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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 12/31/2009

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   1/28/2010
---------------------------------   -----------------   ---------
           [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:        2,923
Form 13-F Information Table Value Total:    2,897,483
                                          (thousands)

List of Other Included Managers:

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

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

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






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
ABB LTD SPON ADR     COMMON STOCK    000375204       3        134 Shares                 X                 1       134      0      0
ABB LTD SPON ADR     COMMON STOCK    000375204      36       1876 Shares                         X         1      1876      0      0
ACCO BRANDS CORP     COMMON STOCK    00081T108       3        404 Shares                 X                 1       404      0      0
ADC
TELECOMMUNICATIONS
INC                  COMMON STOCK    000886309       1        114 Shares                 X                 1       114      0      0
AFLAC INC            COMMON STOCK    001055102     864      18683 Shares                 X                 1     18683      0      0
AFLAC INC            COMMON STOCK    001055102     560      12100 Shares                         X         1     11700      0    400
AFLAC INC            COMMON STOCK    001055102    4165      95100 Shares                 X                 2     28650      0  66450
AFLAC INC            COMMON STOCK    001055102      91       1975 Shares                 X                 3      1975      0      0
AGL RESOURCES INC    COMMON STOCK    001204106     127       3489 Shares                 X                 1      1989      0   1500
AGL RESOURCES INC    COMMON STOCK    001204106     111       3052 Shares                         X         1      3032      0     20
AES CORP COM         COMMON STOCK    00130H105    1121      84191 Shares                 X                 1     83391      0    800
AES CORP COM         COMMON STOCK    00130H105      89       6700 Shares                         X         1      3900      0   2800
AES CORP COM         COMMON STOCK    00130H105    6964     579807 Shares                 X                 2    232472      0 347335
AES CORP COM         COMMON STOCK    00130H105      21       1600 Shares                 X                 3      1600      0      0
AK STEEL HOLDING
CORP COM             COMMON STOCK    001547108       1         66 Shares                 X                 1        66      0      0
AMN HEALTHCARE
SERVICES INCORP      COMMON STOCK    001744101       4        457 Shares                 X                 1       457      0      0
AOL INC              COMMON STOCK    00184X105      18        779 Shares                 X                 1       779      0      0
AOL INC              COMMON STOCK    00184X105       6        278 Shares                         X         1       278      0      0
AOL INC              COMMON STOCK    00184X105     488      30174 Shares                 X                 2     29875      0    299
AOL INC              COMMON STOCK    00184X105       1         22 Shares                 X                 3        22      0      0
AT&T INC             COMMON STOCK    00206R102   18871     673234 Shares                 X                 1    664337      0   8897
AT&T INC             COMMON STOCK    00206R102   11145     397621 Shares                         X         1    351371      0  46250
AT&T INC             COMMON STOCK    00206R102   10694     456163 Shares                 X                 2    113333      0 342830
AT&T INC             COMMON STOCK    00206R102     572      20393 Shares                 X                 3     15438      0   4955
AT&T INC             COMMON STOCK    00206R102       7        265 Shares                 X                 4       265      0      0
AVI BIOPHARMA INC    COMMON STOCK    002346104      13       9000 Shares                 X                 1      9000      0      0
AZZ INCORPORATED     COMMON STOCK    002474104      10        313 Shares                 X                 1       313      0      0
ABBOTT LABORATORIES  COMMON STOCK    002824100   12537     232201 Shares                 X                 1    229426      0   2775
ABBOTT LABORATORIES  COMMON STOCK    002824100    4943      91557 Shares                         X         1     90137      0   1420
ABBOTT LABORATORIES  COMMON STOCK    002824100     669      12400 Shares                 X                 2      6300      0   6100
ABBOTT LABORATORIES  COMMON STOCK    002824100    2507      46430 Shares                 X                 3     43427      0   3003
ABBOTT LABORATORIES  COMMON STOCK    002824100       7        125 Shares                 X                 4       125      0      0
ABERCROMBIE & FITCH
CO CL A              COMMON STOCK    002896207     844      24230 Shares                 X                 1     23330      0    900
ABERCROMBIE & FITCH
CO CL A              COMMON STOCK    002896207      10        300 Shares                         X         1       300      0      0
ABERCROMBIE & FITCH
CO CL A              COMMON STOCK    002896207      71       2035 Shares                 X                 3      1829      0    206
ABERDEEN AUSTRALIA
EQUITY FUND          PREFERRED STOCK 003011103      12       1000 Shares                         X         1         0      0      0
ACTIVISION BLIZZARD
INC                  COMMON STOCK    00507V109    1689     152058 Shares                 X                 1    151870      0    188
ACTIVISION BLIZZARD
INC                  COMMON STOCK    00507V109     194      17453 Shares                         X         1     17453      0      0
ACTIVISION BLIZZARD
INC                  COMMON STOCK    00507V109    1405     126420 Shares                 X                 3    126420      0      0
ACUITY BRANDS
HOLDING COMPANY      COMMON STOCK    00508Y102    1568      44000 Shares                 X                 2         0      0  44000
ACXIOM CORP          COMMON STOCK    005125109       5        375 Shares                 X                 1       375      0      0
ADAPTEC INC          COMMON STOCK    00651F108       1        200 Shares                 X                 1       200      0      0
ADOBE SYS INC COM    COMMON STOCK    00724F101      93       2537 Shares                 X                 1      2537      0      0
ADOBE SYS INC COM    COMMON STOCK    00724F101      17        450 Shares                         X         1       450      0      0
ADOBE SYS INC COM    COMMON STOCK    00724F101    1124      38365 Shares                 X                 2     26700      0  11665
ADTRAN INC COM       COMMON STOCK    00738A106     146       6489 Shares                 X                 1      6489      0      0
ADTRAN INC COM       COMMON STOCK    00738A106    1766      78325 Shares                 X                 3     78325      0      0
ADVANCE AUTO PARTS   COMMON STOCK    00751Y106      45       1115 Shares                 X                 1      1115      0      0
AECOM TECHNOLOGY
CORP                 COMMON STOCK    00766T100    1065      51350 Shares                 X                 2     24850      0  26500
ADVANCED MICRO
DEVICES INC COM      COMMON STOCK    007903107    2740     283007 Shares                 X                 1    283007      0      0
ADVANCED MICRO
DEVICES INC COM      COMMON STOCK    007903107       5        500 Shares                         X         1       500      0      0
ADVANCED MICRO
DEVICES INC COM      COMMON STOCK    007903107    6946     717587 Shares                 X                 3    717587      0      0
AEGON NV ORD AMER
REG SHS              COMMON STOCK    007924103      29       4540 Shares                 X                 1      4540      0      0
AES TRUST III PFD
CONV 6.75% 1         PREFERRED STOCK 00808N202      19        400 Shares                 X                 1         0      0      0
AES TRUST III PFD
CONV 6.75% 1         PREFERRED STOCK 00808N202      15        325 Shares                         X         1         0      0      0
AES TRUST III PFD
CONV 6.75% 1         PREFERRED STOCK 00808N202    4454     102120 Shares                 X                 2     26220      0      0
AETNA INC NEW COM    COMMON STOCK    00817Y108    1189      37519 Shares                 X                 1     37519      0      0
AETNA INC NEW COM    COMMON STOCK    00817Y108    1842      58097 Shares                 X                 3     58097      0      0
AFFILIATED COMPUTER
SVCS INC C           COMMON STOCK    008190100       6        100 Shares                 X                 1       100      0      0
AFFILIATED MANAGERS
GROUP                COMMON STOCK    008252108      81       1200 Shares                 X                 1      1200      0      0
AFFILIATED MANAGERS
GROUP                COMMON STOCK    008252108    2231      33125 Shares                 X                 3     33125      0      0
AGFEED INDUSTRIES
INC                  COMMON STOCK    00846L101       2        415 Shares                 X                 1       415      0      0



                                     1 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
AGILENT TECHNOLOGIES
INC COM              COMMON STOCK    00846U101      14        437 Shares                 X                 1       437      0      0
AGILENT TECHNOLOGIES
INC COM              COMMON STOCK    00846U101      31        991 Shares                         X         1       381      0    610
AGILENT TECHNOLOGIES
INC COM              COMMON STOCK    00846U101      71       2288 Shares                 X                 2         0      0   2288
AGILENT TECHNOLOGIES
INC COM              COMMON STOCK    00846U101       1         30 Shares                 X                 3        30      0      0
AGNICO EAGLE MINES
LTD                  COMMON STOCK    008474108       3         50 Shares                 X                 1        50      0      0
AGRIUM INC           COMMON STOCK    008916108      98       1600 Shares                 X                 1      1600      0      0
AGRIUM INC           COMMON STOCK    008916108     941      15300 Shares                 X                 3     15300      0      0
AIR PRODUCTS &
CHEMICALS INC        COMMON STOCK    009158106     863      10650 Shares                 X                 1     10650      0      0
AIR PRODUCTS &
CHEMICALS INC        COMMON STOCK    009158106    1073      13240 Shares                         X         1     13240      0      0
AIRGAS INC           COMMON STOCK    009363102      18        386 Shares                 X                 1       386      0      0
AKAMAI TECHNOLOGIES
INC COM              COMMON STOCK    00971T101      17        665 Shares                 X                 1       665      0      0
ALBEMARLE CORP COM   COMMON STOCK    012653101     488      13426 Shares                 X                 1     13426      0      0
ALBEMARLE CORP COM   COMMON STOCK    012653101     920      25297 Shares                         X         1     25297      0      0
ALBERTO-CULVER
COMPANY              COMMON STOCK    013078100       3        100 Shares                 X                 1       100      0      0
ALCOA INC COM        COMMON STOCK    013817101    1036      64287 Shares                 X                 1     63987      0    300
ALCOA INC COM        COMMON STOCK    013817101     473      29342 Shares                         X         1     26182      0   3160
ALCOA INC COM        COMMON STOCK    013817101       3        200 Shares                 X                 4       200      0      0
ALCATEL-LUCENT -
SPON ADR             COMMON STOCK    013904305      11       3322 Shares                 X                 1      3322      0      0
ALCATEL-LUCENT -
SPON ADR             COMMON STOCK    013904305       1        408 Shares                         X         1       376      0     32
ALCATEL-LUCENT -
SPON ADR             COMMON STOCK    013904305       1        155 Shares                 X                 2         0      0    155
ALDILA INCORPORATED
NEW                  COMMON STOCK    014384200       0         66 Shares                 X                 1        66      0      0
ALEX & BALDWIN INC   COMMON STOCK    014482103     431      12592 Shares                 X                 1     12592      0      0
ALEX & BALDWIN INC   COMMON STOCK    014482103     171       4997 Shares                         X         1      4997      0      0
ALEXANDRIA REAL
ESTATE EQUITIE       COMMON STOCK    015271109       6         91 Shares                 X                 1         0      0      0
ALEXION
PHARMACEUTICALS INC
CO                   COMMON STOCK    015351109      34        701 Shares                 X                 1       701      0      0
ALEXION
PHARMACEUTICALS INC
CO                   COMMON STOCK    015351109      15        300 Shares                         X         1         0      0    300
ALEXION
PHARMACEUTICALS INC
CO                   COMMON STOCK    015351109     786      16100 Shares                 X                 3     16100      0      0
ALLEGHENY ENERGY INC COMMON STOCK    017361106      45       1898 Shares                 X                 1      1898      0      0
ALLEGHENY ENERGY INC COMMON STOCK    017361106      56       2400 Shares                         X         1      2100      0    300
ALLEGHENY
TECHNOLOGIES INC COM COMMON STOCK    01741R102      43        962 Shares                 X                 1       962      0      0
ALLEGHENY
TECHNOLOGIES INC COM COMMON STOCK    01741R102      18        400 Shares                 X                 2         0      0    400
ALLEGHENY
TECHNOLOGIES INC COM COMMON STOCK    01741R102      49       1100 Shares                 X                 3      1100      0      0
ALLERGAN INC         COMMON STOCK    018490102    1705      27061 Shares                 X                 1     27027      0     34
ALLERGAN INC         COMMON STOCK    018490102     253       4020 Shares                         X         1      4020      0      0
ALLERGAN INC         COMMON STOCK    018490102    3457      54870 Shares                 X                 3     54870      0      0
ALLETE INC           COMMON STOCK    018522300      42       1300 Shares                         X         1      1300      0      0
ALLIANCEBERNSTEIN
NATL MUNI IN         PREFERRED STOCK 01864U106      13       1000 Shares                         X         1         0      0      0
ALLIANT ENERGY CORP  COMMON          018802108      45       1500 Shares                 X                 3      1500      0      0
ALLIANT TECHSYSTEMS
INC                  COMMON STOCK    018804104       7         75 Shares                 X                 1        75      0      0
ALLIANT TECHSYSTEMS
INC                  COMMON STOCK    018804104      36        405 Shares                         X         1       405      0      0
ALLIANCEBERNSTEIN
INCOME FUND          PREFERRED STOCK 01881E101      16       1892 Shares                         X         1         0      0      0
ALLIANCEBERNSTEIN
HOLDING LP           COMMON STOCK    01881G106      21        750 Shares                         X         1       750      0      0
ALLIANCEBERNSTEIN
HOLDING LP           COMMON STOCK    01881G106     344      12250 Shares                 X                 2         0      0  12250
ALLIED CAPITAL CORP
NEW COM              COMMON STOCK    01903Q108       3        700 Shares                 X                 1       700      0      0
ALLIANCE FINANCIAL
CORP                 COMMON STOCK    019205103      69       2527 Shares                 X                 2         0      0   2527
ALLIED IRISH BKS
PLC-SPON ADR         COMMON STOCK    019228402    3030     863229 Shares                 X                 1    691828   7143 164258
ALLIED IRISH BKS
PLC-SPON ADR         COMMON STOCK    019228402     794     226113 Shares                         X         1    185793      0  40320
ALLIED NEVADA GOLD
CORP                 COMMON STOCK    019344100      31       2050 Shares                 X                 1      2050      0      0
ALLIED NEVADA GOLD
CORP                 COMMON STOCK    019344100     845      56075 Shares                 X                 3     56075      0      0
ALLSCRIPTS-MISYS
HEALTHCARE           COMMON STOCK    01988P108    2463     121744 Shares                 X                 1    121744      0      0
ALLSCRIPTS-MISYS
HEALTHCARE           COMMON STOCK    01988P108      80       3975 Shares                         X         1      3975      0      0
ALLSCRIPTS-MISYS
HEALTHCARE           COMMON STOCK    01988P108    1335      66046 Shares                 X                 3     63352      0   2694
ALLSTATE CORP        COMMON STOCK    020002101     460      15312 Shares                 X                 1     15312      0      0
ALLSTATE CORP        COMMON STOCK    020002101     225       7499 Shares                         X         1      6549      0    950
ALLSTATE CORP        COMMON STOCK    020002101     793      26400 Shares                 X                 2         0      0  26400
ALLSTATE CORP        COMMON STOCK    020002101      98       3253 Shares                 X                 3      3253      0      0
ALNYLAM
PHARMACEUTICALS INC  COMMON STOCK    02043Q107       2        100 Shares                 X                 1       100      0      0
ALNYLAM
PHARMACEUTICALS INC  COMMON STOCK    02043Q107      62       3500 Shares                 X                 2         0      0   3500
ALPHA NATURAL
RESOURCES            COMMON STOCK    02076X102      77       1775 Shares                 X                 1      1775      0      0
ALPHA NATURAL
RESOURCES            COMMON STOCK    02076X102    2122      48925 Shares                 X                 3     48925      0      0
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED STOCK 02083A103   10392    1667506 Shares                 X                 1         0      0      0
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED STOCK 02083A103    1940     311238 Shares                         X         1         0      0      0



