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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2008

Check here if Amendment [ ]; Amendment Number: __________

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

Institutional Investment Manager Filing this Report:

Name:    PINNACLE FINANCIAL PARTNERS, INC.
Address: 211 Commerce Street
         Suite 300
         Nashville, TN 37201

Form 13F File Number: 28-12761

The institutional investment manager filing this report and the person by whom
it is signed hereby represents 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:  Harold R. Carpenter
Title: Chief Financial Officer
Phone: 615-744-3742

Signature, Place, and Date of Signing:


Harold R. Carpenter              Nashville, Tennessee   November 13, 2008
------------------------------   --------------------   -----------------

Report Type (Check only one.):

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

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

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

FORM 13F FILE NUMBER   NAME
--------------------   ----
28- _______________    ____________________________


                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:               0

Form 13F Information Table Entry Total:        390

Form 13F Information Table Value Total:   $118,836
                                        (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

NO.    FORM 13F FILE NUMBER   NAME
---    --------------------   ----
___    28-_______________     __________________


                                       2




                           FORM 13F INFORMATION TABLE



                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
AGL Res Inc.            COM                      1204106     87     2750                OTHER                2400       0    350
AGL Res Inc.            COM                      1204106    611    19350                SOLE                19350       0      0
Abbott Labs Com         COM                      2824100     64     1100                OTHER                 800       0    300
Abbott Labs Com         COM                      2824100    575     9950                SOLE                 9450       0    500
Aberdeen Asia-Pacific   COM                      3009107     25     5000                SOLE                 5000       0      0
Aegon N V Ord Amer Reg  NY REGISTRY SH           7924103     16     1845                SOLE                 1845       0      0
Air Prods & Chems Inc   COM                      9158106      5       75                OTHER                  75       0      0
Air Prods & Chems Inc   COM                      9158106    462     6727                SOLE                 6727       0      0
Alcoa Inc.              COM                     13817101     51     2268                OTHER                2168     100      0
Alcoa Inc.              COM                     13817101   1144    50517                SOLE                50517       0      0
Allergan Inc            NOTE 1.500% 4/0         18490102     84      750                SOLE                  750       0      0
Allstate Corp Com       COM                     20002101     92     1987                SOLE                 1987       0      0
American Electric
   Power                COM                     25537101     32      860                SOLE                  860       0      0
American Express Co
   Com                  COM                     25816109      5      100                SOLE                  100       0      0
Amgen Inc.              COM                     31162100     16      266                OTHER                   0     266      0
Amgen Inc.              COM                     31162100     46      773                SOLE                  672       0    101
Anadarko Pete Corp      COM                     32511107      9      178                SOLE                  178       0      0
Analog Devices
   Incorporated         COM                     32654105      9      350                OTHER                 350       0      0
Analog Devices
   Incorporated         COM                     32654105    190     7200                SOLE                 7200       0      0
Anheuser Busch Cos Inc  COM                     35229103     97     1483                OTHER                   0    1483      0
Anheuser Busch Cos Inc  COM                     35229103    774    11916                SOLE                10916       0   1000
Aon Corp                COM                     37389103     46     1050                OTHER                1050       0      0
Aon Corp                COM                     37389103    727    16437                SOLE                16100       0    337
Apache Corp Com         COM                     37411105     84      810                OTHER                 410     200    200
Apache Corp Com         COM                     37411105    948     9117                SOLE                 9117       0      0
Apple, Inc              COM                     37833100     12      105                OTHER                  50      55      0
Apple, Inc              COM                     37833100    530     4654                SOLE                 4654       0      0
Archer-Daniels Midland  COM                     39483102      6      300                OTHER                 300       0      0
Archer-Daniels Midland  COM                     39483102    144     6800                SOLE                 6800       0      0
Atmos Energy Corp Com   COM                     49560105     33     1230                OTHER                1230       0      0
Atmos Energy Corp Com   COM                     49560105     52     1935                SOLE                 1935       0      0
Automatic Data
   Processing Inc.      COM                     53015103     29      699                OTHER                 250     299    150
Automatic Data
   Processing Inc.      COM                     53015103    306     7173                SOLE                 7173       0      0
BJ Services Co          COM                     55482103     17      850                OTHER                 350       0    500
BJ Services Co          COM                     55482103    210    10850                SOLE                10850       0      0
BP Plc Sponsored ADR    SPONSORED ADR           55622104     70     1402                OTHER                 521     881      0
BP Plc Sponsored ADR    SPONSORED ADR           55622104    124     2462                SOLE                 2462       0      0
BP Prudhoe Bay Royalty
   Trust                UNIT BEN INT            55630107     46      500                SOLE                  500       0      0



