776      33706    Shares                X                 3          0   0         0
VANGUARD HIGH
DIVIDEND        PREFERRED
YIELD E         STOCK        921946406      26        963    Shares                X                 1          0   0         0
VANGUARD
EMERGING MKTS   PREFERRED
ETF             STOCK        922042858       6        258    Shares                         X        1          0   0         0
VANGUARD
EMERGING MKTS   PREFERRED
ETF             STOCK        922042858     182       7725    Shares                X                 3          0   0         0
VANGUARD        PREFERRED
ENERGY ETF      STOCK        92204A306       3         50    Shares                X                 1          0   0         0
VANGUARD        PREFERRED
ENERGY ETF      STOCK        92204A306       7        112    Shares                         X        1          0   0         0
VANGUARD        PREFERRED
MATERIALS ETF   STOCK        92204A801      11        250    Shares                X                 1          0   0         0
VARIAN INC      COMMON STOCK 922206107       3        120    Shares                X                 1        120   0         0
VARIAN
SEMICONDUCTOR
EQUIP ASS       COMMON STOCK 922207105       6        270    Shares                X                 1        270   0         0
VARIAN
MEDICAL SYS
INC COM         COMMON STOCK 92220P105       7        225    Shares                X                 1        225   0         0
VARIAN
MEDICAL SYS
INC COM         COMMON STOCK 92220P105       3        100    Shares                         X        1        100   0         0
VARIAN
MEDICAL SYS
INC COM         COMMON STOCK 92220P105      30       1000    Shares                X                 2          0   0      1000
VENTAS INC COM  COMMON STOCK 92276F100      18        793    Shares                X                 3          0   0         0
VANGUARD REIT   PREFERRED
ETF             STOCK        922908553      14        592    Shares                X                 1          0   0         0
VANGUARD
EXTENDED MKT    PREFERRED
ETF             STOCK        922908652       2         60    Shares                         X        1          0   0         0
VANGUARD
TOTAL STOCK     PREFERRED
MARKET ET       STOCK        922908769     221       5580    Shares                         X        1          0   0         0
VERENIUM CORP   COMMON STOCK 92340P100       0        150    Shares                X                 1        150   0         0
VERIFONE
HOLDINGS INC    COMMON STOCK 92342Y109       7       1000    Shares                X                 2          0   0      1000
VERISIGN INC
COM             COMMON STOCK 92343E102      22       1150    Shares                X                 1       1150   0         0
VERIZON
COMMUNICATIONS
COM             COMMON STOCK 92343V104   15055     498500    Shares                X                 1     490550   0      7950
VERIZON
COMMUNICATIONS
COM             COMMON STOCK 92343V104    6936     229656    Shares                         X        1     220255   0      9401
VERIZON
COMMUNICATIONS
COM             COMMON STOCK 92343V104    9348     309512    Shares                X                 2      76144   0    233368
VERIZON
COMMUNICATIONS
COM             COMMON STOCK 92343V104     439      14545    Shares                X                 3      10707   0      3838
VIACOM
INC-CLASS B     COMMON STOCK 92553P201     135       7760    Shares                X                 1       7760   0         0
VIACOM
INC-CLASS B     COMMON STOCK 92553P201      97       5583    Shares                         X        1       3183   0      2400
VIACOM
INC-CLASS B     COMMON STOCK 92553P201      11        611    Shares                X                 3        611   0         0
VISA INC        COMMON STOCK 92826C839       8        145    Shares                X                 1        145   0         0
VISA INC        COMMON STOCK 92826C839      17        300    Shares                         X        1        300   0         0
VISA INC        COMMON STOCK 92826C839     168       3025    Shares                X                 2          0   0      3025
VIRTUS
INVESTMENT
PARTNERS INC    COMMON STOCK 92828Q109       0         70    Shares                X                 1         70   0         0
VIRTUS
INVESTMENT
PARTNERS INC    COMMON STOCK 92828Q109       0          8    Shares                         X        1          8   0         0
VIRTUS
INVESTMENT
PARTNERS INC    COMMON STOCK 92828Q109       1        127    Shares                X                 2          0   0       127
VISHARESAY
INTERTECHNOLOGY
INC COM         COMMON STOCK 928298108       3       1000    Shares                X                 1       1000   0         0
VISIONCHINA
MEDIA INC       COMMON STOCK 92833U103       1        203    Shares                X                 1        203   0         0
VIVUS INC       COMMON STOCK 928551100      17       4000    Shares                X                 1       4000   0         0
VIVUS INC       COMMON STOCK 928551100     293      67975    Shares                X                 3      67975   0         0
VMWARE INC      COMMON STOCK 928563402     551      23343    Shares                X                 1      23343   0         0
VMWARE INC      COMMON STOCK 928563402    1002      42467    Shares                X                 3      42467   0         0
VODAFONE
GROUP PLC--SP
ADR             COMMON STOCK 92857W209     522      29945    Shares                X                 1      29945   0         0
VODAFONE
GROUP PLC--SP
ADR             COMMON STOCK 92857W209     180      10329    Shares                         X        1      10168   0       161
VODAFONE
GROUP PLC--SP
ADR             COMMON STOCK 92857W209      72       4137    Shares                X                 2          0   0      4137
VODAFONE
GROUP PLC--SP
ADR             COMMON STOCK 92857W209      21       1224    Shares                X                 3       1224   0         0