                                     2 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED STOCK 02083A103    2839     455609 Shares                 X                 3         0      0      0
ALPINE TOTAL DYNAMIC
DVD FD               PREFERRED STOCK 021060108       5        590 Shares                         X         1         0      0      0
ALTERA CORP COM      COMMON STOCK    021441100     289      12790 Shares                 X                 1     12790      0      0
ALTERA CORP COM      COMMON STOCK    021441100    1955      86400 Shares                 X                 3     86400      0      0
ALTRIA GROUP INC     COMMON STOCK    02209S103    4870     248106 Shares                 X                 1    246506      0   1600
ALTRIA GROUP INC     COMMON STOCK    02209S103    2598     132370 Shares                         X         1    128377      0   3993
ALTRIA GROUP INC     COMMON STOCK    02209S103     340      17320 Shares                 X                 2     11820      0   5500
ALTRIA GROUP INC     COMMON STOCK    02209S103     113       5753 Shares                 X                 3      5753      0      0
ALUMINA LIMITED
SPON-ADR             COMMON STOCK    022205108       4        683 Shares                 X                 1       683      0      0
AMAZON.COM INC       COMMON STOCK    023135106    2236      16625 Shares                 X                 1     16332      0    293
AMAZON.COM INC       COMMON STOCK    023135106     415       3085 Shares                         X         1      1790      0   1295
AMAZON.COM INC       COMMON STOCK    023135106      40        300 Shares                 X                 2         0      0    300
AMAZON.COM INC       COMMON STOCK    023135106    2276      16917 Shares                 X                 3     16917      0      0
AMBAC FINANCIAL
GROUP INC            COMMON STOCK    023139108       0        165 Shares                         X         1       165      0      0
AMEDISYS INC         COMMON STOCK    023436108      32        650 Shares                 X                 1       650      0      0
AMEDISYS INC         COMMON STOCK    023436108     866      17825 Shares                 X                 3     17825      0      0
AMEREN CORP          COMMON STOCK    023608102      26        940 Shares                 X                 1       940      0      0
AMEREN CORP          COMMON STOCK    023608102      14        500 Shares                         X         1       500      0      0
AMERICA MOVIL SA -
SPONS ADR S          COMMON STOCK    02364W105      52       1100 Shares                 X                 1      1100      0      0
AMERICA MOVIL SA -
SPONS ADR S          COMMON STOCK    02364W105     141       3000 Shares                         X         1         0      0   3000
AMERICA MOVIL SA -
SPONS ADR S          COMMON STOCK    02364W105      94       2000 Shares                 X                 2         0      0   2000
AMERICAN CAPITAL LTD COMMON STOCK    02503Y103       6       2397 Shares                 X                 1      2397      0      0
AMERICAN CAPITAL LTD COMMON STOCK    02503Y103       2        799 Shares                         X         1       799      0      0
AMERICAN CAPITAL LTD COMMON STOCK    02503Y103     830     359416 Shares                 X                 2     76844      0 282572
AMERICAN ELECTRIC
POWER CO INC         COMMON STOCK    025537101      86       2462 Shares                 X                 1      2462      0      0
AMERICAN ELECTRIC
POWER CO INC         COMMON STOCK    025537101     171       4914 Shares                         X         1      2084      0   2830
AMERICAN ELECTRIC
POWER CO INC         COMMON STOCK    025537101      45       1300 Shares                 X                 3      1300      0      0
AMERICAN EAGLE
OUTFITTER INC        COMMON STOCK    02553E106       8        500 Shares                 X                 3       500      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    1497      36955 Shares                 X                 1     36355      0    600
AM EX CO             COMMON STOCK    025816109     440      10863 Shares                         X         1      8585      0   2278
AM EX CO             COMMON STOCK    025816109    1663      41938 Shares                 X                 2      7900      0  34038
AM EX CO             COMMON STOCK    025816109     108       2657 Shares                 X                 3      1437      0   1220
AM EX CO             COMMON STOCK    025816109       8        200 Shares                 X                 4       200      0      0
AMERICAN FINANCIAL
GROUP INC            COMMON STOCK    025932104      15        600 Shares                         X         1         0      0    600
AMERICAN INTL GROUP
PFD CV 8.5           PREFERRED STOCK 026874115       6        500 Shares                 X                 1         0      0      0
AMERICAN INTL GROUP
PFD CV 8.5           PREFERRED STOCK 026874115     422      37250 Shares                 X                 2         0      0      0
AMERICAN
INTERNATIONAL GROUP  COMMON STOCK    026874784       5        159 Shares                 X                 1       159      0      0
AMERICAN
INTERNATIONAL GROUP  COMMON STOCK    026874784      12        387 Shares                         X         1       287      0    100
AMERICAN
INTERNATIONAL GROUP  COMMON STOCK    026874784       1         40 Shares                 X                 2         0      0     40
AMERICAN PHYSICIANS
CAPITAL IN           COMMON STOCK    028884104       2         65 Shares                 X                 1        65      0      0
AMERICAN PUBLIC
EDUCATION INC        COMMON STOCK    02913V103      19        550 Shares                 X                 1       550      0      0
AMERICAN PUBLIC
EDUCATION INC        COMMON STOCK    02913V103     524      15275 Shares                 X                 3     15275      0      0
AMERICAN SELECT
PORTFOLIO            PREFERRED STOCK 029570108      10        900 Shares                 X                 1         0      0      0
AMERICAN TOWER CORP
CL A                 COMMON STOCK    029912201       9        200 Shares                 X                 1       200      0      0
AMERICAN STRATEGIC
INCOME II            PREFERRED STOCK 030099105      10       1000 Shares                 X                 1         0      0      0
AMERICAN STRATEGIC
INCOME III           PREFERRED STOCK 03009T101       9       1000 Shares                 X                 1         0      0      0
AMERICAN
SUPERCONDUCTOR CORP  COMMON STOCK    030111108      55       1350 Shares                 X                 1      1350      0      0
AMERICAN
SUPERCONDUCTOR CORP  COMMON STOCK    030111108    1522      37200 Shares                 X                 3     37200      0      0
AMERICAN WATER WORKS
CO INC               COMMON STOCK    030420103      12        550 Shares                 X                 1       550      0      0
AMERICAN WATER WORKS
CO INC               COMMON STOCK    030420103      58       2600 Shares                 X                 3      2600      0      0
AMERISAFE INC        COMMON STOCK    03071H100       4        207 Shares                 X                 1       207      0      0
AMERISOURCE BERGEN
CORP COM             COMMON STOCK    03073E105      21        800 Shares                 X                 1       800      0      0
AMERIPRISE FINANCIAL
INC                  COMMON STOCK    03076C106      84       2176 Shares                 X                 1      2056      0    120
AMERIPRISE FINANCIAL
INC                  COMMON STOCK    03076C106      51       1324 Shares                         X         1      1129      0    195
AMERIPRISE FINANCIAL
INC                  COMMON STOCK    03076C106      69       1790 Shares                 X                 2         0      0   1790
AMERIS BANCORP       COMMON STOCK    03076K108       1        123 Shares                 X                 1       123      0      0
AMERIGAS PARTNERS LP COMMON STOCK    030975106      51       1300 Shares                         X         1      1300      0      0
AMETEK AEROSPACE
PRODS INC COM        COMMON STOCK    031100100      40       1038 Shares                 X                 1      1038      0      0
AMGEN INC COM        COMMON STOCK    031162100    8233     145529 Shares                 X                 1    145079      0    450
AMGEN INC COM        COMMON STOCK    031162100    1883      33287 Shares                         X         1     26637      0   6650



                                     3 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
AMGEN INC COM        COMMON STOCK    031162100     441       7794 Shares                 X                 2         0      0   7794
AMGEN INC COM        COMMON STOCK    031162100    1440      25444 Shares                 X                 3     24651      0    793
AMGEN INC COM        COMMON STOCK    031162100      11        200 Shares                 X                 4       200      0      0
AMGEN INC COM        COMMON STOCK    031162100      40        700 Shares                         X         4       700      0      0
AMPHENOL CORP NEW
CL A                 COMMON STOCK    032095101      18        400 Shares                 X                 1       400      0      0
ANADARKO PETROLEUM
CORP                 COMMON STOCK    032511107    1844      29535 Shares                 X                 1     29535      0      0
ANADARKO PETROLEUM
CORP                 COMMON STOCK    032511107     240       3844 Shares                         X         1      3844      0      0
ANADARKO PETROLEUM
CORP                 COMMON STOCK    032511107    2476      39654 Shares                 X                 2     11800      0  27854
ANADARKO PETROLEUM
CORP                 COMMON STOCK    032511107     104       1669 Shares                 X                 3       850      0    819
ANALOG DEVICES INC   COMMON STOCK    032654105    1203      38099 Shares                 X                 1     38099      0      0
ANALOG DEVICES INC   COMMON STOCK    032654105      11        360 Shares                         X         1       360      0      0
ANALOG DEVICES INC   COMMON STOCK    032654105     663      21000 Shares                 X                 2         0      0  21000
ANALOG DEVICES INC   COMMON STOCK    032654105    2004      63478 Shares                 X                 3     63478      0      0
ANCHOR BANCORP
WISCONSIN INC        COMMON STOCK    032839102       0        250 Shares                 X                 1       250      0      0
ANCHOR BANCORP
WISCONSIN INC        COMMON STOCK    032839102       0         35 Shares                 X                 3        35      0      0
ANGLOGOLD ASHANTI
SPON ADR             COMMON STOCK    035128206      15        375 Shares                 X                 1       375      0      0
ANHEUSER-BUSCH INBEV
NV                   COMMON STOCK    03524A108       2         32 Shares                 X                 1        32      0      0
ANHEUSER-BUSCH INBEV
NV                   COMMON STOCK    03524A108       1         28 Shares                         X         1        28      0      0
ANNALY CAPITAL
MANAGEMENT INC       COMMON STOCK    035710409      35       2028 Shares                 X                 1         0      0      0
ANNALY CAPITAL
MANAGEMENT INC       COMMON STOCK    035710409       9        500 Shares                         X         1         0      0      0
ANNALY CAPITAL
MANAGEMENT INC       COMMON STOCK    035710409    6777     416835 Shares                 X                 2    120250      0      0
ANNAPOLIS BANCORP
INCORPORATED         COMMON STOCK    035848100       4       1333 Shares                         X         1      1333      0      0
ANSYS INC            COMMON STOCK    03662Q105     404       9297 Shares                 X                 1      9297      0      0
ANSYS INC            COMMON STOCK    03662Q105    3413      78532 Shares                 X                 3     78532      0      0
ANTIGENICS INC       COMMON STOCK    037032109       0         11 Shares                 X                 1        11      0      0
AON CORP             COMMON STOCK    037389103     232       6060 Shares                 X                 1      6060      0      0
APACHE CORP COM      COMMON STOCK    037411105    5180      50211 Shares                 X                 1     50211      0      0
APACHE CORP COM      COMMON STOCK    037411105    2232      21631 Shares                         X         1     21421      0    210
APACHE CORP COM      COMMON STOCK    037411105     225       2184 Shares                 X                 3      1592      0    592
APARTMENT INVT &
MGMT CL A            COMMON STOCK    03748R101       0         17 Shares                 X                 1         0      0      0
APARTMENT INVT &
MGMT CL A            COMMON STOCK    03748R101       5        295 Shares                         X         1         0      0      0
APARTMENT INVT &
MGMT CL A            COMMON STOCK    03748R101      60       3779 Shares                 X                 2         0      0      0
APOLLO GROUP INC CL
A                    COMMON STOCK    037604105     202       3333 Shares                 X                 1      3333      0      0
APOLLO GROUP INC CL
A                    COMMON STOCK    037604105      16        266 Shares                         X         1       266      0      0
APOLLO INVESTMENT
CORPORATION          PREFERRED STOCK 03761U106      14       1500 Shares                 X                 1         0      0      0
APOLLO INVESTMENT
CORPORATION          PREFERRED STOCK 03761U106       8        800 Shares                         X         1         0      0      0
APOLLO INVESTMENT
CORPORATION          PREFERRED STOCK 03761U106      55       5785 Shares                 X                 2         0      0      0
APPLE INC            COMMON STOCK    037833100   17693      83959 Shares                 X                 1     82578      0   1381
APPLE INC            COMMON STOCK    037833100    2325      11033 Shares                         X         1      9608      0   1425
APPLE INC            COMMON STOCK    037833100   27566     141169 Shares                 X                 2     49976      0  91193
APPLE INC            COMMON STOCK    037833100    7824      37109 Shares                 X                 3     36277      0    832
APPLE INC            COMMON STOCK    037833100     211       1000 Shares                         X         4      1000      0      0
APPLIED MATERIALS
INC COM              COMMON STOCK    038222105     158      11355 Shares                 X                 1     10355      0   1000
APPLIED MATERIALS
INC COM              COMMON STOCK    038222105      44       3150 Shares                         X         1      2300      0    850
APPLIED MATERIALS
INC COM              COMMON STOCK    038222105     412      29600 Shares                 X                 2     18100      0  11500
APPLIED MICRO
CIRCUITS CORP        COMMON STOCK    03822W406      23       3100 Shares                 X                 1      3100      0      0
APPLIED MICRO
CIRCUITS CORP        COMMON STOCK    03822W406     639      85625 Shares                 X                 3     85625      0      0
AQUA AMERICA INC     COMMON STOCK    03836W103      59       3343 Shares                 X                 1      3343      0      0
AQUA AMERICA INC     COMMON STOCK    03836W103       4        200 Shares                         X         1       200      0      0
ARCH COAL INC        COMMON STOCK    039380100      10        454 Shares                 X                 1       454      0      0
ARCH COAL INC        COMMON STOCK    039380100       7        300 Shares                 X                 2         0      0    300
ARCH COAL INC        COMMON STOCK    039380100      24       1100 Shares                 X                 3      1100      0      0
ARCELORMITTAL-NY
REGISTERED           COMMON STOCK    03938L104      14        300 Shares                 X                 1       300      0      0
ARCHER DANIELS
MIDLAND CO COM       COMMON STOCK    039483102     183       5858 Shares                 X                 1      5858      0      0
ARCHER DANIELS
MIDLAND CO COM       COMMON STOCK    039483102     410      13100 Shares                         X         1      7600      0   5500
ARCSIGHT INC         COMMON STOCK    039666102      58       2275 Shares                 X                 1      2275      0      0
ARCSIGHT INC         COMMON STOCK    039666102    1590      62175 Shares                 X                 3     62175      0      0
ARM HOLDINGS PLC     COMMON STOCK    042068106       7        838 Shares                 X                 1       838      0      0
ARM HOLDINGS PLC     COMMON STOCK    042068106       4        498 Shares                         X         1       498      0      0
ARRIS GROUP          COMMON STOCK    04269Q100     389      34000 Shares                         X         1     34000      0      0
ART TECHNOLOGY GROUP
INC                  COMMON STOCK    04289L107      52      11450 Shares                 X                 1     11450      0      0
ART TECHNOLOGY GROUP
INC                  COMMON STOCK    04289L107    1421     314950 Shares                 X                 3    314950      0      0



