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

                                    Form 13F

                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: DECEMBER 31, 2011

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:            COMMUNITY BANK N.A.
Address:         5790 Widewaters Parkway
                 DeWitt, NY 13214-1883

Form 13F File Number: 028-11044

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:    Karen Mohn signing for Community Bank Services Inc.
Title:   Chief Compliance Officer
Phone:   716-633-3800
Signature, Place, and Date of Signing:

Kathy Strohmeyer                   Williamsville, NY                    02/16/12
[Signature]                         [City, State]                        [Date]

Report Type      (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager: [If there are no entries in
this list, omit this section.]

         Form 13F File Number Name

         ___________________________________-  [Repeat as necessary.]









                                         Form 13F SUMMARY PAGE



Report Summary:

Number of Other Included Managers:                  0

Form 13F Information Table Entry Total:             768

Form 13F Information Table Value Total:           $346,890
                                                 (thousands)

List of other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

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

         No.     Form 13F File Number              Name



         [Repeat as necessary.]











                            As Of Date : 12/31/2011

                           FORM 13F INFORMATION TABLE



                                TITLE OF               VALUE       SHARES/        INVESTMENT DESCRETION         VOTING AUTHORITY
NAME OF ISSUER                  CLASS       CUSIP     (X$1000)     PRN AMT       SOLE    SHARED  OTHER       SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                 

COOPER INDUSTRIES PLC           SHS            G24140108           5     100 SH  DEFINED                      100       0        0
INGERSOLL-RAND PLC              SHS            G47791101          40    1320 SH  DEFINED                     1320       0        0
TRANSOCEAN LTD                  REGSHS         H8817H100          15     401 SH  SOLE                         401       0        0
FLEXTRONICS INTL LTD            ORD            Y2573F102           1     200 SH  SOLE                         200       0        0
AGL RES INC                     COM            1204106             8     200 SH  SOLE                         200       0        0
AES CORP                        COM            00130H105          10     833 SH  DEFINED                      833       0        0
ALPS ETF TR                     ALERIAN MLP    00162Q866        2192  131984 SH  SOLE                      128131       0     3853
AT&T INC                        COM            00206R102        1382   45731 SH  SOLE                       45731       0        0
AT&T INC                        COM            00206R102         237    7838 SH  DEFINED                     7838       0        0
ABBOTT LABS                     COM            2824100           356    6329 SH  SOLE                        6329       0        0
AIR PRODS & CHEMS INC           COM            9158106           439    5150 SH  SOLE                        5150       0        0
ALCOA INC                       COM            13817101           32    3683 SH  SOLE                        3683       0        0
ALLIANT ENERGY CORP             COM            18802108           42     958 SH  SOLE                         958       0        0
ALTRIA GROUP INC                COM            02209S103          15     500 SH  SOLE                         500       0        0
ALTRIA GROUP INC                COM            02209S103          36    1200 SH  DEFINED                     1200       0        0
AMERICAN ELEC PWR INC           COM            25537101          156    3786 SH  SOLE                        3786       0        0
AMERICAN ELEC PWR INC           COM            25537101           30     720 SH  DEFINED                      720       0        0
AMERICAN EXPRESS CO             COM            25816109           12     250 SH  SOLE                         250       0        0
AMGEN INC                       COM            31162100          125    1950 SH  SOLE                        1950       0        0
AMGEN INC                       COM            31162100           64    1000 SH  DEFINED                     1000       0        0
ANALOG DEVICES INC              COM            32654105           27     750 SH  SOLE                         750       0        0
APACHE CORP                     COM            37411105           40     440 SH  SOLE                         440       0        0
APPLE INC                       COM            37833100         5214   12874 SH  SOLE                        2174       0    10700
APPLIED MATLS INC               COM            38222105           21    2000 SH  SOLE                        2000       0        0
AQUA AMERICA INC                COM            03836W103          22    1000 SH  SOLE                        1000       0        0
ASTRAZENECA PLC                 SPONSORED ADR  46353108            2      53 SH  SOLE                          53       0        0
AUTOMATIC DATA PROCESSING IN    COM            53015103          513    9493 SH  SOLE                        9493       0        0
BP PLC                          SPONSORED ADR  55622104           60    1400 SH  SOLE                        1400       0        0
BAKER HUGHES INC                COM            57224107           85    1750 SH  SOLE                        1600       0      150

BANK OF AMERICA CORPORATION     COM            60505104           43    7750 SH  SOLE                        7750       0        0
BANK OF NEW YORK MELLON CORP    COM            64058100          557   27989 SH  SOLE                       27989       0        0
BARCLAYS BANK PLC             SP ADR 7.1%PF3   06739H776         308   15600 SH  SOLE                       15600       0        0
BARCLAYS BANK PLC             SP ADR 7.1%PF3   06739H776          34    1700 SH  DEFINED                     1700       0        0
BARRICK GOLD CORP               COM            67901108           17     375 SH  SOLE                           0       0      375
BAXTER INTL INC                 COM            71813109          163    3300 SH  SOLE                        3300       0        0
BECTON DICKINSON & CO           COM            75887109          127    1700 SH  SOLE                        1700       0        0
BECTON DICKINSON & CO           COM            75887109            6      75 SH  DEFINED                       75       0        0
BERKSHIRE HATHAWAY INC DEL      CL B NEW       84670702           28     371 SH  SOLE                         371       0        0
BEST BUY INC                    COM            86516101            5     225 SH  SOLE                         225       0        0
BOEING CO                       COM            97023105          231    3150 SH  SOLE                        3150       0        0
BOEING CO                       COM            97023105           37     500 SH  DEFINED                      500       0        0
BRISTOL MYERS SQUIBB CO         COM            110122108         486   13806 SH  SOLE                       13806       0        0
BRISTOL MYERS SQUIBB CO         COM            110122108          28     800 SH  DEFINED                      800       0        0
BUCKEYE PARTNERS L P          UNIT LTD PARTN   118230101           7     115 SH  SOLE                         115       0        0
CIT GROUP INC                   COMNEW         125581801           7     204 SH  SOLE                         204       0        0
CVS CAREMARK/CORP               COM            126650100         249    6100 SH  SOLE                        6100       0        0
CATERPILLAR INC DEL             COM            149123101         200    2208 SH  SOLE                        2208       0        0
CENTERPOINT ENERGY INC          COM            15189T107          33    1627 SH  SOLE                        1627       0        0
CENTURYTEL INC                  COM            156700106          39    1059 SH  SOLE                        1059       0        0
CHEVRON CORP                    COM            166764100         242    2272 SH  SOLE                        2272       0        0
CHEVRON CORP                    COM            166764100          34     320 SH  DEFINED                      320       0        0
CHINA PETE & CHEM CORP        SPON ADR H SHS   16941R108           2      18 SH  SOLE                          18       0        0
CHUBB CORP                      COM            171232101         334    4825 SH  SOLE                        4825       0        0
CHURCH & DWIGHT INC             COM            171340102           3      68 SH  SOLE                          68       0        0
CIENA CORP                      COMNEW         171779309          17    1429 SH  SOLE                           0       0     1429
CISCO SYS INC                   COM            17275R102         174    9633 SH  SOLE                        9633       0        0
CITIZENS & NORTHN CORP          COM            172922106         177    9597 SH  SOLE                        9597       0        0
CITIGROUP INC                   COM            172967424           9     340 SH  SOLE                         340       0        0
COCA COLA CO                    COM            191216100         663    9470 SH  SOLE                        9470       0        0
COCA COLA CO                    COM            191216100         225    3215 SH  DEFINED                     3215       0        0
COLGATE PALMOLIVE CO            COM            194162103         372    4025 SH  SOLE                        4025       0        0
COLGATE PALMOLIVE CO            COM            194162103         163    1768 SH  DEFINED                     1768       0        0

COMCAST CORP                                   20030N101         118    4969 SH  SOLE                        4969       0        0
COMMUNITY BK SYS INC            COM            203607106       11964  430501 SH  SOLE                      430501       0        0
COMMUNITY BK SYS INC            COM            203607106         982   35320 SH  DEFINED                    35320       0        0
CONOCOPHILLIPS                  COM            20825C104         143    1966 SH  SOLE                        1966       0        0
CONOCOPHILLIPS                  COM            20825C104          29     395 SH  DEFINED                      395       0        0
CONSOLIDATED EDISON INC         COM            209115104         183    2955 SH  SOLE                        2955       0        0
CONSTELLATION BRANDS INC        CL A           21036P108          33    1600 SH  SOLE                        1600       0        0
CONSTELLATION BRANDS INC        CL A           21036P108          59    2846 SH  DEFINED                     2846       0        0
CORNING INC                     COM            219350105         156   12056 SH  SOLE                       12056       0        0
CORNING INC                     COM            219350105           3     240 SH  DEFINED                      240       0        0
COVANCE INC                     COM            222816100           2      48 SH  SOLE                          48       0        0
CUMMINS INC                     COM            231021106          79     900 SH  SOLE                         900       0        0
CURTISS WRIGHT CORP             COM            231561101          28     800 SH  SOLE                         800       0        0
DARDEN RESTAURANTS INC          COM            237194105           2      40 SH  SOLE                          40       0        0
DEAN FOODS CO NEW               COM            242370104          84    7500 SH  SOLE                        7500       0        0
DEERE & CO                      COM            244199105          18     239 SH  SOLE                         239       0        0
DELL INC                                       24702R101          11     750 SH  SOLE                         750       0        0
DISNEY WALT CO                  COMDISNEY      254687106         302    8044 SH  SOLE                        8044       0        0
DOMINION RES INC VA NEW         COM            25746U109         172    3238 SH  SOLE                        3238       0        0
DOMINION RES INC VA NEW         COM            25746U109          16     300 SH  DEFINED                      300       0        0
DONNELLEY R R & SONS CO         COM            257867101           1     100 SH  SOLE                           0       0      100
DOW CHEM CO                     COM            260543103          78    2708 SH  SOLE                        2708       0        0
DU PONT E I DE NEMOURS & CO     COM            263534109         273    5963 SH  SOLE                        5963       0        0
DU PONT E I DE NEMOURS & CO     COM            263534109           9     200 SH  DEFINED                      200       0        0
DUKE ENERGY CORP NEW            COM            26441C105         136    6198 SH  SOLE                        5798       0      400
E M C CORP MASS                 COM            268648102         143    6640 SH  SOLE                        6640       0        0
EASTMAN KODAK CO                COM            277461109           0     222 SH  SOLE                         222       0        0
EATON CORP                      COM            278058102           7     160 SH  DEFINED                      160       0        0
EL PASO CORP                                   28336L109          86    3250 SH  SOLE                         250       0     3000
ELMIRA SVGS BK FSB N Y          COM            289660102          46    2803 SH  SOLE                        2803       0        0
EMERSON ELEC CO                 COM            291011104         550   11810 SH  SOLE                       11810       0        0
ENTERPRISE PRODS PARTNERS L     COM            293792107           9     200 SH  DEFINED                      200       0        0
EXELON CORP                     COM            30161N101          27     619 SH  SOLE                         619       0        0
EXELON CORP                     COM            30161N101          35     800 SH  DEFINED                      800       0        0

