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

                                    FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 03/31/2013

Check here if Amendment [_] Amendment Number:

This Amendment          [_] is a restatement

Institutional Investment Manager Filing this Report:

Name:    TEXAS CAPITAL BANCSHARES
Address: 2000 MCKINNEY AVE, STE 500
         DALLAS, TX 75201

13F File Number: 028-11275

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

Person Signing this Report on Behalf of Reporting Manager:

Name:  DAVID A. FOLZ
Title: EXECUTIVE VICE PRESIDENT
Phone: 214-932-6625

Signature, Place, and Date of Signing: /s/ David A. Folz

1    DALLAS, TX    04/02/13

Report Type (Check only one)
            [X] 13F HOLDINGS REPORT
            [_] 13F COMBINATION REPORT



                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      0

Form 13F Information Table Entry Total: 202

Form 13F Information Table Value Total: $ 97,446
                                        (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.

NONE



                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
ABB LTD SPONSORED  FOREIGN STOCK     000375204       278   12193 SH          SOLE                                     12193
ADR
AFLAC INC COM      COMMON STOCK      001055102       253    4854 SH          SOLE                                      4854
ABBOTT LABS        COMMON STOCK      002824100       663   18782 SH          SOLE                                     18782
                                                      64    1810 SH          OTHER                                     1810
ADIDAS AG ADR      FOREIGN STOCK     00687A107       378    7248 SH          SOLE                                      7248
ADOBE SYS INC COM  COMMON STOCK      00724F101       242    5550 SH          SOLE                                      5550
                                                      35     800 SH          OTHER                                      800
AETNA INC NEW COM  COMMON STOCK      00817Y108       270    5271 SH          SOLE                                      5271
                                                      11     220 SH          OTHER                                      220
ALLIANZ SE SP ADR  FOREIGN STOCK     018805101       210   15423 SH          SOLE                                     15423
1/10 SH
AMPHENOL CORP NEW  COMMON STOCK      032095101       324    4340 SH          SOLE                                      4340
CL A
                                                      45     600 SH          OTHER                                      600
AUTOMATIC DATA     COMMON STOCK      053015103       410    6300 SH          SOLE                                      6300
PROCESSING INCOM
                                                      59     900 SH          OTHER                                      900
AXA SPONSORED ADR  FOREIGN STOCK     054536107       208   12030 SH          SOLE                                     12030
BASF-SE            COMMON STOCK      055262505       235    2679 SH          SOLE                                      2679
BNP PARIBAS        COMMON STOCK      05565A202       371   14322 SH          SOLE                                     14322
BSD MED CORP DEL   COMMON STOCK      055662100       115   78470 SH          SOLE                           78470
COM
BANCO SANTANDER    FOREIGN STOCK     05965X109       423   14868 SH          SOLE                                     14868
CHILE NEW SP ADR
BARCLAYS BK PLC    ETF / ETN         06738C778     25240  621360 PRN         SOLE                          621360
                                                      23     570 PRN         DEFINED                          570

COLUMN TOTALS                                      29857




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
BARCLAYS BK PLC    ETF / ETN         06738C778        23     570 PRN
                                                     720   17713 PRN         OTHER                          13536
                                                                             OTHER                                     4177
BARCLAYS PLC       COMMON STOCK      06738E204       342   19276 SH          SOLE                                     19276
BAXTER INTL INC    COMMON STOCK      071813109       263    3616 SH          SOLE                                      3616
COM
                                                      11     145 SH          OTHER                                      145
BAYER A G          FOREIGN STOCK     072730302       331    3196 SH          SOLE                                      3196
SPONSORED ADR
BECTON DICKINSON   COMMON STOCK      075887109       329    3440 SH          SOLE                                      3440
& CO COM
                                                      48     500 SH          OTHER                                      500
BHP BILLITON LTD   FOREIGN STOCK     088606108       253    3700 SH          SOLE                                      3700
SPONSORED ADR
C H ROBINSON       COMMON STOCK      12541W209       206    3470 SH          SOLE                                      3470
WORLDWIDE INC COM
                                                      30     500 SH          OTHER                                      500
CSL LIMITED ADR    FOREIGN STOCK     12637N105       386   12396 SH          SOLE                                     12396
CVS                COMMON STOCK      126650100       259    4719 SH          SOLE                                      4719
                                                      11     200 SH          OTHER                                      200
CAPITAL ONE FINL   COMMON STOCK      14040H105       348    6325 SH          SOLE                                      6325
CORP COM
                                                      14     260 SH          OTHER                                      260
CARNIVAL CORP      COMMON STOCK      143658300       309    9021 SH          SOLE                                      9021
PAIRED CTF
                                                      13     370 SH          OTHER                                      370
COLUMN TOTALS                                       3873