                                  Page 1 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
Baker Hughes Inc. Com   COM                     57224107     61     1000                SOLE                 1000       0      0
Bancorpsouth Inc. Com   COM                     59692103     56     2000                OTHER                   0       0   2000
Bancorpsouth Inc. Com   COM                     59692103     70     2500                SOLE                 2500       0      0
Bank of America
   Corporation New      COM                     60505104    122     3451                OTHER                1125    2176    150
Bank of America
   Corporation New      COM                     60505104   1399    39546                SOLE                39546       0      0
Bank of New York
   Mellon Corp          COM                     64058100      3      100                OTHER                 100       0      0
Bank of New York
   Mellon Corp          COM                     64058100    459    13942                SOLE                13942       0      0
Baxter Intl Inc         COM                     71813109     34      536                OTHER                 536       0      0
Baxter Intl Inc         COM                     71813109   1165    17798                SOLE                17798       0      0
Becton Dickinson & Co.  COM                     75887109     20      250                OTHER                 150     100      0
Becton Dickinson & Co.  COM                     75887109    481     6001                SOLE                 6001       0      0
Bed Bath And Beyond     COM                     75896100     15      500                OTHER                 500       0      0
Berkshire Hathaway
   Inc.                 CL A                    84670108    131        1                SOLE                    1       0      0
Berkshire Hathaway Inc
   Del Cl B             COM                     84670207    101       23                SOLE                   23       0      0
Best Buy Inc. Com       COM                     86516101     17      450                OTHER                   0     450      0
Best Buy Inc. Com       COM                     86516101     68     1800                SOLE                 1800       0      0
BHP Billiton Ltd
   Sponsored Adr        SPONSORED ADR           88606108     27      525                SOLE                  525       0      0
Boeing Co. Com          COM                     97023105     64     1130                SOLE                 1130       0      0
Bristol Myers Squibb
   Co. Com              COM                    110122108     25     1200                OTHER                1200       0      0
Bristol Myers Squibb
   Co. Com              COM                    110122108    489    23440                SOLE                23440       0      0
CBS Corp New CL B       CL B                   124857202     15     1000                SOLE                 1000       0      0
CVS/Caremark Corp       COM                    126650100     61     1850                OTHER                1000     600    250
CVS/Caremark Corp       COM                    126650100    606    18101                SOLE                18101       0      0
Carnival Corp Paired
   Ctf                  PAIRED CTF             143658300      8      200                OTHER                 200       0      0
Carnival Corp Paired
   Ctf                  PAIRED CTF             143658300    153     4275                SOLE                 4275       0      0
Caterpillar Inc. Del
   Com                  COM                    149123101    102     1700                SOLE                 1700       0      0
Celgene Corporation     COM                    151020104     24      368                OTHER                 368       0      0
Celgene Corporation     COM                    151020104    589     9316                SOLE                 9316       0      0
Chevrontexaco Corp      COM                    166764100    145     1774                OTHER                 750    1024      0
Chevrontexaco Corp      COM                    166764100    968    11768                SOLE                11768       0      0
Citigroup Inc.          COM                    172967101     26     1264                OTHER                 714     550      0
Citigroup Inc.          COM                    172967101    993    48632                SOLE                48632       0      0
Coach Inc.              COM                    189754104      3      100                SOLE                  100       0      0
Coca Cola Co Com        COM                    191216100     29      550                OTHER                 550       0      0
Coca Cola Co Com        COM                    191216100   1084    20500                SOLE                20500       0      0
Colgate Palmolive Co.   COM                    194162103     95     1243                OTHER                 160    1083      0
Colgate Palmolive Co.   COM                    194162103    603     7948                SOLE                 7948       0      0
Constellation Energy
   Group                COM                    210371100     10      410                OTHER                 235     175      0



                                  Page 2 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
Constellation Energy
   Group                COM                    210371100    173     7087                SOLE                 7087       0      0
Corning Inc. Com        COM                    219350105     33     2095                OTHER                 820     275   1000
Corning Inc. Com        COM                    219350105    469    30107                SOLE                30107       0      0
Cortex Pharmaceuticals  COM NEW                220524300      0      250                SOLE                  250       0      0
Danaher Corp Del Com    COM                    235851102     94     1345                SOLE                  945       0    400
Diamonds Trust series
   I                    UNIT SER 1             252787106     20      180                SOLE                  180       0      0
Disney Walt Co Com
   Disney               COM DISNEY             254687106    120     3971                SOLE                 3971       0      0
R.R.Donnelley&sons
   Common               COM                    257867101     21      850                OTHER                 850       0      0
Dow Chemical Co.        COM                    260543103     22      686                OTHER                 536     150      0
Dow Chemical Co.        COM                    260543103    780    24631                SOLE                24631       0      0
Du Pont E I De Nemours
   & Co Com             COM                    263534109    165     4099                OTHER                 700    3399      0
Du Pont E I De Nemours
   & Co Com             COM                    263534109    434    10781                SOLE                10781       0      0
E M C Corp Mass Com     COM                    268648102     40     3345                OTHER                2980     365      0
E M C Corp Mass Com     COM                    268648102    566    47397                SOLE                47397       0      0
Eaton  Corp Common      COM                    278058102    168     3000                SOLE                 3000       0      0
FPL Group Inc           COM                    302571104     72     1429                OTHER                 535     894      0
FPL Group Inc           COM                    302571104    610    12085                SOLE                12085       0      0
First Horizon Natl
   Corp common          COM                    320517105    119    12837                SOLE                11837       0   1000
Fiserv Inc common       COM                    337738108     62     1310                SOLE                  950       0    360
Fording Cdn Coal Tr Tr
   Unit                 TR UNIT                345425102     62      750                OTHER                 750       0      0
Fortune Brands, Inc     COM                    349631101     55      950                SOLE                  950       0      0
Genentech Inc.          COM NEW                368710406      8      100                SOLE                  100       0      0
General Dynamics Corp   COM                    369550108     72      980                SOLE                  980       0      0
General Elec Co         COM                    369604103    106     4125                OTHER                4125       0      0
General Elec Co         COM                    369604103   1383    54099                SOLE                53599       0    500
General Mls Inc Com     COM                    370334104     42      622                SOLE                  622       0      0
Gilead Sciences         COM                    375558103     42      940                OTHER                 540     400      0
Gilead Sciences         COM                    375558103    839    18418                SOLE                18418       0      0
Goodrich Corporation    COM                    382388106     28      700                OTHER                 700       0      0
Goodrich Corporation    S&P SMLCP VALU         382388106    821    19900                SOLE                19900       0      0
Hanesbrands Common      COM                    410345102     11      500                SOLE                  500       0      0
Hartford Finl Svcs
   Group                COM                    416515104    380     9266                SOLE                 8866       0    400
Healthsouth Common New  COM                    421924309      7      400                SOLE                  400       0      0
Heinz H J Co common     COM                    423074103     31      625                OTHER                 625       0      0
Hewlett Packard
   Company              COM                    428236103     67     1450                OTHER                 700     750      0
Hewlett Packard
   Company              COM                    428236103    143     3095                SOLE                 3095       0      0
Home Depot Inc.         COM                    437076102     51     1965                OTHER                1665     300      0
Home Depot Inc.         COM                    437076102   1011    39107                SOLE                39107       0      0



