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

                                    FORM 13F
                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 12/31/2008

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

Institutional Investment Manager Filing this Report:

Name:    M&T BANK CORPORATION
Address: One M&T Plaza
         Buffalo, NY 14240

Form 13-F File Number: 028-00267

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

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:


/s/ Mark Czarnecki, President             Buffalo, New York           1/20/2009
-----------------------------             -----------------           ---------
          [Signature]                       [City, State]               [Date]

Report Type (Check only one.):

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

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

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




                             FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                4
                                         ----------
Form 13-F Information Table Entry Total:      3,253
                                         ----------
Form 13-F Information Table Value Total:  2,369,248
                                         ----------
                                         (thousands)

List of Other Included Managers:

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

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



       No.   Form 13F File Number   Name
       ---   --------------------   -------------------------------------
                              
       1           028-39800        Manufacturers & Traders Trust Company
       2           028-10910        Zirkin-Cutler Investments, Inc.
       3           028-10909        MTB Investment Advisors, Inc.
       4           028-11878        M&T Trust Company of Delaware, Inc.





              SEC USE ____________________________________________



                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
ABB LTD SPON
ADR                 COMMON STOCK    000375204          9       579 Shares                 X               1       579     0       0
ACCO BRANDS
CORP                COMMON STOCK    00081T108          1       404 Shares                 X               1       404     0       0
AFLAC INC           COMMON STOCK    001055102       3125     68169 Shares                 X               1     68169     0       0
AFLAC INC           COMMON STOCK    001055102        591     12885 Shares                        X        1     12485     0     400
AFLAC INC           COMMON STOCK    001055102       3798     82850 Shares                 X               2         0     0   82850
AFLAC INC           COMMON STOCK    001055102       1358     29635 Shares           X                     2     29635     0       0
AFLAC INC           COMMON STOCK    001055102        178      3885 Shares                 X               3      3885     0       0
AGL RESOURCES
INC COM             COMMON STOCK    001204106        172      5500 Shares                 X               1      2500     0    3000
AGL RESOURCES
INC COM             COMMON STOCK    001204106         95      3032 Shares                        X        1      3032     0       0
AES CORP COM        COMMON STOCK    00130H105        828    100487 Shares                 X               1     99687     0     800
AES CORP COM        COMMON STOCK    00130H105         67      8147 Shares                        X        1      6647     0    1500
AES CORP COM        COMMON STOCK    00130H105       2972    360735 Shares                 X               2         0     0  360735
AES CORP COM        COMMON STOCK    00130H105       2412    292744 Shares           X                     2    292744     0       0
AES CORP COM        COMMON STOCK    00130H105        200     24365 Shares                 X               3     20778     0    3587
AK STEEL
HOLDING CORP
COM                 COMMON STOCK    001547108          1        66 Shares                 X               1        66     0       0
AK STEEL
HOLDING CORP
COM                 COMMON STOCK    001547108         10      1125 Shares                 X               3      1125     0       0
AT&T INC            COMMON STOCK    00206R102      19445    682277 Shares                 X               1    671007     0   11270
AT&T INC            COMMON STOCK    00206R102      11779    413288 Shares                        X        1    365478     0   47810
AT&T INC            COMMON STOCK    00206R102       6737    236391 Shares                 X               2         0     0  236391
AT&T INC            COMMON STOCK    00206R102       3566    125134 Shares           X                     2    125134     0       0
AT&T INC            COMMON STOCK    00206R102       4412    154776 Shares                 X               3    149324     0    5452
AT&T INC            COMMON STOCK    00206R102          8       265 Shares                 X               4       265     0       0
ABBOTT
LABORATORIES        COMMON STOCK    002824100      13496    252868 Shares                 X               1    249818     0    3050
ABBOTT
LABORATORIES        COMMON STOCK    002824100       5453    102172 Shares                        X        1     96167     0    6005
ABBOTT
LABORATORIES        COMMON STOCK    002824100        694     13000 Shares                 X               2         0     0   13000
ABBOTT
LABORATORIES        COMMON STOCK    002824100        737     13800 Shares           X                     2     13800     0       0
ABBOTT
LABORATORIES        COMMON STOCK    002824100       2778     52048 Shares                 X               3     47808     0    4240
ABERCROMBIE &
FITCH CO CL A       COMMON STOCK    002896207        608     26374 Shares                 X               1     25374     0    1000
ABERCROMBIE &
FITCH CO CL A       COMMON STOCK    002896207          9       375 Shares                        X        1       375     0       0
ABERCROMBIE &
FITCH CO CL A       COMMON STOCK    002896207        353     15279 Shares                 X               3     15193     0      86
ABERDEEN ASIA
PACIFIC INC FD      PREFERRED STOCK 003009107          8      1865 Shares                 X               1         0     0       0
ABERDEEN
AUSTRALIA
EQUITY FUND         PREFERRED STOCK 003011103          7      1000 Shares                        X        1         0     0       0
ABIGAIL ADAMS
NATIONAL
BANCORP             COMMON STOCK    003390101          0       137 Shares                 X               2         0     0     137
ACTIVISION
BLIZZARD INC        COMMON STOCK    00507V109        241     27905 Shares                 X               1     25905     0    2000
ACTIVISION
BLIZZARD INC        COMMON STOCK    00507V109         32      3750 Shares                        X        1      3750     0       0
ACTIVISION
BLIZZARD INC        COMMON STOCK    00507V109        513     59320 Shares                 X               3      6120     0       0
ACTUANT CORP
CL A NEW            COMMON STOCK    00508X203        114      6000 Shares                 X               2         0     0    6000
ACXIOM CORP         COMMON STOCK    005125109          8      1000 Shares                 X               1      1000     0       0
ADOBE SYS INC
COM                 COMMON STOCK    00724F101         97      4560 Shares                 X               1      4560     0       0
ADOBE SYS INC
COM                 COMMON STOCK    00724F101         31      1450 Shares                        X        1      1450     0       0
ADOBE SYS INC
COM                 COMMON STOCK    00724F101        168      7900 Shares                 X               2         0     0    7900
ADOBE SYS INC
COM                 COMMON STOCK    00724F101        681     31990 Shares           X                     2     31990     0       0
ADOBE SYS INC
COM                 COMMON STOCK    00724F101         98      4600 Shares                 X               3      4600     0       0
ADTRAN INC COM      COMMON STOCK    00738A106         61      4075 Shares                 X               1      4075     0       0
ADTRAN INC COM      COMMON STOCK    00738A106        170     11400 Shares                 X               3      1200     0       0
ADVANCE AUTO
PARTS               COMMON STOCK    00751Y106         12       365 Shares                 X               1       365     0       0
ADVANCE AUTO
PARTS               COMMON STOCK    00751Y106         25       750 Shares                        X        1       750     0       0
ADVANTAGE
ENERGY INCOME
FUND                COMMON STOCK    00762L101         36      8435 Shares                 X               1      8435     0       0
ADVANCED
MEDICAL OPTICS
INC                 COMMON STOCK    00763M108          7      1000 Shares                 X               1      1000     0       0
ADVANCED
MEDICAL OPTICS
INC                 COMMON STOCK    00763M108          1       118 Shares                        X        1       118     0       0
AECOM
TECHNOLOGY
CORP                COMMON STOCK    00766T100         31      1000 Shares                 X               1      1000     0       0
AECOM
TECHNOLOGY
CORP                COMMON STOCK    00766T100        698     22700 Shares                 X               2         0     0   22700
AECOM
TECHNOLOGY
CORP                COMMON STOCK    00766T100        286      9300 Shares           X                     2      9300     0       0
AECOM
TECHNOLOGY
CORP                COMMON STOCK    00766T100        767     24950 Shares                 X               3     24950     0       0
ADVANCED MICRO
DEVICES INC
COM                 COMMON STOCK    007903107          0        80 Shares                 X               1        80     0       0
ADVANCED MICRO
DEVICES INC
COM                 COMMON STOCK    007903107          0       125 Shares                        X        1       125     0       0
ADVANCED MICRO
DEVICES INC
COM                 COMMON STOCK    007903107         12      5580 Shares                 X               3      5580     0       0
AEGON NV ORD
AMER REG SHS        COMMON STOCK    007924103         55      9156 Shares                 X               1      9156     0       0
AES TRUST III
PFD CONV
6.75% 1             PREFERRED STOCK 00808N202         15       400 Shares                 X               1         0     0       0
AES TRUST III
PFD CONV
6.75% 1             PREFERRED STOCK 00808N202       2242     59300 Shares                 X               2         0     0       0
AES TRUST III
PFD CONV
6.75% 1             PREFERRED STOCK 00808N202       1402     37100 Shares           X                     2     37100     0       0
AETNA INC NEW
COM                 COMMON STOCK    00817Y108        427     14995 Shares                 X               1     14995     0       0


                                       3 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
AETNA INC NEW
COM                 COMMON STOCK    00817Y108         28       980 Shares                 X               2         0     0     980
AETNA INC NEW
COM                 COMMON STOCK    00817Y108        116      4080 Shares                 X               3      4080     0       0
AFFILIATED
COMPUTER SVCS
INC C               COMMON STOCK    008190100         16       350 Shares                 X               1       350     0       0
AFFILIATED
COMPUTER SVCS
INC C               COMMON STOCK    008190100         41       900 Shares                 X               3       900     0       0
AFFILIATED
MANAGERS GROUP      COMMON STOCK    008252108         21       500 Shares                 X               1       500     0       0
AGFEED
INDUSTRIES INC      COMMON STOCK    00846L101          1       415 Shares                 X               1       415     0       0
AGILENT
TECHNOLOGIES
INC COM             COMMON STOCK    00846U101          3       190 Shares                 X               1       190     0       0
AGILENT
TECHNOLOGIES
INC COM             COMMON STOCK    00846U101         15       991 Shares                        X        1       381     0     610
AGILENT
TECHNOLOGIES
INC COM             COMMON STOCK    00846U101         36      2288 Shares                 X               2         0     0    2288
AGILENT
TECHNOLOGIES
INC COM             COMMON STOCK    00846U101         50      3230 Shares                 X               3      3230     0       0
AGNICO EAGLE
MINES LTD           COMMON STOCK    008474108          5       100 Shares                 X               1       100     0       0
AGRIUM INC          COMMON STOCK    008916108         15       450 Shares                 X               1       450     0       0
AIR PRODUCTS &
CHEMICALS INC       COMMON STOCK    009158106        630     12540 Shares                 X               1     12540     0       0
AIR PRODUCTS &
CHEMICALS INC       COMMON STOCK    009158106        685     13625 Shares                        X        1     13625     0       0
AIR PRODUCTS &
CHEMICALS INC       COMMON STOCK    009158106        145      2900 Shares                 X               3      2900     0       0
AKAMAI
TECHNOLOGIES
INC COM             COMMON STOCK    00971T101         50      3300 Shares                 X               1      3300     0       0
AKAMAI
TECHNOLOGIES
INC COM             COMMON STOCK    00971T101       1136     75300 Shares                 X               3     75300     0       0
ALASKA
COMMUNICATIONS
SYSTEMS             COMMON STOCK    01167P101          7       750 Shares                 X               1       750     0       0
ALBEMARLE CORP
COM                 COMMON STOCK    012653101        100      4500 Shares                 X               1      4500     0       0
ALBEMARLE CORP
COM                 COMMON STOCK    012653101        491     22000 Shares                        X        1     22000     0       0
ALBERTO-CULVER
COMPANY             COMMON STOCK    013078100          2       100 Shares                 X               1       100     0       0
ALCOA INC COM       COMMON STOCK    013817101       1008     89480 Shares                 X               1     89180     0     300
ALCOA INC COM       COMMON STOCK    013817101        434     38580 Shares                        X        1     35120     0    3460
ALCOA INC COM       COMMON STOCK    013817101        149     13200 Shares                 X               3     13200     0       0
ALCOA INC COM       COMMON STOCK    013817101          2       200 Shares                 X               4       200     0       0
ALCATEL-LUCENT
- SPON ADR          COMMON STOCK    013904305          5      2376 Shares                 X               1      2376     0       0
ALCATEL-LUCENT
- SPON ADR          COMMON STOCK    013904305          2       885 Shares                        X        1       853     0      32
ALDILA
INCORPORATED
NEW                 COMMON STOCK    014384200          0        66 Shares                 X               1        66     0       0
ALEXANDRIA
REAL ESTATE
EQUITIE             COMMON STOCK    015271109          4        74 Shares                 X               1         0     0       0
ALEXION
PHARMACEUTICALS
INC CO              COMMON STOCK    015351109         79      2176 Shares                 X               1      2176     0       0
ALEXION
PHARMACEUTICALS
INC CO              COMMON STOCK    015351109         11       300 Shares                        X        1         0     0     300
ALEXION
PHARMACEUTICALS
INC CO              COMMON STOCK    015351109       1641     45350 Shares                 X               3     45350     0       0
ALIGN
TECHNOLOGY
INCORPORATED        COMMON STOCK    016255101        105     12000 Shares                 X               2         0     0   12000
ALLEGHENY
ENERGY INC          COMMON STOCK    017361106         68      2000 Shares                 X               1      2000     0       0
ALLEGHENY
ENERGY INC          COMMON STOCK    017361106         71      2098 Shares                        X        1      1798     0     300
ALLEGHENY
ENERGY INC          COMMON STOCK    017361106         52      1550 Shares                 X               3      1550     0       0
ALLEGHENY
TECHNOLOGIES
INC COM             COMMON STOCK    01741R102         25       962 Shares                        X        1       962     0       0
ALLEGHENY
TECHNOLOGIES
INC COM             COMMON STOCK    01741R102         10       400 Shares                 X               2         0     0     400
ALLEGHENY
TECHNOLOGIES
INC COM             COMMON STOCK    01741R102         24       925 Shares                 X               3       925     0       0
ALLERGAN INC        COMMON STOCK    018490102        157      3885 Shares                 X               1      3885     0       0
ALLERGAN INC        COMMON STOCK    018490102         59      1464 Shares                        X        1      1464     0       0
ALLERGAN INC        COMMON STOCK    018490102        372      9225 Shares                 X               3      3225     0       0
ALLETE INC          COMMON STOCK    018522300         42      1300 Shares                        X        1      1300     0       0
ALLIANCE DATA
SYS CORP            COMMON STOCK    018581108          9       190 Shares                 X               1       190     0       0
ALLIANCE
HOLDINGS GP LP      COMMON STOCK    01861G100         24      1600 Shares                 X               2         0     0    1600
ALLIANCEBERNSTEIN
NATL MUNI IN        PREFERRED STOCK 01864U106          9      1000 Shares                        X        1         0     0       0
ALLIANT
TECHSYSTEMS INC     COMMON STOCK    018804104          6        75 Shares                 X               1        75     0       0
ALLIANT
TECHSYSTEMS INC     COMMON STOCK    018804104         35       405 Shares                        X        1       405     0       0
ALLIANCEBERNSTEIN
INCOME FUND         PREFERRED STOCK 01881E101         13      1892 Shares                        X        1         0     0       0
ALLIANCEBERNSTEIN
HOLDING LP          COMMON STOCK    01881G106         16       750 Shares                 X               1       750     0       0
ALLIANCEBERNSTEIN
HOLDING LP          COMMON STOCK    01881G106         37      1800 Shares                        X        1      1800     0       0
ALLIANCEBERNSTEIN
HOLDING LP          COMMON STOCK    01881G106        244     11750 Shares                 X               2         0     0   11750
ALLIED CAPITAL
CORP NEW COM        COMMON STOCK    01903Q108          3       972 Shares                 X               1       972     0       0
ALLIED CAPITAL
CORP NEW COM        COMMON STOCK    01903Q108         58     21612 Shares                        X        1     21612     0       0
ALLIED CAPITAL
CORP NEW COM        COMMON STOCK    01903Q108          2       850 Shares                 X               2         0     0     850
ALLIED CAPITAL
CORP NEW COM        COMMON STOCK    01903Q108         46     16986 Shares           X                     2     16986     0       0
ALLIED CAPITAL
CORP NEW COM        COMMON STOCK    01903Q108          2       700 Shares                 X               3       700     0       0
ALLIED IRISH BKS
PLC-SPON ADR        COMMON STOCK    019228402       4592    979170 Shares                 X               1    736347  7143  235680
ALLIED IRISH BKS
PLC-SPON ADR        COMMON STOCK    019228402       1643    350303 Shares                        X        1    292653     0   57650
ALLSCRIPTS-MISYS
HEALTHCARE          COMMON STOCK    01988P108       1699    171277 Shares                 X               1    171277     0       0
ALLSCRIPTS-MISYS
HEALTHCARE          COMMON STOCK    01988P108         49      4950 Shares                        X        1      4950     0       0
ALLSCRIPTS-MISYS
HEALTHCARE          COMMON STOCK    01988P108       1555    156731 Shares                 X               3    129714     0    3517
ALLSTATE CORP       COMMON STOCK    020002101        906     27664 Shares                 X               1     27664     0       0
ALLSTATE CORP       COMMON STOCK    020002101        468     14271 Shares                        X        1     13321     0     950
ALLSTATE CORP       COMMON STOCK    020002101       1089     33250 Shares                 X               2         0     0   33250
ALLSTATE CORP       COMMON STOCK    020002101        487     14852 Shares           X                     2     14852     0       0
ALLSTATE CORP       COMMON STOCK    020002101        181      5538 Shares                 X               3      5538     0       0


                                       4 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
ALLSTATE CORP       COMMON STOCK    020002101          3       100 Shares                 X               4       100     0       0
ALNYLAM
PHARMACEUTICALS
INC                 COMMON STOCK    02043Q107         87      3500 Shares                 X               2         0     0    3500
ALPINE TOTAL
DYNAMIC DVD FD      PREFERRED STOCK 021060108          4       590 Shares                        X        1         0     0       0
ALTERA CORP COM     COMMON STOCK    021441100         45      2700 Shares                 X               1      2700     0       0
ALTERA CORP COM     COMMON STOCK    021441100        203     12105 Shares                 X               3      3605     0       0
ALTRIA GROUP INC    COMMON STOCK    02209S103       4130    274253 Shares                 X               1    271653     0    2600
ALTRIA GROUP INC    COMMON STOCK    02209S103       2234    148327 Shares                        X        1    141602     0    6725
ALTRIA GROUP INC    COMMON STOCK    02209S103        253     16800 Shares                 X               2         0     0   16800
ALTRIA GROUP INC    COMMON STOCK    02209S103        158     10470 Shares           X                     2     10470     0       0
ALTRIA GROUP INC    COMMON STOCK    02209S103        477     31725 Shares                 X               3     31725     0       0
AMAZON.COM INC      COMMON STOCK    023135106        480      9358 Shares                 X               1      9358     0       0
AMAZON.COM INC      COMMON STOCK    023135106          3        50 Shares                        X        1         0     0      50
AMAZON.COM INC      COMMON STOCK    023135106        795     15501 Shares                 X               3     14801     0       0
AMBAC FINANCIAL
GROUP INC           COMMON STOCK    023139108          0       200 Shares                 X               1       200     0       0
AMBAC FINANCIAL
GROUP INC           COMMON STOCK    023139108          1      1102 Shares                        X        1      1102     0       0
AMBAC FINANCIAL
GROUP INC           COMMON STOCK    023139108          1       600 Shares                 X               2         0     0     600
AMEDISYS INC        COMMON STOCK    023436108         43      1032 Shares                 X               1      1032     0       0
AMEDISYS INC        COMMON STOCK    023436108        889     21500 Shares                 X               3     21500     0       0
AMERCO              COMMON STOCK    023586100          2        67 Shares                 X               1        67     0       0
AMEREN CORP         COMMON STOCK    023608102        160      4805 Shares                 X               1      4805     0       0
AMEREN CORP         COMMON STOCK    023608102         17       500 Shares                        X        1       500     0       0
AMEREN CORP         COMMON STOCK    023608102         63      1900 Shares                 X               3      1900     0       0
AMERICA MOVIL SA
- SPONS ADR S       COMMON STOCK    02364W105         35      1120 Shares                 X               1      1120     0       0
AMERICA MOVIL SA
- SPONS ADR S       COMMON STOCK    02364W105         93      3000 Shares                        X        1         0     0    3000
AMERICAN CAPITAL
LTD                 COMMON STOCK    02503Y103         10      3150 Shares                 X               1      3150     0       0
AMERICAN CAPITAL
LTD                 COMMON STOCK    02503Y103         19      5869 Shares                        X        1      5869     0       0
AMERICAN CAPITAL
LTD                 COMMON STOCK    02503Y103        644    198630 Shares                 X               2         0     0  198630
AMERICAN CAPITAL
LTD                 COMMON STOCK    02503Y103         52     16200 Shares           X                     2     16200     0       0
AMERICAN CAPITAL
LTD                 COMMON STOCK    02503Y103          6      1800 Shares                 X               3      1800     0       0
AMERICAN ELECTRIC
POWER CO INC        COMMON STOCK    025537101        118      3533 Shares                 X               1      3533     0       0
AMERICAN ELECTRIC
POWER CO INC        COMMON STOCK    025537101        164      4914 Shares                        X        1      2084     0    2830
AMERICAN ELECTRIC
POWER CO INC        COMMON STOCK    025537101        117      3530 Shares                 X               3      3530     0       0
AMERICAN EAGLE
OUTFT               COMMON          02553E106         66      7000 Shares                 X               3      7000     0       0
AMERICAN ELECTRIC
TECHNOLOGIES        COMMON STOCK    025576109          0       100 Shares                 X               1       100     0       0
AMERICAN ELECTRIC
TECHNOLOGIES        COMMON STOCK    025576109          0       160 Shares                 X               2         0     0     160
AM EX CO            COMMON STOCK    025816109        462     24907 Shares                 X               1     24307     0     600
AM EX CO            COMMON STOCK    025816109        275     14817 Shares                        X        1     12339     0    2478
AM EX CO            COMMON STOCK    025816109        722     38940 Shares                 X               2         0     0   38940
AM EX CO            COMMON STOCK    025816109        182      9805 Shares                 X               3      9805     0       0
AM EX CO            COMMON STOCK    025816109          4       200 Shares                 X               4       200     0       0
AMERICAN
FINANCIAL GROUP
INC                 COMMON STOCK    025932104         14       600 Shares                        X        1         0     0     600
AMERICAN
INTERNATIONAL
GROUP I             COMMON STOCK    026874107         50     31949 Shares                 X               1     31949     0       0
AMERICAN
INTERNATIONAL
GROUP I             COMMON STOCK    026874107         44     28064 Shares                        X        1     23219     0    4845
AMERICAN
INTERNATIONAL
GROUP I             COMMON STOCK    026874107        147     93680 Shares                 X               2         0     0   93680
AMERICAN
INTERNATIONAL
GROUP I             COMMON STOCK    026874107         87     55389 Shares           X                     2     55389     0       0
AMERICAN
INTERNATIONAL
GROUP I             COMMON STOCK    026874107         38     24640 Shares                 X               3     24640     0       0
AMERICAN INTL
GROUP PFD CV 8.5    PREFERRED STOCK 026874115          4       500 Shares                 X               1         0     0       0
AMERICAN INTL
GROUP PFD CV 8.5    PREFERRED STOCK 026874115        301     35450 Shares                 X               2         0     0       0
AMERICAN INTL
GROUP PFD CV 8.5    PREFERRED STOCK 026874115         98     11550 Shares           X                     2     11550     0       0
AMERICAN SELECT
PORTFOLIO           PREFERRED STOCK 029570108         10      1100 Shares                 X               1         0     0       0
AMERICAN TOWER
CORP CL A           COMMON STOCK    029912201          4       150 Shares                 X               1       150     0       0
AMERICAN TOWER
CORP CL A           COMMON STOCK    029912201        100      3400 Shares                 X               3      3400     0       0
AMERICAN
STRATEGIC INCOME
II                  PREFERRED STOCK 030099105         13      1500 Shares                 X               1         0     0       0
AMERICAN
STRATEGIC INCOME
III                 PREFERRED STOCK 03009T101         12      1400 Shares                 X               1         0     0       0
AMERICAN
SUPERCONDUCTOR
CORP                COMMON STOCK    030111108         38      2300 Shares                 X               1      2300     0       0
AMERICAN
SUPERCONDUCTOR
CORP                COMMON STOCK    030111108        831     50950 Shares                 X               3     50950     0       0
AMERISOURCE
BERGEN CORP COM     COMMON STOCK    03073E105         14       400 Shares                 X               1       400     0       0
AMERISOURCE
BERGEN CORP COM     COMMON STOCK    03073E105         50      1400 Shares                 X               3      1400     0       0
AMERIPRISE
FINANCIAL INC       COMMON STOCK    03076C106         60      2561 Shares                 X               1      2441     0     120
AMERIPRISE
FINANCIAL INC       COMMON STOCK    03076C106         37      1569 Shares                        X        1      1179     0     390
AMERIPRISE
FINANCIAL INC       COMMON STOCK    03076C106         42      1790 Shares                 X               2         0     0    1790
AMERIPRISE
FINANCIAL INC       COMMON STOCK    03076C106         43      1830 Shares                 X               3      1830     0       0
AMERIS BANCORP      COMMON STOCK    03076K108          1       123 Shares                 X               1       123     0       0
AMERIGAS PARTNERS
LP                  COMMON STOCK    030975106          5       170 Shares                 X               1       170     0       0
AMERIGAS PARTNERS
LP                  COMMON STOCK    030975106         37      1300 Shares                        X        1      1300     0       0
AMETEK AEROSPACE
PRODS INC COM       COMMON STOCK    031100100         34      1138 Shares                 X               1      1138     0       0
AMGEN INC COM       COMMON STOCK    031162100       9130    158094 Shares                 X               1    157294     0     800


                                       5 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
AMGEN INC COM       COMMON STOCK    031162100       2236     38719 Shares                        X        1     33469     0    5250
AMGEN INC COM       COMMON STOCK    031162100        837     14494 Shares                 X               2         0     0   14494
AMGEN INC COM       COMMON STOCK    031162100        219      3800 Shares           X                     2      3800     0       0
AMGEN INC COM       COMMON STOCK    031162100       1637     28354 Shares                 X               3     26633     0     971
AMGEN INC COM       COMMON STOCK    031162100         12       200 Shares                 X               4       200     0       0
AMPHENOL
CORPORATION         CLASS A         032095101         35      1445 Shares                 X               3      1445     0       0
AMSURG CORP         COMMON STOCK    03232P405         19       800 Shares                 X               1       800     0       0
ANADARKO
PETROLEUM CORP      COMMON STOCK    032511107       1059     27462 Shares                 X               1     27462     0       0
ANADARKO
PETROLEUM CORP      COMMON STOCK    032511107        309      8016 Shares                        X        1      8016     0       0
ANADARKO
PETROLEUM CORP      COMMON STOCK    032511107        118      3054 Shares                 X               2         0     0    3054
ANADARKO
PETROLEUM CORP      COMMON STOCK    032511107        154      3985 Shares                 X               3      3985     0       0
ANALOG DEVICES
INC                 COMMON STOCK    032654105        111      5846 Shares                 X               1      5846     0       0
ANALOG DEVICES
INC                 COMMON STOCK    032654105         22      1150 Shares                        X        1       550     0     600
ANALOG DEVICES
INC                 COMMON STOCK    032654105        399     21000 Shares                 X               2         0     0   21000
ANALOG DEVICES
INC                 COMMON STOCK    032654105        461     24267 Shares                 X               3     23267     0       0
ANCHOR BANCORP
WISCONSIN INC       COMMON STOCK    032839102          1       250 Shares                 X               1       250     0       0
ANCHOR BANCORP
WISCONSIN INC       COMMON STOCK    032839102          0        35 Shares                 X               3        35     0       0
ANGIODYNAMICS INC   COMMON STOCK    03475V101         23      1700 Shares                 X               1      1700     0       0
ANGIODYNAMICS INC   COMMON STOCK    03475V101        530     38700 Shares                 X               3     38700     0       0
ANGLO AMERICAN
PLC-UNSP ADR        COMMON STOCK    03485P201          2       150 Shares                 X               1       150     0       0
ANGLO AMERICAN
PLC-UNSP ADR        COMMON STOCK    03485P201         13      1125 Shares                        X        1      1125     0       0
ANGLOGOLD ASHANTI
SPON ADR            COMMON STOCK    035128206          3       110 Shares                 X               1       110     0       0
ANNALY CAPITAL
MANAGEMENT INC      COMMON STOCK    035710409         30      1880 Shares                 X               1         0     0       0
ANNALY CAPITAL
MANAGEMENT INC      COMMON STOCK    035710409          8       500 Shares                        X        1         0     0       0
ANNALY CAPITAL
MANAGEMENT INC      COMMON STOCK    035710409       4690    295500 Shares                 X               2         0     0       0
ANNALY CAPITAL
MANAGEMENT INC      COMMON STOCK    035710409       1782    112300 Shares           X                     2    112300     0       0
ANNALY CAPITAL
MANAGEMENT INC      COMMON STOCK    035710409         79      5000 Shares                 X               3      5000     0       0
ANNAPOLIS BANCORP
INCORPORATED        COMMON STOCK    035848100          4      1333 Shares                        X        1      1333     0       0
ANSYS INC           COMMON STOCK    03662Q105        712     25512 Shares                 X               1     25512     0       0
ANSYS INC           COMMON STOCK    03662Q105        153      5500 Shares                 X               2         0     0    5500
ANSYS INC           COMMON STOCK    03662Q105       1109     39760 Shares                 X               3     17860     0       0
ANTHRACITE
CAPITAL INC COM     COMMON STOCK    037023108          6      2869 Shares                 X               1         0     0       0
AON CORP COM        COMMON STOCK    037389103        297      6510 Shares                 X               1      6510     0       0
AON CORP COM        COMMON STOCK    037389103        105      2300 Shares                 X               3      2300     0       0
APACHE CORP COM     COMMON STOCK    037411105       2034     27291 Shares                 X               1     27291     0       0
APACHE CORP COM     COMMON STOCK    037411105       1595     21396 Shares                        X        1     21186     0     210
APACHE CORP COM     COMMON STOCK    037411105        313      4200 Shares                 X               2         0     0    4200
APACHE CORP COM     COMMON STOCK    037411105        209      2805 Shares                 X               3      2805     0       0
APARTMENT INVT &
MGMT CL A           COMMON STOCK    03748R101          0        15 Shares                 X               1         0     0       0
APARTMENT INVT &
MGMT CL A           COMMON STOCK    03748R101          3       256 Shares                        X        1         0     0       0
APARTMENT INVT &
MGMT CL A           COMMON STOCK    03748R101         44      3779 Shares                 X               2         0     0       0
APARTMENT INVT &
MGMT CL A           COMMON STOCK    03748R101         12      1007 Shares                 X               3      1007     0       0
APOLLO GROUP INC
CL A                COMMON STOCK    037604105          8       100 Shares                        X        1       100     0       0
APOLLO GROUP INC
CL A                COMMON STOCK    037604105         69       900 Shares                 X               3       900     0       0
APOLLO INVESTMENT
CORPORATION         PREFERRED STOCK 03761U106         14      1500 Shares                 X               1         0     0       0
APOLLO INVESTMENT
CORPORATION         PREFERRED STOCK 03761U106          7       800 Shares                        X        1         0     0       0
APOLLO INVESTMENT
CORPORATION         PREFERRED STOCK 03761U106         54      5785 Shares                 X               2         0     0       0
APPLE INC           COMMON STOCK    037833100       7586     88877 Shares                 X               1     87512     0    1365
APPLE INC           COMMON STOCK    037833100        798      9355 Shares                        X        1      7775     0    1580
APPLE INC           COMMON STOCK    037833100       8352     97860 Shares                 X               2         0     0   97860
APPLE INC           COMMON STOCK    037833100       5278     61845 Shares           X                     2     61845     0       0
APPLE INC           COMMON STOCK    037833100       3293     38591 Shares                 X               3     37119     0     822
APPLIED MATERIALS
INC COM             COMMON STOCK    038222105        224     22132 Shares                 X               1     21132     0    1000
APPLIED MATERIALS
INC COM             COMMON STOCK    038222105         32      3150 Shares                        X        1      2300     0     850
APPLIED MATERIALS
INC COM             COMMON STOCK    038222105        101     10000 Shares                 X               2         0     0   10000
APPLIED MATERIALS
INC COM             COMMON STOCK    038222105        380     37475 Shares           X                     2     37475     0       0
APPLIED MATERIALS
INC COM             COMMON STOCK    038222105        434     42842 Shares                 X               3     41142     0       0
AQUA AMERICA INC    COMMON STOCK    03836W103         77      3719 Shares                 X               1      3719     0       0
ARCH COAL INC       COMMON STOCK    039380100          3       200 Shares                 X               1       200     0       0
ARCH COAL INC       COMMON STOCK    039380100          5       300 Shares                 X               2         0     0     300
ARCELORMITTAL-NY
REGISTERED          COMMON STOCK    03938L104          7       300 Shares                 X               1       300     0       0
ARCHER DANIELS
MIDLAND CO COM      COMMON STOCK    039483102        236      8181 Shares                 X               1      8181     0       0
ARCHER DANIELS
MIDLAND CO COM      COMMON STOCK    039483102        397     13785 Shares                        X        1      8285     0    5500
ARCHER DANIELS
MIDLAND CO COM      COMMON STOCK    039483102        191      6620 Shares                 X               3      6620     0       0
ARENA RESOURCES
INC                 COMMON STOCK    040049108         37      1300 Shares                 X               1      1300     0       0
ARENA RESOURCES
INC                 COMMON STOCK    040049108        830     29550 Shares                 X               3     29550     0       0
ARRIS GROUP         COMMON STOCK    04269Q100         60      7500 Shares                 X               1      7500     0       0


                                       6 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
ARRIS GROUP         COMMON STOCK    04269Q100        323     40570 Shares                        X        1     40570     0       0
ART TECHNOLOGY
GROUP               COMMON          04289L107        250    129481 Shares           X                          129481     0       0
ARTESIAN
RESOURCES
CORPORATION         COMMON STOCK    043113208         62      3891 Shares                 X               1      3891     0       0
ARVINMERITOR INC
COM                 COMMON STOCK    043353101          0       100 Shares                 X               1       100     0       0
ASCENT MEDIA
CORPORATION - A     COMMON STOCK    043632108          3       122 Shares                        X        1       122     0       0
ASHLAND INC         COMMON STOCK    044209104          9       850 Shares                 X               1       850     0       0
ASHLAND INC         COMMON STOCK    044209104          5       474 Shares                        X        1       474     0       0
ASHLAND INC         COMMON STOCK    044209104         33      3181 Shares                 X               3      3181     0       0
ASIAINFO HOLDINGS
INC                 COMMON STOCK    04518A104         23      1925 Shares                 X               1      1925     0       0
ASIAINFO HOLDINGS
INC                 COMMON STOCK    04518A104        506     42800 Shares                 X               3     42800     0       0
ASSURANT INC        COMMON          04621X108         27       900 Shares                 X               3       900     0       0
ASTEC INDUSTRIES
INC                 COMMON STOCK    046224101         60      1900 Shares                 X               1      1900     0       0
ASTEC INDUSTRIES
INC                 COMMON STOCK    046224101       1308     41750 Shares                 X               3     41750     0       0
ASTRAZENECA GROUP
PLC SPONSORE        COMMON STOCK    046353108         50      1228 Shares                 X               1      1228     0       0
ASTRAZENECA GROUP
PLC SPONSORE        COMMON STOCK    046353108         16       400 Shares                        X        1       400     0       0
ASTRONICS CORP      COMMON STOCK    046433108          1       125 Shares                 X               1       125     0       0
ATHENAHEALTH INC    COMMON STOCK    04685W103         68      1800 Shares                 X               1      1800     0       0
ATHENAHEALTH INC    COMMON STOCK    04685W103       1475     39225 Shares                 X               3     39225     0       0
ATHEROS
COMMUNICATIONS      COMMON STOCK    04743P108         39      2700 Shares                 X               1      2700     0       0
ATHEROS
COMMUNICATIONS      COMMON STOCK    04743P108        853     59600 Shares                 X               3     59600     0       0
ATLAS AIR
WORLDWIDE
HOLDINGS            COMMON STOCK    049164205          5       250 Shares                 X               1       250     0       0
ATLAS PIPELINE
PARTNERS LP         COMMON STOCK    049392103          0        60 Shares                        X        1        60     0       0
ATLAS PIPELINE
HOLDINGS LP         COMMON STOCK    04939R108          6      1600 Shares                 X               2         0     0    1600
ATMOS ENERGY CORP   COMMON STOCK    049560105         34      1450 Shares                 X               1      1450     0       0
AUTODESK COM        COMMON STOCK    052769106       1104     56160 Shares                 X               1     55560     0     600
AUTODESK COM        COMMON STOCK    052769106         25      1250 Shares                        X        1      1250     0       0
AUTODESK COM        COMMON STOCK    052769106        591     30102 Shares                 X               3     10691     0    1611
AUTOMATIC DATA
PROCESSING INC      COMMON STOCK    053015103       2529     64289 Shares                 X               1     59389     0    4900
AUTOMATIC DATA
PROCESSING INC      COMMON STOCK    053015103       1812     46066 Shares                        X        1     41206     0    4860
AUTOMATIC DATA
PROCESSING INC      COMMON STOCK    053015103        299      7600 Shares                 X               2         0     0    7600
AUTOMATIC DATA
PROCESSING INC      COMMON STOCK    053015103        710     18048 Shares           X                     2     18048     0       0
AUTOMATIC DATA
PROCESSING INC      COMMON STOCK    053015103        173      4410 Shares                 X               3      4410     0       0
AUTONATION INC      COMMON          05329W102         11      1120 Shares                 X               3      1120     0       0
AUTOZONE INC COM    COMMON STOCK    053332102          6        45 Shares                 X               1        45     0       0
AUTOZONE INC COM    COMMON STOCK    053332102         47       340 Shares                 X               3       340     0       0
AUXILIUM
PHARMACEUTICALS
INC                 COMMON STOCK    05334D107          3       100 Shares                 X               1       100     0       0
AVALONBAY
COMMUNITIES INC     COMMON STOCK    053484101         18       290 Shares                 X               1         0     0       0
AVALONBAY
COMMUNITIES INC     COMMON STOCK    053484101         24       400 Shares                 X               2         0     0       0
AVALONBAY
COMMUNITIES INC     COMMON STOCK    053484101         41       675 Shares                 X               3       675     0       0
AVERY DENNISON
CORP COM            COMMON STOCK    053611109          2        58 Shares                 X               1        58     0       0
AVERY DENNISON
CORP COM            COMMON STOCK    053611109         88      2700 Shares                 X               3      2700     0       0
AVIS BUDGET
GROUP INC           COMMON STOCK    053774105          3      4100 Shares                 X               1      4100     0       0
AVNET INC COM       COMMON STOCK    053807103          4       196 Shares                 X               1       196     0       0
AVNET INC COM       COMMON STOCK    053807103          9       475 Shares                        X        1       475     0       0
AVON PRODUCTS INC   COMMON STOCK    054303102        937     39004 Shares                 X               1     39004     0       0
AVON PRODUCTS INC   COMMON STOCK    054303102        235      9774 Shares                        X        1      8774     0    1000
AVON PRODUCTS INC   COMMON STOCK    054303102        827     34378 Shares                 X               3     32728     0       0
AXA SPONSORED ADR   COMMON STOCK    054536107          5       236 Shares                        X        1       236     0       0
AXCELIS
TECHNOLOGIES INC
COM                 COMMON STOCK    054540109          0       177 Shares                        X        1       177     0       0
BB&T CORP COM       COMMON STOCK    054937107        808     29429 Shares                 X               1     27501     0    1928
BB&T CORP COM       COMMON STOCK    054937107        754     27454 Shares                        X        1     25888     0    1566
BB&T CORP COM       COMMON STOCK    054937107       1252     45606 Shares                 X               2         0     0   45606
BB&T CORP COM       COMMON STOCK    054937107       1190     43340 Shares           X                     2     43340     0       0
BB&T CORP COM       COMMON STOCK    054937107        241      8787 Shares                 X               3      8787     0       0
B & G FOODS INC -
EIS                 COMMON STOCK    05508R205          8       750 Shares                 X               1       750     0       0
B & G FOODS INC -
EIS                 COMMON STOCK    05508R205         12      1145 Shares                        X        1      1145     0       0
BCE INC             COMMON STOCK    05534B760          3       137 Shares                 X               1       137     0       0
BJ SVCS CO COM      COMMON STOCK    055482103          3       215 Shares                 X               1       215     0       0
BJ SVCS CO COM      COMMON STOCK    055482103         32      2700 Shares                 X               3      2700     0       0
BOK FINANCIAL
CORPORATION         COMMON STOCK    05561Q201          0        11 Shares                 X               1        11     0       0
BP PLC SPONSORED
ADR                 COMMON STOCK    055622104      10540    225503 Shares                 X               1    225503     0       0
BP PLC SPONSORED
ADR                 COMMON STOCK    055622104       8559    183110 Shares                        X        1    169624     0   13486
BP PLC SPONSORED
ADR                 COMMON STOCK    055622104        758     16213 Shares                 X               2         0     0   16213
BP PLC SPONSORED
ADR                 COMMON STOCK    055622104        180      3844 Shares                 X               3      3844     0       0
BT GROUP PLC-SPON
ADR                 COMMON STOCK    05577E101          2       123 Shares                 X               1       123     0       0
BT GROUP PLC-SPON
ADR                 COMMON STOCK    05577E101          5       250 Shares                        X        1       250     0       0
BMC SOFTWARE INC    COMMON          055921100         46      1700 Shares                 X               3      1700     0       0


                                       7 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
BAKER HUGHES INC
COM                 COMMON STOCK    057224107        141      4383 Shares                 X               1      3908     0     475
BAKER HUGHES INC
COM                 COMMON STOCK    057224107         56      1735 Shares                        X        1       900     0     835
BAKER HUGHES INC
COM                 COMMON STOCK    057224107        164      5100 Shares                 X               2         0     0    5100
BAKER HUGHES INC
COM                 COMMON STOCK    057224107        415     12950 Shares           X                     2     12950     0       0
BAKER HUGHES INC
COM                 COMMON STOCK    057224107         86      2675 Shares                 X               3      2675     0       0
BALL CORPORATION    COMMON STOCK    058498106        998     24000 Shares                 X               1     24000     0       0
BALL CORPORATION    COMMON STOCK    058498106         36       860 Shares                 X               3       860     0       0
BALLARD POWER
SYSTEM INC          COMMON STOCK    05858H104          0       300 Shares                 X               1       300     0       0
BALLY
TECHNOLOGIES INC    COMMON STOCK    05874B107         29      1200 Shares                 X               1      1200     0       0
BALLY
TECHNOLOGIES INC    COMMON STOCK    05874B107        624     25975 Shares                 X               3     25975     0       0
BANCO SANTANDER
SA - SPONS ADR      COMMON STOCK    05964H105          1        78 Shares                 X               1        78     0       0
BANCO SANTANDER
SA - SPONS ADR      COMMON STOCK    05964H105         46      4896 Shares                        X        1      4896     0       0
BANCORP RHODE
ISLAND INC          COMMON STOCK    059690107          1        44 Shares                 X               1        44     0       0
BANK AMER CORP      COMMON STOCK    060505104       5891    418386 Shares                 X               1    410490     0    7896
BANK AMER CORP      COMMON STOCK    060505104       3012    213898 Shares                        X        1    202564     0   11334
BANK AMER CORP      COMMON STOCK    060505104       3871    274916 Shares                 X               2         0     0  274916
BANK AMER CORP      COMMON STOCK    060505104       2002    142170 Shares           X                     2    142170     0       0
BANK AMER CORP      COMMON STOCK    060505104       2448    173847 Shares                 X               3    167965     0    5882
BANK OF HAWAII
CORP                COMMON STOCK    062540109          6       125 Shares                        X        1       125     0       0
BANK NEW YORK
MELLON CORP         COMMON STOCK    064058100       3667    129438 Shares                 X               1    126638     0    2800
BANK NEW YORK
MELLON CORP         COMMON STOCK    064058100        596     21033 Shares                        X        1     18118     0    2915
BANK NEW YORK
MELLON CORP         COMMON STOCK    064058100        759     26778 Shares                 X               2         0     0   26778
BANK NEW YORK
MELLON CORP         COMMON STOCK    064058100        446     15790 Shares                 X               3     15790     0       0
BANKRATE INC        COMMON STOCK    06646V108         27       700 Shares                 X               1       700     0       0
BANKRATE INC        COMMON STOCK    06646V108        580     15250 Shares                 X               3     15250     0       0
BARD C R INC COM    COMMON STOCK    067383109         59       700 Shares                 X               1       700     0       0
BARD C R INC COM    COMMON STOCK    067383109        316      3750 Shares                        X        1      3750     0       0
BARD C R INC COM    COMMON STOCK    067383109         74       880 Shares                 X               3       880     0       0
BARCLAYS PLC -
SPONS ADR           COMMON STOCK    06738E204        157     16000 Shares                        X        1     16000     0       0
BARRICK GOLD CORP   COMMON STOCK    067901108         60      1636 Shares                 X               1      1636     0       0
BARRICK GOLD CORP   COMMON STOCK    067901108        173      4700 Shares                        X        1      4600     0     100
BASIN WATER INC     COMMON STOCK    07011T306          5     10000 Shares                 X               2         0     0   10000
BAXTER INTL INC     COMMON STOCK    071813109        856     15973 Shares                 X               1     15973     0       0
BAXTER INTL INC     COMMON STOCK    071813109        531      9901 Shares                        X        1      9901     0       0
BAXTER INTL INC     COMMON STOCK    071813109        287      5350 Shares                 X               3      5350     0       0
BAY NATIONAL
CORPORATION         COMMON STOCK    072500101          1       500 Shares                 X               1       500     0       0
BECKMAN COULTER
INC                 COMMON STOCK    075811109         98      2228 Shares                        X        1      1680     0     548
BECKMAN COULTER
INC                 COMMON STOCK    075811109        703     16000 Shares                 X               2         0     0   16000
BECTON DICKINSON
& CO COM            COMMON STOCK    075887109        405      5925 Shares                 X               1      5925     0       0
BECTON DICKINSON
& CO COM            COMMON STOCK    075887109        610      8924 Shares                        X        1      8924     0       0
BECTON DICKINSON
& CO COM            COMMON STOCK    075887109        144      2105 Shares                 X               3      2105     0       0
BED BATH & BEYOND
INC COM             COMMON STOCK    075896100         90      3535 Shares                 X               1      3535     0       0
BED BATH & BEYOND
INC COM             COMMON STOCK    075896100          8       325 Shares                        X        1       325     0       0
BED BATH & BEYOND
INC COM             COMMON STOCK    075896100         31      1200 Shares                 X               2         0     0    1200
BED BATH & BEYOND
INC COM             COMMON STOCK    075896100         61      2400 Shares                 X               3      2400     0       0
BEMIS INC           COMMON STOCK    081437105         19       800 Shares                        X        1       800     0       0
BEMIS INC           COMMON STOCK    081437105         19       820 Shares                 X               3       820     0       0
BERKSHIRE
HATHAWAY INC
CLASS A             COMMON STOCK    084670108        290         3 Shares                        X        1         3     0       0
BERKSHIRE
HATHAWAY INC
CLASS A             COMMON STOCK    084670108       1063        11 Shares                 X               2         0     0      11
BERKSHIRE
HATHAWAY INC
CLASS B             COMMON STOCK    084670207        877       273 Shares                 X               1       273     0       0
BERKSHIRE
HATHAWAY INC
CLASS B             COMMON STOCK    084670207        591       184 Shares                        X        1       174     0      10
BERKSHIRE
HATHAWAY INC
CLASS B             COMMON STOCK    084670207        418       130 Shares                 X               2         0     0     130
BERRY PETROLEUM
COMPANY CLASS       COMMON STOCK    085789105          2       200 Shares                 X               1       200     0       0
BEST BUY INC COM    COMMON STOCK    086516101         83      2936 Shares                 X               1      2936     0       0
BEST BUY INC COM    COMMON STOCK    086516101         71      2512 Shares                        X        1      2512     0       0
BEST BUY INC COM    COMMON STOCK    086516101         53      1900 Shares                 X               2         0     0    1900
BEST BUY INC COM    COMMON STOCK    086516101         84      3000 Shares                 X               3      3000     0       0
BHP BILLITON LTD
SPONSORED ADR       COMMON STOCK    088606108        175      4070 Shares                 X               1      4070     0       0
BHP BILLITON LTD
SPONSORED ADR       COMMON STOCK    088606108        203      4732 Shares                        X        1      3700     0    1032
BIG LOTS INC        COMMON          089302103         12       825 Shares                 X               3       825     0       0
BIGBANDS NETWORKS
INC                 COMMON STOCK    089750509         19      3400 Shares                 X               1      3400     0       0
BIGBANDS NETWORKS
INC                 COMMON STOCK    089750509        422     76500 Shares                 X               3     76500     0       0
BIOMARIN
PHARMACEUTICAL
INC                 COMMON STOCK    09061G101        282     15845 Shares                 X               1     15845     0       0
BIOMARIN
PHARMACEUTICAL
INC                 COMMON STOCK    09061G101        894     50178 Shares                 X               3     49178     0       0
BIOGEN IDEC INC     COMMON STOCK    09062X103        574     12055 Shares                 X               1     12055     0       0
BIOGEN IDEC INC     COMMON STOCK    09062X103         82      1716 Shares                        X        1      1606     0     110
BIOGEN IDEC INC     COMMON STOCK    09062X103        792     16630 Shares                 X               2         0     0   16630