                                     4 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
ART TECHNOLOGY GROUP
INC                  COMMON STOCK    04289L107     584     129481 Shares           X                            129481      0      0
ARTESIAN RESOURCES
CORPORATION          COMMON STOCK    043113208      82       4491 Shares                 X                 1      4491      0      0
ARUBA NETWORKS INC   COMMON STOCK    043176106      45       4225 Shares                 X                 1      4225      0      0
ARUBA NETWORKS INC   COMMON STOCK    043176106    1238     116200 Shares                 X                 3    116200      0      0
ASBURY AUTOMOTIVE
GROUP INC            COMMON STOCK    043436104       2        179 Shares                 X                 1       179      0      0
ASCENT MEDIA
CORPORATION - A      COMMON STOCK    043632108       3        122 Shares                         X         1       122      0      0
ASHLAND INC          COMMON STOCK    044209104      50       1250 Shares                 X                 1      1250      0      0
ASHLAND INC          COMMON STOCK    044209104      19        474 Shares                         X         1       474      0      0
ASIAINFO HOLDINGS
INC                  COMMON STOCK    04518A104      66       2175 Shares                 X                 1      2175      0      0
ASIAINFO HOLDINGS
INC                  COMMON STOCK    04518A104    1816      59625 Shares                 X                 3     59625      0      0
ASTRAZENECA GROUP
PLC SPONSORE         COMMON STOCK    046353108      48       1028 Shares                 X                 1      1028      0      0
ASTRAZENECA GROUP
PLC SPONSORE         COMMON STOCK    046353108      19        400 Shares                         X         1       400      0      0
ATHENAHEALTH INC     COMMON STOCK    04685W103     485      10722 Shares                 X                 1     10692      0     30
ATHENAHEALTH INC     COMMON STOCK    04685W103     100       2208 Shares                         X         1      2208      0      0
ATHENAHEALTH INC     COMMON STOCK    04685W103     899      19875 Shares                 X                 3     19875      0      0
ATHEROS
COMMUNICATIONS       COMMON STOCK    04743P108      61       1775 Shares                 X                 1      1775      0      0
ATHEROS
COMMUNICATIONS       COMMON STOCK    04743P108    1676      48925 Shares                 X                 3     48925      0      0
ATLAS AIR WORLDWIDE
HOLDINGS             COMMON STOCK    049164205      46       1225 Shares                 X                 1      1225      0      0
ATLAS AIR WORLDWIDE
HOLDINGS             COMMON STOCK    049164205    1139      30575 Shares                 X                 3     30575      0      0
ATLAS PIPELINE
PARTNERS LP          COMMON STOCK    049392103       1         60 Shares                         X         1        60      0      0
ATMEL CORP           COMMON STOCK    049513104     173      37428 Shares                 X                 1     37428      0      0
ATMEL CORP           COMMON STOCK    049513104    1459     316500 Shares                 X                 3    316500      0      0
ATMOS ENERGY CORP    COMMON STOCK    049560105      37       1250 Shares                 X                 1      1250      0      0
AUTODESK COM         COMMON STOCK    052769106     262      10319 Shares                 X                 1     10319      0      0
AUTODESK COM         COMMON STOCK    052769106      27       1050 Shares                         X         1      1050      0      0
AUTODESK COM         COMMON STOCK    052769106    1653      65057 Shares                 X                 3     65057      0      0
AUTOMATIC DATA
PROCESSING INC       COMMON STOCK    053015103    1998      46662 Shares                 X                 1     44712      0   1950
AUTOMATIC DATA
PROCESSING INC       COMMON STOCK    053015103    1972      46056 Shares                         X         1     43306      0   2750
AUTOMATIC DATA
PROCESSING INC       COMMON STOCK    053015103     646      15090 Shares                 X                 2         0      0  15090
AUTOMATIC DATA
PROCESSING INC       COMMON STOCK    053015103      69       1600 Shares                 X                 3      1600      0      0
AUTOZONE INC COM     COMMON STOCK    053332102      44        276 Shares                 X                 1       276      0      0
AUTOZONE INC COM     COMMON STOCK    053332102      33        210 Shares                         X         1       210      0      0
AUXILIUM
PHARMACEUTICALS INC  COMMON STOCK    05334D107     981      32708 Shares                 X                 1     32708      0      0
AUXILIUM
PHARMACEUTICALS INC  COMMON STOCK    05334D107    4952     165186 Shares                 X                 3    165186      0      0
AVALONBAY
COMMUNITIES INC      COMMON STOCK    053484101      21        257 Shares                 X                 1         0      0      0
AVALONBAY
COMMUNITIES INC      COMMON STOCK    053484101      34        412 Shares                 X                 2         0      0      0
AVERY DENNISON CORP
COM                  COMMON STOCK    053611109       2         58 Shares                 X                 1        58      0      0
AVIS BUDGET GROUP
INC                  COMMON STOCK    053774105      10        790 Shares                 X                 1       790      0      0
AVIS BUDGET GROUP
INC                  COMMON STOCK    053774105       4        276 Shares                         X         1       276      0      0
AVON PRODUCTS INC    COMMON STOCK    054303102    1187      37688 Shares                 X                 1     37688      0      0
AVON PRODUCTS INC    COMMON STOCK    054303102     284       9024 Shares                         X         1      8024      0   1000
AVON PRODUCTS INC    COMMON STOCK    054303102    1942      61605 Shares                 X                 3     61605      0      0
AXA SPONSORED ADR    COMMON STOCK    054536107       3        142 Shares                 X                 1       142      0      0
AXA SPONSORED ADR    COMMON STOCK    054536107       6        257 Shares                         X         1       257      0      0
BB&T CORP COM        COMMON STOCK    054937107     599      23603 Shares                 X                 1     21675      0   1928
BB&T CORP COM        COMMON STOCK    054937107     529      20850 Shares                         X         1     20850      0      0
BB&T CORP COM        COMMON STOCK    054937107    1260      50502 Shares                 X                 2     21190      0  29312
BB&T CORP COM        COMMON STOCK    054937107     181       7146 Shares                 X                 3      7146      0      0
B & G FOODS INC      COMMON STOCK    05508R106       7        750 Shares                 X                 1       750      0      0
B & G FOODS INC      COMMON STOCK    05508R106       6        645 Shares                         X         1       645      0      0
BCE INC              COMMON STOCK    05534B760      31       1138 Shares                 X                 1      1138      0      0
BCE INC              COMMON STOCK    05534B760       1         52 Shares                         X         1         0      0     52
BJ SVCS CO COM       COMMON STOCK    055482103       4        215 Shares                 X                 1       215      0      0
BJ'S WHOLESALE CLUB
INC COM              COMMON STOCK    05548J106       1         19 Shares                 X                 1        19      0      0
BOK FINANCIAL
CORPORATION          COMMON STOCK    05561Q201       2         47 Shares                 X                 1        47      0      0
BP PLC SPONSORED ADR COMMON STOCK    055622104   12373     213440 Shares                 X                 1    213440      0      0
BP PLC SPONSORED ADR COMMON STOCK    055622104   10094     174120 Shares                         X         1    162130      0  11990
BP PLC SPONSORED ADR COMMON STOCK    055622104    2130      36748 Shares                 X                 2         0      0  36748
BP PLC SPONSORED ADR COMMON STOCK    055622104     148       2560 Shares                 X                 3      2560      0      0
BPZ RESOURCES INC    COMMON STOCK    055639108      31       3300 Shares                 X                 1      3300      0      0
BPZ RESOURCES INC    COMMON STOCK    055639108     862      90725 Shares                 X                 3     90725      0      0
BT GROUP PLC-SPON
ADR                  COMMON STOCK    05577E101       5        250 Shares                         X         1       250      0      0



                                     5 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
BMC SOFTWARE INC COM COMMON STOCK    055921100     214       5345 Shares                 X                 1      4870      0    475
BMC SOFTWARE INC COM COMMON STOCK    055921100     131       3270 Shares                         X         1       630      0   2640
BAIDU INC-SPON ADR   COMMON STOCK    056752108      50        122 Shares                 X                 1       122      0      0
BAIDU INC-SPON ADR   COMMON STOCK    056752108       2          4 Shares                         X         1         4      0      0
BAKER HUGHES INC COM COMMON STOCK    057224107      39        973 Shares                 X                 1       973      0      0
BAKER HUGHES INC COM COMMON STOCK    057224107      57       1400 Shares                         X         1      1150      0    250
BAKER HUGHES INC COM COMMON STOCK    057224107    1001      29510 Shares                 X                 2     14400      0  15110
BALL CORPORATION     COMMON STOCK    058498106    1241      24000 Shares                 X                 1     24000      0      0
BANCO BRADESCO -
SPONS ADR            COMMON STOCK    059460303       2         86 Shares                 X                 1        86      0      0
BANCO BILBAO VIZCAYA
ARGENTARI            COMMON STOCK    05946K101     333      18449 Shares                 X                 1     18449      0      0
BANCO SANTANDER SA -
SPONS ADR            COMMON STOCK    05964H105     383      23286 Shares                 X                 1     23286      0      0
BANCO SANTANDER SA -
SPONS ADR            COMMON STOCK    05964H105       6        375 Shares                         X         1       240      0    135
BANCOLOMBIA SA SPONS
ADR                  COMMON STOCK    05968L102       2         36 Shares                 X                 1        36      0      0
BANCORP RHODE ISLAND
INC                  COMMON STOCK    059690107       1         44 Shares                 X                 1        44      0      0
BANK AMER CORP       COMMON STOCK    060505104    6645     441258 Shares                 X                 1    430467      0  10791
BANK AMER CORP       COMMON STOCK    060505104    2470     164007 Shares                         X         1    153507      0  10500
BANK AMER CORP       COMMON STOCK    060505104    8176     583339 Shares                 X                 2    151290      0 432049
BANK AMER CORP       COMMON STOCK    060505104    2519     167314 Shares                 X                 3    158579      0   8735
BANK AMER CORP       COMMON STOCK    060505104       1         85 Shares                 X                 4        85      0      0
BANK OF FLORIDA
CORPORATION          COMMON STOCK    062128103       2       2782 Shares                 X                 2         0      0   2782
BANK OF HAWAII CORP  COMMON STOCK    062540109       4         75 Shares                         X         1        75      0      0
BANK NEW YORK MELLON
CORP                 COMMON STOCK    064058100    3983     142413 Shares                 X                 1    139963      0   2450
BANK NEW YORK MELLON
CORP                 COMMON STOCK    064058100     739      26419 Shares                         X         1     21437      0   4982
BANK NEW YORK MELLON
CORP                 COMMON STOCK    064058100    1100      39317 Shares                 X                 2         0      0  39317
BANK NEW YORK MELLON
CORP                 COMMON STOCK    064058100     115       4103 Shares                 X                 3      4103      0      0
BAR HARBOR
BANCSHARES           COMMON STOCK    066849100     115       4200 Shares                 X                 2         0      0   4200
BARD C R INC COM     COMMON STOCK    067383109      73        932 Shares                 X                 1       932      0      0
BARD C R INC COM     COMMON STOCK    067383109     292       3750 Shares                         X         1      3750      0      0
BARCLAYS PLC - SPONS
ADR                  COMMON STOCK    06738E204       1         34 Shares                 X                 1        34      0      0
BARCLAYS PLC - SPONS
ADR                  COMMON STOCK    06738E204      70       4000 Shares                         X         1      4000      0      0
BARCLAYS BANK PLC
PFD 8.125%           PREFERRED STOCK 06739H362      50       2000 Shares                 X                 1         0      0      0
BARCLAYS BANK PFD
7.75% SER            PREFERRED STOCK 06739H511      29       1200 Shares                 X                 1         0      0      0
BARRICK GOLD CORP    COMMON STOCK    067901108      50       1262 Shares                 X                 1      1262      0      0
BARRICK GOLD CORP    COMMON STOCK    067901108     181       4600 Shares                         X         1      4600      0      0
BARRICK GOLD CORP    COMMON STOCK    067901108       7        175 Shares                 X                 2         0      0    175
BAXTER INTL INC      COMMON STOCK    071813109     837      14257 Shares                 X                 1     14257      0      0
BAXTER INTL INC      COMMON STOCK    071813109     453       7714 Shares                         X         1      7714      0      0
BAXTER INTL INC      COMMON STOCK    071813109     235       4000 Shares                 X                 2         0      0   4000
BAYTEX ENERGY TRUST
- UNITS              COMMON STOCK    073176109      81       2875 Shares                 X                 2         0      0   2875
BE AEROSPACE INC     COMMON STOCK    073302101       1         38 Shares                 X                 1        38      0      0
BECKMAN COULTER INC  COMMON STOCK    075811109     175       2680 Shares                         X         1      1680      0   1000
BECKMAN COULTER INC  COMMON STOCK    075811109    1145      17500 Shares                 X                 2         0      0  17500
BECTON DICKINSON &
CO COM               COMMON STOCK    075887109    1315      16678 Shares                 X                 1     16678      0      0
BECTON DICKINSON &
CO COM               COMMON STOCK    075887109     664       8424 Shares                         X         1      8424      0      0
BECTON DICKINSON &
CO COM               COMMON STOCK    075887109      51        650 Shares                 X                 2         0      0    650
BED BATH & BEYOND
INC COM              COMMON STOCK    075896100     134       3465 Shares                 X                 1      3465      0      0
BED BATH & BEYOND
INC COM              COMMON STOCK    075896100      46       1200 Shares                 X                 2         0      0   1200
BELDEN INC           COMMON STOCK    077454106       1         50 Shares                 X                 1        50      0      0
BEMIS INC            COMMON STOCK    081437105      24        800 Shares                         X         1       800      0      0
BERKLEY (WR) CORP-
RTS                  COMMON STOCK    084423102       2         96 Shares                 X                 1        96      0      0
BERKSHIRE HATHAWAY
INC CLASS A          COMMON STOCK    084670108     298          3 Shares                         X         1         3      0      0
BERKSHIRE HATHAWAY
INC CLASS A          COMMON STOCK    084670108     298          3 Shares                 X                 2         0      0      3
BERKSHIRE HATHAWAY
INC CLASS B          COMMON STOCK    084670207    1242        378 Shares                 X                 1       378      0      0
BERKSHIRE HATHAWAY
INC CLASS B          COMMON STOCK    084670207     697        212 Shares                         X         1       202      0     10
BERKSHIRE HATHAWAY
INC CLASS B          COMMON STOCK    084670207     529        161 Shares                 X                 2         0      0    161
BERRY PETROLEUM
COMPANY CLASS        COMMON STOCK    085789105       6        200 Shares                 X                 1       200      0      0
BEST BUY COMPANY INC COMMON STOCK    086516101    1124      28479 Shares                 X                 1     28479      0      0
BEST BUY COMPANY INC COMMON STOCK    086516101     145       3687 Shares                         X         1      3687      0      0
BEST BUY COMPANY INC COMMON STOCK    086516101      75       1900 Shares                 X                 2         0      0   1900
BEST BUY COMPANY INC COMMON STOCK    086516101     231       5860 Shares                 X                 3      4664      0   1196
BHP BILLITON LTD
SPONSORED ADR        COMMON STOCK    088606108     523       6834 Shares                 X                 1      6834      0      0
BHP BILLITON LTD
SPONSORED ADR        COMMON STOCK    088606108     502       6550 Shares                         X         1      5018      0   1532