                                  Page 3 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
Honeywell Intl Inc.     COM                    438516106     44     1100                OTHER                 650     300    150
Honeywell Intl Inc.     S&P SMLCP VALU         438516106    817    19800                SOLE                19300       0    500
ITT Corporation         COM                    450911102     22      400                SOLE                    0       0    400
Intel Corp Com          COM                    458140100     23     1260                OTHER                 760     500      0
Intel Corp Com          COM                    458140100    577    30830                SOLE                30030       0    800
International Business
   Mach                 COM                    459200101     47      400                OTHER                   0     400      0
International Business
   Mach                 COM                    459200101    914     7826                SOLE                 7826       0      0
International Paper
   Co.                  COM                    460146103     34     1300                OTHER                1100       0    200
International Paper
   Co.                  COM                    460146103    306    11650                SOLE                11650       0      0
Ishares Tr MSCI
   Emerging Mkts        MSCI EMERG MKT         464287234      2       54                SOLE                   54       0      0
Ishares Tr S&P500/Bar
   Growth Index         S&P500 GRW             464287309      9      160                OTHER                   0       0    160
Ishares Tr S&P500/Bar
   Growth Index         S&P500 GRW             464287309   1037    18242                SOLE                18242       0      0
Ishares Tr S&P500/Bar
   Value Index          S&P 500 VALUE          464287408      7      120                OTHER                   0       0    120
Ishares Tr S&P500/Bar
   Value Index          S&P 500 VALUE          464287408    914    15371                SOLE                15371       0      0
Ishares Tr MSCI EAFE
   Index                MSCI EAFE IDX          464287465    146     2564                OTHER                1002    1250    312
Ishares Tr MSCI EAFE
   Index                MSCI EAFE IDX          464287465   2802    49700                SOLE                49700       0      0
Ishares Tr S&P Midcap
   400 Index            S&P MIDCAP 400         464287507      2       24                OTHER                   0       0     24
Ishares Tr S&P Midcap
   400 Index            S&P MIDCAP 400         464287507    161     2230                SOLE                 2230       0      0
Ishares Tr Russell
   1000 Value Index     RUSSELL1000VAL         464287598    150     2345                SOLE                 2345       0      0
Ishares Tr S&P Midcap
   Growth Index         S&P MC 400 GRW         464287606      4       60                SOLE                   60       0      0
Ishs Rus 1000 Gr Fd
   Russell 1000 Growth
   Index Fd             RUSSELL1000GRW         464287614     38      795                SOLE                  795       0      0
Ishares Tr Rusl 2000
   Value Index          COM                    464287630    266     3940                SOLE                 3940       0      0
Ishares Tr S&P Midcap
   Value Index          S&P MIDCP VALU         464287705     52      760                OTHER                   0     600    160
Ishares Tr S&P Midcap
   Value Index          S&P MIDCP VALU         464287705   1459    21175                SOLE                21175       0      0
Ishares Dow Jones U S
   Real Estate          DJ US REAL EST         464287739    166     2670                SOLE                 2670       0      0
Ishares Tr S&P
   Smallcap 600 Index   S&P SMLCAP 600         464287804      3       54                SOLE                   54       0      0
Ishares Tr S&P
   Smallcap 600 Value
   Index                S&P SMLCP VALU         464287879     54      824                OTHER                 654       0    170
Ishares Tr S&P
   Smallcap 600 Value
   Index                S&P SMLCP VALU         464287879   1012    15454                SOLE                15261     125     68
Ishares Tr S&P
   Smallcap 600 Growth
   Index                S&P SMLCP GROW         464287887     81     1352                OTHER                 996       0    356
Ishares Tr S&P
   Smallcap 600 Growth
   Index                S&P SMLCP VALU         464287887   1344    21912                SOLE                21732     130     50
Isis Pharmaceutical
   Common               COM                    464330109      6      340                SOLE                  340       0      0
Johnson & Johnson Com   COM                    478160104    793    11439                OTHER                2359    9080      0
Johnson & Johnson Com   COM                    478160104   3935    56792                SOLE                56792       0      0
Johnson Controls
   Common               COM                    478366107    137     4500                SOLE                 4500       0      0
Kimberly Clark Corp
   Com                  COM                    494368103     45      700                OTHER                 700       0      0
Kimberly Clark Corp
   Com                  COM                    494368103     17      256                SOLE                  256       0      0
Kinder Morgan Energy
   Partner UT Ltd
   Partner              UT LTD PARTNER         494550106     39      750                SOLE                  750       0      0
Kohl's Corp
   (Wisconsin)          COM                    500255104     90     1950                SOLE                 1950       0      0