                                   45 of 49





                                                  SEC USE ______________________________________________

                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                  COLUMN 2                         SHARES
                   TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                     OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                  
VOLTERRA
SEMICONDUCTOR
CORP            COMMON STOCK 928708106      26        3075   Shares                X                 1       3075    0        0
VOLTERRA
SEMICONDUCTOR
CORP            COMMON STOCK 928708106     566       67125   Shares                X                 3      67125    0        0
VORNADO
REALTY TRUST
(REIT)          COMMON STOCK 929042109       0           3   Shares                X                 1          0    0        0
VORNADO
REALTY TRUST
(REIT)          COMMON STOCK 929042109     103        3086   Shares                X                 2          0    0        0
VORNADO
REALTY TRUST
(REIT)          COMMON STOCK 929042109      13         396   Shares                X                 3          0    0        0
VORNADO
REALTY TRUST
3.625% 11       OTHER        929043AE7    4466     5725000   Shares                X                 2          0    0        0
VULCAN
MATERIAL COM    COMMON STOCK 929160109       1          23   Shares                X                 1         23    0        0
VULCAN
MATERIAL COM    COMMON STOCK 929160109      53        1200   Shares                X                 3       1200    0        0
WD 40 CO COM    COMMON STOCK 929236107       5         200   Shares                X                 1        200    0        0
WD 40 CO COM    COMMON STOCK 929236107       5         200   Shares                         X        1        200    0        0
WGL HLDGS INC
COM             COMMON STOCK 92924F106      23         700   Shares                X                 1        700    0        0
WGL HLDGS INC
COM             COMMON STOCK 92924F106      62        1893   Shares                         X        1       1893    0        0
WGL HLDGS INC
COM             COMMON STOCK 92924F106      59        1796   Shares                X                 2          0    0     1796
WGL HLDGS INC
COM             COMMON STOCK 92924F106      60        1828   Shares                X                 3       1828    0        0
WMS
INDUSTRIES INC  COMMON STOCK 929297109      23        1100   Shares                X                 1       1100    0        0
WMS
INDUSTRIES INC  COMMON STOCK 929297109     513       24525   Shares                X                 3      24525    0        0
W P CAREY &
CO LLC          COMMON STOCK 92930Y107       4         200   Shares                X                 1          0    0        0
W P CAREY &
CO LLC          COMMON STOCK 92930Y107     111        5019   Shares                         X        1          0    0        0
WABTEC CORP
COM             COMMON STOCK 929740108      40        1500   Shares                X                 1       1500    0        0
WABTEC CORP
COM             COMMON STOCK 929740108     988       37457   Shares                X                 3      37457    0        0
WACOAL
HOLDINGS CORP
- SP ADR        COMMON STOCK 930004205      12         203   Shares                X                 3        203    0        0
WADDELL &
REED FINL INC
CL A            COMMON STOCK 930059100      32        1750   Shares                X                 1       1750    0        0
WADDELL &
REED FINL INC
CL A            COMMON STOCK 930059100     689       38100   Shares                X                 3      38100    0        0
WAL MART
STORES INC COM  COMMON STOCK 931142103   12471      239373   Shares                X                 1     237973    0     1400
WAL MART
STORES INC COM  COMMON STOCK 931142103    4186       80338   Shares                         X        1      72798    0     7540
WAL MART
STORES INC COM  COMMON STOCK 931142103     663       12716   Shares                X                 2          0    0    12716
WAL MART
STORES INC COM  COMMON STOCK 931142103    2605       50012   Shares                X                 3      47631    0     2381
WAL MART
STORES INC COM  COMMON STOCK 931142103      16         300   Shares                X                 4        300    0        0
WALGREEN CO     COMMON STOCK 931422109     463       17818   Shares                X                 1      17768    0       50
WALGREEN CO     COMMON STOCK 931422109     467       18005   Shares                         X        1      12335    0     5670
THE WARNACO
GROUP INC       COMMON STOCK 934390402      36        1500   Shares                X                 1       1500    0        0
THE WARNACO
GROUP INC       COMMON STOCK 934390402     875       36494   Shares                X                 3      36494    0        0