                                       8 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
BIOGEN IDEC INC     COMMON STOCK    09062X103        117      2450 Shares                 X               3      2450     0       0
BIOTECH HOLDRS
TRUST               COMMON STOCK    09067D201         10        60 Shares                 X               1        60     0       0
BLACK & DECKER
CORP COM            COMMON STOCK    091797100         88      2100 Shares                 X               1      2100     0       0
BLACK & DECKER
CORP COM            COMMON STOCK    091797100        687     16440 Shares                        X        1     16440     0       0
BLACK & DECKER
CORP COM            COMMON STOCK    091797100         66      1575 Shares                 X               3      1575     0       0
BLACKBOARD INC      COMMON STOCK    091935502         42      1600 Shares                 X               1      1600     0       0
BLACKBOARD INC      COMMON STOCK    091935502        923     35200 Shares                 X               3     35200     0       0
BLACK HILLS CORP    COMMON STOCK    092113109         49      1800 Shares                 X               1      1800     0       0
BLACK HILLS CORP    COMMON STOCK    092113109          5       200 Shares                        X        1       200     0       0
BLACKROCK INC       COMMON STOCK    09247X101        506      3771 Shares                 X               1      3771     0       0
BLACKROCK INC       COMMON STOCK    09247X101         31       230 Shares                        X        1       230     0       0
BLACKROCK INC       COMMON STOCK    09247X101        905      6751 Shares                 X               3      3976     0     125
BLACKROCK
MARYLAND MUNI BD
TR                  PREFERRED STOCK 09249L105        299     27000 Shares                        X        1         0     0       0
BLACKROCK
MARYLAND MUNI BD
TR                  PREFERRED STOCK 09249L105         33      3000 Shares                 X               2         0     0       0
BLACKROCK STRAT
DVD ACHV TRS        PREFERRED STOCK 09249Y107          8      1000 Shares                 X               1         0     0       0
BLACKROCK GLOBAL
ENERGY & RESO       PREFERRED STOCK 09250U101         18      1200 Shares                 X               1         0     0       0
BLACKROCK HEALTH
SCIENCES TRUS       PREFERRED STOCK 09250W107         99      5000 Shares                        X        1         0     0       0
BLACKROCK MUNI
INTERM DURATION     PREFERRED STOCK 09253X102        105     10365 Shares                 X               1         0     0       0
BLACKROCK
MUNIENHANCED FUND
IN                  PREFERRED STOCK 09253Y100         15      2032 Shares                        X        1         0     0       0
BLACKROCK MUNIYLD
QUALITY FUND        PREFERRED STOCK 09254G108         59      6850 Shares                        X        1         0     0       0
BLACKROCK APEX
MUNICIPAL FUND      PREFERRED STOCK 09254H106          6      1000 Shares                 X               1         0     0       0
BLACKROCK APEX
MUNICIPAL FUND      PREFERRED STOCK 09254H106         13      2027 Shares                        X        1         0     0       0
BLACKROCK MUNIYLD
CALIFORNIA I        PREFERRED STOCK 09254N103         29      3050 Shares                        X        1         0     0       0
BLACKROCK
MUNIHOLDINGS INSD
IN                  PREFERRED STOCK 09254P108         18      2000 Shares                 X               2         0     0       0
BLACKROCK
MUNIYIELD
MICHIGAN I          PREFERRED STOCK 09254V105         19      2000 Shares                 X               2         0     0       0
BLACKROCK
MUNIHLDGS NJ
INSURED             PREFERRED STOCK 09254X101         31      3050 Shares                        X        1         0     0       0
BLACKROCK
MUNIHLDGS NY
INSURED             PREFERRED STOCK 09255C106         27      3050 Shares                        X        1         0     0       0
BLACKROCK
MUNIYLD NEW YORK
INS                 PREFERRED STOCK 09255E102         14      1601 Shares                        X        1         0     0       0
BLACKROCK MUNIYLD
PENNSYLVANIA        PREFERRED STOCK 09255G107          9       981 Shares                 X               1         0     0       0
BLACKROCK MUNIYLD
PENNSYLVANIA        PREFERRED STOCK 09255G107         76      8181 Shares                        X        1         0     0       0
BLACKROCK MUNIYLD
PENNSYLVANIA        PREFERRED STOCK 09255G107         19      2000 Shares                 X               2         0     0       0
BLOCK H & R INC     COMMON STOCK    093671105          6       250 Shares                 X               1       250     0       0
BLOCK H & R INC     COMMON STOCK    093671105         77      3400 Shares                        X        1      3400     0       0
BLOCK H & R INC     COMMON STOCK    093671105         59      2600 Shares                 X               3      2600     0       0
BLUE CHIP VALUE
FUND INC            PREFERRED STOCK 095333100          5      1920 Shares                 X               1         0     0       0
BOARDWALK
PIPELINE PARTNERS
LP                  COMMON STOCK    096627104         18      1000 Shares                 X               2         0     0    1000
BOB EVANS FARMS     COMMON STOCK    096761101          6       300 Shares                 X               1       300     0       0
BOEING CO COM       COMMON STOCK    097023105       1570     36788 Shares                 X               1     34688     0    2100
BOEING CO COM       COMMON STOCK    097023105        692     16217 Shares                        X        1     16092     0     125
BOEING CO COM       COMMON STOCK    097023105        309      7250 Shares                 X               2         0     0    7250
BOEING CO COM       COMMON STOCK    097023105        640     14981 Shares                 X               3     14981     0       0
BON-TON STORES
INCORPORATED        COMMON STOCK    09776J101         18     17320 Shares                 X               1     17320     0       0
BORG WARNER INC
COM                 COMMON STOCK    099724106          4       200 Shares                 X               1       200     0       0
BOSTON BEER
INCORPORATED
CLASS               COMMON STOCK    100557107         21       750 Shares                 X               1       750     0       0
BOSTON BEER
INCORPORATED
CLASS               COMMON STOCK    100557107          3       100 Shares                        X        1       100     0       0
BOSTON PROPERTIES
INC (REIT)          COMMON STOCK    101121101        182      3307 Shares                 X               1         0     0       0
BOSTON PROPERTIES
INC (REIT)          COMMON STOCK    101121101        165      3000 Shares                        X        1         0     0       0
BOSTON PROPERTIES
INC (REIT)          COMMON STOCK    101121101        276      3000 Shares           X                     2      3000     0       0
BOSTON PROPERTIES
INC (REIT)          COMMON STOCK    101121101         55       995 Shares                 X               3       995     0       0
BOSTON SCIENTIFIC
CORP COM            COMMON STOCK    101137107         21      2736 Shares                 X               1      2736     0       0
BOSTON SCIENTIFIC
CORP COM            COMMON STOCK    101137107         41      5360 Shares                        X        1      5360     0       0
BOSTON SCIENTIFIC
CORP COM            COMMON STOCK    101137107        295     12800 Shares           X                     2     12800     0       0
BOSTON SCIENTIFIC
CORP COM            COMMON STOCK    101137107         92     11900 Shares                 X               3     11900     0       0
BOULDER TOTAL
RETURN FUND INC     PREFERRED STOCK 101541100         14      1400 Shares                 X               1         0     0       0
BOWNE & CO INC      COMMON STOCK    103043105         19      3280 Shares                 X               1      3280     0       0
BRANDYWINE REALTY
TRUST (REIT)        COMMON STOCK    105368203         12      1500 Shares                 X               1         0     0       0
BRINKER INTL INC
COM                 COMMON STOCK    109641100        127     12085 Shares                 X               1     12085     0       0
BRINKER INTL INC
COM                 COMMON STOCK    109641100        125     11850 Shares                        X        1     11850     0       0
BRINKER INTL INC
COM                 COMMON STOCK    109641100        676     64100 Shares                 X               3     43700     0       0
BRISTOL-MYERS
SQUIBB CO           COMMON STOCK    110122108       6277    269995 Shares                 X               1    269179     0     816
BRISTOL-MYERS
SQUIBB CO           COMMON STOCK    110122108       6651    286047 Shares                        X        1    259907     0   26140
BRISTOL-MYERS
SQUIBB CO           COMMON STOCK    110122108        679     29210 Shares                 X               2         0     0   29210
BRISTOL-MYERS
SQUIBB CO           COMMON STOCK    110122108        652     28032 Shares           X                     2     28032     0       0
BRISTOL-MYERS
SQUIBB CO           COMMON STOCK    110122108        600     25778 Shares                 X               3     25778     0       0
BRISTOL-MYERS
SQUIBB CO           COMMON STOCK    110122108          6       250 Shares                 X               4       250     0       0
BROADCOM CORP CL
A                   COMMON STOCK    111320107        126      7400 Shares                 X               1      7400     0       0
BROADCOM CORP CL
A                   COMMON STOCK    111320107        320     18875 Shares                 X               3      5275     0       0


                                       9 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
BROADRIDGE
FINANCIAL
SOLUTIONS           COMMON STOCK    11133T103         59      4685 Shares                 X               1      4685     0       0
BROADRIDGE
FINANCIAL
SOLUTIONS           COMMON STOCK    11133T103         28      2240 Shares                        X        1      2240     0       0
BROADRIDGE
FINANCIAL
SOLUTIONS           COMMON STOCK    11133T103          3       250 Shares                 X               2         0     0     250
BROWN-FORMAN CORP
CL B                COMMON STOCK    115637209         19       375 Shares                        X        1       375     0       0
BROWN-FORMAN CORP
CL B                COMMON STOCK    115637209        348      6750 Shares                 X               2         0     0    6750
BROWN-FORMAN CORP
CL B                COMMON STOCK    115637209         46       890 Shares                 X               3       890     0       0
BRYN MAWR BANK
CORPORATION         COMMON STOCK    117665109        149      7392 Shares                 X               1      7392     0       0
BUCKEYE PARTNERS
LP UNIT LTD P       COMMON STOCK    118230101         29       900 Shares                 X               1       900     0       0
BUCKEYE PARTNERS
LP UNIT LTD P       COMMON STOCK    118230101          2        50 Shares                        X        1        50     0       0
BUCKEYE PARTNERS
LP UNIT LTD P       COMMON STOCK    118230101         16       500 Shares                 X               2         0     0     500
BUCYRUS
INTERNATIONAL INC   COMMON STOCK    118759109        142      7650 Shares                 X               1      7650     0       0
BURLINGTON
NORTHERN SANTA FE
C                   COMMON STOCK    12189T104       4261     56281 Shares                 X               1     54850     0    1431
BURLINGTON
NORTHERN SANTA FE
C                   COMMON STOCK    12189T104        881     11630 Shares                        X        1      9510     0    2120
BURLINGTON
NORTHERN SANTA FE
C                   COMMON STOCK    12189T104       1965     25952 Shares                 X               3     24568     0    1384
CBIZ INC            COMMON STOCK    124805102         13      1545 Shares                 X               1      1545     0       0
CBL & ASSOCIATES
PROPERTIES          COMMON STOCK    124830100          1       169 Shares                 X               1         0     0       0
CBS CORP CL B       COMMON STOCK    124857202         51      6230 Shares                 X               1      6230     0       0
CBS CORP CL B       COMMON STOCK    124857202         30      3717 Shares                        X        1      3392     0     325
CBS CORP CL B       COMMON STOCK    124857202        116     14100 Shares                 X               3     14100     0       0
CB RICHARD ELLIS
GROUP INC-A         COMMON STOCK    12497T101         22      5000 Shares                 X               1      5000     0       0
CB RICHARD ELLIS
GROUP INC-A         COMMON STOCK    12497T101         28      6500 Shares                 X               2         0     0    6500
CB RICHARD ELLIS
GROUP INC-A         COMMON STOCK    12497T101         65     15100 Shares           X                     2     15100     0       0
CB RICHARD ELLIS
GROUP INC-A         COMMON STOCK    12497T101          5      1250 Shares                 X               3      1250     0       0
CF INDUSTRIES
HOLDINGS INC        COMMON STOCK    125269100         18       375 Shares                 X               1       375     0       0
CF INDUSTRIES
HOLDINGS INC        COMMON STOCK    125269100         22       452 Shares                 X               3       452     0       0
CH ENERGY GROUP
INC COM             COMMON STOCK    12541M102         77      1500 Shares                 X               1      1400     0     100
CH ENERGY GROUP
INC COM             COMMON STOCK    12541M102        154      3000 Shares                        X        1      3000     0       0
CH ROBINSON
WORLDWIDE INC       COMMON STOCK    12541W209        356      6472 Shares                 X               1      6472     0       0
CH ROBINSON
WORLDWIDE INC       COMMON STOCK    12541W209        847     15395 Shares                 X               3      2995     0       0
CIGNA CORP          COMMON STOCK    125509109        149      8860 Shares                 X               1      8860     0       0
CIGNA CORP          COMMON STOCK    125509109        163      9660 Shares                        X        1      9660     0       0
CIGNA CORP          COMMON STOCK    125509109         41      2410 Shares                 X               3      2410     0       0
CIT GROUP INC       COMMON STOCK    125581108        161     35389 Shares                 X               1     35389     0       0
CIT GROUP INC       COMMON STOCK    125581108         41      9125 Shares                        X        1      9125     0       0
CIT GROUP INC       COMMON STOCK    125581108        321     70711 Shares                 X               3     67521     0    3190
CIT GROUP INC       COMMON STOCK    125581108          1       250 Shares                 X               4       250     0       0
CME GROUP INC       COMMON STOCK    12572Q105         11        51 Shares                 X               1        51     0       0
CME GROUP INC       COMMON STOCK    12572Q105         24       114 Shares                        X        1       114     0       0
CME GROUP INC       COMMON STOCK    12572Q105        117       561 Shares                 X               3       561     0       0
CMS ENERGY CORP
COM                 COMMON STOCK    125896100          8       800 Shares                        X        1       800     0       0
CMS ENERGY CORP
COM                 COMMON STOCK    125896100         22      2200 Shares                 X               3      2200     0       0
CNOOC LTD -ADR      COMMON STOCK    126132109         29       300 Shares                        X        1       300     0       0
CSG SYSTEMS
INTERNATIONAL INC   COMMON STOCK    126349109         27      1550 Shares                 X               1      1550     0       0
CSG SYSTEMS
INTERNATIONAL INC   COMMON STOCK    126349109        595     34100 Shares                 X               3     34100     0       0
CSX CORP            COMMON STOCK    126408103       1228     37826 Shares                 X               1     37826     0       0
CSX CORP            COMMON STOCK    126408103       1077     33162 Shares                        X        1     23962     0    9200
CSX CORP            COMMON STOCK    126408103         17       512 Shares                 X               2         0     0     512
CSX CORP            COMMON STOCK    126408103        114      3525 Shares                 X               3      3525     0       0
CVS /CAREMARK
CORP                COMMON STOCK    126650100       5035    175183 Shares                 X               1    170183     0    5000
CVS /CAREMARK
CORP                COMMON STOCK    126650100       1537     53489 Shares                        X        1     49430     0    4059
CVS /CAREMARK
CORP                COMMON STOCK    126650100        555     19300 Shares                 X               2         0     0   19300
CVS /CAREMARK
CORP                COMMON STOCK    126650100        743     25883 Shares                 X               3     25133     0       0
CV THERAPEUTICS
INC                 COMMON STOCK    126667104         61      6600 Shares                 X               1      6600     0       0
CV THERAPEUTICS
INC                 COMMON STOCK    126667104        732     79500 Shares                 X               3     79500     0       0
CA INC              COMMON STOCK    12673P105        165      8893 Shares                 X               1      8893     0       0
CA INC              COMMON STOCK    12673P105         66      3558 Shares                 X               3      3558     0       0
CABLEVISION NY
GROUP CL A          COMMON STOCK    12686C109         25      1500 Shares                 X               1      1500     0       0
CABOT CORP          COMMON          127055101         38      2500 Shares                 X               3      2500     0       0
CABOT OIL & GAS
CORP                COMMON STOCK    127097103         18       700 Shares                 X               1       700     0       0
CABOT OIL & GAS
CORP                COMMON STOCK    127097103        433     16635 Shares                 X               3     16635     0       0
CADBURY PLC -
SPONS ADR           COMMON STOCK    12721E102          3        74 Shares                 X               1        74     0       0
CALAMOS CONV &
HIGH INC FD         PREFERRED STOCK 12811P108         22      2625 Shares                 X               1         0     0       0
CALAMOS STRATEGIC
TOT RET FD          PREFERRED STOCK 128125101          3       500 Shares                        X        1         0     0       0
CALLAWAY GOLF CO
COM                 COMMON STOCK    131193104         13      1423 Shares                 X               1      1423     0       0
CALLAWAY GOLF CO
COM                 COMMON STOCK    131193104        284     30550 Shares                 X               3     30550     0       0
CAMDEN PROPERTY
TRUST (REIT)        COMMON STOCK    133131102         40      1265 Shares                 X               1         0     0       0
CAMECO
CORPORATION         COMMON STOCK    13321L108         26      1500 Shares                 X               1      1500     0       0


                                       10 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
CAMERON
INTERNATIONAL
CORP                COMMON STOCK    13342B105        283     13825 Shares                 X               1     13325     0     500
CAMERON
INTERNATIONAL
CORP                COMMON STOCK    13342B105         33      1600 Shares                        X        1       600     0    1000
CAMERON
INTERNATIONAL
CORP                COMMON STOCK    13342B105        496     24200 Shares                 X               3      4300     0       0
CAMPBELL SOUP CO
COM                 COMMON STOCK    134429109         77      2578 Shares                 X               1      2578     0       0
CAMPBELL SOUP CO
COM                 COMMON STOCK    134429109        156      5200 Shares                        X        1      5200     0       0
CAMPBELL SOUP CO
COM                 COMMON STOCK    134429109         81      2700 Shares                 X               3      2700     0       0
CANADIAN NATIONAL
RAILWAY COMP        COMMON STOCK    136375102        105      2850 Shares                 X               1      2850     0       0
CANADIAN NATURAL
RESOURCES LTD       COMMON STOCK    136385101          8       200 Shares                 X               1       200     0       0
CANADIAN PACIFIC
RAILWAY LTD         COMMON STOCK    13645T100          5       150 Shares                 X               1       150     0       0
CANDELA CORP        COMMON STOCK    136907102          0      1000 Shares                 X               1      1000     0       0
CAPLEASE INC        COMMON STOCK    140288101         12      7000 Shares                 X               2         0     0       0
CAPITAL ONE
FINANCIAL CORP      COMMON STOCK    14040H105        765     23999 Shares                 X               1     23999     0       0
CAPITAL ONE
FINANCIAL CORP      COMMON STOCK    14040H105       1359     42620 Shares                        X        1     40670     0    1950
CAPITAL ONE
FINANCIAL CORP      COMMON STOCK    14040H105       1127     35350 Shares                 X               2         0     0   35350
CAPITAL ONE
FINANCIAL CORP      COMMON STOCK    14040H105       1263     39590 Shares           X                     2     39590     0       0
CAPITAL ONE
FINANCIAL CORP      COMMON STOCK    14040H105        344     10768 Shares                 X               3      9349     0    1419
CAPITALSOURCE INC   COMMON STOCK    14055X102         18      4000 Shares                 X               1      4000     0       0
CAPITALSOURCE INC   COMMON STOCK    14055X102          9      2000 Shares                        X        1      2000     0       0
CAPITALSOURCE INC   COMMON STOCK    14055X102       2991    647300 Shares                 X               2         0     0  647300
CAPITALSOURCE INC   COMMON STOCK    14055X102       1042    225600 Shares           X                     2    225600     0       0
CAPSTEAD MORTGAGE
CV PFD $1.26        PREFERRED STOCK 14067E308         65      4950 Shares                 X               1         0     0       0
CARDINAL HEALTH
INC                 COMMON STOCK    14149Y108        136      3935 Shares                 X               1      3935     0       0
CARDINAL HEALTH
INC                 COMMON STOCK    14149Y108         99      2873 Shares                        X        1      2873     0       0
CARDINAL HEALTH
INC                 COMMON STOCK    14149Y108        296      6000 Shares           X                     2      6000     0       0
CARDINAL HEALTH
INC                 COMMON STOCK    14149Y108        107      3100 Shares                 X               3      3100     0       0
CARLISLE COMPANIES
INC                 COMMON STOCK    142339100         37      1800 Shares                 X               1      1000     0     800
CARLISLE COMPANIES
INC                 COMMON STOCK    142339100        137      6600 Shares                        X        1      6500     0     100
CARMAX INC          COMMON STOCK    143130102          8      1000 Shares                 X               1      1000     0       0
CARNIVAL
CORPORATION         COMMON STOCK    143658300       1888     77636 Shares                 X               1     77636     0       0
CARNIVAL
CORPORATION         COMMON STOCK    143658300        313     12850 Shares                        X        1     11850     0    1000
CARNIVAL
CORPORATION         COMMON STOCK    143658300       1055     43377 Shares                 X               3     43377     0       0
CARPENTER
TECHNOLOGY CORP
COM                 COMMON STOCK    144285103         19       933 Shares                 X               1       933     0       0
CARPENTER
TECHNOLOGY CORP
COM                 COMMON STOCK    144285103        108      5252 Shares                        X        1      5252     0       0
CARROLLTON
BANCORP             COMMON STOCK    145282109          3       462 Shares                 X               1       462     0       0
CATALYST HEALTH
SOLUTIONS INC       COMMON STOCK    14888B103         10       400 Shares                 X               1       400     0       0
CATALYST HEALTH
SOLUTIONS INC       COMMON STOCK    14888B103         61      2500 Shares                 X               2         0     0    2500
CATERPILLAR INC     COMMON STOCK    149123101       2898     64871 Shares                 X               1     60946     0    3925
CATERPILLAR INC     COMMON STOCK    149123101        458     10254 Shares                        X        1      8154     0    2100
CATERPILLAR INC     COMMON STOCK    149123101        225      5036 Shares                 X               2         0     0    5036
CATERPILLAR INC     COMMON STOCK    149123101        231      5175 Shares                 X               3      5175     0       0
CAVCO INDUSTRIES,
INC.                COMMON STOCK    149568107          2        60 Shares                 X               1        60     0       0
CEDAR FAIR LTD
PTR                 COMMON STOCK    150185106          9       750 Shares                 X               1       750     0       0
CELERA
CORPORATION         COMMON STOCK    15100E106          7       600 Shares                 X               1       600     0       0
CELGENE CORP COM    COMMON STOCK    151020104       1622     29342 Shares                 X               1     28392     0     950
CELGENE CORP COM    COMMON STOCK    151020104        207      3745 Shares                        X        1      2145     0    1600
CELGENE CORP COM    COMMON STOCK    151020104       1558     28181 Shares                 X               3     26881     0       0
CENTERPOINT
ENERGY INC          COMMON STOCK    15189T107          4       332 Shares                 X               1       332     0       0
CENTERPOINT
ENERGY INC          COMMON STOCK    15189T107         34      2660 Shares                 X               3      2660     0       0
CENTEX CORP         COMMON STOCK    152312104         19      1800 Shares                 X               1      1800     0       0
CENTEX CORP         COMMON STOCK    152312104          4       400 Shares                        X        1       400     0       0
CENTEX CORP         COMMON STOCK    152312104         11      1000 Shares                 X               3      1000     0       0
CENTRAL EUROPEAN
DISTRIBUTION        COMMON STOCK    153435102          4       218 Shares                 X               1       218     0       0
CENTURYTEL INC
COM                 COMMON STOCK    156700106         55      2000 Shares                 X               1      2000     0       0
CENTURYTEL INC
COM                 COMMON STOCK    156700106         27      1000 Shares                 X               3      1000     0       0
CEPHALON INC COM    COMMON STOCK    156708109        188      2437 Shares                 X               1      2437     0       0
CEPHALON INC COM    COMMON STOCK    156708109       1572     20400 Shares                 X               3     15700     0       0
CEPHEID INC         COMMON STOCK    15670R107         31      2950 Shares                 X               1      2950     0       0
CEPHEID INC         COMMON STOCK    15670R107        679     65500 Shares                 X               3     65500     0       0
CERNER CORP         COMMON STOCK    156782104       4727    122940 Shares                 X               1    122670     0     270
CERNER CORP         COMMON STOCK    156782104        396     10290 Shares                        X        1      8965     0    1325
CERNER CORP         COMMON STOCK    156782104       3691     96000 Shares                 X               2         0     0   96000
CERNER CORP         COMMON STOCK    156782104       1494     38850 Shares           X                     2     38850     0       0
CERNER CORP         COMMON STOCK    156782104       3166     82330 Shares                 X               3     67631     0    1699
CHAMPION
ENTERPRISES INC     COMMON STOCK    158496109          0       137 Shares                 X               1       137     0       0
THE CHEESECAKE
FACTORY             COMMON STOCK    163072101          2       200 Shares                 X               1       200     0       0
CHESAPEAKE ENERGY
CORP COM            COMMON STOCK    165167107         31      1900 Shares                 X               1      1900     0       0
CHESAPEAKE ENERGY
CORP COM            COMMON STOCK    165167107         55      3400 Shares                 X               2         0     0    3400


                                       11 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
CHESAPEAKE ENERGY
CORP COM            COMMON STOCK    165167107         72      4480 Shares                 X               3      4480     0       0
CHESAPEAKE ENERGY
CONV PFD 4.5        PREFERRED STOCK 165167842        476      7950 Shares                 X               2         0     0       0
CHESAPEAKE
UTILITIES
CORPORATI           COMMON STOCK    165303108         16       500 Shares                        X        1       500     0       0
CHEVRON CORP        COMMON STOCK    166764100      30275    409288 Shares                 X               1    404172     0    5116
CHEVRON CORP        COMMON STOCK    166764100      17141    231724 Shares                        X        1    218455     0   13269
CHEVRON CORP        COMMON STOCK    166764100       3715     50218 Shares                 X               2         0     0   50218
CHEVRON CORP        COMMON STOCK    166764100       1549     20938 Shares           X                     2     20938     0       0
CHEVRON CORP        COMMON STOCK    166764100       8003    108165 Shares                 X               3    102740     0    3725
CHEVRON CORP        COMMON STOCK    166764100         11       150 Shares                 X               4       150     0       0
CHICAGO BRIDGE &
IRON CO N V C       COMMON STOCK    167250109          4       400 Shares                 X               1       400     0       0
CHICAGO BRIDGE &
IRON CO N V C       COMMON STOCK    167250109          0        25 Shares                        X        1        25     0       0
CHICAGO BRIDGE &
IRON CO N V C       COMMON STOCK    167250109        317     31500 Shares                 X               2         0     0   31500
CHICOS FAS INC      COMMON STOCK    168615102          4      1000 Shares                 X               1      1000     0       0
CHICOS FAS INC      COMMON STOCK    168615102          1       300 Shares                        X        1       300     0       0
CHINA MOBILE LTD
SPON ADR            COMMON STOCK    16941M109         15       300 Shares                        X        1       300     0       0
CHRISTOPHER &
BANKS CORP          COMMON STOCK    171046105          2       337 Shares                 X               1       337     0       0
CHUBB CORP          COMMON STOCK    171232101        404      7920 Shares                 X               1      7920     0       0
CHUBB CORP          COMMON STOCK    171232101         49       958 Shares                        X        1       958     0       0
CHUBB CORP          COMMON STOCK    171232101       1710     33520 Shares                 X               2         0     0   33520
CHUBB CORP          COMMON STOCK    171232101        152      2975 Shares                 X               3      2975     0       0
CHURCH & DWIGHT
CO INC              COMMON STOCK    171340102         68      1215 Shares                 X               1         0     0    1215
CHURCH & DWIGHT
CO INC              COMMON STOCK    171340102        641     11425 Shares                        X        1     11425     0       0
CIENA CORPORATION   COMMON          171779309          6       850 Shares                 X               3       850     0       0
CINCINNATI FINL
CORP COM            COMMON STOCK    172062101        923     31760 Shares                 X               1     31760     0       0
CINCINNATI FINL
CORP COM            COMMON STOCK    172062101        116      3981 Shares                        X        1      3981     0       0
CINCINNATI FINL
CORP COM            COMMON STOCK    172062101        112      3857 Shares                 X               2         0     0    3857
CINCINNATI FINL
CORP COM            COMMON STOCK    172062101        318     10935 Shares                 X               3      9109     0    1826
CISCO SYSTEMS INC   COMMON STOCK    17275R102      13097    803502 Shares                 X               1    787502     0   16000
CISCO SYSTEMS INC   COMMON STOCK    17275R102       3791    232565 Shares                        X        1    209155     0   23410
CISCO SYSTEMS INC   COMMON STOCK    17275R102       2802    171920 Shares                 X               2         0     0  171920
CISCO SYSTEMS INC   COMMON STOCK    17275R102       1822    111792 Shares           X                     2    111792     0       0
CISCO SYSTEMS INC   COMMON STOCK    17275R102       5853    359081 Shares                 X               3    345642     0    7189
CISCO SYSTEMS INC   COMMON STOCK    17275R102         14       850 Shares                 X               4       850     0       0
CITADEL
BROADCASTING
COMPANY             COMMON STOCK    17285T106          2     15038 Shares                 X               1     15038     0       0
CITADEL
BROADCASTING
COMPANY             COMMON STOCK    17285T106          0       340 Shares                        X        1       340     0       0
CITADEL
BROADCASTING
COMPANY             COMMON STOCK    17285T106          0        92 Shares                 X               2         0     0      92
CINTAS CORP         COMMON          172908105         26      1100 Shares                 X               3      1100     0       0
CITIGROUP INC COM   COMMON STOCK    172967101       1250    186244 Shares                 X               1    182201     0    4043
CITIGROUP INC COM   COMMON STOCK    172967101        685    102065 Shares                        X        1     94614     0    7451
CITIGROUP INC COM   COMMON STOCK    172967101        982    146306 Shares                 X               2         0     0  146306
CITIGROUP INC COM   COMMON STOCK    172967101        534     79619 Shares           X                     2     79619     0       0
CITIGROUP INC COM   COMMON STOCK    172967101       1076    160290 Shares                 X               3    155315     0    4975
CITIGROUP INC COM   COMMON STOCK    172967101          3       400 Shares                 X               4       400     0       0
CITRIX SYSTEMS
INC COM             COMMON STOCK    177376100        871     36967 Shares                 X               1     34267     0    2700
CITRIX SYSTEMS
INC COM             COMMON STOCK    177376100         47      2000 Shares                        X        1      1220     0     780
CITRIX SYSTEMS
INC COM             COMMON STOCK    177376100        634     26860 Shares                 X               3      4260     0       0
CITY HOLDING
COMPANY             COMMON STOCK    177835105       1339     38509 Shares                 X               1     38509     0       0
CLAYMORE S&P
GLOBAL WATER ETF    PREFERRED STOCK 18383Q507          1       100 Shares                 X               1         0     0       0
CLIFFS NATURAL
RESOURCES INC       COMMON STOCK    18683K101       2715    106012 Shares                 X               1    104812     0    1200
CLIFFS NATURAL
RESOURCES INC       COMMON STOCK    18683K101        256     10010 Shares                        X        1      7710     0    2300
CLIFFS NATURAL
RESOURCES INC       COMMON STOCK    18683K101       2114     82540 Shares                 X               3     73800     0    1540
CLOROX COMPANY      COMMON STOCK    189054109        431      7752 Shares                 X               1      7752     0       0
CLOROX COMPANY      COMMON STOCK    189054109        212      3815 Shares                        X        1      3815     0       0
CLOROX COMPANY      COMMON STOCK    189054109        194      3500 Shares                 X               2         0     0    3500
CLOROX COMPANY      COMMON STOCK    189054109         64      1160 Shares                 X               3      1160     0       0
COACH INC           COMMON STOCK    189754104       1782     85810 Shares                 X               1     81510     0    4300
COACH INC           COMMON STOCK    189754104        175      8427 Shares                        X        1      8127     0     300
COACH INC           COMMON STOCK    189754104       1744     83967 Shares                 X               3     56955     0    2112
COCA COLA
BOTTLING CO
CONSOLID            COMMON STOCK    191098102          6       125 Shares                 X               1       125     0       0
COCA COLA CO COM    COMMON STOCK    191216100      13547    299245 Shares                 X               1    295670     0    3575
COCA COLA CO COM    COMMON STOCK    191216100       5326    117651 Shares                        X        1    116041     0    1610
COCA COLA CO COM    COMMON STOCK    191216100        172      3800 Shares                 X               2         0     0    3800
COCA COLA CO COM    COMMON STOCK    191216100        226      5000 Shares           X                     2      5000     0       0
COCA COLA CO COM    COMMON STOCK    191216100       5871    129688 Shares                 X               3    124055     0    4333
COCA COLA CO COM    COMMON STOCK    191216100         11       250 Shares                 X               4       250     0       0
COCA COLA
ENTERPRISES INC     COMMON STOCK    191219104         24      1957 Shares                 X               1      1957     0       0
COCA COLA
ENTERPRISES INC     COMMON STOCK    191219104         31      2555 Shares                 X               3      2555     0       0


                                       12 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
CODORUS VALLEY
BANCORP INC         COMMON STOCK    192025104        221     27599 Shares                 X               1     24991     0    2608
CODORUS VALLEY
BANCORP INC         COMMON STOCK    192025104         75      9398 Shares                        X        1      9398     0       0
COGENT
COMMUNICATIONS
GROUP               COMMON STOCK    19239V302         22      3400 Shares                 X               1      3400     0       0
COGENT
COMMUNICATIONS
GROUP               COMMON STOCK    19239V302        479     73400 Shares                 X               3     73400     0       0
COGNIZANT TECH
SOL CORP            COMMON STOCK    192446102         82      4549 Shares                 X               1      4549     0       0
COGNIZANT TECH
SOL CORP            COMMON STOCK    192446102        246     13600 Shares                 X               3      3700     0       0
COHEN & STEERS
QUALITY INC RLT     PREFERRED STOCK 19247L106         11      3000 Shares                 X               1         0     0       0
COHEN & STEERS
REIT AND UTILIT     PREFERRED STOCK 19247Y108          4       600 Shares                 X               2         0     0       0
COHEN & STEERS
SELECT UTILITY      PREFERRED STOCK 19248A109         10      1009 Shares                 X               1         0     0       0
COHU INCORPORATED   COMMON STOCK    192576106         10       800 Shares                 X               1       800     0       0
COLGATE PALMOLIVE
CO COM              COMMON STOCK    194162103       6191     90334 Shares                 X               1     90334     0       0
COLGATE PALMOLIVE
CO COM              COMMON STOCK    194162103       4191     61154 Shares                        X        1     53304     0    7850
COLGATE PALMOLIVE
CO COM              COMMON STOCK    194162103       7286    106299 Shares                 X               2         0     0  106299
COLGATE PALMOLIVE
CO COM              COMMON STOCK    194162103       4530     66099 Shares           X                     2     66099     0       0
COLGATE PALMOLIVE
CO COM              COMMON STOCK    194162103        446      6495 Shares                 X               3      6495     0       0
COLGATE PALMOLIVE
CO COM              COMMON STOCK    194162103          7       100 Shares                 X               4       100     0       0
COLLECTORS
UNIVERSE INC        COMMON STOCK    19421R200          0        55 Shares                 X               1        55     0       0
COMCAST CORP NEW
A                   COMMON STOCK    20030N101       3985    236074 Shares                 X               1    235463     0     611
COMCAST CORP NEW
A                   COMMON STOCK    20030N101       1065     63080 Shares                        X        1     59736     0    3344
COMCAST CORP NEW
A                   COMMON STOCK    20030N101       1695    100363 Shares                 X               3     95568     0    4795
COMCAST
CORP-SPECIAL CL A   COMMON STOCK    20030N200        174     10755 Shares                 X               1     10755     0       0
COMCAST
CORP-SPECIAL CL A   COMMON STOCK    20030N200         84      5174 Shares                        X        1      4874     0     300
COMCAST
CORP-SPECIAL CL A   COMMON STOCK    20030N200          7       450 Shares                 X               4       450     0       0
COMERICA INC        COMMON STOCK    200340107         83      4201 Shares                 X               1      4201     0       0
COMERICA INC        COMMON STOCK    200340107         62      3100 Shares                 X               3      3100     0       0
COMMERCE ENERGY
GROUP INC           COMMON STOCK    20061Q106          0       325 Shares                 X               1       325     0       0
COMMERCIAL METALS
COMPANY             COMMON STOCK    201723103          5       400 Shares                 X               1       400     0       0
COMMERCIAL METALS
COMPANY             COMMON STOCK    201723103        186     15664 Shares                        X        1     15664     0       0
COMMERCIAL NATL
FINANCIAL CORP      COMMON STOCK    202217105         12       820 Shares                 X               1       820     0       0
COMMUNITY BANK
SYSTEM INC          COMMON STOCK    203607106        549     22500 Shares                 X               1         0     0   22500
COMMVAULT SYSTEMS
INC                 COMMON STOCK    204166102         31      2300 Shares                 X               1      2300     0       0
COMMVAULT SYSTEMS
INC                 COMMON STOCK    204166102        684     50950 Shares                 X               3     50950     0       0
COMPANHIA VALE DO
RIO DOCE SPO        COMMON STOCK    204412100         26      2400 Shares                 X               1      2400     0       0
COMPANHIA VALE DO
RIO DOCE-ADR        COMMON STOCK    204412209        686     56656 Shares                 X               1     56656     0       0
COMPANHIA VALE DO
RIO DOCE-ADR        COMMON STOCK    204412209         11       900 Shares                        X        1       900     0       0
COMPANHIA VALE DO
RIO DOCE-ADR        COMMON STOCK    204412209         10       827 Shares                 X               3       827     0       0
COMPUTER SCIENCES
CORP COM            COMMON STOCK    205363104         14       400 Shares                 X               1       400     0       0
COMPUTER SCIENCES
CORP COM            COMMON STOCK    205363104          7       200 Shares                        X        1       200     0       0
COMPUTER SCIENCES
CORP COM            COMMON STOCK    205363104         46      1300 Shares                 X               3      1300     0       0
COMPUTER TASK
GROUP               COMMON STOCK    205477102        189     58750 Shares                 X               1     58750     0       0
COMPUWARE CORP      COMMON STOCK    205638109          3       513 Shares                 X               1       513     0       0
COMPUWARE CORP      COMMON STOCK    205638109         10      1500 Shares                        X        1      1500     0       0
COMPUWARE CORP      COMMON STOCK    205638109         17      2500 Shares                 X               3      2500     0       0
COMTECH
TELECOMMUNICATIONS
COR                 COMMON STOCK    205826209         27       600 Shares                 X               1       600     0       0
COMTECH
TELECOMMUNICATIONS
COR                 COMMON STOCK    205826209        630     13750 Shares                 X               3     13750     0       0
CONAGRA FOODS INC   COMMON STOCK    205887102         43      2634 Shares                 X               1      2634     0       0
CONAGRA FOODS INC   COMMON STOCK    205887102         78      4754 Shares                        X        1      4754     0       0
CONAGRA FOODS INC   COMMON STOCK    205887102        103      6240 Shares                 X               3      6240     0       0
CON-WAY INC         COMMON STOCK    205944101         13       500 Shares                 X               1       500     0       0
CONCHO RESOURCES
INC                 COMMON STOCK    20605P101         30      1300 Shares                 X               1      1300     0       0
CONCHO RESOURCES
INC                 COMMON STOCK    20605P101        652     28550 Shares                 X               3     28550     0       0
CONMED CORP COM     COMMON STOCK    207410101         29      1200 Shares                 X               1      1200     0       0
CONMED CORP COM     COMMON STOCK    207410101        611     25500 Shares                 X               3     25500     0       0
CONOCOPHILLIPS      COMMON STOCK    20825C104      13331    257364 Shares                 X               1    253804     0    3560
CONOCOPHILLIPS      COMMON STOCK    20825C104       3826     73863 Shares                        X        1     68276     0    5587
CONOCOPHILLIPS      COMMON STOCK    20825C104        339      6548 Shares                 X               2         0     0    6548
CONOCOPHILLIPS      COMMON STOCK    20825C104       4332     83594 Shares                 X               3     80018     0    2826
CONOCOPHILLIPS      COMMON STOCK    20825C104         18       344 Shares                 X               4       344     0       0
CONSOL ENERGY INC   COMMON STOCK    20854P109        536     18764 Shares                 X               1     18354     0     410
CONSOL ENERGY INC   COMMON STOCK    20854P109         24       850 Shares                        X        1         0     0     850
CONSOL ENERGY INC   COMMON STOCK    20854P109        114      4000 Shares                 X               2         0     0    4000
CONSOL ENERGY INC   COMMON STOCK    20854P109        416     14532 Shares                 X               3     13832     0       0
CONSOLIDATED
COMMUNICATIONS HL   COMMON STOCK    209034107          7       600 Shares                 X               1       600     0       0
CONSOLIDATED
EDISON INC COM      COMMON STOCK    209115104        211      5420 Shares                 X               1      5420     0       0
CONSOLIDATED
EDISON INC COM      COMMON STOCK    209115104        113      2908 Shares                        X        1      2908     0       0
CONSOLIDATED
EDISON INC COM      COMMON STOCK    209115104         93      2400 Shares                 X               3      2400     0       0
CONSOLIDATED-
TOMOKA LAND CO      COMMON STOCK    210226106         11       300 Shares                 X               1       300     0       0


                                       13 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
CONSTELLATION
BRANDS INC CL A     COMMON STOCK    21036P108         30      1922 Shares                 X               1      1922     0       0
CONSTELLATION
BRANDS INC CL A     COMMON STOCK    21036P108         12       770 Shares                        X        1       770     0       0
CONSTELLATION
BRANDS INC CL A     COMMON STOCK    21036P108        957     38200 Shares           X                     2     38200     0       0
CONSTELLATION
BRANDS INC CL A     COMMON STOCK    21036P108         27      1700 Shares                 X               3      1700     0       0
CONSTELLATION
ENERGY GROUP INC    COMMON STOCK    210371100       1667     66436 Shares                 X               1     64015     0    2421
CONSTELLATION
ENERGY GROUP INC    COMMON STOCK    210371100       1616     64409 Shares                        X        1     59809     0    4600
CONSTELLATION
ENERGY GROUP INC    COMMON STOCK    210371100        122      4874 Shares                 X               3      4874     0       0
CONVERGYS CORP      COMMON          212485106          7      1100 Shares                 X               3      1100     0       0
CORINTHIAN
COLLEGES INC        COMMON STOCK    218868107         51      3100 Shares                 X               1      3100     0       0
CORINTHIAN
COLLEGES INC        COMMON STOCK    218868107       1126     68800 Shares                 X               3     68800     0       0
CORN PRODS INTL
INC COM             COMMON STOCK    219023108        129      4488 Shares                        X        1      4488     0       0
CORNING INC         COMMON STOCK    219350105       2067    216910 Shares                 X               1    215860     0    1050
CORNING INC         COMMON STOCK    219350105        424     44480 Shares                        X        1     39910     0    4570
CORNING INC         COMMON STOCK    219350105        391     41000 Shares                 X               2         0     0   41000
CORNING INC         COMMON STOCK    219350105        572     60016 Shares                 X               3     55852     0    2164
CORNING INC         COMMON STOCK    219350105          3       300 Shares                 X               4       300     0       0
CORTEX
PHARMACEUTICALS
INC                 COMMON STOCK    220524300          1      1390 Shares                        X        1      1390     0       0
COSTCO WHOLESALE
CORP COM            COMMON STOCK    22160K105        479      9125 Shares                 X               1      9125     0       0
COSTCO WHOLESALE
CORP COM            COMMON STOCK    22160K105        268      5100 Shares                        X        1      5100     0       0
COSTCO WHOLESALE
CORP COM            COMMON STOCK    22160K105        242      4600 Shares                 X               2         0     0    4600
COSTCO WHOLESALE
CORP COM            COMMON STOCK    22160K105        193      3680 Shares                 X               3      3680     0       0
COVANCE INC COM     COMMON STOCK    222816100         74      1617 Shares                 X               1      1617     0       0
COVANCE INC COM     COMMON STOCK    222816100         59      1283 Shares                        X        1      1283     0       0
COVENTRY HEALTH
CARE INC            COMMON STOCK    222862104         10       700 Shares                 X               1       700     0       0
COVENTRY HEALTH
CARE INC            COMMON STOCK    222862104       1391     93450 Shares                 X               2         0     0   93450
COVENTRY HEALTH
CARE INC            COMMON STOCK    222862104        914     61458 Shares           X                     2     61458     0       0
COVENTRY HEALTH
CARE INC            COMMON STOCK    222862104         20      1320 Shares                 X               3      1320     0       0
CRANE CO            COMMON STOCK    224399105        155      9000 Shares                        X        1      9000     0       0
CRAY INC            COMMON STOCK    225223304          0        75 Shares                 X               1        75     0       0
CREE RESEARCH INC
COM                 COMMON STOCK    225447101         12       750 Shares                        X        1         0     0     750
CROSS TIMBERS
ROYALTY TRUST       COMMON STOCK    22757R109          0         1 Shares                 X               1         0     0       0
CROSSTEX ENERGY
LP                  COMMON STOCK    22765U102          5      1200 Shares                 X               2         0     0    1200
CROWN HOLDINGS
INC                 COMMON STOCK    228368106        190      9875 Shares                 X               1      9875     0       0
CROWN HOLDINGS
INC                 COMMON STOCK    228368106       1310     68275 Shares                 X               3     49975     0       0
CUBIST
PHARMACEUTICALS
INC                 COMMON STOCK    229678107         19       800 Shares                 X               1       800     0       0
CUBIST
PHARMACEUTICALS
INC                 COMMON STOCK    229678107        443     18350 Shares                 X               3     18350     0       0
CUMMINS INC COM     COMMON STOCK    231021106       1119     41871 Shares                 X               1     40471     0    1400
CUMMINS INC COM     COMMON STOCK    231021106         98      3650 Shares                        X        1      1900     0    1750
CUMMINS INC COM     COMMON STOCK    231021106       1141     42665 Shares                 X               3     23962     0    1303
CURTISS WRIGHT
CORP                COMMON STOCK    231561101         42      1262 Shares                 X               1      1262     0       0
CURTISS WRIGHT
CORP                COMMON STOCK    231561101         12       360 Shares                        X        1       360     0       0
CURTISS WRIGHT
CORP                COMMON STOCK    231561101         24       728 Shares                 X               2         0     0     728
CUTERA INC          COMMON STOCK    232109108          4       400 Shares                 X               1       400     0       0
CYBERSOURCE CORP    COMMON STOCK    23251J106         25      2075 Shares                 X               1      2075     0       0
CYBERSOURCE CORP    COMMON STOCK    23251J106        538     44850 Shares                 X               3     44850     0       0
CYMER INC           COMMON STOCK    232572107          7       300 Shares                 X               2         0     0     300
CYPRESS
BIOSCIENCE INC      COMMON STOCK    232674507        213     31100 Shares                 X               1     31100     0       0
CYPRESS
BIOSCIENCE INC      COMMON STOCK    232674507        804    117600 Shares                 X               3    117600     0       0
D&E
COMMUNICATIONS
INC                 COMMON STOCK    232860106          9      1300 Shares                 X               1      1300     0       0
DCP MIDSTREAM
PARTNERS LP         COMMON STOCK    23311P100          9      1000 Shares                 X               2         0     0    1000
DNP SELECT INCOME
FUND INC            PREFERRED STOCK 23325P104         18      2928 Shares                 X               1         0     0       0
DNP SELECT INCOME
FUND INC            PREFERRED STOCK 23325P104          6      1000 Shares                        X        1         0     0       0
DPL INC             COMMON STOCK    233293109         90      3955 Shares                 X               1      3955     0       0
DPL INC             COMMON STOCK    233293109         22       968 Shares                        X        1       968     0       0
D R HORTON INC      COMMON          23331A109         19      2700 Shares                 X               3      2700     0       0
DTE ENERGY CO       COMMON STOCK    233331107        236      6614 Shares                 X               1      6614     0       0
DTE ENERGY CO       COMMON STOCK    233331107         72      2029 Shares                        X        1      1718     0     311
DTE ENERGY CO       COMMON STOCK    233331107         63      1745 Shares                 X               3      1745     0       0
DWS MUNICIPAL
INCOME TRUST        PREFERRED STOCK 23338M106         11      1400 Shares                        X        1         0     0       0
DWS STRATEGIC
MUNICIPAL INCOME    PREFERRED STOCK 23338T101         12      1500 Shares                 X               1         0     0       0
DANAHER CORP COM    COMMON STOCK    235851102        743     13117 Shares                 X               1     13117     0       0
DANAHER CORP COM    COMMON STOCK    235851102        128      2255 Shares                        X        1      1685     0     570
DANAHER CORP COM    COMMON STOCK    235851102       2778     49080 Shares                 X               2         0     0   49080
DANAHER CORP COM    COMMON STOCK    235851102       1478     26105 Shares           X                     2     26105     0       0
DANAHER CORP COM    COMMON STOCK    235851102        127      2250 Shares                 X               3      2250     0       0
DARDEN
RESTAURANTS INC
COM                 COMMON STOCK    237194105        567     20138 Shares                 X               1     20138     0       0
DARDEN
RESTAURANTS INC
COM                 COMMON STOCK    237194105        142      5025 Shares                        X        1      5025     0       0