EXELIS INC                      COM            30162A108           7     800 SH  DEFINED                      800       0        0
EXPRESS SCRIPTS INC             COM            302182100           4     100 SH  DEFINED                      100       0        0
EXXON MOBIL CORP                COM            30231G102        2554   30135 SH  SOLE                       30135       0        0
EXXON MOBIL CORP                COM            30231G102         241    2844 SH  DEFINED                     2844       0        0
FNB CORP PA                     COM            302520101          39    3454 SH  SOLE                        3454       0        0
FTI CONSULTING INC              COM            302941109           2      43 SH  SOLE                          43       0        0
FAIRCHILD SEMICONDUCTOR INTL    COM            303726103           1     110 SH  SOLE                         110       0        0
FIRST TR ISE REVERE NAT GAS     COM            33734J102           4     225 SH  DEFINED                      225       0        0
FIRSTENERGY CORP                COM            337932107          10     225 SH  SOLE                         225       0        0
FORD MTR CO DEL                 COMPAR $0.01   345370860          54    5000 SH  SOLE                        5000       0        0
FORD MTR CO DEL                 COMPAR $0.01   345370860          30    2805 SH  DEFINED                     2805       0        0
FREEPORT-MCMORAN COPPER & GO    COM            35671D857           5     140 SH  DEFINED                      140       0        0
FRONTIER COMMUNICATIONS CORP    COM            35906A108           1     193 SH  SOLE                         193       0        0
FRONTIER COMMUNICATIONS CORP    COM            35906A108           1     117 SH  DEFINED                      117       0        0
GENERAL DYNAMICS CORP           COM            369550108          13     200 SH  SOLE                         200       0        0
GENERAL ELEC CO                 COM            369604103        3774  210860 SH  SOLE                      206760       0     4100
GENERAL ELEC CO                 COM            369604103         148    8291 SH  DEFINED                     8291       0        0
GENERAL MLS INC                 COM            370334104         174    4300 SH  SOLE                        4300       0        0
GENERAL MLS INC                 COM            370334104          78    1920 SH  DEFINED                     1920       0        0
GENESEE & WYO INC               CL A           371559105           6     100 SH  DEFINED                      100       0        0
GENUINE PARTS CO                COM            372460105          28     450 SH  SOLE                         450       0        0
GILEAD SCIENCES INC             COM            375558103           2      48 SH  SOLE                          48       0        0
GLAXOSMITHKLINE PLC             SPONSORED ADR  37733W105         166    3641 SH  SOLE                        3641       0        0
GLOBAL X FDS                    GLBX URANIUM   37950E754        1177  144375 SH  SOLE                      142375       0     2000
GOLDMAN SACHS GROUP INC         COM            38141G104          14     150 SH  SOLE                         150       0        0
GOOGLE INC                      CL A           38259P508          58      90 SH  SOLE                          90       0        0
HCP INC                         COM            40414L109          32     781 SH  SOLE                         781       0        0
HSBC HLDGS PLC                  ADRA 1/40PF A  404280604          48    2000 SH  SOLE                        2000       0        0
HARSCO CORP                                    415864107         329   16000 SH  SOLE                       16000       0        0
HARTFORD FINL SVCS GROUP INC    COM            416515104          23    1400 SH  DEFINED                     1400       0        0
HEINZ H J CO                    COM            423074103         310    5730 SH  SOLE                        5730       0        0
HEWLETT PACKARD CO              COM            428236103         185    7192 SH  SOLE                        7192       0        0
HEWLETT PACKARD CO              COM            428236103           9     360 SH  DEFINED                      360       0        0

HOME DEPOT INC                  COM            437076102         183    4347 SH  SOLE                        4347       0        0
HONEYWELL INTL INC              COM            438516106         183    3360 SH  SOLE                        3360       0        0
ITT CORP NEW                    COMNEW         450911201           8     400 SH  DEFINED                      400       0        0
ILLINOIS TOOL WKS INC           COM            452308109         437    9350 SH  SOLE                        9350       0        0
INTEL CORP                      COM            458140100         541   22311 SH  SOLE                       22061       0      250
INTEL CORP                      COM            458140100         223    9200 SH  DEFINED                     9200       0        0
INTEGRYS ENERGY GROUP INC       COM            45822P105           2      34 SH  SOLE                          34       0        0
INTEGRYS ENERGY GROUP INC       COM            45822P105          38     700 SH  DEFINED                      700       0        0
INTL BUSINESS MACH              COM            459200101        1778    9672 SH  SOLE                        9672       0        0
INTL BUSINESS MACH              COM            459200101         187    1019 SH  DEFINED                     1019       0        0
INTERNATIONAL GAME TECHNOLOG    COM            459902102          43    2500 SH  SOLE                        2500       0        0
INTUIT                          COM            461202103           3      60 SH  SOLE                          60       0        0
ISHARES SILVER TRUST            ISHARES        46428Q109          20     750 SH  SOLE                         750       0        0
ISHARES INC                   MSCI AUSTRALIA   464286103         229   10700 SH  SOLE                        2600       0     8100
ISHARES INC                   MSCI BRAZIL      464286400         271    4725 SH  SOLE                        1175       0     3550
ISHARES INC                   MSCI CDA INDEX   464286509         822   30914 SH  SOLE                       19364       0    11550
ISHARES INC                   MSCI CDA INDEX   464286509          94    3550 SH  DEFINED                     1550       0     2000
ISHARES INC                   MSCI THAILAND    464286624         316    5250 SH  SOLE                        1225       0     4025
ISHARES INC                   MSCI PAC J IDX   464286665          29     750 SH  SOLE                         750       0        0
ISHARES INC                   MSCI SINGAPORE   464286673         210   19350 SH  SOLE                        4700       0    14650
ISHARES INC                   MSCI TURKEY FD   464286715         457   11100 SH  SOLE                        2200       0     8900
ISHARES INC                   MSCI TAIWAN      464286731         192   16375 SH  SOLE                        3950       0    12425
ISHARES INC                   MSCI S KOREA     464286772         308    5900 SH  SOLE                        1200       0     4700
ISHARES TR                    DJ SEL DIV INX   464287168        4642   86340 SH  SOLE                       76305       0    10035
I SHARES BARCLAYS TIPS BOND     FUND           464287176         496    4248 SH  SOLE                        3457       0      791
I SHARES BARCLAYS TIPS BOND     FUND           464287176          12     100 SH  DEFINED                      100       0        0
I SHARES TR S&P 500 INDEX FD                   464287200           6      50 SH  SOLE                           0       0       50
I SHARES BARCLAYS AGGRGT                       464287226        4443   40300 SH  SOLE                       40300       0        0
I SHARES MSCI EMERGING MKTS     INDEX FUND     464287234        1293   34099 SH  SOLE                       16099       0    18000
I SHARES MSCI EMERGING MKTS     INDEX FUND     464287234           4     115 SH  DEFINED                      115       0        0
ISHARES TR                    IBOXX INV CPBD   464287242          88     770 SH  SOLE                         770       0        0
ISHARES TR                    IBOXX INV CPBD   464287242         158    1387 SH  DEFINED                     1387       0        0
ISHARES TR                    S&PGBL HLTHCR    464287325        2348   41840 SH  SOLE                       33740       0     8100
ISHARES TR                    S&PGBL HLTHCR    464287325         105    1875 SH  DEFINED                        0       0     1875

ISHARES TR                      S&PLTN AM 40   464287390           4      85 SH  DEFINED                       85       0        0
ISHARES TR                    3-Jan YR TRS BD  464287457         276    3266 SH  SOLE                        3266       0        0
ISHARES TR                    3-Jan YR TRS BD  464287457          29     343 SH  DEFINED                      343       0        0
I SHARES MSCI EAFE                             464287465       10615  214355 SH  SOLE                      199880       0    14475
I SHARES MSCI EAFE                             464287465         302    6105 SH  DEFINED                     1105       0     5000
I SHARES RUSSELL 1000 VALUE                    464287598        9650  152034 SH  SOLE                      137509       0    14525
I SHARES RUSSELL 1000 VALUE                    464287598         527    8310 SH  DEFINED                     3810       0     4500
ISHARES TR RUSSELL 1000     GROWTH INDEX FUND  464287614       11025  190770 SH  SOLE                      172970       0    17800
ISHARES TR RUSSELL 1000     GROWTH INDEX FUND  464287614         603   10432 SH  DEFINED                     4932       0     5500
ISHARES TR                  RUSL 2000 VALU     464287630         122    1855 SH  SOLE                        1855       0        0
ISHARES TR                  DJ US UTILS        464287697          35     400 SH  SOLE                         400       0        0
ISHARES TR                  S&PSMLCAP 600      464287804        5988   87681 SH  SOLE                       78691       0     8990
ISHARES TR                  S&PSMLCAP 600      464287804         352    5154 SH  DEFINED                     3154       0     2000
ISHARES TR                  JPMORGAN USD       464288281        1646   15000 SH  SOLE                       15000       0        0
ISHARES TR                  HIGH YLD CORP      464288513        2560   28625 SH  SOLE                       28625       0        0
ISHARES TR                  MRTG PLS CAP IDX   464288539           9     700 SH  SOLE                         700       0        0
ISHARES TR                  BARCLYS 1-3YR CR   464288646        2825   27114 SH  SOLE                       26114       0     1000
ISHARES TR                  BARCLYS 1-3YR CR   464288646           5      52 SH  DEFINED                       52       0        0
ISHARES TR                  US PFD STK IDX     464288687        2803   78715 SH  SOLE                       77015       0     1700
ISHARES TR                  US PFD STK IDX     464288687          10     270 SH  DEFINED                      270       0        0
ISHARES TR                  DJ MED DEVICES     464288810           6     100 SH  DEFINED                      100       0        0
ISHARES TR                  DJ OIL&GAS EXP     464288851           5      85 SH  DEFINED                       85       0        0
ISHARES TR                  MSCI PERU CAP      464289842         253    6600 SH  SOLE                         975       0     5625
ISHARES TR                  HGHDIV EQT FD      46429B663        3422   61665 SH  SOLE                       58740       0     2925
JDS UNIPHASE CORP           COMPAR $0.001      46612J507          26    2500 SH  SOLE                           0       0     2500
JP MORGAN CHASE & CO            COM            46625H100         264    7925 SH  SOLE                        7925       0        0
JP MORGAN CHASE & CO            COM            46625H100          21     623 SH  DEFINED                      623       0        0
JAZZ PHARMACEUTICALS INC        COM            472147107           4     100 SH  DEFINED                      100       0        0
JOHNSON & JOHNSON               COM            478160104         842   12846 SH  SOLE                       12846       0        0
JOHNSON & JOHNSON               COM            478160104         155    2360 SH  DEFINED                     2360       0        0
KELLOGG CO                      COM            487836108          25     500 SH  SOLE                         500       0        0
KEYCORP NEW                     COM            493267108          65    8435 SH  SOLE                        8435       0        0
KIMBERLY CLARK CORP             COM            494368103           7     100 SH  DEFINED                      100       0        0