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
CARNIVAL CORP      COMMON STOCK      143658300        13     370 SH
COCA COLA CO COM   COMMON STOCK      191216100       932   23050 SH          SOLE                           16000
                                                                             SOLE                                      6850
                                                                             SOLE                                            200
                                                      40    1000 SH          OTHER                                     1000
COCA COLA          FOREIGN STOCK     1912EP104       240    8969 SH          SOLE                                      8969
HELLENIC BTTLG CO
COGNIZANT          COMMON STOCK      192446102       306    4000 SH          SOLE                                      4000
TECHNOLOGY
SOLUTIOCL A                                           46     600 SH          OTHER                                      600
COLGATE PALMOLIVE  COMMON STOCK      194162103       434    3680 SH          SOLE                                      3680
CO COM
                                                      71     600 SH          OTHER                                      600
AMBEV-CIA DE       FOREIGN STOCK     20441W203       221    5227 SH          SOLE                                      5227
BEBIDAS DAS
COMPASS GROUP PLC  COMMON STOCK      20449X203       176   13735 SH          SOLE                                     13735
DARDEN             COMMON STOCK      237194105       365    7055 SH          SOLE                                      7055
RESTAURANTS INC
COM                                                   16     300 SH          OTHER                                      300
DASSAULT SYS S A   FOREIGN STOCK     237545108       349    3011 SH          SOLE                                      3011
SPONSORED ADR
DEVON ENERGY CORP  COMMON STOCK      25179M103       347    6156 SH          SOLE                                      6156
NEW COM
                                                      14     250 SH          OTHER                                      250
DOW CHEM CO COM    COMMON STOCK      260543103       371   11661 SH          SOLE                                     11661
                                                      16     490 SH          OTHER                                      490
EDAP TMS S. A.     COMMON STOCK      268311107        42   10000 SH          SOLE                           10000

COLUMN TOTALS                                       3986




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- -----
                                                                                           
ECOLAB INC         COMMON STOCK      278865100       193    2410 SH          SOLE                                      2410
                                                      24     300 SH          OTHER                                      300
EMERSON ELEC CO    COMMON STOCK      291011104       362    6480 SH          SOLE                                      6480
COM
                                                      56    1000 SH          OTHER                                     1000
ENBRIDGE INC COM   FOREIGN STOCK     29250N105       433    9305 SH          SOLE                                      9305
EQUIFAX            COMMON STOCK      294429105       286    4960 SH          SOLE                                      4960
                                                      40     700 SH          OTHER                                      700
EXPRESS SCRIPTS    COMMON STOCK      30219G108       333    5771 SH          SOLE                                      5771
HLDG CO
                                                      14     245 SH          OTHER                                      245
EXXON              COMMON STOCK      30231G102      2493   27661 SH          SOLE                            3419
                                                                             SOLE                                           24242
                                                     198    2200 SH          OTHER                                           2200
FANUC CORP         COMMON STOCK      307305102       287   11145 SH          SOLE                                     11145
FORD MTR CO DEL    COMMON STOCK      345370860       336   25522 SH          SOLE                                     25522
COM PAR $0.01
                                                      16    1190 SH          OTHER                                     1190
GIVAUDAN S. A. F   COMMON STOCK      37636P108       213    8621 SH          SOLE                                      8621
GOOGLE INC CL A    COMMON STOCK      38259P508       403     507 SH          SOLE                                       507
                                                      18      23 SH          OTHER                                       23
GRUPO TELEVISA SA  FOREIGN STOCK     40049J206       322   12097 SH          SOLE                                     12097
DE CV SP ADR
HSBC HLDGS PLC     FOREIGN STOCK     404280406       489    9171 SH          SOLE                                      9171