                                       14 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
DARDEN
RESTAURANTS INC
COM                 COMMON STOCK    237194105         35      1225 Shares                 X               3      1225     0       0
DAVITA INC WITH
ATTACHED RIGHT      COMMON STOCK    23918K108          7       150 Shares                        X        1         0     0     150
DAVITA INC WITH
ATTACHED RIGHT      COMMON STOCK    23918K108         43       870 Shares                 X               3       870     0       0
DEAN FOODS CO NEW   COMMON          242370104         26      1435 Shares                 X               3      1435     0       0
DECKERS OUTDOOR
CORP                COMMON STOCK    243537107         36       450 Shares                 X               1       450     0       0
DECKERS OUTDOOR
CORP                COMMON STOCK    243537107        805     10075 Shares                 X               3     10075     0       0
DEERE & CO          COMMON STOCK    244199105       1345     35112 Shares                 X               1     34512     0     600
DEERE & CO          COMMON STOCK    244199105        286      7460 Shares                        X        1      5974     0    1486
DEERE & CO          COMMON STOCK    244199105        235      6120 Shares                 X               3      6120     0       0
DEL MONTE FOODS
CO                  COMMON STOCK    24522P103          2       223 Shares                 X               1       223     0       0
DEL MONTE FOODS
CO                  COMMON STOCK    24522P103         12      1736 Shares                        X        1      1736     0       0
DELL INC            COMMON STOCK    24702R101        350     34178 Shares                 X               1     34178     0       0
DELL INC            COMMON STOCK    24702R101        167     16290 Shares                        X        1     14090     0    2200
DELL INC            COMMON STOCK    24702R101          1       100 Shares                 X               2         0     0     100
DELL INC            COMMON STOCK    24702R101        150     14600 Shares                 X               3     14600     0       0
DELTA AIR LINES
INC                 COMMON STOCK    247361702         34      3000 Shares                 X               1      3000     0       0
DELTA PETROLEUM
CORP                COMMON STOCK    247907207         74     15500 Shares                        X        1     15500     0       0
DENBURY RESOURCES
INCORPORATED        COMMON STOCK    247916208        126     11516 Shares                 X               1     11516     0       0
DENBURY RESOURCES
INCORPORATED        COMMON STOCK    247916208        355     32500 Shares                 X               3      3400     0       0
DENTSPLY
INTERNATIONAL INC
COM                 COMMON STOCK    249030107       1229     43506 Shares                 X               1     43306     0     200
DENTSPLY
INTERNATIONAL INC
COM                 COMMON STOCK    249030107        306     10850 Shares                        X        1     10850     0       0
DENTSPLY
INTERNATIONAL INC
COM                 COMMON STOCK    249030107        519     18350 Shares                 X               3      2850     0       0
DEUTSCHE TELEKOM
AG SPONSORED        COMMON STOCK    251566105          8       505 Shares                 X               1       505     0       0
DEV DIVERSIFIED
RLTY CORP           COMMON STOCK    251591103         15      3031 Shares                 X               1         0     0       0
DEV DIVERSIFIED
RLTY CORP           COMMON STOCK    251591103          3       600 Shares                        X        1         0     0       0
DEV DIVERSIFIED
RLTY CORP           COMMON STOCK    251591103          5      1100 Shares                 X               3      1100     0       0
DEVON ENERGY CORP   COMMON STOCK    25179M103       2196     33416 Shares                 X               1     33015     0     401
DEVON ENERGY CORP   COMMON STOCK    25179M103        210      3199 Shares                        X        1      2799     0     400
DEVON ENERGY CORP   COMMON STOCK    25179M103         72      1100 Shares                 X               2         0     0    1100
DEVON ENERGY CORP   COMMON STOCK    25179M103       1316     20021 Shares                 X               3     19171     0       0
DEVRY INC           COMMON STOCK    251893103         34       600 Shares                 X               1       600     0       0
DIAGEO PLC
SPONSORED ADR       COMMON STOCK    25243Q205        278      4901 Shares                 X               1      4901     0       0
DIAGEO PLC
SPONSORED ADR       COMMON STOCK    25243Q205         23       400 Shares                        X        1       400     0       0
DIAGEO PLC
SPONSORED ADR       COMMON STOCK    25243Q205         28       500 Shares                 X               3       500     0       0
DIAMOND OFFSHORE
DRILLING COM        COMMON STOCK    25271C102          3        50 Shares                 X               1        50     0       0
DIAMONDS TR UNIT
SER 1               COMMON STOCK    252787106        175      2000 Shares                 X               1      2000     0       0
DIAMONDS TR UNIT
SER 1               COMMON STOCK    252787106        304      3470 Shares                 X               2         0     0    3470
DIEBOLD INC         COMMON STOCK    253651103          3        90 Shares                 X               1        90     0       0
DIEBOLD INC         COMMON STOCK    253651103         10       350 Shares                        X        1       350     0       0
DIGITAL REALTY
TRUST INC           COMMON STOCK    253868103         69      2100 Shares                 X               1         0     0       0
DIGITAL REALTY
TRUST INC           COMMON STOCK    253868103       1506     45850 Shares                 X               3     45850     0       0
DIONEX CORP         COMMON STOCK    254546104        623     13900 Shares                 X               2         0     0   13900
THE DIRECTV GROUP
INC                 COMMON STOCK    25459L106         79      3467 Shares                 X               1      3418     0      49
THE DIRECTV GROUP
INC                 COMMON STOCK    25459L106         33      1448 Shares                        X        1      1448     0       0
THE DIRECTV GROUP
INC                 COMMON STOCK    25459L106        108      4720 Shares                 X               3      4720     0       0
DIREXIONSHARES
FINANCIAL BULL      PREFERRED STOCK 25459W508          4       150 Shares                 X               1         0     0       0
DIREXIONSHARES
LARGE CAP BULL      PREFERRED STOCK 25459W862          7       200 Shares                 X               1         0     0       0
DISNEY WALT CO      COMMON STOCK    254687106       4957    218483 Shares                 X               1    216133     0    2350
DISNEY WALT CO      COMMON STOCK    254687106       2021     89053 Shares                        X        1     83128     0    5925
DISNEY WALT CO      COMMON STOCK    254687106        436     19200 Shares                 X               2         0     0   19200
DISNEY WALT CO      COMMON STOCK    254687106        534     23542 Shares                 X               3     22097     0    1445
DISNEY WALT CO      COMMON STOCK    254687106         10       425 Shares                 X               4       425     0       0
DISCOVER
FINANCIAL
SERVICES            COMMON STOCK    254709108         31      3224 Shares                 X               1      3224     0       0
DISCOVER
FINANCIAL
SERVICES            COMMON STOCK    254709108          6       646 Shares                        X        1       490     0     156
DISCOVER
FINANCIAL
SERVICES            COMMON STOCK    254709108         41      4285 Shares                 X               3      4285     0       0
DISCOVERY
COMMUNICATIONS
INC                 COMMON STOCK    25470F104         10       734 Shares                 X               1       734     0       0
DISCOVERY
COMMUNICATIONS
INC                 COMMON STOCK    25470F104         17      1224 Shares                        X        1      1224     0       0
DISCOVERY
COMMUNICATIONS
INC -               COMMON STOCK    25470F203         14       936 Shares                        X        1       936     0       0
DISCOVERY
COMMUNICATIONS
INC -               COMMON STOCK    25470F302         10       734 Shares                 X               1       734     0       0
DISCOVERY
COMMUNICATIONS
INC -               COMMON STOCK    25470F302         29      2160 Shares                        X        1      2160     0       0
DR REDDYS LABS
LTD ADR             COMMON STOCK    256135203         10      1000 Shares                 X               1      1000     0       0
DOLBY
LABORATORIES INC
CL A                COMMON STOCK    25659T107         39      1200 Shares                 X               2         0     0    1200
DOLLAR FINANCIAL
CORP                COMMON STOCK    256664103        128     12400 Shares                 X               1     12400     0       0
DOLLAR FINANCIAL
CORP                COMMON STOCK    256664103        367     35550 Shares                 X               3      3650     0       0
DOLLAR TREE INC     COMMON STOCK    256746108         23       550 Shares                 X               1       550     0       0
DOLLAR TREE INC     COMMON STOCK    256746108         13       307 Shares                        X        1       307     0       0
DOLLAR TREE INC     COMMON STOCK    256746108        511     12225 Shares                 X               3     12225     0       0


                                       15 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
DOMINION
RESOURCES BLACK
WARRI               COMMON STOCK    25746Q108         39      2300 Shares                 X               1      2300     0       0
DOMINION
RESOURCES INC       COMMON STOCK    25746U109       3787    105662 Shares                 X               1    104087     0    1575
DOMINION
RESOURCES INC       COMMON STOCK    25746U109       2551     71176 Shares                        X        1     61590     0    9586
DOMINION
RESOURCES INC       COMMON STOCK    25746U109        108      3000 Shares                 X               2         0     0    3000
DOMINION
RESOURCES INC       COMMON STOCK    25746U109        181      5050 Shares                 X               3      5050     0       0
DONEGAL GROUP INC
CL A                COMMON STOCK    257701201         28      1685 Shares                 X               1      1685     0       0
DONEGAL GROUP INC
CL B                COMMON STOCK    257701300         14       842 Shares                 X               1       842     0       0
DONNELLEY R R &
SONS CO             COMMON STOCK    257867101         33      2400 Shares                 X               1      2400     0       0
DONNELLEY R R &
SONS CO             COMMON STOCK    257867101         55      4066 Shares                        X        1      4066     0       0
DONNELLEY R R &
SONS CO             COMMON STOCK    257867101         58      4280 Shares                 X               2         0     0    4280
DONNELLEY R R &
SONS CO             COMMON STOCK    257867101         76      5600 Shares                 X               3      5600     0       0
DOVER CORP          COMMON STOCK    260003108        913     27725 Shares                 X               1     27725     0       0
DOVER CORP          COMMON STOCK    260003108        566     17207 Shares                        X        1     17207     0       0
DOVER CORP          COMMON STOCK    260003108         58      1760 Shares                 X               3      1760     0       0
DOW CHEMICAL CO     COMMON STOCK    260543103       2058    136364 Shares                 X               1    130889     0    5475
DOW CHEMICAL CO     COMMON STOCK    260543103        980     64935 Shares                        X        1     64660     0     275
DOW CHEMICAL CO     COMMON STOCK    260543103        625     41450 Shares                 X               2         0     0   41450
DOW CHEMICAL CO     COMMON STOCK    260543103        522     34575 Shares           X                     2     34575     0       0
DOW CHEMICAL CO     COMMON STOCK    260543103        192     12700 Shares                 X               3     12700     0       0
DR PEPPER SNAPPLE
GROUP INC           COMMON STOCK    26138E109          1        55 Shares                 X               1        55     0       0
DR PEPPER SNAPPLE
GROUP INC           COMMON STOCK    26138E109         35      2130 Shares                 X               3      2130     0       0
DREYFUS MUNICIPAL
INCOME FUND         PREFERRED STOCK 26201R102         47      7200 Shares                        X        1         0     0       0
DREYFUS STRATEGIC
MUN BD FD           PREFERRED STOCK 26202F107        153     27602 Shares                 X               1         0     0       0
DREYFUS STRATEGIC
MUN BD FD           PREFERRED STOCK 26202F107         39      7000 Shares                        X        1         0     0       0
DUPONT EI DE
NEMOURS & CO COM    COMMON STOCK    263534109       3603    142409 Shares                 X               1    141159     0    1250
DUPONT EI DE
NEMOURS & CO COM    COMMON STOCK    263534109       4031    159327 Shares                        X        1    155027     0    4300
DUPONT EI DE
NEMOURS & CO COM    COMMON STOCK    263534109        516     20400 Shares                 X               2         0     0   20400
DUPONT EI DE
NEMOURS & CO COM    COMMON STOCK    263534109        391     15436 Shares           X                     2     15436     0       0
DUPONT EI DE
NEMOURS & CO COM    COMMON STOCK    263534109        234      9265 Shares                 X               3      9265     0       0
DUPONT EI DE
NEMOURS & CO COM    COMMON STOCK    263534109          3       100 Shares                 X               4       100     0       0
DUKE REALTY CORP    COMMON STOCK    264411505         15      1350 Shares                 X               1         0     0       0
DUKE REALTY CORP    COMMON STOCK    264411505         70      6400 Shares                        X        1         0     0       0
DUKE REALTY CORP    COMMON STOCK    264411505         85      7747 Shares                 X               2         0     0       0
DUKE ENERGY CORP    COMMON STOCK    26441C105        661     44012 Shares                 X               1     37012     0    7000
DUKE ENERGY CORP    COMMON STOCK    26441C105        558     37194 Shares                        X        1     33894     0    3300
DUKE ENERGY CORP    COMMON STOCK    26441C105        239     15892 Shares                 X               3     15892     0       0
DUN & BRADSTREET
CORP                COMMON STOCK    26483E100         59       762 Shares                 X               1       574     0     188
DUN & BRADSTREET
CORP                COMMON STOCK    26483E100         65       836 Shares                        X        1       836     0       0
DUN & BRADSTREET
CORP                COMMON STOCK    26483E100         32       420 Shares                 X               3       420     0       0
DYNEGY INC          CLASS A         26817G102          7      3450 Shares                 X               3      3450     0       0
EFJ INCORPORATED    COMMON STOCK    26843B101         67     50000 Shares                 X               2         0     0   50000
EMC CORP MASS COM   COMMON STOCK    268648102       3348    319774 Shares                 X               1    317374     0    2400
EMC CORP MASS COM   COMMON STOCK    268648102        635     60637 Shares                        X        1     54492     0    6145
EMC CORP MASS COM   COMMON STOCK    268648102       3107    296800 Shares                 X               2         0     0  296800
EMC CORP MASS COM   COMMON STOCK    268648102       2079    198534 Shares           X                     2    198534     0       0
EMC CORP MASS COM   COMMON STOCK    268648102        970     92651 Shares                 X               3     88798     0    3853
ENSCO
INTERNATIONAL INC
COM                 COMMON STOCK    26874Q100       3172    111721 Shares                 X               1    108721     0    3000
ENSCO
INTERNATIONAL INC
COM                 COMMON STOCK    26874Q100        350     12320 Shares                        X        1      9775     0    2545
ENSCO
INTERNATIONAL INC
COM                 COMMON STOCK    26874Q100       1055     37144 Shares                 X               3     34936     0    2208
ENI SPA-SPONS ADR   COMMON STOCK    26874R108          1        14 Shares                 X               1        14     0       0
ENI SPA-SPONS ADR   COMMON STOCK    26874R108         10       212 Shares                 X               2         0     0     212
EOG RESOURCES INC
COM                 COMMON STOCK    26875P101       2722     40879 Shares                 X               1     40654     0     225
EOG RESOURCES INC
COM                 COMMON STOCK    26875P101        272      4085 Shares                        X        1      2715     0    1370
EOG RESOURCES INC
COM                 COMMON STOCK    26875P101       2259     33924 Shares                 X               3     32202     0    1222
EPIQ SYSTEMS INC    COMMON STOCK    26882D109         77      4600 Shares                 X               1      4600     0       0
EPIQ SYSTEMS INC    COMMON STOCK    26882D109       1702    101875 Shares                 X               3    101875     0       0
EAGLE BANCORP INC
MD                  COMMON STOCK    268948106        356     61974 Shares                 X               2         0     0   61974
EAGLE BANCORP INC
MD                  COMMON STOCK    268948106         96     16750 Shares           X                     2     16750     0       0
E TRADE FINL CORP   COMMON          269246104          4      3700 Shares                 X               3      3700     0       0
EV ENERGY PARTNER
LP                  COMMON STOCK    26926V107         18      1200 Shares                 X               2         0     0    1200
EXCO RESOURCES
INC                 COMMON STOCK    269279402         32      3500 Shares                 X               1      3500     0       0
EXCO RESOURCES
INC                 COMMON STOCK    269279402        693     76425 Shares                 X               3     76425     0       0
EAGLE MATERIALS
INC COM W RIGH      COMMON STOCK    26969P108          6       345 Shares                 X               1       345     0       0
EASTGROUP
PROPERTIES
INCORPORA           COMMON STOCK    277276101       2236     62850 Shares                 X               2         0     0       0
EASTGROUP
PROPERTIES
INCORPORA           COMMON STOCK    277276101        231      6500 Shares           X                     2      6500     0       0
EASTMAN CHEMICAL
COMPANY COM         COMMON STOCK    277432100         36      1127 Shares                 X               1      1127     0       0
EASTMAN CHEMICAL
COMPANY COM         COMMON STOCK    277432100         28       872 Shares                        X        1       372     0     500


                                       16 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
EASTMAN CHEMICAL
COMPANY COM         COMMON STOCK    277432100         22       700 Shares                 X               3       700     0       0
EASTMAN KODAK CO
COM                 COMMON STOCK    277461109         10      1520 Shares                 X               1      1520     0       0
EASTMAN KODAK CO
COM                 COMMON STOCK    277461109         20      3089 Shares                        X        1      3089     0       0
EASTMAN KODAK CO
COM                 COMMON STOCK    277461109         18      2700 Shares                 X               3      2700     0       0
EATON CORP COM      COMMON STOCK    278058102        357      7178 Shares                 X               1      7178     0       0
EATON CORP COM      COMMON STOCK    278058102         30       600 Shares                        X        1       600     0       0
EATON CORP COM      COMMON STOCK    278058102         73      1460 Shares                 X               3      1460     0       0
EATON VANCE CORP    COMMON STOCK    278265103          5       230 Shares                 X               1       230     0       0
EATON VANCE PA
MUNI INC TR         PREFERRED STOCK 27826T101         40      5000 Shares                        X        1         0     0       0
EATON VANCE
MUNICIPAL INCOME
T                   PREFERRED STOCK 27826U108         39      5000 Shares                        X        1         0     0       0
EATON VANCE
FLOATING-RATE INC   PREFERRED STOCK 278279104         17      2133 Shares                 X               1         0     0       0
EATON VANCE
TAX-ADVANTAGED
DVD                 PREFERRED STOCK 27828G107         44      3750 Shares                 X               1         0     0       0
EATON VANCE
TAX-ADVANTAGED
DVD                 PREFERRED STOCK 27828G107         45      3900 Shares                        X        1         0     0       0
EATON VANCE SR
FLOATING RATE F     PREFERRED STOCK 27828Q105         17      2200 Shares                 X               1         0     0       0
EBAY INC COM        COMMON STOCK    278642103        345     24738 Shares                 X               1     24738     0       0
EBAY INC COM        COMMON STOCK    278642103         52      3719 Shares                        X        1      3719     0       0
EBAY INC COM        COMMON STOCK    278642103        135      9670 Shares                 X               3      9670     0       0
ECOLAB INC COM      COMMON STOCK    278865100        931     26500 Shares                 X               1     26500     0       0
ECOLAB INC COM      COMMON STOCK    278865100         63      1800 Shares                        X        1      1800     0       0
ECOLAB INC COM      COMMON STOCK    278865100         53      1500 Shares                 X               3      1500     0       0
EDISON
INTERNATIONAL COM   COMMON STOCK    281020107         23       727 Shares                 X               1       727     0       0
EDISON
INTERNATIONAL COM   COMMON STOCK    281020107         93      2900 Shares                 X               3      2900     0       0
EDWARDS
LIFESCIENCES CORP
COM                 COMMON STOCK    28176E108         80      1464 Shares                 X               1      1464     0       0
EDWARDS
LIFESCIENCES CORP
COM                 COMMON STOCK    28176E108         55      1000 Shares                        X        1      1000     0       0
EL PASO CORP COM    COMMON STOCK    28336L109         27      3461 Shares                 X               1      3461     0       0
EL PASO CORP COM    COMMON STOCK    28336L109         21      2648 Shares                        X        1      2648     0       0
EL PASO CORP COM    COMMON STOCK    28336L109        117     15000 Shares                 X               2         0     0   15000
EL PASO CORP COM    COMMON STOCK    28336L109         49      6200 Shares                 X               3      6200     0       0
ELECTRONICS ARTS
COM                 COMMON STOCK    285512109        852     53089 Shares                 X               1     52989     0     100
ELECTRONICS ARTS
COM                 COMMON STOCK    285512109         81      5050 Shares                        X        1      3850     0    1200
ELECTRONICS ARTS
COM                 COMMON STOCK    285512109        158      9891 Shares                 X               3      8457     0    1434
ELECTRONICS FOR
IMAGING INC CO      COMMON STOCK    286082102         10      1000 Shares                 X               1      1000     0       0
EMBARQ CORP         COMMON STOCK    29078E105          2        65 Shares                 X               1         0     0      65
EMBARQ CORP         COMMON STOCK    29078E105          9       248 Shares                        X        1       248     0       0
EMBARQ CORP         COMMON STOCK    29078E105         48      1330 Shares                 X               3      1330     0       0
EMERSON ELECTRIC
CO                  COMMON STOCK    291011104       8183    223530 Shares                 X               1    222130     0    1400
EMERSON ELECTRIC
CO                  COMMON STOCK    291011104       4387    119834 Shares                        X        1    106104     0   13730
EMERSON ELECTRIC
CO                  COMMON STOCK    291011104       2175     59410 Shares                 X               2         0     0   59410
EMERSON ELECTRIC
CO                  COMMON STOCK    291011104        714     19500 Shares           X                     2     19500     0       0
EMERSON ELECTRIC
CO                  COMMON STOCK    291011104       2087     57025 Shares                 X               3     53888     0    2337
EMMIS
COMMUNICATIONS
CORP                COMMON STOCK    291525103          1      4000 Shares                 X               1      4000     0       0
ENCANA CORP         COMMON STOCK    292505104         33       700 Shares                 X               1       700     0       0
ENDEAVOUR
INTERNATIONAL
CORP                COMMON STOCK    29259G101          1      1000 Shares                        X        1      1000     0       0
ENERGY CONVERSION
DEVICES INC         COMMON STOCK    292659109          5       190 Shares                 X               1       190     0       0
ENERGY CONVERSION
DEVICES INC         COMMON STOCK    292659109          5       200 Shares                        X        1       200     0       0
ENERGIZER HLDGS
INC COM             COMMON STOCK    29266R108         60      1100 Shares                 X               1      1100     0       0
ENERGIZER HLDGS
INC COM             COMMON STOCK    29266R108          5       100 Shares                        X        1       100     0       0
ENERGY TRANSFER
PARTNERS LP         COMMON STOCK    29273R109         34      1000 Shares                        X        1      1000     0       0
ENERGY TRANSFER
PARTNERS LP         COMMON STOCK    29273R109         24       700 Shares                 X               2         0     0     700
ENERGY TRANSFER
EQUITY LP           COMMON STOCK    29273V100         18      1100 Shares                 X               2         0     0    1100
ENERPLUS
RESOURCES FUND      COMMON STOCK    29274D604         12       600 Shares                 X               1       600     0       0
ENERPLUS
RESOURCES FUND      COMMON STOCK    29274D604         63      3205 Shares                        X        1      3205     0       0
ENTERCOM
COMMUNICATIONS
CORP C              COMMON STOCK    293639100          1      1000 Shares                 X               1      1000     0       0
ENTERGY CORP
COM NEW             COMMON STOCK    29364G103       1058     12724 Shares                 X               1     12724     0       0
ENTERGY CORP
COM NEW             COMMON STOCK    29364G103        181      2180 Shares                        X        1      2180     0       0
ENTERGY CORP COM
NEW                 COMMON STOCK    29364G103        137      1645 Shares                 X               3      1645     0       0
ENTERPRISE GP
HOLDINGS LP         COMMON STOCK    293716106         17      1000 Shares                 X               2         0     0    1000
ENTERPRISE
PRODUCTS PARTNERS
L                   COMMON STOCK    293792107         36      1750 Shares                 X               1      1750     0       0
ENTERPRISE
PRODUCTS PARTNERS
L                   COMMON STOCK    293792107         55      2632 Shares                        X        1      2632     0       0
ENTERPRISE
PRODUCTS PARTNERS
L                   COMMON STOCK    293792107       1969     95000 Shares                 X               2         0     0   95000
ENTERPRISE
PRODUCTS PARTNERS
L                   COMMON STOCK    293792107        470     22685 Shares           X                     2     22685     0       0
ENTRAVISION
COMMUNICATIONS
COR                 COMMON STOCK    29382R107          2      1000 Shares                 X               1      1000     0       0
ENVIRONMENTAL
POWER CORP          COMMON STOCK    29406L201          0       100 Shares                 X               1       100     0       0
EQUIFAX INC COM     COMMON STOCK    294429105         72      2716 Shares                        X        1      2716     0       0
EQUIFAX INC COM     COMMON STOCK    294429105         34      1300 Shares                 X               3      1300     0       0
EQUINIX INC         COMMON STOCK    29444U502         43       800 Shares                 X               1       800     0       0
EQUINIX INC         COMMON STOCK    29444U502        948     17825 Shares                 X               3     17825     0       0


                                       17 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
EQUITABLE
RESOURCES INC       COMMON STOCK    294549100        455     13550 Shares                 X               1     13550     0       0
EQUITABLE
RESOURCES INC       COMMON STOCK    294549100        151      4500 Shares                        X        1      4500     0       0
EQUITABLE
RESOURCES INC       COMMON STOCK    294549100        642     19130 Shares                 X               3     19130     0       0
EQUITY ONE
INCORPORATED        COMMON STOCK    294752100         14       800 Shares                 X               1         0     0       0
EQUITY
RESIDENTIAL
(REIT)              COMMON STOCK    29476L107          7       250 Shares                 X               1         0     0       0
EQUITY
RESIDENTIAL
(REIT)              COMMON STOCK    29476L107        116      3900 Shares                        X        1         0     0       0
EQUITY
RESIDENTIAL
(REIT)              COMMON STOCK    29476L107          7       250 Shares                 X               2         0     0       0
EQUITY
RESIDENTIAL
(REIT)              COMMON STOCK    29476L107         72      2400 Shares                 X               3      2400     0       0
TELEFONAKTIEBOLAGET
LM ERICSSO          COMMON STOCK    294821608          8       986 Shares                 X               1       986     0       0
TELEFONAKTIEBOLAGET
LM ERICSSO          COMMON STOCK    294821608         19      2400 Shares                        X        1      2400     0       0
ERIE INDEMNITY CO
CL A                COMMON STOCK    29530P102       3311     88000 Shares                 X               1     88000     0       0
DELHAIZE GROUP
SPONSORED ADR       COMMON STOCK    29759W101          6       100 Shares                 X               1       100     0       0
EVERGREEN INCOME
ADV FD              PREFERRED STOCK 30023Y105         11      2000 Shares                 X               1         0     0       0
EVERGREEN ENERGY
INC                 COMMON STOCK    30024B104          6     20000 Shares                 X               2         0     0   20000
EVERGREEN SOLAR INC COMMON STOCK    30033R108          1       200 Shares                 X               1       200     0       0
EXELON CORP         COMMON STOCK    30161N101       4713     84759 Shares                 X               1     83909     0     850
EXELON CORP         COMMON STOCK    30161N101       1297     23317 Shares                        X        1     22867     0     450
EXELON CORP         COMMON STOCK    30161N101        310      5580 Shares                 X               3      5580     0       0
EXPEDIA INC         COMMON STOCK    30212P105          2       300 Shares                        X        1       300     0       0
EXPEDIA INC         COMMON STOCK    30212P105         15      1800 Shares                 X               3      1800     0       0
EXPEDITORS INTL
WASH INC COM        COMMON STOCK    302130109        367     11027 Shares                 X               1     11027     0       0
EXPEDITORS INTL
WASH INC COM        COMMON STOCK    302130109        216      6500 Shares                 X               2         0     0    6500
EXPEDITORS INTL
WASH INC COM        COMMON STOCK    302130109        781     23500 Shares                 X               3      4100     0       0
EXPRESS-1
EXPEDITED SOLUTIONS COMMON STOCK    30217Q108          1       800 Shares                 X               1       800     0       0
EXPRESS SCRIPTS INC COMMON STOCK    302182100      11630    211529 Shares                 X               1    207604     0    3925
EXPRESS SCRIPTS INC COMMON STOCK    302182100       2727     49591 Shares                        X        1     46301     0    3290
EXPRESS SCRIPTS INC COMMON STOCK    302182100       3503     63741 Shares                 X               3     50000     0    2466
EZCORP INC CLASS A  COMMON STOCK    302301106         70      4600 Shares                 X               1      4600     0       0
EZCORP INC CLASS A  COMMON STOCK    302301106       1566    102950 Shares                 X               3    102950     0       0
EXXON MOBIL CORP    COMMON STOCK    30231G102      86180   1079545 Shares                 X               1    067157     0   12388
EXXON MOBIL CORP    COMMON STOCK    30231G102      68146    853645 Shares                        X        1    771341     0   82304
EXXON MOBIL CORP    COMMON STOCK    30231G102       2869     35939 Shares                 X               2         0     0   35939
EXXON MOBIL CORP    COMMON STOCK    30231G102       1169     14638 Shares           X                     2     14638     0       0
EXXON MOBIL CORP    COMMON STOCK    30231G102      18427    230828 Shares                 X               3    220924     0    5504
EXXON MOBIL CORP    COMMON STOCK    30231G102         24       300 Shares                 X               4       300     0       0
FEI CO              COMMON STOCK    30241L109         25      1300 Shares                 X               1      1300     0       0
FEI CO              COMMON STOCK    30241L109        557     29525 Shares                 X               3     29525     0       0
FLIR SYSTEMS INC    COMMON STOCK    302445101         52      1700 Shares                 X               1      1700     0       0
FLIR SYSTEMS INC    COMMON STOCK    302445101        310     10095 Shares                 X               3      1495     0       0
FMC TECHNOLOGIES
INC COM             COMMON STOCK    30249U101        120      5025 Shares                 X               1      5025     0       0
FMC TECHNOLOGIES
INC COM             COMMON STOCK    30249U101        284     11900 Shares                 X               3      1200     0       0
FNB CORP PA         COMMON STOCK    302520101         93      7034 Shares                 X               1      7034     0       0
FNB CORP PA         COMMON STOCK    302520101        276     20921 Shares                        X        1     16014     0    4907
FPL GROUP INC COM   COMMON STOCK    302571104       4615     91687 Shares                 X               1     91612     0      75
FPL GROUP INC COM   COMMON STOCK    302571104       2879     57208 Shares                        X        1     48466     0    8742
FPL GROUP INC COM   COMMON STOCK    302571104        173      3430 Shares                 X               3      3430     0       0
FPL GROUP INC COM   COMMON STOCK    302571104         15       300 Shares                 X               4       300     0       0
FACET BIOTECH
CORPORATION         COMMON STOCK    30303Q103          3       300 Shares                 X               1       300     0       0
FACTSET RESEARCH
SYSTEMS INC         COMMON STOCK    303075105         40       900 Shares                        X        1       900     0       0
FAIRPOINT
COMMUNICATIONS INC  COMMON STOCK    305560104          3      1045 Shares                 X               1      1044     0       1
FAIRPOINT
COMMUNICATIONS INC  COMMON STOCK    305560104          3      1039 Shares                        X        1      1039     0       0
FAMILY DOLLAR
STORES              COMMON STOCK    307000109         39      1500 Shares                 X               1      1500     0       0
FAMILY DOLLAR
STORES              COMMON STOCK    307000109          2        75 Shares                        X        1        75     0       0
FAMILY DOLLAR
STORES              COMMON STOCK    307000109        644     24675 Shares                 X               3     24675     0       0
FASTENAL CO         COMMON STOCK    311900104        134      3842 Shares                 X               1      3842     0       0
FASTENAL CO         COMMON STOCK    311900104         41      1175 Shares                        X        1      1175     0       0
FASTENAL CO         COMMON STOCK    311900104        453     13000 Shares                 X               2         0     0   13000
FASTENAL CO         COMMON STOCK    311900104        372     10655 Shares                 X               3      2055     0       0
FREDDIE MAC         COMMON STOCK    313400301          0       150 Shares                 X               1       150     0       0
FREDDIE MAC         COMMON STOCK    313400301          0       250 Shares                        X        1       250     0       0
FREDDIE MAC         COMMON STOCK    313400301         45     61093 Shares                 X               2         0     0   61093
FREDDIE MAC         COMMON STOCK    313400301         24     32752 Shares           X                     2     32752     0       0
FED NATL MTG ASSN
COM                 COMMON STOCK    313586109          3      4240 Shares                 X               1      4240     0       0
FED NATL MTG ASSN
COM                 COMMON STOCK    313586109          8     10982 Shares                        X        1      8982     0    2000
FED NATL MTG ASSN
COM                 COMMON STOCK    313586109         40     52043 Shares                 X               2         0     0   52043
FED NATL MTG ASSN
COM                 COMMON STOCK    313586109         15     19100 Shares           X                     2     19100     0       0
FEDERAL REALTY INV
TR (REIT)           COMMON STOCK    313747206         50       800 Shares                 X               1         0     0       0


                                       18 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
FEDERAL REALTY INV
TR (REIT)           COMMON STOCK    313747206         53       860 Shares                        X        1         0     0       0
FEDERAL REALTY INV
TR (REIT)           COMMON STOCK    313747206         62      1000 Shares                 X               2         0     0       0
FEDERAL SIGNAL CORP COMMON STOCK    313855108          8      1000 Shares                 X               1      1000     0       0
FEDERATED INVS INC  CLASS B         314211103         14       800 Shares                 X               3       800     0       0
FEDEX CORP COM      COMMON STOCK    31428X106       1542     24040 Shares                 X               1     22315     0    1725
FEDEX CORP COM      COMMON STOCK    31428X106        258      4015 Shares                        X        1      3240     0     775
FEDEX CORP COM      COMMON STOCK    31428X106        132      2050 Shares                 X               2         0     0    2050
FEDEX CORP COM      COMMON STOCK    31428X106       1178     18371 Shares                 X               3     17521     0       0
FERRELLGAS PARTNERS
LP                  COMMON STOCK    315293100         15      1000 Shares                 X               1      1000     0       0
FERRELLGAS PARTNERS
LP                  COMMON STOCK    315293100         15      1000 Shares                        X        1      1000     0       0
F5 NETWORKS INC     COMMON STOCK    315616102        864     37815 Shares                 X               1     37815     0       0
F5 NETWORKS INC     COMMON STOCK    315616102         46      2015 Shares                        X        1      2015     0       0
F5 NETWORKS INC     COMMON STOCK    315616102        602     26333 Shares                 X               3      8626     0    1607
FIDELITY NATL
INFORMATION SERV    COMMON STOCK    31620M106         22      1372 Shares                 X               1      1372     0       0
FIDELITY NATL
INFORMATION SERV    COMMON STOCK    31620M106         13       801 Shares                        X        1       801     0       0
FIDELITY NATL
INFORMATION SERV    COMMON STOCK    31620M106         26      1600 Shares                 X               3      1600     0       0
FIDELITY NATIONAL
FINANCIAL -         COMMON STOCK    31620R105          7       374 Shares                 X               1       374     0       0
FIDELITY NATIONAL
FINANCIAL -         COMMON STOCK    31620R105         13       735 Shares                        X        1       735     0       0
FIDELITY NATIONAL
FINANCIAL -         COMMON STOCK    31620R105         26      1441 Shares                 X               2         0     0    1441
FIFTH THIRD BANCORP
COM                 COMMON STOCK    316773100         95     11536 Shares                 X               1     11536     0       0
FIFTH THIRD BANCORP
COM                 COMMON STOCK    316773100         17      2037 Shares                        X        1      2037     0       0
FIFTH THIRD BANCORP
COM                 COMMON STOCK    316773100        568     68781 Shares                 X               2         0     0   68781
FIFTH THIRD BANCORP
COM                 COMMON STOCK    316773100         93     11200 Shares                 X               3     11200     0       0
FIRST AMERICAN COR  COMMON          318522307          9       300 Shares                 X               3       300     0       0
FIRST CASH
FINANCIAL SERVICES  COMMON STOCK    31942D107         53      2800 Shares                 X               1      2800     0       0
FIRST CASH
FINANCIAL SERVICES  COMMON STOCK    31942D107       1181     61950 Shares                 X               3     61950     0       0
FIRST HORIZON
NATIONAL CORP       COMMON STOCK    320517105         10       980 Shares                 X               1       980     0       0
FIRST HORIZON
NATIONAL CORP       COMMON STOCK    320517105          1       103 Shares                        X        1       103     0       0
FIRST HORIZON
NATIONAL CORP       COMMON STOCK    320517105         19      1784 Shares                 X               3      1784     0       0
FIRST INDUSTRIAL
REALTY TR (RE       COMMON STOCK    32054K103         14      1817 Shares                 X               1         0     0       0
THE FIRST
MARBLEHEAD
CORPORATI           COMMON STOCK    320771108         41     31600 Shares                 X               2         0     0   31600
THE FIRST
MARBLEHEAD
CORPORATI           COMMON STOCK    320771108         54     41775 Shares           X                     2     41775     0       0
FIRST MARINER
BANCORP INCORPOR    COMMON STOCK    320795107          2      3000 Shares                        X        1      3000     0       0
FIRST NIAGARA
FINANCIAL GROUP     COMMON STOCK    33582V108         28      1762 Shares                 X               1      1762     0       0
FIRST NIAGARA
FINANCIAL GROUP     COMMON STOCK    33582V108          4       225 Shares                        X        1       225     0       0
FIRST STATE
FINANCIAL CORP FLO  COMMON STOCK    33708M206          3      3253 Shares                 X               1      3253     0       0
FISERV INC          COMMON STOCK    337738108         26       725 Shares                 X               1       725     0       0
FISERV INC          COMMON STOCK    337738108          9       250 Shares                        X        1        50     0     200
FISERV INC          COMMON STOCK    337738108       1320     36300 Shares                 X               2         0     0   36300
FISERV INC          COMMON STOCK    337738108        264      7250 Shares           X                     2      7250     0       0
FISERV INC          COMMON STOCK    337738108         53      1450 Shares                 X               3      1450     0       0
FIRSTENERGY CORP
COM                 COMMON STOCK    337932107        399      8220 Shares                 X               1      8220     0       0
FIRSTENERGY CORP
COM                 COMMON STOCK    337932107        125      2578 Shares                        X        1      2578     0       0
FIRSTENERGY CORP
COM                 COMMON STOCK    337932107         58      1200 Shares                 X               2         0     0    1200
FIRSTENERGY CORP
COM                 COMMON STOCK    337932107        129      2650 Shares                 X               3      2650     0       0
FIVE STAR QUALITY
CARE INC            COMMON STOCK    33832D106          0        10 Shares                        X        1         0     0      10
FLANDERS
CORPORATION         COMMON STOCK    338494107        793    169000 Shares                 X               2         0     0  169000
FLANDERS
CORPORATION         COMMON STOCK    338494107       1057    225306 Shares           X                     2    225306     0       0
FLEXIBLE SOLUTIONS
INTERNATION         COMMON STOCK    33938T104          1       250 Shares                 X               1       250     0       0
FLUOR CORP          COMMON STOCK    343412102        304      6770 Shares                 X               1      6770     0       0
FLUOR CORP          COMMON STOCK    343412102        148      3300 Shares                        X        1      3300     0       0
FLUOR CORP          COMMON STOCK    343412102         68      1510 Shares                 X               3      1510     0       0
FLOWERS FOODS INC
COM                 COMMON STOCK    343498101        110      4530 Shares                 X               2         0     0    4530
FLOWSERVE CORP COM  COMMON STOCK    34354P105         31       600 Shares                 X               1       600     0       0
FLOWSERVE CORP COM  COMMON STOCK    34354P105         28       545 Shares                 X               3       545     0       0
FORD MOTOR CO       COMMON STOCK    345370860         25     11022 Shares                 X               1     11022     0       0
FORD MOTOR CO       COMMON STOCK    345370860          7      3229 Shares                        X        1      2766     0     463
FORD MOTOR CO       COMMON STOCK    345370860        162     14283 Shares           X                     2     14283     0       0
FORD MOTOR CO       COMMON STOCK    345370860         45     19438 Shares                 X               3     19438     0       0
FOREST CITY
ENTERPRISES INC     COMMON STOCK    345550107          7      1000 Shares                 X               2         0     0    1000
FOREST LABS INC COM COMMON STOCK    345838106       1747     68571 Shares                 X               1     68571     0       0
FOREST LABS INC COM COMMON STOCK    345838106         51      1985 Shares                        X        1      1985     0       0
FOREST LABS INC COM COMMON STOCK    345838106       1965     77233 Shares                 X               3     57255     0     928
FOREST OIL CORP     COMMON STOCK    346091705          8       500 Shares                 X               1       500     0       0
FORESTAR GROUP INC  COMMON STOCK    346233109          0        42 Shares                 X               1        42     0       0
FORTUNE BRANDS INC  COMMON STOCK    349631101        511     12373 Shares                 X               1     12373     0       0
FORTUNE BRANDS INC  COMMON STOCK    349631101        332      8039 Shares                        X        1      5932     0    2107


                                       19 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
FORTUNE BRANDS INC  COMMON STOCK    349631101         10       250 Shares                 X               2         0     0     250
FORTUNE BRANDS INC  COMMON STOCK    349631101         58      1400 Shares                 X               3      1400     0       0
FOSTER LB COMPANY
CLASS A             COMMON STOCK    350060109         74      2350 Shares                 X               1      2350     0       0
FOSTER LB COMPANY
CLASS A             COMMON STOCK    350060109       1641     52475 Shares                 X               3     52475     0       0
FOUNDATION COAL
HOLDINGS INC        COMMON STOCK    35039W100         27      1950 Shares                 X               1      1950     0       0
FOUNDATION COAL
HOLDINGS INC        COMMON STOCK    35039W100        607     43300 Shares                 X               3     43300     0       0
FRANCE TELECOM
SA-SPONS ADR        COMMON STOCK    35177Q105          2        70 Shares                 X               1        70     0       0
FRANKLIN RESOURCES
INC                 COMMON STOCK    354613101         53       825 Shares                 X               1       825     0       0
FRANKLIN RESOURCES
INC                 COMMON STOCK    354613101         22       350 Shares                        X        1       350     0       0
FRANKLIN RESOURCES
INC                 COMMON STOCK    354613101         84      1320 Shares                 X               3      1320     0       0
FRED'S INC CL A     COMMON STOCK    356108100         25      2300 Shares                 X               1      2300     0       0
FRED'S INC CL A     COMMON STOCK    356108100        537     49950 Shares                 X               3     49950     0       0
FREEPORT-MCMORAN
CPR & GLD INC       COMMON STOCK    35671D857        518     21187 Shares                 X               1     21087     0     100
FREEPORT-MCMORAN
CPR & GLD INC       COMMON STOCK    35671D857         87      3575 Shares                        X        1      3575     0       0
FREEPORT-MCMORAN
CPR & GLD INC       COMMON STOCK    35671D857        325     13334 Shares                 X               3     12834     0       0
FRONTEER
DEVELOPMENT GROUP
INC                 COMMON STOCK    35903Q106          1       500 Shares                 X               1       500     0       0
FRONTIER
COMMUNICATIONS CORP COMMON STOCK    35906A108         81      9298 Shares                 X               1      7798     0    1500
FRONTIER
COMMUNICATIONS CORP COMMON STOCK    35906A108         46      5250 Shares                        X        1      3500     0    1750
FRONTIER
COMMUNICATIONS CORP COMMON STOCK    35906A108         28      3200 Shares                 X               2         0     0    3200
FRONTIER
COMMUNICATIONS CORP COMMON STOCK    35906A108         71      8100 Shares                 X               3      8100     0       0
FUEL SYSTEMS
SOLUTIONS INC       COMMON STOCK    35952W103          8       250 Shares                 X               1       250     0       0
FULL HOUSE RESORTS
INC                 COMMON STOCK    359678109          1       500 Shares                 X               1       500     0       0
FULTON FINANCIAL
CORP                COMMON STOCK    360271100       1621    168546 Shares                 X               1    168546     0       0
FULTON FINANCIAL
CORP                COMMON STOCK    360271100        538     55960 Shares                        X        1     53818  1800     342
FULTON FINANCIAL
CORP                COMMON STOCK    360271100         96     10000 Shares                 X               3     10000     0       0
FULTON FINANCIAL
CORP                COMMON STOCK    360271100       3774    392282 Shares           X                          392282     0       0
GABELLI EQUITY
TRUST               PREFERRED STOCK 362397101          6      1509 Shares                 X               1         0     0       0
GALLAGHER ARTHUR
J. & CO             COMMON STOCK    363576109         26      1000 Shares                 X               1      1000     0       0
GAMESTOP CORP -
CLASS A             COMMON STOCK    36467W109       1574     72680 Shares                 X               1     72200     0     480
GAMESTOP CORP -
CLASS A             COMMON STOCK    36467W109       1633     75446 Shares                 X               3     48746     0       0
GANNETT CO INC      COMMON STOCK    364730101         59      7411 Shares                 X               1      7411     0       0
GANNETT CO INC      COMMON STOCK    364730101         47      5850 Shares                        X        1      5850     0       0
GANNETT CO INC      COMMON STOCK    364730101         11      1332 Shares                 X               2         0     0    1332
GANNETT CO INC      COMMON STOCK    364730101         16      2000 Shares                 X               3      2000     0       0
GAP INC COM         COMMON STOCK    364760108         43      3195 Shares                 X               1      3195     0       0
GAP INC COM         COMMON STOCK    364760108         94      7000 Shares                        X        1      7000     0       0
GAP INC COM         COMMON STOCK    364760108         52      3900 Shares                 X               3      3900     0       0
GEN-PROBE INC       COMMON STOCK    36866T103        133      3100 Shares                 X               1      3100     0       0
GEN-PROBE INC       COMMON STOCK    36866T103        373      8700 Shares                 X               3       900     0       0
GENCORP INC         COMMON STOCK    368682100          2       645 Shares                 X               1       645     0       0
GENELABS
TECHNOLOGIES INC    COMMON STOCK    368706206          1       600 Shares                 X               1       600     0       0
GENENTECH INC       COMMON STOCK    368710406       2764     33332 Shares                 X               1     32532     0     800
GENENTECH INC       COMMON STOCK    368710406        517      6240 Shares                        X        1      5390     0     850
GENENTECH INC       COMMON STOCK    368710406        124      1500 Shares                 X               2         0     0    1500
GENERAL AMERICAN
INVESTORS CO        PREFERRED STOCK 368802104         32      1829 Shares                 X               2         0     0       0
GENERAL CABLE
CORPORATION         COMMON STOCK    369300108         37      2100 Shares                 X               1      2100     0       0
GENERAL CABLE
CORPORATION         COMMON STOCK    369300108        901     50900 Shares                 X               3     50900     0       0
GENERAL
COMMUNICATIONS INC
CLA                 COMMON STOCK    369385109          2       200 Shares                 X               2         0     0     200
GENERAL DYNAMICS
CORP COM            COMMON STOCK    369550108       3112     54041 Shares                 X               1     54041     0       0
GENERAL DYNAMICS
CORP COM            COMMON STOCK    369550108        739     12825 Shares                        X        1     12825     0       0
GENERAL DYNAMICS
CORP COM            COMMON STOCK    369550108        228      3950 Shares                 X               3      3950     0       0
GENERAL ELECTRIC
COMPANY             COMMON STOCK    369604103      30230   1866035 Shares                 X               1    838493     0   27542
GENERAL ELECTRIC
COMPANY             COMMON STOCK    369604103      27938   1724577 Shares                        X        1    647315     0   77262
GENERAL ELECTRIC
COMPANY             COMMON STOCK    369604103       7009    432683 Shares                 X               2         0     0  432683
GENERAL ELECTRIC
COMPANY             COMMON STOCK    369604103       2727    168359 Shares           X                     2    168359     0       0
GENERAL ELECTRIC
COMPANY             COMMON STOCK    369604103       5355    330559 Shares                 X               3    319309     0   11250
GENERAL ELECTRIC
COMPANY             COMMON STOCK    369604103          9       550 Shares                 X               4       550     0       0
GENERAL GROWTH
PPTYS INC           COMMON STOCK    370021107         13     10191 Shares                 X               2         0     0       0
GENERAL MILLS INC   COMMON STOCK    370334104       3850     63381 Shares                 X               1     63381     0       0
GENERAL MILLS INC   COMMON STOCK    370334104       1620     26665 Shares                        X        1     26265     0     400
GENERAL MILLS INC   COMMON STOCK    370334104        122      2000 Shares                 X               2         0     0    2000
GENERAL MILLS INC   COMMON STOCK    370334104        285      4695 Shares                 X               3      4695     0       0
GENERAL MILLS INC   COMMON STOCK    370334104          9       150 Shares                 X               4       150     0       0
GENERAL MOTORS CORP
COM                 COMMON STOCK    370442105         11      3580 Shares                 X               1      3000     0     580
GENERAL MOTORS CORP
COM                 COMMON STOCK    370442105          8      2572 Shares                        X        1      2424     0     148
GENERAL MOTORS CORP
COM                 COMMON STOCK    370442105          3      1000 Shares                 X               2         0     0    1000
GENERAL MOTORS CORP
COM                 COMMON STOCK    370442105         14      4425 Shares                 X               3      4425     0       0