                                  Page 4 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
Kroger Co Com           COM                    501044101     55     2000                SOLE                 2000       0      0
L3 Communications
   Holdings             COM                    502424104     80      800                OTHER                 600     200      0
L3 Communications
   Holdings             COM                    502424104   1420    14425                SOLE                14425       0      0
Lauder Estee Cos Inc.   CL A                   518439104      5      100                OTHER                 100       0      0
Lauder Estee Cos Inc.   CL A                   518439104    230     4650                SOLE                 4650       0      0
Liberty Ppty TR Sh Ben
   Int                  SH BEN INT             531172104     11      300                SOLE                  300       0      0
Eli Lilly & Co          COM                    532457108     30      680                OTHER                 680       0      0
Eli Lilly & Co          COM                    532457108     99     2250                SOLE                 2250       0      0
Lincoln National Corp
   Ind                  COM                    534187109     41      956                OTHER                 806       0    150
Lincoln National Corp
   Ind                  S&P SMLCP VALU         534187109   1263    29449                SOLE                29449       0      0
Linear Technology
   Corp.                COM                    535678106     26      850                SOLE                  850       0      0
Lockheed Martin         COM                    539830109      4       35                OTHER                  35       0      0
Lockheed Martin         COM                    539830109    641     5850                SOLE                 5850       0      0
Loews Corp common       COM                    540424108     75     1900                SOLE                 1900       0      0
Lowes Cos Inc. Com      COM                    548661107     45     1894                SOLE                 1894       0      0
Marathon Oil Common     COM                    565849106     72     1800                SOLE                 1800       0      0
Marsh & McLennan Cos
   Inc Com              COM                    571748102     29      900                OTHER                 900       0      0
Mattel Inc.             COM                    577081102     36     1991                SOLE                 1991       0      0
McDonalds Corporation   COM                    580135101      3       51                SOLE                   51       0      0
Medtronic Inc. Com      COM                    585055106     15      300                OTHER                 300       0      0
Medtronic Inc. Com      COM                    585055106    196     3905                SOLE                 3905       0      0
Merck & Co. Inc         COM                    589331107     57     1800                OTHER                1800       0      0
Merck & Co. Inc         COM                    589331107    142     4500                SOLE                 4500       0      0
Merrill Lynch & Co.
   Inc.                 COM                    590188108      3      100                SOLE                  100       0      0
Microsoft Corp          COM                    594918104     54     1970                OTHER                1300     670      0
Microsoft Corp          COM                    594918104   1125    42211                SOLE                42211       0      0
Morgan Stanley          COM NEW                617446448     92     4000                SOLE                 4000       0      0
National City Common    COM                    635405103      2     1000                SOLE                 1000       0      0
National Healthcare
   Corp                 COM                    635906100    453     9583                SOLE                 9483       0    100
National Oilwell Inc    COM                    637071101      4       80                OTHER                  80       0      0
National Oilwell Inc    COM                    637071101    413     8175                SOLE                 8175       0      0
Newmont Mining Corp
   common               COM                    651639106     10      250                SOLE                  250       0      0
Nike Inc Cl B           CL B                   654106103      8      100                SOLE                  100       0      0
Nokia Corp Sponsored
   ADR                  SPONSORED ADR          654902204     14      750                OTHER                 750       0      0
Nokia Corp Sponsored
   ADR                  SPONSORED ADR          654902204     32     1750                SOLE                 1750       0      0
Norfolk Southern Corp   COM                    655844108    179     2700                SOLE                 2700       0      0
Northwest Nat Gas Co    COM                    667655104     11      202                SOLE                  202       0      0
OGE Energy Corp         COM                    670837103     46     1500                SOLE                 1500       0      0