COLUMN TOTALS                                       6516




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
HALLIBURTON CO     COMMON STOCK      406216101       324    8015 SH          SOLE                                      8015
COM
                                                      14     340 SH          OTHER                                      340
HENKEL LTD         FOREIGN STOCK     42550U208       369    3829 SH          SOLE                                      3829
PARTNERSHIP SPON
HONDA MOTOR LTD    FOREIGN STOCK     438128308       426   11143 SH          SOLE                                     11143
AMERN SHS
HONEYWELL INTL     COMMON STOCK      438516106       352    4672 SH          SOLE                                      4672
                                                      15     200 SH          OTHER                                      200
ADRINDUSTRIA DED   FOREIGN STOCK     455793109       382   14380 SH          SOLE                                     14380
ISENOF
ISHARES            ETF / ETN         464287234       359    8401 SH          SOLE                            8401
ISHARES            ETF / ETN         464287465     10877  184419 SH          SOLE                          184419
                                                     390    6618 SH          OTHER                           4994
                                                                             OTHER                                     1624
ISHARES            ETF / ETN         464287507       246    2136 SH          SOLE                            2136
J P MORGAN CHASE   ETF / ETN         46625H365     12017  264235 PRN         SOLE                          264235
                                                      11     237 PRN         DEFINED                          237
                                                     325    7140 PRN         OTHER                           4701
                                                                             OTHER                                     2439
JOHNSON & JOHNSON  COMMON STOCK      478160104       489    6000 SH          SOLE                            6000
COM
KBR INC            COMMON STOCK      48242W106       336   10478 SH          SOLE                                     10478
                                                      14     430 SH          OTHER                                      430
KUBOTA CORP        FOREIGN STOCK     501173207       334    4633 SH          SOLE                                      4633
(FORMERLY KUBOTA

COLUMN TOTALS                                      27280




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
LVMH MOET          FOREIGN STOCK     502441306       288    8408 SH          SOLE                                      8408
HENNESSY LOU VUI
LABORATORY CORP    COMMON STOCK      50540R409       219    2430 SH          SOLE                                      2430
AMER HLDGS COM
                                                      36     400 SH          OTHER                                      400
LOUISIANA CENT     OIL AND GAS IN    546234204       183      63 PRN         SOLE                              63
OIL & GAS CO UT    TERESTS
                                                      38      13 PRN         OTHER                             13
MAGNA              COMMON STOCK      559222401       210    3576 SH          SOLE                                      3576
INTERNATIONAL INC
MEDTRONIC          COMMON STOCK      585055106       253    5390 SH          SOLE                                      5390
                                                      38     800 SH          OTHER                                      800
MERCK KGAA ADR     FOREIGN STOCK     589339100       228    4528 SH          SOLE                                      4528
METLIFE INC        COMMON STOCK      59156R108       320    8407 SH          SOLE                                      8407
                                                      14     360 SH          OTHER                                      360
METTLER TOLEDO I   FOREIGN STOCK     592688105       259    1217 SH          SOLE                                      1217
NTERNATIONALCOM
MICROSOFT CORP     COMMON STOCK      594918104       858   30003 SH          SOLE                                     30003
                                                      80    2785 SH          OTHER                                     2785
MOSAIC CO          COMMON STOCK      61945C103       387    6484 SH          SOLE                                      6484
                                                      16     275 SH          OTHER                                      275
MTN GROUP LIMITED  FOREIGN STOCK     62474M108       264   14884 SH          SOLE                                     14884
ADR
MUNICH RE GROUP    FOREIGN STOCK     626188106       225   11979 SH          SOLE                                     11979
ADR
NASPERS LTD SP     FOREIGN STOCK     631512100       205    3283 SH          SOLE                                      3283

COLUMN TOTALS                                       4121




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
NASPERS LTD SP     FOREIGN STOCK     631512100       205    3283 SH
NATIONAL OILWELL   COMMON STOCK      637071101       345    4871 SH          SOLE                                      4871
VARCO INC COM
                                                      14     200 SH          OTHER                                      200
NESTLE S A         FOREIGN STOCK     641069406       308    4248 SH          SOLE                                      4248
SPONSORED ADR
NIKE INC CL B      COMMON STOCK      654106103       320    5422 SH          SOLE                                      5422
                                                      47     800 SH          OTHER                                      800
NITTO DENKO CORP   COMMON STOCK      654802206       279    9283 SH          SOLE                                      9283
NORFOLK SOUTHERN   COMMON STOCK      655844108       417    5404 SH          SOLE                                      5404
CORP COM
                                                      17     225 SH          OTHER                                      225
OCCIDENTAL PETE    COMMON STOCK      674599105       346    4417 SH          SOLE                                      4417
CORP DEL COM
                                                      13     165 SH          OTHER                                      165
OMNICOM GROUP INC  COMMON STOCK      681919106       419    7120 SH          SOLE                                      7120
COM
                                                      65    1100 SH          OTHER                                     1100
ON SEMICONDUCTOR   COMMON STOCK      682189105       299   36166 SH          SOLE                                     36166
CORP
                                                      12    1475 SH          OTHER                                     1475
ORACLE CORP COM    COMMON STOCK      68389X105       486   15020 SH          SOLE                                     15020
                                                      71    2200 SH          OTHER                                     2200
PEPSICO INC        COMMON STOCK      713448108       564    7130 SH          SOLE                                      7130
                                                     111    1400 SH          OTHER                                     1400