                                       20 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
GENERAL MOTORS CORP
PFD 5.25%           PREFERRED STOCK 370442733          1       200 Shares                 X               1         0     0       0
GENESEE & WYOMING   COMMON STOCK    371559105         24       800 Shares                 X               1       800     0       0
GENESEE & WYOMING   COMMON STOCK    371559105        575     18850 Shares                 X               3     18850     0       0
GENESIS LEASE
LTD-ADS             COMMON STOCK    37183T107          1       500 Shares                 X               1       500     0       0
GENESIS ENERGY LP   COMMON STOCK    371927104         17      2000 Shares                 X               2         0     0    2000
GENUINE PARTS INC   COMMON STOCK    372460105        164      4337 Shares                 X               1      4337     0       0
GENUINE PARTS INC   COMMON STOCK    372460105        237      6250 Shares                        X        1      6250     0       0
GENUINE PARTS INC   COMMON STOCK    372460105        121      3200 Shares                 X               2         0     0    3200
GENUINE PARTS INC   COMMON STOCK    372460105        276      7300 Shares           X                     2      7300     0       0
GENUINE PARTS INC   COMMON STOCK    372460105         51      1360 Shares                 X               3      1360     0       0
GENWORTH FINANCIAL
INC - CL A          COMMON STOCK    37247D106          0        85 Shares                 X               1        85     0       0
GENWORTH FINANCIAL
INC - CL A          COMMON STOCK    37247D106         10      3695 Shares                 X               3      3695     0       0
GENZYME CORP COM    COMMON STOCK    372917104       1471     22171 Shares                 X               1     21596     0     575
GENZYME CORP COM    COMMON STOCK    372917104        110      1660 Shares                        X        1      1360     0     300
GENZYME CORP COM    COMMON STOCK    372917104        154      2325 Shares                 X               3      2325     0       0
GIBRALTAR
INDUSTRIES INC      COMMON STOCK    374689107          6       500 Shares                 X               1         0     0     500
GILEAD SCIENCES INC
COM                 COMMON STOCK    375558103       5285    103336 Shares                 X               1    102286     0    1050
GILEAD SCIENCES INC
COM                 COMMON STOCK    375558103        654     12788 Shares                        X        1     11468     0    1320
GILEAD SCIENCES INC
COM                 COMMON STOCK    375558103       3797     74260 Shares                 X               3     70480     0    2330
GLADSTONE CAPITAL
CORP                COMMON STOCK    376535100         40      5000 Shares                 X               1      5000     0       0
GLADSTONE CAPITAL
CORP                COMMON STOCK    376535100       2528    312500 Shares                 X               2         0     0  312500
GLADSTONE CAPITAL
CORP                COMMON STOCK    376535100       1049    129605 Shares           X                     2    129605     0       0
GLADSTONE
COMMERCIAL CORP     COMMON STOCK    376536108         34      4000 Shares                 X               1         0     0       0
GLADSTONE
COMMERCIAL CORP     COMMON STOCK    376536108       2469    290493 Shares                 X               2         0     0       0
GLATFELTER          COMMON STOCK    377316104        302     32495 Shares                 X               1     32495     0       0
GLATFELTER          COMMON STOCK    377316104         18      1908 Shares                        X        1      1908     0       0
GLAXOSMITHKLINE PLC
ADR                 COMMON STOCK    37733W105        733     19666 Shares                 X               1     18756     0     910
GLAXOSMITHKLINE PLC
ADR                 COMMON STOCK    37733W105       1264     33926 Shares                        X        1     28426     0    5500
GLAXOSMITHKLINE PLC
ADR                 COMMON STOCK    37733W105         90      2427 Shares                 X               2         0     0    2427
GLOBAL PAYMENTS INC COMMON STOCK    37940X102         63      1925 Shares                 X               1      1925     0       0
GLOBAL PAYMENTS INC COMMON STOCK    37940X102        259      7900 Shares                 X               3       800     0       0
GMX RESOURCES INC   COMMON STOCK    38011M108         18       700 Shares                 X               1       700     0       0
GMX RESOURCES INC   COMMON STOCK    38011M108        399     15775 Shares                 X               3     15775     0       0
GOLD FIELDS LIMITED
ADR                 COMMON STOCK    38059T106          2       250 Shares                 X               1       250     0       0
GOLDMAN SACHS GROUP
INC COM             COMMON STOCK    38141G104       3064     36313 Shares                 X               1     34938     0    1375
GOLDMAN SACHS GROUP
INC COM             COMMON STOCK    38141G104        790      9356 Shares                        X        1      8601     0     755
GOLDMAN SACHS GROUP
INC COM             COMMON STOCK    38141G104        114      1350 Shares                 X               2         0     0    1350
GOLDMAN SACHS GROUP
INC COM             COMMON STOCK    38141G104       2461     29167 Shares                 X               3     28026     0     441
GOODRICH CORP       COMMON STOCK    382388106         41      1100 Shares                 X               1      1100     0       0
GOODRICH CORP       COMMON STOCK    382388106         43      1150 Shares                 X               3      1150     0       0
GOODYEAR TIRE &
RUBBER CO           COMMON STOCK    382550101          1       100 Shares                        X        1       100     0       0
GOODYEAR TIRE &
RUBBER CO           COMMON STOCK    382550101         13      2200 Shares                 X               3      2200     0       0
GOOGLE INC CL A     COMMON STOCK    38259P508       6341     20611 Shares                 X               1     20381     0     230
GOOGLE INC CL A     COMMON STOCK    38259P508        474      1542 Shares                        X        1      1182     0     360
GOOGLE INC CL A     COMMON STOCK    38259P508       6162     20030 Shares                 X               2         0     0   20030
GOOGLE INC CL A     COMMON STOCK    38259P508       3263     10605 Shares           X                     2     10605     0       0
GOOGLE INC CL A     COMMON STOCK    38259P508       5217     16966 Shares                 X               3     16258     0     333
WR GRACE & CO       COMMON STOCK    38388F108         30      5000 Shares                 X               2         0     0    5000
GRACO INC COM       COMMON STOCK    384109104        156      6589 Shares                 X               1      6589     0       0
GRACO INC COM       COMMON STOCK    384109104          4       150 Shares                        X        1       150     0       0
GRACO INC COM       COMMON STOCK    384109104        308     13000 Shares                 X               3      1400     0       0
GRAFTECH
INTERNATIONAL LTD   COMMON STOCK    384313102         54      6505 Shares                 X               1      6505     0       0
GRAFTECH
INTERNATIONAL LTD   COMMON STOCK    384313102       1118    134450 Shares                 X               3    134450     0       0
W W GRAINGER INC
COM                 COMMON STOCK    384802104        457      5800 Shares                 X               1      5800     0       0
W W GRAINGER INC
COM                 COMMON STOCK    384802104        205      2600 Shares                        X        1      2600     0       0
W W GRAINGER INC
COM                 COMMON STOCK    384802104         79      1000 Shares                 X               2         0     0    1000
W W GRAINGER INC
COM                 COMMON STOCK    384802104         48       605 Shares                 X               3       605     0       0
GRANITE
CONSTRUCTION
INCORPORA           COMMON STOCK    387328107        102      2325 Shares                 X               1      2325     0       0
GRANITE
CONSTRUCTION
INCORPORA           COMMON STOCK    387328107       1567     35650 Shares                 X               3     35650     0       0
GREAT PLAINS ENERGY
INC                 COMMON STOCK    391164100         11       570 Shares                 X               1       570     0       0
GREAT PLAINS ENERGY
INC                 COMMON STOCK    391164100         16       850 Shares                        X        1       850     0       0
GREATER CHINA FUND
INC                 PREFERRED STOCK 39167B102          5       631 Shares                 X               1         0     0       0
GREATER CHINA FUND
INC                 PREFERRED STOCK 39167B102          1       150 Shares                        X        1         0     0       0
GREENBRIER
COMPANIES INC       COMMON STOCK    393657101         41      6000 Shares                 X               2         0     0    6000
GREENBRIER COS CONV
2.375%  5           OTHER           393657AD3        198    500000 Shares                 X               2         0     0       0
GUARANTY FINANCIAL
GROUP               COMMON STOCK    40108N106          0        42 Shares                 X               1        42     0       0
HCC INS HLDGS INC
COM                 COMMON STOCK    404132102        195      7284 Shares                 X               1      7284     0       0


                                       21 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
HCC INS HLDGS INC
COM                 COMMON STOCK    404132102        545     20366 Shares                 X               3      2166     0       0
HCP INCORPORATED
REITS               COMMON STOCK    40414L109         28      1000 Shares                 X               1         0     0       0
HCP INCORPORATED
REITS               COMMON STOCK    40414L109          8       300 Shares                        X        1         0     0       0
HCP INCORPORATED
REITS               COMMON STOCK    40414L109         92      3316 Shares                 X               2         0     0       0
HCP INCORPORATED
REITS               COMMON STOCK    40414L109         34      1230 Shares                 X               3      1230     0       0
HRPT PROPERTIES
TRUST (REIT)        COMMON STOCK    40426W101          0       148 Shares                 X               1         0     0       0
HRPT PROPERTIES
TRUST (REIT)        COMMON STOCK    40426W101          4      1200 Shares                        X        1         0     0       0
HSBC HOLDINGS PLC
SPON ADR            COMMON STOCK    404280406         31       641 Shares                 X               1       641     0       0
HSBC HOLDINGS PLC
SPON ADR            COMMON STOCK    404280406         28       571 Shares                        X        1       571     0       0
HSN INCORPORATED    COMMON STOCK    404303109          1       200 Shares                 X               1       200     0       0
HSN INCORPORATED    COMMON STOCK    404303109          2       320 Shares                        X        1       320     0       0
HAEMONETICS CORP
MASS                COMMON STOCK    405024100         51       900 Shares                 X               1       900     0       0
HAEMONETICS CORP
MASS                COMMON STOCK    405024100       1148     20325 Shares                 X               3     20325     0       0
HALLIBURTON HLDG CO
COM                 COMMON STOCK    406216101        162      8936 Shares                 X               1      7836     0    1100
HALLIBURTON HLDG CO
COM                 COMMON STOCK    406216101        122      6732 Shares                        X        1      6732     0       0
HALLIBURTON HLDG CO
COM                 COMMON STOCK    406216101        136      7475 Shares                 X               3      7475     0       0
JOHN HANCOCK PATR
PREM DIV FD         PREFERRED STOCK 41013T105          8      1123 Shares                        X        1         0     0       0
JOHN HANCOCK PFD
INC FD II           PREFERRED STOCK 41013X106         14      1050 Shares                 X               1         0     0       0
HANESBRANDS INC     COMMON STOCK    410345102          3       237 Shares                 X               1       237     0       0
HANESBRANDS INC     COMMON STOCK    410345102         11       850 Shares                        X        1       450     0     400
HARLEY-DAVIDSON INC COMMON STOCK    412822108        264     15574 Shares                 X               1     15574     0       0
HARLEY-DAVIDSON INC COMMON STOCK    412822108         69      4050 Shares                        X        1       850     0    3200
HARLEY-DAVIDSON INC COMMON STOCK    412822108         36      2100 Shares                 X               3      2100     0       0
HARLEYSVILLE
NATIONAL CORP       COMMON STOCK    412850109          7       500 Shares                 X               1       500     0       0
HARMAN
INTERNATIONAL
INDUSTRIE           COMMON STOCK    413086109         12       700 Shares                 X               2         0     0     700
HARMAN
INTERNATIONAL
INDUSTRIE           COMMON STOCK    413086109         10       575 Shares                 X               3       575     0       0
HARMONIC LIGHTWAVES
INC COM             COMMON STOCK    413160102         12      2200 Shares                 X               1      2200     0       0
HARMONIC LIGHTWAVES
INC COM             COMMON STOCK    413160102        278     49500 Shares                 X               3     49500     0       0
HARMONY GOLD
MINING-SPON ADR     COMMON STOCK    413216300          1       116 Shares                 X               1       116     0       0
HARRIS & HARRIS
GROUP INC           COMMON STOCK    413833104          1       250 Shares                 X               1       250     0       0
HARRIS CORP         COMMON STOCK    413875105       3827    100576 Shares                 X               1    100576     0       0
HARRIS CORP         COMMON STOCK    413875105        400     10505 Shares                        X        1     10505     0       0
HARRIS CORP         COMMON STOCK    413875105       2856     75060 Shares                 X               3     51911     0    2049
HARSCO CORP         COMMON STOCK    415864107      10233    369706 Shares                 X               1    300187     0   69519
HARSCO CORP         COMMON STOCK    415864107       2947    106478 Shares                        X        1    106478     0       0
HARSCO CORP         COMMON STOCK    415864107       1974     71321 Shares                 X               3     49817     0    2104
HARTFORD FINANCIAL
SVCS GRP IN         COMMON STOCK    416515104        299     18234 Shares                 X               1     15674     0    2560
HARTFORD FINANCIAL
SVCS GRP IN         COMMON STOCK    416515104        129      7834 Shares                        X        1      6794     0    1040
HARTFORD FINANCIAL
SVCS GRP IN         COMMON STOCK    416515104         14       840 Shares                 X               2         0     0     840
HARTFORD FINANCIAL
SVCS GRP IN         COMMON STOCK    416515104         42      2560 Shares                 X               3      2560     0       0
HARTFORD FINANCIAL
SVCS GRP IN         COMMON STOCK    416515104          2       100 Shares                 X               4       100     0       0
HARVEST ENERGY
TRUST-UNITS         COMMON STOCK    41752X101          1       100 Shares                 X               1       100     0       0
HARVEST ENERGY
TRUST-UNITS         COMMON STOCK    41752X101          1       100 Shares                        X        1       100     0       0
HASBRO INC          COMMON STOCK    418056107          5       170 Shares                 X               1       170     0       0
HASBRO INC          COMMON STOCK    418056107         31      1050 Shares                 X               3      1050     0       0
HAYNES
INTERNATIONAL INC   COMMON STOCK    420877201          1        25 Shares                 X               1        25     0       0
HEALTH
MANAGEMENT-CLASS A  COMMON STOCK    421933102          4      2400 Shares                 X               1      2400     0       0
HEALTH
MANAGEMENT-CLASS A  COMMON STOCK    421933102          3      1735 Shares                        X        1      1385     0     350
HEALTHCARE REALTY
TRUST INC (R        COMMON STOCK    421946104          8       350 Shares                 X               1         0     0       0
HEALTHCARE REALTY
TRUST INC (R        COMMON STOCK    421946104        155      6600 Shares                 X               2         0     0       0
HEALTH CARE REIT
INC                 COMMON STOCK    42217K106         19       450 Shares                        X        1         0     0       0
HEALTH CARE REIT
INC                 COMMON STOCK    42217K106        338      8000 Shares                 X               2         0     0       0
HEALTH NET INC COM  COMMON STOCK    42222G108          5       500 Shares                 X               1       500     0       0
HEARTLAND PAYMENT
SYSTEMS INC         COMMON STOCK    42235N108         65      3700 Shares                 X               2         0     0    3700
HECLA MNG CO COM    COMMON STOCK    422704106          1       350 Shares                 X               1       350     0       0
HEINZ H J CO COM    COMMON STOCK    423074103        923     24546 Shares                 X               1     24546     0       0
HEINZ H J CO COM    COMMON STOCK    423074103        506     13466 Shares                        X        1     13466     0       0
HEINZ H J CO COM    COMMON STOCK    423074103        143      3800 Shares                 X               2         0     0    3800
HEINZ H J CO COM    COMMON STOCK    423074103        326      8662 Shares           X                     2      8662     0       0
HEINZ H J CO COM    COMMON STOCK    423074103        105      2800 Shares                 X               3      2800     0       0
HELIX ENERGY
SOLUTIONS GRP       COMMON STOCK    42330P107          2       218 Shares                 X               1       218     0       0
HELMERICH & PAYNE
INC COM             COMMON STOCK    423452101          5       200 Shares                        X        1       200     0       0
HERCULES TECHNOLOGY
GROWTH              COMMON STOCK    427096508         16      2000 Shares                 X               1      2000     0       0
THE HERSHEY COMPANY COMMON STOCK    427866108       2876     82788 Shares                 X               1     79913     0    2875
THE HERSHEY COMPANY COMMON STOCK    427866108       1251     36019 Shares                        X        1     30319     0    5700
THE HERSHEY COMPANY COMMON STOCK    427866108         28       800 Shares                 X               2         0     0     800
THE HERSHEY COMPANY COMMON STOCK    427866108        431     12391 Shares                 X               3     10447     0    1944


                                       22 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
HESS CORPORATION    COMMON STOCK    42809H107         17       315 Shares                 X               1       315     0       0
HESS CORPORATION    COMMON STOCK    42809H107        132      2455 Shares                 X               3      2455     0       0
HEWLETT-PACKARD CO  COMMON STOCK    428236103       8751    241149 Shares                 X               1    239517     0    1632
HEWLETT-PACKARD CO  COMMON STOCK    428236103       2363     65120 Shares                        X        1     61420     0    3700
HEWLETT-PACKARD CO  COMMON STOCK    428236103        893     24600 Shares                 X               2         0     0   24600
HEWLETT-PACKARD CO  COMMON STOCK    428236103        531     14630 Shares           X                     2     14630     0       0
HEWLETT-PACKARD CO  COMMON STOCK    428236103       4820    132807 Shares                 X               3    127278     0    3329
HEWLETT-PACKARD CO  COMMON STOCK    428236103          9       237 Shares                 X               4       237     0       0
HEXCEL CORP         COMMON STOCK    428291108         16      2200 Shares                 X               1      2200     0       0
HEXCEL CORP         COMMON STOCK    428291108        358     48400 Shares                 X               3     48400     0       0
HI/FN INC           COMMON STOCK    428358105          1       260 Shares                 X               1       260     0       0
HILAND PARTNERS LP  COMMON STOCK    431291103          4       700 Shares                 X               2         0     0     700
HILAND HOLDINGS GP
LP                  COMMON STOCK    43129M107        128     54100 Shares                 X               2         0     0   54100
HOKU SCIENTIFIC INC COMMON STOCK    434712105          1       500 Shares                 X               1       500     0       0
HOLOGIC INC COM     COMMON STOCK    436440101       1876    143501 Shares                 X               1    142831     0     670
HOLOGIC INC COM     COMMON STOCK    436440101        240     18373 Shares                        X        1     11273     0    7100
HOLOGIC INC COM     COMMON STOCK    436440101       1211     92769 Shares                 X               3     61435     0    4306
HOME DEPOT INC COM  COMMON STOCK    437076102       5477    237941 Shares                 X               1    234391     0    3550
HOME DEPOT INC COM  COMMON STOCK    437076102       2106     91477 Shares                        X        1     85452     0    6025
HOME DEPOT INC COM  COMMON STOCK    437076102        424     18400 Shares                 X               2         0     0   18400
HOME DEPOT INC COM  COMMON STOCK    437076102       1298     56399 Shares           X                     2     56399     0       0
HOME DEPOT INC COM  COMMON STOCK    437076102       1754     76154 Shares                 X               3     73267     0    2887
HOME DEPOT INC COM  COMMON STOCK    437076102          5       200 Shares                 X               4       200     0       0
HOME PROPERTIES INC
(REIT)              COMMON STOCK    437306103         60      1475 Shares                 X               1         0     0       0
HOME PROPERTIES INC
(REIT)              COMMON STOCK    437306103        186      4588 Shares                        X        1         0     0       0
HOME PROPERTIES INC
(REIT)              COMMON STOCK    437306103       4057     99929 Shares                 X               2         0     0       0
HOME PROPERTIES INC
(REIT)              COMMON STOCK    437306103       1096     26998 Shares           X                     2     26998     0       0
HONDA MTR LTD AMERN
SHS                 COMMON STOCK    438128308          4       200 Shares                 X               1       200     0       0
HONEYWELL INTL INC
COM                 COMMON STOCK    438516106        582     17721 Shares                 X               1     17721     0       0
HONEYWELL INTL INC
COM                 COMMON STOCK    438516106        998     30403 Shares                        X        1     30403     0       0
HONEYWELL INTL INC
COM                 COMMON STOCK    438516106        399     12150 Shares                 X               2         0     0   12150
HONEYWELL INTL INC
COM                 COMMON STOCK    438516106        457     13912 Shares           X                     2     13912     0       0
HONEYWELL INTL INC
COM                 COMMON STOCK    438516106        212      6455 Shares                 X               3      6455     0       0
HONEYWELL INTL INC
COM                 COMMON STOCK    438516106         10       300 Shares                 X               4       300     0       0
HOSPIRA INC         COMMON STOCK    441060100        108      4029 Shares                 X               1      4029     0       0
HOSPIRA INC         COMMON STOCK    441060100         65      2413 Shares                        X        1      2043     0     370
HOSPIRA INC         COMMON STOCK    441060100         38      1400 Shares                 X               3      1400     0       0
HOSPITALITY
PROPERTIES TRUST (  COMMON STOCK    44106M102          5       309 Shares                 X               1         0     0       0
HOSPITALITY
PROPERTIES TRUST (  COMMON STOCK    44106M102          4       300 Shares                        X        1         0     0       0
HOST HOTELS &
RESORTS INC         COMMON STOCK    44107P104          0        61 Shares                 X               1         0     0       0
HOST HOTELS &
RESORTS INC         COMMON STOCK    44107P104          3       410 Shares                        X        1         0     0       0
HOST HOTELS &
RESORTS INC         COMMON STOCK    44107P104         91     11978 Shares                 X               2         0     0       0
HOST HOTELS &
RESORTS INC         COMMON STOCK    44107P104         34      4500 Shares                 X               3      4500     0       0
HUANENG POWER
INTL-SPONS ADR      COMMON STOCK    443304100         76      2620 Shares                        X        1      2620     0       0
HUDSON CITY BANCORP COMMON          443683107         70      4400 Shares                 X               3      4400     0       0
HUDSON HIGHLAND
GROUP INC           COMMON STOCK    443792106          0        18 Shares                 X               1        18     0       0
HUDSON TECHNOLOGIES
INC                 COMMON STOCK    444144109          1       500 Shares                 X               1       500     0       0
HUGOTON ROYALTY
TRUST               COMMON STOCK    444717102          2       100 Shares                 X               1       100     0       0
HUMANA INC COM      COMMON STOCK    444859102        611     16398 Shares                 X               1     16398     0       0
HUMANA INC COM      COMMON STOCK    444859102        802     21516 Shares                 X               3     20416     0       0
HUMAN GENOME
SCIENCES INC        COMMON STOCK    444903108         13      6200 Shares                        X        1      6200     0       0
HUMAN GENOME
SCIENCES INC        COMMON STOCK    444903108          1       600 Shares                 X               2         0     0     600
HUNTINGTON
BANCSHARES INC COM  COMMON STOCK    446150104         13      1709 Shares                 X               1      1709     0       0
HUNTINGTON
BANCSHARES INC COM  COMMON STOCK    446150104         24      3100 Shares                 X               3      3100     0       0
IAC/INTERACTIVECORP COMMON STOCK    44919P508         10       604 Shares                 X               1       604     0       0
IAC/INTERACTIVECORP COMMON STOCK    44919P508         14       887 Shares                        X        1       887     0       0
ING PRIME RATE TR   PREFERRED STOCK 44977W106          7      2000 Shares                        X        1         0     0       0
IMS HEALTH INC COM  COMMON STOCK    449934108        176     11587 Shares                 X               1     10835     0     752
IMS HEALTH INC COM  COMMON STOCK    449934108         31      2040 Shares                        X        1      1740     0     300
IMS HEALTH INC COM  COMMON STOCK    449934108         25      1650 Shares                 X               3      1650     0       0
ISTAR FINANCIAL INC COMMON STOCK    45031U101          6      2500 Shares                 X               1         0     0       0
ISTAR FINANCIAL INC COMMON STOCK    45031U101        295    132500 Shares                 X               2         0     0       0
ISTAR FINANCIAL INC COMMON STOCK    45031U101        141     63095 Shares           X                     2     63095     0       0
ITT EDUCATIONAL
SERVICES INC C      COMMON STOCK    45068B109        112      1175 Shares                 X               1      1175     0       0
ITT EDUCATIONAL
SERVICES INC C      COMMON STOCK    45068B109        380      4000 Shares                 X               3       400     0       0
ITT CORP            COMMON STOCK    450911102        681     14809 Shares                 X               1     14149     0     660
ITT CORP            COMMON STOCK    450911102        168      3645 Shares                        X        1      2720     0     925


                                       23 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
ITT CORP            COMMON STOCK    450911102         39       840 Shares                 X               2         0     0     840
ITT CORP            COMMON STOCK    450911102         74      1600 Shares                 X               3      1600     0       0
ICON PLC SPONSORED
ADR                 COMMON STOCK    45103T107          3       174 Shares                 X               1       174     0       0
ICICI BANK LIMITED
SPONSORED A         COMMON STOCK    45104G104          6       300 Shares                        X        1       300     0       0
IDEXX CORP          COMMON STOCK    45168D104        162      4500 Shares                 X               2         0     0    4500
ILLINOIS TOOL WKS
INC COM             COMMON STOCK    452308109        548     15645 Shares                 X               1     15645     0       0
ILLINOIS TOOL WKS
INC COM             COMMON STOCK    452308109        582     16600 Shares                        X        1     16600     0       0
ILLINOIS TOOL WKS
INC COM             COMMON STOCK    452308109       1200     34230 Shares                 X               2         0     0   34230
ILLINOIS TOOL WKS
INC COM             COMMON STOCK    452308109        363     10350 Shares           X                     2     10350     0       0
ILLINOIS TOOL WKS
INC COM             COMMON STOCK    452308109        132      3750 Shares                 X               3      3750     0       0
IMMUCOR INC         COMMON STOCK    452526106         48      1800 Shares                 X               1      1800     0       0
IMMUCOR INC         COMMON STOCK    452526106       1056     39725 Shares                 X               3     39725     0       0
IMPERIAL OIL LTD    COMMON STOCK    453038408        169      5000 Shares                        X        1      5000     0       0
IMPLANT SCIENCES
CORP                COMMON STOCK    45320R108          0      2500 Shares                 X               1      2500     0       0
INCYTE GENOMICS INC
COM                 COMMON STOCK    45337C102          2       400 Shares                 X               1       400     0       0
INDIA FUND          PREFERRED STOCK 454089103          8       450 Shares                 X               1         0     0       0
INERGY HOLDINGS LP  COMMON STOCK    45661Q107         20       900 Shares                 X               2         0     0     900
INFORMATICA CORP
COM                 COMMON STOCK    45666Q102         48      3500 Shares                 X               1      3500     0       0
INFORMATICA CORP
COM                 COMMON STOCK    45666Q102       1062     77400 Shares                 X               3     77400     0       0
INFINERA
CORPORATION         COMMON STOCK    45667G103         32      3600 Shares                 X               1      3600     0       0
INFINERA
CORPORATION         COMMON STOCK    45667G103        721     80500 Shares                 X               3     80500     0       0
INFOSYS
TECHNOLOGIES
LTDSPON A           COMMON STOCK    456788108          5       200 Shares                 X               1       200     0       0
ING GROEP NV
SPONSORED ADR       COMMON STOCK    456837103          2       209 Shares                 X               1       209     0       0
ING GROEP NV
SPONSORED ADR       COMMON STOCK    456837103          8       700 Shares                        X        1       700     0       0
ING GLOBAL EQUITY
DIV & PREM O        PREFERRED STOCK 45684E107         11      1150 Shares                        X        1         0     0       0
INOVIO BIOMEDICAL
CORP                COMMON STOCK    45773H102          0       250 Shares                 X               1       250     0       0
INSURED MUNICIPAL
INCOME FD           PREFERRED STOCK 45809F104         30      2964 Shares                 X               2         0     0       0
INTEL CORP COM      COMMON STOCK    458140100       8471    577864 Shares                 X               1    574064     0    3800
INTEL CORP COM      COMMON STOCK    458140100       3648    248839 Shares                        X        1    224409     0   24430
INTEL CORP COM      COMMON STOCK    458140100        155     10600 Shares                 X               2         0     0   10600
INTEL CORP COM      COMMON STOCK    458140100        479     32663 Shares           X                     2     32663     0       0
INTEL CORP COM      COMMON STOCK    458140100       3232    220464 Shares                 X               3    212828     0    5036
INTEL CORP COM      COMMON STOCK    458140100          6       400 Shares                 X               4       400     0       0
INTEGRYS ENERGY
GROUP INC           COMMON STOCK    45822P105         21       500 Shares                 X               1       500     0       0
INTEGRYS ENERGY
GROUP INC           COMMON STOCK    45822P105         89      2066 Shares                        X        1      2066     0       0
INTEGRYS ENERGY
GROUP INC           COMMON STOCK    45822P105         29       675 Shares                 X               3       675     0       0
INTERCONTINENTAL
HOTELS-ADR          COMMON STOCK    45857P301          1       167 Shares                 X               1       167     0       0
INTERCONTINENTAL
EXCHANGE INC        COMMON STOCK    45865V100       2230     27048 Shares                 X               1     26908     0     140
INTERCONTINENTAL
EXCHANGE INC        COMMON STOCK    45865V100         44       530 Shares                        X        1        25     0     505
INTERCONTINENTAL
EXCHANGE INC        COMMON STOCK    45865V100       3280     39795 Shares                 X               3     32498     0     397
INTERDIGITAL INC    COMMON STOCK    45867G101         72      2600 Shares                 X               1      2600     0       0
INTERDIGITAL INC    COMMON STOCK    45867G101       1840     66900 Shares                 X               2         0     0   66900
INTERDIGITAL INC    COMMON STOCK    45867G101        462     16800 Shares           X                     2     16800     0       0
INTERDIGITAL INC    COMMON STOCK    45867G101        952     34625 Shares                 X               3     34625     0       0
IBM CORPORATION     COMMON STOCK    459200101      29354    348793 Shares                 X               1    342729     0    6064
IBM CORPORATION     COMMON STOCK    459200101      10630    126308 Shares                        X        1    117133     0    9175
IBM CORPORATION     COMMON STOCK    459200101       8917    105950 Shares                 X               2         0     0  105950
IBM CORPORATION     COMMON STOCK    459200101       1893     22489 Shares           X                     2     22489     0       0
IBM CORPORATION     COMMON STOCK    459200101       5344     63508 Shares                 X               3     60948     0    1860
IBM CORPORATION     COMMON STOCK    459200101         17       200 Shares                 X               4       200     0       0
INTL FLAVORS &
FRAGRANCES INC      COMMON STOCK    459506101         21       700 Shares                 X               1       700     0       0
INTL FLAVORS &
FRAGRANCES INC      COMMON STOCK    459506101         21       700 Shares                 X               3       700     0       0
INTERNATIONAL GAME
TECH COM            COMMON STOCK    459902102          1       100 Shares                 X               1       100     0       0
INTERNATIONAL GAME
TECH COM            COMMON STOCK    459902102         36      3000 Shares                        X        1      3000     0       0
INTERNATIONAL GAME
TECH COM            COMMON STOCK    459902102         32      2650 Shares                 X               3      2650     0       0
INTERNATIONAL PAPER
CO COM              COMMON STOCK    460146103        113      9615 Shares                 X               1      9615     0       0
INTERNATIONAL PAPER
CO COM              COMMON STOCK    460146103         81      6847 Shares                        X        1      4611     0    2236
INTERNATIONAL PAPER
CO COM              COMMON STOCK    460146103         45      3820 Shares                 X               3      3820     0       0
INTERNATIONAL
RECTIFIER CORP      COMMON STOCK    460254105          3       200 Shares                 X               1       200     0       0
INTERNATIONAL
RECTIFIER CORP      COMMON STOCK    460254105          1       100 Shares                        X        1       100     0       0
INTERNATIONAL
SPEEDWAY CORP CL    COMMON STOCK    460335201          1        50 Shares                 X               1        50     0       0
INTERPUBLIC GROUP
COS INC COM         COMMON STOCK    460690100          2       474 Shares                        X        1       474     0       0
INTERPUBLIC GROUP
COS INC COM         COMMON STOCK    460690100         15      3900 Shares                 X               3      3900     0       0
INTERSIL CORP CL A  COMMON STOCK    46069S109         21      2300 Shares                 X               1      2300     0       0
INTERSIL CORP CL A  COMMON STOCK    46069S109        468     50900 Shares                 X               3     50900     0       0
INTERVAL LEISURE
GROUP INC           COMMON STOCK    46113M108          1       200 Shares                 X               1       200     0       0
INTERVAL LEISURE
GROUP INC           COMMON STOCK    46113M108          2       320 Shares                        X        1       320     0       0
INTUIT INC COM      COMMON STOCK    461202103         73      3050 Shares                 X               1      3050     0       0


                                       24 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
INTUIT INC COM      COMMON STOCK    461202103         74      3100 Shares                        X        1      3100     0       0
INTUIT INC COM      COMMON STOCK    461202103         67      2800 Shares                 X               3      2800     0       0
INVACARE CORP COM   COMMON STOCK    461203101          3       200 Shares                 X               1       200     0       0
INTUITIVE SURGICAL
INC                 COMMON STOCK    46120E602       2590     20398 Shares                 X               1     20398     0       0
INTUITIVE SURGICAL
INC                 COMMON STOCK    46120E602        173      1365 Shares                        X        1      1320     0      45
INTUITIVE SURGICAL
INC                 COMMON STOCK    46120E602         19       150 Shares                 X               2         0     0     150
INTUITIVE SURGICAL
INC                 COMMON STOCK    46120E602       1548     12194 Shares                 X               3      8878     0     316
INTREPID POTASH INC COMMON STOCK    46121Y102         46      2200 Shares                 X               1      2200     0       0
INTREPID POTASH INC COMMON STOCK    46121Y102       1006     48400 Shares                 X               3     48400     0       0
IOWA
TELECOMMUNICATIONS
SERVIC              COMMON STOCK    462594201         31      2150 Shares                 X               2         0     0    2150
BANK OF IRELAND
SPONSORED ADR       COMMON STOCK    46267Q103          0       100 Shares                 X               1       100     0       0
IRON MTN INC PA COM COMMON STOCK    462846106        185      7500 Shares                 X               2         0     0    7500
ISHARES COMEX GOLD
TRUST               PREFERRED STOCK 464285105        104      1200 Shares                 X               1         0     0       0
ISHARES MSCI
AUSTRALIA INDEX F   PREFERRED STOCK 464286103          6       415 Shares                        X        1         0     0       0
ISHARES MSCI CANADA
INDEX FD            PREFERRED STOCK 464286509          6       365 Shares                        X        1         0     0       0
ISHARES MSCI ISRAEL
CAPPED INV          PREFERRED STOCK 464286632         17       570 Shares                 X               1         0     0       0
ISHARES MSCI
PACIFIC EX-JAPAN    PREFERRED STOCK 464286665        241      9150 Shares                 X               2         0     0       0
ISHARES MSCI
SINGAPORE INDEX F   COMMON STOCK    464286673         17      2478 Shares                 X               1      2478     0       0
ISHARES MSCI TURKEY
INV MKT             PREFERRED STOCK 464286715         15       536 Shares                 X               1         0     0       0
ISHARES MSCI
SWITZERLAND INDEX   PREFERRED STOCK 464286749         23      1250 Shares                 X               1         0     0       0
ISHARES MSCI SPAIN
INDEX FD            PREFERRED STOCK 464286764         21       562 Shares                 X               1         0     0       0
ISHARES MSCI
GERMANY INDEX FD    PREFERRED STOCK 464286806         11       560 Shares                        X        1         0     0       0
ISHARES MSCI
NETHERLANDS INV M   PREFERRED STOCK 464286814         18      1198 Shares                 X               1         0     0       0
ISHARES MSCI JAPAN
INDEX FD            PREFERRED STOCK 464286848         91      9500 Shares                 X               1         0     0       0
ISHARES MSCI JAPAN
INDEX FD            PREFERRED STOCK 464286848         32      3300 Shares                        X        1         0     0       0
ISHARES MSCI HONG
KONG INDEX F        PREFERRED STOCK 464286871         19      1815 Shares                 X               1         0     0       0
ISHARES S&P 100
INDEX FUND          COMMON STOCK    464287101         88      2048 Shares                 X               2         0     0    2048
ISHARES DJ SELECT
DIVIDEND IND        PREFERRED STOCK 464287168         26       620 Shares                 X               1         0     0       0
ISHARES DJ SELECT
DIVIDEND IND        PREFERRED STOCK 464287168         70      1700 Shares                        X        1         0     0       0
ISHARES BARCLAYS
TIPS BOND FD        PREFERRED STOCK 464287176         48       485 Shares                 X               1         0     0       0
ISHARES FTSE/XINHUA
CHINA 25            PREFERRED STOCK 464287184          3       100 Shares                 X               1         0     0       0
ISHARES FTSE/XINHUA
CHINA 25            PREFERRED STOCK 464287184         20       702 Shares                        X        1         0     0       0
ISHARES FTSE/XINHUA
CHINA 25            PREFERRED STOCK 464287184        349     12000 Shares                 X               2         0     0       0
ISHARES DOW JONES
US TRANS IND        PREFERRED STOCK 464287192          4        60 Shares                 X               1         0     0       0
ISHARES S&P 500
INDEX FD            PREFERRED STOCK 464287200       3466     38378 Shares                 X               1         0     0       0
ISHARES S&P 500
INDEX FD            PREFERRED STOCK 464287200        643      7119 Shares                        X        1         0     0       0
ISHARES S&P 500
INDEX FD            PREFERRED STOCK 464287200         14       150 Shares                 X               2         0     0       0
ISHARES S&P 500
INDEX FD            PREFERRED STOCK 464287200        235      2600 Shares                 X               3      2600     0       0
ISHARES MSCI
EMERGING MARKETS    PREFERRED STOCK 464287234         49      1953 Shares                 X               1         0     0       0
ISHARES S&P
500/BARRA GRWTH IN  PREFERRED STOCK 464287309        568     12650 Shares                 X               1         0     0       0
ISHARES S&P
500/BARRA GRWTH IN  PREFERRED STOCK 464287309         63      1400 Shares                        X        1         0     0       0
ISHARES S&P GLOBAL
ENERGY SECT         PREFERRED STOCK 464287341         11       390 Shares                 X               2         0     0       0
ISHARES S&P NA NAT
RES SIF             PREFERRED STOCK 464287374        286     11300 Shares                 X               2         0     0       0
ISHARES S&P 500
BARRA VALUE IN      COMMON STOCK    464287408        140      3100 Shares                 X               1      3100     0       0
ISHARES S&P 500
BARRA VALUE IN      COMMON STOCK    464287408         32       700 Shares                        X        1       700     0       0
ISHARES BARCLAYS
20+ YR TREAS        PREFERRED STOCK 464287432         24       200 Shares                        X        1         0     0       0
ISHARES BARCLAYS
1-3 YR TREAS        PREFERRED STOCK 464287457         71       842 Shares                 X               1         0     0       0
ISHARES MSCI EAFE
INDEX FD            PREFERRED STOCK 464287465       3889     86703 Shares                 X               1         0     0       0
ISHARES MSCI EAFE
INDEX FD            PREFERRED STOCK 464287465       2473     55136 Shares                        X        1         0     0       0
ISHARES MSCI EAFE
INDEX FD            PREFERRED STOCK 464287465       1306     29111 Shares                 X               2         0     0       0
ISHARES MSCI EAFE
INDEX FD            PREFERRED STOCK 464287465        546     12175 Shares                 X               3         0     0       0
I SHARES RUSSELL
MIDCAP VAL IN       PREFERRED STOCK 464287473         51      1785 Shares                        X        1         0     0       0
ISHARES RUSSELL MID
CAP GROWTH          PREFERRED STOCK 464287481         45      1450 Shares                        X        1         0     0       0


                                       25 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
ISHARES RUSSELL MID
CAP GROWTH          PREFERRED STOCK 464287481         74      2380 Shares                 X               2         0     0       0
ISHARES S&P MIDCAP
400 INDEX F         PREFERRED STOCK 464287507         15       287 Shares                 X               2         0     0       0
ISHARES S&P NA
TECHNOLOGY SFI      PREFERRED STOCK 464287549         12       350 Shares                 X               1         0     0       0
ISHARES S&P NA
TECHNOLOGY SFI      PREFERRED STOCK 464287549          3        85 Shares                 X               2         0     0       0
ISHARES S&P GLOBAL
100 INDEX F         PREFERRED STOCK 464287572         35       700 Shares                 X               2         0     0       0
ISHARES RUSSELL
1000 VALUE IND      PREFERRED STOCK 464287598        319      6436 Shares                 X               1         0     0       0
ISHARES S&P MIDCAP
400 BARRA G         PREFERRED STOCK 464287606        222      4002 Shares                 X               1         0     0       0
ISHARES S&P MIDCAP
400 BARRA G         PREFERRED STOCK 464287606        469      8450 Shares                 X               2         0     0       0
ISHARES RUSSELL
1000 GROWTH IN      PREFERRED STOCK 464287614        507     13671 Shares                 X               1         0     0       0
ISHARES RUSSELL
1000 GROWTH IN      PREFERRED STOCK 464287614         50      1337 Shares                        X        1         0     0       0
ISHARES RUSSELL
1000 INDEX FD       PREFERRED STOCK 464287622        112      2284 Shares                 X               1         0     0       0
ISHARES RUSSELL
1000 INDEX FD       PREFERRED STOCK 464287622       2419     49494 Shares                        X        1         0     0       0
ISHARES RUSSELL
2000 INDEX FD       PREFERRED STOCK 464287655        512     10408 Shares                 X               1         0     0       0
ISHARES RUSSELL
2000 INDEX FD       PREFERRED STOCK 464287655         13       260 Shares                        X        1         0     0       0
ISHARES DOW JONES
US UTIL SECT        PREFERRED STOCK 464287697         27       394 Shares                 X               1         0     0       0
ISHARES S&P MIDCAP
400/BARRA V         PREFERRED STOCK 464287705        156      3110 Shares                 X               1         0     0       0
ISHARES S&P MIDCAP
400/BARRA V         PREFERRED STOCK 464287705        101      2000 Shares                 X               2         0     0       0
ISHARES DOW JONES
US TELECOM          PREFERRED STOCK 464287713          8       476 Shares                 X               1         0     0       0
ISHARES DJ US TECH
SEC INDEX F         COMMON STOCK    464287721       2553     72271 Shares                 X               2         0     0   72271
ISHARES DJ US TECH
SEC INDEX F         COMMON STOCK    464287721       1030     29165 Shares           X                     2     29165     0       0
ISHARES DJ US REAL
ESTATE INDE         COMMON STOCK    464287739          4       100 Shares                 X               2         0     0     100
ISHARES DJ US
INDUSTRIAL SEC I    PREFERRED STOCK 464287754          9       200 Shares                 X               2         0     0       0
ISHARES DJ US
HEALTHCARE SECTO    COMMON STOCK    464287762          5       100 Shares                 X               2         0     0     100
ISHARES DOW JONES
US FINL SECT        PREFERRED STOCK 464287788         15       340 Shares                 X               1         0     0       0
ISHARES DOW JONES
US FINL SECT        PREFERRED STOCK 464287788         32       705 Shares                        X        1         0     0       0
ISHARES DOW JONES
US FINL SECT        PREFERRED STOCK 464287788         12       275 Shares                 X               2         0     0       0
ISHARES DJ US
ENERGY SECTOR ID    COMMON STOCK    464287796         10       336 Shares                 X               2         0     0     336
ISHARES S&P
SMALLCAP 600 INDEX  PREFERRED STOCK 464287804        196      4465 Shares                 X               1         0     0       0
ISHARES S&P
SMALLCAP 600 INDEX  PREFERRED STOCK 464287804        289      6575 Shares                        X        1         0     0       0
ISHARES S&P
SMALLCAP 600 INDEX  PREFERRED STOCK 464287804         13       306 Shares                 X               2         0     0       0
ISHARES DJ US BASIC
MATERIALS           PREFERRED STOCK 464287838         72      1950 Shares                 X               1         0     0       0
ISHARES DJ US BASIC
MATERIALS           PREFERRED STOCK 464287838         28       750 Shares                        X        1         0     0       0
ISHARES S&P EUROPE
350 INDEX F         PREFERRED STOCK 464287861        106      3409 Shares                        X        1         0     0       0
ISHARES S&P EUROPE
350 INDEX F         PREFERRED STOCK 464287861         40      1300 Shares                 X               2         0     0       0
ISHARES S&P
SMALLCAP 600 BARRA  PREFERRED STOCK 464287879         10       200 Shares                 X               1         0     0       0
ISHARES S&P
SMALLCAP 600 BARRA  PREFERRED STOCK 464287887         56      1248 Shares                 X               1         0     0       0
ISHARES IBOXX HI
YLD CORP BD F       PREFERRED STOCK 464288513         18       234 Shares                 X               1         0     0       0
ISHARES BARCLAYS
CREDIT BOND F       PREFERRED STOCK 464288620         22       230 Shares                 X               1         0     0       0
ISHARES DJ US HOME
CONSTRUCT F         COMMON STOCK    464288752        178     18100 Shares                 X               2         0     0   18100
ISHARES DOW JONES
US HEALTHCAR        PREFERRED STOCK 464288828         11       300 Shares                 X               2         0     0       0
ISHARES DJ US OIL
EQUIP & SV          PREFERRED STOCK 464288844         72      2700 Shares                 X               2         0     0       0
ISHARES MSCI EAFE
GRWTH INDEX         PREFERRED STOCK 464288885         94      2064 Shares                        X        1         0     0       0
ISIS
PHARMACEUTICALS COM COMMON STOCK    464330109         38      2650 Shares                 X               1      2650     0       0
ISIS
PHARMACEUTICALS COM COMMON STOCK    464330109        708     49900 Shares                 X               3     49900     0       0
IVANHOE MINES LTD   COMMON STOCK    46579N103          3      1000 Shares                 X               1      1000     0       0
JDS UNIPHASE CORP   COMMON STOCK    46612J507          0       125 Shares                 X               1       125     0       0
JDS UNIPHASE CORP   COMMON STOCK    46612J507          1       311 Shares                 X               2         0     0     311
JDS UNIPHASE CORP   COMMON STOCK    46612J507         67     18475 Shares           X                     2     18475     0       0
JDS UNIPHASE CORP   COMMON STOCK    46612J507          9      2500 Shares                 X               3      2500     0       0
JER INVESTORS TRUST
INC REIT            COMMON STOCK    46614H301        543    583800 Shares                 X               2         0     0       0
JPMORGAN CHASE & CO COMMON STOCK    46625H100       8046    255179 Shares                 X               1    249887     0    5292
JPMORGAN CHASE & CO COMMON STOCK    46625H100       4458    141377 Shares                        X        1    129871     0   11506
JPMORGAN CHASE & CO COMMON STOCK    46625H100       5772    183050 Shares                 X               2         0     0  183050
JPMORGAN CHASE & CO COMMON STOCK    46625H100       2243     71144 Shares           X                     2     71144     0       0
JPMORGAN CHASE & CO COMMON STOCK    46625H100       3328    105521 Shares                 X               3    103077     0    2444
J2 GLOBAL
COMMUNICATONS INC
NE                  COMMON STOCK    46626E205         42      2100 Shares                 X               1      2100     0       0
J2 GLOBAL
COMMUNICATONS INC
NE                  COMMON STOCK    46626E205        949     47350 Shares                 X               3     47350     0       0
JABIL CIRCUIT INC   COMMON STOCK    466313103         19      2850 Shares                 X               1      2850     0       0
JABIL CIRCUIT INC   COMMON STOCK    466313103          2       355 Shares                        X        1       355     0       0
JABIL CIRCUIT INC   COMMON STOCK    466313103         47      7000 Shares                 X               3      7000     0       0
JACOBS ENGINEERING
GROUP INC C         COMMON STOCK    469814107       1283     26675 Shares                 X               1     25075     0    1600
JACOBS ENGINEERING
GROUP INC C         COMMON STOCK    469814107        147      3050 Shares                        X        1      3050     0       0
JACOBS ENGINEERING
GROUP INC C         COMMON STOCK    469814107        192      4000 Shares                 X               2         0     0    4000
JACOBS ENGINEERING
GROUP INC C         COMMON STOCK    469814107         52      1075 Shares                 X               3      1075     0       0
JAMES RIVER COAL CO COMMON STOCK    470355207        228     14900 Shares                 X               1     14900     0       0
JAMES RIVER COAL CO COMMON STOCK    470355207        882     57550 Shares                 X               3     57550     0       0
JANUS CAPITAL GROUP COMMON          47102X105         10      1300 Shares                 X               3      1300     0       0
JEFFERIES GRP INC   COMMON          472319102         35      2500 Shares                 X               3      2500     0       0
JETBLUE AIRWAYS
CORPORATION         COMMON STOCK    477143101          1       100 Shares                 X               1       100     0       0
JETBLUE AIRWAYS
CORPORATION         COMMON STOCK    477143101          6       843 Shares                 X               2         0     0     843
JOHNSON & JOHNSON   COMMON STOCK    478160104      29732    496941 Shares                 X               1    489941     0    7000
JOHNSON & JOHNSON   COMMON STOCK    478160104      27647    462095 Shares                        X        1    446045     0   16050
JOHNSON & JOHNSON   COMMON STOCK    478160104       5370     89750 Shares                 X               2         0     0   89750
JOHNSON & JOHNSON   COMMON STOCK    478160104       1482     24772 Shares           X                     2     24772     0       0
JOHNSON & JOHNSON   COMMON STOCK    478160104       7877    131632 Shares                 X               3    129332     0       0
JOHNSON & JOHNSON   COMMON STOCK    478160104         12       200 Shares                 X               4       200     0       0
JOHNSON CONTROLS
INC COM             COMMON STOCK    478366107        451     24820 Shares                 X               1     24820     0       0
JOHNSON CONTROLS
INC COM             COMMON STOCK    478366107        126      6925 Shares                        X        1      6925     0       0
JOHNSON CONTROLS
INC COM             COMMON STOCK    478366107         93      5120 Shares                 X               3      5120     0       0
JONES APPAREL GROUP COMMON          480074103          5       900 Shares                 X               3       900     0       0