                                  Page 5 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
Occidental Pete Corp    COM                    674599105     17      242                SOLE                  242       0      0
Peabody Energy Common   COM                    704549104      7      150                OTHER                 150       0      0
Peabody Energy Common   COM                    704549104    238     5200                SOLE                 5200       0      0
Pengrowth Energy Tu Tr
   Unit New             TR UNIT NEW            706902509     17     1150                SOLE                 1150       0      0
Penn West Energy Trust
   common               TR UNIT                707885109     14      600                SOLE                  600       0      0
Pepsico Inc             COM                    713448108    262     3683                OTHER                 850    2833      0
Pepsico Inc             COM                    713448108   3002    42168                SOLE                41968       0    200
Pfizer Inc              COM                    717081103     15      800                OTHER                 800       0      0
Pfizer Inc              COM                    717081103   1446    78418                SOLE                78418       0      0
Phillip Morris
   International, Inc.  COM                    718172109     26      530                OTHER                 290       0    240
Phillip Morris
   International, Inc.  COM                    718172109    615    12830                SOLE                12830       0      0
Piedmont Natur.Gas
   Common               COM                    720186105    463    14534                SOLE                14534       0      0
Plum Creek Timber Co
   Inc Com              COM                    729251108    229     4603                SOLE                 4603       0      0
Procter & Gamble Co     COM                    742718109    246     3550                OTHER                3150     250    150
Procter & Gamble Co     COM                    742718109   3048    43665                SOLE                43665       0      0
Qualcomm Incorporated   COM                    747525103     34      800                OTHER                 550     250      0
Qualcomm Incorporated   COM                    747525103    709    16444                SOLE                16444       0      0
Regency Ctrs Corp
   common               COM                    758849103     47      700                SOLE                  700       0      0
Rockwell Automation
   Inc.                 COM                    773903109      6      170                SOLE                  170       0      0
Rockwell Collins Inc.   COM                    774341101     20      433                SOLE                  433       0      0
Royal Dutch Adr-a
   Sponsored Adr
   Repstg A Shs         SPONS ADR A            780259206     48      800                OTHER                 800       0      0
Royal Dutch Adr-a
   Sponsored Adr
   Repstg A Shs         SPONS ADR A            780259206     30      500                SOLE                  300       0    200
Royce Value Trust       COM                    780910105     12      886                SOLE                  886       0      0
Sara Lee Corp Com       COM                    803111103     15     1200                OTHER                1200       0      0
Sara Lee Corp Com       COM                    803111103     51     4000                SOLE                 4000       0      0
Schering Plough Corp    COM                    806605101     48     2598                OTHER                2063     535      0
Schering Plough Corp    COM                    806605101    763    41314                SOLE                41314       0      0
Schlumberger Ltd Com    COM                    806857108      8      100                OTHER                  50      50      0
Schlumberger Ltd Com    COM                    806857108    444     5650                SOLE                 5650       0      0
Sigma-aldrich Common    COM                    826552101    629    12000                SOLE                12000       0      0
Snap-on Common          COM                    833034101     45      850                OTHER                 850       0      0
Source Cap Inc Com      COM                    836144105      5      100                SOLE                    0       0    100
Southern Co Com         COM                    842587107     83     2200                SOLE                 2200       0      0
Spectra Energy          COM                    847560109     14      575                OTHER                 575       0      0
Spectra Energy          COM                    847560109    255    10615                SOLE                10615       0      0
Staples Common          COM                    855030102     14      600                SOLE                  600       0      0
Stryker Corp Com        COM                    863667101     25      400                OTHER                 400       0      0
Stryker Corp Com        COM                    863667101     75     1200                SOLE                  900       0    300



                                  Page 6 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
Suntrust Bks Inc Com    COM                    867914103    169     3780                OTHER                3780       0      0
Suntrust Bks Inc Com    COM                    867914103   1179    26341                SOLE                26341       0      0
Sysco Corp Com          COM                    871829107     62     2000                SOLE                 2000       0      0
Teppco Partners L P UT
   Ltd Partner          UT LTD PARTNER         872384102     27     1000                SOLE                 1000       0      0
Terex Corp New          COM                    880779103     13      400                OTHER                 250       0    150
Terex Corp New          COM                    880779103    185     6000                SOLE                 6000       0      0
Torchmark Corp Com      COM                    891027104     30      500                SOLE                  500       0      0
Tupperware Corp common  COM                    899896104     36     1300                OTHER                1300       0      0
Ust Common Common       COM                    902911106    310     4670                SOLE                 4670       0      0
US Bancorp Del Com New  COM NEW                902973304     18      500                OTHER                 250     250      0
US Bancorp Del Com New  COM                    902973304    665    18474                SOLE                18474       0      0
Union Pacific Common    COM                    907818108     29      396                OTHER                 286     110      0
Union Pacific Common    COM                    907818108    759    10652                SOLE                10652       0      0
United Parcel Service
   Cl B                 COM                    911312106     26      409                SOLE                  409       0      0
United Technologies
   Inc Cp               COM                    913017109     21      350                SOLE                  350       0      0
Vulcan Materials Co     COM                    929160109     14      200                OTHER                 200       0      0
Vulcan Materials Co     COM                    929160109     95     1300                SOLE                 1300       0      0
Wal Mart Stores Inc.
   Com                  COM                    931142103     84     1400                OTHER                1400       0      0
Wal Mart Stores Inc.
   Com                  COM                    931142103    536     8976                SOLE                 8976       0      0
Walgreen Co             COM                    931422109     25      800                OTHER                 800       0      0
Walgreen Co             COM                    931422109     36     1155                SOLE                 1155       0      0
Wells Fargo and
   Company New          COM                    949746101     26      700                OTHER                 400     300      0
Wells Fargo and
   Company New          COM                    949746101    582    15295                SOLE                15295       0      0
Weyerhaeuser Co Com     COM                    962166104      6      100                OTHER                   0     100      0
Weyerhaeuser Co Com     COM                    962166104     16      266                SOLE                  266       0      0
Wyeth common            COM                    983024100    241     6500                SOLE                 6500       0      0
AT&T Common             COM                    00206R102     48     1716                OTHER                1166     550      0
AT&T INCORPORATED - T   COM                    00206R102   1325    47458                SOLE                47458       0      0
ABBOTT LABS - ABT       COM                    002824100      3       50                SOLE                   50       0      0
Aetna Inc. (New)        COM                    00817Y108     22      600                OTHER                   0       0    600
AIR PRODUCTS &
   CHEMICALS - APD      COM                    009158106    206     3025                SOLE                 3025       0      0
ALCOA INCORPORATED -
   AA                   COM                    013817101    153     6916                SOLE                 6916       0      0
Altria Group Inc        COM                    02209S103      5      240                OTHER                   0       0    240
Altria Group Inc        COM                    02209S103     22     1125                SOLE                 1125       0      0
APACHE CORPORATION -
   APA                  COM                    037411105    314     3022                SOLE                 3022       0      0
APPLE INCORPORATED -
   AAPL                 COM                    037833100    258     2246                SOLE                 2246       0      0
BANK OF NEW YORK
   MELLON - BK          COM                    064058100    206     6238                SOLE                 6238       0      0
BAXTER INTERNATIONAL -
   BAX                  COM                    071813109    252     3857                SOLE                 3857       0      0