WASHARESINGTON
POST CO CL B    COMMON STOCK 939640108      21          60   Shares                         X        1         60    0        0

WASHARESINGTON
POST CO CL B    COMMON STOCK 939640108     268         750   Shares                X                 2          0    0      750

WASHARESINGTON
REAL ESTATE
INVT (R         COMMON STOCK 939653101     174       10051   Shares                X                 1          0    0        0

WASHARESINGTON
REAL ESTATE
INVT (R         COMMON STOCK 939653101      32        1865   Shares                         X        1          0    0        0

WASHARESINGTON
REAL ESTATE
INVT (R         COMMON STOCK 939653101     315       18236   Shares                X                 2          0    0        0

WASHARESINGTON
REAL ESTATE
INVT (R         COMMON STOCK 939653101       8         480   Shares                X                 3          0    0        0
WASTE
CONNECTIONS
INC             COMMON STOCK 941053100     181        7027   Shares                X                 1       7027    0        0
WASTE
CONNECTIONS
INC             COMMON STOCK 941053100    1511       58797   Shares                X                 3      58797    0        0
WASTE
MANAGEMENT
INC COM         COMMON STOCK 94106L109      73        2868   Shares                X                 1       2868    0        0
WASTE
MANAGEMENT
INC COM         COMMON STOCK 94106L109     344       13442   Shares                         X        1       9142    0     4300
WASTE
MANAGEMENT
INC COM         COMMON STOCK 94106L109      15         591   Shares                X                 3        591    0        0
WATERS CORP
COM             COMMON STOCK 941848103     100        2700   Shares                X                 1       2700    0        0
WATSCO INC CL
A               COMMON STOCK 942622200      11         325   Shares                X                 3        325    0        0
WATSON
PHARMACEUTICALS
INC COM         COMMON STOCK 942683103      47        1526   Shares                         X        1        763  763        0
WATSON
PHARMACEUTICALS
INC COM         COMMON STOCK 942683103      44        1430   Shares                X                 3       1430    0        0
WATSON WYATT
WORLDWIDE INC
CL-             COMMON STOCK 942712100      12         250   Shares                X                 1        250    0        0
WATSON WYATT
WORLDWIDE INC
CL-             COMMON STOCK 942712100     257        5200   Shares                X                 3       5200    0        0
WEBSTER
FINANCIAL CORP  COMMON       947890109      48       11356   Shares         X                               11356    0        0
WEINGARTEN
REALTY
INVESTORS (R    COMMON STOCK 948741103       5         500   Shares                         X        1          0    0        0
WEINGARTEN
REALTY
INVESTORS (R    COMMON STOCK 948741103    1503      157910   Shares                X                 2      19204    0        0
WEIS MARKETS
INC             COMMON STOCK 948849104     100        3230   Shares                X                 1       2780    0      450
WEIS MARKETS
INC             COMMON STOCK 948849104      23         757   Shares                         X        1        757    0        0
WELLPOINT INC   COMMON STOCK 94973V107      32         850   Shares                X                 1        850    0        0
WELLPOINT INC   COMMON STOCK 94973V107       7         185   Shares                X                 3        185    0        0
WELLS FARGO &
CO              COMMON STOCK 949746101    5350      375677   Shares                X                 1     365604    0    10073
WELLS FARGO &
CO              COMMON STOCK 949746101    2257      158490   Shares                         X        1     153545    0     4945
WELLS FARGO &
CO              COMMON STOCK 949746101    4436      311561   Shares                X                 2      59366    0   252195
WELLS FARGO &
CO              COMMON STOCK 949746101     162       11405   Shares                X                 3       7863    0     3542
WELLS FARGO &
CO              COMMON STOCK 949746101       3         219   Shares                X                 4        219    0        0
WELLS FARGO
PFD CONV        PREFERRED
7.50% SER       STOCK        949746804     239         500   Shares                X                 2          0    0        0
WENDYS/ARBYS
GROUP INC -
CL A            COMMON STOCK 950587105      78       15467   Shares                X                 1      15467    0        0
WERNER
ENTERPRISES
INC             COMMON STOCK 950755108      13         847   Shares                X                 1        847    0        0
WESTAR ENERGY
INC             COMMON STOCK 95709T100       3         150   Shares                         X        1        150    0        0
WESTERN ASSET
GLOBAL HIGH     PREFERRED
INC             STOCK        95766B109      12        1800   Shares                X                 1          0    0        0
WESTERN ASSET
MANAGED         PREFERRED
MUNICIPA        STOCK        95766M105      10        1016   Shares                         X        1          0    0        0