KIMCO RLTY CORP                 COM            49446R109           9     559 SH  SOLE                         559       0        0
KINDER MORGAN ENERGY PARTNER  UT LTD PARTNER   494550106          13     150 SH  DEFINED                      150       0        0
KRAFT FOODS INC                 CL A           50075N104         237    6342 SH  SOLE                        6342       0        0
KRAFT FOODS INC                 CL A           50075N104          43    1139 SH  DEFINED                     1139       0        0
L-3 COMMUNICATIONS HLDGS INC    COM            502424104           2      23 SH  SOLE                          23       0        0
LAZARD WORLD DIVID & INCOME     COM            521076109          18    1660 SH  DEFINED                     1660       0        0
LILLY ELI & CO                  COM            532457108          73    1757 SH  SOLE                        1757       0        0
LINCOLN NATL CORP IND           COM            534187109          79    4091 SH  SOLE                        4091       0        0
LOCKHEED MARTIN CORP            COM            539830109         320    3950 SH  SOLE                        3950       0        0
LOWES COS INC                   COM            548661107         117    4600 SH  SOLE                        4600       0        0
MACYS INC                       COM            55616P104           8     250 SH  SOLE                           0       0      250
MAGELLAN MIDSTREAM PRTNRS LP    COMUNIT RP LP  559080106           5      79 SH  DEFINED                       79       0        0
MANTECH INTL CORP               CL A           564563104           1      35 SH  SOLE                          35       0        0
MARATHON OIL CORP                              565849106          24     832 SH  SOLE                         832       0        0
MARATHON PETE CORP              COM            56585A102           7     202 SH  SOLE                         202       0        0
MARKET VECTORS ETF TR         GOLD MINER ETF   57060U100         705   13700 SH  SOLE                       13125       0      575
MARKET VECTORS ETF TR           RUSSIA ETF     57060U506         181    6800 SH  SOLE                        1275       0     5525
MARKET VECTORS ETF TR           AGRIBUS ETF    57060U605           5     100 SH  SOLE                           0       0      100
MARKET VECTORS ETF TR           VIETNAM ETF    57060U761         208   14275 SH  SOLE                        3175       0    11100
MCCORMICK & CO INC              COMNON VTG     579780206           3      54 SH  SOLE                          54       0        0
MCDONALDS CORP                  COM            580135101         236    2350 SH  SOLE                        2350       0        0
MEDTRONIC INC                   COM            585055106         285    7450 SH  SOLE                        7450       0        0
MEDTRONIC INC                   COM            585055106          94    2460 SH  DEFINED                     2460       0        0
MERCK & CO INC NEW              COM            58933Y105         505   13398 SH  SOLE                       13398       0        0
MERCK & CO INC NEW              COM            58933Y105         196    5201 SH  DEFINED                     5201       0        0
MICROSOFT CORP                  COM            594918104         846   32603 SH  SOLE                       25159       0     7444
MICROSOFT CORP                  COM            594918104         158    6100 SH  DEFINED                     6100       0        0
MONSANTO CO (NEW)                              61166W101           5      70 SH  DEFINED                       70       0        0
MORGAN STANLEY                  COMNEW         617446448          15    1000 SH  SOLE                        1000       0        0
MORGAN STANLEY INDIA INVS FD    COM            61745C105          29    2050 SH  SOLE                           0       0     2050
MYLAN LABS INC                  COM            628530107           5     225 SH  SOLE                         225       0        0
NCR CORP NEW                    COM            62886E108           2     150 SH  SOLE                         150       0        0
NATIONAL FUEL GAS CO N J        COM            636180101           4      80 SH  SOLE                          80       0        0
NATIONAL FUEL GAS CO N J        COM            636180101          94    1685 SH  DEFINED                     1685       0        0

NEWELL RUBBERMAID INC           COM            651229106          10     650 SH  SOLE                           0       0      650
NEWMONT MINING CORP             COM            651639106           3      52 SH  SOLE                          52       0        0
NEXTERA ENERGY INC              COM            65339F101          64    1050 SH  SOLE                         900       0      150
NOKIA CORP                      SPONSORED ADR  654902204          28    5850 SH  SOLE                        5850       0        0
NORFOLK SOUTHERN CORP           COM            655844108         101    1382 SH  SOLE                        1382       0        0
NORWOOD FINANCIAL CORP          COM            669549107          37    1365 SH  SOLE                        1365       0        0
NUCOR CORP                      COM            670346105          51    1300 SH  SOLE                        1300       0        0
NUVEEN PREFERRED AND       CONVERTIBLE INCOME  67073B106           8    1000 SH  SOLE                        1000       0        0
OGE ENERGY CORP                 COM            670837103          34     600 SH  DEFINED                      600       0        0
OCCIDENTAL PETE CORP DEL        COM            674599105          21     229 SH  SOLE                         129       0      100
OCLARO INC                      COMNEW         67555N206           0      35 SH  SOLE                          35       0        0
OMNICOM GROUP INC               COM            681919106          20     450 SH  SOLE                         450       0        0
OPEN TEXT CORP                  COM            683715106           3      50 SH  SOLE                          50       0        0
ORACLE CORP                     COM            68389X105         117    4561 SH  SOLE                        4561       0        0
PPG INDS INC                    COM            693506107         182    2177 SH  SOLE                        2177       0        0
PPL CORP                        COM            69351T106         242    8235 SH  SOLE                        8235       0        0
PAYCHEX INC                     COM            704326107           4     135 SH  SOLE                         135       0        0
PAYCHEX INC                     COM            704326107           9     312 SH  DEFINED                      312       0        0
PENNEY J C INC                  COM            708160106          35    1000 SH  SOLE                        1000       0        0
PEPSICO INC                     COM            713448108         806   12145 SH  SOLE                       12145       0        0
PEPSICO INC                     COM            713448108         173    2600 SH  DEFINED                     2600       0        0
PETROCHINA CO LTD             SPONSORED  ADR   71646E100           2      13 SH  SOLE                          13       0        0
PFIZER INC                      COM            717081103         289   13364 SH  SOLE                       13164       0      200
PFIZER INC                      COM            717081103          30    1400 SH  DEFINED                     1400       0        0
PHILIP MORRIS INTL INC          COM            718172109          41     523 SH  SOLE                         523       0        0
PHILIP MORRIS INTL INC          COM            718172109          94    1200 SH  DEFINED                     1200       0        0
PINNACLE WEST CPTLCORP                         723484101         235    4875 SH  SOLE                        4875       0        0
PLUM CREEK TIMBER CO INC        COM            729251108          10     274 SH  DEFINED                      274       0        0
POWERSHARES DB CMDTY IDX TRA    UNIT BEN INT   73935S105        2118   78921 SH  SOLE                       68646       0    10275
POWERSHARES ETF TRUST         BASIC MAT SECT   73935X427           4     140 SH  DEFINED                      140       0        0
POWERSHARES ETF TRUST         WATER RESOURCE   73935X575           1      50 SH  SOLE                          50       0        0
POWERSHARES ETF TRUST         FTSE RAFI 1000   73935X583          46     840 SH  SOLE                         840       0        0
POWERSHS DB US DOLLAR INDEX   DOLL INDX BULL   73936D107        1664   74100 SH  SOLE                       74100       0        0