                                     6 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
BIOMARIN
PHARMACEUTICAL INC   COMMON STOCK    09061G101       4        200 Shares                 X                 1       200      0      0
BIOGEN IDEC INC      COMMON STOCK    09062X103     494       9242 Shares                 X                 1      9242      0      0
BIOGEN IDEC INC      COMMON STOCK    09062X103     128       2385 Shares                         X         1      2275      0    110
BIOGEN IDEC INC      COMMON STOCK    09062X103     890      16630 Shares                 X                 2         0      0  16630
BIOTECH HOLDRS TRUST COMMON STOCK    09067D201       6         60 Shares                 X                 1        60      0      0
BIOSCRIP INC         COMMON STOCK    09069N108      33       4000 Shares                 X                 1      4000      0      0
BIOSCRIP INC         COMMON STOCK    09069N108     928     111075 Shares                 X                 3    111075      0      0
BLACK & DECKER CORP
COM                  COMMON STOCK    091797100      55        850 Shares                 X                 1       850      0      0
BLACK & DECKER CORP
COM                  COMMON STOCK    091797100    1066      16440 Shares                         X         1     16440      0      0
BLACK HILLS CORP     COMMON STOCK    092113109      48       1800 Shares                 X                 1      1800      0      0
BLACKROCK INC        COMMON STOCK    09247X101    5115      22028 Shares                 X                 1     22028      0      0
BLACKROCK INC        COMMON STOCK    09247X101     466       2005 Shares                         X         1      2005      0      0
BLACKROCK INC        COMMON STOCK    09247X101    1847       7954 Shares                 X                 3      7672      0    282
BLACKROCK MARYLAND
MUNI BD TR           PREFERRED STOCK 09249L105     390      27000 Shares                         X         1         0      0      0
BLACKROCK MARYLAND
MUNI BD TR           PREFERRED STOCK 09249L105      43       3000 Shares                 X                 2         0      0      0
BLACKROCK HEALTH
SCIENCES TRUS        PREFERRED STOCK 09250W107     131       5000 Shares                         X         1         0      0      0
BLACKROCK INTL
GROWTH & INCOME      PREFERRED STOCK 092524107      58       5000 Shares                 X                 1         0      0      0
BLACKROCK
MUNIENHANCED FUND IN PREFERRED STOCK 09253Y100      21       2032 Shares                         X         1         0      0      0
BLACKROCK MUNIYLD
QUALITY FUND         PREFERRED STOCK 09254G108      81       6850 Shares                         X         1         0      0      0
BLACKROCK MUNIHLDGS
NJ INSURED           PREFERRED STOCK 09254X101      42       3050 Shares                         X         1         0      0      0
BLACKROCK MUNIHLDGS
NY INSURED           PREFERRED STOCK 09255C106      41       3050 Shares                         X         1         0      0      0
BLACKROCK MUNIYLD
NEW YORK INS         PREFERRED STOCK 09255E102      19       1601 Shares                         X         1         0      0      0
BLACKROCK MUNIYLD
PENNSYLVANIA         PREFERRED STOCK 09255G107      13        981 Shares                 X                 1         0      0      0
BLACKROCK MUNIYLD
PENNSYLVANIA         PREFERRED STOCK 09255G107     109       8181 Shares                         X         1         0      0      0
BLACKROCK CORP HI
YLD FD V             PREFERRED STOCK 09255N102     199      18980 Shares                 X                 1         0      0      0
BLACKROCK CORP HI
YLD FD VI            PREFERRED STOCK 09255P107     172      16260 Shares                 X                 1         0      0      0
BLOCK H & R INC      COMMON STOCK    093671105      16        698 Shares                 X                 1       698      0      0
BLOCK H & R INC      COMMON STOCK    093671105      43       1900 Shares                 X                 3      1900      0      0
BLUE COAT SYSTEMS
INCORPORATED         COMMON STOCK    09534T508      38       1325 Shares                 X                 1      1325      0      0
BLUE COAT SYSTEMS
INCORPORATED         COMMON STOCK    09534T508    1032      36175 Shares                 X                 3     36175      0      0
BOEING CO COM        COMMON STOCK    097023105    2835      52379 Shares                 X                 1     51679      0    700
BOEING CO COM        COMMON STOCK    097023105     963      17782 Shares                         X         1     17657      0    125
BOEING CO COM        COMMON STOCK    097023105     199       3680 Shares                 X                 2         0      0   3680
BOEING CO COM        COMMON STOCK    097023105    2584      47729 Shares                 X                 3     47729      0      0
BON-TON STORES
INCORPORATED         COMMON STOCK    09776J101     170      17320 Shares                 X                 1     17320      0      0
BORG WARNER INC COM  COMMON STOCK    099724106     417      12550 Shares                 X                 1     12550      0      0
BORG WARNER INC COM  COMMON STOCK    099724106    1483      44651 Shares                 X                 3     44651      0      0
BOSTON BEER
INCORPORATED CLASS   COMMON STOCK    100557107      33        702 Shares                 X                 1       702      0      0
BOSTON PROPERTIES
INC (REIT)           COMMON STOCK    101121101     116       1735 Shares                 X                 1         0      0      0
BOSTON PROPERTIES
INC (REIT)           COMMON STOCK    101121101      67       1000 Shares                         X         1         0      0      0
BOSTON SCIENTIFIC
CORP COM             COMMON STOCK    101137107       4        443 Shares                 X                 1       443      0      0
BOSTON SCIENTIFIC
CORP COM             COMMON STOCK    101137107      42       4690 Shares                         X         1      4690      0      0
BRANDYWINE REALTY
TRUST (REIT)         COMMON STOCK    105368203      17       1500 Shares                 X                 1         0      0      0
BRASIL TELECOM SA -
ADR                  COMMON STOCK    10553M101       1         39 Shares                 X                 1        39      0      0
BRASIL TELECOM SA -
ADR                  COMMON STOCK    10553M101       1         18 Shares                         X         1        18      0      0
BRASIL TELECOM SA -
ADR                  COMMON STOCK    10553M200       0         22 Shares                 X                 1        22      0      0
BRASIL TELECOM SA -
ADR                  COMMON STOCK    10553M200       0         10 Shares                         X         1        10      0      0
BRINKER INTL INC COM COMMON STOCK    109641100     273      18307 Shares                 X                 1     18307      0      0
BRINKER INTL INC COM COMMON STOCK    109641100     110       7350 Shares                         X         1      7350      0      0
BRINKER INTL INC COM COMMON STOCK    109641100    1433      96000 Shares                 X                 3     96000      0      0
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK    110122108    6934     274620 Shares                 X                 1    272404      0   2216
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK    110122108    6789     268872 Shares                         X         1    242796      0  26076
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK    110122108    6323     254520 Shares                 X                 2     55400      0 199120
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK    110122108     220       8699 Shares                 X                 3      8699      0      0
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK    110122108       6        250 Shares                 X                 4       250      0      0
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK    110122108      13        500 Shares                         X         4       500      0      0
BRITISH AMERICAN
TOBACCO-SP AD        COMMON STOCK    110448107     206       3187 Shares                 X                 1      3187      0      0
BRITISH AMERICAN
TOBACCO-SP AD        COMMON STOCK    110448107      78       1202 Shares                         X         1      1202      0      0
BRITISH SKY
BROADCASTING SPON    COMMON STOCK    111013108       3         82 Shares                 X                 1        82      0      0
BRITISH SKY
BROADCASTING SPON    COMMON STOCK    111013108       3         77 Shares                         X         1        77      0      0
BROADCOM CORP CL A   COMMON STOCK    111320107     301       9554 Shares                 X                 1      9554      0      0
BROADCOM CORP CL A   COMMON STOCK    111320107       2         74 Shares                         X         1        74      0      0



                                     7 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
BROADCOM CORP CL A   COMMON STOCK    111320107    1472      46800 Shares                 X                 3     46800      0      0
BROADRIDGE FINANCIAL
SOLUTIONS            COMMON STOCK    11133T103      16        716 Shares                 X                 1       716      0      0
BROADRIDGE FINANCIAL
SOLUTIONS            COMMON STOCK    11133T103      30       1310 Shares                         X         1      1310      0      0
BROADRIDGE FINANCIAL
SOLUTIONS            COMMON STOCK    11133T103      36       1600 Shares                 X                 2         0      0   1600
BROCADE
COMMUNICATIONS
SYSTEM               COMMON STOCK    111621306     364      47721 Shares                 X                 1     47721      0      0
BROCADE
COMMUNICATIONS
SYSTEM               COMMON STOCK    111621306    1032     135202 Shares                 X                 3    135202      0      0
BROWN-FORMAN CORP CL
B                    COMMON STOCK    115637209     204       3810 Shares                 X                 1      3810      0      0
BROWN-FORMAN CORP CL
B                    COMMON STOCK    115637209     104       1947 Shares                         X         1      1947      0      0
BROWN-FORMAN CORP CL
B                    COMMON STOCK    115637209     362       6750 Shares                 X                 2         0      0   6750
BRUSH ENGINEERED
MATERIALS INC        COMMON STOCK    117421107       6        322 Shares                 X                 1       322      0      0
BRYN MAWR BANK
CORPORATION          COMMON STOCK    117665109      35       2292 Shares                 X                 1      2292      0      0
BUCKEYE GP HOLDINGS
LP                   COMMON STOCK    118167105      57       2000 Shares                 X                 2         0      0   2000
BUCKEYE PARTNERS LP
UNIT LTD P           COMMON STOCK    118230101      52        950 Shares                         X         1       950      0      0
BUCKEYE PARTNERS LP
UNIT LTD P           COMMON STOCK    118230101     408       7500 Shares                 X                 2      7000      0    500
BUCKEYE TECHNOLOGIES
INC                  COMMON STOCK    118255108       6        589 Shares                 X                 1       589      0      0
BUCYRUS
INTERNATIONAL INC    COMMON STOCK    118759109      49        867 Shares                 X                 1       867      0      0
BUCYRUS
INTERNATIONAL INC    COMMON STOCK    118759109    1064      18865 Shares                 X                 3     18865      0      0
BURGER KING HOLDINGS
INC                  COMMON STOCK    121208201      24       1275 Shares                 X                 1      1275      0      0
BURGER KING HOLDINGS
INC                  COMMON STOCK    121208201       4        200 Shares                         X         1       200      0      0
BURLINGTON NORTHERN
SANTA FE C           COMMON STOCK    12189T104    1941      19683 Shares                 X                 1     18512      0   1171
BURLINGTON NORTHERN
SANTA FE C           COMMON STOCK    12189T104     893       9051 Shares                         X         1      7701      0   1350
BURLINGTON NORTHERN
SANTA FE C           COMMON STOCK    12189T104      20        200 Shares                 X                 3       200      0      0
CBIZ INC             COMMON STOCK    124805102      13       1750 Shares                 X                 1      1750      0      0
CBL & ASSOCIATES
PROPERTIES           COMMON STOCK    124830100       2        179 Shares                 X                 1         0      0      0
CBS CORP CL B        COMMON STOCK    124857202      52       3673 Shares                 X                 1      3673      0      0
CBS CORP CL B        COMMON STOCK    124857202      49       3523 Shares                         X         1      3198      0    325
CB RICHARD ELLIS
GROUP INC-A          COMMON STOCK    12497T101     214      15750 Shares                 X                 1     15750      0      0
CB RICHARD ELLIS
GROUP INC-A          COMMON STOCK    12497T101     477      38100 Shares                 X                 2     14100      0  24000
CB RICHARD ELLIS
GROUP INC-A          COMMON STOCK    12497T101    1833     135100 Shares                 X                 3    135100      0      0
CF INDUSTRIES
HOLDINGS INC         COMMON STOCK    125269100      27        300 Shares                 X                 1       300      0      0
CH ENERGY GROUP INC
COM                  COMMON STOCK    12541M102      32        750 Shares                 X                 1       650      0    100
CH ENERGY GROUP INC
COM                  COMMON STOCK    12541M102      81       1900 Shares                         X         1      1900      0      0
CH ROBINSON
WORLDWIDE INC        COMMON STOCK    12541W209     464       7908 Shares                 X                 1      7908      0      0
CH ROBINSON
WORLDWIDE INC        COMMON STOCK    12541W209       6        100 Shares                         X         1       100      0      0
CH ROBINSON
WORLDWIDE INC        COMMON STOCK    12541W209    2140      36442 Shares                 X                 3     36442      0      0
CIGNA CORP           COMMON STOCK    125509109     169       4800 Shares                 X                 1      4800      0      0
CIGNA CORP           COMMON STOCK    125509109     346       9805 Shares                         X         1      9805      0      0
CIGNA CORP           COMMON STOCK    125509109    1186      33625 Shares                 X                 3     33625      0      0
CIT GROUP INC        COMMON STOCK    125581801       8        304 Shares                 X                 1       304      0      0
CME GROUP INC        COMMON STOCK    12572Q105      70        207 Shares                 X                 1       207      0      0
CME GROUP INC        COMMON STOCK    12572Q105      12         36 Shares                         X         1        36      0      0
CMS ENERGY CORP COM  COMMON STOCK    125896100       1         50 Shares                 X                 1        50      0      0
CNOOC LTD -ADR       COMMON STOCK    126132109       3         18 Shares                 X                 1        18      0      0
CNOOC LTD -ADR       COMMON STOCK    126132109      47        300 Shares                         X         1       300      0      0
CPFL ENERGIA SA -
ADR                  COMMON STOCK    126153105      12        200 Shares                 X                 1       200      0      0
CPFL ENERGIA SA -
ADR                  COMMON STOCK    126153105       6        100 Shares                         X         1       100      0      0
CSG SYSTEMS
INTERNATIONAL INC    COMMON STOCK    126349109      16        862 Shares                 X                 1       862      0      0
CSX CORP             COMMON STOCK    126408103    2835      58463 Shares                 X                 1     58463      0      0
CSX CORP             COMMON STOCK    126408103    1617      33347 Shares                         X         1     29147      0   4200
CSX CORP             COMMON STOCK    126408103      25        512 Shares                 X                 2         0      0    512
CSX CORP             COMMON STOCK    126408103     258       5329 Shares                 X                 3      4160      0   1169
CVS/CAREMARK CORP    COMMON STOCK    126650100    4346     134923 Shares                 X                 1    132373      0   2550
CVS/CAREMARK CORP    COMMON STOCK    126650100    1505      46719 Shares                         X         1     45935      0    784
CVS/CAREMARK CORP    COMMON STOCK    126650100     819      25440 Shares                 X                 2         0      0  25440
CVS/CAREMARK CORP    COMMON STOCK    126650100      26        800 Shares                         X         4       800      0      0
CA INC               COMMON STOCK    12673P105     169       7510 Shares                 X                 1      7510      0      0
CABOT CORP           COMMON          127055101      39       1500 Shares                 X                 3      1500      0      0
CABOT OIL & GAS CORP COMMON STOCK    127097103     231       5310 Shares                 X                 1      5310      0      0
CABOT OIL & GAS CORP COMMON STOCK    127097103    1988      45600 Shares                 X                 3     45600      0      0
CAL DIVE
INTERNATIONAL INC    COMMON STOCK    12802T101       2        231 Shares                 X                 1       231      0      0
CALAMOS STRATEGIC
TOT RET FD           PREFERRED STOCK 128125101      23       2662 Shares                 X                 1         0      0      0
CALAMOS STRATEGIC
TOT RET FD           PREFERRED STOCK 128125101      44       5000 Shares                         X         1         0      0      0