                                   46 of 49





                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
WESTERN ASSET
MANAGED        PREFERRED
MUNICIPA       STOCK        95766M105      51       5000    Shares                X                 2          0   0        0
WESTERN ASSET
MUNICIPAL      PREFERRED
HIGH I         STOCK        95766N103       7       1050    Shares                X                 1          0   0        0
WESTN DIGITAL
CORP           COMMON STOCK 958102105     159       8229    Shares                X                 1       8229   0        0
WESTN DIGITAL
CORP           COMMON STOCK 958102105    2284     118089    Shares                X                 3     118089   0        0
WESTERN UNION
COMPANY        COMMON STOCK 959802109     182      14468    Shares                X                 1      14468   0        0
WESTERN UNION
COMPANY        COMMON STOCK 959802109     167      13302    Shares                         X        1      12977   0      325
WESTERN UNION
COMPANY        COMMON STOCK 959802109       3        200    Shares                X                 4        200   0        0
WEYERHAEUSER
CO COM         COMMON STOCK 962166104      78       2823    Shares                X                 1       2823   0        0
WEYERHAEUSER
CO COM         COMMON STOCK 962166104      97       3517    Shares                         X        1       2719   0      798
WEYERHAEUSER
CO COM         COMMON STOCK 962166104     422      15305    Shares                X                 2          0   0    15305
WHIRLPOOL
CORP COM       COMMON STOCK 963320106       7        220    Shares                X                 1        220   0        0
WHIRLPOOL
CORP COM       COMMON STOCK 963320106      18        594    Shares                         X        1        594   0        0
WHITING
PETROLEUM
CORPORATION    COMMON STOCK 966387102      14        543    Shares                X                 3        543   0        0
WHITNEY
HOLDING CORP
COM            COMMON STOCK 966612103      37       3275    Shares                X                 1       3275   0        0
WHOLE FOODS
MKT INC COM    COMMON STOCK 966837106       3        200    Shares                X                 1        200   0        0
WHOLE FOODS
MKT INC COM    COMMON STOCK 966837106      71       4245    Shares                X                 2          0   0     4245
WILBER CORP
COM            COMMON STOCK 967797101       6        750    Shares                X                 1        750   0        0
WILLBROS
GROUP INC      COMMON STOCK 969203108       7        700    Shares                X                 1        700   0        0
WILLBROS
GROUP INC      COMMON STOCK 969203108     149      15275    Shares                X                 3      15275   0        0
WILLIAMS
COMPANY INC
(THE)          COMMON STOCK 969457100      14       1226    Shares                X                 1       1226   0        0
WILLIAMS
COMPANY INC
(THE)          COMMON STOCK 969457100      18       1600    Shares                         X        1        400   0     1200
WILLIAMS
COMPANY INC
(THE)          COMMON STOCK 969457100     218       9200    Shares                X                 2       9200   0        0
WILLIAMS
COMPANY INC
(THE)          COMMON STOCK 969457100      56       4888    Shares                X                 3       4888   0        0
WILLIAMS
PARTNERS LP    COMMON STOCK 96950F104      10        900    Shares                X                 2          0   0      900
WILLIAMS
SONOMA INC     COMMON       969904101      52       5200    Shares                X                 3       5200   0        0
WILMINGTON
TRUST CRP      COMMON       971807102      26       2650    Shares                X                 3       2650   0        0
WINDSTREAM
CORP           COMMON STOCK 97381W104      61       7564    Shares                X                 1       7564   0        0
WINDSTREAM
CORP           COMMON STOCK 97381W104     299      37051    Shares                         X        1      37051   0        0
WIPRO LTD-ADR  COMMON STOCK 97651M109       1        200    Shares                X                 1        200   0        0
WISCONSIN
ENERGY CORP
COM            COMMON STOCK 976657106     152       3702    Shares                X                 1       3702   0        0
WISCONSIN
ENERGY CORP
COM            COMMON STOCK 976657106      94       2275    Shares                         X        1       2275   0        0
WISDOMTREE
INTL REAL ES   PREFERRED
FD             STOCK        97717W331      32       1875    Shares                X                 1          0   0        0
WORLD FUEL