COLUMN TOTALS                                       4133




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
PEPSICO INC        COMMON STOCK      713448108       111    1400 SH
PHILIP MORRIS      COMMON STOCK      718172109       297    3199 SH          SOLE                                      3199
INTL INC COM
PRAXAIR INC COM    COMMON STOCK      74005P104       310    2780 SH          SOLE                                      2780
                                                      45     400 SH          OTHER                                      400
PRICE T ROWE       COMMON STOCK      74144T108       386    5160 SH          SOLE                                      5160
GROUP INC COM
                                                      60     800 SH          OTHER                                      800
PROCTER & GAMBLE   COMMON STOCK      742718109       876   11366 SH          SOLE                                     11266
                                                                             SOLE                                            100
                                                      99    1280 SH          OTHER                                     1280
PRUDENTIAL FINL    COMMON STOCK      744320102       344    5840 SH          SOLE                                      5840
INC COM
                                                      14     245 SH          OTHER                                      245
PRUDENTIAL PLC     FOREIGN STOCK     74435K204       635   19634 SH          SOLE                                     19634
ADR
RECKITT BENCKISER  COMMON STOCK      756255204       206   14258 SH          SOLE                                     14258
GROUP PLC ADR
REGIONS FINANCIAL  COMMON STOCK      7591EP100       289   35283 SH          SOLE                                     35283
CORP NEW COM
                                                      13    1550 SH          OTHER                                     1550
ROCHE HLDG LTD     FOREIGN STOCK     771195104       329    5619 SH          SOLE                                      5619
SPONSORED ADR
ROCKWELL           COMMON STOCK      773903109       259    3003 SH          SOLE                                      3003
AUTOMATION INC.
COM                                                   11     125 SH          OTHER                                      125

COLUMN TOTALS                                       4173




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
ROYAL DUTCH SHELL  FOREIGN STOCK     780259107       490    7333 SH          SOLE                                      7333
PLC
                                                      14     205 SH          OTHER                                      205
RYANAIR HLDGS PLC  FOREIGN STOCK     783513104       237    5663 SH          SOLE                                      5663
SPONSORED ADR
SKF AG ADR         FOREIGN STOCK     784375404       203    8265 SH          SOLE                                      8265
SAB MILLER PLC     COMMON STOCK      78572M105       295    5577 SH          SOLE                                      5577
SANDVIK AB ADR     FOREIGN STOCK     800212201       201   12992 SH          SOLE                                     12992
SIEMENS A G        FOREIGN STOCK     826197501       248    2301 SH          SOLE                                      2301
SPONSORED ADR
SINGAPORE TELECOM  COMMON STOCK      82929R304       250    8619 SH          SOLE                                      8619
MUNICATIONS
SMITH & NEPHEW     FOREIGN STOCK     83175M205       226    3907 SH          SOLE                                      3907
PLC SPDN ADR NEW
STANLEY BLACK &    COMMON STOCK      854502101       336    4151 SH          SOLE                                      4151
DECKER INC
                                                      14     170 SH          OTHER                                      170
SUPERIOR ENERGY    COMMON STOCK      868157108       256    9854 SH          SOLE                                      9854
SVCS INC COM
                                                      11     415 SH          OTHER                                      415
SVENSKA CELLULOSA  FOREIGN STOCK     869587402       310   11989 SH          SOLE                                     11989
SWATCH GROUP       COMMON STOCK      870123106       221    7541 SH          SOLE                                      7541
SYMANTEC CORP COM  COMMON STOCK      871503108       339   13719 SH          SOLE                                     13719
                                                      14     585 SH          OTHER                                      585
SYNGENTA AG        FOREIGN STOCK     87160A100       269    3215 SH          SOLE                                      3215
SPONSORED ADR
TJX COS INC NEW    COMMON STOCK      872540109       259    5550 SH          SOLE                                      5550
COM