                                       26 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
JOY GLOBAL
INCORPORATED        COMMON STOCK    481165108       1577     68889 Shares                 X               1     68509     0     380
JOY GLOBAL
INCORPORATED        COMMON STOCK    481165108        244     10665 Shares                        X        1     10315     0     350
JOY GLOBAL
INCORPORATED        COMMON STOCK    481165108        862     37700 Shares                 X               3     26550     0       0
JUNIPER NETWORKS
INC                 COMMON STOCK    48203R104          8       480 Shares                 X               1       480     0       0
JUNIPER NETWORKS
INC                 COMMON STOCK    48203R104          6       350 Shares                        X        1       350     0       0
JUNIPER NETWORKS
INC                 COMMON STOCK    48203R104         81      4600 Shares                 X               3      4600     0       0
KBR INC             COMMON STOCK    48242W106         22      1434 Shares                 X               1      1434     0       0
KLA-TENCOR CORP     COMMON          482480100         33      1500 Shares                 X               3      1500     0       0
KKR FINANCIAL
HOLDINGS LLC        COMMON STOCK    48248A306          9      6000 Shares                 X               1      6000     0       0
KKR FINANCIAL
HOLDINGS LLC        COMMON STOCK    48248A306       1023    647676 Shares                 X               2         0     0  647676
KKR FINANCIAL
HOLDINGS LLC        COMMON STOCK    48248A306        241    152764 Shares           X                     2    152764     0       0
KT CORPORATION SP
ADR                 COMMON STOCK    48268K101          1        41 Shares                 X               1        41     0       0
K-TRON
INTERNATIONAL INC   COMMON STOCK    482730108        128      1600 Shares                 X               2         0     0    1600
KADANT INC COM      COMMON STOCK    48282T104         13      1000 Shares                        X        1      1000     0       0
KANSAS LIFE INS CO
COM                 COMMON STOCK    484836101         61      1400 Shares                 X               1      1400     0       0
KAYDON CORP         COMMON STOCK    486587108         79      2300 Shares                 X               1      2300     0       0
KAYDON CORP         COMMON STOCK    486587108       1751     50950 Shares                 X               3     50950     0       0
KAYNE ANDERSON MLP
INVESTMENT          PREFERRED STOCK 486606106         41      2541 Shares                 X               1         0     0       0
KB HOME             COMMON          48666K109         10       700 Shares                 X               3       700     0       0
KELLOGG CO COM      COMMON STOCK    487836108       1104     25170 Shares                 X               1     25170     0       0
KELLOGG CO COM      COMMON STOCK    487836108        997     22727 Shares                        X        1     21530     0    1197
KELLOGG CO COM      COMMON STOCK    487836108         98      2245 Shares                 X               3      2245     0       0
KENEXA CORP         COMMON STOCK    488879107         18      2300 Shares                 X               1      2300     0       0
KENEXA CORP         COMMON STOCK    488879107        407     50950 Shares                 X               3     50950     0       0
KENNAMETAL INC      COMMON STOCK    489170100         20       900 Shares                 X               1       900     0       0
KENNAMETAL INC      COMMON STOCK    489170100         24      1075 Shares                        X        1      1075     0       0
KEYCORP NEW COM     COMMON STOCK    493267108         27      3167 Shares                 X               1      3167     0       0
KEYCORP NEW COM     COMMON STOCK    493267108         18      2127 Shares                        X        1      2127     0       0
KEYCORP NEW COM     COMMON STOCK    493267108        118     13860 Shares                 X               3     13860     0       0
KIMBERLY CLARK CORP COMMON STOCK    494368103       3942     74743 Shares                 X               1     74743     0       0
KIMBERLY CLARK CORP COMMON STOCK    494368103       2637     50004 Shares                        X        1     46204     0    3800
KIMBERLY CLARK CORP COMMON STOCK    494368103        148      2812 Shares                 X               2         0     0    2812
KIMBERLY CLARK CORP COMMON STOCK    494368103        184      3490 Shares                 X               3      3490     0       0
KIMBERLY CLARK CORP COMMON STOCK    494368103          5       100 Shares                 X               4       100     0       0
KIMCO REALTY CORP
(REIT)              COMMON STOCK    49446R109         22      1200 Shares                 X               2         0     0       0
KIMCO REALTY CORP
(REIT)              COMMON STOCK    49446R109         34      1875 Shares                 X               3      1875     0       0
KINDER MORGAN
ENERGY PARTNERS     COMMON STOCK    494550106        184      4030 Shares                 X               1      4030     0       0
KINDER MORGAN
ENERGY PARTNERS     COMMON STOCK    494550106         45       975 Shares                        X        1       975     0       0
KINDER MORGAN
ENERGY PARTNERS     COMMON STOCK    494550106       5469    119550 Shares                 X               2         0     0  119550
KINDER MORGAN
ENERGY PARTNERS     COMMON STOCK    494550106       1842     40270 Shares           X                     2     40270     0       0
KINDER MORGAN
MANAGEMENT LLC      COMMON STOCK    49455U100         69      1720 Shares                 X               1      1720     0       0
KINDER MORGAN
MANAGEMENT LLC      COMMON STOCK    49455U100       3016     75444 Shares                 X               2         0     0   75444
KINDER MORGAN
MANAGEMENT LLC      COMMON STOCK    49455U100       1253     31347 Shares           X                     2     31347     0       0
KINETIC CONCEPTS
INC                 COMMON STOCK    49460W208          3       150 Shares                 X               1       150     0       0
KING
PHARMACEUTICALS INC
COM                 COMMON STOCK    495582108         11      1066 Shares                 X               2         0     0    1066
KING
PHARMACEUTICALS INC
COM                 COMMON STOCK    495582108         23      2133 Shares                 X               3      2133     0       0
KINROSS GOLD
CORPORATION         COMMON STOCK    496902404         12       669 Shares                 X               1       669     0       0
KNOLOGY INC         COMMON STOCK    499183804        132     25642 Shares                 X               2         0     0   25642
KOHLS CORP COM      COMMON STOCK    500255104        110      3029 Shares                 X               1      3029     0       0
KOHLS CORP COM      COMMON STOCK    500255104         94      2610 Shares                        X        1      2610     0       0
KOHLS CORP COM      COMMON STOCK    500255104         54      1500 Shares                 X               2         0     0    1500
KOHLS CORP COM      COMMON STOCK    500255104        111      3060 Shares                 X               3      3060     0       0
KONINKLIJKE PHILIPS
ELEC N V N          COMMON STOCK    500472303          7       356 Shares                 X               1       356     0       0
KONINKLIJKE PHILIPS
ELEC N V N          COMMON STOCK    500472303        258     13000 Shares                        X        1     13000     0       0
KOREA ELECTRIC
POWER CORP SP A     COMMON STOCK    500631106          0        24 Shares                 X               1        24     0       0
KRAFT FOODS INC
CL A                COMMON STOCK    50075N104       6705    249711 Shares                 X               1    248604     0    1107
KRAFT FOODS INC
CL A                COMMON STOCK    50075N104       2796    104134 Shares                        X        1     96713     0    7421
KRAFT FOODS INC
CL A                COMMON STOCK    50075N104        272     10119 Shares                 X               2         0     0   10119
KRAFT FOODS INC
CL A                COMMON STOCK    50075N104       1683     62642 Shares                 X               3     58567     0    4075
KRAFT FOODS INC
CL A                COMMON STOCK    50075N104          3       100 Shares                 X               4       100     0       0
KROGER CO           COMMON STOCK    501044101        214      8094 Shares                 X               1      8094     0       0
KROGER CO           COMMON STOCK    501044101         13       500 Shares                        X        1         0     0     500
KROGER CO           COMMON STOCK    501044101        152      5750 Shares                 X               3      5750     0       0
KROGER CO           COMMON STOCK    501044101         11       400 Shares                 X               4       400     0       0
KRONOS WORLDWIDE
INC                 COMMON STOCK    50105F105          1        85 Shares                        X        1        85     0       0
KUBOTA CORP-SPONS
ADR                 COMMON STOCK    501173207          2        46 Shares                 X               1        46     0       0
LKQ CORPORATION     COMMON STOCK    501889208        178     15300 Shares                 X               1     15300     0       0


                                       27 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
LKQ CORPORATION     COMMON STOCK    501889208        506     43400 Shares                 X               3      4500     0       0
LSI CORPORATION     COMMON STOCK    502161102         10      2998 Shares                 X               1      2998     0       0
LSI CORPORATION     COMMON STOCK    502161102          1       153 Shares                        X        1       145     0       8
LSI CORPORATION     COMMON STOCK    502161102         20      6000 Shares                 X               3      6000     0       0
L 3 COMMUNICATIONS
CORP COM            COMMON STOCK    502424104         10       130 Shares                 X               1       130     0       0
L 3 COMMUNICATIONS
CORP COM            COMMON STOCK    502424104         61       825 Shares                        X        1       825     0       0
L 3 COMMUNICATIONS
CORP COM            COMMON STOCK    502424104         81      1100 Shares                 X               3      1100     0       0
LABORATORY CRP OF
AMER HLDGS C        COMMON STOCK    50540R409         44       680 Shares                 X               1       680     0       0
LABORATORY CRP OF
AMER HLDGS C        COMMON STOCK    50540R409          3        40 Shares                        X        1        40     0       0
LABORATORY CRP OF
AMER HLDGS C        COMMON STOCK    50540R409       7340    113950 Shares                 X               2         0     0  113950
LABORATORY CRP OF
AMER HLDGS C        COMMON STOCK    50540R409       2743     42585 Shares           X                     2     42585     0       0
LABORATORY CRP OF
AMER HLDGS C        COMMON STOCK    50540R409         64      1000 Shares                 X               3      1000     0       0
LADISH CO INC       COMMON STOCK    505754200          3       200 Shares                 X               1       200     0       0
LAM RESH CORP       COMMON STOCK    512807108         26      1200 Shares                 X               1      1200     0       0
LAM RESH CORP       COMMON STOCK    512807108        542     25450 Shares                 X               3     25450     0       0
LANCE INC           COMMON STOCK    514606102         12       532 Shares                 X               1       532     0       0
LAS VEGAS SANDS
CORP                COMMON STOCK    517834107          5       900 Shares                 X               1       900     0       0
LASERCARD CORP      COMMON STOCK    51807U101          2       500 Shares                 X               2         0     0     500
LAUDER ESTEE CO
CL A                COMMON STOCK    518439104       3199    103323 Shares                 X               1     98423     0    4900
LAUDER ESTEE CO
CL A                COMMON STOCK    518439104        235      7575 Shares                        X        1      4985     0    2590
LAUDER ESTEE CO
CL A                COMMON STOCK    518439104        489     15802 Shares                 X               3     12973     0    2829
LEAR CORP           COMMON STOCK    521865105          0       233 Shares                 X               1       233     0       0
LEAR CORP           COMMON STOCK    521865105          0       150 Shares                        X        1       150     0       0
LEGGETT & PLATT INC COMMON STOCK    524660107        167     11000 Shares                 X               1     11000     0       0
LEGGETT & PLATT INC COMMON STOCK    524660107         21      1400 Shares                 X               3      1400     0       0
LEGG MASON INC      COMMON STOCK    524901105        116      5285 Shares                 X               1      5285     0       0
LEGG MASON INC      COMMON STOCK    524901105         51      2315 Shares                        X        1      2315     0       0
LEGG MASON INC      COMMON STOCK    524901105         12       560 Shares                 X               2         0     0     560
LEGG MASON INC      COMMON STOCK    524901105         26      1200 Shares                 X               3      1200     0       0
LENDER PROCESSING
SERVICES INC        COMMON STOCK    52602E102        185      6281 Shares                 X               1      6281     0       0
LENDER PROCESSING
SERVICES INC        COMMON STOCK    52602E102          7       232 Shares                        X        1       232     0       0
LENDER PROCESSING
SERVICES INC        COMMON STOCK    52602E102        566     19225 Shares                 X               3      1975     0       0
LENNAR CORP         CLASS A         526057104         12      1400 Shares                 X               3      1400     0       0
LEUCADIA NATL CORP  COMMON          527288104         31      1550 Shares                 X               3      1550     0       0
LEVEL 3
COMMUNICATIONS INC  COMMON STOCK    52729N100          4      5000 Shares                 X               1      5000     0       0
LEVEL 3
COMMUNICATIONS INC  COMMON STOCK    52729N100         72     35000 Shares           X                     2     35000     0       0
LEXMARK INTL INC
CL A                COMMON STOCK    529771107          1        30 Shares                 X               1        30     0       0
LEXMARK INTL INC
CL A                COMMON STOCK    529771107         22       800 Shares                 X               3       800     0       0
LIBERTY ALL STAR
EQUITY FD           PREFERRED STOCK 530158104        153     43649 Shares                        X        1         0     0       0
LIBERTY GLOBAL INC
- CL A              COMMON STOCK    530555101          3       213 Shares                 X               1       213     0       0
LIBERTY GLOBAL INC
- CL A              COMMON STOCK    530555101         24      1512 Shares                        X        1      1512     0       0
LIBERTY GLOBAL INC
-CL B               COMMON STOCK    530555200         15       936 Shares                        X        1       936     0       0
LIBERTY GLOBAL INC
CL C                COMMON STOCK    530555309          3       216 Shares                 X               1       216     0       0
LIBERTY GLOBAL INC
CL C                COMMON STOCK    530555309         37      2448 Shares                        X        1      2448     0       0
LIBERTY MEDIA HLDG
CORP - INTE         COMMON STOCK    53071M104         12      4000 Shares                 X               1      4000     0       0
LIBERTY MEDIA HLDG
CORP - INTE         COMMON STOCK    53071M104         37     11840 Shares                        X        1     11840     0       0
LIBERTY MEDIA HLDG
CORP - INTE         COMMON STOCK    53071M203         14      4680 Shares                        X        1      4680     0       0
LIBERTY MEDIA HLDG
CORP - CAP          COMMON STOCK    53071M302          3       684 Shares                 X               1       684     0       0
LIBERTY MEDIA HLDG
CORP - CAP          COMMON STOCK    53071M302         11      2368 Shares                        X        1      2368     0       0
LIBERTY MEDIA HLDG
CORP - CAP          COMMON STOCK    53071M401          4       936 Shares                        X        1       936     0       0
LIBERTY MEDIA CORP
- ENT SER A         COMMON STOCK    53071M500         83      4736 Shares                 X               1      4736     0       0
LIBERTY MEDIA CORP
- ENT SER A         COMMON STOCK    53071M500        166      9472 Shares                        X        1      9472     0       0
LIBERTY MEDIA CORP
- CL B              COMMON STOCK    53071M609         65      3744 Shares                        X        1      3744     0       0
LIBERTY PROPERTY
TRUST (REIT)        COMMON STOCK    531172104         23      1000 Shares                 X               2         0     0       0
LIFE TECHNOLOGIES
CORP                COMMON STOCK    53217V109        202      8665 Shares                 X               1      8665     0       0
LIFE TECHNOLOGIES
CORP                COMMON STOCK    53217V109         19       800 Shares                        X        1         0     0     800
LIFE TECHNOLOGIES
CORP                COMMON STOCK    53217V109        568     24356 Shares                 X               3      3856     0       0
LILLY ELI & CO      COMMON STOCK    532457108       2928     72712 Shares                 X               1     72712     0       0
LILLY ELI & CO      COMMON STOCK    532457108       3735     92747 Shares                        X        1     90502  1600     645
LILLY ELI & CO      COMMON STOCK    532457108        285      7083 Shares                 X               2         0     0    7083
LILLY ELI & CO      COMMON STOCK    532457108       1429     35473 Shares                 X               3     34116     0    1357
LILLY ELI & CO      COMMON STOCK    532457108          4       100 Shares                 X               4       100     0       0
LIMELIGHT NETWORKS
INC                 COMMON STOCK    53261M104         12      4700 Shares                 X               1      4700     0       0
LIMELIGHT NETWORKS
INC                 COMMON STOCK    53261M104        250    101900 Shares                 X               3    101900     0       0
LIMITED BRANDS, INC
COM                 COMMON STOCK    532716107          2       200 Shares                 X               1       200     0       0
LIMITED BRANDS, INC
COM                 COMMON STOCK    532716107         99      9900 Shares                 X               3      9900     0       0
LINCOLN NATIONAL
CORP                COMMON STOCK    534187109       1611     85533 Shares                 X               1     82976     0    2557


                                       28 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
LINCOLN NATIONAL
CORP                COMMON STOCK    534187109        237     12560 Shares                        X        1     12560     0       0
LINCOLN NATIONAL
CORP                COMMON STOCK    534187109        147      7800 Shares                 X               2         0     0    7800
LINCOLN NATIONAL
CORP                COMMON STOCK    534187109        203     10750 Shares           X                     2     10750     0       0
LINCOLN NATIONAL
CORP                COMMON STOCK    534187109        617     32761 Shares                 X               3     31227     0    1534
LINCOLN NATIONAL
CORP                COMMON STOCK    534187109          4       200 Shares                 X               4       200     0       0
LINEAR TECHNOLOGY
CORP COM            COMMON STOCK    535678106        187      8455 Shares                 X               1      7705     0     750
LINEAR TECHNOLOGY
CORP COM            COMMON STOCK    535678106         69      3140 Shares                        X        1      1500     0    1640
LINEAR TECHNOLOGY
CORP COM            COMMON STOCK    535678106         44      1995 Shares                 X               3      1995     0       0
LINN ENERGY LLC     COMMON STOCK    536020100         19      1300 Shares                 X               1      1300     0       0
LIZ CLAIBORNE INC   COMMON STOCK    539320101          1       400 Shares                        X        1       400     0       0
LOCKHEED MARTIN
CORPORATION CO      COMMON STOCK    539830109       9082    108022 Shares                 X               1    107547     0     475
LOCKHEED MARTIN
CORPORATION CO      COMMON STOCK    539830109       2070     24615 Shares                        X        1     23665     0     950
LOCKHEED MARTIN
CORPORATION CO      COMMON STOCK    539830109       1034     12298 Shares                 X               2         0     0   12298
LOCKHEED MARTIN
CORPORATION CO      COMMON STOCK    539830109       2412     28684 Shares                 X               3     28684     0       0
LOCKHEED MARTIN
CORPORATION CO      COMMON STOCK    539830109          8       100 Shares                 X               4       100     0       0
LOEWS CORP          COMMON STOCK    540424108         79      2801 Shares                 X               1      2801     0       0
LOEWS CORP          COMMON STOCK    540424108        102      3600 Shares                 X               2         0     0    3600
LOEWS CORP          COMMON STOCK    540424108         90      3170 Shares                 X               3      3170     0       0
LORILLARD INC       COM STK USD 0.01544147101        142      2534 Shares                 X               3      2534     0       0
LOWES COMPANIES INC COMMON STOCK    548661107       3594    166988 Shares                 X               1    161888     0    5100
LOWES COMPANIES INC COMMON STOCK    548661107        358     16625 Shares                        X        1     13375     0    3250
LOWES COMPANIES INC COMMON STOCK    548661107       1436     66692 Shares                 X               3     60691     0    3301
LUBRIZOL CORP       COMMON STOCK    549271104        596     16376 Shares                        X        1     16376     0       0
LUBRIZOL CORP       COMMON STOCK    549271104         55      1500 Shares                 X               3      1500     0       0
LULULEMON ATHLETICA
INC-W/I             COMMON STOCK    550021109         62      7875 Shares                 X               1      7875     0       0
LULULEMON ATHLETICA
INC-W/I             COMMON STOCK    550021109        659     83100 Shares                 X               3     71000     0       0
LUMINEX CORPORATION COMMON STOCK    55027E102         38      1800 Shares                 X               1      1800     0       0
LUMINEX CORPORATION COMMON STOCK    55027E102        869     40700 Shares                 X               3     40700     0       0
M & T BANK CORP     COMMON STOCK    55261F104      35883    625027 Shares                 X               1    615923     0    9104
M & T BANK CORP     COMMON STOCK    55261F104       8935    155636 Shares                        X        1     23996     0  131640
M & T BANK CORP     COMMON STOCK    55261F104          9       150 Shares                 X               2         0     0     150
M & T BANK CORP     COMMON STOCK    55261F104         52       905 Shares                 X               3       905     0       0
MBIA INC COM        COMMON STOCK    55262C100          0       100 Shares                 X               1       100     0       0
MBIA INC COM        COMMON STOCK    55262C100          7      1740 Shares                 X               3      1740     0       0
MEMC ELECTRONIC
MATERIALS INC       COMMON STOCK    552715104        939     65736 Shares                 X               1     64036     0    1700
MEMC ELECTRONIC
MATERIALS INC       COMMON STOCK    552715104         31      2175 Shares                        X        1      2100     0      75
MEMC ELECTRONIC
MATERIALS INC       COMMON STOCK    552715104         80      5627 Shares                 X               3      4889     0     738
MFA MORTGAGE
INVESTMENTS INC     COMMON STOCK    55272X102         47      8000 Shares                 X               2         0     0       0
MFS MULTIMARKET
INCOME TRUST        PREFERRED STOCK 552737108         17      3600 Shares                 X               1         0     0       0
MFS GOVT MARKETS
INCOME TRUST        PREFERRED STOCK 552939100         25      3200 Shares                 X               1         0     0       0
MACY'S INC          COMMON STOCK    55616P104       1053    101774 Shares                 X               1    101274     0     500
MACY'S INC          COMMON STOCK    55616P104         26      2479 Shares                        X        1      2004     0     475
MACY'S INC          COMMON STOCK    55616P104       1148    110840 Shares                 X               3    104866     0    2974
MAGELLAN MIDSTREAM
HOLDINGS            COMMON STOCK    55907R108         21      1500 Shares                 X               2         0     0    1500
MAGELLAN MIDSTREAM
PARTNERS L.         COMMON STOCK    559080106         15       500 Shares                        X        1       500     0       0
MAGELLAN MIDSTREAM
PARTNERS L.         COMMON STOCK    559080106       2495     82600 Shares                 X               2         0     0   82600
MAGELLAN MIDSTREAM
PARTNERS L.         COMMON STOCK    559080106        714     23650 Shares           X                     2     23650     0       0
MAGNA INTL INC CL A COMMON STOCK    559222401         21       700 Shares                        X        1       700     0       0
MAINE & MARITIMES
CORP                COMMON STOCK    560377103         15       400 Shares                 X               1       400     0       0
MANITOWOC CO INC
COM                 COMMON STOCK    563571108          1       100 Shares                 X               1       100     0       0
MANITOWOC CO INC
COM                 COMMON STOCK    563571108         10      1200 Shares                 X               3      1200     0       0
MANPOWER INC WIS    COMMON STOCK    56418H100         51      1500 Shares                 X               1      1500     0       0
MANTECH
INTERNATIONAL CORP  COMMON STOCK    564563104         16       300 Shares                 X               1       300     0       0
MANTECH
INTERNATIONAL CORP  COMMON STOCK    564563104        359      6625 Shares                 X               3      6625     0       0
MANULIFE FINANCIAL
CORP                COMMON STOCK    56501R106        593     34844 Shares                 X               1     34844     0       0
MANULIFE FINANCIAL
CORP                COMMON STOCK    56501R106        436     25600 Shares                 X               2         0     0   25600
MARATHON OIL CORP   COMMON STOCK    565849106        433     15811 Shares                 X               1     15811     0       0
MARATHON OIL CORP   COMMON STOCK    565849106        162      5935 Shares                        X        1      5710     0     225
MARATHON OIL CORP   COMMON STOCK    565849106        274     10020 Shares                 X               3     10020     0       0
MARATHON OIL CORP   COMMON STOCK    565849106         20       725 Shares                 X               4       725     0       0
MARINER ENERGY INC  COMMON STOCK    56845T305          4       404 Shares                 X               1       404     0       0
MARKEL CORP COM     COMMON STOCK    570535104       2449      8190 Shares                 X               2         0     0    8190
MARKEL CORP COM     COMMON STOCK    570535104        661      2210 Shares           X                     2      2210     0       0
MARKET VECTORS GOLD
MINERS              PREFERRED STOCK 57060U100          3       100 Shares                        X        1         0     0       0
MARKET VECTORS
AGRIBUSINESS ET     PREFERRED STOCK 57060U605         11       400 Shares                 X               2         0     0       0
MARKWEST ENERGY
PARTNERS LP         COMMON STOCK    570759100          9      1100 Shares                 X               2         0     0    1100
MARSH & MCLENNAN
COS INC COM         COMMON STOCK    571748102         61      2500 Shares                 X               1      2500     0       0


                                       29 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
MARSH & MCLENNAN
COS INC COM         COMMON STOCK    571748102         59      2425 Shares                        X        1      2425     0       0
MARSH & MCLENNAN
COS INC COM         COMMON STOCK    571748102        109      4480 Shares                 X               3      4480     0       0
MARSHALL & ILSLEY
CORP                COMMON STOCK    571837103         20      1441 Shares                 X               1      1441     0       0
MARSHALL & ILSLEY
CORP                COMMON STOCK    571837103        140     10300 Shares                 X               3     10300     0       0
MARRIOTT INTL INC
CL A                COMMON STOCK    571903202         40      2050 Shares                 X               1      2050     0       0
MARRIOTT INTL INC
CL A                COMMON STOCK    571903202         44      2256 Shares                        X        1      2256     0       0
MARRIOTT INTL INC
CL A                COMMON STOCK    571903202        436     22440 Shares                 X               2         0     0   22440
MARRIOTT INTL INC
CL A                COMMON STOCK    571903202         45      2300 Shares                 X               3      2300     0       0
MARTEK BIOSCIENCES
CORP                COMMON STOCK    572901106        149      4928 Shares                 X               1      4928     0       0
MARTEK BIOSCIENCES
CORP                COMMON STOCK    572901106       1075     35472 Shares                 X               3     27472     0       0
MARTIN MARIETTA
MATERIALS INC       COMMON STOCK    573284106         49       500 Shares                 X               1       500     0       0
MARTIN MARIETTA
MATERIALS INC       COMMON STOCK    573284106       1087     11200 Shares                 X               3     11200     0       0
MARVEL
ENTERTAINMENT INC   COMMON STOCK    57383T103         31      1000 Shares                 X               1      1000     0       0
MARVEL
ENTERTAINMENT INC   COMMON STOCK    57383T103        658     21400 Shares                 X               3     21400     0       0
MASCO CORP          COMMON STOCK    574599106        184     16522 Shares                 X               1     16522     0       0
MASCO CORP          COMMON STOCK    574599106        111      9993 Shares                        X        1      9993     0       0
MASCO CORP          COMMON STOCK    574599106         88      7900 Shares                 X               3      7900     0       0
MASIMO CORPORATION  COMMON STOCK    574795100         41      1375 Shares                 X               1      1375     0       0
MASIMO CORPORATION  COMMON STOCK    574795100        911     30550 Shares                 X               3     30550     0       0
MASSEY ENERGY CO
COM                 COMMON STOCK    576206106          7       523 Shares                 X               1       523     0       0
MASSEY ENERGY CO
COM                 COMMON STOCK    576206106         21      1500 Shares                        X        1      1500     0       0
MASSEY ENERGY CO
COM                 COMMON STOCK    576206106         10       740 Shares                 X               3       740     0       0
MASTEC INC          COMMON STOCK    576323109         35      3000 Shares                 X               1      3000     0       0
MASTEC INC          COMMON STOCK    576323109        755     65200 Shares                 X               3     65200     0       0
MASTERCARD INC CL A COMMON STOCK    57636Q104        462      3230 Shares                 X               1      3230     0       0
MASTERCARD INC CL A COMMON STOCK    57636Q104        595      4164 Shares                 X               3      3964     0       0
MATTEL INC          COMMON STOCK    577081102         25      1593 Shares                 X               1      1593     0       0
MATTEL INC          COMMON STOCK    577081102         64      3969 Shares                        X        1      3969     0       0
MATTEL INC          COMMON STOCK    577081102         53      3300 Shares                 X               3      3300     0       0
MAXIM INTEGRATED
PRODS INC COM       COMMON STOCK    57772K101          8       705 Shares                 X               1       705     0       0
MAXIM INTEGRATED
PRODS INC COM       COMMON STOCK    57772K101         53      4600 Shares                 X               3      4600     0       0
MCAFEE INC          COMMON STOCK    579064106        285      8255 Shares                 X               1      8255     0       0
MCAFEE INC          COMMON STOCK    579064106        771     22300 Shares                 X               3      3500     0       0
MCCORMICK & CO-NON
VTG SHS             COMMON STOCK    579780206       1818     57070 Shares                 X               1     55945     0    1125
MCCORMICK & CO-NON
VTG SHS             COMMON STOCK    579780206        418     13125 Shares                        X        1     10410     0    2715
MCCORMICK & CO-NON
VTG SHS             COMMON STOCK    579780206         64      2000 Shares                 X               3      2000     0       0
MCDERMOTT INTL INC  COMMON STOCK    580037109        871     88167 Shares                 X               1     87417     0     750
MCDERMOTT INTL INC  COMMON STOCK    580037109         25      2525 Shares                        X        1      1195     0    1330
MCDERMOTT INTL INC  COMMON STOCK    580037109         13      1300 Shares                 X               2         0     0    1300
MCDERMOTT INTL INC  COMMON STOCK    580037109       1229    124288 Shares                 X               3    106233     0    1755
MCDONALD'S
CORPORATION         COMMON STOCK    580135101       5646     90787 Shares                 X               1     90037     0     750
MCDONALD'S
CORPORATION         COMMON STOCK    580135101       2332     37490 Shares                        X        1     32920     0    4570
MCDONALD'S
CORPORATION         COMMON STOCK    580135101        249      4000 Shares                 X               2         0     0    4000
MCDONALD'S
CORPORATION         COMMON STOCK    580135101        221      3549 Shares           X                     2      3549     0       0
MCDONALD'S
CORPORATION         COMMON STOCK    580135101       1074     17273 Shares                 X               3     16873     0       0
MCDONALD'S
CORPORATION         COMMON STOCK    580135101         19       300 Shares                 X               4       300     0       0
MC GRAW HILL
COMPANIES INC       COMMON STOCK    580645109        282     12176 Shares                 X               1     12176     0       0
MC GRAW HILL
COMPANIES INC       COMMON STOCK    580645109        621     26770 Shares                        X        1     22370     0    4400
MC GRAW HILL
COMPANIES INC       COMMON STOCK    580645109         94      4030 Shares                 X               3      4030     0       0
MCKESSON
CORPORATION COM     COMMON STOCK    58155Q103        576     14865 Shares                 X               1     14865     0       0
MCKESSON
CORPORATION COM     COMMON STOCK    58155Q103          8       200 Shares                        X        1        50     0     150
MCKESSON
CORPORATION COM     COMMON STOCK    58155Q103        146      3770 Shares                 X               3      2770     0    1000
MCMORAN EXPLORATION
CO                  COMMON STOCK    582411104          1       125 Shares                 X               1       125     0       0
MEADWESTVACO CORP   COMMON STOCK    583334107          5       489 Shares                 X               1       489     0       0
MEADWESTVACO CORP   COMMON STOCK    583334107         18      1600 Shares                 X               3      1600     0       0
MEDASSETS INC       COMMON STOCK    584045108         37      2500 Shares                 X               1      2500     0       0
MEDASSETS INC       COMMON STOCK    584045108        811     55500 Shares                 X               3     55500     0       0
MEDCO HEALTH
SOLUTIONS INC       COMMON STOCK    58405U102       1112     26527 Shares                 X               1     26527     0       0
MEDCO HEALTH
SOLUTIONS INC       COMMON STOCK    58405U102       1819     43411 Shares                        X        1     38459     0    4952
MEDCO HEALTH
SOLUTIONS INC       COMMON STOCK    58405U102        101      2412 Shares                 X               2         0     0    2412
MEDCO HEALTH
SOLUTIONS INC       COMMON STOCK    58405U102        181      4310 Shares                 X               3      4310     0       0
MEDCO HEALTH
SOLUTIONS INC       COMMON STOCK    58405U102          2        48 Shares                 X               4        48     0       0
THE MEDICINES
COMPANY             COMMON STOCK    584688105         26      1750 Shares                 X               1      1750     0       0
THE MEDICINES
COMPANY             COMMON STOCK    584688105        562     38200 Shares                 X               3     38200     0       0
MEDTRONIC INC       COMMON STOCK    585055106       2458     78227 Shares                 X               1     77427     0     800
MEDTRONIC INC       COMMON STOCK    585055106       2504     79695 Shares                        X        1     75030     0    4665
MEDTRONIC INC       COMMON STOCK    585055106       7064    224813 Shares                 X               2         0     0  224813


                                       30 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
MEDTRONIC INC       COMMON STOCK    585055106       3913    124525 Shares           X                     2    124525     0       0
MEDTRONIC INC       COMMON STOCK    585055106        303      9645 Shares                 X               3      9645     0       0
MENTOR CORP MINN
COM                 COMMON STOCK    587188103          6       200 Shares                 X               1       200     0       0
MERCK & CO INC COM  COMMON STOCK    589331107       5730    188473 Shares                 X               1    188473     0       0
MERCK & CO INC COM  COMMON STOCK    589331107       4430    145722 Shares                        X        1    137092     0    8630
MERCK & CO INC COM  COMMON STOCK    589331107        487     16028 Shares                 X               2         0     0   16028
MERCK & CO INC COM  COMMON STOCK    589331107       1370     45102 Shares                 X               3     43694     0    1408
MERCK & CO INC COM  COMMON STOCK    589331107          6       200 Shares                 X               4       200     0       0
MERCURY GENERAL
CORP                COMMON          589400100         87      1900 Shares                 X               3      1900     0       0
MEREDITH CORP       COMMON          589433101          6       360 Shares                 X               3       360     0       0
MERIDIAN BIOSCIENCE
INC                 COMMON STOCK    589584101         29      1158 Shares                        X        1      1158     0       0
MERIDIAN BIOSCIENCE
INC                 COMMON STOCK    589584101        102      4000 Shares                 X               2         0     0    4000
MERRILL LYNCH & CO
INC                 COMMON STOCK    590188108        224     19286 Shares                 X               1     19286     0       0
MERRILL LYNCH & CO
INC                 COMMON STOCK    590188108        129     11091 Shares                        X        1     11091     0       0
MERRILL LYNCH & CO
INC                 COMMON STOCK    590188108        223     19200 Shares                 X               2         0     0   19200
MERRILL LYNCH & CO
INC                 COMMON STOCK    590188108        405     34742 Shares                 X               3     33912     0     830
MERRILL LYNCH & CO
INC                 COMMON STOCK    590188108          1       100 Shares                 X               4       100     0       0
MESA LABORATORIES
INC COM             COMMON STOCK    59064R109          9       500 Shares                 X               1       500     0       0
METAVANTE
TECHNOLOGIES INC    COMMON STOCK    591407101          8       479 Shares                 X               1       479     0       0
METAVANTE
TECHNOLOGIES INC    COMMON STOCK    591407101         19      1200 Shares                 X               3      1200     0       0
METLIFE CAP TR I    COMMON STOCK    59156R108        224      6432 Shares                 X               1      6432     0       0
METLIFE CAP TR I    COMMON STOCK    59156R108         36      1021 Shares                        X        1      1021     0       0
METLIFE CAP TR I    COMMON STOCK    59156R108        241      6900 Shares                 X               3      6900     0       0
METROPOLITAN HEALTH
NETWORKS I          COMMON STOCK    592142103          1       500 Shares                 X               1       500     0       0
MICROSOFT CORP      COMMON STOCK    594918104      16428    845072 Shares                 X               1    827217     0   17855
MICROSOFT CORP      COMMON STOCK    594918104       5366    276009 Shares                        X        1    247288     0   28721
MICROSOFT CORP      COMMON STOCK    594918104         54      2800 Shares                 X               2         0     0    2800
MICROSOFT CORP      COMMON STOCK    594918104        793     40782 Shares           X                     2     40782     0       0
MICROSOFT CORP      COMMON STOCK    594918104       7581    389914 Shares                 X               3    375714     0    8200
MICROSOFT CORP      COMMON STOCK    594918104         21      1100 Shares                 X               4      1100     0       0
MICROSTRATEGY INC   COMMON STOCK    594972408          1        27 Shares                 X               2         0     0      27
MICROCHIP
TECHNOLOGY INC COM  COMMON STOCK    595017104        176      9025 Shares                 X               1      9025     0       0
MICROCHIP
TECHNOLOGY INC COM  COMMON STOCK    595017104        251     12900 Shares                 X               3      2800     0       0
MICRON TECHNOLOGY   COMMON          595112103         18      6905 Shares                 X               3      6905     0       0
MICROSEMI CORP      COMMON STOCK    595137100         29      2300 Shares                 X               1      2300     0       0
MICROSEMI CORP      COMMON STOCK    595137100        630     49900 Shares                 X               3     49900     0       0
MID-AMERICA
APARTMENT COMMUNIT  COMMON STOCK    59522J103         56      1500 Shares                 X               2         0     0       0
MID PENN BANCORP
INCORPORATED        COMMON STOCK    59540G107         33      1597 Shares                 X               1      1597     0       0
MIDCAP SPDR TRUST
SERIES 1 S&P        PREFERRED STOCK 595635103       1001     10307 Shares                 X               1         0     0       0
MIDCAP SPDR TRUST
SERIES 1 S&P        PREFERRED STOCK 595635103       1605     16520 Shares                        X        1         0     0       0
MIDCAP SPDR TRUST
SERIES 1 S&P        PREFERRED STOCK 595635103        129      1325 Shares                 X               2         0     0       0
MIDCAP SPDR TRUST
SERIES 1 S&P        PREFERRED STOCK 595635103         44       455 Shares                 X               3         0     0       0
MILLIPORE CORP      COMMON          601073109         24       475 Shares                 X               3       475     0       0
MINE SAFETY
APPLIANCES CO       COMMON STOCK    602720104         16       650 Shares                 X               1       650     0       0
MITSUBISHI UFJ
FINANCIAL GRP-A     COMMON STOCK    606822104          1       200 Shares                 X               1       200     0       0
MOLEX INC           COMMON STOCK    608554101         52      3600 Shares                 X               1      3600     0       0
MOLEX INC           COMMON STOCK    608554101         17      1150 Shares                 X               3      1150     0       0
MOLSON COORS
BREWING COMPANY     COMMON STOCK    60871R209         11       220 Shares                 X               1       220     0       0
MOLSON COORS
BREWING COMPANY     COMMON STOCK    60871R209         29       600 Shares                        X        1       600     0       0
MOLSON COORS
BREWING COMPANY     COMMON STOCK    60871R209         61      1250 Shares                 X               3      1250     0       0
MONOGRAM
BIOSCIENCES INC     COMMON STOCK    60975U207          2       833 Shares                 X               2         0     0     833
MONSANTO COMPANY    COMMON STOCK    61166W101       2402     34143 Shares                 X               1     33843     0     300
MONSANTO COMPANY    COMMON STOCK    61166W101        974     13848 Shares                        X        1     12453     0    1395
MONSANTO COMPANY    COMMON STOCK    61166W101       1678     23843 Shares                 X               3     23050     0     543
MONSTER WORLDWIDE
INCORPORATED        COMMON STOCK    611742107          2       125 Shares                 X               1       125     0       0
MONSTER WORLDWIDE
INCORPORATED        COMMON STOCK    611742107         13      1100 Shares                 X               3      1100     0       0
MONTGOMERY ST
INCOME SECS INC     PREFERRED STOCK 614115103         64      4653 Shares                 X               1         0     0       0
MOODYS CORP         COMMON STOCK    615369105        224     11172 Shares                 X               1      8820     0    2352
MOODYS CORP         COMMON STOCK    615369105        163      8125 Shares                        X        1      7900     0     225
MOODYS CORP         COMMON STOCK    615369105        194      9660 Shares                 X               3      2560     0       0
MOOG INC CL A       COMMON STOCK    615394202          3        75 Shares                 X               1        75     0       0
MORGAN STANLEY
GROUP INC           COMMON STOCK    617446448        522     32551 Shares                 X               1     32551     0       0
MORGAN STANLEY
GROUP INC           COMMON STOCK    617446448        251     15670 Shares                        X        1     15158     0     512
MORGAN STANLEY
GROUP INC           COMMON STOCK    617446448        694     43219 Shares                 X               3     42018     0    1201
MORGAN STANLEY
EMERGING MKTS D     PREFERRED STOCK 61744H105          4       500 Shares                 X               1         0     0       0
MORGAN STANLEY
HIGH YLD FD INC     PREFERRED STOCK 61744M104          1       300 Shares                 X               1         0     0       0
MORGAN STANLEY
QUALITY MUNI IN     PREFERRED STOCK 61745P668         16      1708 Shares                        X        1         0     0       0


                                       31 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
MORGAN STAN DEAN
QUALITY MUN I       PREFERRED STOCK 61745P734         13      1413 Shares                        X        1         0     0       0
MORGAN STANLEY INSD
MUNI INCOM          PREFERRED STOCK 61745P791         30      2814 Shares                        X        1         0     0       0
THE MOSAIC COMPANY  COMMON STOCK    61945A107       2020     58390 Shares                 X               1     58190     0     200
THE MOSAIC COMPANY  COMMON STOCK    61945A107        206      5940 Shares                        X        1      5090     0     850
THE MOSAIC COMPANY  COMMON STOCK    61945A107       1277     36902 Shares                 X               3     26887     0     915
MOTOROLA INC        COMMON STOCK    620076109        158     35655 Shares                 X               1     35655     0       0
MOTOROLA INC        COMMON STOCK    620076109        191     43200 Shares                        X        1     43200     0       0
MOTOROLA INC        COMMON STOCK    620076109         27      6000 Shares                 X               2         0     0    6000
MOTOROLA INC        COMMON STOCK    620076109        131     29400 Shares                 X               3     29400     0       0
MOTOROLA INC        COMMON STOCK    620076109          1       150 Shares                 X               4       150     0       0
MURPHY OIL CORP     COMMON STOCK    626717102         33       750 Shares                 X               1       750     0       0
MURPHY OIL CORP     COMMON STOCK    626717102         67      1500 Shares                        X        1      1500     0       0
MURPHY OIL CORP     COMMON STOCK    626717102         75      1700 Shares                 X               3      1700     0       0
MYLAN INC           COMMON STOCK    628530107          5       533 Shares                 X               1       533     0       0
MYLAN INC           COMMON STOCK    628530107         28      2850 Shares                 X               3      2850     0       0
MYRIAD GENETICS INC
COM                 COMMON STOCK    62855J104         60       900 Shares                 X               1       900     0       0
MYRIAD GENETICS INC
COM                 COMMON STOCK    62855J104       1100     16600 Shares                 X               3     16600     0       0
NCR CORP            COMMON STOCK    62886E108         14       988 Shares                 X               1       988     0       0
NCR CORP            COMMON STOCK    62886E108         10       724 Shares                        X        1       708     0      16
NCI INCORPORATED -
CLASS A             COMMON STOCK    62886K104         26       850 Shares                 X               1       850     0       0
NCI INCORPORATED -
CLASS A             COMMON STOCK    62886K104        599     19850 Shares                 X               3     19850     0       0
NII HOLDINGS
INC-CL B            COMMON STOCK    62913F201          5       300 Shares                 X               1       300     0       0
NII HOLDINGS
INC-CL B            COMMON STOCK    62913F201         53      2900 Shares                 X               2         0     0    2900
NL INDUSTRIES INC   COMMON STOCK    629156407          2       165 Shares                        X        1       165     0       0
NTT DOCOMO INC
SPONSORED ADR       COMMON STOCK    62942M201          2        81 Shares                 X               1        81     0       0
NYSE EURONEXT       COMMON STOCK    629491101         85      3100 Shares                 X               1      2050     0    1050
NYSE EURONEXT       COMMON STOCK    629491101         22       800 Shares                        X        1       800     0       0
NYSE EURONEXT       COMMON STOCK    629491101       1289     47050 Shares                 X               3     47050     0       0
NASDAQ OMX GROUP    COMMON STOCK    631103108         77      3100 Shares                 X               1      3100     0       0
NASDAQ OMX GROUP    COMMON STOCK    631103108       1618     65465 Shares                 X               3     65465     0       0
NATIONAL CITY CORP
COM                 COMMON STOCK    635405103         30     16344 Shares                 X               1     16344     0       0
NATIONAL CITY CORP
COM                 COMMON STOCK    635405103         30     16375 Shares                 X               3     16375     0       0
NATL FUEL GAS CO    COMMON STOCK    636180101         31      1000 Shares                        X        1      1000     0       0
NATIONAL GRID GROUP
PLC-ADR             COMMON STOCK    636274300         21       415 Shares                 X               1       415     0       0
NATIONAL GRID GROUP
PLC-ADR             COMMON STOCK    636274300          6       118 Shares                        X        1       118     0       0
NATIONAL-OILWELL
VARCO INC           COMMON STOCK    637071101       1184     48459 Shares                 X               1     47509     0     950
NATIONAL-OILWELL
VARCO INC           COMMON STOCK    637071101         86      3509 Shares                        X        1      2754     0     755
NATIONAL-OILWELL
VARCO INC           COMMON STOCK    637071101        470     19250 Shares                 X               2         0     0   19250
NATIONAL-OILWELL
VARCO INC           COMMON STOCK    637071101        448     18325 Shares           X                     2     18325     0       0
NATIONAL-OILWELL
VARCO INC           COMMON STOCK    637071101       1090     44543 Shares                 X               3     30772     0       0
NATIONAL PENN
BANCSHARES INC      COMMON STOCK    637138108        121      8356 Shares                 X               1      8356     0       0
NATIONAL PENN
BANCSHARES INC      COMMON STOCK    637138108        102      7041 Shares                        X        1      7041     0       0
NATIONAL RETAIL
PROPERTIES INC      COMMON STOCK    637417106          3       200 Shares                        X        1         0     0       0
NATIONAL
SEMICONDUCTOR
CORP CO             COMMON STOCK    637640103          9       850 Shares                 X               1       850     0       0
NATIONAL
SEMICONDUCTOR
CORP CO             COMMON STOCK    637640103         31      3090 Shares                        X        1      3090     0       0
NATIONAL
SEMICONDUCTOR
CORP CO             COMMON STOCK    637640103         19      1850 Shares                 X               3      1850     0       0
NATIONWIDE FINL
SVCS INC            COMMON STOCK    638612101          7       140 Shares                 X               1       140     0       0
NATIONWIDE HEALTH
PROPERTIES (        COMMON STOCK    638620104         29      1000 Shares                 X               1         0     0       0
NATURAL RESOURCE
PARTNERS L P        COMMON STOCK    63900P103        436     25000 Shares                 X               2         0     0   25000
NAVISTAR
INTERNATIONAL CORP  COMMON STOCK    63934E108          2       100 Shares                 X               1       100     0       0
NAVISTAR
INTERNATIONAL CORP  COMMON STOCK    63934E108          1        45 Shares                 X               2         0     0      45
NEENAH PAPER INC    COMMON STOCK    640079109          9      1020 Shares                 X               1      1020     0       0
NEENAH PAPER INC    COMMON STOCK    640079109          0        18 Shares                        X        1        18     0       0
NETAPP INC          COMMON STOCK    64110D104         45      3225 Shares                 X               1      2525     0     700
NETAPP INC          COMMON STOCK    64110D104          4       275 Shares                        X        1       275     0       0
NETAPP INC          COMMON STOCK    64110D104         41      2905 Shares                 X               3      2905     0       0
NETFLIX.COM INC     COMMON STOCK    64110L106         27       900 Shares                 X               1       900     0       0
NETFLIX.COM INC     COMMON STOCK    64110L106        502     16800 Shares                 X               3     16800     0       0
NEUROCRINE
BIOSCIENCES INC     COMMON STOCK    64125C109          2       500 Shares                        X        1         0     0     500
NEUBERGER BERMAN
REAL ESTATE S       PREFERRED STOCK 64190A103          4      1999 Shares                        X        1         0     0       0
NEW JERSEY
RESOURCES CORP      COMMON STOCK    646025106          4        99 Shares                        X        1        99     0       0
NEW YORK TIMES CO
CL A                COMMON STOCK    650111107          9      1220 Shares                 X               1      1220     0       0
NEW YORK TIMES CO
CL A                COMMON STOCK    650111107         73     10000 Shares                        X        1     10000     0       0
NEW YORK TIMES CO
CL A                COMMON STOCK    650111107          9      1270 Shares                 X               3      1270     0       0
NEWELL RUBBERMAID
INC COM             COMMON STOCK    651229106        120     12236 Shares                 X               1     12236     0       0
NEWELL RUBBERMAID
INC COM             COMMON STOCK    651229106        103     10527 Shares                        X        1     10527     0       0
NEWELL RUBBERMAID
INC COM             COMMON STOCK    651229106         60      6200 Shares                 X               3      6200     0       0