SERVICES
CORPORATIO     COMMON STOCK 981475106      71       2250    Shares                X                 1       2250   0        0
WORTHINGTON
INDS INC COM   COMMON STOCK 981811102     113      13000    Shares                         X        1          0   0    13000
WRIGHT
EXPRESS CORP   COMMON STOCK 98233Q105      25       1350    Shares                X                 1       1350   0        0
WRIGHT
EXPRESS CORP   COMMON STOCK 98233Q105     557      30550    Shares                X                 3      30550   0        0
WYETH          COMMON STOCK 983024100   11246     261286    Shares                X                 1     260024   0     1262
WYETH          COMMON STOCK 983024100   11231     260942    Shares                         X        1     220592   0    40350
WYETH          COMMON STOCK 983024100    1206      28000    Shares                X                 2      15000   0    13000
WYETH          COMMON STOCK 983024100     244       5680    Shares                X                 3       5680   0        0
WYETH          COMMON STOCK 983024100      13        300    Shares                X                 4        300   0        0
WYNDHAM
WORLDWIDE CORP COMMON STOCK 98310W108       1        200    Shares                X                 1        200   0        0
WYNDHAM
WORLDWIDE CORP COMMON STOCK 98310W108       1        333    Shares                         X        1        333   0        0
WYNN RESORTS
LIMITED        COMMON STOCK 983134107       2        100    Shares                X                 1        100   0        0
XTO ENERGY
INC COM        COMMON STOCK 98385X106     854      27874    Shares                X                 1      27874   0        0
XTO ENERGY
INC COM        COMMON STOCK 98385X106     228       7453    Shares                         X        1       7453   0        0
XTO ENERGY
INC COM        COMMON STOCK 98385X106    1344      43900    Shares                X                 2          0   0    43900
XCEL ENERGY
INC COM        COMMON STOCK 98389B100      27       1465    Shares                X                 1       1465   0        0
XCEL ENERGY
INC COM        COMMON STOCK 98389B100     101       5439    Shares                         X        1       5439   0        0
XEROX CORP     COMMON STOCK 984121103      23       5009    Shares                X                 1       5009   0        0
XEROX CORP     COMMON STOCK 984121103      36       8000    Shares                         X        1       8000   0        0
XFONE INC      COMMON STOCK 98414Y109       0        275    Shares                X                 1        275   0        0
YAHOO INC COM  COMMON STOCK 984332106     518      40440    Shares                X                 1      40440   0        0
YAHOO INC COM  COMMON STOCK 984332106       4        320    Shares                         X        1        320   0        0
YAHOO INC COM  COMMON STOCK 984332106      77       6000    Shares                X                 2          0   0     6000
YAHOO INC COM  COMMON STOCK 984332106    1300     101384    Shares                X                 3     101384   0        0
YAMANA GOLD
INC            COMMON STOCK 98462Y100      49       5325    Shares                X                 1       5325   0        0
YAMANA GOLD
INC            COMMON STOCK 98462Y100       1        100    Shares                         X        1        100   0        0
YAMANA GOLD
INC            COMMON STOCK 98462Y100     867      93775    Shares                X                 3      93775   0        0
YORK WATER
COMPANY        COMMON STOCK 987184108    1282     103692    Shares                X                 1      96656   0     7036
YORK WATER
COMPANY        COMMON STOCK 987184108     956      77327    Shares                         X        1      77327   0        0
YUM! BRANDS
INC            COMMON STOCK 988498101     489      17806    Shares                X                 1      17806   0        0
YUM! BRANDS
INC            COMMON STOCK 988498101     296      10755    Shares                         X        1       7115   0     3640
YUM! BRANDS
INC            COMMON STOCK 988498101    2187      79580    Shares                X                 2          0   0    79580
YUM! BRANDS
INC            COMMON STOCK 988498101      22        800    Shares                X                 3        800   0        0
ZEBRA
TECHNOLOGIES
CORP CL A      COMMON STOCK 989207105       3        150    Shares                X                 1        150   0        0
ZEBRA
TECHNOLOGIES
CORP CL A      COMMON STOCK 989207105      43       2250    Shares                         X        1       2250   0        0