POWERSHARES ETF TRUST II      MENA FRNTR ETF   73936Q603          16    1500 SH  SOLE                           0       0     1500
POWERSHARES ETF TR II         BUILD AMER ETF   73937B407         563   19600 SH  SOLE                       16400       0     3200
PRAXAIR INC                     COM            74005P104         194    1812 SH  SOLE                        1812       0        0
PROCTER & GAMBLE CO             COM            742718109         825   12376 SH  SOLE                       12376       0        0
PROGRESS ENERGY INC             COM            743263105          73    1311 SH  SOLE                        1311       0        0
PROGRESSIVE CORP OHIO           COM            743315103          39    2000 SH  SOLE                        2000       0        0
PROSHARES TR                 PSHS ULTSH 20YRS  74347R297         903   50000 SH  SOLE                       50000       0        0
PROSHARES TR                 PSHS ULSHT SP500  74347R883        1928  100000 SH  SOLE                      100000       0        0
PROSHARES TR II              ULTSH DJ UBS CRU  74347W668         193    5000 SH  SOLE                        5000       0        0
PRUDENTIAL FINL INC             COM            744320102          10     204 SH  SOLE                         204       0        0
PUBLIC SVC ENTERPRISE GROUP     COM            744573106          10     310 SH  SOLE                         310       0        0
QUALCOMM INC                    COM            747525103         260    4760 SH  SOLE                        4760       0        0
QUEST DIAGNOSTICS INC           COM            74834L100           1      25 SH  SOLE                          25       0        0
RAYTHEON CO                     COMNEW         755111507          48    1000 SH  SOLE                        1000       0        0
RESEARCH IN MOTION LTD          COM            760975102           1      38 SH  SOLE                          38       0        0
RITE AID CORP                   COM            767754104           6    5000 SH  SOLE                        5000       0        0
ROCKWELL COLLINS INC                           774341101         209    3775 SH  SOLE                        3775       0        0
ROYAL DUTCH SHELL PLC           SPONS ADR A    780259206         427    5847 SH  SOLE                        5847       0        0
SPDR S&P 500 ETF TRUST                         78462F103        3417   27230 SH  SOLE                       27230       0        0
SPDR S&P 500 ETF TRUST                         78462F103         145    1154 SH  DEFINED                     1154       0        0
SPDR GOLD TRUST                 GOLD SHS       78463V107          39     257 SH  SOLE                         257       0        0
SPDR GOLD TRUST                 GOLD SHS       78463V107          29     190 SH  DEFINED                      190       0        0
SPDR INDEX SHS FDS              S&PINTL ETF    78463X772          41     875 SH  SOLE                         875       0        0
SPDR INDEX SHS FDS           MACQU GLBIN100    78463X855           2      50 SH  SOLE                          50       0        0
SPDR SERIES TRUST            BRCLYS CAP CONV   78464A359        1184   32735 SH  SOLE                       32605       0      130
SPDR SERIES TRUST            LEHMAN YLD ETF    78464A417        3088   80300 SH  SOLE                       70025       0    10275
SPDR SERIES TRUST            LEHMAN YLD ETF    78464A417         136    3525 SH  DEFINED                     1050       0     2475
SPDR SERIES TRUST            OILGAS EQUIP      78464A748           5     150 SH  DEFINED                      150       0        0
SPDR SERIES TRUST            S&PMETALS MNG     78464A755           9     175 SH  DEFINED                      175       0        0
SPDR SERIES TRUST            S&PDIVID ETF      78464A763          32     600 SH  SOLE                         600       0        0
SPDR SERIES TRUST            S&PSEMICNDCTR     78464A862           1      23 SH  SOLE                          23       0        0
SPDR S&P MIDCAP 400 ETF TR   UTSER1 S&PDCRP    78467Y107        7204   45170 SH  SOLE                       42120       0     3050
SPDR S&P MIDCAP 400 ETF TR   UTSER1 S&PDCRP    78467Y107         318    1994 SH  DEFINED                     1994       0        0

SANOFI AVENTIS                  SPONSORED ADR  80105N105           4      96 SH  SOLE                          96       0        0
SCHLUMBERGER LTD                               806857108         755   11050 SH  SOLE                       11050       0        0
SELECT SECTOR SPDR TR           SBIMATERIALS   81369Y100           4     130 SH  DEFINED                      130       0        0
SELECT SECTOR SPDR TR           SBICONS STPLS  81369Y308         121    3725 SH  SOLE                        1800       0     1925
SELECT SECTOR SPDR TR           SBIINT-FINL    81369Y605           2     162 SH  SOLE                         162       0        0
SELECT SECTOR SPDR TR           SBIINT-TECH    81369Y803         467   18350 SH  SOLE                        5700       0    12650
SELECT SECTOR SPDR TR           SBIINT-UTILS   81369Y886          94    2625 SH  SOLE                        2625       0        0
SIGMA ALDRICH CORP              COM            826552101         195    3130 SH  SOLE                        3130       0        0
SOUTHERN CO                     COM            842587107         431    9320 SH  SOLE                        9320       0        0
SOUTHERN CO                     COM            842587107          76    1645 SH  DEFINED                     1645       0        0
SPECTRA ENERGY CORP             COM            847560109          74    2411 SH  SOLE                        2411       0        0
STAPLES INCORPORATED                           855030102          31    2250 SH  SOLE                        2250       0        0
STATE STR CORP                  COM            857477103          40    1000 SH  SOLE                        1000       0        0
STRYKER CORP                    COM            863667101           5     110 SH  SOLE                         110       0        0
SYMANTEC CORP                   COM            871503108          38    2455 SH  SOLE                        2455       0        0
SYSCO CORP                      COM            871829107          70    2375 SH  SOLE                        2375       0        0
TARGET CORP                     COM            87612E106         215    4200 SH  SOLE                        4200       0        0
TENARIS S A                     SPONSORED ADR  88031M109          37    1000 SH  SOLE                        1000       0        0
TEVA PHARMACEUTICAL INDS LTD    ADR            881624209           3      62 SH  SOLE                          62       0        0
TEXAS INSTRS INC                COM            882508104         150    5145 SH  SOLE                        5145       0        0
THERMO FISHER SCIENTIFIC INC    COM            883556102          12     258 SH  SOLE                         258       0        0
3M CO                           COM            88579Y101         114    1400 SH  SOLE                        1250       0      150
3M CO                           COM            88579Y101          33     400 SH  DEFINED                      400       0        0
TOMPKINS TRUST CO INC           COM            890110109         129    3341 SH  SOLE                        3341       0        0
TRANSCANADA CORP                COM            89353D107           4     100 SH  DEFINED                      100       0        0
TRANS1 INC                      COM            89385X105          13    6825 SH  SOLE                        4775       0     2050
TRANS1 INC                      COM            89385X105           4    1925 SH  DEFINED                        0       0     1925
TRAVELERS COMPANIES INC         COM            89417E109          12     208 SH  SOLE                         208       0        0
TREEHOUSE FOODS INC             COM            89469A104          19     290 SH  SOLE                         290       0        0
TRUSTCO BK CORP N Y             COM            898349105           5     842 SH  DEFINED                      842       0        0
UIL HLDG CORP                   COM            902748102          20     573 SH  SOLE                         573       0        0
UNION PAC CORP                  COM            907818108         427    4035 SH  SOLE                        4035       0        0
UNION PAC CORP                  COM            907818108           4      40 SH  DEFINED                       40       0        0

UNITED PARCEL SERVICE INC       CL B           911312106          92    1260 SH  SOLE                        1260       0        0
UNITED TECHNOLOGIES CORP        COM            913017109         262    3585 SH  SOLE                        3585       0        0
VALERO ENERGY CORP NEW          COM            91913Y100           2     105 SH  SOLE                         105       0        0
VANGUARD SPECIALIZED PORTFOL    DIVAPP ETF     921908844       10483  191825 SH  SOLE                      166475       0    25350
VANGUARD BD INDEX FD INC      TOTAL BND MRKT   921937835        1011   12107 SH  SOLE                       12107       0        0
VANGUARD BD INDEX FD INC      TOTAL BND MRKT   921937835         546    6540 SH  DEFINED                     6540       0        0
VANGUARD HIGH DIVIDEND YIELD    ETF            921946406          20     450 SH  SOLE                         450       0        0
VANGUARD MSCI EMERGING          MARKETS ETF    922042858        2180   57070 SH  SOLE                       46745       0    10325
VANGUARD MSCI EMERGING          MARKETS ETF    922042858         160    4195 SH  DEFINED                      195       0     4000
VANGUARD INDEX FDS              REIT ETF       922908553          39     675 SH  SOLE                         675       0        0
VANGUARD INDEX FDS              MIDCAP ETF     922908629         306    4258 SH  SOLE                        2508       0     1750
VANGUARD INDEX FDS              MIDCAP ETF     922908629         151    2100 SH  DEFINED                      100       0     2000
VANGUARD INDEX FDS              SMALL CP ETF   922908751           7     100 SH  DEFINED                      100       0        0
VERIZON COMMUNICATIONS          COM            92343V104         881   21960 SH  SOLE                       21610       0      350
VERIZON COMMUNICATIONS          COM            92343V104          48    1206 SH  DEFINED                     1206       0        0
VISA INC                        COMCL A        92826C839          79     775 SH  SOLE                         775       0        0
VODAFONE GROUP PLC NEW          SPONS ADR NEW  92857W209           3     100 SH  SOLE                         100       0        0
VULCAN MATLS CO                 COM            929160109          98    2500 SH  SOLE                        2500       0        0
WAL MART STORES INC             COM            931142103         723   12099 SH  SOLE                       12099       0        0
WALGREEN CO                     COM            931422109         195    5900 SH  SOLE                        5650       0      250
WASTE MGMT INC DEL              COM            94106L109          10     300 SH  SOLE                         300       0        0
WASTE MGMT INC DEL              COM            94106L109          20     625 SH  DEFINED                      625       0        0
WELLS FARGO & CO NEW            COM            949746101         146    5286 SH  SOLE                        5286       0        0
WESTERN ASSET MANAGED MUNI                     95766M105          36       2673  SOLE                        2673       0        0
WINDSTREAM CORP                 COM            97381W104          10     845 SH  SOLE                         845       0        0
WINDSTREAM CORP                 COM            97381W104           1      59 SH  DEFINED                       59       0        0
WISCONSIN ENERGY CORP           COM            976657106          58    1650 SH  SOLE                        1650       0        0
WISDOMTREE TRUST             CHINESE YUAN ETF  97717W182           2      80 SH  SOLE                          80       0        0
WISDOMTREE EQUTT INCOME FUND                   97717W208          13     300 SH  SOLE                         300       0        0
WISDOMTREE TRUST              EMERG MKTS ETF   97717W315        3379   65900 SH  SOLE                       55550       0    10350
WISDOMTREE TRUST              INTL MIDCAP DV   97717W778          52    1200 SH  SOLE                         200       0     1000
WISDOMTREE TRUST              INTL DV TOP100   97717W786          63    1600 SH  SOLE                         200       0     1400
WISDOMTREE TR                 EM LCL DEBT FD   97717X867        1876   38575 SH  SOLE                       38475       0      100

XEROX CORP                      COM            984121103          10    1225 SH  SOLE                        1225       0        0
XYLEM INC                       COM            98419M100          21     800 SH  DEFINED                      800       0        0
YUM BRANDS INC                                 988498101          55     926 SH  SOLE                         926       0        0
ZIMMER HLDGS INC                COM            98956P102         100    1868 SH  SOLE                        1868       0        0

GRAND TOTALS                                                  175278
                                                                     4018016                              3661744       0   356272





                                                       VALUE       SHARES/        INVESTMENT DESCRETION         VOTING AUTHORITY
NAME OF ISSUER                  TYPE       CUSIP     (X$1000)     PRN AMT       SOLE    SHARED  OTHER       SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------