                                       32 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
NEWFIELD
EXPLORATION CO      COMMON STOCK    651290108         57      2879 Shares                 X               1      2879     0       0
NEWFIELD
EXPLORATION CO      COMMON STOCK    651290108          2       125 Shares                        X        1       125     0       0
NEWFIELD
EXPLORATION CO      COMMON STOCK    651290108        127      6401 Shares                 X               3       701     0       0
NEWMARKET
CORPORATION         COMMON STOCK    651587107        272      7800 Shares                        X        1      7800     0       0
NEWMONT MINING      COMMON STOCK    651639106         16       391 Shares                 X               1       340     0      51
NEWMONT MINING      COMMON STOCK    651639106         61      1500 Shares                        X        1       600     0     900
NEWMONT MINING      COMMON STOCK    651639106        161      3950 Shares                 X               3      3950     0       0
NEWS CORP INC-A     COMMON STOCK    65248E104       1263    138987 Shares                 X               1    138977     0      10
NEWS CORP INC-A     COMMON STOCK    65248E104         39      4275 Shares                        X        1      4275     0       0
NEWS CORP INC-A     COMMON STOCK    65248E104        431     47323 Shares                 X               3     42075     0    5248
NEWS CORP-CLASS B   COMMON STOCK    65248E203         29      3035 Shares                 X               1      3035     0       0
NEWS CORP-CLASS B   COMMON STOCK    65248E203          4       450 Shares                        X        1       450     0       0
NEXEN INC           COMMON STOCK    65334H102          6       320 Shares                 X               1       320     0       0
NICHOLAS-APPLEGATE
INTL & PREM         PREFERRED STOCK 65370C108          7       600 Shares                        X        1         0     0       0
NICOR INC           COMMON STOCK    654086107         17       500 Shares                 X               1       500     0       0
NICOR INC           COMMON STOCK    654086107         40      1150 Shares                        X        1      1150     0       0
NICOR INC           COMMON STOCK    654086107         12       340 Shares                 X               3       340     0       0
NIKE INC CL B       COMMON STOCK    654106103       2334     45757 Shares                 X               1     44907     0     850
NIKE INC CL B       COMMON STOCK    654106103        231      4520 Shares                        X        1      3270     0    1250
NIKE INC CL B       COMMON STOCK    654106103        669     13090 Shares                 X               3     12590     0       0
99 CENTS ONLY
STORES              COMMON STOCK    65440K106         25      2300 Shares                 X               1      2300     0       0
99 CENTS ONLY
STORES              COMMON STOCK    65440K106        557     50950 Shares                 X               3     50950     0       0
NISOURCE INC        COMMON STOCK    65473P105         51      4621 Shares                 X               1      4621     0       0
NISOURCE INC        COMMON STOCK    65473P105         25      2251 Shares                        X        1      2251     0       0
NISOURCE INC        COMMON STOCK    65473P105         27      2500 Shares                 X               3      2500     0       0
NISSAN MOTOR LTD
SPONS ADR           COMMON STOCK    654744408          1       115 Shares                 X               1       115     0       0
NOKIA CORP
SPONSORED ADR       COMMON STOCK    654902204        548     35113 Shares                 X               1     35113     0       0
NOKIA CORP
SPONSORED ADR       COMMON STOCK    654902204        390     24995 Shares                        X        1     24545     0     450
NOBLE ENERGY INC    COMMON STOCK    655044105        247      5015 Shares                 X               1      5015     0       0
NOBLE ENERGY INC    COMMON STOCK    655044105         34       700 Shares                        X        1       700     0       0
NOBLE ENERGY INC    COMMON STOCK    655044105        474      9635 Shares                 X               3      2335     0       0
NOMURA HLDGS INC    COMMON STOCK    65535H208          1       147 Shares                 X               1       147     0       0
NORDSTROM INC COM   COMMON STOCK    655664100        377     28313 Shares                 X               1     28313     0       0
NORDSTROM INC COM   COMMON STOCK    655664100          1       100 Shares                        X        1       100     0       0
NORDSTROM INC COM   COMMON STOCK    655664100        481     36203 Shares                 X               3     34303     0       0
NORFOLK SOUTHERN
CORP                COMMON STOCK    655844108       1167     24801 Shares                 X               1     24601     0     200
NORFOLK SOUTHERN
CORP                COMMON STOCK    655844108       1026     21810 Shares                        X        1     19110     0    2700
NORFOLK SOUTHERN
CORP                COMMON STOCK    655844108        172      3650 Shares                 X               3      3650     0       0
NORTEL NETWORKS
CORP                COMMON STOCK    656568508          0       356 Shares                 X               1       356     0       0
NORTEL NETWORKS
CORP                COMMON STOCK    656568508          0        13 Shares                        X        1        13     0       0
NORTHEAST UTILITIES
COM                 COMMON STOCK    664397106         22       930 Shares                 X               1       930     0       0
NORTHERN TR CORP    COMMON          665859104         96      1845 Shares                 X               3      1845     0       0
NORTHROP GRUMMAN
CORP                COMMON STOCK    666807102        261      5793 Shares                 X               1      5793     0       0
NORTHROP GRUMMAN
CORP                COMMON STOCK    666807102        102      2275 Shares                        X        1      2275     0       0
NORTHROP GRUMMAN
CORP                COMMON STOCK    666807102        288      6370 Shares                 X               3      6370     0       0
NORTHWEST NATURAL
GAS COMPANY         COMMON STOCK    667655104         66      1500 Shares                 X               1      1500     0       0
NORTHWEST NATURAL
GAS COMPANY         COMMON STOCK    667655104         22       500 Shares                        X        1       500     0       0
NORTHWEST PIPE
COMPANY             COMMON STOCK    667746101         29       670 Shares                 X               1       670     0       0
NORTHWESTERN CORP   COMMON STOCK    668074305          8       355 Shares                        X        1       355     0       0
NOVA CHEMICALS CORP COMMON STOCK    66977W109          1       312 Shares                 X               1       312     0       0
NOVARTIS AG ADR     COMMON STOCK    66987V109       5043    101345 Shares                 X               1    100258     0    1087
NOVARTIS AG ADR     COMMON STOCK    66987V109        655     13155 Shares                        X        1     10745     0    2410
NOVARTIS AG ADR     COMMON STOCK    66987V109        647     12995 Shares                 X               3     10637     0    2358
NOVELL INC          COMMON STOCK    670006105          3       650 Shares                 X               1       650     0       0
NOVELL INC          COMMON STOCK    670006105         19      5000 Shares                        X        1      5000     0       0
NOVELL INC          COMMON STOCK    670006105         11      2925 Shares                 X               3      2925     0       0
NOVELLUS SYS INC    COMMON          670008101         12      1000 Shares                 X               3      1000     0       0
NOVO-NORDISK A/S
SPONS ADR           COMMON STOCK    670100205        257      5000 Shares                 X               2         0     0    5000
NU SKIN ENTERPRISES
INC                 COMMON STOCK    67018T105          8       800 Shares                 X               2         0     0     800
NSTAR COM           COMMON STOCK    67019E107         43      1170 Shares                 X               1      1170     0       0
NUCOR CORP          COMMON STOCK    670346105        462     10005 Shares                 X               1      7705     0    2300
NUCOR CORP          COMMON STOCK    670346105         68      1469 Shares                        X        1      1469     0       0
NUCOR CORP          COMMON STOCK    670346105        129      2800 Shares                 X               3      2800     0       0
NUCRYST
PHARMACEUTICALS
CORP                COMMON STOCK    67035Q100          0       200 Shares                 X               1       200     0       0
NUSTAR ENERGY LP    COMMON STOCK    67058H102          8       200 Shares                        X        1       200     0       0
NUSTAR GP HOLDINGS
LLC                 COMMON STOCK    67059L102         27      1500 Shares                 X               2         0     0    1500
NUVEEN PA PREM
INCOME MUN FD 2     PREFERRED STOCK 67061F101         28      3215 Shares                 X               1         0     0       0


                                       33 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
NUVEEN PA PREM
INCOME MUN FD 2     PREFERRED STOCK 67061F101       1189    137734 Shares                        X        1         0     0       0
NUVEEN MARYLAND
PREM INC MUN F      PREFERRED STOCK 67061Q107         21      2100 Shares                 X               2         0     0       0
NUVEEN INVT QUALITY
MUNI FD             PREFERRED STOCK 67062E103          3       333 Shares                        X        1         0     0       0
NUVEEN MUNICIPAL
ADVANTAGE FD        PREFERRED STOCK 67062H106         10      1000 Shares                        X        1         0     0       0
NUVEEN INSD QUALITY
MUN FD              PREFERRED STOCK 67062N103         14      1400 Shares                 X               1         0     0       0
NUVEEN INSD QUALITY
MUN FD              PREFERRED STOCK 67062N103          8       760 Shares                 X               2         0     0       0
NUVEEN PERFORMANCE
PLUS MUNI F         PREFERRED STOCK 67062P108         34      3000 Shares                 X               1         0     0       0
NUVEEN PERFORMANCE
PLUS MUNI F         PREFERRED STOCK 67062P108          4       390 Shares                        X        1         0     0       0
NUVEEN NY INVT
QUALITY MUN FD      PREFERRED STOCK 67062X101         30      2965 Shares                        X        1         0     0       0
NUVEEN SELECT
TAX-FREE INC 2      PREFERRED STOCK 67063C106        514     40000 Shares                        X        1         0     0       0
NVIDIA CORP COM     COMMON STOCK    67066G104          6       756 Shares                 X               1       756     0       0
NVIDIA CORP COM     COMMON STOCK    67066G104         40      5000 Shares                 X               3      5000     0       0
NUVEEN VA DVD ADV
MUNI BOND FU        PREFERRED STOCK 67069M108         41      4000 Shares                 X               1         0     0       0
NUVEEN MARYLAND
DIVIDEND ADV M      PREFERRED STOCK 67069R107          8       923 Shares                 X               1         0     0       0
NUVEEN CA DVD ADV
MUNI FD 2           PREFERRED STOCK 67069X104         19      2000 Shares                 X               1         0     0       0
NUVEEN INSURED PREM
INC MUNI F          PREFERRED STOCK 6706D8104         29      3100 Shares                 X               2         0     0       0
NUVASIVE INC        COMMON STOCK    670704105         55      1576 Shares                 X               1      1576     0       0
NUVASIVE INC        COMMON STOCK    670704105       1060     30575 Shares                 X               3     30575     0       0
NUVEEN PA DIVIDEND
ADV MUNI FD         PREFERRED STOCK 67070E103         10      1000 Shares                        X        1         0     0       0
NUVEEN MD DIV
ADVANTAGE MUN FD    PREFERRED STOCK 67070V105         41      4059 Shares                 X               1         0     0       0
NUVEEN MD DIV
ADVANTAGE MUN FD    PREFERRED STOCK 67070V105         10      1000 Shares                 X               2         0     0       0
NUVEEN VA DVD ADV
MUNI FD 2           PREFERRED STOCK 67071C106         42      4000 Shares                 X               1         0     0       0
NUVEEN QUALITY
PREFERRED INC F     PREFERRED STOCK 67071S101         73     15000 Shares                 X               2         0     0       0
NUVEEN QUALITY PFD
INCOME FD 2         PREFERRED STOCK 67072C105          9      1735 Shares                 X               1         0     0       0
NUVEEN QUALITY PFD
INCOME FD 2         PREFERRED STOCK 67072C105          8      1500 Shares                        X        1         0     0       0
NUVEEN QUALITY PFD
INCOME FD 2         PREFERRED STOCK 67072C105         76     15000 Shares                 X               2         0     0       0
NUVEEN QUALITY PFD
INCOME FD 3         PREFERRED STOCK 67072W101          4       700 Shares                        X        1         0     0       0
NUVEEN PFD & CVRT
INCOME FUND         PREFERRED STOCK 67073B106          5      1000 Shares                 X               1         0     0       0
NUVEEN MULTI
STRATEGY INC & GR   PREFERRED STOCK 67073D102          9      1860 Shares                 X               1         0     0       0
NUVEEN MULTI
STRATEGY INC & GR   PREFERRED STOCK 67073D102          2       500 Shares                        X        1         0     0       0
NV ENERGY INC       COMMON STOCK    67073Y106          5       495 Shares                 X               1       495     0       0
OGE ENERGY CORP COM COMMON STOCK    670837103          8       300 Shares                 X               1       300     0       0
OGE ENERGY CORP COM COMMON STOCK    670837103         47      1810 Shares                        X        1      1810     0       0
NUVEEN MUNICIPAL
VALUE FUND          PREFERRED STOCK 670928100         26      2963 Shares                 X               1         0     0       0
NUVEEN MUNICIPAL
VALUE FUND          PREFERRED STOCK 670928100         22      2594 Shares                        X        1         0     0       0
NUVEEN PA INVT
QUALITY MUN FD      PREFERRED STOCK 670972108         83      9066 Shares                 X               1         0     0       0
NUVEEN PA INVT
QUALITY MUN FD      PREFERRED STOCK 670972108         33      3600 Shares                        X        1         0     0       0
NUVEEN SELECT
QUALITY MUN FD      PREFERRED STOCK 670973106          4       406 Shares                        X        1         0     0       0
NUVEEN QUALITY
INCOME MUNI FD      PREFERRED STOCK 670977107          6       500 Shares                 X               1         0     0       0
NUVEEN QUALITY
INCOME MUNI FD      PREFERRED STOCK 670977107          2       210 Shares                        X        1         0     0       0
NUVEEN INSD MUNI
OPPORTUNITY         PREFERRED STOCK 670984103          4       396 Shares                        X        1         0     0       0
NUVEEN INSD MUNI
OPPORTUNITY         PREFERRED STOCK 670984103          5       500 Shares                 X               2         0     0       0
NUVEEN PREMIER INSD
MUNI INC F          PREFERRED STOCK 670987106          4       410 Shares                 X               1         0     0       0
NUVEEN PREMIER INSD
MUNI INC F          PREFERRED STOCK 670987106         11      1000 Shares                        X        1         0     0       0
NUVEEN PREMIER INSD
MUNI INC F          PREFERRED STOCK 670987106         11      1050 Shares                 X               2         0     0       0
OSI PHARMACEUTICALS
INC COM             COMMON STOCK    671040103         51      1300 Shares                 X               1      1300     0       0
OSI PHARMACEUTICALS
INC COM             COMMON STOCK    671040103       1153     29550 Shares                 X               3     29550     0       0
OCCIDENTAL PETE
CORP COM            COMMON STOCK    674599105        371      6179 Shares                 X               1      6179     0       0
OCCIDENTAL PETE
CORP COM            COMMON STOCK    674599105        222      3701 Shares                        X        1      3701     0       0
OCCIDENTAL PETE
CORP COM            COMMON STOCK    674599105        852     14200 Shares                 X               2         0     0   14200
OCCIDENTAL PETE
CORP COM            COMMON STOCK    674599105        489      8150 Shares           X                     2      8150     0       0
OCCIDENTAL PETE
CORP COM            COMMON STOCK    674599105        514      8560 Shares                 X               3      8560     0       0
OCEANEERING INTL
INC COM             COMMON STOCK    675232102         26       900 Shares                 X               1       900     0       0
OFFICE DEPOT INC    COMMON          676220106          7      2400 Shares                 X               3      2400     0       0
OFFICEMAX INC       COMMON          67622P101         50      6500 Shares                 X               3      6500     0       0
OIL SERVICE HOLDERS
TRUST               COMMON STOCK    678002106        317      4300 Shares                 X               1      4300     0       0
OLD NATIONAL
BANCORP COM         COMMON STOCK    680033107        104      5700 Shares                 X               1      5700     0       0
OLD REPUBLIC INTL
CORP COM            COMMON STOCK    680223104         50      4200 Shares                 X               1      4200     0       0
OLIN CORP COM       COMMON STOCK    680665205         19      1050 Shares                 X               1      1050     0       0
OLIN CORP COM       COMMON STOCK    680665205         18      1000 Shares                        X        1      1000     0       0
OMNICOM GROUP INC
COM                 COMMON STOCK    681919106        139      5178 Shares                 X               1      5178     0       0
OMNICOM GROUP INC
COM                 COMMON STOCK    681919106        101      3750 Shares                        X        1      3750     0       0
OMNICOM GROUP INC
COM                 COMMON STOCK    681919106         78      2900 Shares                 X               3      2900     0       0
OMNOVA SOLUTIONS
INC COM             COMMON STOCK    682129101          0       645 Shares                 X               1       645     0       0
OMNITURE INC        COMMON STOCK    68212S109         33      3080 Shares                 X               1      3080     0       0
OMNITURE INC        COMMON STOCK    68212S109        738     69275 Shares                 X               3     69275     0       0
ONCOTHYREON INC     COMMON STOCK    682324108          1       833 Shares                 X               1       150     0     683


                                       34 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
ONEOK INC           COMMON STOCK    682680103         23       800 Shares                 X               1       800     0       0
ONEOK PARTNERS LP   COMMON STOCK    68268N103        109      2400 Shares                        X        1      2400     0       0
ONEOK PARTNERS LP   COMMON STOCK    68268N103         27       600 Shares                 X               2         0     0     600
ONYX
PHARMACEUTICALS INC COMMON STOCK    683399109         27       800 Shares                 X               1       800     0       0
ONYX
PHARMACEUTICALS INC COMMON STOCK    683399109        592     17325 Shares                 X               3     17325     0       0
OPTIMAL GROUP INC -
CL A                COMMON STOCK    68388R208          0       300 Shares                 X               1       300     0       0
ORACLE CORPORATION
COM                 COMMON STOCK    68389X105       2680    151166 Shares                 X               1    151166     0       0
ORACLE CORPORATION
COM                 COMMON STOCK    68389X105        525     29585 Shares                        X        1     28485     0    1100
ORACLE CORPORATION
COM                 COMMON STOCK    68389X105        337     19000 Shares                 X               2         0     0   19000
ORACLE CORPORATION
COM                 COMMON STOCK    68389X105        641     36166 Shares           X                     2     36166     0       0
ORACLE CORPORATION
COM                 COMMON STOCK    68389X105       2054    115860 Shares                 X               3    111460     0       0
ORACLE CORPORATION
COM                 COMMON STOCK    68389X105         15       850 Shares                 X               4       850     0       0
ORBCOMM INC         COMMON STOCK    68555P100         13      5800 Shares                 X               1      5800     0       0
ORBCOMM INC         COMMON STOCK    68555P100        280    129900 Shares                 X               3    129900     0       0
OREXIGEN
THERAPEUTICS INC    COMMON STOCK    686164104         27      4900 Shares                 X               1      4900     0       0
OREXIGEN
THERAPEUTICS INC    COMMON STOCK    686164104        599    107300 Shares                 X               3    107300     0       0
ORION MARINE GROUP
INC                 COMMON STOCK    68628V308         43      4400 Shares                 X               1      4400     0       0
ORION MARINE GROUP
INC                 COMMON STOCK    68628V308        940     97300 Shares                 X               3     97300     0       0
OSHKOSH CORPORATION COMMON STOCK    688239201          2       200 Shares                 X               1       200     0       0
OTELCO INC          COMMON STOCK    688823202         10      1355 Shares                 X               1      1355     0       0
OWENS ILL INC       COMMON          690768403         17       630 Shares                 X               3       630     0       0
PDL BIOPHARMA INC   COMMON STOCK    69329Y104          9      1500 Shares                 X               1      1500     0       0
P G & E CORP        COMMON STOCK    69331C108        115      2963 Shares                 X               1      2963     0       0
P G & E CORP        COMMON STOCK    69331C108         81      2100 Shares                        X        1       600     0    1500
P G & E CORP        COMMON STOCK    69331C108        120      3100 Shares                 X               3      3100     0       0
PHH CORPORATION     COMMON STOCK    693320202         13      1000 Shares                 X               1      1000     0       0
P F CHANG'S CHINA
BISTRO INC          COMMON STOCK    69333Y108         27      1300 Shares                 X               1      1300     0       0
P F CHANG'S CHINA
BISTRO INC          COMMON STOCK    69333Y108        619     29550 Shares                 X               3     29550     0       0
PMC SIERRA INC      COMMON STOCK    69344F106        131     26925 Shares                 X               1     26925     0       0
PMC SIERRA INC      COMMON STOCK    69344F106        899    185100 Shares                 X               3    131100     0       0
PNC FINANCIAL
SERVICES GROUP I    COMMON STOCK    693475105       8582    175141 Shares                 X               1    165345     0    9796
PNC FINANCIAL
SERVICES GROUP I    COMMON STOCK    693475105       2683     54755 Shares                        X        1     45051  4450    5254
PNC FINANCIAL
SERVICES GROUP I    COMMON STOCK    693475105        346      7061 Shares                 X               2         0     0    7061
PNC FINANCIAL
SERVICES GROUP I    COMMON STOCK    693475105        217      4431 Shares                 X               3      4431     0       0
PNM RESOURCES INC   COMMON STOCK    69349H107          5       450 Shares                        X        1       450     0       0
PPG INDS INC        COMMON STOCK    693506107        409      9647 Shares                 X               1      8847     0     800
PPG INDS INC        COMMON STOCK    693506107        561     13233 Shares                        X        1     12233     0    1000
PPG INDS INC        COMMON STOCK    693506107         98      2325 Shares                 X               3      2325     0       0
PPL CORP COM        COMMON STOCK    69351T106       4225    137652 Shares                 X               1    136352     0    1300
PPL CORP COM        COMMON STOCK    69351T106       1321     43045 Shares                        X        1     36178  2130    4737
PPL CORP COM        COMMON STOCK    69351T106        103      3350 Shares                 X               3      3350     0       0
PACCAR INC          COMMON STOCK    693718108        116      4050 Shares                 X               2         0     0    4050
PACCAR INC          COMMON STOCK    693718108         93      3250 Shares                 X               3      3250     0       0
PACTIV CORP COM     COMMON STOCK    695257105         44      1750 Shares                 X               1      1750     0       0
PACTIV CORP COM     COMMON STOCK    695257105          5       200 Shares                        X        1       200     0       0
PACTIV CORP COM     COMMON STOCK    695257105        939     37725 Shares                 X               3     37725     0       0
PAETEC HOLDING CORP COMMON STOCK    695459107         14     10000 Shares                 X               1      5000     0    5000
PALL CORP COM       COMMON STOCK    696429307         57      2000 Shares                        X        1      2000     0       0
PALL CORP COM       COMMON STOCK    696429307         33      1150 Shares                 X               3      1150     0       0
PALM INC            COMMON STOCK    696643105         21      7000 Shares                 X               2         0     0    7000
PAN AMERICAN SILVER
CORP                COMMON STOCK    697900108          2       100 Shares                 X               1       100     0       0
PANERA BREAD CO
CL-A                COMMON STOCK    69840W108        197      3775 Shares                 X               1      3775     0       0
PANERA BREAD CO
CL-A                COMMON STOCK    69840W108       1268     24275 Shares                 X               3     16175     0       0
THE PANTRY INC      COMMON STOCK    698657103          3       150 Shares                 X               1       150     0       0
PAPA JOHNS
INTERNATIONAL INC   COMMON STOCK    698813102          4       200 Shares                 X               1       200     0       0
PARAMETRIC
TECHNOLOGY CORP     COMMON STOCK    699173209         24      1900 Shares                 X               1      1900     0       0
PARAMETRIC
TECHNOLOGY CORP     COMMON STOCK    699173209        535     42300 Shares                 X               3     42300     0       0
PAREXEL
INTERNATIONAL CORP  COMMON STOCK    699462107         30      3100 Shares                 X               1      3100     0       0
PAREXEL
INTERNATIONAL CORP  COMMON STOCK    699462107        664     68375 Shares                 X               3     68375     0       0
PARKER HANNIFIN
CORP                COMMON STOCK    701094104        170      3997 Shares                 X               1      3997     0       0
PARKER HANNIFIN
CORP                COMMON STOCK    701094104         84      1982 Shares                        X        1      1982     0       0
PARKER HANNIFIN
CORP                COMMON STOCK    701094104         62      1450 Shares                 X               3      1450     0       0
PARTNER
COMMUNICATIONS
CO LTD-             COMMON STOCK    70211M109          3       172 Shares                 X               1       172     0       0
PATRIOT COAL CORP   COMMON STOCK    70336T104         25      4006 Shares                 X               1      4006     0       0
PATRIOT COAL CORP   COMMON STOCK    70336T104          0        20 Shares                        X        1        20     0       0
PATRIOT COAL CORP   COMMON STOCK    70336T104        541     86625 Shares                 X               3     86625     0       0
PATTERSON COMPANIES
INC                 COMMON STOCK    703395103          4       210 Shares                        X        1       210     0       0


                                       35 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
PATTERSON COMPANIES
INC                 COMMON STOCK    703395103         15       780 Shares                 X               3       780     0       0
PATTERSON-UTI
ENERGY INC          COMMON STOCK    703481101         11       950 Shares                 X               1       950     0       0
PATTERSON-UTI
ENERGY INC          COMMON STOCK    703481101         23      2000 Shares                 X               3      2000     0       0
PAYCHEX INC COM     COMMON STOCK    704326107       1033     39294 Shares                 X               1     39294     0       0
PAYCHEX INC COM     COMMON STOCK    704326107         78      2975 Shares                        X        1      2975     0       0
PAYCHEX INC COM     COMMON STOCK    704326107        204      7750 Shares                 X               2         0     0    7750
PAYCHEX INC COM     COMMON STOCK    704326107         74      2800 Shares                 X               3      2800     0       0
PEABODY ENERGY CORP COMMON STOCK    704549104       1208     53117 Shares                 X               1     52242     0     875
PEABODY ENERGY CORP COMMON STOCK    704549104        186      8170 Shares                        X        1      6225     0    1945
PEABODY ENERGY CORP COMMON STOCK    704549104        414     18250 Shares                 X               3      4450     0       0
PEDIATRIX MEDICAL
GROUP INC CO        COMMON STOCK    705324101        129      4075 Shares                 X               1      4075     0       0
PEDIATRIX MEDICAL
GROUP INC CO        COMMON STOCK    705324101         29       930 Shares                        X        1       130     0     800
PEDIATRIX MEDICAL
GROUP INC CO        COMMON STOCK    705324101        365     11500 Shares                 X               3      1200     0       0
PEETS COFFEE & TEA
INC COM             COMMON STOCK    705560100          5       200 Shares                 X               1       200     0       0
PENGROWTH ENERGY
TRUST               COMMON STOCK    706902509          2       200 Shares                 X               1       200     0       0
PENN NATL GAMING
INC                 COMMON STOCK    707569109         22      1050 Shares                 X               1      1050     0       0
PENN NATL GAMING
INC                 COMMON STOCK    707569109        501     23400 Shares                 X               3     23400     0       0
PENN VIRGINIA
CORPORATION         COMMON STOCK    707882106         25       950 Shares                 X               1       950     0       0
PENN VIRGINIA
CORPORATION         COMMON STOCK    707882106        550     21175 Shares                 X               3     21175     0       0
PENN VA RESOURCE
PARTNERS LP         COMMON STOCK    707884102         11      1000 Shares                        X        1      1000     0       0
PENNWEST ENERGY
TRUST               COMMON STOCK    707885109         25      2210 Shares                        X        1      2210     0       0
PENN VIRGINIA GP
HOLDINGS LP         COMMON STOCK    70788P105         17      1700 Shares                 X               2         0     0    1700
PENNEY JC CO INC    COMMON STOCK    708160106         66      3374 Shares                 X               1      3374     0       0
PENNEY JC CO INC    COMMON STOCK    708160106         57      2908 Shares                        X        1      2908     0       0
PENNEY JC CO INC    COMMON STOCK    708160106        108      5467 Shares                 X               3      5467     0       0
PENNICHUCK
CORPORATION NEW     COMMON STOCK    708254206         12       600 Shares                 X               1       600     0       0
PENNS WOODS
BANCORP INC.        COMMON STOCK    708430103         23      1000 Shares                 X               1         0     0    1000
PENNS WOODS
BANCORP INC.        COMMON STOCK    708430103        238     10348 Shares                 X               3     10348     0       0
PENN ESTATE INV
TR (REIT)           COMMON STOCK    709102107         19      2500 Shares                 X               1         0     0       0
PENTAIR INC COM     COMMON STOCK    709631105         19       800 Shares                 X               1       800     0       0
PENTAIR INC COM     COMMON STOCK    709631105        185      7800 Shares                        X        1      7800     0       0
PEOPLES UNITED
FINANCIAL INC       COMMON STOCK    712704105         26      1450 Shares                 X               1      1450     0       0
PEOPLES UNITED
FINANCIAL INC       COMMON STOCK    712704105        629     35300 Shares                 X               3     35300     0       0
PEPCO HOLDINGS INC  COMMON STOCK    713291102       1314     73972 Shares                 X               1     72446     0    1526
PEPCO HOLDINGS INC  COMMON STOCK    713291102        247     13914 Shares                        X        1     11614     0    2300
PEPCO HOLDINGS INC  COMMON STOCK    713291102         29      1639 Shares                 X               2         0     0    1639
PEPCO HOLDINGS INC  COMMON STOCK    713291102         31      1750 Shares                 X               3      1750     0       0
PEPSI BOTTLING
GROUP INC COM       COMMON STOCK    713409100         45      2000 Shares                        X        1      2000     0       0
PEPSI BOTTLING
GROUP INC COM       COMMON STOCK    713409100         29      1275 Shares                 X               3      1275     0       0
PEPSIAMERICAS INC
COM                 COMMON STOCK    71343P200          6       300 Shares                        X        1       300     0       0
PEPSICO INC COM     COMMON STOCK    713448108      23419    427584 Shares                 X               1    423634     0    3950
PEPSICO INC COM     COMMON STOCK    713448108      12928    236036 Shares                        X        1    213958     0   22078
PEPSICO INC COM     COMMON STOCK    713448108       4100     74857 Shares                 X               2         0     0   74857
PEPSICO INC COM     COMMON STOCK    713448108       1053     19225 Shares           X                     2     19225     0       0
PEPSICO INC COM     COMMON STOCK    713448108       5984    109246 Shares                 X               3    105023     0    2223
PEPSICO INC COM     COMMON STOCK    713448108          8       150 Shares                 X               4       150     0       0
PERINI CORPORATION  COMMON STOCK    713839108         40      1700 Shares                 X               1      1700     0       0
PERINI CORPORATION  COMMON STOCK    713839108        894     38225 Shares                 X               3     38225     0       0
PERKINELMER INC COM COMMON STOCK    714046109          7       505 Shares                 X               1       505     0       0
PERKINELMER INC COM COMMON STOCK    714046109         56      4000 Shares                        X        1      4000     0       0
PERKINELMER INC COM COMMON STOCK    714046109         14      1030 Shares                 X               3      1030     0       0
PERMIAN BASIN
ROYALTY TRUST       COMMON STOCK    714236106         21      1502 Shares                 X               1      1502     0       0
PERRIGO COMPANY     COMMON STOCK    714290103        246      7626 Shares                 X               1      7626     0       0
PERRIGO COMPANY     COMMON STOCK    714290103       1239     38374 Shares                 X               3     21474     0       0
PETMED EXPRESS INC  COMMON STOCK    716382106         14       800 Shares                 X               1       800     0       0
PETRO-CANADA        COMMON STOCK    71644E102         35      1600 Shares                        X        1      1600     0       0
PETROCHINA CO LTD
ADR                 COMMON STOCK    71646E100         11       125 Shares                        X        1       125     0       0
PETROHAWK ENERGY
CORP                COMMON STOCK    716495106        148      9450 Shares                 X               1      9450     0       0
PETE & RES CORP COM COMMON STOCK    716549100         12       625 Shares                 X               1       625     0       0
PETROLEO BRASILEIRO
SA ADR              COMMON STOCK    71654V101         18       880 Shares                 X               2         0     0     880
PETROLEO BRASILEIRO
SA SPNS AD          COMMON STOCK    71654V408          1        28 Shares                 X               1        28     0       0
PETSMART INC        COMMON STOCK    716768106        256     13895 Shares                 X               1     13895     0       0
PETSMART INC        COMMON STOCK    716768106         79      4290 Shares                        X        1      4290     0       0
PFIZER INC          COMMON STOCK    717081103      12207    689245 Shares                 X               1    680257     0    8988
PFIZER INC          COMMON STOCK    717081103       7452    420768 Shares                        X        1    408353   600   11815
PFIZER INC          COMMON STOCK    717081103       2420    136659 Shares                 X               2         0     0  136659
PFIZER INC          COMMON STOCK    717081103       1149     64900 Shares           X                     2     64900     0       0


                                       36 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
PFIZER INC          COMMON STOCK    717081103       2457    138754 Shares                 X               3    138754     0       0
PFIZER INC          COMMON STOCK    717081103         13       750 Shares                 X               4       750     0       0
PHARMACEUTIAL
PRODUCT DEVEL IN    COMMON STOCK    717124101        244      8400 Shares                 X               1      8400     0       0
PHARMACEUTIAL
PRODUCT DEVEL IN    COMMON STOCK    717124101        734     25300 Shares                 X               3      2600     0       0
PHARMACEUTICAL
HOLDERS TRUST       PREFERRED STOCK 71712A206         31       500 Shares                        X        1         0     0       0
PHILIP MORRIS INTL
INC                 COMMON STOCK    718172109      12840    295110 Shares                 X               1    292185     0    2925
PHILIP MORRIS INTL
INC                 COMMON STOCK    718172109       6293    144637 Shares                        X        1    138062     0    6575
PHILIP MORRIS INTL
INC                 COMMON STOCK    718172109       1153     26500 Shares                 X               2         0     0   26500
PHILIP MORRIS INTL
INC                 COMMON STOCK    718172109       4204     96616 Shares                 X               3     95766     0       0
PHOENIX COS INC COM COMMON STOCK    71902E109          6      1786 Shares                 X               1      1786     0       0
PHOENIX COS INC COM COMMON STOCK    71902E109          4      1256 Shares                        X        1      1256     0       0
PHOENIX COS INC COM COMMON STOCK    71902E109          6      1798 Shares                 X               2         0     0    1798
PIEDMONT NAT GAS
INC                 COMMON STOCK    720186105         69      2180 Shares                 X               1      2180     0       0
PIEDMONT NAT GAS
INC                 COMMON STOCK    720186105         13       400 Shares                        X        1       400     0       0
PIMCO MUNICIPAL
INCOME FUND         PREFERRED STOCK 72200R107          1        71 Shares                 X               1         0     0       0
PIMCO MUNICIPAL
INCOME FUND         PREFERRED STOCK 72200R107          8      1000 Shares                 X               2         0     0       0
PIMCO RCM STRAT
GLOBAL GOVT         PREFERRED STOCK 72200X104          9      1000 Shares                 X               1         0     0       0
PIMCO MUNICIPAL
INCOME FUND II      PREFERRED STOCK 72201A103          9      1335 Shares                 X               1         0     0       0
PINNACLE DATA
SYSTEMS INC         COMMON STOCK    723454104          0       300 Shares                 X               1       300     0       0
PINNACLE WEST
CAPITAL CORP        COMMON STOCK    723484101         35      1100 Shares                 X               1      1100     0       0
PINNACLE WEST
CAPITAL CORP        COMMON STOCK    723484101         10       300 Shares                        X        1       300     0       0
PINNACLE WEST
CAPITAL CORP        COMMON STOCK    723484101         29       900 Shares                 X               3       900     0       0
PIONEER HIGH INCOME
TRUST               PREFERRED STOCK 72369H106         27      3392 Shares                        X        1         0     0       0
PIONEER MUNICIPAL
HI INC ADV T        PREFERRED STOCK 723762100         15      2000 Shares                 X               1         0     0       0
PIONEER NATURAL
RESOURCES CO        COMMON STOCK    723787107          1        55 Shares                 X               1        55     0       0
PIONEER NATURAL
RESOURCES CO        COMMON STOCK    723787107         15       900 Shares                 X               3       900     0       0
PIPER JAFFRAY
COMPANIES INC       COMMON STOCK    724078100          7       169 Shares                 X               1       169     0       0
PIPER JAFFRAY
COMPANIES INC       COMMON STOCK    724078100          1        16 Shares                        X        1        16     0       0
PITNEY BOWES INC
COM                 COMMON STOCK    724479100        190      7450 Shares                 X               1      7450     0       0
PITNEY BOWES INC
COM                 COMMON STOCK    724479100         98      3850 Shares                        X        1      3850     0       0
PITNEY BOWES INC
COM                 COMMON STOCK    724479100        138      5425 Shares                 X               3      5425     0       0
PITTSBURGH & WEST
VIRGINIA RR         COMMON STOCK    724819107          4       250 Shares                        X        1         0     0       0
PIZZA INN INC       COMMON STOCK    725848105          1       325 Shares                 X               1       325     0       0
PLAINS ALL AMERICAN
PIPELINE L          COMMON STOCK    726503105       4891    141000 Shares                 X               2         0     0  141000
PLAINS ALL AMERICAN
PIPELINE L          COMMON STOCK    726503105       1152     33200 Shares           X                     2     33200     0       0
PLUG POWER INC COM  COMMON STOCK    72919P103          1       500 Shares                 X               1       500     0       0
PLUM CREEK TIMBER
CO INC              COMMON STOCK    729251108        166      4780 Shares                 X               1         0     0       0
PLUM CREEK TIMBER
CO INC              COMMON STOCK    729251108         61      1750 Shares                 X               2         0     0       0
PLUM CREEK TIMBER
CO INC              COMMON STOCK    729251108         54      1550 Shares                 X               3      1550     0       0
POLO RALPH LAUREN
CORPORATION         COMMON STOCK    731572103          8       185 Shares                 X               1       185     0       0
POLO RALPH LAUREN
CORPORATION         COMMON STOCK    731572103         23       500 Shares                 X               3       500     0       0
PONIARD
PHARMACEUTICALS INC COMMON STOCK    732449301          0         8 Shares                        X        1         8     0       0
PORTUGAL TELECOM
SGPS S A SPON       COMMON STOCK    737273102          7       765 Shares                 X               1       765     0       0
POST PROPERTIES INC COMMON STOCK    737464107          3       200 Shares                 X               1         0     0       0
POTASH CORP OF
SASKATCHEWAN IN     COMMON STOCK    73755L107       1389     18970 Shares                 X               1     18970     0       0
POTASH CORP OF
SASKATCHEWAN IN     COMMON STOCK    73755L107         20       275 Shares                        X        1       275     0       0
POTASH CORP OF
SASKATCHEWAN IN     COMMON STOCK    73755L107        781     10670 Shares                 X               3     10325     0     345
POWERSHARES QQQ     PREFERRED STOCK 73935A104        291      9795 Shares                 X               1         0     0       0
POWERSHARES QQQ     PREFERRED STOCK 73935A104       1610     54132 Shares                        X        1         0     0       0
POWERSHARES QQQ     PREFERRED STOCK 73935A104         92      3100 Shares                 X               2         0     0       0
POWERSHARES GLOBAL
WATER PORTF         COMMON STOCK    73935X575         19      1300 Shares                 X               1      1300     0       0
POWERSHARES DYN
BIOTECH & GENO      PREFERRED STOCK 73935X856         82      6000 Shares                        X        1         0     0       0
POWERSHARES GLOBAL
WATER PORTF         PREFERRED STOCK 73936T623         86      6500 Shares                 X               2         0     0       0
PRAXAIR INC COM     COMMON STOCK    74005P104         64      1083 Shares                 X               1      1083     0       0
PRAXAIR INC COM     COMMON STOCK    74005P104        183      3091 Shares                        X        1      3091     0       0
PRAXAIR INC COM     COMMON STOCK    74005P104        475      8000 Shares                 X               2         0     0    8000
PRAXAIR INC COM     COMMON STOCK    74005P104        160      2700 Shares                 X               3      2700     0       0
PRECISION CASTPARTS
CORP COM            COMMON STOCK    740189105       2660     44717 Shares                 X               1     44717     0       0
PRECISION CASTPARTS
CORP COM            COMMON STOCK    740189105        101      1695 Shares                        X        1      1695     0       0
PRECISION CASTPARTS
CORP COM            COMMON STOCK    740189105       2006     33709 Shares                 X               3     23637     0    1222
PRECISION DRILLING
CORP-US$            COMMON STOCK    740215108         18      2100 Shares                        X        1      2100     0       0
PRICE T ROWE GROUP
INC COM             COMMON STOCK    74144T108       3181     89759 Shares                 X               1     89759     0       0
PRICE T ROWE GROUP
INC COM             COMMON STOCK    74144T108       1034     29185 Shares                        X        1     28295     0     890
PRICE T ROWE GROUP
INC COM             COMMON STOCK    74144T108        454     12800 Shares                 X               2         0     0   12800
PRICE T ROWE GROUP
INC COM             COMMON STOCK    74144T108       1647     46494 Shares                 X               3     29694     0       0
PRICELINE.COM
INCORPORATED        COMMON STOCK    741503403         33       450 Shares                 X               1       450     0       0
PRICELINE.COM
INCORPORATED        COMMON STOCK    741503403        752     10200 Shares                 X               3     10200     0       0


                                       37 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
PRINCIPAL FINL GRP  COMMON          74251V102         49      2170 Shares                 X               3      2170     0       0
PROCTER & GAMBLE CO
COM                 COMMON STOCK    742718109      37658    609150 Shares                 X               1    605638     0    3512
PROCTER & GAMBLE CO
COM                 COMMON STOCK    742718109      33152    536259 Shares                        X        1    433726     0  102533
PROCTER & GAMBLE CO
COM                 COMMON STOCK    742718109      17572    284244 Shares                 X               2         0     0  284244
PROCTER & GAMBLE CO
COM                 COMMON STOCK    742718109       2769     44792 Shares           X                     2     44792     0       0
PROCTER & GAMBLE CO
COM                 COMMON STOCK    742718109       7925    128194 Shares                 X               3    123099     0    3395
PROCTER & GAMBLE CO
COM                 COMMON STOCK    742718109         18       295 Shares                 X               4       295     0       0
PROGRESS ENERGY INC
COM                 COMMON STOCK    743263105        292      7330 Shares                 X               1      6730     0     600
PROGRESS ENERGY INC
COM                 COMMON STOCK    743263105        121      3035 Shares                        X        1      3035     0       0
PROGRESS ENERGY INC
COM                 COMMON STOCK    743263105         93      2327 Shares                 X               3      2327     0       0
PROGRESSIVE CORP
COM                 COMMON STOCK    743315103         59      4000 Shares                 X               1      4000     0       0
PROGRESSIVE CORP
COM                 COMMON STOCK    743315103         52      3540 Shares                        X        1      3540     0       0
PROGRESSIVE CORP
COM                 COMMON STOCK    743315103         87      5845 Shares                 X               3      5845     0       0
PROLOGIS (REIT)     COMMON STOCK    743410102         10       746 Shares                 X               1         0     0       0
PROLOGIS (REIT)     COMMON STOCK    743410102         14      1039 Shares                 X               2         0     0       0
PROLOGIS (REIT)     COMMON STOCK    743410102         23      1655 Shares                 X               3      1655     0       0
ULTRA S&P 500
PROSHARES           PREFERRED STOCK 74347R107          5       200 Shares                 X               1         0     0       0
ULTRA DOW30
PROSHARES           PREFERRED STOCK 74347R305          8       250 Shares                 X               1         0     0       0
ULTRA RUSSELL 2000
PROSHARES           PREFERRED STOCK 74347R842         14       700 Shares                 X               1         0     0       0
PROTECTIVE LIFE
CORP                COMMON          743674103         52      3600 Shares                 X               3      3600     0       0
PROVIDENT
BANKSHARES
CORPORATI           COMMON STOCK    743859100        100     10365 Shares                 X               1     10365     0       0
PROVIDENT
BANKSHARES
CORPORATI           COMMON STOCK    743859100         27      2810 Shares                        X        1      2810     0       0
PROVIDENT ENERGY
TRUST UNITS         COMMON STOCK    74386K104         17      4000 Shares                 X               1      4000     0       0
PROVIDENT ENERGY
TRUST UNITS         COMMON STOCK    74386K104          7      1700 Shares                        X        1      1700     0       0
PROVIDENT FINANCIAL
SERVICES I          COMMON STOCK    74386T105          9       600 Shares                 X               1       600     0       0
PRUDENTIAL
FINANCIAL INC       COMMON STOCK    744320102        130      4290 Shares                 X               1      3946     0     344
PRUDENTIAL
FINANCIAL INC       COMMON STOCK    744320102         22       713 Shares                        X        1       713     0       0
PRUDENTIAL
FINANCIAL INC       COMMON STOCK    744320102        102      3385 Shares                 X               3      3385     0       0
PSYCHIATRIC
SOLUTIONS INC       COMMON STOCK    74439H108       3151    113154 Shares                 X               1     13154     0       0
PSYCHIATRIC
SOLUTIONS INC       COMMON STOCK    74439H108        270      9700 Shares                        X        1      8525     0    1175
PSYCHIATRIC
SOLUTIONS INC       COMMON STOCK    74439H108       2935    105382 Shares                 X               3     88946     0    4236
PUBLIC SVC
ENTERPRISE GROUP IN COMMON STOCK    744573106        182      6246 Shares                 X               1      6246     0       0
PUBLIC SVC
ENTERPRISE GROUP IN COMMON STOCK    744573106        265      9070 Shares                        X        1      9070     0       0
PUBLIC SVC
ENTERPRISE GROUP IN COMMON STOCK    744573106        128      4400 Shares                 X               3      4400     0       0
PUBLIC STORAGE INC
COM                 COMMON STOCK    74460D109          4        56 Shares                 X               1         0     0       0
PUBLIC STORAGE INC
COM                 COMMON STOCK    74460D109         80      1000 Shares                 X               2         0     0       0
PUBLIC STORAGE INC
COM                 COMMON STOCK    74460D109         85      1075 Shares                 X               3      1075     0       0
PUBLIC STORAGE-DEP
SHARES A            COMMON STOCK    74460D729         34      1400 Shares                 X               2         0     0       0
PUGET ENERGY INC
COM                 COMMON STOCK    745310102         16       600 Shares                 X               1       600     0       0
PUGET ENERGY INC
COM                 COMMON STOCK    745310102         24       874 Shares                        X        1       874     0       0
PULTE HOMES INC COM COMMON STOCK    745867101         25      2300 Shares                 X               1      2300     0       0
PULTE HOMES INC COM COMMON STOCK    745867101         66      6000 Shares                 X               2         0     0    6000
PULTE HOMES INC COM COMMON STOCK    745867101        578     52800 Shares                 X               3     52800     0       0
PUTNAM PREMIER
INCOME TRUST        PREFERRED STOCK 746853100          0       114 Shares                 X               1         0     0       0
QLOGIC CORP         COMMON STOCK    747277101          4       306 Shares                 X               1       306     0       0
QLOGIC CORP         COMMON STOCK    747277101         15      1100 Shares                 X               3      1100     0       0
QUALCOMM INC COM    COMMON STOCK    747525103       6335    176818 Shares                 X               1     76818     0       0
QUALCOMM INC COM    COMMON STOCK    747525103       1275     35583 Shares                        X        1     35183     0     400
QUALCOMM INC COM    COMMON STOCK    747525103        201      5600 Shares                 X               2         0     0    5600
QUALCOMM INC COM    COMMON STOCK    747525103       3653    101953 Shares                 X               3     96685     0    3218
QUANTA SERVICES INC
COM                 COMMON STOCK    74762E102       1110     56058 Shares                 X               1     55458     0     600
QUANTA SERVICES INC
COM                 COMMON STOCK    74762E102          7       375 Shares                        X        1         0     0     375
QUANTA SERVICES INC
COM                 COMMON STOCK    74762E102       1960     98975 Shares                 X               3     67775     0       0
QUEST DIAGNOSTICS
INC                 COMMON STOCK    74834L100        351      6760 Shares                 X               1      6760     0       0
QUEST DIAGNOSTICS
INC                 COMMON STOCK    74834L100        280      5398 Shares                        X        1      5098     0     300
QUEST DIAGNOSTICS
INC                 COMMON STOCK    74834L100        104      2000 Shares                 X               2         0     0    2000
QUEST DIAGNOSTICS
INC                 COMMON STOCK    74834L100         67      1300 Shares                 X               3      1300     0       0
QUESTAR CORP COM    COMMON STOCK    748356102         46      1398 Shares                 X               1      1398     0       0
QUESTAR CORP COM    COMMON STOCK    748356102        124      3800 Shares                        X        1      3800     0       0
QUESTAR CORP COM    COMMON STOCK    748356102         46      1420 Shares                 X               3      1420     0       0
QUEST CAPITAL CORP  COMMON STOCK    74835U109          1      1000 Shares                 X               1      1000     0       0
QUIXOTE CORP        COMMON STOCK    749056107          2       300 Shares                 X               1       300     0       0
QWEST
COMMUNICATIONS INTL
INC                 COMMON STOCK    749121109         11      2986 Shares                 X               1      2986     0       0
QWEST
COMMUNICATIONS INTL
INC                 COMMON STOCK    749121109          7      1804 Shares                        X        1      1594     0     210
QWEST
COMMUNICATIONS INTL
INC                 COMMON STOCK    749121109        506    139000 Shares                 X               2         0     0  139000
QWEST
COMMUNICATIONS INTL
INC                 COMMON STOCK    749121109        389    106955 Shares           X                     2     06955     0       0
QWEST
COMMUNICATIONS INTL
INC                 COMMON STOCK    749121109         49     13395 Shares                 X               3     13395     0       0