                                     8 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
CALGON CARBON CORP   COMMON STOCK    129603106     162      11620 Shares                 X                 1     11620     0       0
CALGON CARBON CORP   COMMON STOCK    129603106    1362      97950 Shares                 X                 3     97950     0       0
CALLAWAY GOLF CO COM COMMON STOCK    131193104       0         23 Shares                 X                 1        23     0       0
CAMDEN PROPERTY
TRUST (REIT)         COMMON STOCK    133131102      42       1000 Shares                 X                 1         0     0       0
CAMECO CORPORATION   COMMON STOCK    13321L108      25        791 Shares                 X                 1       791     0       0
CAMECO CORPORATION   COMMON STOCK    13321L108       4        125 Shares                         X         1       125     0       0
CAMERON
INTERNATIONAL CORP   COMMON STOCK    13342B105     345       8258 Shares                 X                 1      8258     0       0
CAMERON
INTERNATIONAL CORP   COMMON STOCK    13342B105      46       1100 Shares                         X         1       100     0    1000
CAMERON
INTERNATIONAL CORP   COMMON STOCK    13342B105    1563      37400 Shares                 X                 3     37400     0       0
CAMERON
INTERNATIONAL CORP   COMMON STOCK    13342B105      21        500 Shares                         X         4       500     0       0
CAMPBELL SOUP CO COM COMMON STOCK    134429109      63       1850 Shares                 X                 1      1850     0       0
CAMPBELL SOUP CO COM COMMON STOCK    134429109     128       3800 Shares                         X         1      3800     0       0
CAMPBELL SOUP CO COM COMMON STOCK    134429109      27        800 Shares                 X                 3       800     0       0
CANADIAN NATIONAL
RAILWAY COMP         COMMON STOCK    136375102     155       2850 Shares                 X                 1      2850     0       0
CANADIAN NATURAL
RESOURCES LTD        COMMON STOCK    136385101      48        664 Shares                 X                 1       664     0       0
CANADIAN PACIFIC
RAILWAY LTD          COMMON STOCK    13645T100      35        650 Shares                 X                 1       650     0       0
CANON INC SPONS ADR  COMMON STOCK    138006309       5        119 Shares                 X                 1       119     0       0
CAPLEASE INC         COMMON STOCK    140288101       2        429 Shares                 X                 1         0     0       0
CAPITAL ONE
FINANCIAL CORP       COMMON STOCK    14040H105     711      18538 Shares                 X                 1     18538     0       0
CAPITAL ONE
FINANCIAL CORP       COMMON STOCK    14040H105     503      13121 Shares                         X         1     11471     0    1650
CAPITAL ONE
FINANCIAL CORP       COMMON STOCK    14040H105    2161      63792 Shares                 X                 2     32842     0   30950
CAPITAL ONE
FINANCIAL CORP       COMMON STOCK    14040H105     166       4326 Shares                 X                 3      2324     0    2002
WARRANTS - CAPITAL
ONE FINL 11          COMMON STOCK    14040H139    1189      90274 Shares                 X                 2         0     0   90274
CAPITALSOURCE INC    COMMON STOCK    14055X102      16       4000 Shares                 X                 1      4000     0       0
CAPITALSOURCE INC    COMMON STOCK    14055X102       8       2000 Shares                         X         1      2000     0       0
CAPITALSOURCE INC    COMMON STOCK    14055X102    6480    1757444 Shares                 X                 2    517344     0 1240100
CAPSTEAD MORTGAGE CV
PFD $1.26            PREFERRED STOCK 14067E308      70       4950 Shares                 X                 1         0     0       0
CARBO CERAMICS INC
COMMON               COMMON STOCK    140781105      31        450 Shares                 X                 1       450     0       0
CARBO CERAMICS INC
COMMON               COMMON STOCK    140781105     869      12750 Shares                 X                 3     12750     0       0
CARDINAL HEALTH INC  COMMON STOCK    14149Y108     113       3515 Shares                 X                 1      3515     0       0
CARDINAL HEALTH INC  COMMON STOCK    14149Y108      93       2873 Shares                         X         1      2873     0       0
CARDINAL HEALTH INC  COMMON STOCK    14149Y108     296       6000 Shares                 X                 2      6000     0       0
CAREFUSION CORP      COMMON STOCK    14170T101      28       1119 Shares                 X                 1      1119     0       0
CAREFUSION CORP      COMMON STOCK    14170T101      36       1436 Shares                         X         1      1436     0       0
CARLISLE COMPANIES
INC                  COMMON STOCK    142339100      34       1000 Shares                 X                 1      1000     0       0
CARLISLE COMPANIES
INC                  COMMON STOCK    142339100     164       4800 Shares                         X         1      4800     0       0
CARNIVAL CORPORATION COMMON STOCK    143658300    2460      77613 Shares                 X                 1     77613     0       0
CARNIVAL CORPORATION COMMON STOCK    143658300     227       7150 Shares                         X         1      6150     0    1000
CARNIVAL CORPORATION COMMON STOCK    143658300      31        965 Shares                 X                 3       965     0       0
CARNIVAL PLC - ADR   COMMON STOCK    14365C103       1         20 Shares                         X         1        20     0       0
CARPENTER TECHNOLOGY
CORP COM             COMMON STOCK    144285103      42       1552 Shares                         X         1      1552     0       0
CARROLS RESTAURANT
GROUP INC            COMMON STOCK    14574X104       2        340 Shares                 X                 1       340     0       0
CASH AMERICA INTL
INC                  COMMON STOCK    14754D100       3         84 Shares                 X                 1        84     0       0
CATALYST HEALTH
SOLUTIONS INC        COMMON STOCK    14888B103      53       1450 Shares                 X                 1      1450     0       0
CATALYST HEALTH
SOLUTIONS INC        COMMON STOCK    14888B103    1059      29050 Shares                 X                 3     29050     0       0
CATERPILLAR INC      COMMON STOCK    149123101    5054      88674 Shares                 X                 1     85099     0    3575
CATERPILLAR INC      COMMON STOCK    149123101    1023      17944 Shares                         X         1     14294     0    3650
CATERPILLAR INC      COMMON STOCK    149123101     401       7036 Shares                 X                 2         0     0    7036
CATERPILLAR INC      COMMON STOCK    149123101     149       2607 Shares                 X                 3      2607     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
CELANESE CORP        COMMON STOCK    150870103       1         26 Shares                 X                 1        26     0       0
CELERA CORPORATION   COMMON STOCK    15100E106       4        600 Shares                 X                 1       600     0       0
CELGENE CORP COM     COMMON STOCK    151020104    4040      72550 Shares                 X                 1     72239     0     311
CELGENE CORP COM     COMMON STOCK    151020104     438       7860 Shares                         X         1      7060     0     800
CELGENE CORP COM     COMMON STOCK    151020104    2234      40111 Shares                 X                 3     39577     0     534
CEMEX SAB SPONS ADR
PART CER             COMMON STOCK    151290889      49       4122 Shares                         X         1      4122     0       0
CENOVUS ENERGY INC   COMMON STOCK    15135U109      32       1252 Shares                 X                 1      1252     0       0
CENOVUS ENERGY INC   COMMON STOCK    15135U109      13        500 Shares                         X         1       500     0       0
CENTERPOINT ENERGY
INC                  COMMON STOCK    15189T107      15       1000 Shares                 X                 1      1000     0       0
CENTRAIS ELETRICAS
BRAS-SP ADR          COMMON STOCK    15234Q207       2         84 Shares                 X                 1        84     0       0
CENTRAL FUND OF
CANADA LTD           PREFERRED STOCK 153501101      26       1875 Shares                 X                 1         0     0       0



                                     9 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
CENTURY ALUMINUM
COMPANY              COMMON STOCK    156431108      38       2350 Shares                 X                 1      2350      0      0
CENTURY ALUMINUM
COMPANY              COMMON STOCK    156431108    1040      64225 Shares                 X                 3     64225      0      0
CENTURYTEL INC COM   COMMON STOCK    156700106     130       3581 Shares                 X                 1      3492      0     89
CENTURYTEL INC COM   COMMON STOCK    156700106       1         22 Shares                         X         1         0      0     22
CEPHALON INC COM     COMMON STOCK    156708109     186       2972 Shares                 X                 1      2972      0      0
CEPHALON INC COM     COMMON STOCK    156708109    1513      24244 Shares                 X                 3     24244      0      0
CERNER CORP          COMMON STOCK    156782104    5999      72773 Shares                 X                 1     72133      0    640
CERNER CORP          COMMON STOCK    156782104     827      10035 Shares                         X         1      7635      0   2400
CERNER CORP          COMMON STOCK    156782104   10144     128130 Shares                 X                 2     39030      0  89100
CERNER CORP          COMMON STOCK    156782104    1936      23481 Shares                 X                 3     22403      0   1078
CHART INDUSTRIES INC COMMON STOCK    16115Q308      10        585 Shares                 X                 1       585      0      0
THE CHEESECAKE
FACTORY              COMMON STOCK    163072101       4        200 Shares                 X                 1       200      0      0
CHENIERE ENERGY INC  COMMON STOCK    16411R208      24      10000 Shares                 X                 2         0      0  10000
CHESAPEAKE ENERGY
CORP COM             COMMON STOCK    165167107      83       3195 Shares                 X                 1      3195      0      0
CHESAPEAKE ENERGY
CORP COM             COMMON STOCK    165167107     331      12800 Shares                 X                 2         0      0  12800
CHESAPEAKE ENERGY
CONV PFD 4.5         PREFERRED STOCK 165167842    4474      56675 Shares                 X                 2     10530      0      0
CHESAPEAKE UTILITIES
CORPORATI            COMMON STOCK    165303108      16        500 Shares                         X         1       500      0      0
CHEVRON CORP         COMMON STOCK    166764100   26949     350026 Shares                 X                 1    345590      0   4436
CHEVRON CORP         COMMON STOCK    166764100   16401     213032 Shares                         X         1    200135      0  12897
CHEVRON CORP         COMMON STOCK    166764100    5822      81034 Shares                 X                 2     21247      0  59787
CHEVRON CORP         COMMON STOCK    166764100     817      10612 Shares                 X                 3      7341      0   3271
CHEVRON CORP         COMMON STOCK    166764100      12        150 Shares                 X                 4       150      0      0
CHEVRON CORP         COMMON STOCK    166764100     154       2000 Shares                         X         4      2000      0      0
CHICAGO BRIDGE &
IRON CO N V C        COMMON STOCK    167250109       8        400 Shares                 X                 1       400      0      0
CHICAGO BRIDGE &
IRON CO N V C        COMMON STOCK    167250109       1         25 Shares                         X         1        25      0      0
CHICAGO BRIDGE &
IRON CO N V C        COMMON STOCK    167250109     863      42685 Shares                 X                 2         0      0  42685
CHINA AUTOMOTIVE
SYSTEMS INC          COMMON STOCK    16936R105      25       1349 Shares                 X                 1      1349      0      0
CHINA AUTOMOTIVE
SYSTEMS INC          COMMON STOCK    16936R105     696      37200 Shares                 X                 3     37200      0      0
CHINA MOBILE LTD
SPON ADR             COMMON STOCK    16941M109       6        130 Shares                 X                 1       130      0      0
CHINA MOBILE LTD
SPON ADR             COMMON STOCK    16941M109      14        300 Shares                         X         1       300      0      0
CHINA PETE & CHEM
CORP SPON AD         COMMON STOCK    16941R108       1         12 Shares                         X         1        12      0      0
CHINA UNICOM-(HONG
KONG) ADR            COMMON STOCK    16945R104      32       2420 Shares                 X                 1      2420      0      0
CHUBB CORP           COMMON STOCK    171232101     460       9345 Shares                 X                 1      9345      0      0
CHUBB CORP           COMMON STOCK    171232101      61       1250 Shares                         X         1      1250      0      0
CHUBB CORP           COMMON STOCK    171232101    1181      24020 Shares                 X                 2         0      0  24020
CHURCH & DWIGHT CO
INC                  COMMON STOCK    171340102     585       9680 Shares                 X                 1      8980      0    700
CHURCH & DWIGHT CO
INC                  COMMON STOCK    171340102    2140      35400 Shares                 X                 3     35400      0      0
CIENA CORP           COMMON STOCK    171779309       1        100 Shares                 X                 1       100      0      0
CINCINNATI FINL CORP
COM                  COMMON STOCK    172062101     763      29060 Shares                 X                 1     29060      0      0
CINCINNATI FINL CORP
COM                  COMMON STOCK    172062101      31       1200 Shares                         X         1      1200      0      0
CINCINNATI FINL CORP
COM                  COMMON STOCK    172062101      46       1750 Shares                 X                 2         0      0   1750
CINCINNATI FINL CORP
COM                  COMMON STOCK    172062101      98       3723 Shares                 X                 3      1972      0   1751
CISCO SYSTEMS INC    COMMON STOCK    17275R102   16898     705861 Shares                 X                 1    691061      0  14800
CISCO SYSTEMS INC    COMMON STOCK    17275R102    4693     196031 Shares                         X         1    177071      0  18960
CISCO SYSTEMS INC    COMMON STOCK    17275R102    4128     196855 Shares                 X                 2     87205      0 109650
CISCO SYSTEMS INC    COMMON STOCK    17275R102    4802     200604 Shares                 X                 3    193776      0   6828
CISCO SYSTEMS INC    COMMON STOCK    17275R102      20        850 Shares                 X                 4       850      0      0
CITIGROUP INC COM    COMMON STOCK    172967101     447     135151 Shares                 X                 1    134151      0   1000
CITIGROUP INC COM    COMMON STOCK    172967101     159      47898 Shares                         X         1     42788      0   5110
CITIGROUP INC COM    COMMON STOCK    172967101     301      95046 Shares                 X                 2     29560      0  65486
CITIGROUP INC COM    COMMON STOCK    172967101       4       1342 Shares                 X                 3      1342      0      0
CITIGROUP INC COM    COMMON STOCK    172967101       1        400 Shares                 X                 4       400      0      0
CITRIX SYSTEMS INC
COM                  COMMON STOCK    177376100     229       5495 Shares                 X                 1      5495      0      0
CITY HOLDING COMPANY COMMON STOCK    177835105    1249      38671 Shares                 X                 1     38671      0      0
CLARIENT INC         COMMON STOCK    180489106      27      10000 Shares                 X                 1     10000      0      0
CLAYMORE S&P GLOBAL
WATER ETF            PREFERRED STOCK 18383Q507       2        100 Shares                         X         1         0      0      0
CLEAN ENERGY FUELS
CORPORATION          COMMON STOCK    184499101      58       3750 Shares                 X                 1      3750      0      0
CLEAN ENERGY FUELS
CORPORATION          COMMON STOCK    184499101    1586     102950 Shares                 X                 3    102950      0      0
CLIFFS NATURAL
RESOURCES INC        COMMON STOCK    18683K101    5185     112506 Shares                 X                 1    111656      0    850
CLIFFS NATURAL
RESOURCES INC        COMMON STOCK    18683K101     361       7830 Shares                         X         1      3905      0   3925
CLIFFS NATURAL
RESOURCES INC        COMMON STOCK    18683K101    1047      30950 Shares                 X                 2     16550      0  14400
CLIFFS NATURAL
RESOURCES INC        COMMON STOCK    18683K101    4058      88054 Shares                 X                 3     85879      0   2175