AER Energy Res Inc New          Equity     000944207           0         50       50        0        0         50       0        0
AGL Res Inc                     Equity     001204106      10,607        251      251        0        0        251       0        0
AT&T Inc                        Equity     00206R102   3,496,802    115,635   89,831   25,804        0    110,585       0    5,050
Abbott Laboratories             Equity     002824100   2,390,169     42,507   36,057    6,450        0     41,057       0    1,450
Advanced Micro Devices Inc      Equity     007903107       1,080        200      200        0        0        200       0        0
Aetna US Healthcare             Equity     00817y108      42,190      1,000        0    1,000        0          0       0    1,000
Air Products & Chemicals Inc    Equity     009158106      25,557        300      300        0        0        300       0        0
Alcoa Inc                       Equity     013817101      41,520      4,800      700    4,100        0      4,800       0        0
Alcatel Lucent                  Equity     013904305          14          9        9        0        0          9       0        0
Allstate Corp                   Equity     020002101      14,582        532      532        0        0        532       0        0
Alpha Natural Res Inc           Equity     02076X102       2,206        108        0      108        0        108       0        0
Altria Group Inc                Equity     02209S103      28,168        950      200      750        0        950       0        0
American Express Co             Equity     025816109       9,434        200        0      200        0        200       0        0
American Int'l Group Wrts
  Exp 01/19/21                  Equity     026874156          77         14        4       10        0         14       0        0
American Int'l Group Inc        Equity     026874784         162          7        7        0        0          7       0        0
MLP Amerigas Partners LP        Equity     030975106      82,638      1,800      700    1,100        0      1,800       0        0
Amgen Inc                       Equity     031162100     667,013     10,388    8,888    1,500        0     10,388       0        0
Anadarko Petroleum Corp         Equity     032511107      45,798        600      600        0        0        600       0        0
Anheuser Busch Cos Inc
  5.000% 01/15/15                          035229CY7     275,140    250,000  200,000   50,000        0    250,000       0        0
Annaly Capital Management Inc   Equity     035710409      17,556      1,100    1,100        0        0      1,100       0        0
Apache Corp                     Equity     037411105      11,323        125      125        0        0        125       0        0
Apple Computer Inc              Equity     037833100      46,575        115      115        0        0        115       0        0
Applied Materials Inc           Equity     038222105      33,201      3,100    3,100        0        0      3,100       0        0
Arrow Financial Corp            Equity     042744102         164          7        7        0        0          7       0        0
Astoria Financial Corp          Equity     046265104      92,541     10,900    7,300    3,600        0     10,900       0        0
Autoliv Inc                     Equity     052800109         160          3        3        0        0          3       0        0
Automatic Data Processing Inc   Equity     053015103   1,986,380     36,778   30,628    6,150        0     36,578       0      200
BB&T Corp                       Equity     054937107     185,000      7,350    6,350    1,000        0      7,350       0        0
BFC Financial Corp              Equity     055384200          10         28       28        0        0         28       0        0
BP PLC ADR                      Equity     055622104       5,642        132        0      132        0        132       0        0
Ballston Spa Bancorp Inc        Equity     058701103      31,000      1,000    1,000        0        0      1,000       0        0
Bank of America Corp            Equity     060505104      65,330     11,750    9,200    2,550        0     11,750       0        0
Bank New York Mellon Corp       Equity     064058100      33,847      1,700    1,700        0        0      1,700       0        0
BankAtlantic Bancorp Inc Cl A   Equity     065908808         149         44       44        0        0         44       0        0
The Banker's Store Inc
  (Restricted)                  Equity     06631K109           1         50       50        0        0         50       0        0
Baseline Oil & Gas Corp         Equity     069827103           9      1,750    1,750        0        0      1,750       0        0
Baxter International Inc        Equity     071813109       9,896        200        0      200        0        200       0        0
Becton, Dickinson & Co          Equity     075887109     336,240      4,500    2,000    2,500        0      4,500       0        0
Bemis Co Inc                    Equity     081437105     923,456     30,700   22,150    8,550        0     30,250       0      450
Berkshire Hathaway Class B      Equity     084670702      52,037        682      372      310        0        682       0        0
Berkshire Hills Bancorp Inc     Equity     084680107      25,008      1,127        0    1,127        0      1,127       0        0
Best Buy Inc                    Equity     086516101      18,696        800      800        0        0        800       0        0
Blackrock Muniholdings
  NY Insd Fd                    Equity     09255C106      58,139      3,835    3,835        0        0      3,835       0        0
Boeing Co                       Equity     097023105      47,678        650      500      150        0        650       0        0
Bristol Myers Squibb Co         Equity     110122108     775,280     22,000    9,600   12,400        0     20,000       0    2,000
Broadridge Financial Solutions
  Inc                           Equity     11133T103      10,148        450        0      450        0        450       0        0
MLP Buckeye Partners LP         Equity     118230101      12,796        200        0      200        0        200       0        0
CME Group Inc                   Equity     12572Q105       6,092         25       25        0        0         25       0        0
Cardinal Health Inc             Equity     14149Y108       6,092        150      150        0        0        150       0        0
Caterpillar Inc                 Equity     149123101     135,900      1,500      500    1,000        0      1,500       0        0
Cenovus Energy Inc              Equity     15135U109       5,246        158      158        0        0        158       0        0
CenterPoint Energy Inc          Equity     15189T107       2,009        100      100        0        0        100       0        0
NY Chappaqua CSD
  4.125% 01/15/17                          159555GU9     575,633    575,000  375,000  200,000        0    575,000       0        0
Chesapeake Energy Corp          Equity     165167107      25,455      1,142    1,142        0        0      1,142       0        0
Chevron Corp                    Equity     166764100   2,926,000     27,500   20,550    6,950        0     27,400       0      100
Chubb Corp                      Equity     171232101     280,341      4,050    2,450    1,600        0      4,050       0        0
Cisco Systems Inc               Equity     17275R102     785,160     43,427   33,527    9,900        0     41,027       0    2,400
Citadel Broadcasting Corp       Equity     17285T106           3         15        0       15        0         15       0        0
Citigroup Inc New               Equity     172967424      16,575        630      530      100        0        630       0        0
Citigroup Cap I 6.10%           Preferred
                                Stock      173064205      16,888        800      800        0        0        800       0        0
Clarent Corp                    Equity     180461105           0        100      100        0        0        100       0        0
Coca Cola Co                    Equity     191216100   2,857,785     40,843   30,793   10,050        0     39,643       0    1,200
Colgate Palmolive Co            Equity     194162103     480,613      5,202    2,402    2,800        0      5,202       0        0
Comcast Corp New Cl A           Equity     20030N101      20,154        850      850        0        0        850       0        0
Community Bank System Inc       Equity     203607106  36,195,350  1,301,991   46,0841,255,907        0  1,278,383       0   23,608
ConAgra Foods Inc               Equity     205887102       2,640        100        0      100        0        100       0        0
ConocoPhillips Co               Equity     20825C104   1,613,342     22,140   17,990    4,150        0     22,040       0      100
Consolidated Edison Inc         Equity     209115104     214,004      3,450    3,450        0        0      3,450       0        0
Corning Inc                     Equity     219350105      19,470      1,500      500    1,000        0      1,500       0        0
Corning Natural Gas Corp        Equity     219381100       5,100        300        0      300        0          0       0      300
Cubist Pharmaceuticals Inc      Equity     229678107       7,924        200        0      200        0        200       0        0
DWS Intermediate Tax Free Cl S  Equity     23337X509      34,530      2,921    2,921        0        0      2,921       0        0
Darden Restaurants Inc          Equity     237194105      22,790        500        0      500        0        500       0        0
Deere & Co                      Equity     244199105       7,735        100      100        0        0        100       0        0
Delhi Bank Corp                 Equity     246694103      80,800      3,200    3,200        0        0      3,200       0        0
Dell Inc                        Equity     24702R101      11,704        800      700      100        0        800       0        0
Deutsche Telekom ADR            Equity     251566105       8,056        700        0      700        0        700       0        0
Devon Energy Corp New           Equity     25179M103     285,200      4,600    3,100    1,500        0      4,600       0        0
Dime Bancorp Inc New            Equity     25429Q102           1          3        3        0        0          3       0        0
Discovery Laboratories Inc New  Equity     254668403          34         20       20        0        0         20       0        0
Disney (Walt) Co                Equity     254687106     243,750      6,500    6,100      400        0      6,400       0      100
Dominion Resources New          Equity     25746U109   2,505,376     47,200   33,000   14,200        0     46,000       0    1,200
Dow Chemical Co                 Equity     260543103     642,786     22,350   19,675    2,675        0     22,250       0      100
Du Pont de Nemours EI Co        Equity     263534109      13,734        300      300        0        0        300       0        0
Duke Realty Corp                Equity     264411505      12,050      1,000      500      500        0      1,000       0        0
Duke Energy Corp New            Equity     26441C105      85,800      3,900    2,200    1,700        0      3,900       0        0
Dune Energy Inc                 Equity     265338509           6        200      200        0        0        200       0        0
EMC Corp                        Equity     268648102       4,308        200      200        0        0        200       0        0
EOG Resources Inc               Equity     26875P101     256,126      2,600    2,350      250        0      2,600       0        0
Earth Sciences Inc              Equity     270312200           2      4,000    4,000        0        0      4,000       0        0
Eaton Corp                      Equity     278058102      52,236      1,200    1,200        0        0      1,200       0        0
Emerson Elec Co                 Equity     291011104     300,878      6,458    5,208    1,250        0      6,458       0        0
Encana Corp                     Equity     292505104       2,372        128      128        0        0        128       0        0
Entergy Corp                    Equity     29364G103       1,972         27       27        0        0         27       0        0
Enterprise Prods Partners       Equity     293792107      57,882      1,248    1,048      200        0      1,248       0        0
Equity Residential              Equity     29476L107      34,218        600      600        0        0        600       0        0
European Goldfields             Equity     298774100       6,153        532        0      532        0        532       0        0
Exelon Corp                     Equity     30161N101   1,585,130     36,549   27,074    9,475        0     35,349       0    1,200
Exxon Mobil Corp                Equity     30231G102   5,741,303     67,736   51,976   15,760        0     66,136       0    1,600