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                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ ------
                                                                                
ZENITH
NATIONAL
INSURANCE CORP COMMON STOCK 989390109      34       1400    Shares                X                 2         0   0      1400
ZEP INC        COMMON STOCK 98944B108     225      22000    Shares                X                 2         0   0     22000
ZIMMER HLDGS
INC COM        COMMON STOCK 98956P102    3553      97344    Shares                X                 1     95294   0      2050
ZIMMER HLDGS
INC COM        COMMON STOCK 98956P102     742      20334    Shares                         X        1     18194   0      2140
ZIMMER HLDGS
INC COM        COMMON STOCK 98956P102    3011      82509    Shares                X                 2     23455   0     59054
ZIMMER HLDGS
INC COM        COMMON STOCK 98956P102     192       5262    Shares                X                 3      3707   0      1555
ZIONS
BANCORPORATION
COM            COMMON STOCK 989701107     121      12304    Shares                X                 1     12304   0         0
ZIONS
BANCORPORATION
COM            COMMON STOCK 989701107      33       3335    Shares                         X        1      3335   0         0
ZIONS
BANCORPORATION
COM            COMMON STOCK 989701107      34       3433    Shares                X                 3      2107   0      1326
DAIMLER AG     COMMON STOCK D1668R123      10        386    Shares                X                 1       386   0         0
DAIMLER AG     COMMON STOCK D1668R123       3        124    Shares                         X        1       124   0         0
DAIMLER AG     COMMON STOCK D1668R123       3        124    Shares                X                 2         0   0       124
DEUTSCHE BANK
AG-REG         COMMON STOCK D18190898      41       1000    Shares                X                 2         0   0      1000
A-POWER
ENERGY
GENERATION
SYST           COMMON STOCK G04136100       1        334    Shares                X                 1       334   0         0
ARCH CAPITAL
GROUP LTD      COMMON STOCK G0450A105       4         71    Shares                X                 3        71   0         0
AXIS CAPITAL
HOLDINGS
LIMITED        COMMON STOCK G0692U109     535      23737    Shares                X                 1     23737   0         0
AXIS CAPITAL
HOLDINGS
LIMITED        COMMON STOCK G0692U109      12        525    Shares                X                 3       525   0         0
ACCENTURE
LTD-CL A       COMMON STOCK G1150G111     461      16754    Shares                X                 1     16754   0         0
ACCENTURE
LTD-CL A       COMMON STOCK G1150G111     344      12510    Shares                         X        1     12375   0       135
BUNGE LIMITED  COMMON STOCK G16962105     270       4769    Shares                X                 2      4470   0       299
COOPER
INDUSTRIES
LTD CL A       COMMON STOCK G24182100      36       1400    Shares                X                 1      1400   0         0
COOPER
INDUSTRIES
LTD CL A       COMMON STOCK G24182100      54       2100    Shares                         X        1      2100   0         0
COOPER
INDUSTRIES
LTD CL A       COMMON STOCK G24182100      21        819    Shares                X                 3       819   0         0
COVIDIEN
LIMITED        COMMON STOCK G2552X108     252       7585    Shares                X                 1      5456   0      2129
COVIDIEN
LIMITED        COMMON STOCK G2552X108     144       4319    Shares                         X        1      3516   0       803
COVIDIEN
LIMITED        COMMON STOCK G2552X108     374      11250    Shares                X                 2         0   0     11250
COVIDIEN
LIMITED        COMMON STOCK G2552X108      19        566    Shares                X                 3       566   0         0
ENDURANCE
SPECIALTY
HOLDINGS L     COMMON STOCK G30397106       0         20    Shares                X                 3        20   0         0
EVEREST RE
GROUP LTD COM  COMMON STOCK G3223R108      22        308    Shares                X                 3       308   0         0
FRESH DEL
MONTE PROD     ORDINARY     G36738105     112       6800    Shares                X                 3      6800   0         0
FRONTLINE LTD  COMMON STOCK G3682E127      19       1075    Shares                X                 1      1075   0         0
GARMIN
LIMITED ORD    COMMON STOCK G37260109       1         40    Shares                X                 1        40   0         0
GARMIN
LIMITED ORD    COMMON STOCK G37260109      58       2750    Shares                X                 3      2750   0         0
HERBALIFE LTD  COMMON STOCK G4412G101      90       6025    Shares                X                 1      6025   0         0
HERBALIFE LTD  COMMON STOCK G4412G101     729      48689    Shares                X                 3     48689   0         0