                                    10 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
CLIFFS NATURAL
RESOURCES INC        COMMON STOCK    18683K101       9        200 Shares                 X                 4       200      0      0
CLOROX COMPANY       COMMON STOCK    189054109    1319      21631 Shares                 X                 1     21631      0      0
CLOROX COMPANY       COMMON STOCK    189054109     266       4365 Shares                         X         1      4365      0      0
CLOROX COMPANY       COMMON STOCK    189054109      61       1000 Shares                 X                 2         0      0   1000
CLOROX COMPANY       COMMON STOCK    189054109     111       1820 Shares                 X                 3      1820      0      0
CLOUGH GLOBAL
OPPORTUNITIES        PREFERRED STOCK 18914E106     402      31225 Shares                 X                 1         0      0      0
COACH INC            COMMON STOCK    189754104    2995      81987 Shares                 X                 1     78487      0   3500
COACH INC            COMMON STOCK    189754104     341       9327 Shares                         X         1      9027      0    300
COACH INC            COMMON STOCK    189754104    4332     118585 Shares                 X                 3    116547      0   2038
COCA COLA BOTTLING
CO CONSOLID          COMMON STOCK    191098102      10        182 Shares                 X                 1       182      0      0
COCA COLA CO COM     COMMON STOCK    191216100   17075     299563 Shares                 X                 1    295988      0   3575
COCA COLA CO COM     COMMON STOCK    191216100    6254     109711 Shares                         X         1    107071      0   2640
COCA COLA CO COM     COMMON STOCK    191216100    1164      38569 Shares                 X                 2     22341      0  16228
COCA COLA CO COM     COMMON STOCK    191216100    3957      69416 Shares                 X                 3     65654      0   3762
COCA COLA CO COM     COMMON STOCK    191216100      14        250 Shares                 X                 4       250      0      0
COCA COLA
ENTERPRISES INC      COMMON STOCK    191219104      25       1197 Shares                 X                 1      1197      0      0
COCA-COLA FEMSA SA
DE CV SPON           COMMON STOCK    191241108       1         14 Shares                         X         1        14      0      0
CODORUS VALLEY
BANCORP INC          COMMON STOCK    192025104     120      22699 Shares                 X                 1     20091      0   2608
CODORUS VALLEY
BANCORP INC          COMMON STOCK    192025104      50       9398 Shares                         X         1      9398      0      0
COGNIZANT TECH
SOL CORP             COMMON STOCK    192446102    1445      31880 Shares                 X                 1     31796      0     84
COGNIZANT TECH
SOL CORP             COMMON STOCK    192446102     412       9094 Shares                         X         1      9094      0      0
COHEN & STEERS
QUALITY INC RLT      PREFERRED STOCK 19247L106      17       2800 Shares                 X                 1         0      0      0
COHEN & STEERS
QUALITY INC RLT      PREFERRED STOCK 19247L106       6       1021 Shares                 X                 2         0      0      0
COHEN & STEERS
REIT & PFD INC       PREFERRED STOCK 19247X100      17       1600 Shares                         X         1         0      0      0
COHEN & STEERS
REIT AND UTILIT      PREFERRED STOCK 19247Y108      21       1998 Shares                 X                 1         0      0      0
COHEN & STEERS
SELECT UTILITY       PREFERRED STOCK 19248A109     384      24094 Shares                 X                 1         0      0      0
COHU INCORPORATED    COMMON STOCK    192576106      11        800 Shares                 X                 1       800      0      0
COLGATE PALMOLIVE CO
COM                  COMMON STOCK    194162103    7119      86656 Shares                 X                 1     86656      0      0
COLGATE PALMOLIVE CO
COM                  COMMON STOCK    194162103    5092      61989 Shares                         X         1     57839      0   4150
COLGATE PALMOLIVE CO
COM                  COMMON STOCK    194162103   11732     157464 Shares                 X                 2     54582      0 102882
COLGATE PALMOLIVE CO
COM                  COMMON STOCK    194162103    1265      15401 Shares                 X                 3     15401      0      0
COLGATE PALMOLIVE CO
COM                  COMMON STOCK    194162103       8        100 Shares                 X                 4       100      0      0
COLLECTORS UNIVERSE
INC                  COMMON STOCK    19421R200       1         55 Shares                 X                 1        55      0      0
COLUMBIA BANKING
SYSTEM INC           COMMON STOCK    197236102       4        217 Shares                 X                 1       217      0      0
COMCAST CORP NEW A   COMMON STOCK    20030N101    4063     241013 Shares                 X                 1    241013      0      0
COMCAST CORP NEW A   COMMON STOCK    20030N101     782      46374 Shares                         X         1     43030      0   3344
COMCAST CORP NEW A   COMMON STOCK    20030N101     173      10277 Shares                 X                 3      6165      0   4112
COMCAST CORP-SPECIAL
CL A                 COMMON STOCK    20030N200      88       5506 Shares                 X                 1      5506      0      0
COMCAST CORP-SPECIAL
CL A                 COMMON STOCK    20030N200      95       5961 Shares                         X         1      5661      0    300
COMCAST CORP-SPECIAL
CL A                 COMMON STOCK    20030N200       7        450 Shares                 X                 4       450      0      0
COMERICA INC         COMMON STOCK    200340107      41       1400 Shares                 X                 1      1400      0      0
COMERICA INC         COMMON STOCK    200340107      59       2000 Shares                 X                 2         0      0   2000
COMMERCIAL NATL
FINANCIAL CORP       COMMON STOCK    202217105      14        820 Shares                 X                 1       820      0      0
COMMSCOPE INC COM    COMMON STOCK    203372107       2         65 Shares                 X                 1        65      0      0
COMMUNITY BANK
SYSTEM INC           COMMON STOCK    203607106     485      25100 Shares                 X                 1      2600      0  22500
COMMUNITY BANKERS
TRUST CORP           COMMON STOCK    203612106      37      11455 Shares                 X                 2         0      0  11455
COMMUNITY TRUST
BANCORP INC          COMMON STOCK    204149108       1         60 Shares                 X                 1        60      0      0
COMMVAULT SYSTEMS
INC                  COMMON STOCK    204166102      34       1425 Shares                 X                 1      1425      0      0
COMMVAULT SYSTEMS
INC                  COMMON STOCK    204166102     930      39250 Shares                 X                 3     39250      0      0
COMPANHIA
SIDERURGICA SP-ADR   COMMON STOCK    20440W105      42       1300 Shares                 X                 1      1300      0      0
COMPANHIA
SIDERURGICA SP-ADR   COMMON STOCK    20440W105       2         58 Shares                         X         1        58      0      0
COMPANHIA PARANAENSE
DE ENERGI            COMMON STOCK    20441B407       1         42 Shares                         X         1        42      0      0
COMPASS DIVERSIFIED
HLDG                 COMMON STOCK    20451Q104       2        119 Shares                 X                 1       119      0      0
COMPELLENT
TECHNOLOGIES INC     COMMON STOCK    20452A108      34       1500 Shares                 X                 1      1500      0      0
COMPELLENT
TECHNOLOGIES INC     COMMON STOCK    20452A108     925      40775 Shares                 X                 3     40775      0      0
COMPUTER TASK GROUP  COMMON STOCK    205477102     471      58750 Shares                 X                 1     58750      0      0
COMPUWARE CORP       COMMON STOCK    205638109       4        513 Shares                 X                 1       513      0      0
CONAGRA FOODS INC    COMMON STOCK    205887102      87       3781 Shares                 X                 1      3781      0      0
CONAGRA FOODS INC    COMMON STOCK    205887102      31       1346 Shares                         X         1      1346      0      0
CON-WAY INC          COMMON STOCK    205944101      17        500 Shares                 X                 1       500      0      0
CON-WAY INC          COMMON STOCK    205944101      14        400 Shares                 X                 2         0      0    400
CONCHO RESOURCES INC COMMON STOCK    20605P101      32        719 Shares                 X                 1       719      0      0



                                    11 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
CONCHO RESOURCES INC COMMON STOCK    20605P101     847      18850 Shares                 X                 3     18850      0      0
CONNECTICUT WATER
SERVICE INC          COMMON STOCK    207797101      15        624 Shares                 X                 1       624      0      0
CONOCOPHILLIPS       COMMON STOCK    20825C104   11828     231609 Shares                 X                 1    228154      0   3455
CONOCOPHILLIPS       COMMON STOCK    20825C104    3376      66098 Shares                         X         1     59689      0   6409
CONOCOPHILLIPS       COMMON STOCK    20825C104     227       4443 Shares                 X                 2         0      0   4443
CONOCOPHILLIPS       COMMON STOCK    20825C104     487       9551 Shares                 X                 3      6836      0   2715
CONOCOPHILLIPS       COMMON STOCK    20825C104      18        344 Shares                 X                 4       344      0      0
CONSOL ENERGY INC    COMMON STOCK    20854P109     718      14416 Shares                 X                 1     14006      0    410
CONSOL ENERGY INC    COMMON STOCK    20854P109      76       1525 Shares                         X         1       500      0   1025
CONSOLIDATED EDISON
INC                  COMMON STOCK    209115104     141       3105 Shares                 X                 1      3105      0      0
CONSOLIDATED EDISON
INC                  COMMON STOCK    209115104      47       1034 Shares                         X         1      1034      0      0
CONSOLIDATED-TOMOKA
LAND CO              COMMON STOCK    210226106      10        300 Shares                 X                 1       300      0      0
CONSTELLATION BRANDS
INC CL A             COMMON STOCK    21036P108      17       1084 Shares                 X                 1      1084      0      0
CONSTELLATION BRANDS
INC CL A             COMMON STOCK    21036P108       6        370 Shares                         X         1       370      0      0
CONSTELLATION BRANDS
INC CL A             COMMON STOCK    21036P108     299      11927 Shares                 X                 2     11927      0      0
CONSTELLATION ENERGY
GROUP INC            COMMON STOCK    210371100    1652      46970 Shares                 X                 1     46970      0      0
CONSTELLATION ENERGY
GROUP INC            COMMON STOCK    210371100    1890      53745 Shares                         X         1     53745      0      0
CONSTELLATION ENERGY
GROUP INC            COMMON STOCK    210371100      11        300 Shares                 X                 3       300      0      0
CORE-MARK HOLDING CO
INC                  COMMON STOCK    218681104       4        116 Shares                 X                 1       116      0      0
CORN PRODS INTL INC
COM                  COMMON STOCK    219023108      79       2688 Shares                         X         1      2688      0      0
CORN PRODS INTL INC
COM                  COMMON STOCK    219023108      41       1400 Shares                 X                 3      1400      0      0
CORNING INC          COMMON STOCK    219350105    3506     181582 Shares                 X                 1    180082      0   1500
CORNING INC          COMMON STOCK    219350105     845      43770 Shares                         X         1     38070      0   5700
CORNING INC          COMMON STOCK    219350105    1085      56200 Shares                 X                 2         0      0  56200
CORNING INC          COMMON STOCK    219350105     158       8174 Shares                 X                 3      4358      0   3816
CORNING INC          COMMON STOCK    219350105       6        300 Shares                 X                 4       300      0      0
COSTCO WHOLESALE
CORP COM             COMMON STOCK    22160K105     429       7254 Shares                 X                 1      7254      0      0
COSTCO WHOLESALE
CORP COM             COMMON STOCK    22160K105     264       4455 Shares                         X         1      4455      0      0
COSTCO WHOLESALE
CORP COM             COMMON STOCK    22160K105      18        300 Shares                 X                 2         0      0    300
COSTCO WHOLESALE
CORP COM             COMMON STOCK    22160K105      68       1150 Shares                         X         4      1150      0      0
COVANCE INC COM      COMMON STOCK    222816100      30        550 Shares                 X                 1       550      0      0
COVANCE INC COM      COMMON STOCK    222816100      70       1283 Shares                         X         1      1283      0      0
COVENTRY HEALTH CARE
INC                  COMMON STOCK    222862104     910      37444 Shares                 X                 1     37444      0      0
COVENTRY HEALTH CARE
INC                  COMMON STOCK    222862104    2726     121145 Shares                 X                 2     54200      0  66945
COVENTRY HEALTH CARE
INC                  COMMON STOCK    222862104    1998      82238 Shares                 X                 3     82238      0      0
CRACKER BARREL OLD
COUNTRY STO          COMMON STOCK    22410J106      18        469 Shares                 X                 1       469      0      0
CRANE CO             COMMON STOCK    224399105     214       7000 Shares                         X         1      7000      0      0
CRAY INC             COMMON STOCK    225223304       0         75 Shares                 X                 1        75      0      0
CREDIT SUISSE GROUP
SPONSORED            COMMON STOCK    225401108      28        572 Shares                 X                 1       572      0      0
CREDIT SUISSE GROUP
SPONSORED            COMMON STOCK    225401108       3         51 Shares                         X         1        51      0      0
CREE RESEARCH INC
COM                  COMMON STOCK    225447101     324       5750 Shares                 X                 1      5726      0     24
CREE RESEARCH INC
COM                  COMMON STOCK    225447101     104       1851 Shares                         X         1      1101      0    750
CROSS TIMBERS
ROYALTY TRUST        COMMON STOCK    22757R109       0          1 Shares                 X                 1         0      0      0
CROWN HOLDINGS INC   COMMON STOCK    228368106     850      33247 Shares                 X                 1     32247      0   1000
CROWN HOLDINGS INC   COMMON STOCK    228368106      10        400 Shares                         X         1       400      0      0
CROWN HOLDINGS INC   COMMON STOCK    228368106    2146      83900 Shares                 X                 3     83900      0      0
CUMMINS INC COM      COMMON STOCK    231021106    2488      54250 Shares                 X                 1     53500      0    750
CUMMINS INC COM      COMMON STOCK    231021106     149       3255 Shares                         X         1      1785      0   1470
CUMMINS INC COM      COMMON STOCK    231021106    4151      90514 Shares                 X                 3     89293      0   1221
CURTISS WRIGHT CORP  COMMON STOCK    231561101      51       1622 Shares                 X                 1      1622      0      0
CUTERA INC           COMMON STOCK    232109108       3        400 Shares                 X                 1       400      0      0
CYBERSOURCE CORP     COMMON STOCK    23251J106      51       2550 Shares                 X                 1      2550      0      0
CYBERSOURCE CORP     COMMON STOCK    23251J106    1394      69325 Shares                 X                 3     69325      0      0
CYTEC INDUSTRIES INC
COM                  COMMON STOCK    232820100       5        132 Shares                 X                 1       132      0      0
DNB FINANCIAL
CORPORATION          COMMON STOCK    233237106      12       1878 Shares                 X                 1      1878      0      0
DNP SELECT INCOME
FUND INC             PREFERRED STOCK 23325P104       4        500 Shares                 X                 1         0      0      0
DNP SELECT INCOME
FUND INC             PREFERRED STOCK 23325P104       9       1000 Shares                         X         1         0      0      0
DPL INC              COMMON STOCK    233293109     103       3735 Shares                 X                 1      3735      0      0
DPL INC              COMMON STOCK    233293109       8        300 Shares                         X         1       300      0      0
DTE ENERGY CO        COMMON STOCK    233331107     232       5325 Shares                 X                 1      5325      0      0
DTE ENERGY CO        COMMON STOCK    233331107      65       1501 Shares                         X         1      1501      0      0
DTE ENERGY CO        COMMON STOCK    233331107      13        300 Shares                 X                 3       300      0      0