Fastenal Co                     Equity     311900104     409,934      9,400    6,400    3,000        0      9,400       0        0
Federated US Govt Sec Fd 1-3    Equity     31428M100     355,258     32,773   28,728    4,045        0     31,347       0    1,426
Federated US Govt Sec Fd 2-5    Equity     31428P103     290,078     24,964   13,571   11,392        0     23,308       0    1,656
Fiserv Inc                      Equity     337738108      29,370        500      500        0        0        400       0      100
FL Brd of Ed FSA Insd
  4.000% 06/01/17                          341426FS8      51,178     50,000   50,000        0        0     50,000       0        0
Ford Motor Co                   Equity     345370860       7,532        700      700        0        0        700       0        0
FDRY Networks Inc               Equity     35063R100       3,300        200      200        0        0        200       0        0
France Telecom ADR              Equity     35177Q105      15,660      1,000        0    1,000        0      1,000       0        0
Franco Nevada Corp              Equity     351858105       5,025        132        0      132        0        132       0        0
Franklin Income A               Equity     353496300      22,748     10,832   10,832        0        0     10,832       0        0
Franklin NY Tax Free Inc Fd     Equity     354130106     828,009     69,933   43,692   26,241        0     61,425       0    8,508
Freeport McMoran C&G Inc        Equity     35671D857     183,950      5,000        0    5,000        0      5,000       0        0
Frontier Communications         Equity     35906A108         865        168       48      120        0        168       0        0
General Dynamics Corp           Equity     369550108      79,692      1,200    1,200        0        0      1,200       0        0
General Electric Co             Equity     369604103   2,457,503    137,214   97,989   39,225        0    135,064       0    2,150
GE Capital Corp Pfd             Preferred
  6.625% 06/28/32               Stock      369622527     263,400     10,000    7,600    2,400        0     10,000       0        0
General Mills Inc               Equity     370334104   1,314,456     32,528   23,028    9,500        0     32,528       0        0
General Motors Co               Equity     37045V100       3,284        162        0      162        0        162       0        0
General Motors Co Wts
  Exp 07/10/16                  Equity     37045V118       1,713        146        0      146        0        146       0        0
General Motors Co Warrants
  Exp 07/10/19                  Equity     37045V126       1,142        146        0      146        0        146       0        0
Genuine Parts Co                Equity     372460105       1,775         29       29        0        0         29       0        0
Glaxo SmithKline PLC ADR        Equity     37733W105      31,941        700      700        0        0        700       0        0
Global High Income Dollar Fund  Equity     37933G108       6,040        500      500        0        0        500       0        0
Sahara Expl Corp
  (Restricted Shares)           Equity     37944P972           0         90       90        0        0         90       0        0
Biosphere Develop Corp
  (Restricted Shares)           Equity     37944P998           0         90       90        0        0         90       0        0
Gold Resource Corp              Equity     38068T105       5,546        261        0      261        0        261       0        0
Goldcorp Inc                    Equity     380956409       4,823        109        0      109        0        109       0        0
Golden Queen Mining Co Ltd      Equity     38115J100       4,407      1,558        0    1,558        0      1,558       0        0
Halliburton Co                  Equity     406216101      34,510      1,000    1,000        0        0      1,000       0        0
Hanger Orthopedic Group Inc     Equity     41043F208       3,738        200      200        0        0        200       0        0
Harley Davidson Inc             Equity     412822108      46,644      1,200      200    1,000        0      1,200       0        0
Health Care REIT Pfd F          Preferred
                                Stock      42217K403       7,725        300        0      300        0        300       0        0
Heinz H J Co                    Equity     423074103      16,212        300      300        0        0        300       0        0
The Hershey Co                  Equity     427866108     154,450      2,500    1,500    1,000        0      2,500       0        0
Hewlett Packard Co              Equity     428236103     116,512      4,523    3,023    1,500        0      4,423       0      100
Home Depot Inc                  Equity     437076102      13,032        310      310        0        0        310       0        0
Honeywell Int'l Inc             Equity     438516106      43,480        800      800        0        0        800       0        0
NY Huntington Pub Impt
  4.000% 10/15/17                          446457MF7     146,538    135,000  100,000   35,000        0    110,000       0   25,000
ICAD Inc                        Equity     44934S107       5,700     10,000   10,000        0        0     10,000       0        0
Illinois Tool Works Inc         Equity     452308109   1,123,376     24,050   18,975    5,075        0     23,475       0      575
ING Groep NV
  7.375%                        Preferred
                                Stock      456837707      18,430      1,000        0    1,000        0      1,000       0        0
Integrated Device Tech Inc Com  Equity     458118106       1,092        200        0      200        0        200       0        0
Intel Corp                      Equity     458140100   1,431,356     59,025   47,250   11,775        0     56,375       0    2,650
Intl Business Machines Corp     Equity     459200101  20,892,629    113,621   22,462   91,159        0    112,771       0      850
Intl Flavors & Fragrances Inc   Equity     459506101     241,132      4,600    4,600        0        0      4,600       0        0
iShares MSCI Canada             Equity     464286509      13,300        500      300      200        0        500       0        0
iShares MSCI S Africa           Equity     464286780      12,214        200      200        0        0        200       0        0
iShares TR MSCI Emerging
  Markets                       Equity     464287234       3,794        100      100        0        0        100       0        0
iShares Barclays 1-3 Yr ETF     Equity     464287457      25,350        300      300        0        0        300       0        0
iShares TR MSCI EAFE
  Index Fund                    Equity     464287465       4,953        100      100        0        0        100       0        0
iShares Russell MidCap
  Value Fd                      Equity     464287473   1,224,965     28,225   23,225    5,000        0     28,025       0      200
iShares TR Cohen & Steers
  Realty                        Equity     464287564       7,724        110      110        0        0        110       0        0
iShares Russell 2000 Index
  Fund                          Equity     464287655       7,375        100      100        0        0        100       0        0
iShares Barclays 1-3 Yr
  ETF Bond Fd                   Equity     464288646      12,296        118      118        0        0        118       0        0
iShares Silver Trust            Equity     46428Q109     104,312      3,872    2,000    1,872        0      3,872       0        0
JP Morgan Chase & Co            Equity     46625H100     990,850     29,800   26,300    3,500        0     28,200       0    1,600
JP Morgan Chase Cap Tr XI       Preferred
                                Stock      46626V207      25,010      1,000    1,000        0        0      1,000       0        0
Jeffersonville Bancorp          Equity     47559A103      63,704      6,215    6,215        0        0      6,215       0        0
Johnson & Johnson               Equity     478160104   3,672,611     56,002   42,562   13,440        0     55,902       0      100
Johnson Controls Inc            Equity     478366107     359,490     11,500    7,200    4,300        0     10,500       0    1,000
JP Morgan NY Tax Free Bond Cl A Equity     4812A0755      65,682      8,781    8,781        0        0      8,781       0        0
Keycorp                         Equity     493267108      66,903      8,700    3,700    5,000        0      8,700       0        0
Kimberly Clark Corp             Equity     494368103   1,432,581     19,475   13,975    5,500        0     19,375       0      100
Kinder Morgan Energy Partners   Equity     494550106      25,485        300      200      100        0        300       0        0
Kraft Foods Inc                 Equity     50075N104       8,892        238      138      100        0        238       0        0
Legg Mason Inc                  Equity     524901105      69,745      2,900    2,800      100        0      2,900       0        0
Lilly Eli & Co                  Equity     532457108     553,787     13,325   11,125    2,200        0     13,225       0      100
Lorillard Inc                   Equity     544147101      11,400        100      100        0        0        100       0        0
M & T Bank Corp                 Equity     55261F104     821,876     10,766      766   10,000        0     10,766       0        0
Mack Cali Realty Corp           Equity     554489104      13,345        500      500        0        0        500       0        0
Magellan Energy Ltd New         Equity     559071204           0          1        1        0        0          1       0        0
NY Mamaroneck UFSD
  4.000% 10/01/16                          561467NM9     348,911    340,000  290,000   50,000        0    340,000       0        0
Marathon Oil Corp               Equity     565849106      11,708        400      400        0        0        400       0        0
Marathon Petro Corp             Equity     56585A102       8,323        250      250        0        0        250       0        0
MFC Market Vectors
  Agri Business                 Equity     57060U605       4,715        100      100        0        0        100       0        0
MA St Health & Ed (Williams)
  5.000% 07/01/22                          57585KV70     421,480    400,000  300,000  100,000        0    375,000       0   25,000
McDonalds Corp                  Equity     580135101     561,447      5,596    1,096    4,500        0      4,596       0    1,000
McGraw Hill Inc                 Equity     580645109       8,994        200        0      200        0        200       0        0
McKesson Corp                   Equity     58155q103     276,581      3,550    1,250    2,300        0      3,550       0        0
Medco Health Solutions Inc      Equity     58405U102      11,180        200      200        0        0        200       0        0
Medical Properties Trust Inc    Equity     58463J304       8,883        900        0      900        0        900       0        0
Medtronic Inc                   Equity     585055106      86,063      2,250    1,950      300        0      2,250       0        0
Merchants Bancshares Inc        Equity     588448100     226,300      7,750    4,750    3,000        0      7,750       0        0
Merck & Co Inc New              Equity     58933Y105   1,563,871     41,482   31,680    9,802        0     39,982       0    1,500
Merrill Lynch Pfd Cap Tr III    Preferred
                                Stock      59021F206       7,968        400      400        0        0        400       0        0
MetLife Inc                     Equity     59156R108      46,645      1,496      596      900        0        696       0      800
Microsoft Corp                  Equity     594918104     932,925     35,937   27,587    8,350        0     34,937       0    1,000
Microbyx                        Equity     594992107           1        875        0      875        0        875       0        0
NJ Middlesex Co
  4.125% 01/01/20                          59656NGY2      27,624     25,000   25,000        0        0     25,000       0        0
NJ Middlesex Co
  4.125% 01/01/21                          59656NGZ9      27,481     25,000   25,000        0        0     25,000       0        0
Mirant Corp Escrow Shares                  604675991           0        180      180        0        0        180       0        0
Monsanto Co                     Equity     61166W101     469,609      6,702    5,800      902        0      6,702       0        0
Morgan Stanley                  Equity     617446448      10,288        680      680        0        0        680       0        0
The Mosaic Company              Equity     61945C103       1,160         23       23        0        0         23       0        0
NBT Bancorp Inc                 Equity     628778102     403,009     18,211    5,305   12,906        0      8,211       0   10,000
Namic Insurance Co Inc B        Equity     62989*105       5,475         30       30        0        0         30       0        0
National Bank of Greece ADR     Equity     633643606         396        200      200        0        0        200       0        0