INGERSOLL-RAND
COMPANY LTD-A  COMMON STOCK G4776G101      67       4864    Shares                X                 1      4864   0         0

INGERSOLL-RAND
COMPANY LTD-A  COMMON STOCK G4776G101     103       7470    Shares                         X        1      7470   0         0

INGERSOLL-RAND
COMPANY LTD-A  COMMON STOCK G4776G101    2719     197017    Shares                X                 2     68097   0    128920

INGERSOLL-RAND
COMPANY LTD-A  COMMON STOCK G4776G101      54       3885    Shares                X                 3      3885   0         0
INVESCO
LIMITED        COMMON STOCK G491BT108      11        794    Shares                X                 3       794   0         0
LAZARD LTD CL
A              COMMON STOCK G54050102      15        509    Shares                X                 3       509   0         0
LJ
INTERNATIONAL
INC            COMMON STOCK G55312105       0        400    Shares                X                 1       400   0         0
NABORS
INDUSTRIES LTD COMMON STOCK G6359F103     256      25600    Shares                X                 1     25600   0         0
NABORS
INDUSTRIES LTD COMMON STOCK G6359F103     214      21375    Shares                         X        1     21375   0         0
NABORS
INDUSTRIES LTD COMMON STOCK G6359F103      26       2580    Shares                X                 3      2580   0         0
NORDIC
AMERICAN
TANKER
SHARESIPPIN    COMMON STOCK G65773106      13        450    Shares                X                 1       450   0         0
PARTNERRE LTD  COMMON STOCK G6852T105      36        573    Shares                X                 3       573   0         0
RENAISSANCERE
HOLDINGS LTD   COMMON STOCK G7496G103       1         12    Shares                X                 1        12   0         0
RENAISSANCERE
HOLDINGS LTD   COMMON STOCK G7496G103       4         81    Shares                X                 3        81   0         0
SEAGATE
TECHNOLOGY     COMMON STOCK G7945J104      50       8240    Shares                X                 1      8240   0         0
SEAGATE
TECHNOLOGY     COMMON STOCK G7945J104      17       2765    Shares                         X        1      2765   0         0
SEAGATE
TECHNOLOGY     COMMON STOCK G7945J104      39       6500    Shares                X                 3      6500   0         0
SHARESIP
FINANCE INTL
LTD            COMMON STOCK G81075106       2        381    Shares                X                 1       381   0         0
TYCO
ELECTRONICS
LTD            COMMON STOCK G9144P105      79       7115    Shares                X                 1      5061   0      2054
TYCO
ELECTRONICS
LTD            COMMON STOCK G9144P105      29       2599    Shares                         X        1      2599   0         0
TYCO
ELECTRONICS
LTD            COMMON STOCK G9144P105      69       6250    Shares                X                 2         0   0      6250
TYCO
ELECTRONICS
LTD            COMMON STOCK G9144P105      15       1335    Shares                X                 3      1335   0         0
VISTAPRINT
LIMITED        COMMON STOCK G93762204      31       1125    Shares                X                 1      1125   0         0
VISTAPRINT
LIMITED        COMMON STOCK G93762204     894      32525    Shares                X                 3     32525   0         0
WHITE
MOUNTAINS
INSURANCE GROU COMMON STOCK G9618E107      17        100    Shares                X                 1       100   0         0
WHITE
MOUNTAINS
INSURANCE GROU COMMON STOCK G9618E107     603       3505    Shares                X                 2         0   0      3505
WILLIS GROUP
HLDGS LTD      COMMON STOCK G96655108      24       1080    Shares                X                 1      1080   0         0
WILLIS GROUP
HLDGS LTD      COMMON STOCK G96655108      13        580    Shares                         X        1       580   0         0
WILLIS GROUP
HLDGS LTD      COMMON STOCK G96655108       6        264    Shares                X                 3       264   0         0
XL CAPITAL
LTD CL A       COMMON STOCK G98255105       1        160    Shares                X                 1       160   0         0
ACE LTD        COMMON STOCK H0023R105    2081      51504    Shares                X                 1     51504   0         0
ACE LTD        COMMON STOCK H0023R105      97       2400    Shares                         X        1      2300   0       100