                                    12 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
DWS STRATEGIC
MUNICIPAL INCOME     PREFERRED STOCK 23338T101      19       1500 Shares                         X         1         0      0      0
DANAHER CORP COM     COMMON STOCK    235851102    2567      34140 Shares                 X                 1     34140      0      0
DANAHER CORP COM     COMMON STOCK    235851102     120       1590 Shares                         X         1      1020      0    570
DANAHER CORP COM     COMMON STOCK    235851102    5499      81050 Shares                 X                 2     26040      0  55010
DANAHER CORP COM     COMMON STOCK    235851102    2225      29585 Shares                 X                 3     29585      0      0
DARDEN RESTAURANTS
INC COM              COMMON STOCK    237194105     595      16952 Shares                 X                 1     16952      0      0
DARDEN RESTAURANTS
INC COM              COMMON STOCK    237194105     147       4200 Shares                         X         1      4200      0      0
DARDEN RESTAURANTS
INC COM              COMMON STOCK    237194105      14        400 Shares                 X                 2         0      0    400
DAVITA INC WITH
ATTACHED RIGHT       COMMON STOCK    23918K108       9        150 Shares                         X         1         0      0    150
DEERE & CO           COMMON STOCK    244199105    2794      51658 Shares                 X                 1     51058      0    600
DEERE & CO           COMMON STOCK    244199105     353       6535 Shares                         X         1      5049      0   1486
DEERE & CO           COMMON STOCK    244199105    2427      44879 Shares                 X                 3     44879      0      0
DEL MONTE FOODS CO   COMMON STOCK    24522P103       3        223 Shares                 X                 1       223      0      0
DEL MONTE FOODS CO   COMMON STOCK    24522P103       8        735 Shares                         X         1       735      0      0
DELL INC             COMMON STOCK    24702R101    1040      72436 Shares                 X                 1     72436      0      0
DELL INC             COMMON STOCK    24702R101     287      20019 Shares                         X         1     17819      0   2200
DELL INC             COMMON STOCK    24702R101       1        100 Shares                 X                 2         0      0    100
DELL INC             COMMON STOCK    24702R101     616      42841 Shares                 X                 3     42841      0      0
DELTA AIR LINES INC  COMMON STOCK    247361702       5        475 Shares                 X                 1       475      0      0
DELTA PETROLEUM CORP COMMON STOCK    247907207      16      15500 Shares                         X         1     15500      0      0
DENDREON CORPORATION COMMON STOCK    24823Q107      41       1575 Shares                 X                 1      1575      0      0
DENDREON CORPORATION COMMON STOCK    24823Q107    1126      42825 Shares                 X                 3     42825      0      0
DENTSPLY
INTERNATIONAL INC
COM                  COMMON STOCK    249030107    1486      42260 Shares                 X                 1     42060      0    200
DENTSPLY
INTERNATIONAL INC
COM                  COMMON STOCK    249030107     276       7850 Shares                         X         1      7850      0      0
DENTSPLY
INTERNATIONAL INC
COM                  COMMON STOCK    249030107     761      21614 Shares                 X                 3     21614      0      0
DEUTSCHE TELEKOM AG
SPONSORED            COMMON STOCK    251566105      57       3901 Shares                 X                 1      3901      0      0
DEUTSCHE TELEKOM AG
SPONSORED            COMMON STOCK    251566105       2        118 Shares                         X         1         0      0    118
DEV DIVERSIFIED RLTY
CORP                 COMMON STOCK    251591103       1         57 Shares                 X                 1         0      0      0
DEV DIVERSIFIED RLTY
CORP                 COMMON STOCK    251591103       2        220 Shares                         X         1         0      0      0
DEVON ENERGY CORP    COMMON STOCK    25179M103     661       8996 Shares                 X                 1      8870      0    126
DEVON ENERGY CORP    COMMON STOCK    25179M103     120       1639 Shares                         X         1      1639      0      0
DEVON ENERGY CORP    COMMON STOCK    25179M103      96       1300 Shares                 X                 2         0      0   1300
DEVON ENERGY CORP    COMMON STOCK    25179M103      13        175 Shares                 X                 3       175      0      0
DEVRY INC            COMMON STOCK    251893103      34        600 Shares                 X                 1       600      0      0
DIAGEO PLC SPONSORED
ADR                  COMMON STOCK    25243Q205     336       4839 Shares                 X                 1      4839      0      0
DIAGEO PLC SPONSORED
ADR                  COMMON STOCK    25243Q205       2         22 Shares                         X         1         0      0     22
DIAGEO PLC SPONSORED
ADR                  COMMON STOCK    25243Q205      35        500 Shares                 X                 3       500      0      0
DIAMOND OFFSHORE
DRILLING COM         COMMON STOCK    25271C102       5         50 Shares                 X                 1        50      0      0
DIAMONDS TR UNIT SER
1                    COMMON STOCK    252787106     295       2839 Shares                 X                 1      2839      0      0
DIAMONDS TR UNIT SER
1                    COMMON STOCK    252787106     262       2516 Shares                 X                 2         0      0   2516
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
DIEBOLD INC          COMMON STOCK    253651103      34       1200 Shares                 X                 3      1200      0      0
DIGITALGLOBE INC     COMMON STOCK    25389M877      42       1725 Shares                 X                 1      1725      0      0
DIGITALGLOBE INC     COMMON STOCK    25389M877    1152      47600 Shares                 X                 3     47600      0      0
DINEEQUITY INC       COMMON STOCK    254423106     216       8904 Shares                 X                 1      8904      0      0
DINEEQUITY INC       COMMON STOCK    254423106    2419      99575 Shares                 X                 3     99575      0      0
DIONEX CORP          COMMON STOCK    254546104    1027      13900 Shares                 X                 2         0      0  13900
DIREXIONSHARES DAILY
FINL BEAR            PREFERRED STOCK 25459W490      38       1950 Shares                         X         1         0      0      0
DIREXIONSHARES SMALL
CAP BEAR             PREFERRED STOCK 25459W839      35       3500 Shares                         X         1         0      0      0
DISNEY WALT CO       COMMON STOCK    254687106    6910     214260 Shares                 X                 1    211910      0   2350
DISNEY WALT CO       COMMON STOCK    254687106    2230      69136 Shares                         X         1     63211      0   5925
DISNEY WALT CO       COMMON STOCK    254687106     850      26516 Shares                 X                 2      7516      0  19000
DISNEY WALT CO       COMMON STOCK    254687106    2285      70851 Shares                 X                 3     68488      0   2363
DISNEY WALT CO       COMMON STOCK    254687106      14        425 Shares                 X                 4       425      0      0
DISCOVER FINANCIAL
SERVICES             COMMON STOCK    254709108      22       1470 Shares                 X                 1      1470      0      0
DISCOVER FINANCIAL
SERVICES             COMMON STOCK    254709108       8        521 Shares                         X         1       365      0    156
DISCOVERY
COMMUNICATIONS INC   COMMON STOCK    25470F104      23        734 Shares                 X                 1       734      0      0
DISCOVERY
COMMUNICATIONS INC   COMMON STOCK    25470F104      37       1200 Shares                         X         1      1200      0      0
DISCOVERY
COMMUNICATIONS INC - COMMON STOCK    25470F302      19        734 Shares                 X                 1       734      0      0
DISCOVERY
COMMUNICATIONS INC - COMMON STOCK    25470F302      57       2136 Shares                         X         1      2136      0      0
DISH NETWORK CORP
CL A                 COMMON STOCK    25470M109      14        650 Shares                 X                 1       650      0      0



                                    13 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
THE DIRECTV GROUP
HLDGS CL A           COMMON STOCK    25490A101     284       8505 Shares                 X                 1      8456      0     49
THE DIRECTV GROUP
HLDGS CL A           COMMON STOCK    25490A101     309       9256 Shares                         X         1      9256      0      0
DOLBY LABORATORIES
INC CL A             COMMON STOCK    25659T107     270       5651 Shares                 X                 1      5651      0      0
DOLBY LABORATORIES
INC CL A             COMMON STOCK    25659T107     143       3000 Shares                 X                 2         0      0   3000
DOLBY LABORATORIES
INC CL A             COMMON STOCK    25659T107    1804      37800 Shares                 X                 3     37800      0      0
DOLLAR TREE INC      COMMON STOCK    256746108       9        180 Shares                 X                 1       180      0      0
DOMINION RESOURCES
BLACK WARRI          COMMON STOCK    25746Q108      31       2200 Shares                 X                 1      2200      0      0
DOMINION RESOURCES
INC                  COMMON STOCK    25746U109    4112     105646 Shares                 X                 1    104071      0   1575
DOMINION RESOURCES
INC                  COMMON STOCK    25746U109    2629      67539 Shares                         X         1     57899      0   9640
DOMINION RESOURCES
INC                  COMMON STOCK    25746U109      78       2000 Shares                 X                 2         0      0   2000
DOMINION RESOURCES
INC                  COMMON STOCK    25746U109      78       2000 Shares                         X         4      2000      0      0
DONNELLEY R R & SONS
CO                   COMMON STOCK    257867101      45       2000 Shares                 X                 1      2000      0      0
DONNELLEY R R & SONS
CO                   COMMON STOCK    257867101      58       2600 Shares                         X         1      2600      0      0
DONNELLEY R R & SONS
CO                   COMMON STOCK    257867101      95       4280 Shares                 X                 2         0      0   4280
DORAL FINANCIAL CORP COMMON STOCK    25811P886       0         30 Shares                 X                 1        30      0      0
DOVER CORP           COMMON STOCK    260003108     822      19750 Shares                 X                 1     19750      0      0
DOVER CORP           COMMON STOCK    260003108     294       7071 Shares                         X         1      7071      0      0
DOW CHEMICAL CO      COMMON STOCK    260543103    3960     143329 Shares                 X                 1    138329      0   5000
DOW CHEMICAL CO      COMMON STOCK    260543103    1606      58139 Shares                         X         1     57864      0    275
DOW CHEMICAL CO      COMMON STOCK    260543103    1763      68875 Shares                 X                 2     22025      0  46850
DOW CHEMICAL CO      COMMON STOCK    260543103    1257      45517 Shares                 X                 3     45517      0      0
DREYFUS MUNICIPAL
INCOME FUND          PREFERRED STOCK 26201R102      61       7200 Shares                         X         1         0      0      0
DREYFUS STRATEGIC
MUN BD FD            PREFERRED STOCK 26202F107     212      27602 Shares                 X                 1         0      0      0
DREYFUS STRATEGIC
MUN BD FD            PREFERRED STOCK 26202F107      54       7000 Shares                         X         1         0      0      0
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK    263534109    4309     127963 Shares                 X                 1    126713      0   1250
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK    263534109    4782     142022 Shares                         X         1    137922      0   4100
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK    263534109    2744      85590 Shares                 X                 2     22536      0  63054
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK    263534109     149       4429 Shares                 X                 3      4429      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       2        200 Shares                 X                 1         0      0      0
DUKE REALTY CORP     COMMON STOCK    264411505      70       5747 Shares                 X                 2         0      0      0
DUKE ENERGY CORP     COMMON STOCK    26441C105    1142      66371 Shares                 X                 1     59371      0   7000
DUKE ENERGY CORP     COMMON STOCK    26441C105     643      37348 Shares                         X         1     33932      0   3416
DUKE ENERGY CORP     COMMON STOCK    26441C105      26       1500 Shares                 X                 2         0      0   1500
DUKE ENERGY CORP     COMMON STOCK    26441C105      79       4584 Shares                 X                 3      4584      0      0
DUN & BRADSTREET
CORP                 COMMON STOCK    26483E100      44        524 Shares                 X                 1       424      0    100
DUN & BRADSTREET
CORP                 COMMON STOCK    26483E100      34        399 Shares                         X         1       399      0      0
EMC CORP MASS COM    COMMON STOCK    268648102    5295     303074 Shares                 X                 1    303074      0      0
EMC CORP MASS COM    COMMON STOCK    268648102     906      51835 Shares                         X         1     50860      0    975
EMC CORP MASS COM    COMMON STOCK    268648102    4604     277881 Shares                 X                 2     85761      0 192120
EMC CORP MASS COM    COMMON STOCK    268648102     233      13336 Shares                 X                 3      9631      0   3705
EMS TECHNOLOGIES
INCORPORATED         COMMON STOCK    26873N108      10        663 Shares                 X                 1       663      0      0
ENI SPA-SPONS ADR    COMMON STOCK    26874R108       1         20 Shares                         X         1        20      0      0
ENI SPA-SPONS ADR    COMMON STOCK    26874R108      11        212 Shares                 X                 2         0      0    212
EOG RESOURCES INC
COM                  COMMON STOCK    26875P101    3517      36147 Shares                 X                 1     35525      0    622
EOG RESOURCES INC
COM                  COMMON STOCK    26875P101     456       4690 Shares                         X         1      1945      0   2745
EOG RESOURCES INC
COM                  COMMON STOCK    26875P101      49        500 Shares                 X                 2         0      0    500
EOG RESOURCES INC
COM                  COMMON STOCK    26875P101     246       2525 Shares                 X                 3      1389      0   1136
EPIQ SYSTEMS INC     COMMON STOCK    26882D109      13        900 Shares                 X                 1       900      0      0
EQT CORPORATION      COMMON STOCK    26884L109     531      12100 Shares                 X                 1     12100      0      0
EQT CORPORATION      COMMON STOCK    26884L109     149       3400 Shares                         X         1      3400      0      0
EAGLE BANCORP INC MD COMMON STOCK    268948106    4056     397421 Shares                 X                 2     34750      0 362671
EAGLE MATERIALS INC
COM W RIGH           COMMON STOCK    26969P108       9        345 Shares                 X                 1       345      0      0
EASTGROUP PROPERTIES
INCORPORA            COMMON STOCK    277276101    2578      67350 Shares                 X                 2         0      0      0
EASTMAN CHEMICAL
COMPANY COM          COMMON STOCK    277432100      54        891 Shares                 X                 1       891      0      0
EASTMAN CHEMICAL
COMPANY COM          COMMON STOCK    277432100      53        872 Shares                         X         1       372      0    500
EASTMAN KODAK CO COM COMMON STOCK    277461109       5       1195 Shares                 X                 1      1195      0      0
EASTMAN KODAK CO COM COMMON STOCK    277461109       7       1571 Shares                         X         1      1571      0      0
EATON CORP COM       COMMON STOCK    278058102    1109      17426 Shares                 X                 1     17426      0      0
EATON CORP COM       COMMON STOCK    278058102      19        300 Shares                         X         1       300      0      0
EATON VANCE CORP     COMMON STOCK    278265103       7        230 Shares                 X                 1       230      0      0
EATON VANCE PA MUNI
INC TR               PREFERRED STOCK 27826T101      66       5000 Shares                         X         1         0      0      0