                                       38 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
RAIT FINANCIAL
TRUST               COMMON STOCK    749227104          1       500 Shares                        X        1         0     0       0
R H DONNELLEY CORP  COMMON STOCK    74955W307          0        74 Shares                 X               1        74     0       0
RLI CORP            COMMON STOCK    749607107        116      1900 Shares                        X        1      1900     0       0
RPM INTL INC        COMMON STOCK    749685103         21      1600 Shares                        X        1      1600     0       0
RPM INTL INC        COMMON STOCK    749685103        146     11000 Shares                 X               2         0     0   11000
RPM INTL INC        COMMON STOCK    749685103        243     18300 Shares           X                     2     18300     0       0
RPM INTL INC        COMMON STOCK    749685103         49      3700 Shares                 X               3      3700     0       0
RF MICRO DEVICES
INC COM             COMMON STOCK    749941100          4      5000 Shares                 X               1      5000     0       0
RADIOSHACK CORP     COMMON          750438103         16      1300 Shares                 X               3      1300     0       0
RALCORP HOLDINGS
INC                 COMMON STOCK    751028101         35       597 Shares                 X               1       597     0       0
RALCORP HOLDINGS
INC                 COMMON STOCK    751028101         31       531 Shares                        X        1       531     0       0
RANGE RESOURCES
CORPORATION         COMMON STOCK    75281A109          5       158 Shares                 X               1       158     0       0
RANGE RESOURCES
CORPORATION         COMMON STOCK    75281A109         48      1400 Shares                 X               3      1400     0       0
RAYONIER INC COM    COMMON STOCK    754907103         15       464 Shares                 X               1       464     0       0
RAYONIER INC COM    COMMON STOCK    754907103         96      3050 Shares                        X        1      3050     0       0
RAYONIER INC COM    COMMON STOCK    754907103        997     31800 Shares                 X               2         0     0   31800
RAYONIER INC COM    COMMON STOCK    754907103        245      7800 Shares           X                     2      7800     0       0
RAYTHEON CO COM NEW COMMON STOCK    755111507        355      6965 Shares                 X               1      6941     0      24
RAYTHEON CO COM NEW COMMON STOCK    755111507        803     15726 Shares                        X        1     15226     0     500
RAYTHEON CO COM NEW COMMON STOCK    755111507        187      3670 Shares                 X               3      3670     0       0
RAYTHEON CO COM NEW COMMON STOCK    755111507         10       200 Shares                 X               4       200     0       0
REALTY INCOME CORP  COMMON STOCK    756109104        139      6000 Shares                 X               2         0     0       0
RED HAT INC COM     COMMON STOCK    756577102          7       500 Shares                 X               2         0     0     500
RED ROBIN GOURMET
BURGERS             COMMON STOCK    75689M101         25      1500 Shares                 X               1      1500     0       0
RED ROBIN GOURMET
BURGERS             COMMON STOCK    75689M101        549     32600 Shares                 X               3     32600     0       0
REDWOOD TRUST
INC-REIT            COMMON STOCK    758075402          4       290 Shares                 X               1         0     0       0
REED ELSEVIER PLC
SPONS ADR           COMMON STOCK    758205207          1        24 Shares                 X               1        24     0       0
REGIS CORP MINN     COMMON STOCK    758932107          1       100 Shares                 X               1       100     0       0
REGIONS FINANCIAL
CORP                COMMON STOCK    7591EP100         11      1427 Shares                 X               1      1427     0       0
REGIONS FINANCIAL
CORP                COMMON STOCK    7591EP100         46      5758 Shares                        X        1      5758     0       0
REGIONS FINANCIAL
CORP                COMMON STOCK    7591EP100         90     11355 Shares                 X               3     11355     0       0
RELIANCE STEEL &
ALUMINUM COMP       COMMON STOCK    759509102          2       100 Shares                 X               1         0     0     100
REPSOL YPF SA SPON
ADR                 COMMON STOCK    76026T205         20       918 Shares                 X               1       918     0       0
REPUBLIC SVCS INC   COMMON          760759100         67      2700 Shares                 X               3      2700     0       0
RESEARCH IN MOTION
LIMITED             COMMON STOCK    760975102        857     21108 Shares                 X               1     21108     0       0
RESEARCH IN MOTION
LIMITED             COMMON STOCK    760975102         48      1175 Shares                        X        1      1175     0       0
RESEARCH IN MOTION
LIMITED             COMMON STOCK    760975102       5741    141463 Shares                 X               2         0     0  141463
RESEARCH IN MOTION
LIMITED             COMMON STOCK    760975102        561     13840 Shares                 X               3     13090     0       0
RESMED INC          COMMON STOCK    761152107        135      3600 Shares                 X               1      3600     0       0
RESMED INC          COMMON STOCK    761152107        933     24900 Shares                 X               3     18100     0       0
REYNOLDS AMERICAN
INC                 COMMON STOCK    761713106         81      2001 Shares                 X               1      2001     0       0
REYNOLDS AMERICAN
INC                 COMMON STOCK    761713106         40      1000 Shares                        X        1      1000     0       0
REYNOLDS AMERICAN
INC                 COMMON STOCK    761713106         60      1500 Shares                 X               3      1500     0       0
RIO TINTO PLC
SPONSORED ADR       COMMON STOCK    767204100         58       650 Shares                 X               2         0     0     650
RITCHIE BROS
AUCTIONEERS         COMMON STOCK    767744105        994     46422 Shares                 X               1     46422     0       0
RITCHIE BROS
AUCTIONEERS         COMMON STOCK    767744105       2040     95304 Shares                 X               3     65104     0       0
RITE AID CORP COM   COMMON STOCK    767754104          5     17500 Shares                 X               1      5200     0   12300
RITE AID CORP COM   COMMON STOCK    767754104          0       600 Shares                        X        1       600     0       0
ROBBINS & MEYERS
INC                 COMMON STOCK    770196103          1        87 Shares                 X               1        87     0       0
ROBERT HALF INTL
INC COM             COMMON STOCK    770323103         22      1070 Shares                 X               1      1070     0       0
ROBERT HALF INTL
INC COM             COMMON STOCK    770323103         25      1205 Shares                        X        1      1100     0     105
ROBERT HALF INTL
INC COM             COMMON STOCK    770323103         30      1450 Shares                 X               3      1450     0       0
ROCKWELL AUTOMATION
INC.                COMMON STOCK    773903109       2761     85631 Shares                 X               1     84631     0    1000
ROCKWELL AUTOMATION
INC.                COMMON STOCK    773903109        419     13010 Shares                        X        1     11760     0    1250
ROCKWELL AUTOMATION
INC.                COMMON STOCK    773903109         53      1632 Shares                 X               2         0     0    1632
ROCKWELL AUTOMATION
INC.                COMMON STOCK    773903109       1831     56808 Shares                 X               3     44682     0    2826
ROCKWELL AUTOMATION
INC.                COMMON STOCK    773903109          6       175 Shares                 X               4       175     0       0
ROCKWELL COLLINS
COM                 COMMON STOCK    774341101        201      5140 Shares                 X               1      5140     0       0
ROCKWELL COLLINS
COM                 COMMON STOCK    774341101        114      2925 Shares                        X        1      2845     0      80
ROCKWELL COLLINS
COM                 COMMON STOCK    774341101         64      1632 Shares                 X               2         0     0    1632
ROCKWELL COLLINS
COM                 COMMON STOCK    774341101         55      1400 Shares                 X               3      1400     0       0
ROHM & HAAS CO      COMMON STOCK    775371107         23       368 Shares                 X               1       368     0       0
ROHM & HAAS CO      COMMON STOCK    775371107        544      8810 Shares                        X        1      8810     0       0
ROHM & HAAS CO      COMMON STOCK    775371107         47       755 Shares                 X               3       755     0       0
ROME BANCORP INC    COMMON STOCK    77587P103          5       528 Shares                 X               2         0     0     528
ROPER INDUSTRIES
INC                 COMMON STOCK    776696106        174      4000 Shares                 X               2         0     0    4000
ROSS STORES INC COM COMMON STOCK    778296103        405     13617 Shares                 X               1     12917     0     700


                                       39 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
ROSS STORES INC COM COMMON STOCK    778296103        132      4425 Shares                        X        1      3050     0    1375
ROSS STORES INC COM COMMON STOCK    778296103        478     16050 Shares                 X               3      1700     0       0
ROWAN COS INC       COMMON          779382100         16      1000 Shares                 X               3      1000     0       0
ROYAL BK CANADA     COMMON STOCK    780087102         30      1000 Shares                        X        1      1000     0       0
ROYAL BANK SCOTLAND
PFD 6.40%           PREFERRED STOCK 780097796         18      2000 Shares                 X               1         0     0       0
ROYAL DUTCH SHELL
PLC-ADR B           COMMON STOCK    780259107         41       800 Shares                 X               2         0     0     800
ROYAL DUTCH SHELL
PLC-ADR A           COMMON STOCK    780259206       2489     47024 Shares                 X               1     47024     0       0
ROYAL DUTCH SHELL
PLC-ADR A           COMMON STOCK    780259206       2548     48133 Shares                        X        1     43533     0    4600
ROYAL DUTCH SHELL
PLC-ADR A           COMMON STOCK    780259206        265      5014 Shares                 X               2         0     0    5014
ROYCE VALUE TRUST
(CE)                COMMON STOCK    780910105         66      7876 Shares                        X        1      7876     0       0
RYDER SYSTEMS INC   COMMON          783549108         18       470 Shares                 X               3       470     0       0
RYDEX RUSSELL TOP
50 ETF              PREFERRED STOCK 78355W205        443      6201 Shares                        X        1         0     0       0
RYLAND GROUP INC    COMMON STOCK    783764103         19      1100 Shares                 X               2         0     0    1100
S & T BANCORP INC   COMMON STOCK    783859101         14       400 Shares                        X        1       400     0       0
SBA COMMUNICATIONS
CORP                COMMON STOCK    78388J106         26      1600 Shares                 X               1      1600     0       0
SBA COMMUNICATIONS
CORP                COMMON STOCK    78388J106        557     34100 Shares                 X               3     34100     0       0
SCOLR PHARMA INC    COMMON STOCK    78402X107         13     20000 Shares                 X               2         0     0   20000
SEI CORP COM        COMMON STOCK    784117103         37      2370 Shares                 X               1      2370     0       0
SK TELECOM CO LTD -
ADR                 COMMON STOCK    78440P108          0        24 Shares                 X               1        24     0       0
SLM CORP COM        COMMON STOCK    78442P106         21      2392 Shares                 X               1      2392     0       0
SLM CORP COM        COMMON STOCK    78442P106       2271    255200 Shares                 X               2         0     0  255200
SLM CORP COM        COMMON STOCK    78442P106       1300    146028 Shares           X                     2     46028     0       0
SLM CORP COM        COMMON STOCK    78442P106         36      4100 Shares                 X               3      4100     0       0
SPDR TRUST SERIES 1
S&P 500 IN          PREFERRED STOCK 78462F103       4783     53000 Shares                 X               1         0     0       0
SPDR TRUST SERIES 1
S&P 500 IN          PREFERRED STOCK 78462F103       6244     69197 Shares                        X        1         0     0       0
SPDR TRUST SERIES 1
S&P 500 IN          PREFERRED STOCK 78462F103        227      2521 Shares                 X               2         0     0       0
SPDR TRUST SERIES 1
S&P 500 IN          PREFERRED STOCK 78462F103        341      3775 Shares           X                     2      3775     0       0
SPX CORP COM        COMMON STOCK    784635104        138      3399 Shares                 X               1      3399     0       0
SPDR GOLD TRUST     PREFERRED STOCK 78463V107       1121     12958 Shares                 X               1         0     0       0
SPDR GOLD TRUST     PREFERRED STOCK 78463V107         39       446 Shares                        X        1         0     0       0
SPDR S&P EMERGING
MARKETS ETF         PREFERRED STOCK 78463X509         68      1800 Shares                 X               2         0     0       0
SPDR DJ WILSHIRE
SMALL CAP VAL       PREFERRED STOCK 78464A300         16       380 Shares                        X        1         0     0       0
SPDR LEHMAN HI YLD
BD ETF              PREFERRED STOCK 78464A417         11       334 Shares                 X               1         0     0       0
KBW REGIONAL
BANKING ETF         PREFERRED STOCK 78464A698        684     23450 Shares                 X               1         0     0       0
KBW REGIONAL
BANKING ETF         PREFERRED STOCK 78464A698        169      5800 Shares                 X               3         0     0       0
SPDR S&P
PHARMACEUTICALS ETF PREFERRED STOCK 78464A722          6       185 Shares                        X        1         0     0       0
SPDR DJ WILSHIRE
M/C VAL ETF         PREFERRED STOCK 78464A839         16       460 Shares                        X        1         0     0       0
SPDR S&P
HOMEBUILDERS ETF    PREFERRED STOCK 78464A888         83      6900 Shares                 X               2         0     0       0
STEC INC            COMMON STOCK    784774101          2       585 Shares                 X               1       585     0       0
SABINE RLY TR INT
BEN INT             COMMON STOCK    785688102         32       778 Shares                        X        1       778     0       0
SAFETY INSURANCE
GRP                 COMMON STOCK    78648T100          8       215 Shares                 X               1       215     0       0
SAFEWAY INC COM     COMMON STOCK    786514208        625     26290 Shares                 X               1     26290     0       0
SAFEWAY INC COM     COMMON STOCK    786514208         36      1500 Shares                        X        1         0     0    1500
SAFEWAY INC COM     COMMON STOCK    786514208        270     11361 Shares                 X               3     10680     0     681
ST JOE CORP         COMMON STOCK    790148100         27      1110 Shares                 X               1      1110     0       0
ST JOE CORP         COMMON STOCK    790148100          6       238 Shares                        X        1       238     0       0
ST JOE CORP         COMMON STOCK    790148100       1980     81435 Shares                 X               2         0     0   81435
ST JOE CORP         COMMON STOCK    790148100       1180     48518 Shares           X                     2     48518     0       0
ST JUDE MEDICAL INC
COM                 COMMON STOCK    790849103        154      4668 Shares                 X               1      4668     0       0
ST JUDE MEDICAL INC
COM                 COMMON STOCK    790849103        671     20389 Shares                 X               3     19439     0       0
ST MARY LAND &
EXPLORATION COM     COMMON STOCK    792228108        102      5000 Shares                 X               2         0     0    5000
SALESFORCE.COM INC  COMMON STOCK    79466L302         81      2525 Shares                 X               1      2525     0       0
SALESFORCE.COM INC  COMMON STOCK    79466L302        253      7910 Shares                 X               3      1510     0       0
SALISBURY BANCORP
INC                 COMMON          795226109        126      5700 Shares           X                            5700     0       0
SALLY BEAUTY
COMPANY INC         COMMON STOCK    79546E104          1       100 Shares                 X               1       100     0       0
SAN JUAN BASIN
ROYALTY TR          COMMON STOCK    798241105         31      1000 Shares                 X               1      1000     0       0
SANDISK CORP COM    COMMON STOCK    80004C101          8       805 Shares                 X               1       805     0       0
SANDISK CORP COM    COMMON STOCK    80004C101          1       100 Shares                        X        1       100     0       0
SANDISK CORP COM    COMMON STOCK    80004C101         20      2045 Shares                 X               3      2045     0       0
SANDY SPRING
BANCORP INC         COMMON STOCK    800363103         11       500 Shares                 X               1       500     0       0
SANDY SPRING
BANCORP INC         COMMON STOCK    800363103       1105     50629 Shares                        X        1     50629     0       0
SANOFI-AVENTIS ADR  COMMON STOCK    80105N105         51      1589 Shares                 X               1      1589     0       0
SAP AG SPONS ADR    COMMON STOCK    803054204         43      1200 Shares                        X        1      1200     0       0
SAP AG SPONS ADR    COMMON STOCK    803054204          9       250 Shares                 X               2         0     0     250
SARA LEE CORP       COMMON STOCK    803111103        257     26255 Shares                 X               1     26255     0       0
SARA LEE CORP       COMMON STOCK    803111103        233     23790 Shares                        X        1     18990     0    4800
SARA LEE CORP       COMMON STOCK    803111103         83      8400 Shares                 X               3      8400     0       0


                                       40 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
SASOL LTD SPONS-ADR COMMON STOCK    803866300         30      1000 Shares                        X        1      1000     0       0
SAUL CENTERS
INCORPORATED        COMMON STOCK    804395101         47      1200 Shares                        X        1         0     0       0
SAUL CENTERS
INCORPORATED        COMMON STOCK    804395101         99      2500 Shares                 X               2         0     0       0
SCANA CORP NEW COM  COMMON STOCK    80589M102        166      4656 Shares                 X               1      4656     0       0
SCANA CORP NEW COM  COMMON STOCK    80589M102        241      6759 Shares                        X        1      6759     0       0
SCANA CORP NEW COM  COMMON STOCK    80589M102         39      1100 Shares                 X               3      1100     0       0
HENRY SCHEIN INC
COM                 COMMON STOCK    806407102          7       200 Shares                 X               1       200     0       0
SCHERING PLOUGH
CORP                COMMON STOCK    806605101       1273     74724 Shares                 X               1     74724     0       0
SCHERING PLOUGH
CORP                COMMON STOCK    806605101        574     33725 Shares                        X        1     28925     0    4800
SCHERING PLOUGH
CORP                COMMON STOCK    806605101        361     21200 Shares                 X               2         0     0   21200
SCHERING PLOUGH
CORP                COMMON STOCK    806605101        243     14280 Shares                 X               3     14280     0       0
SCHERING-PLOUGH PFD
CV 6.0% 08          PREFERRED STOCK 806605705       3785     21750 Shares                 X               2         0     0       0
SCHERING-PLOUGH PFD
CV 6.0% 08          PREFERRED STOCK 806605705       1528      8780 Shares           X                     2      8780     0       0
SCHLUMBERGER LTD    COMMON STOCK    806857108       9494    224296 Shares                 X               1     23341     0     955
SCHLUMBERGER LTD    COMMON STOCK    806857108       3222     76123 Shares                        X        1     70188     0    5935
SCHLUMBERGER LTD    COMMON STOCK    806857108       1498     35400 Shares                 X               2         0     0   35400
SCHLUMBERGER LTD    COMMON STOCK    806857108       2851     67314 Shares                 X               3     64701     0    1663
SCHLUMBERGER LTD    COMMON STOCK    806857108         17       400 Shares                 X               4       400     0       0
SCHWAB CHARLES CORP
NEW COM             COMMON STOCK    808513105        269     16649 Shares                 X               1     16649     0       0
SCHWAB CHARLES CORP
NEW COM             COMMON STOCK    808513105        128      7900 Shares                 X               3      7900     0       0
THE SCOTTS
MIRACLE-GRO COMPANY COMMON STOCK    810186106        379     12750 Shares                 X               1     12750     0       0
THE SCOTTS
MIRACLE-GRO COMPANY COMMON STOCK    810186106         74      2500 Shares                 X               2         0     0    2500
SCRIPPS E W CO OHIO
CL A                COMMON STOCK    811054402          1       549 Shares                        X        1       549     0       0
SCRIPPS NETWORKS
INTERACTIVE -       COMMON STOCK    811065101         36      1650 Shares                        X        1      1650     0       0
SCRIPPS NETWORKS
INTERACTIVE -       COMMON STOCK    811065101         15       700 Shares                 X               3       700     0       0
SEALED AIR CORP NEW
COM                 COMMON STOCK    81211K100          4       270 Shares                 X               1       270     0       0
SEALED AIR CORP NEW
COM                 COMMON STOCK    81211K100         19      1280 Shares                 X               3      1280     0       0
SEARS HOLDINGS CORP COMMON STOCK    812350106         75      1926 Shares                 X               1      1926     0       0
SEARS HOLDINGS CORP COMMON STOCK    812350106         22       562 Shares                        X        1       562     0       0
SEARS HOLDINGS CORP COMMON STOCK    812350106         20       505 Shares                 X               3       505     0       0
HEALTH CARE SELECT
SECTOR SPDR         COMMON STOCK    81369Y209         16       585 Shares                 X               1       585     0       0
HEALTH CARE SELECT
SECTOR SPDR         COMMON STOCK    81369Y209        159      6000 Shares                 X               2         0     0    6000
CONSUMER STAPLES
SELECT SECTOR       PREFERRED STOCK 81369Y308         14       584 Shares                 X               1         0     0       0
CONSUMER
DISCRETIONARY
SELECT              PREFERRED STOCK 81369Y407         10       469 Shares                 X               1         0     0       0
ENERGY SELECT
SECTOR SPDR FD      PREFERRED STOCK 81369Y506          9       192 Shares                 X               1         0     0       0
FINANCIAL SELECT
SECTOR SPDR F       PREFERRED STOCK 81369Y605        834     66627 Shares                 X               1         0     0       0
FINANCIAL SELECT
SECTOR SPDR F       PREFERRED STOCK 81369Y605        269     21474 Shares                        X        1         0     0       0
FINANCIAL SELECT
SECTOR SPDR F       PREFERRED STOCK 81369Y605         22      1720 Shares                 X               3         0     0       0
INDUSTRIAL SELECT
SECTOR SPDR         PREFERRED STOCK 81369Y704         14       619 Shares                 X               1         0     0       0
SELECT SECTOR
SPDRTECHNOLOGY      COMMON STOCK    81369Y803         12       782 Shares                 X               1       782     0       0
SELECT SECTOR
SPDRTECHNOLOGY      COMMON STOCK    81369Y803          5       356 Shares                        X        1       356     0       0
SELECT SECTOR SPDR
UTILITIES           COMMON STOCK    81369Y886         26       900 Shares                 X               1       900     0       0
SELECT SECTOR SPDR
UTILITIES           COMMON STOCK    81369Y886         17       600 Shares                        X        1       600     0       0
SELECTIVE INS GROUP
INC                 COMMON STOCK    816300107         85      3712 Shares                 X               1      3712     0       0
SELIGMAN SELECT
MUNICIPAL FD        PREFERRED STOCK 816344105          9      1000 Shares                        X        1         0     0       0
SEMPRA ENERGY COM   COMMON STOCK    816851109         43      1000 Shares                 X               1      1000     0       0
SEMPRA ENERGY COM   COMMON STOCK    816851109         23       532 Shares                        X        1       532     0       0
SEMPRA ENERGY COM   COMMON STOCK    816851109         88      2070 Shares                 X               3      2070     0       0
SENIOR HOUSING
PROPERTIES TR (     COMMON STOCK    81721M109          2       100 Shares                        X        1         0     0       0
SEQUENOM INC        COMMON STOCK    817337405         32      1600 Shares                 X               1      1600     0       0
SEQUENOM INC        COMMON STOCK    817337405        708     35700 Shares                 X               3     35700     0       0
SERVICE CORPORATION
INTL                COMMON STOCK    817565104         36      7300 Shares                 X               2         0     0    7300
SEVERN BANCORP INC  COMMON STOCK    81811M100          2       484 Shares                 X               1       484     0       0
SEVERN BANCORP INC  COMMON STOCK    81811M100          3       726 Shares                        X        1       726     0       0
SEVERN BANCORP INC  COMMON STOCK    81811M100         43     10000 Shares                 X               2         0     0   10000
SHAW GROUP INC COM  COMMON STOCK    820280105         39      1900 Shares                 X               1      1900     0       0
SHAW GROUP INC COM  COMMON STOCK    820280105        855     41775 Shares                 X               3     41775     0       0
SHERWIN WILLIAMS CO
COM                 COMMON STOCK    824348106         23       380 Shares                 X               1       380     0       0
SHERWIN WILLIAMS CO
COM                 COMMON STOCK    824348106        311      5200 Shares                        X        1       200     0    5000
SHERWIN WILLIAMS CO
COM                 COMMON STOCK    824348106         50       830 Shares                 X               3       830     0       0
SIGMA ALDRICH CORP  COMMON STOCK    826552101         11       270 Shares                 X               1       270     0       0
SIGMA ALDRICH CORP  COMMON STOCK    826552101         46      1100 Shares                 X               3      1100     0       0
SILVER STANDARD
RESOURCES INC       COMMON STOCK    82823L106          2       125 Shares                 X               1       125     0       0
SILVER WHEATON
CORPORATION         COMMON STOCK    828336107         14      2100 Shares                 X               1      2100     0       0
SILVER WHEATON
CORPORATION         COMMON STOCK    828336107        297     45800 Shares                 X               3     45800     0       0
SIMON PROPERTY GRP
INC (REIT)          COMMON STOCK    828806109        620     11674 Shares                 X               1         0     0       0
SIMON PROPERTY GRP
INC (REIT)          COMMON STOCK    828806109        556     10474 Shares                        X        1         0     0       0


                                       41 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
SIMON PROPERTY GRP
INC (REIT)          COMMON STOCK    828806109        478      9000 Shares                 X               2         0     0       0
SIMON PROPERTY GRP
INC (REIT)          COMMON STOCK    828806109        268      5050 Shares           X                     2      5050     0       0
SIMON PROPERTY GRP
INC (REIT)          COMMON STOCK    828806109        104      1950 Shares                 X               3      1950     0       0
SIRONA DENTAL
SYSTEMS INC         COMMON STOCK    82966C103         10       975 Shares                 X               1       975     0       0
SIRIUS XM RADIO INC COMMON STOCK    82967N108          2     13688 Shares                 X               1      3688     0   10000
SIRIUS XM RADIO INC COMMON STOCK    82967N108          2     19500 Shares                 X               2         0     0   19500
SIX FLAGS INC       COMMON STOCK    83001P109          6     20000 Shares                 X               2         0     0   20000
SKYWORKS
SOLUTIONSINC        COMMON STOCK    83088M102          1       101 Shares                 X               1       101     0       0
SMITH INTL INC      COMMON STOCK    832110100        714     31189 Shares                 X               1     31189     0       0
SMITH INTL INC      COMMON STOCK    832110100        133      5800 Shares                        X        1      5800     0       0
SMITH INTL INC      COMMON STOCK    832110100         44      1940 Shares                 X               3      1940     0       0
SMITHFIELD FOODS
INC                 COMMON STOCK    832248108         14      1000 Shares                        X        1      1000     0       0
SMITHFIELD FOODS
INC                 COMMON STOCK    832248108         13       900 Shares                 X               2         0     0     900
JM SMUCKER CO       COMMON STOCK    832696405        123      2842 Shares                 X               1      2842     0       0
JM SMUCKER CO       COMMON STOCK    832696405        266      6142 Shares                        X        1      5544     0     598
JM SMUCKER CO       COMMON STOCK    832696405         34       775 Shares                 X               3       775     0       0
SNAP ON INC         COMMON STOCK    833034101         27       675 Shares                 X               1       675     0       0
SNAP ON INC         COMMON STOCK    833034101        601     15255 Shares                 X               3     15255     0       0
SOHU.COM INC        COMMON STOCK    83408W103          7       138 Shares                 X               1       138     0       0
SOLERA HOLDINGS INC COMMON STOCK    83421A104         34      1400 Shares                 X               1      1400     0       0
SOLERA HOLDINGS INC COMMON STOCK    83421A104        737     30575 Shares                 X               3     30575     0       0
SOLUTIA INC         COMMON STOCK    834376501          0        10 Shares                        X        1        10     0       0
SONOCO PRODUCTS CO
COM                 COMMON STOCK    835495102         14       600 Shares                 X               1       600     0       0
SONOSITE INC COM    COMMON STOCK    83568G104         27      1400 Shares                 X               1      1400     0       0
SONOSITE INC COM    COMMON STOCK    83568G104        582     30550 Shares                 X               3     30550     0       0
SONY CORP -
SPONSORED ADR       COMMON STOCK    835699307          6       282 Shares                 X               1       282     0       0
SONY CORP -
SPONSORED ADR       COMMON STOCK    835699307         26      1200 Shares                        X        1      1200     0       0
SOUTHERN CO COM     COMMON STOCK    842587107        888     24008 Shares                 X               1     22958     0    1050
SOUTHERN CO COM     COMMON STOCK    842587107       1239     33486 Shares                        X        1     33086     0     400
SOUTHERN CO COM     COMMON STOCK    842587107         98      2653 Shares                 X               2         0     0    2653
SOUTHERN CO COM     COMMON STOCK    842587107        248      6700 Shares                 X               3      6700     0       0
SOUTHERN COPPER
CORP                COMMON STOCK    84265V105         10       600 Shares                 X               1         0     0     600
SOUTHERN UNION CO
NEW COM             COMMON STOCK    844030106          3       200 Shares                 X               1       200     0       0
SOUTHWEST AIRLINES
CO COM              COMMON STOCK    844741108          7       800 Shares                 X               1       800     0       0
SOUTHWEST AIRLINES
CO COM              COMMON STOCK    844741108         13      1500 Shares                        X        1      1500     0       0
SOUTHWEST AIRLINES
CO COM              COMMON STOCK    844741108         55      6430 Shares                 X               3      6430     0       0
SOUTHWEST GAS CORP
COM                 COMMON STOCK    844895102         25      1000 Shares                        X        1      1000     0       0
SOUTHWESTERN ENERGY
COMPANY             COMMON STOCK    845467109       2173     75018 Shares                 X               1     75018     0       0
SOUTHWESTERN ENERGY
COMPANY             COMMON STOCK    845467109          8       275 Shares                        X        1       275     0       0
SOUTHWESTERN ENERGY
COMPANY             COMMON STOCK    845467109       1861     64201 Shares                 X               3     38101     0       0
SOVEREIGN BANCORP
INC                 COMMON STOCK    845905108        281     94175 Shares                 X               1     91451     0    2724
SOVEREIGN BANCORP
INC                 COMMON STOCK    845905108          1       420 Shares                        X        1         0     0     420
SOVEREIGN BANCORP
INC                 COMMON STOCK    845905108         14      4605 Shares                 X               3      4605     0       0
SPECTRA ENERGY CORP COMMON STOCK    847560109        222     14088 Shares                 X               1     12688     0    1400
SPECTRA ENERGY CORP COMMON STOCK    847560109        212     13445 Shares                        X        1     13195     0     250
SPECTRA ENERGY CORP COMMON STOCK    847560109         84      5365 Shares                 X               3      5365     0       0
SPRINT NEXTEL CORP  COMMON STOCK    852061100         16      8890 Shares                 X               1      8890     0       0
SPRINT NEXTEL CORP  COMMON STOCK    852061100         11      6020 Shares                        X        1      6020     0       0
SPRINT NEXTEL CORP  COMMON STOCK    852061100         14      7823 Shares                 X               2         0     0    7823
SPRINT NEXTEL CORP  COMMON STOCK    852061100         45     24345 Shares                 X               3     24345     0       0
STANDARD MOTOR
PRODUCTS INCORP     COMMON STOCK    853666105          0       100 Shares                 X               1       100     0       0
STANLEY WORKS COM   COMMON STOCK    854616109        205      6000 Shares                 X               1      6000     0       0
STANLEY WORKS COM   COMMON STOCK    854616109        126      3700 Shares                        X        1      3700     0       0
STANLEY WORKS COM   COMMON STOCK    854616109         24       700 Shares                 X               3       700     0       0
STAPLES INC COM     COMMON STOCK    855030102       3819    213138 Shares                 X               1     10038     0    3100
STAPLES INC COM     COMMON STOCK    855030102        804     44878 Shares                        X        1     44503     0     375
STAPLES INC COM     COMMON STOCK    855030102        233     13000 Shares                 X               2         0     0   13000
STAPLES INC COM     COMMON STOCK    855030102        427     23856 Shares                 X               3     20095     0    3761
STARBUCKS CORP COM  COMMON STOCK    855244109        148     15607 Shares                 X               1     15607     0       0
STARBUCKS CORP COM  COMMON STOCK    855244109        290     30700 Shares                 X               2         0     0   30700
STARBUCKS CORP COM  COMMON STOCK    855244109        400     42325 Shares           X                     2     42325     0       0
STARBUCKS CORP COM  COMMON STOCK    855244109         60      6350 Shares                 X               3      6350     0       0
STARENT NETWORKS    COMMON          85528P108        517     43300 Shares                 X               3     43300     0       0
STARWOOD HOTELS &
RESORTS WORL        COMMON STOCK    85590A401          6       349 Shares                 X               1       349     0       0
STARWOOD HOTELS &
RESORTS WORL        COMMON STOCK    85590A401         90      5025 Shares                 X               3      5025     0       0
STATE STREET CORP   COMMON STOCK    857477103        105      2677 Shares                 X               1      2677     0       0
STATE STREET CORP   COMMON STOCK    857477103       3296     83800 Shares                        X        1     83800     0       0


                                       42 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
STATE STREET CORP   COMMON STOCK    857477103        603     15342 Shares                 X               2         0     0   15342
STATE STREET CORP   COMMON STOCK    857477103        531     13500 Shares           X                     2     13500     0       0
STATE STREET CORP   COMMON STOCK    857477103        145      3680 Shares                 X               3      3680     0       0
STATOILHYDRO ASA
SPONSORED ADR       COMMON STOCK    85771P102          3       172 Shares                 X               1       172     0       0
STEEL DYNAMICS INC  COMMON STOCK    858119100        142     12675 Shares                 X               1     12675     0       0
STEEL DYNAMICS INC  COMMON STOCK    858119100       1083     96800 Shares                 X               3     73900     0       0
STELLARONE CORP     COMMON STOCK    85856G100         29      1731 Shares                 X               1      1731     0       0
STEMCELLS
INCORPORATED        COMMON STOCK    85857R105          1      1000 Shares                 X               2         0     0    1000
STERICYCLE INC COM  COMMON STOCK    858912108         21       400 Shares                 X               2         0     0     400
STERICYCLE INC COM  COMMON STOCK    858912108         34       660 Shares                 X               3       660     0       0
STERIS CORP         COMMON STOCK    859152100         45      1900 Shares                 X               1      1900     0       0
STERIS CORP         COMMON STOCK    859152100       1022     42800 Shares                 X               3     42800     0       0
STERLING
CONSTRUCTION
COMPANY             COMMON STOCK    859241101         68      3650 Shares                 X               1      3650     0       0
STERLING
CONSTRUCTION
COMPANY             COMMON STOCK    859241101       1492     80475 Shares                 X               3     80475     0       0
STIFEL FINANCIAL
CORPORATION         COMMON STOCK    860630102         56      1225 Shares                 X               1      1225     0       0
STIFEL FINANCIAL
CORPORATION         COMMON STOCK    860630102         12       264 Shares                 X               2         0     0     264
STIFEL FINANCIAL
CORPORATION         COMMON STOCK    860630102       1215     26500 Shares                 X               3     26500     0       0
STMICROELECTRONICS
N V                 COMMON STOCK    861012102          1       100 Shares                 X               1       100     0       0
STRYKER CORP COM    COMMON STOCK    863667101        336      8405 Shares                 X               1      8405     0       0
STRYKER CORP COM    COMMON STOCK    863667101        194      4845 Shares                        X        1      4645     0     200
STRYKER CORP COM    COMMON STOCK    863667101       2592     64875 Shares                 X               2         0     0   64875
STRYKER CORP COM    COMMON STOCK    863667101         84      2100 Shares                 X               3      2100     0       0
STURM RUGER & CO
INC COM             COMMON STOCK    864159108          1       250 Shares                 X               1       250     0       0
STURM RUGER & CO
INC COM             COMMON STOCK    864159108          1       100 Shares                        X        1       100     0       0
SUBURBAN PROPANE
PARTNERS LP L       COMMON STOCK    864482104          9       250 Shares                 X               1       250     0       0
SUBURBAN PROPANE
PARTNERS LP L       COMMON STOCK    864482104         35      1000 Shares                        X        1      1000     0       0
SUBURBAN PROPANE
PARTNERS LP L       COMMON STOCK    864482104         35      1000 Shares                 X               2         0     0    1000
SUN LIFE FINL INC   COMMON STOCK    866796105         60      2592 Shares                 X               1      2592     0       0
SUN MICROSYSTEMS
INC                 COMMON STOCK    866810203          6      1701 Shares                 X               1      1701     0       0
SUN MICROSYSTEMS
INC                 COMMON STOCK    866810203          5      1250 Shares                        X        1      1250     0       0
SUN MICROSYSTEMS
INC                 COMMON STOCK    866810203         26      6800 Shares                 X               3      6800     0       0
SUNCOR ENERGY INC   COMMON STOCK    867229106        389     19942 Shares                 X               1     19942     0       0
SUNCOR ENERGY INC   COMMON STOCK    867229106         31      1600 Shares                        X        1      1600     0       0
SUNOCO LOGISTICS
PARTNERS LP         COMMON STOCK    86764L108         41       900 Shares                        X        1       900     0       0
SUNOCO LOGISTICS
PARTNERS LP         COMMON STOCK    86764L108        361      8000 Shares                 X               2         0     0    8000
SUNOCO LOGISTICS
PARTNERS LP         COMMON STOCK    86764L108        253      5600 Shares           X                     2      5600     0       0
SUNOCO INC COM      COMMON STOCK    86764P109         43      1000 Shares                 X               1      1000     0       0
SUNOCO INC COM      COMMON STOCK    86764P109        108      2500 Shares                 X               3      2500     0       0
SUNPOWER CORP CL A  COMMON STOCK    867652109          7       200 Shares                 X               1       200     0       0
SUNPOWER
CORPORATION-CLASS
B-W                 COMMON STOCK    867652307        100      3300 Shares                 X               2         0     0    3300
SUNRISE SENIOR
LIVING INC          COMMON STOCK    86768K106          0       200 Shares                 X               1       200     0       0
SUNRISE SENIOR
LIVING INC          COMMON STOCK    86768K106        332    197875 Shares                 X               2         0     0  197875
SUNRISE SENIOR
LIVING INC          COMMON STOCK    86768K106        157     93475 Shares           X                     2     93475     0       0
SUNTRUST BANKS INC  COMMON STOCK    867914103        254      8588 Shares                 X               1      8588     0       0
SUNTRUST BANKS INC  COMMON STOCK    867914103        564     19109 Shares                        X        1     17409     0    1700
SUNTRUST BANKS INC  COMMON STOCK    867914103        587     19856 Shares                 X               2         0     0   19856
SUNTRUST BANKS INC  COMMON STOCK    867914103        234      7933 Shares                 X               3      7933     0       0
SUPERCONDUCTOR
TECHNOLOGIES IN     COMMON STOCK    867931305          0        12 Shares                 X               1        12     0       0
SUPERIOR UNIFORM
GROUP INC           COMMON STOCK    868358102          2       300 Shares                        X        1       300     0       0
SUPERVALU INC       COMMON STOCK    868536103         36      2457 Shares                 X               1      2457     0       0
SUPERVALU INC       COMMON STOCK    868536103         26      1800 Shares                 X               3      1800     0       0
SUSQUEHANNA
BANCSHARES INC PA   COMMON STOCK    869099101        798     50144 Shares                 X               1     47998     0    2146
SUSQUEHANNA
BANCSHARES INC PA   COMMON STOCK    869099101        881     55346 Shares                        X        1     54346  1000       0
SUSQUEHANNA
BANCSHARES INC PA   COMMON STOCK    869099101        352     22111 Shares           X                           22111     0       0
SWITCH AND DATA
FACILITIES CO       COMMON STOCK    871043105         27      3600 Shares                 X               1      3600     0       0
SWITCH AND DATA
FACILITIES CO       COMMON STOCK    871043105        591     79950 Shares                 X               3     79950     0       0
SYBASE INC COM      COMMON STOCK    871130100         26      1050 Shares                 X               1      1050     0       0
SYBASE INC COM      COMMON STOCK    871130100        581     23425 Shares                 X               3     23425     0       0
SYMANTEC CORP COM   COMMON STOCK    871503108        125      9225 Shares                 X               1      9225     0       0
SYMANTEC CORP COM   COMMON STOCK    871503108         49      3600 Shares                        X        1      3600     0       0
SYMANTEC CORP COM   COMMON STOCK    871503108         99      7320 Shares                 X               3      7320     0       0
SYNAPTICS
INCORPORATED        COMMON STOCK    87157D109         10       600 Shares                 X               1       600     0       0
SYNAPTICS
INCORPORATED        COMMON STOCK    87157D109        219     13225 Shares                 X               3     13225     0       0
SYNGENTA AG ADR     COMMON STOCK    87160A100          2        43 Shares                 X               1        43     0       0
SYNOVUS FINL CORP
COM                 COMMON STOCK    87161C105          7       900 Shares                 X               1       900     0       0
SYNIVERSE HOLDINGS
INC                 COMMON STOCK    87163F106         24      2000 Shares                 X               1      2000     0       0
SYNIVERSE HOLDINGS
INC                 COMMON STOCK    87163F106        517     43300 Shares                 X               3     43300     0       0


                                       43 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
SYSCO CORP          COMMON STOCK    871829107       3512    153084 Shares                 X               1     52984     0     100
SYSCO CORP          COMMON STOCK    871829107       5704    248631 Shares                        X        1     44731     0    3900
SYSCO CORP          COMMON STOCK    871829107        945     41200 Shares                 X               2         0     0   41200
SYSCO CORP          COMMON STOCK    871829107        703     30646 Shares           X                     2     30646     0       0
SYSCO CORP          COMMON STOCK    871829107        542     23678 Shares                 X               3     20075     0    3603
SYSCO CORP          COMMON STOCK    871829107          6       250 Shares                 X               4       250     0       0
TCW STRATEGIC
INCOME FD           PREFERRED STOCK 872340104          3      1000 Shares                 X               1         0     0       0
TECO ENERGY INC     COMMON STOCK    872375100         39      3150 Shares                 X               1      3150     0       0
TECO ENERGY INC     COMMON STOCK    872375100        303     24522 Shares                        X        1     24222     0     300
TECO ENERGY INC     COMMON STOCK    872375100         23      1900 Shares                 X               3      1900     0       0
TEPPCO PARTNERS
LTD PARTNERS        COMMON STOCK    872384102         52      2650 Shares                 X               1      2650     0       0
TEPPCO PARTNERS
LTD PARTNERS        COMMON STOCK    872384102       1190     60800 Shares                 X               2         0     0   60800
TEPPCO PARTNERS
LTD PARTNERS        COMMON STOCK    872384102        545     27850 Shares           X                     2     27850     0       0
TF FINANCIAL CORP   COMMON STOCK    872391107         97      5000 Shares                 X               1      5000     0       0
TJX COMPANIES COM   COMMON STOCK    872540109        164      7985 Shares                 X               1      7985     0       0
TJX COMPANIES COM   COMMON STOCK    872540109        398     19325 Shares                 X               3      5325     0       0
TNS INC             COMMON STOCK    872960109         22      2291 Shares                 X               1      2291     0       0
TNS INC             COMMON STOCK    872960109        433     46200 Shares                 X               3     46200     0       0
TW TELECOM INC      COMMON STOCK    87311L104         33      3900 Shares                 X               1      3900     0       0
TW TELECOM INC      COMMON STOCK    87311L104        734     86650 Shares                 X               3     86650     0       0
TAIWAN
SEMICONDUCTOR SPON
ADR                 COMMON STOCK    874039100         18      2311 Shares                 X               1      2311     0       0
TAIWAN
SEMICONDUCTOR SPON
ADR                 COMMON STOCK    874039100          8      1009 Shares                        X        1         0     0    1009
TAKE-TWO
INTERACTIVE
SOFTWARE            COMMON STOCK    874054109         27      3600 Shares                 X               1      3600     0       0
TAKE-TWO
INTERACTIVE
SOFTWARE            COMMON STOCK    874054109        593     78500 Shares                 X               3     78500     0       0
TALISMAN ENERGY INC COMMON STOCK    87425E103         41      4065 Shares                 X               1      4065     0       0
TALISMAN ENERGY INC COMMON STOCK    87425E103          2       210 Shares                        X        1         0     0     210
TARGET CORP COM     COMMON STOCK    87612E106       4223    122287 Shares                 X               1     22287     0       0
TARGET CORP COM     COMMON STOCK    87612E106        567     16407 Shares                        X        1     16232     0     175
TARGET CORP COM     COMMON STOCK    87612E106         45      1300 Shares                 X               2         0     0    1300
TARGET CORP COM     COMMON STOCK    87612E106        506     14650 Shares           X                     2     14650     0       0
TARGET CORP COM     COMMON STOCK    87612E106       1127     32644 Shares                 X               3     31367     0    1277
TECH DATA CORP COM  COMMON STOCK    878237106          9       500 Shares                        X        1       500     0       0
TECHNE CORP         COMMON STOCK    878377100        627      9723 Shares                 X               2         0     0    9723
TECK COMINCO LTD-
CL B                COMMON STOCK    878742204          3       555 Shares                 X               1       555     0       0
TECK COMINCO LTD-
CL B                COMMON STOCK    878742204         13      2657 Shares                        X        1      2657     0       0
TEKELEC COM         COMMON STOCK    879101103          8       600 Shares                 X               1       600     0       0
TELE NORTE LESTE
PART ADR            COMMON STOCK    879246106          7       500 Shares                 X               1       500     0       0
TELECOM ARGENTINA
SA-SP ADR           COMMON STOCK    879273209          1       190 Shares                 X               1       190     0       0
TELECOM NEW ZEALAND
SPON ADR            COMMON STOCK    879278208          2       284 Shares                 X               1       284     0       0
TELECOM ITALIA SPA  COMMON STOCK    87927Y102          1        54 Shares                 X               1        54     0       0
TELEDYNE
TECHNOLOGIES INC
COM                 COMMON STOCK    879360105         12       275 Shares                        X        1       275     0       0
TELEFONICA S A
SPONSORED ADR       COMMON STOCK    879382208         88      1300 Shares                 X               1      1300     0       0
TELEFONOS DE MEXICO
SP ADR L            COMMON STOCK    879403780         27      1280 Shares                 X               1      1280     0       0
TELEFONOS DE MEXICO
SP ADR L            COMMON STOCK    879403780         42      2000 Shares                        X        1         0     0    2000
TELLABS INC         COMMON          879664100         15      3700 Shares                 X               3      3700     0       0
TELMEX
INTERNACIONAL SAB
DE CV               COMMON STOCK    879690105          3       280 Shares                 X               1       280     0       0
TELMEX
INTERNACIONAL SAB
DE CV               COMMON STOCK    879690105         23      2000 Shares                        X        1         0     0    2000
TEMPLE INLAND INC   COMMON STOCK    879868107          1       128 Shares                 X               1       128     0       0
TEMPLE INLAND INC   COMMON STOCK    879868107          0       100 Shares                        X        1       100     0       0
TEMPLE INLAND INC   COMMON STOCK    879868107          2       513 Shares                 X               2         0     0     513
TEMPLETON DRAGON
FUND INC            PREFERRED STOCK 88018T101          2       100 Shares                 X               1         0     0       0
TEMPLETON GLOBAL
INCOME FUND-D       PREFERRED STOCK 880198106        291     37500 Shares                 X               1         0     0       0
TENET HEALTHCARE    COMMON          88033G100          4      3500 Shares                 X               3      3500     0       0
TERADATA CORP       COMMON STOCK    88076W103         13       902 Shares                 X               1       902     0       0
TERADATA CORP       COMMON STOCK    88076W103         11       724 Shares                        X        1       708     0      16
TERADATA CORP       COMMON STOCK    88076W103         25      1700 Shares                 X               3      1700     0       0
TERADYNE INC        COMMON          880770102          6      1500 Shares                 X               3      1500     0       0
TEREX CORP          COMMON STOCK    880779103        709     40924 Shares                 X               1     40924     0       0
TEREX CORP          COMMON STOCK    880779103          8       475 Shares                        X        1       475     0       0
TEREX CORP          COMMON STOCK    880779103        574     33121 Shares                 X               3     31421     0       0
TERRA INDUSTRIES
INC                 COMMON STOCK    880915103          8       450 Shares                 X               1       450     0       0
TERRA INDUSTRIES
INC                 COMMON STOCK    880915103          0        27 Shares                        X        1        27     0       0
TESORO CORPORATION  COMMON          881609101         16      1200 Shares                 X               3      1200     0       0
TEVA PHARMACEUTICAL
SPONS ADR           COMMON STOCK    881624209        594     13965 Shares                 X               1     13565     0     400
TEVA PHARMACEUTICAL
SPONS ADR           COMMON STOCK    881624209        665     15610 Shares                        X        1     13435     0    2175
TEVA PHARMACEUTICAL
SPONS ADR           COMMON STOCK    881624209          5       125 Shares                 X               3       125     0       0
TETRA TECH INC      COMMON STOCK    88162G103          2       100 Shares                 X               1       100     0       0


                                       44 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
TEX INDS INC COM    COMMON STOCK    882491103         16       450 Shares                 X               1       450     0       0
TEX INDS INC COM    COMMON STOCK    882491103        351     10175 Shares                 X               3     10175     0       0
TEXAS INSTRUMENTS
INC                 COMMON STOCK    882508104       2363    152224 Shares                 X               1     51449     0     775
TEXAS INSTRUMENTS
INC                 COMMON STOCK    882508104       1012     65176 Shares                        X        1     57641     0    7535
TEXAS INSTRUMENTS
INC                 COMMON STOCK    882508104        199     12800 Shares                 X               2         0     0   12800
TEXAS INSTRUMENTS
INC                 COMMON STOCK    882508104       1148     73988 Shares           X                     2     73988     0       0
TEXAS INSTRUMENTS
INC                 COMMON STOCK    882508104        346     22333 Shares                 X               3     20833     0    1500
TEXAS INSTRUMENTS
INC                 COMMON STOCK    882508104          2       100 Shares                 X               4       100     0       0
TEXTRON INC COM     COMMON STOCK    883203101        116      8386 Shares                 X               1      8386     0       0
TEXTRON INC COM     COMMON STOCK    883203101         29      2060 Shares                 X               3      2060     0       0
THERMO FISHER
SCIENTIFIC INC      COMMON STOCK    883556102        330      9685 Shares                 X               1      9685     0       0
THERMO FISHER
SCIENTIFIC INC      COMMON STOCK    883556102        118      3450 Shares                        X        1      3450     0       0
THERMO FISHER
SCIENTIFIC INC      COMMON STOCK    883556102        102      3000 Shares                 X               2         0     0    3000
THERMO FISHER
SCIENTIFIC INC      COMMON STOCK    883556102        122      3575 Shares                 X               3      3575     0       0
THOMSON REUTERS PLC
ADR                 COMMON STOCK    885141101         35       260 Shares                 X               1       260     0       0
3 COM CORP COM      COMMON STOCK    885535104          1       300 Shares                        X        1         0     0     300
3M CO               COMMON STOCK    88579Y101       9606    166949 Shares                 X               1     62685     0    4264
3M CO               COMMON STOCK    88579Y101       7924    137710 Shares                        X        1     24905     0   12805
3M CO               COMMON STOCK    88579Y101       2926     50860 Shares                 X               2         0     0   50860
3M CO               COMMON STOCK    88579Y101       1051     18270 Shares           X                     2     18270     0       0
3M CO               COMMON STOCK    88579Y101       1957     33997 Shares                 X               3     32306     0    1691
3M CO               COMMON STOCK    88579Y101          9       150 Shares                 X               4       150     0       0
TICKETMASTER
ENTERTAINMENT INC   COMMON STOCK    88633P302          1       200 Shares                 X               1       200     0       0
TICKETMASTER
ENTERTAINMENT INC   COMMON STOCK    88633P302          2       355 Shares                        X        1       355     0       0
TIDEWATER INC       COMMON STOCK    886423102         40      1000 Shares                 X               1      1000     0       0
TIFFANY & CO        COMMON STOCK    886547108        122      5179 Shares                 X               1      5179     0       0
TIFFANY & CO        COMMON STOCK    886547108         43      1800 Shares                        X        1      1800     0       0
TIFFANY & CO        COMMON STOCK    886547108         83      3500 Shares                 X               2         0     0    3500
TIFFANY & CO        COMMON STOCK    886547108        230      9745 Shares                 X               3      2045     0       0
TIGERLOGIC CORP     COMMON STOCK    8867EQ101         54     30000 Shares                 X               2         0     0   30000
TIM HORTONS INC     COMMON STOCK    88706M103        138      4768 Shares                 X               1      4768     0       0
TIME WARNER INC     COMMON STOCK    887317105        385     38255 Shares                 X               1     38255     0       0
TIME WARNER INC     COMMON STOCK    887317105        238     23690 Shares                        X        1     22990     0     700
TIME WARNER INC     COMMON STOCK    887317105        140     13905 Shares                 X               2         0     0   13905
TIME WARNER INC     COMMON STOCK    887317105        719     71431 Shares           X                     2     71431     0       0
TIME WARNER INC     COMMON STOCK    887317105        314     31205 Shares                 X               3     31205     0       0
TIME WARNER CABLE -
A                   COMMON STOCK    88732J108          0         5 Shares                 X               1         5     0       0
TIMKEN CO COM       COMMON STOCK    887389104         21      1094 Shares                        X        1      1094     0       0
TITANIUM METALS
CORP                COMMON          888339207          7       800 Shares                 X               3       800     0       0
TOLL BROS INC       COMMON STOCK    889478103       1204     56192 Shares                 X               1     56192     0       0
TOLL BROS INC       COMMON STOCK    889478103        252     11750 Shares                        X        1     11250     0     500
TOLL BROS INC       COMMON STOCK    889478103        286     13325 Shares                 X               2         0     0   13325
TOLL BROS INC       COMMON STOCK    889478103        864     40312 Shares                 X               3     28962     0       0
TOMPKINS FINANCIAL
CORP                COMMON STOCK    890110109         17       300 Shares                 X               1       300     0       0
TONGJITANG CHINESE
MEDICINES-A         COMMON STOCK    89025E103          1       200 Shares                        X        1       200     0       0
TOOTSIE ROLL
INDUSTRIES          COMMON STOCK    890516107         20       789 Shares                 X               1       789     0       0
TORCHMARK CORP      COMMON          891027104         36       800 Shares                 X               3       800     0       0
TORO CO COM         COMMON STOCK    891092108         53      1600 Shares                 X               1      1600     0       0
TORONTO-DOMINION
BANK                COMMON STOCK    891160509         11       293 Shares                 X               1       293     0       0
TORONTO-DOMINION
BANK                COMMON STOCK    891160509         77      2152 Shares                        X        1      2070     0      82
TORTOISE ENERGY
INFRASTRUCTURE      PREFERRED STOCK 89147L100         17      1000 Shares                 X               1         0     0       0
TORTOISE ENERGY
CAPITAL CORP        COMMON STOCK    89147U100         13      1000 Shares                        X        1      1000     0       0
TOTAL SA SPONSORED
ADR                 COMMON STOCK    89151E109         52       932 Shares                 X               1       932     0       0
TOTAL SYSTEMS
SERVICES INC        COMMON STOCK    891906109          6       435 Shares                 X               1       435     0       0
TOTAL SYSTEMS
SERVICES INC        COMMON STOCK    891906109         26      1851 Shares                 X               3      1851     0       0
TOYOTA MOTOR CORP
SPON ADR            COMMON STOCK    892331307         14       207 Shares                 X               1       207     0       0
TOYOTA MOTOR CORP
SPON ADR            COMMON STOCK    892331307         13       200 Shares                        X        1       200     0       0
TOYOTA MOTOR CORP
SPON ADR            COMMON STOCK    892331307         46       700 Shares                 X               3       700     0       0
TRACTOR SUPPLY
COMPANY             COMMON STOCK    892356106         22       600 Shares                 X               1       600     0       0
TRACTOR SUPPLY
COMPANY             COMMON STOCK    892356106        515     14250 Shares                 X               3     14250     0       0
TRADESTATION GROUP
INC                 COMMON STOCK    89267P105          6       900 Shares                 X               1       900     0       0
TRANSACT
TECHNOLOGIES INC
COM                 COMMON STOCK    892918103          5      1000 Shares                 X               1      1000     0       0
TRANSCANADA CORP    COMMON STOCK    89353D107         42      1560 Shares                 X               1      1560     0       0
TRANSCANADA CORP    COMMON STOCK    89353D107          8       300 Shares                        X        1       300     0       0
TRANSMONTAIGNE
PARTNERS LP         COMMON STOCK    89376V100         16      1200 Shares                 X               2         0     0    1200
TRANS1 INCORPORATED COMMON STOCK    89385X105         28      3900 Shares                 X               1      3900     0       0
TRANS1 INCORPORATED COMMON STOCK    89385X105        625     86600 Shares                 X               3     86600     0       0