                                  Page 7 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
BECTON DICKINSON &
   COMPANY - BDX        COM                    075887109    193     2387                SOLE                 2387       0      0
BLDRS INDEX FUNDS
   TRUST - ADRD         Exchange Traded Funds  09348R201    579    26016                SOLE                26016       0      0
CELGENE CORPORATION -
   CELG                 COM                    151020104    333     5334                SOLE                 5334       0      0
CHEVRON CORPORATION
   NEW - CVX            COM                    166764100     12      150                SOLE                  150       0      0
CHUBB CORPORATION - CB  COM                    171232101      3       60                SOLE                   60       0      0
Cisco Sys Inc. Com      COM                    17275R102     35     1565                OTHER                 690     875      0
CISCO SYSTEMS
   INCORPORATED - CSCO  COM                    17275R102   1035    45826                SOLE                45826       0      0
CITIGROUP INCORPORATED
   - C                  COM                    172967101    400    19318                SOLE                19318       0      0
COLGATE PALMOLIVE
   COMPANY - CL         COM                    194162103    187     2453                SOLE                 2453       0      0
Conocophillips          COM                    20825C104     52      694                OTHER                 544       0    150
CONOCOPHILLIPS - COP    COM                    20825C104   1244    16988                SOLE                16988       0      0
CORNING INCORPORATED -
   GLW                  COM                    219350105    120     7752                SOLE                 7752       0      0
Costco Whsl Corp New    COM                    22160K105     36      550                OTHER                 350     200      0
COSTCO WHOLESALE
   CORPORATION - COST   COM                    22160K105   1409    21734                SOLE                21734       0      0
Dell Inc.               S&P SMLCP VALU         24702R101      4      247                SOLE                  247       0      0
Dominion Res Inc Va
   New                  COM                    25746U109     54     1250                OTHER                1250       0      0
Dominion Res Inc Va
   New                  COM                    25746U109     55     1270                SOLE                 1270       0      0
DOW CHEMICAL COMPANY -
   DOW                  COM                    260543103    204     6352                SOLE                 6352       0      0
Duke Energy Common      COM                    26441C105     27     1550                OTHER                1550       0      0
Duke Energy Common      COM                    26441C105    272    15830                SOLE                15830       0      0
E M C CORPORATION MASS
   - EMC                COM                    268648102    314    26031                SOLE                26031       0      0
Enerplus Res Fd Unit
   Tr G New             UNIT TR G NEW          29274D604     26      700                SOLE                  700       0      0
EXELON CORPORATION -
   EXC                  COM                    30161N101    208     3330                SOLE                 3330       0      0
Exxon Mobil Corp Com    COM                    30231G102    155     1998                OTHER                1800     198      0
EXXON MOBIL
   CORPORATION - XOM    COM                    30231G102   5490    70633                SOLE                70633       0      0
FPL GROUP INCORPORATED
   - FPL                COM                    302571104    228     4452                SOLE                 4452       0      0
Freeport McMoran Cl B   COM                    35671D857      9      150                SOLE                  150       0      0
GILEAD SCIENCES
   INCORPORATED - GILD  COM                    375558103    313     6930                SOLE                 6930       0      0
Glaxosmithkline  Plc
   Spn Adr              SPONSORED ADR          37733W105    456    10501                SOLE                10501       0      0
Goldman Sachs Group
   Inc                  COM                    38141G104     27      225                OTHER                 175      50      0
GOLDMAN SACHS GROUP -
   GS                   COM                    38141G104   1331    10367                SOLE                10367       0      0
Google-a Cl A           COM                    38259P508     11       34                SOLE                   34       0      0
HEWLETT PACKARD
   COMPANY - HPQ        COM                    428236103      5      100                SOLE                  100       0      0
HOME DEPOT
   INCORPORATED - HD    COM                    437076102    262    10016                SOLE                10016       0      0
Ing Clarion Global
   Common               COM                    44982G104     18     2000                SOLE                 2000       0      0
ILLINOIS TOOL WKS
   INCORPORATED - ITW   COM                    452308109      2       50                SOLE                   50       0      0
INTEL CORPORATION -
   INTC                 COM                    458140100    241    12901                SOLE                12901       0      0
Iris International Inc. COM                    46270W105      2      100                SOLE                  100       0      0