National Fuel Gas Co            Equity     636180101      55,580      1,000        0    1,000        0      1,000       0        0
National Grid Transco PLC
  Sponsored ADR                 Equity     636274300      10,714        221      121      100        0        221       0        0
Natural Resources Partners LP   Equity     63900P103      10,844        400        0      400        0        400       0        0
Nestle                          Equity     641069406      11,550        200        0      200        0        200       0        0
Nevada Gold & Casinos Inc       Equity     64126Q206       1,150      1,000        0    1,000        0      1,000       0        0
NY New Castle Tn
  3.750% 12/01/12                          643408PU5     103,106    100,000        0  100,000        0    100,000       0        0
New Gold Inc                    Equity     644535106       4,536        450        0      450        0        450       0        0
New York Community Bancorp      Equity     649445103       1,237        100      100        0        0        100       0        0
NYSDA Lutheran Medical Ctr
  4.000% 02/01/15                          649901T88     707,840    700,000  390,000  310,000        0    700,000       0        0
Newell Rubbermaid Inc           Equity     651229106       1,615        100        0      100        0        100       0        0
Nextera Energy Inc              Equity     65339F101   1,063,878     17,475   12,375    5,100        0     17,375       0      100
Nike Inc Class B                Equity     654106103     269,836      2,800    2,200      600        0      2,800       0        0
Norfolk Southern Corp           Equity     655844108      36,430        500      500        0        0        500       0        0
Nortel Networks Corp New        Equity     656568508           0         20       20        0        0         20       0        0
North European Oil Royalty
  Trust                         Equity     659310106       9,756        300      300        0        0        300       0        0
NY East Northport UFSD
  4.000% 08/01/17                          666641FS9     301,774    275,000  150,000  125,000        0    275,000       0        0
Northrop Grumman Corp           Equity     666807102      46,784        800      800        0        0        800       0        0
Novartis Ag ADR                 Equity     66987V109   2,028,106     35,475   27,875    7,600        0     35,425       0       50
Nstar Com                       Equity     67019E107      19,723        420      420        0        0        420       0        0
Nucor Corp                      Equity     670346105     867,572     21,925   18,225    3,700        0     21,825       0      100
Nuveen NY Municipal Value Fd    Equity     67062M105      63,349      6,386    5,886      500        0      6,386       0        0
Nuveen NY Invt Quality Muni Fd  Equity     67062X101      36,214      2,350    2,350        0        0      2,350       0        0
OGE Energy Corp                 Equity     670837103     289,221      5,100    3,100    2,000        0      5,100       0        0
Occidental Petroleum Corp       Equity     674599105      65,590        700      700        0        0        700       0        0
Olin Corp                       Equity     680665205       9,825        500      500        0        0        500       0        0
Oneok Partners LP               Equity     68268N103      23,096        400      400        0        0        400       0        0
Oracle Corp                     Equity     68389X105     179,037      6,980    5,980    1,000        0      6,980       0        0
Paincare Holdings Inc           Equity     69562E104           0        640      640        0        0        640       0        0
Parker Hannifin Corp            Equity     701094104      30,500        400      250      150        0        400       0        0
Peabody Energy Corp             Equity     704549104       9,933        300      300        0        0        300       0        0
Pengrowth Energy Corp           Equity     70706P104      25,272      2,400    1,200    1,200        0      2,400       0        0
PEPCO Holdings Inc              Equity     713291102       4,060        200        0      200        0        200       0        0
PepsiCo Inc                     Equity     713448108   2,811,979     42,381   32,081   10,300        0     42,181       0      200
Permian Basin Royalty Tr        Equity     714236106       4,074        200      200        0        0        200       0        0
Pfizer Inc                      Equity     717081103   1,590,648     73,505   65,405    8,100        0     72,705       0      800
Philip Morris International Inc Equity     718172109      15,696        200      200        0        0        200       0        0
Pitney Bowes Inc                Equity     724479100      81,576      4,400    4,300      100        0      4,400       0        0
Plains All American Pipeline,
  LLP                           Equity     726503105      22,035        300        0      300        0        300       0        0
Plug Power Inc New              Equity     72919P202           6          3        3        0        0          3       0        0
Potash Corp Sask Inc            Equity     73755L107     795,672     19,275   15,450    3,825        0     18,575       0      700
PowerShares Exchange            Equity     73935A104       6,979        125      125        0        0        125       0        0
Powershares Financial Preferred Equity     73935X229      11,606        720      720        0        0        720       0        0
Principal Financial Group Inc   Equity     74251V102      10,947        445      445        0        0        445       0        0
Procter & Gamble Co             Equity     742718109   3,849,701     57,708   45,158   12,550        0     55,508       0    2,200
Progress Energy Inc             Equity     743263105      93,609      1,671    1,171      500        0      1,671       0        0
Prudential Financial Inc        Equity     744320102       9,372        187      187        0        0        187       0        0
Public Service Enterprise       Equity     744573106   1,389,721     42,100   28,950   13,150        0     40,800       0    1,300
Qualcomm Inc                    Equity     747525103      92,990      1,700    1,700        0        0      1,700       0        0
Reynolds American Inc           Equity     761713106      10,355        250        0      250        0        250       0        0
Rio Tinto PLC ADR               Equity     767204100     195,680      4,000        0    4,000        0      4,000       0        0
Rockwell Automation Inc         Equity     773903109      36,685        500      500        0        0        500       0        0
T Rowe Price Summit Municipal
  Intermediate Fd               Equity     77957N209      69,089      5,910    5,910        0        0      5,910       0        0
Royal Bank of Canada            Equity     780087102      50,960      1,000        0    1,000        0      1,000       0        0
Royal Dutch Shell PLC A ADR     Equity     780259206     190,034      2,600    2,200      400        0      2,600       0        0
Rubicon Minerals Corp           Equity     780911103       4,642      1,228        0    1,228        0      1,228       0        0
SE Financial Corp               Equity     78412R108      64,896      4,800        0    4,800        0      4,800       0        0
SPDR S&P 500 ETF Trust          Equity     78462F103      28,238        225      225        0        0        225       0        0
SPDR Gold Trust                 Equity     78463V107      46,053        303      303        0        0        303       0        0
SPDR S&P 400 Midcap ETF Tr      Equity     78467Y107      15,949        100      100        0        0        100       0        0
Sabine Royalty Trust            Equity     785688102      12,610        200      200        0        0        200       0        0
Sara Lee Corp                   Equity     803111103      18,069        955      955        0        0        955       0        0
Scana Corp New                  Equity     80589M102      27,036        600      600        0        0        400       0      200
Schlumberger Ltd                Equity     806857108      47,817        700      700        0        0        700       0        0
MFC Select Sector               Equity     81369Y100       3,350        100      100        0        0        100       0        0
Sempra Energy Inc               Equity     816851109   1,522,950     27,690   23,415    4,275        0     27,590       0      100
Silver Wheaton Corp             Equity     828336107      15,638        540        0      540        0        540       0        0
Sonoco Products Co              Equity     835495102      59,328      1,800    1,800        0        0      1,800       0        0
NY Southampton
  4.500% 10/01/21                          841205VF1     179,370    175,000  175,000        0        0    175,000       0        0
NY Southampton Tn
  4.000% 11/01/19                          841205WR4     189,546    175,000  175,000        0        0    175,000       0        0
Southern Co                     Equity     842587107      50,919      1,100      900      200        0      1,100       0        0
Spectra Energy Corp             Equity     847560109       4,613        150       50      100        0        150       0        0
Sprint Nextel Corp              Equity     852061100         234        100      100        0        0        100       0        0
Stanley Black & Decker Inc      Equity     854502101     905,840     13,400   10,800    2,600        0     13,400       0        0
Suncor Energy Inc New           Equity     867224107      28,830      1,000    1,000        0        0      1,000       0        0
NY Syosset CSD
   4.000% 07/15/17                         871633FQ1      53,865     50,000   50,000        0        0     50,000       0        0
Sysco Corp                      Equity     871829107   1,072,012     36,550   25,950   10,600        0     36,350       0      200
Taylor Capital Group Inc        Preferred
  9.75%                         Stock      87216N205       8,050        350        0      350        0        350       0        0
Target Corp                     Equity     87612E106     317,564      6,200    5,600      600        0      6,100       0      100
Telefonica SA ADR               Equity     879382208       3,438        200        0      200        0        200       0        0
Teva Pharmaceutical Industries  Equity     881624209       4,036        100        0      100        0        100       0        0
Texas Instruments Inc           Equity     882508104     342,043     11,750   10,650    1,100        0     11,650       0      100
Thermo Fisher Corp              Equity     883556102      13,491        300      300        0        0        300       0        0
3M Company                      Equity     88579Y101   3,507,443     42,915   35,415    7,500        0     42,015       0      900
Thunder Mountain Gold           Equity     886043108         425      5,000    5,000        0        0      5,000       0        0
Toronto Dominion Bank           Equity     891160509      14,214        190      190        0        0        190       0        0
Torvec Inc                      Equity     891479107       1,660      2,000    2,000        0        0      2,000       0        0
Total SA                        Equity     89151E109      86,887      1,700        0    1,700        0      1,700       0        0
Toyota Motors ADR               Equity     892331307      13,226        200        0      200        0        200       0        0
Tronox Inc Warrants B           Equity     897051124          54          1        1        0        0          1       0        0
US Bancorp Del                  Equity     902973304     129,840      4,800    2,600    2,200        0      4,800       0        0
Unilever ADR                    Equity     904767704       3,352        100        0      100        0          0       0      100
Unilever NV NY New              Equity     904784709      17,185        500      500        0        0        500       0        0
United Parcel Svc Inc Cl B      Equity     911312106   1,321,080     18,050   13,525    4,525        0     18,050       0        0
US Tsy
  4.375% 08/15/12                          912828AJ9     913,432    890,000  595,000  295,000        0    890,000       0        0
US Tsy
  4.000% 11/15/12                          912828AP5   2,190,638  2,120,0001,420,000  700,000        0  2,120,000       0        0
US Tsy
  4.250% 08/15/13                          912828BH2   2,326,171  2,185,0001,510,000  675,000        0  2,185,000       0        0
United Technologies Corp        Equity     913017109   1,666,452     22,800   18,500    4,300        0     22,800       0        0
United Health Group Inc         Equity     91324P102     668,976     13,200   11,900    1,300        0     13,200       0        0
Valeant Pharmaceuticals