                                       45 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
TRAVELCENTERS OF
AMERICA LLC         COMMON STOCK    894174101          0        30 Shares                 X               1        30     0       0
TRAVELCENTERS OF
AMERICA LLC         COMMON STOCK    894174101          0        30 Shares                        X        1        30     0       0
THE TRAVELERS
COMPANIES INC       COMMON STOCK    89417E109        568     12560 Shares                 X               1     12403     0     157
THE TRAVELERS
COMPANIES INC       COMMON STOCK    89417E109        393      8700 Shares                        X        1      8491     0     209
THE TRAVELERS
COMPANIES INC       COMMON STOCK    89417E109        495     10944 Shares                 X               2         0     0   10944
THE TRAVELERS
COMPANIES INC       COMMON STOCK    89417E109        229      5070 Shares                 X               3      5070     0       0
THE TRAVELERS
COMPANIES INC       COMMON STOCK    89417E109          7       160 Shares                 X               4       160     0       0
TREDEGAR CORP       COMMON STOCK    894650100         41      2250 Shares                 X               1      2250     0       0
TREDEGAR CORP       COMMON STOCK    894650100          7       360 Shares                        X        1       360     0       0
TREE.COM INC        COMMON STOCK    894675107          0        33 Shares                 X               1        33     0       0
TREE.COM INC        COMMON STOCK    894675107          0        58 Shares                        X        1        58     0       0
TRI-CONTINENTAL
CORP                PREFERRED STOCK 895436103         44      4491 Shares                 X               1         0     0       0
TRIMBLE NAV LTD COM COMMON STOCK    896239100        151      7000 Shares                 X               2         0     0    7000
TRINITY INDUSTRIES
INC                 COMMON STOCK    896522109          2       150 Shares                 X               1       150     0       0
TRINITY INDUSTRIES
INC                 COMMON STOCK    896522109         12       750 Shares                        X        1       750     0       0
TUPPERWARE BRANDS
CORP                COMMON STOCK    899896104         11       500 Shares                 X               1       500     0       0
TUPPERWARE BRANDS
CORP                COMMON STOCK    899896104         10       450 Shares                        X        1       450     0       0
TYLER TECHNOLOGIES
INC                 COMMON STOCK    902252105       2548    212700 Shares                 X               2         0     0  212700
TYLER TECHNOLOGIES
INC                 COMMON STOCK    902252105        722     60300 Shares           X                     2     60300     0       0
TYSON FOODS INC     CLASS A         902494103         20      2300 Shares                 X               3      2300     0       0
UDR INC REIT        COMMON STOCK    902653104          7       500 Shares                 X               1         0     0       0
UGI CORP            COMMON STOCK    902681105        196      8046 Shares                 X               1      8046     0       0
UGI CORP            COMMON STOCK    902681105        134      5500 Shares                        X        1      5500     0       0
UST INC COM         COMMON STOCK    902911106        448      6456 Shares                 X               1      6456     0       0
UST INC COM         COMMON STOCK    902911106        153      2200 Shares                        X        1      2200     0       0
UST INC COM         COMMON STOCK    902911106        120      1725 Shares                 X               3      1725     0       0
U S BANCORP DEL COM
NEW                 COMMON STOCK    902973304       1987     79438 Shares                 X               1     79438     0       0
U S BANCORP DEL COM
NEW                 COMMON STOCK    902973304        543     21706 Shares                        X        1     16806     0    4900
U S BANCORP DEL COM
NEW                 COMMON STOCK    902973304        805     32200 Shares                 X               2         0     0   32200
U S BANCORP DEL COM
NEW                 COMMON STOCK    902973304        473     18900 Shares           X                     2     18900     0       0
U S BANCORP DEL COM
NEW                 COMMON STOCK    902973304        456     18200 Shares                 X               3     18200     0       0
U S BANCORP DEL COM
NEW                 COMMON STOCK    902973304          6       253 Shares                 X               4       253     0       0
URS CORP NEW        COMMON STOCK    903236107         54      1325 Shares                 X               1      1325     0       0
URS CORP NEW        COMMON STOCK    903236107        747     18325 Shares                 X               3     18325     0       0
ULTRA PETROLEUM
CORP                COMMON STOCK    903914109         86      2500 Shares                 X               2         0     0    2500
UNDER ARMOUR INC-
CLASS A             COMMON STOCK    904311107         17       700 Shares                 X               1       700     0       0
UNDER ARMOUR INC-
CLASS A             COMMON STOCK    904311107         48      2000 Shares                 X               2         0     0    2000
UNILEVER PLC
SPONSORED ADR       COMMON STOCK    904767704          6       275 Shares                 X               1       275     0       0
UNILEVER PLC
SPONSORED ADR       COMMON STOCK    904767704        107      4640 Shares                        X        1      1640     0    3000
UNILEVER NV NY
SHARES              COMMON STOCK    904784709        387     15746 Shares                 X               1     15746     0       0
UNILEVER NV NY
SHARES              COMMON STOCK    904784709        125      5090 Shares                        X        1      5090     0       0
UNION BANKSHARES
CORPORATION         COMMON STOCK    905399101          7       300 Shares                        X        1       300     0       0
UNION PACIFIC CORP
COM                 COMMON STOCK    907818108        860     17992 Shares                 X               1     17992     0       0
UNION PACIFIC CORP
COM                 COMMON STOCK    907818108        472      9880 Shares                        X        1      9880     0       0
UNION PACIFIC CORP
COM                 COMMON STOCK    907818108        599     12534 Shares                 X               2         0     0   12534
UNION PACIFIC CORP
COM                 COMMON STOCK    907818108        208      4360 Shares                 X               3      4360     0       0
UNISOURCE ENERGY
CORP                COMMON STOCK    909205106          4       120 Shares                        X        1       120     0       0
UNITED BANKSHARES
INC                 COMMON STOCK    909907107         27       824 Shares                 X               2         0     0     824
UNITED PARCEL
SERVICE CL B        COMMON STOCK    911312106       2745     49771 Shares                 X               1     48296     0    1475
UNITED PARCEL
SERVICE CL B        COMMON STOCK    911312106        797     14450 Shares                        X        1     12620     0    1830
UNITED PARCEL
SERVICE CL B        COMMON STOCK    911312106       8066    146234 Shares                 X               2         0     0  146234
UNITED PARCEL
SERVICE CL B        COMMON STOCK    911312106        346      6278 Shares           X                     2      6278     0       0
UNITED PARCEL
SERVICE CL B        COMMON STOCK    911312106        609     11047 Shares                 X               3     10551     0     496
UNITED PARCEL
SERVICE CL B        COMMON STOCK    911312106          8       150 Shares                 X               4       150     0       0
UNITED RENTALS INC
COM                 COMMON STOCK    911363109         36      4000 Shares                 X               2         0     0    4000
UNITED STATES OIL
FD LP               PREFERRED STOCK 91232N108         30       900 Shares                 X               1         0     0       0
UNITED STS STL CORP
NEW                 COMMON STOCK    912909108         11       299 Shares                 X               1       299     0       0
UNITED STS STL CORP
NEW                 COMMON STOCK    912909108          6       153 Shares                        X        1       153     0       0
UNITED STS STL CORP
NEW                 COMMON STOCK    912909108         38      1030 Shares                 X               3      1030     0       0
UNITED TECHNOLOGIES
CORP COM            COMMON STOCK    913017109       6743    125811 Shares                 X               1    120621     0    5190
UNITED TECHNOLOGIES
CORP COM            COMMON STOCK    913017109       2893     53969 Shares                        X        1     51589     0    2380
UNITED TECHNOLOGIES
CORP COM            COMMON STOCK    913017109       2059     38410 Shares                 X               2         0     0   38410
UNITED TECHNOLOGIES
CORP COM            COMMON STOCK    913017109        299      5570 Shares           X                     2      5570     0       0
UNITED TECHNOLOGIES
CORP COM            COMMON STOCK    913017109       1001     18674 Shares                 X               3     18124     0       0
UNITEDHEALTH GROUP
INC                 COMMON STOCK    91324P102       1952     73395 Shares                 X               1     73395     0       0
UNITEDHEALTH GROUP
INC                 COMMON STOCK    91324P102        143      5382 Shares                        X        1      3982     0    1400
UNITEDHEALTH GROUP
INC                 COMMON STOCK    91324P102       4312    162115 Shares                 X               2         0     0  162115


                                       46 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
UNITEDHEALTH GROUP
INC                 COMMON STOCK    91324P102       2721    102280 Shares           X                     2    102280     0       0
UNITEDHEALTH GROUP
INC                 COMMON STOCK    91324P102        561     21088 Shares                 X               3     18650     0    2438
UNITRIN INC COM     COMMON STOCK    913275103          8       483 Shares                 X               1       483     0       0
UNITRIN INC COM     COMMON STOCK    913275103         22      1400 Shares                        X        1      1400     0       0
UNIVERSAL DISPLAY
CORP                COMMON STOCK    91347P105         12      1300 Shares                 X               1      1300     0       0
UNIVEST CORP OF PA  COMMON STOCK    915271100         79      2454 Shares                 X               1      2454     0       0
UNUM GROUP          COMMON STOCK    91529Y106        450     24210 Shares                 X               2         0     0   24210
UNUM GROUP          COMMON STOCK    91529Y106        339     18200 Shares           X                     2     18200     0       0
UNUM GROUP          COMMON STOCK    91529Y106         53      2855 Shares                 X               3      2855     0       0
URBAN OUTFITTERS
INC                 COMMON STOCK    917047102        633     42269 Shares                 X               1     42269     0       0
URBAN OUTFITTERS
INC                 COMMON STOCK    917047102       1014     67617 Shares                 X               3     34517     0       0
URSTADT BIDDLE
PPTYS INC CL A      COMMON STOCK    917286205         48      3000 Shares                        X        1         0     0       0

VCA ANTECH INC      COMMON STOCK    918194101         50      2500 Shares                 X               2         0     0    2500
V F CORP            COMMON STOCK    918204108        157      2860 Shares                 X               1      2860     0       0
V F CORP            COMMON STOCK    918204108          9       160 Shares                        X        1       160     0       0
V F CORP            COMMON STOCK    918204108         41       750 Shares                 X               3       750     0       0
VIST FINANCIAL
CORP                COMMON STOCK    918255100          8      1000 Shares                 X               1      1000     0       0
VALEANT
PHARMACEUTICALS INC COMMON STOCK    91911X104         37      1600 Shares                 X               1      1600     0       0
VALEANT
PHARMACEUTICALS INC COMMON STOCK    91911X104        807     35250 Shares                 X               3     35250     0       0
VALERO ENERGY
CORP COM            COMMON STOCK    91913Y100        120      5550 Shares                 X               1      5550     0       0
VALERO ENERGY
CORP COM            COMMON STOCK    91913Y100         87      4000 Shares                        X        1      4000     0       0
VALERO ENERGY
CORP COM            COMMON STOCK    91913Y100        100      4600 Shares                 X               3      4600     0       0
VALSPAR CORP        COMMON          920355104         29      1600 Shares                 X               3      1600     0       0
VALUECLICK INC      COMMON STOCK    92046N102         14      2000 Shares                        X        1      2000     0       0
VAN KAMPEN TRUST
INSURED MUNIC       PREFERRED STOCK 920928108          5       505 Shares                 X               1         0     0       0
VAN KAMPEN TR FOR
INV GR MUNIC        PREFERRED STOCK 920929106         52      5851 Shares                        X        1         0     0       0
VAN KAMPEN
MUNICIPAL OPPORTUNI PREFERRED STOCK 920935103         72      7385 Shares                        X        1         0     0       0
VAN KAMPEN BOND
FUND                PREFERRED STOCK 920955101          2       100 Shares                        X        1         0     0       0
VAN KAMPEN SENIOR
INCOME TRUST        PREFERRED STOCK 920961109         10      4000 Shares                 X               1         0     0       0
VK ADVANTAGE  MUNI
INCOME TR I         PREFERRED STOCK 92112K107          7       933 Shares                 X               1         0     0       0
VAN KAMPEN PENN
VALUE MUNI INC      PREFERRED STOCK 92112T108        175     20852 Shares                 X               1         0     0       0
VAN KAMPEN PENN
VALUE MUNI INC      PREFERRED STOCK 92112T108        382     45415 Shares                        X        1         0     0       0
VANGUARD HIGH
DIVIDEND YIELD E    PREFERRED STOCK 921946406         13       383 Shares                 X               1         0     0       0
VANGUARD EMERGING
MKTS ETF            PREFERRED STOCK 922042858          6       258 Shares                        X        1         0     0       0
VANGUARD EMERGING
MKTS ETF            PREFERRED STOCK 922042858        182      7725 Shares                 X               3         0     0       0
VANGUARD ENERGY ETF PREFERRED STOCK 92204A306          3        50 Shares                 X               1         0     0       0
VANGUARD ENERGY ETF PREFERRED STOCK 92204A306          8       112 Shares                        X        1         0     0       0
VANGUARD MATERIALS
ETF                 PREFERRED STOCK 92204A801         11       250 Shares                 X               1         0     0       0
VARIAN INC          COMMON STOCK    922206107          4       120 Shares                 X               1       120     0       0
VARIAN
SEMICONDUCTOR EQUIP
ASS                 COMMON STOCK    922207105          5       270 Shares                 X               1       270     0       0
VARIAN MEDICAL SYS
INC COM             COMMON STOCK    92220P105          8       225 Shares                 X               1       225     0       0
VARIAN MEDICAL SYS
INC COM             COMMON STOCK    92220P105          4       100 Shares                        X        1       100     0       0
VARIAN MEDICAL SYS
INC COM             COMMON STOCK    92220P105         35      1000 Shares                 X               2         0     0    1000
VARIAN MEDICAL SYS
INC COM             COMMON STOCK    92220P105         39      1100 Shares                 X               3      1100     0       0
VANGUARD REIT ETF   PREFERRED STOCK 922908553         29       787 Shares                 X               1         0     0       0
VANGUARD EXTENDED
MKT ETF             PREFERRED STOCK 922908652          2        60 Shares                        X        1         0     0       0
VANGUARD TOTAL
STOCK MARKET ET     PREFERRED STOCK 922908769        250      5580 Shares                        X        1         0     0       0
VERENIUM CORP       COMMON STOCK    92340P100          0       150 Shares                 X               1       150     0       0
VERIFONE HOLDINGS
INC                 COMMON STOCK    92342Y109          5      1000 Shares                 X               2         0     0    1000
VERISIGN INC COM    COMMON STOCK    92343E102         22      1150 Shares                 X               1      1150     0       0
VERISIGN INC COM    COMMON STOCK    92343E102         33      1750 Shares                 X               3      1750     0       0
VERIZON
COMMUNICATIONS COM  COMMON STOCK    92343V104      16607    489894 Shares                 X               1    481944     0    7950
VERIZON
COMMUNICATIONS COM  COMMON STOCK    92343V104       8177    241207 Shares                        X        1    231806     0    9401
VERIZON
COMMUNICATIONS COM  COMMON STOCK    92343V104       6131    180860 Shares                 X               2         0     0  180860
VERIZON
COMMUNICATIONS COM  COMMON STOCK    92343V104       2683     79144 Shares           X                     2     79144     0       0
VERIZON
COMMUNICATIONS COM  COMMON STOCK    92343V104       3276     96658 Shares                 X               3     92868     0    3790
VERTEX
PHARMACEUTICALS INC COMMON STOCK    92532F100         10       330 Shares                 X               1       330     0       0
VIACOM INC-CLASS B  COMMON STOCK    92553P201        161      8472 Shares                 X               1      8472     0       0
VIACOM INC-CLASS B  COMMON STOCK    92553P201        108      5670 Shares                        X        1      3270     0    2400
VIACOM INC-CLASS B  COMMON STOCK    92553P201        102      5365 Shares                 X               3      5365     0       0
VISA INC            COMMON STOCK    92826C839         10       195 Shares                 X               1       195     0       0
VISA INC            COMMON STOCK    92826C839         16       300 Shares                        X        1       300     0       0
VISA INC            COMMON STOCK    92826C839        115      2200 Shares                 X               2         0     0    2200
VISHAY
INTERTECHNOLOGY INC
COM                 COMMON STOCK    928298108          3      1000 Shares                 X               1      1000     0       0
VISIONCHINA MEDIA
INC                 COMMON STOCK    92833U103          1       203 Shares                 X               1       203     0       0
VISTEON CORP COM    COMMON STOCK    92839U107          0        85 Shares                 X               1        85     0       0
VIVUS INC           COMMON STOCK    928551100         21      4000 Shares                 X               1      4000     0       0


                                       47 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
VIVUS INC           COMMON STOCK    928551100        472     88600 Shares                 X               3     88600     0       0
VMWARE INC          COMMON STOCK    928563402        523     22073 Shares                 X               1     22073     0       0
VMWARE INC          COMMON STOCK    928563402        654     27577 Shares                 X               3     26077     0       0
VODAFONE GROUP PLC
- SP ADR            COMMON STOCK    92857W209        681     33294 Shares                 X               1     33294     0       0
VODAFONE GROUP PLC
- SP ADR            COMMON STOCK    92857W209        211     10329 Shares                        X        1     10168     0     161
VODAFONE GROUP PLC
- SP ADR            COMMON STOCK    92857W209         19       940 Shares                 X               2         0     0     940
VOCUS INC           COMMON STOCK    92858J108         29      1600 Shares                 X               1      1600     0       0
VOCUS INC           COMMON STOCK    92858J108        630     34600 Shares                 X               3     34600     0       0
VOLTERRA
SEMICONDUCTOR CORP  COMMON STOCK    928708106         32      4475 Shares                 X               1      4475     0       0
VOLTERRA
SEMICONDUCTOR CORP  COMMON STOCK    928708106        707     98800 Shares                 X               3     98800     0       0
VORNADO REALTY
TRUST (REIT)        COMMON STOCK    929042109         12       200 Shares                 X               1         0     0       0
VORNADO REALTY
TRUST (REIT)        COMMON STOCK    929042109        121      2000 Shares                 X               2         0     0       0
VORNADO REALTY
TRUST (REIT)        COMMON STOCK    929042109         72      1200 Shares                 X               3      1200     0       0
VULCAN MATERIAL COM COMMON STOCK    929160109          5        72 Shares                 X               1        72     0       0
VULCAN MATERIAL COM COMMON STOCK    929160109         66       945 Shares                 X               3       945     0       0
WD 40 CO COM        COMMON STOCK    929236107          6       200 Shares                 X               1       200     0       0
WD 40 CO COM        COMMON STOCK    929236107          6       200 Shares                        X        1       200     0       0
WGL HLDGS INC COM   COMMON STOCK    92924F106          7       200 Shares                 X               1       200     0       0
WGL HLDGS INC COM   COMMON STOCK    92924F106         62      1893 Shares                        X        1      1893     0       0
WGL HLDGS INC COM   COMMON STOCK    92924F106         59      1796 Shares                 X               2         0     0    1796
WGL HLDGS INC COM   COMMON STOCK    92924F106         60      1828 Shares                 X               3      1828     0       0
WABCO HOLDINGS INC  COMMON STOCK    92927K102          3       200 Shares                 X               1       200     0       0
WMS INDUSTRIES INC  COMMON STOCK    929297109         27      1000 Shares                 X               1      1000     0       0
WMS INDUSTRIES INC  COMMON STOCK    929297109        576     21400 Shares                 X               3     21400     0       0
W P CAREY & CO LLC  COMMON STOCK    92930Y107          6       263 Shares                 X               1         0     0       0
W P CAREY & CO LLC  COMMON STOCK    92930Y107        118      5019 Shares                        X        1         0     0       0
WPP PLC - SPONS ADR COMMON STOCK    92933H101         10       333 Shares                        X        1       333     0       0
WABTEC CORP COM     COMMON STOCK    929740108         68      1700 Shares                 X               1      1700     0       0
WABTEC CORP COM     COMMON STOCK    929740108       1499     37700 Shares                 X               3     37700     0       0
WACHOVIA CORP COM   COMMON STOCK    929903102       1070    193111 Shares                 X               1    186083     0    7028
WACHOVIA CORP COM   COMMON STOCK    929903102        374     67547 Shares                        X        1     60372     0    7175
WACHOVIA CORP COM   COMMON STOCK    929903102        223     40340 Shares                 X               2         0     0   40340
WACHOVIA CORP COM   COMMON STOCK    929903102        314     56595 Shares                 X               3     54074     0    2521
WACHOVIA CORP COM   COMMON STOCK    929903102          1       100 Shares                 X               4       100     0       0
WAL MART STORES INC
COM                 COMMON STOCK    931142103      13497    240759 Shares                 X               1    239359     0    1400
WAL MART STORES INC
COM                 COMMON STOCK    931142103       4460     79550 Shares                        X        1     72010     0    7540
WAL MART STORES INC
COM                 COMMON STOCK    931142103        179      3200 Shares                 X               2         0     0    3200
WAL MART STORES INC
COM                 COMMON STOCK    931142103       5229     93293 Shares                 X               3     89812     0    2381
WAL MART STORES INC
COM                 COMMON STOCK    931142103         17       300 Shares                 X               4       300     0       0
WALGREEN CO         COMMON STOCK    931422109        437     17718 Shares                 X               1     17668     0      50
WALGREEN CO         COMMON STOCK    931422109        457     18505 Shares                        X        1     12835     0    5670
WALGREEN CO         COMMON STOCK    931422109        213      8650 Shares                 X               3      8650     0       0
THE WARNACO GROUP
INC                 COMMON STOCK    934390402         29      1500 Shares                 X               1      1500     0       0
THE WARNACO GROUP
INC                 COMMON STOCK    934390402        660     33600 Shares                 X               3     33600     0       0
WASHINGTON POST CO
CL B                COMMON STOCK    939640108         23        60 Shares                        X        1        60     0       0
WASHINGTON POST CO
CL B                COMMON STOCK    939640108        215       550 Shares                 X               2         0     0     550
WASHINGTON POST CO
CL B                COMMON STOCK    939640108         20        51 Shares                 X               3        51     0       0
WASHINGTON REAL
ESTATE INVT (R      COMMON STOCK    939653101        324     11451 Shares                 X               1         0     0       0
WASHINGTON REAL
ESTATE INVT (R      COMMON STOCK    939653101         53      1865 Shares                        X        1         0     0       0
WASHINGTON REAL
ESTATE INVT (R      COMMON STOCK    939653101        464     16398 Shares                 X               2         0     0       0
WASTE CONNECTIONS
INC                 COMMON STOCK    941053100        204      6452 Shares                 X               1      6452     0       0
WASTE CONNECTIONS
INC                 COMMON STOCK    941053100        619     19597 Shares                 X               3      1997     0       0
WASTE MANAGEMENT
INC COM             COMMON STOCK    94106L109         95      2862 Shares                 X               1      2862     0       0
WASTE MANAGEMENT
INC COM             COMMON STOCK    94106L109        419     12642 Shares                        X        1      9142     0    3500
WASTE MANAGEMENT
INC COM             COMMON STOCK    94106L109        143      4300 Shares                 X               3      4300     0       0
WATERS CORP COM     COMMON STOCK    941848103         99      2700 Shares                 X               1      2700     0       0
WATERS CORP COM     COMMON STOCK    941848103         31       850 Shares                 X               3       850     0       0
WATSON
PHARMACEUTICALS INC
COM                 COMMON STOCK    942683103         41      1526 Shares                        X        1       763   763       0
WATSON
PHARMACEUTICALS INC
COM                 COMMON STOCK    942683103         24       900 Shares                 X               3       900     0       0
WEBSTER FINANCIAL
CORP                COMMON          947890109        156     11356 Shares           X                           11356     0       0
WEINGARTEN REALTY
INVESTORS (R        COMMON STOCK    948741103         10       500 Shares                        X        1         0     0       0
WEINGARTEN REALTY
INVESTORS (R        COMMON STOCK    948741103       2113    102129 Shares                 X               2         0     0       0
WEINGARTEN REALTY
INVESTORS (R        COMMON STOCK    948741103        397     19204 Shares           X                     2     19204     0       0
WEIS MARKETS INC    COMMON STOCK    948849104        109      3230 Shares                 X               1      2780     0     450
WEIS MARKETS INC    COMMON STOCK    948849104         25       757 Shares                        X        1       757     0       0
WELLPOINT INC       COMMON STOCK    94973V107         42      1000 Shares                 X               1      1000     0       0
WELLPOINT INC       COMMON STOCK    94973V107        186      4420 Shares                 X               3      4420     0       0


                                       48 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
WELLS FARGO & CO    COMMON STOCK    949746101       9796    332278 Shares                 X               1    324803     0    7475
WELLS FARGO & CO    COMMON STOCK    949746101       4518    153247 Shares                        X        1    148851     0    4396
WELLS FARGO & CO    COMMON STOCK    949746101       5270    178754 Shares                 X               2         0     0  178754
WELLS FARGO & CO    COMMON STOCK    949746101       1759     59666 Shares           X                     2     59666     0       0
WELLS FARGO & CO    COMMON STOCK    949746101       2429     82413 Shares                 X               3     79585     0    2828
WELLS FARGO & CO    COMMON STOCK    949746101          6       200 Shares                 X               4       200     0       0
WENDYS/ARBYS GROUP
INC - CL A          COMMON STOCK    950587105         76     15467 Shares                 X               1     15467     0       0
WENDYS/ARBYS GROUP
INC - CL A          COMMON STOCK    950587105          5       970 Shares                 X               3       970     0       0
WERNER ENTERPRISES
INC                 COMMON STOCK    950755108         15       847 Shares                 X               1       847     0       0
WESTAR ENERGY INC   COMMON STOCK    95709T100          3       150 Shares                        X        1       150     0       0
WESTERN ASSET
GLOBAL HIGH INC     PREFERRED STOCK 95766B109         13      1800 Shares                 X               1         0     0       0
WESTERN ASSET
MANAGED MUNICIPA    PREFERRED STOCK 95766M105          9      1016 Shares                        X        1         0     0       0
WESTERN ASSET
MANAGED MUNICIPA    PREFERRED STOCK 95766M105         47      5000 Shares                 X               2         0     0       0
WESTERN ASSET
MUNICIPAL HIGH I    PREFERRED STOCK 95766N103          7      1050 Shares                 X               1         0     0       0
WESTN DIGITAL CORP  COMMON STOCK    958102105         11       967 Shares                 X               1       967     0       0
WESTERN UNION
COMPANY             COMMON STOCK    959802109        223     15558 Shares                 X               1     15558     0       0
WESTERN UNION
COMPANY             COMMON STOCK    959802109        188     13077 Shares                        X        1     12752     0     325
WESTERN UNION
COMPANY             COMMON STOCK    959802109         91      6350 Shares                 X               3      6350     0       0
WESTERN UNION
COMPANY             COMMON STOCK    959802109          3       200 Shares                 X               4       200     0       0
WEYERHAEUSER CO COM COMMON STOCK    962166104         96      3121 Shares                 X               1      3121     0       0
WEYERHAEUSER CO COM COMMON STOCK    962166104        114      3717 Shares                        X        1      2919     0     798
WEYERHAEUSER CO COM COMMON STOCK    962166104        422     13800 Shares                 X               2         0     0   13800
WEYERHAEUSER CO COM COMMON STOCK    962166104         58      1900 Shares                 X               3      1900     0       0
WHIRLPOOL CORP COM  COMMON STOCK    963320106         10       250 Shares                 X               1       250     0       0
WHIRLPOOL CORP COM  COMMON STOCK    963320106         34       819 Shares                        X        1       819     0       0
WHIRLPOOL CORP COM  COMMON STOCK    963320106         29       700 Shares                 X               3       700     0       0
WHITNEY HOLDING
CORP COM            COMMON STOCK    966612103        277     17338 Shares                 X               1     17338     0       0
WHITNEY HOLDING
CORP COM            COMMON STOCK    966612103        679     42427 Shares                 X               3     40127     0       0
WHOLE FOODS MKT
INC COM             COMMON STOCK    966837106          5       500 Shares                 X               1       500     0       0
WHOLE FOODS MKT
INC COM             COMMON STOCK    966837106         31      3245 Shares                 X               2         0     0    3245
WHOLE FOODS MKT
INC COM             COMMON STOCK    966837106         12      1285 Shares                 X               3      1285     0       0
WILBER CORP COM     COMMON STOCK    967797101          5       750 Shares                 X               1       750     0       0
WILLIAMS COMPANY
INC (THE)           COMMON STOCK    969457100         19      1318 Shares                 X               1      1318     0       0
WILLIAMS COMPANY
INC (THE)           COMMON STOCK    969457100         28      1900 Shares                        X        1       700     0    1200
WILLIAMS COMPANY
INC (THE)           COMMON STOCK    969457100        218      9200 Shares           X                     2      9200     0       0
WILLIAMS COMPANY
INC (THE)           COMMON STOCK    969457100         74      5100 Shares                 X               3      5100     0       0
WILLIAMS PARTNERS
LP                  COMMON STOCK    96950F104         11       900 Shares                 X               2         0     0     900
WILLIAMS SONOMA INC COMMON          969904101         50      6300 Shares                 X               3      6300     0       0
WILMINGTON TRUST
CRP                 COMMON          971807102         68      3050 Shares                 X               3      3050     0       0
WIND RIV SYS INC    COMMON STOCK    973149107         21      2300 Shares                 X               1      2300     0       0
WIND RIV SYS INC    COMMON STOCK    973149107        455     50400 Shares                 X               3     50400     0       0
WINDSTREAM CORP     COMMON STOCK    97381W104         70      7589 Shares                 X               1      7589     0       0
WINDSTREAM CORP     COMMON STOCK    97381W104        333     36154 Shares                        X        1     31812     0    4342
WINDSTREAM CORP     COMMON STOCK    97381W104         35      3853 Shares                 X               3      3853     0       0
WIPRO LTD-ADR       COMMON STOCK    97651M109          2       200 Shares                 X               1       200     0       0
WISCONSIN ENERGY
CORP COM            COMMON STOCK    976657106        158      3752 Shares                 X               1      3752     0       0
WISCONSIN ENERGY
CORP COM            COMMON STOCK    976657106         96      2275 Shares                        X        1      2275     0       0
WISCONSIN ENERGY
CORP COM            COMMON STOCK    976657106         38       910 Shares                 X               3       910     0       0
WISDOMTREE INTL
REAL ES FD          PREFERRED STOCK 97717W331         30      1475 Shares                 X               1         0     0       0
WOLVERINES WORLD
WIDE INC COM        COMMON STOCK    978097103         24      1150 Shares                 X               1      1150     0       0
WOLVERINES WORLD
WIDE INC COM        COMMON STOCK    978097103        536     25475 Shares                 X               3     25475     0       0
WOODWARD GOVERNOR
CO COM              COMMON STOCK    980745103         28      1200 Shares                 X               1      1200     0       0
WOODWARD GOVERNOR
CO COM              COMMON STOCK    980745103        598     25975 Shares                 X               3     25975     0       0
WORLD FUEL SERVICES
CORPORATIO          COMMON STOCK    981475106         83      2250 Shares                 X               1      2250     0       0
WORTHINGTON INDS
INC COM             COMMON STOCK    981811102        143     13000 Shares                        X        1         0     0   13000
WYETH               COMMON STOCK    983024100      10105    269384 Shares                 X               1    268122     0    1262
WYETH               COMMON STOCK    983024100      10042    267702 Shares                        X        1    226419     0   41283
WYETH               COMMON STOCK    983024100        703     18750 Shares                 X               2         0     0   18750
WYETH               COMMON STOCK    983024100        563     15000 Shares           X                     2     15000     0       0
WYETH               COMMON STOCK    983024100       2081     55463 Shares                 X               3     55463     0       0
WYETH               COMMON STOCK    983024100         11       300 Shares                 X               4       300     0       0
WYNDHAM WORLDWIDE
CORP                COMMON STOCK    98310W108          1       200 Shares                 X               1       200     0       0
WYNDHAM WORLDWIDE
CORP                COMMON STOCK    98310W108          2       333 Shares                        X        1       333     0       0
WYNDHAM WORLDWIDE
CORP                COMMON STOCK    98310W108         12      1800 Shares                 X               3      1800     0       0
WYNN RESORTS
LIMITED             COMMON STOCK    983134107          4       100 Shares                 X               1       100     0       0
WYNN RESORTS
LIMITED             COMMON STOCK    983134107         23       550 Shares                 X               3       550     0       0
XTO ENERGY INC COM  COMMON STOCK    98385X106       1846     52344 Shares                 X               1     52243     0     101


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                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
XTO ENERGY INC COM  COMMON STOCK    98385X106        284      8053 Shares                        X        1      8053     0       0
XTO ENERGY INC COM  COMMON STOCK    98385X106       1037     29400 Shares                 X               2         0     0   29400
XTO ENERGY INC COM  COMMON STOCK    98385X106        172      4875 Shares                 X               3      4875     0       0
XCEL ENERGY INC COM COMMON STOCK    98389B100         27      1465 Shares                 X               1      1465     0       0
XCEL ENERGY INC COM COMMON STOCK    98389B100        101      5439 Shares                        X        1      5439     0       0
XCEL ENERGY INC COM COMMON STOCK    98389B100         70      3800 Shares                 X               3      3800     0       0
XILINX INC          COMMON          983919101         45      2500 Shares                 X               3      2500     0       0
XEROX CORP          COMMON STOCK    984121103         41      5186 Shares                 X               1      5186     0       0
XEROX CORP          COMMON STOCK    984121103         85     10640 Shares                        X        1     10640     0       0
XEROX CORP          COMMON STOCK    984121103         62      7795 Shares                 X               3      7795     0       0
XFONE INC           COMMON STOCK    98414Y109          0       275 Shares                 X               1       275     0       0
YAHOO INC COM       COMMON STOCK    984332106        406     33291 Shares                 X               1     33291     0       0
YAHOO INC COM       COMMON STOCK    984332106          4       320 Shares                        X        1       320     0       0
YAHOO INC COM       COMMON STOCK    984332106         73      6000 Shares                 X               2         0     0    6000
YAHOO INC COM       COMMON STOCK    984332106        629     51542 Shares                 X               3     49342     0       0
YAMANA GOLD INC     COMMON STOCK    98462Y100         35      4525 Shares                 X               1      4525     0       0
YAMANA GOLD INC     COMMON STOCK    98462Y100        550     71275 Shares                 X               3     71275     0       0
YORK WATER COMPANY  COMMON STOCK    987184108       1241    102592 Shares                 X               1     95556     0    7036
YORK WATER COMPANY  COMMON STOCK    987184108        933     77127 Shares                        X        1     77127     0       0
YUM! BRANDS INC     COMMON STOCK    988498101        579     18394 Shares                 X               1     18394     0       0
YUM! BRANDS INC     COMMON STOCK    988498101        314      9955 Shares                        X        1      6315     0    3640
YUM! BRANDS INC     COMMON STOCK    988498101       2145     68080 Shares                 X               2         0     0   68080
YUM! BRANDS INC     COMMON STOCK    988498101        130      4130 Shares                 X               3      4130     0       0
ZEBRA TECHNOLOGIES
CORP CL A           COMMON STOCK    989207105          3       150 Shares                 X               1       150     0       0
ZEBRA TECHNOLOGIES
CORP CL A           COMMON STOCK    989207105         46      2250 Shares                        X        1      2250     0       0
ZENITH NATIONAL
INSURANCE CORP      COMMON STOCK    989390109         44      1400 Shares                 X               2         0     0    1400
ZIMMER HLDGS INC
COM                 COMMON STOCK    98956P102       3953     97786 Shares                 X               1     95855     0    1931
ZIMMER HLDGS INC
COM                 COMMON STOCK    98956P102        812     20089 Shares                        X        1     17949     0    2140
ZIMMER HLDGS INC
COM                 COMMON STOCK    98956P102       1927     47664 Shares                 X               2         0     0   47664
ZIMMER HLDGS INC
COM                 COMMON STOCK    98956P102        948     23455 Shares           X                     2     23455     0       0
ZIMMER HLDGS INC
COM                 COMMON STOCK    98956P102       1260     31169 Shares                 X               3     29642     0    1527
ZIONS
BANCORPORATION COM  COMMON STOCK    989701107        372     15169 Shares                 X               1     15169     0       0
ZIONS
BANCORPORATION COM  COMMON STOCK    989701107         83      3385 Shares                        X        1      2385     0    1000
ZIONS
BANCORPORATION COM  COMMON STOCK    989701107        243      9910 Shares                 X               3      8605     0    1305
DAIMLER AG          COMMON STOCK    D1668R123         49      1272 Shares                 X               1      1272     0       0
DAIMLER AG          COMMON STOCK    D1668R123          5       124 Shares                        X        1       124     0       0
DAIMLER AG          COMMON STOCK    D1668R123          5       124 Shares                 X               2         0     0     124
A-POWER ENERGY
GENERATION SYST     COMMON STOCK    G04136100          1       334 Shares                 X               1       334     0       0
AXIS CAPITAL
HOLDINGS LIMITED    COMMON STOCK    G0692U109        836     28721 Shares                 X               1     28721     0       0
AXIS CAPITAL
HOLDINGS LIMITED    COMMON STOCK    G0692U109        853     29312 Shares                 X               3     27712     0       0
ACCENTURE LTD-CL A  COMMON STOCK    G1150G111        568     17329 Shares                 X               1     17329     0       0
ACCENTURE LTD-CL A  COMMON STOCK    G1150G111        422     12860 Shares                        X        1     12725     0     135
BUNGE LIMITED       COMMON STOCK    G16962105         10       200 Shares                 X               1       200     0       0
BUNGE LIMITED       COMMON STOCK    G16962105        231      4470 Shares           X                     2      4470     0       0
COOPER INDUSTRIES
LTD CL A            COMMON STOCK    G24182100         61      2100 Shares                 X               1      2100     0       0
COOPER INDUSTRIES
LTD CL A            COMMON STOCK    G24182100         53      1800 Shares                        X        1      1800     0       0
COOPER INDUSTRIES
LTD CL A            COMMON STOCK    G24182100         44      1500 Shares                 X               3      1500     0       0
COVIDIEN LIMITED    COMMON STOCK    G2552X108        274      7566 Shares                 X               1      5437     0    2129
COVIDIEN LIMITED    COMMON STOCK    G2552X108        157      4319 Shares                        X        1      3516     0     803
COVIDIEN LIMITED    COMMON STOCK    G2552X108        408     11250 Shares                 X               2         0     0   11250
COVIDIEN LIMITED    COMMON STOCK    G2552X108        158      4350 Shares                 X               3      4350     0       0
FOSTER WHEELER LTD  COMMON STOCK    G36535139       1977     84559 Shares                 X               1     84159     0     400
FOSTER WHEELER LTD  COMMON STOCK    G36535139        136      5825 Shares                        X        1      4560     0    1265
FOSTER WHEELER LTD  COMMON STOCK    G36535139       1519     64958 Shares                 X               3     51594     0    1464
FRONTLINE LTD       COMMON STOCK    G3682E127         47      1600 Shares                 X               1      1600     0       0
GARMIN LIMITED ORD  COMMON STOCK    G37260109         58      3000 Shares                 X               2         0     0    3000
GARMIN LIMITED ORD  COMMON STOCK    G37260109         60      3150 Shares                 X               3      3150     0       0
HERBALIFE LTD       COMMON STOCK    G4412G101        115      5325 Shares                 X               1      5325     0       0
HERBALIFE LTD
INGERSOLL-RAND
COMPANY LTD-A       COMMON STOCK    G4776G101         95      5498 Shares                 X               1      5498     0       0
INGERSOLL-RAND
COMPANY LTD-A       COMMON STOCK    G4776G101        130      7470 Shares                        X        1      7470     0       0
INGERSOLL-RAND
COMPANY LTD-A       COMMON STOCK    G4776G101       1795    103430 Shares                 X               2         0     0  103430
INGERSOLL-RAND
COMPANY LTD-A       COMMON STOCK    G4776G101       1190     68597 Shares           X                     2     68597     0       0
INGERSOLL-RAND
COMPANY LTD-A       COMMON STOCK    G4776G101         97      5570 Shares                 X               3      5570     0       0
INVESCO LTD         COMMON          G491BT108         47      3283 Shares                 X               3      3283     0       0
LJ INTERNATIONAL
INC                 COMMON STOCK    G55312105          0       400 Shares                 X               1       400     0       0
NABORS INDUSTRIES
LTD                 COMMON STOCK    G6359F103        309     25775 Shares                 X               1     25775     0       0


                                       50 of 51






                                                                                       COLUMN 6                       COLUMN 8
                                                                                      INVESTMENT
                                                                 COLUMN 5              AUTHORITY                VOTING AUTHORITY
                                                         ------------------------ -------------------          -----------------
                                                           SHARES
                       COLUMN 2      COLUMN 3  COLUMN 4      OR               PUT       SHARED SHARED COLUMN 7
                        TITLE                    VALUE   PRINCIPAL SHARES OR  OR          -       -    OTHER
NAME OF ISSUER        OF CLASS        CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS  SOLE  SHARED OTHER
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                         
NABORS INDUSTRIES
LTD                 COMMON STOCK    G6359F103        258     21525 Shares                        X        1     21525     0       0
NABORS INDUSTRIES
LTD                 COMMON STOCK    G6359F103         30      2500 Shares                 X               3      2500     0       0
NOBLE CORPORATION   COMMON STOCK    G65422100        252     11420 Shares                 X               1     10320     0    1100
NOBLE CORPORATION   COMMON STOCK    G65422100          4       200 Shares                        X        1         0     0     200
NOBLE CORPORATION   COMMON STOCK    G65422100         52      2350 Shares                 X               3      2350     0       0
NORDIC AMERICAN
TANKER SHIPPIN      COMMON STOCK    G65773106         15       450 Shares                 X               1       450     0       0
SEAGATE TECHNOLOGY  COMMON STOCK    G7945J104         39      8776 Shares                 X               1      8776     0       0
SEAGATE TECHNOLOGY  COMMON STOCK    G7945J104         18      4124 Shares                        X        1      4124     0       0
SEAGATE TECHNOLOGY  COMMON STOCK    G7945J104         33      7400 Shares                 X               3      7400     0       0
SHIP FINANCE INTL
LTD                 COMMON STOCK    G81075106          8       691 Shares                 X               1       691     0       0
TYCO INTERNATIONAL
LTD                 COMMON STOCK    G9143X208        191      8826 Shares                 X               1      6772     0    2054
TYCO INTERNATIONAL
LTD                 COMMON STOCK    G9143X208         80      3681 Shares                        X        1      2878     0     803
TYCO INTERNATIONAL
LTD                 COMMON STOCK    G9143X208        135      6250 Shares                 X               2         0     0    6250
TYCO INTERNATIONAL
LTD                 COMMON STOCK    G9143X208         91      4200 Shares                 X               3      4200     0       0
TYCO ELECTRONICS
LTD                 COMMON STOCK    G9144P105        127      7815 Shares                 X               1      5761     0    2054
TYCO ELECTRONICS
LTD                 COMMON STOCK    G9144P105         43      2649 Shares                        X        1      2649     0       0
TYCO ELECTRONICS
LTD                 COMMON STOCK    G9144P105        101      6250 Shares                 X               2         0     0    6250
TYCO ELECTRONICS
LTD                 COMMON STOCK    G9144P105         68      4225 Shares                 X               3      4225     0       0
WEATHERFORD INTL
LTD BERMUDA         COMMON STOCK    G95089101       1110    102621 Shares                 X               1    102621     0       0
WEATHERFORD INTL
LTD BERMUDA         COMMON STOCK    G95089101        120     11104 Shares                        X        1     11104     0       0
WEATHERFORD INTL
LTD BERMUDA         COMMON STOCK    G95089101        832     77049 Shares                 X               3     53249     0       0
WHITE MOUNTAINS
INSURANCE GROU      COMMON STOCK    G9618E107         27       100 Shares                 X               1       100     0       0
WHITE MOUNTAINS
INSURANCE GROU      COMMON STOCK    G9618E107        950      3555 Shares                 X               2         0     0    3555
WILLIS GROUP HLDGS
LTD                 COMMON STOCK    G96655108         49      1980 Shares                 X               1      1980     0       0
WILLIS GROUP HLDGS
LTD                 COMMON STOCK    G96655108         14       580 Shares                        X        1       580     0       0
XL CAPITAL LTD CL A COMMON STOCK    G98255105          1       160 Shares                 X               1       160     0       0
XL CAPITAL LTD CL A COMMON STOCK    G98255105         10      2570 Shares                 X               3      2570     0       0
ACE LTD             COMMON STOCK    H0023R105       1829     34562 Shares                 X               1     34562     0       0
ACE LTD             COMMON STOCK    H0023R105        127      2400 Shares                        X        1      2300     0     100
ACE LTD             COMMON STOCK    H0023R105       1909     36083 Shares                 X               3     34128     0    1055
ALCON INC           COMMON STOCK    H01301102         36       400 Shares                 X               1       400     0       0
ALCON INC           COMMON STOCK    H01301102        134      1500 Shares                 X               2         0     0    1500
UBS AG              COMMON STOCK    H89231338         49      3443 Shares                 X               1      3443     0       0
CHECK POINT
SOFTWARE TECH COM   COMMON STOCK    M22465104        300     15800 Shares                 X               2         0     0   15800
ON TRACK INNOVATION SHARES          M8791A109          1       900 Shares                 X               3       900     0       0
EAGLE BULK SHIPPING
INC                 COMMON STOCK    Y2187A101          7      1000 Shares                 X               1      1000     0       0
FLEXTRONICS INTL
LTD                 COMMON STOCK    Y2573F102         20      7704 Shares                 X               1      7704     0       0
FLEXTRONICS INTL
LTD                 COMMON STOCK    Y2573F102          4      1400 Shares                        X        1      1400     0       0
GENCO SHIPPING &
TRADING LTD         COMMON STOCK    Y2685T107         46      3100 Shares                 X               1      3100     0       0
GENCO SHIPPING &
TRADING LTD         COMMON STOCK    Y2685T107        980     66200 Shares                 X               3     66200     0       0
SEASPAN CORP        COMMON STOCK    Y75638109         49      5500 Shares                        X        1      5500     0       0
VERIGY LTD          COMMON STOCK    Y93691106          0        46 Shares                        X        1        46     0       0

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