                                  Page 8 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
ISHARES INCORPORATED
   MSCI - EWZ           Exchange Traded Funds  464286400      9      154                SOLE                  154       0      0
ISHARES TR MSCI EMERG
   MKT - EEM            Exchange Traded Funds  464287234     18      550                SOLE                  550       0      0
ISHARES TR S&P 500
   VALUE - IVE          Exchange Traded Funds  464287408    204     3405                SOLE                 3405       0      0
ISHARES TR MSCI EAFE
   IDX - EFA            Exchange Traded Funds  464287465   1247    22164                SOLE                22164       0      0
ISHARES TR S&P MC 400
   GRW - IJK            Exchange Traded Funds  464287606     25      338                SOLE                  338       0      0
ISHARES TR RUSL 2000
   VALU - IWN           Exchange Traded Funds  464287630    398     5923                SOLE                 5923       0      0
ISHARES TR DJ US REAL
   EST - IYR            Exchange Traded Funds  464287739     93     1500                SOLE                 1500       0      0
ISHARES TR S&P SMLCP
   VALU - IJS           Exchange Traded Funds  464287879    358     5484                SOLE                 5484       0      0
ISHARES TR S&P SMLCP
   GROW - IJT           Exchange Traded Funds  464287887    710    11546                SOLE                11546       0      0
Ishares Silver Tr       ISHARES                46428Q109     47     3775                SOLE                 3775       0      0
I-Shares S&P GSCI
   Commodity            UNIT BEN INT           46428R107     16      300                SOLE                  300       0      0
JP Morgan Chase &
   Company              COM                    46625H100     28      600                OTHER                 200     400      0
JPMORGAN & CHASE &
   COMPANY - JPM        COM                    46625H100   2057    43979                SOLE                43979       0      0
JOHNSON & JOHNSON -
   JNJ                  COM                    478160104    453     6495                SOLE                 6495       0      0
Kraft Foods Inc Cl A    CL A                   50075N104      5      167                OTHER                   0       0    167
KRAFT FOODS
   INCORPORATED CLASS
   - KFT                COM                    50075N104     28      878                SOLE                  878       0      0
Laboratory Corp Common
   New                  COM NEW                50540R409     31      450                OTHER                 250     200      0
LABORATORY CORPORATION
   AMER - LH            COM                    50540R409    851    12203                SOLE                12203       0      0
LEHMAN BROS HLDGS
   INCORPORATED -
   LEHMQ                COM                    524908100      0        1                SOLE                    1       0      0
LOCKHEED MARTIN
   CORPORATION - LMT    COM                    539830109    389     3538                SOLE                 3538       0      0
MGM MIRAGE - MGM        COM                    552953101      6      200                SOLE                  200       0      0
MEDTRONIC INCORPORATED
   - MDT                COM                    585055106      1       23                SOLE                   23       0      0
MERCK & COMPANY
   INCORPORATED - MRK   COM                    589331107      4      130                SOLE                  130       0      0
MICROSOFT CORPORATION
   - MSFT               COM                    594918104    406    15285                SOLE                15285       0      0
Monsanto Co New common  COM                    61166W101     21      210                OTHER                 110     100      0
MONSANTO COMPANY NEW -
   MON                  COM                    61166W101    724     7283                SOLE                 7283       0      0
MOTOROLA INCORPORATED
   - MOT                COM                    620076109     13     1900                SOLE                 1900       0      0
National Health
   Investors            COM                    63633D104    528    15430                SOLE                14930       0    500
NATIONAL OILWELL VARCO
   - NOV                COM                    637071101    238     4652                SOLE                 4652       0      0
NORTHERN TR
   CORPORATION - NTRS   COM                    665859104     14      200                SOLE                  200       0      0
NOVARTIS A G SPONSORED
   ADR - NVS            COM                    66987V109      4       85                SOLE                   85       0      0
NSTAR                   COM                    67019E107     16      504                SOLE                  504       0      0
Oracle Corporation      COM                    68389X105     20     1000                OTHER                 500     500      0
ORACLE CORPORATION -
   ORCL                 COM                    68389X105    906    45026                SOLE                45026       0      0
PENN VA RESOURCES
   PARTNERS LP - PVR    Equity                 707884102      2      120                SOLE                  120       0      0
PEPSICO INCORPORATED -
   PEP                  COM                    713448108    450     6326                SOLE                 6326       0      0
Petroleo Brasileiro
   ADR                  SPONSORED ADR          71654V408     23      525                SOLE                  525       0      0
PHILIP MORRIS
   INTERNATIONAL - PM   COM                    718172109    211     4358                SOLE                 4358       0      0