  International Inc             Equity     91911K102       6,443        138      138        0        0        138       0        0
Valero Energy Corp              Equity     91913Y100      12,630        600      600        0        0        600       0        0
Vanguard Short-Term Bond ETF    Equity     921937827   1,802,732     22,300   18,100    4,200        0     21,800       0      500
Vanguard GNMA Fd Admiral Shs    Equity     922031794   7,241,670    654,171  562,072   92,099        0    644,164       0   10,007
Vanguard International Equity
  Index Fd                      Equity     922042775       7,930        200      200        0        0        200       0        0
Vanguard Emerging Markets ETF   Equity     922042858     165,258      4,325    4,325        0        0      4,325       0        0
Vanguard Consumer Staples ETF   Equity     92204A207      40,735        500      500        0        0        500       0        0
Vanguard Financials ETF         Equity     92204A405     678,069     24,550   18,200    6,350        0     23,950       0      600
Vanguard Health Care ETF        Equity     92204A504      30,605        500      500        0        0        500       0        0
Vanguard Industrials ETF        Equity     92204A603     273,192      4,400        0    4,400        0      4,400       0        0
Vanguard Utilities ETF          Equity     92204A876     370,994      4,825    4,225      600        0      4,825       0        0
Vanguard Short-Term Corp Bond
  ETF                           Equity     92206C409   2,655,026     34,100   28,375    5,725        0     33,200       0      900
Vanguard REIT                   Equity     922908553       5,800        100      100        0        0        100       0        0
Vanguard Small Cap Value ETF    Equity     922908611      12,534        200      200        0        0        200       0        0
Vanguard Mid-Cap                Equity     922908629      21,582        300      300        0        0        300       0        0
Verizon Communications Co       Equity     92343V104   2,611,210     65,085   49,650   15,435        0     64,535       0      550
Viacom Inc New Cl B             Equity     92553P201      11,353        250      250        0        0        250       0        0
Vodafone Group PLC New ADR      Equity     92857W209       8,325        297        0      297        0        297       0        0
WGL Holdings Inc                Equity     92924F106      17,688        400      400        0        0        400       0        0
Wal-Mart Stores Inc             Equity     931142103   1,664,316     27,850   21,250    6,600        0     27,850       0        0
Walgreen Co                     Equity     931422109     208,278      6,300    5,900      400        0      6,300       0        0
Washington Real Est Inv Tr      Equity     939653101      10,940        400      400        0        0        400       0        0
Waste Mgmt Inc                  Equity     94106L109       3,271        100      100        0        0        100       0        0
Wellpoint Inc                   Equity     94973V107     359,075      5,420    4,920      500        0      5,320       0      100
Wells Fargo & Co                Equity     949746101     578,677     20,997   18,157    2,840        0     20,997       0        0
Williams Cos                    Equity     969457100       6,604        200      200        0        0        200       0        0
Windstream Corp                 Equity     97381W104      29,350      2,500    1,300    1,200        0      2,500       0        0
Wisconsin Energy Corp           Equity     976657106     115,368      3,300    1,800    1,500        0      3,300       0        0
Yamana Gold Inc                 Equity     98462Y100       5,876        400        0      400        0        400       0        0
Yum Brands Inc                  Equity     988498101       5,901        100        0      100        0        100       0        0
Zimmer Holdings Inc             Equity     98956P102      21,368        400      400        0        0        400       0        0
Fractionals American
  International Group           Equity     ACG874152           0     41,619   10,790   30,829        0     41,619       0        0
American Foundation For
  The Blind, Inc                Equity     AMERICANF       5,000          1        1        0        0          1       0        0
American Printing House
  For The Blind                 Equity     AMPRIN          7,500          2        2        0        0          2       0        0
National Federation Of
  The Blind                     Equity     BLIND           5,000          1        1        0        0          1       0        0
Christian Appalachian Project   Equity     CAP             4,000          2        2        0        0          2       0        0
Capuchin Franciscans of the
  Prov of St Mary               Equity     CAPUCHIN        5,000          1        1        0        0          1       0        0
Cardinal Glennon Children's
  Hospital                      Equity     CARD           20,000          4        4        0        0          4       0        0
Catholic Relief Svcs USCC       Equity     CATREL         20,000          4        4        0        0          4       0        0
The Catholic Church Extension
  Society                       Equity     CCES            5,000          4        4        0        0          4       0        0
Claretian Fathers               Equity     CLAR            2,000          1        1        0        0          1       0        0
Columban Fathers                Equity     COLUM           2,000          2        2        0        0          2       0        0
Columban Fathers #2             Equity     COLUM2          1,000          1        1        0        0          1       0        0
Crosier Community               Equity     CROS            6,000          3        3        0        0          3       0        0
Deafness Research Foundation    Equity     DEAF            5,000          1        1        0        0          1       0        0
Deborah Hospital Foundation     Equity     DEBORAH        10,000          2        2        0        0          2       0        0
Divine Word Missionary #2       Equity     DWM2            5,000          5        5        0        0          5       0        0
Divine Word Missionary #3       Equity     DWM3            8,000          8        8        0        0          8       0        0
Divine Word Missionary #4       Equity     DWM4            9,000          7        7        0        0          7       0        0
Divine Word Missionary #5       Equity     DWM5            6,000          6        6        0        0          6       0        0
Divine Word Missionary #6       Equity     DWM6            8,000          8        8        0        0          8       0        0
Divine Word Missionary #7       Equity     DWM7            7,000          7        7        0        0          7       0        0
Divine Word Missionaries        Equity     DWMISS          2,000          1        1        0        0          1       0        0
US Series EE 05/84
  05/01/14                                 EE0584            418        200      200        0        0        200       0        0
US Series EE 06/89
  06/01/19                                 EE0689          1,541      1,000    1,000        0        0      1,000       0        0
The Seeing Eye, Inc             Equity     EYE            15,000          4        4        0        0          4       0        0
The Seeing Eye #2               Equity     EYE2            5,000          1        1        0        0          1       0        0
The Seeing Eye #3               Equity     EYE3            5,000          1        1        0        0          1       0        0
Fractional Marriott
  International                 Equity     FHB903208           0     68,200   68,200        0        0     68,200       0        0
Friars Of The Atonement         Equity     FRIAR           2,000          2        2        0        0          2       0        0
The Franciscans St Anthonys Gld Equity     FSAG           10,000          2        2        0        0          2       0        0
Ingersoll-Rand PLC              Equity     G47791101      14,930        490      490        0        0        490       0        0
Glenmary Home Missioners        Equity     GLEN            5,000          2        2        0        0          2       0        0
The Gospel Assoc - Blind        Equity     GOSPEL          4,000          3        3        0        0          3       0        0
Guiding Eyes For The Blind      Equity     GUID            5,000          1        1        0        0          1       0        0
Ace Ltd                         Equity     H0023R105      14,024        200      200        0        0        200       0        0
Noble Corp                      Equity     H5833N103     828,028     27,400   20,000    7,400        0     26,200       0    1,200
Transocean Switz Inc            Equity     H8817H100       2,649         69       69        0        0         69       0        0
US Series HH 01/03
  1.500% 01/01/23                          HH0103          2,500      2,500    2,500        0        0      2,500       0        0
US Series HH 05/99
  1.500% 05/01/19                          HH0519         65,000     65,000   65,000        0        0     65,000       0        0
The Humane Society of
  The United States             Equity     HSUS            5,000          1        1        0        0          1       0        0
Jesuits of the Missouri
  Province                      Equity     JESUITS         4,000          4        4        0        0          4       0        0
Legionaries Of Christ           Equity     LEGION         10,000          2        2        0        0          2       0        0
Lighthouse International        Equity     LIGHT           5,000          1        1        0        0          1       0        0
Maryknoll Annuity Contract      Equity     MAC             3,000          3        3        0        0          3       0        0
Missionary Assoc Of Mary
  Immaculate                    Equity     MISS            5,000          1        1        0        0          1       0        0
Marianist Mission               Equity     MMAC            4,000          4        4        0        0          4       0        0
Missionary Oblates Of Mary
  Immaculate                    Equity     MOMI            1,500          1        1        0        0          1       0        0
Norbertine Fathers              Equity     NORB            5,000          1        1        0        0          1       0        0
National Wildlife Federation    Equity     NWF             5,000          1        1        0        0          1       0        0
Global Environmental Energy
  Corp                          Equity     P47725109           2        150      150        0        0        150       0        0
Prevent Blindness America       Equity     PBAM           10,000          2        2        0        0          2       0        0
Palm Beach Tan Inc                         PBTI                0      5,000    5,000        0        0      5,000       0        0
The Roman Catholic Diocese of
  Syracuse                      Equity     RCD             2,500          1        1        0        0          1       0        0
Salesian Missionaries           Equity     SALE            2,000          2        2        0        0          2       0        0
Sacred Heart League             Equity     SHL             4,000          3        3        0        0          3       0        0
Sacred Heart Monastery          Equity     SHM             3,000          3        3        0        0          3       0        0
St Lawrence Seminary            Equity     SLSAC           2,000          2        2        0        0          2       0        0
Society For The Propagation Of
  The Faith                     Equity     SPFAA           4,000          3        3        0        0          3       0        0
St Joseph's Indian School       Equity     STJO            4,000          3        3        0        0          3       0        0
St Judes Children's Research
  Hospital                      Equity     STJUDE         15,000          3        3        0        0          3       0        0
St Labre Indian School          Equity     STLABRE         8,500          3        3        0        0          3       0        0
University of St Thomas         Equity     USTHOMAS       20,000          4        4        0        0          4       0        0
World Wildlife Fund             Equity     WORLD           5,000          1        1        0        0          1       0        0
Philex Mining Corporation       Equity     Y68991135         706      1,502        0    1,502        0      1,502       0        0
                                            171,612,595  * * *   End Of Asset   389 Assets Reported Of  9,721 Assets On File
                                                        Report * * *
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