COLUMN TOTALS                                       4193




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- -----
                                                                                           
TJX COS INC NEW    COMMON STOCK      872540109        37     800 SH          OTHER                                      800
COM
TAIWAN             FOREIGN STOCK     874039100       311   18087 SH          SOLE                                     18087
SEMICONDUCTOR MFG
TARGET CORP        COMMON STOCK      87612E106       409    5980 SH          SOLE                                      5980
                                                      17     245 SH          OTHER                                      245
TEXAS CAPITAL      COMMON STOCK      88224Q107      1723   42585 SH          SOLE                             710
BANCSHARES, INC.                                                             SOLE                                           41875
3M COMPANY COM     COMMON STOCK      88579Y101       539    5070 SH          SOLE                                      5070
                                                      85     800 SH          OTHER                                      800
TURKCELL ILETISIM  FOREIGN STOCK     900111204       229   13764 SH          SOLE                                     13764
HIZMETLERISPON
TURKIYE GARANTI    COMMON STOCK      900148701       405   75234 SH          SOLE                                     75234
BANKASI
UNION              COMMON STOCK      907818108       275    1929 SH          SOLE                                      1929
                                                      11      80 SH          OTHER                                       80
UNITED PARCEL      COMMON STOCK      911312106       338    3935 SH          SOLE                                      3935
                                                      52     600 SH          OTHER                                      600
UNITED             COMMON STOCK      913017109       517    5530 SH          SOLE                                      5530
TECHNOLOGIES CORP
COM                                                   75     800 SH          OTHER                                      800
VALERO ENERGY      COMMON STOCK      91913Y100       373    8204 SH          SOLE                            1000
CORP NEW COM                                                                 SOLE                                      7204
                                                      14     300 SH          OTHER                                      300
VARIAN MED SYS     COMMON STOCK      92220P105       207    2880 SH          SOLE                                      2880
INC COM
                                                      29     400 SH          OTHER                                      400

COLUMN TOTALS                                       5646




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
VARIAN MED SYS     COMMON STOCK      92220P105        29     400 SH
VODAFONE GROUP     FOREIGN STOCK     92857W209       406   14286 SH          SOLE                                     14286
PLC NEW SPONS ADR
                                                      17     600 SH          OTHER                                      600
WAL MART DE        FOREIGN STOCK     93114W107       238    7253 SH          SOLE                                      7253
MEXICO S A B DE
WATERS CORP COM    COMMON STOCK      941848103       328    3490 SH          SOLE                                      3490
                                                      47     500 SH          OTHER                                      500
ZURICH INSURANCE   COMMON STOCK      989825104       272    9700 SH          SOLE                                      9700
GROUP LTD
ACCENTURE PLC      COMMON STOCK      G1151C101       366    4815 SH          SOLE                                      4815
IRELAND SHS CLASS
                                                      53     700 SH          OTHER                                      700
COVIDIEN PLC SHS   COMMON STOCK      G2554F113       277    4081 SH          SOLE                                      4081
EATON CORP PLC     COMMON STOCK      G29183103       319    5209 SH          SOLE                                      5209
                                                      14     225 SH          OTHER                                      225
PARTNERRE LTD COM  COMMON STOCK      G6852T105       265    2851 SH          SOLE                                      2851
                                                      11     115 SH          OTHER                                      115
WILLIS GROUP       COMMON STOCK      G96666105       267    6754 SH          SOLE                                      6754
HOLDINGS PLC
                                                      11     275 SH          OTHER                                      275
ACE LTD SHS        COMMON STOCK      H0023R105       260    2921 SH          SOLE                                      2921
                                                      11     125 SH          OTHER                                      125
FLEXTRONICS INTL   COMMON STOCK      Y2573F102       490   72435 SH          SOLE                                     72435
LTD ORD

COLUMN TOTALS                                       3652




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT       OTHER           VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS      CUSIP   X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
FLEXTRONICS INTL   COMMON STOCK      Y2573F102        16    2300 SH          OTHER                                     2300
LTD ORD

COLUMN TOTALS                                         16

AGGREGATE TOTAL                                  97446