                                  Page 9 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
Pinnacle Finl Partners
   Inc common           COM                    72346Q104     47     1541                OTHER                1541       0      0
PINNACLE FINL PARTNERS
    - PNFP              COM                    72346Q104  10274   333627                SOLE               312988       0  20639
Powershares Commodity
   Index                UNIT BEN INT           73935S105     20      600                SOLE                  600       0      0
PRAXAIR INCORPORATED -
   PX                   COM                    74005P104     21      292                SOLE                  292       0      0
PROCTER & GAMBLE
   COMPANY - PG         COM                    742718109    588     8457                SOLE                 8457       0      0
QUALCOMM INCORPORATED
   - QCOM               COM                    747525103    304     7155                SOLE                 7155       0      0
Regions Financial Corp
  New common            COM                    7591EP100    263    27368                OTHER                 619   26749      0
REGIONS FINANCIAL
   CORPORATION - RF     COM                    7591EP100   2294   239012                SOLE               239012       0      0
REPSOL YPF S A - REP    American Dep. Receipt  76026T205     42     1400                SOLE                 1400       0      0
RIO TINTO PLC
   SPONSORED ADR - RTP  American Dep. Receipt  767204100      5       20                SOLE                   20       0      0
Spdr TR Unit Ser 1      UNIT SER 1             78462F103     20      175                SOLE                  175       0      0
SPDR Gold Trust         GOLD SHS               78463V107     82      955                SOLE                  955       0      0
SPDR SERIES TRUST DJ -
   DSG                  Exchange Traded Funds  78464A201    855    10652                SOLE                10652       0      0
SPDR SERIES TRUST DJ -
   DSV                  Exchange Traded Funds  78464A300    826    14430                SOLE                14430       0      0
Sanofi-Aventis ADS      SPONSORED ADR          80105N105      7      200                SOLE                  200       0      0
SCHERING PLOUGH
   CORPORATION - SGP    COM                    806605101    397    21544                SOLE                21544       0      0
SCHLUMBERGER LIMITED -
   SLB                  Ordinary Shares        806857108    253     3227                SOLE                 3227       0      0
Sealed Air Corp New
   Com                  COM                    81211K100     16      718                SOLE                  718       0      0
Energy Select Sector
   SPDR                 SBI INT-ENERGY         81369Y506     40      630                SOLE                  630       0      0
Financial Select
   Sector Spdr          SBI INT-FINL           81369Y605      4      210                SOLE                  210       0      0
STARWOOD
   HOTELS&RESORTS
   WRLDWD - HOT         COM                    85590A401     54     1964                SOLE                 1780       0    184
STRYKER CORPORATION -
   SYK                  COM                    863667101      5       80                SOLE                   80       0      0
SUNTRUST BKS
   INCORPORATED - STI   COM                    867914103    247     5502                SOLE                 5502       0      0
Target Corp Com         COM                    87612E906     17      350                OTHER                 350       0      0
Target Corp Com         COM                    87612E906      6      120                SOLE                  120       0      0
3M Co.                  COM                    88579Y101     14      200                OTHER                 200       0      0
3M Co.                  COM                    88579Y101    393     5745                SOLE                 5745       0      0
US BANCORP DEL - USB    COM                    902973304    322     8919                SOLE                 8919       0      0
UNION PAC CORPORATION
   - UNP                COM                    907818108    324     4584                SOLE                 4584       0      0
UNITED TECHNOLOGIES -
   UTX                  COM                    913017109      0        0                SOLE                    0       0      0
Unitedhealth Group
   Common               COM                    91324P102     51     2026                SOLE                 2026       0      0
Valero Energy Corp New  COM                    91913Y100      6      200                OTHER                 200       0      0
Valero Energy Corp New  COM                    91913Y100    168     5575                SOLE                 5575       0      0
Verizon Communications
   Inc                  COM                    92343V104     78     2385                OTHER                1485     500    400
VERIZON
   COMMUNICATIONS - VZ  COM                    92343V104   1261    39242                SOLE                38759       0    483
Viacom-b Cl B           CL B                   92553P201     25     1000                SOLE                 1000       0      0
Vodafone Group PLC      SPONS ADR NEW          92857W209     13      600                SOLE                  600       0      0
WAL MART STORES
   INCORPORATED - WMT   COM                    931142103    344     5785                SOLE                 5785       0      0



                                 Page 10 of 11





                                                                                                              Voting Authority
                                                                 Shares/  SH/  Put/  Investment   Other    ---------------------
Name of Issuer              Title of Class       Cusip    Value    PRN     PR  Call  Discretion  Managers   Sole   Shared   None
--------------          ---------------------  ---------  -----  -------  ---  ----  ----------  --------  ------  ------  -----
                                                                                          
WELLS FARGO & COMPANY
   NEW - WFC            COM                    949746101    185     4940                SOLE                 4940       0      0
WINDSTREAM CORPORATION
   - WIN                COM                    97381W104     17     1528                SOLE                 1528       0      0
Worldcom Inc Ga New
   Wrldcom Gp Com       COM                    98157D106      0     1000                SOLE                 1000       0      0
Worldcom Inc. GA New
   MCI Grp              COM                    98157D304      0       40                SOLE                   40       0      0
YUM BRANDS
   INCORPORATED - YUM   COM                    988498101      8      230                SOLE                  230       0      0
Zimmer Hldgs Inc. Com   COM                    98956P102    134     2100                SOLE                 2100       0      0
Accenture Ltd Bermuda
   Cl A                 CL A                   G1150G111     19      500                SOLE                  500       0      0
Cooper Inds Ltd Cl A    CL A                   G24182100     11      264                OTHER                 264       0      0
Ingersoll-Rand Co Cl A  CL A                   G4776G101     28      900                SOLE                  900       0      0
Nordic American Tanker
   Shipping Ltd         COM                    G65773106     11      355                SOLE                  355



                                 Page 11 of 11