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                                                 SEC USE ______________________________________________

                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                 COLUMN 2                         SHARES
                  TITLE                COLUMN 4     OR      SHARES   PUT                         COLUMN 7
                    OF      COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS      CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- ------------ --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
ACE LTD        COMMON STOCK H0023R105     1840      45563   Shares                X                 3      44497   0     1066
ALCON INC      COMMON STOCK H01301102       36        400   Shares                X                 1        400   0        0
WEATHERFORD
INTL LTD
SWITZERLA      COMMON STOCK H27013103     1026      92663   Shares                X                 1      92663   0        0
WEATHERFORD
INTL LTD
SWITZERLA      COMMON STOCK H27013103      123      11104   Shares                         X        1      11104   0        0
WEATHERFORD
INTL LTD
SWITZERLA      COMMON STOCK H27013103     1648     148792   Shares                X                 3     148792   0        0
FOSTER
WHEELER AG     COMMON STOCK H27178104     1405      80420   Shares                X                 1      80020   0      400
FOSTER
WHEELER AG     COMMON STOCK H27178104      101       5776   Shares                         X        1       4551   0     1225
FOSTER
WHEELER AG     COMMON STOCK H27178104      699      40037   Shares                X                 3      38487   0     1550
TRANSOCEAN
LIMITED        COMMON STOCK H8817H100     1684      28616   Shares                X                 1      26591   0     2025
TRANSOCEAN
LIMITED        COMMON STOCK H8817H100      493       8383   Shares                         X        1       6814   0     1569
TRANSOCEAN
LIMITED        COMMON STOCK H8817H100       56        950   Shares                X                 2          0   0      950
TRANSOCEAN
LIMITED        COMMON STOCK H8817H100      858      14560   Shares                X                 3      14560   0        0
UBS AG         COMMON STOCK H89231338       31       3243   Shares                X                 1       3243   0        0
UBS AG         COMMON STOCK H89231338       47       5000   Shares                X                 2          0   0     5000
UBS AG         COMMON STOCK H89231338       20       2151   Shares                X                 3       2151   0        0
CHECK POINT
SOFTWARE TECH
COM            COMMON STOCK M22465104      351      15800   Shares                X                 2          0   0    15800
ON TRACK
INNOVATION     SHARES       M8791A109        1        900   Shares                X                 3        900   0        0
CORE
LABORATORIES
N V            COMMON STOCK N22717107      134       1829   Shares                X                 3       1829   0        0
EAGLE BULK
SHARESIPPING
INC            COMMON STOCK Y2187A101        4       1000   Shares                X                 1       1000   0        0
FLEXTRONICS
INTL LTD       COMMON STOCK Y2573F102      123      42559   Shares                X                 1      42559   0        0
FLEXTRONICS
INTL LTD       COMMON STOCK Y2573F102        4       1400   Shares                         X        1       1400   0        0
FLEXTRONICS
INTL LTD       COMMON STOCK Y2573F102     1286     444888   Shares                X                 3     444888   0        0
GENERAL
MARITIME CORP  COMMON STOCK Y2693R101      849     121149   Shares                X                 2      54649   0    66500
SEASPAN CORP   COMMON STOCK Y75638109       45       5500   Shares                         X        1       5500   0        0
VERIGY LTD     COMMON STOCK Y93691106        0         46   Shares                         X        1         46   0        0
                                       2146157   92434842


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