                                    14 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
EATON VANCE
MUNICIPAL INCOME T   PREFERRED STOCK 27826U108      58       5000 Shares                         X         1         0      0      0
EATON VANCE
FLOATING-RATE INC    PREFERRED STOCK 278279104       6        450 Shares                 X                 1         0      0      0
EATON VANCE INSD NY
MUNI BD FD           PREFERRED STOCK 27827Y109      21       1500 Shares                         X         1         0      0      0
EATON VANCE TAX-
ADVANTAGED DVD       PREFERRED STOCK 27828G107      20       1250 Shares                 X                 1         0      0      0
EATON VANCE TAX-
ADVANTAGED DVD       PREFERRED STOCK 27828G107      62       3900 Shares                         X         1         0      0      0
EATON VANCE SR
FLOATING RATE F      PREFERRED STOCK 27828Q105     185      12700 Shares                 X                 1         0      0      0
EBAY INC COM         COMMON STOCK    278642103     467      19846 Shares                 X                 1     19846      0      0
EBAY INC COM         COMMON STOCK    278642103      24       1000 Shares                         X         1      1000      0      0
EBAY INC COM         COMMON STOCK    278642103      42       1800 Shares                 X                 2         0      0   1800
ECLIPSYS CORP COM    COMMON STOCK    278856109      28       1500 Shares                 X                 1      1500      0      0
ECLIPSYS CORP COM    COMMON STOCK    278856109     764      41275 Shares                 X                 3     41275      0      0
ECOLAB INC COM       COMMON STOCK    278865100     990      22200 Shares                 X                 1     22200      0      0
ECOLAB INC COM       COMMON STOCK    278865100      98       2200 Shares                         X         1      2200      0      0
EDISON INTERNATIONAL
COM                  COMMON STOCK    281020107     497      14285 Shares                 X                 1     14285      0      0
EDISON INTERNATIONAL
COM                  COMMON STOCK    281020107     122       3500 Shares                         X         1      3500      0      0
EDISON INTERNATIONAL
COM                  COMMON STOCK    281020107     101       2899 Shares                 X                 3      2899      0      0
EDWARDS LIFESCIENCES
CORP COM             COMMON STOCK    28176E108      51        590 Shares                 X                 1       590      0      0
EL PASO CORP COM     COMMON STOCK    28336L109      27       2787 Shares                 X                 1      2787      0      0
EL PASO CORP COM     COMMON STOCK    28336L109      41       4132 Shares                         X         1      2132      0   2000
EL PASO CORP COM     COMMON STOCK    28336L109     147      15000 Shares                 X                 2         0      0  15000
EL PASO ELECTRIC CO  COMMON STOCK    283677854       7        369 Shares                 X                 1       369      0      0
EL PASO PIPELINE
PARTNERS LP          COMMON STOCK    283702108      52       2000 Shares                 X                 2         0      0   2000
ELAN CORP PLC SPONS
ADR                  COMMON STOCK    284131208       3        500 Shares                 X                 1       500      0      0
ELDORADO GOLD
CORPORATION          COMMON STOCK    284902103      46       3225 Shares                 X                 1      3225      0      0
ELDORADO GOLD
CORPORATION          COMMON STOCK    284902103    1257      88675 Shares                 X                 3     88675      0      0
ELECTRONICS ARTS COM COMMON STOCK    285512109     197      11100 Shares                 X                 1     11100      0      0
ELECTRONICS ARTS COM COMMON STOCK    285512109      71       4000 Shares                         X         1      2800      0   1200
ELECTRONICS ARTS COM COMMON STOCK    285512109      16        901 Shares                 X                 3       901      0      0
EMBRAER-EMPRESA
BRASILEIRA SPO       COMMON STOCK    29081M102       3        120 Shares                 X                 1       120      0      0
EMCOR GROUP INC      COMMON STOCK    29084Q100       3        103 Shares                 X                 1       103      0      0
EMDEON INC           COMMON STOCK    29084T104       5        300 Shares                 X                 1       300      0      0
EMERGING MKTS
TELECOM FD           PREFERRED STOCK 290890102       4        250 Shares                 X                 1         0      0      0
EMERSON ELECTRIC CO  COMMON STOCK    291011104    7018     164737 Shares                 X                 1    163337      0   1400
EMERSON ELECTRIC CO  COMMON STOCK    291011104    4881     114570 Shares                         X         1    101140      0  13430
EMERSON ELECTRIC CO  COMMON STOCK    291011104    4062      98560 Shares                 X                 2     21980      0  76580
EMERSON ELECTRIC CO  COMMON STOCK    291011104     230       5403 Shares                 X                 3      3337      0   2066
EMPIRE DISTRICT
ELECTRIC CO          COMMON STOCK    291641108       9        500 Shares                 X                 1       500      0      0
EMULEX CORP COM NEW  COMMON STOCK    292475209      22       2025 Shares                 X                 1      2025      0      0
EMULEX CORP COM NEW  COMMON STOCK    292475209     611      56050 Shares                 X                 3     56050      0      0
ENCANA CORP          COMMON STOCK    292505104      41       1252 Shares                 X                 1      1252      0      0
ENCANA CORP          COMMON STOCK    292505104      16        500 Shares                         X         1       500      0      0
ENDEAVOUR
INTERNATIONAL CORP   COMMON STOCK    29259G101       1       1000 Shares                         X         1      1000      0      0
ENERGY CONVERSION
DEVICES INC          COMMON STOCK    292659109       4        390 Shares                 X                 1       390      0      0
ENERGY CONVERSION
DEVICES INC          COMMON STOCK    292659109       2        200 Shares                         X         1       200      0      0
ENERGIZER HLDGS INC
COM                  COMMON STOCK    29266R108       6        100 Shares                         X         1       100      0      0
ENERGY TRANSFER
PARTNERS LP          COMMON STOCK    29273R109      22        500 Shares                         X         1       500      0      0
ENERGY TRANSFER
PARTNERS LP          COMMON STOCK    29273R109      31        700 Shares                 X                 2         0      0    700
ENERGY TRANSFER
EQUITY LP            COMMON STOCK    29273V100     870      28450 Shares                 X                 2         0      0  28450
ENERPLUS RESOURCES
FUND                 COMMON STOCK    29274D604      14        600 Shares                 X                 1       600      0      0
ENERPLUS RESOURCES
FUND                 COMMON STOCK    29274D604     100       4355 Shares                         X         1      4355      0      0
ENERPLUS RESOURCES
FUND                 COMMON STOCK    29274D604      48       2080 Shares                 X                 2         0      0   2080
ENERNOC INC          COMMON STOCK    292764107      44       1450 Shares                 X                 1      1450      0      0
ENERNOC INC          COMMON STOCK    292764107    1246      40975 Shares                 X                 3     40975      0      0
ENTERGY CORP COM NEW COMMON STOCK    29364G103     994      12149 Shares                 X                 1     12149      0      0
ENTERGY CORP COM NEW COMMON STOCK    29364G103     148       1809 Shares                         X         1      1809      0      0
ENTERPRISE PRODUCTS
PARTNERS L           COMMON STOCK    293792107     142       4506 Shares                 X                 1      4506      0      0
ENTERPRISE PRODUCTS
PARTNERS L           COMMON STOCK    293792107      57       1800 Shares                         X         1      1800      0      0
ENTERPRISE PRODUCTS
PARTNERS L           COMMON STOCK    293792107   10523     344704 Shares                 X                 2     33382      0 311322
ENVIRONMENTAL POWER
CORP                 COMMON STOCK    29406L201       0        100 Shares                 X                 1       100      0      0
EQUIFAX INC COM      COMMON STOCK    294429105      51       1650 Shares                         X         1      1650      0      0
EQUITY ONE
INCORPORATED         COMMON STOCK    294752100       8        500 Shares                 X                 1         0      0      0
EQUITY RESIDENTIAL
(REIT)               COMMON STOCK    29476L107     122       3600 Shares                         X         1         0      0      0



                                    15 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
TELEFONAKTIEBOLAGET
LM ERICSSO           COMMON STOCK    294821608      32       3472 Shares                 X                 1      3472      0      0
ERIE INDEMNITY CO CL
A                    COMMON STOCK    29530P102    1662      42583 Shares                 X                 1     42583      0      0
DELHAIZE GROUP
SPONSORED ADR        COMMON STOCK    29759W101       8        100 Shares                 X                 1       100      0      0
EVERCORE PARTNERS
INC CL A             COMMON STOCK    29977A105      46       1525 Shares                 X                 1      1525      0      0
EVERCORE PARTNERS
INC CL A             COMMON STOCK    29977A105    1255      41300 Shares                 X                 3     41300      0      0
EVERGREEN INCOME ADV
FD                   PREFERRED STOCK 30023Y105      17       1800 Shares                 X                 1         0      0      0
EVERGREEN ENERGY INC COMMON STOCK    30024B104       7      20000 Shares                 X                 2         0      0  20000
EXELON CORP          COMMON STOCK    30161N101    3910      80015 Shares                 X                 1     79095      0    920
EXELON CORP          COMMON STOCK    30161N101    1267      25922 Shares                         X         1     24572      0   1350
EXELON CORP          COMMON STOCK    30161N101      39        800 Shares                 X                 3       800      0      0
EXPEDIA INC          COMMON STOCK    30212P105      20        775 Shares                 X                 1       775      0      0
EXPEDIA INC          COMMON STOCK    30212P105     550      21400 Shares                 X                 3     21400      0      0
EXPEDITORS INTL WASH
INC COM              COMMON STOCK    302130109    1159      33324 Shares                 X                 1     33282      0     42
EXPEDITORS INTL WASH
INC COM              COMMON STOCK    302130109     115       3320 Shares                         X         1      3120      0    200
EXPEDITORS INTL WASH
INC COM              COMMON STOCK    302130109    1957      56338 Shares                 X                 3     56338      0      0
EXPRESS-1 EXPEDITED
SOLUTIONS            COMMON STOCK    30217Q108       1        800 Shares                 X                 1       800      0      0
EXPRESS SCRIPTS INC  COMMON STOCK    302182100   13042     150912 Shares                 X                 1    147887      0   3025
EXPRESS SCRIPTS INC  COMMON STOCK    302182100    3647      42201 Shares                         X         1     39461      0   2740
EXPRESS SCRIPTS INC  COMMON STOCK    302182100    2182      25233 Shares                 X                 3     23232      0   2001
EXXON MOBIL CORP     COMMON STOCK    30231G102   61839     906864 Shares                 X                 1    889727      0  17137
EXXON MOBIL CORP     COMMON STOCK    30231G102   53155     779508 Shares                         X         1    702646      0  76862
EXXON MOBIL CORP     COMMON STOCK    30231G102    5496      94543 Shares                 X                 2     24995      0  69548
EXXON MOBIL CORP     COMMON STOCK    30231G102    3458      50717 Shares                 X                 3     46126      0   4591
EXXON MOBIL CORP     COMMON STOCK    30231G102      20        300 Shares                 X                 4       300      0      0
EXXON MOBIL CORP     COMMON STOCK    30231G102     191       2800 Shares                         X         4      2800      0      0
FLIR SYSTEMS INC     COMMON STOCK    302445101     231       7049 Shares                 X                 1      7049      0      0
FLIR SYSTEMS INC     COMMON STOCK    302445101      43       1325 Shares                         X         1      1325      0      0
FLIR SYSTEMS INC     COMMON STOCK    302445101    1980      60500 Shares                 X                 3     60500      0      0
FMC CORP             COMMON STOCK    302491303       1         21 Shares                 X                 1        21      0      0
FMC TECHNOLOGIES INC
COM                  COMMON STOCK    30249U101     263       4552 Shares                 X                 1      4552      0      0
FMC TECHNOLOGIES INC
COM                  COMMON STOCK    30249U101    1753      30300 Shares                 X                 3     30300      0      0
FNB CORP PA          COMMON STOCK    302520101      48       7034 Shares                 X                 1      7034      0      0
FNB CORP PA          COMMON STOCK    302520101     142      20921 Shares                         X         1     16014      0   4907
FPL GROUP INC COM    COMMON STOCK    302571104    4931      93346 Shares                 X                 1     93271      0     75
FPL GROUP INC COM    COMMON STOCK    302571104    3136      59373 Shares                         X         1     50581      0   8792
FPL GROUP INC COM    COMMON STOCK    302571104      16        300 Shares                 X                 2         0      0    300
FPL GROUP INC COM    COMMON STOCK    302571104      16        300 Shares                 X                 4       300      0      0
FACTSET RESEARCH
SYSTEMS INC          COMMON STOCK    303075105      33        500 Shares                         X         1       500      0      0
FAMILY DOLLAR STORES COMMON STOCK    307000109      11        400 Shares                 X                 1       400      0      0
FAMILY DOLLAR STORES COMMON STOCK    307000109       2         75 Shares                         X         1        75      0      0
FASTENAL CO          COMMON STOCK    311900104     178       4274 Shares                 X                 1      4274      0      0
FASTENAL CO          COMMON STOCK    311900104      42       1000 Shares                         X         1      1000      0      0
FASTENAL CO          COMMON STOCK    311900104    1299      31200 Shares                 X                 3     31200      0      0
FREDDIE MAC          COMMON STOCK    313400301      19      13050 Shares                 X                 2         0      0  13050
FED NATL MTG ASSN    COMMON STOCK    313586109       1       1000 Shares                 X                 1      1000      0      0
FED NATL MTG ASSN    COMMON STOCK    313586109       3       2500 Shares                         X         1       500      0   2000
FED NATL MTG ASSN    COMMON STOCK    313586109      10       8333 Shares                 X                 2         0      0   8333
FEDERAL REALTY INV
TR (REIT)            COMMON STOCK    313747206       1         12 Shares                 X                 1         0      0      0
FEDERAL REALTY INV
TR (REIT)            COMMON STOCK    313747206     339       5000 Shares                 X                 2         0      0      0
FEDERATED INVS INC   CLASS B         314211103      41       1500 Shares                 X                 3      1500      0      0
FEDEX CORP COM       COMMON STOCK    31428X106    1943      23284 Shares                 X                 1     21034      0   2250
FEDEX CORP COM       COMMON STOCK    31428X106     345       4134 Shares                         X         1      3359      0    775
FEDEX CORP COM       COMMON STOCK    31428X106     255       3050 Shares                 X                 2         0      0   3050
FEDEX CORP COM       COMMON STOCK    31428X106    1575      18864 Shares                 X                 3     18864      0      0
FERRELLGAS PARTNERS
LP                   COMMON STOCK    315293100      42       2000 Shares                 X                 1      2000      0      0
F5 NETWORKS INC      COMMON STOCK    315616102    1097      20707 Shares                 X                 1     20671      0     36
F5 NETWORKS INC      COMMON STOCK    315616102     237       4473 Shares                         X         1      4473      0      0
F5 NETWORKS INC      COMMON STOCK    315616102    1716      32400 Shares                 X                 3     32400      0      0
FIDELITY NATL
INFORMATION SERV     COMMON STOCK    31620M106      38       1620 Shares                 X                 3      1620      0      0
FIDELITY NATIONAL
FINANCIAL -          COMMON STOCK    31620R105      19       1441 Shares                 X                 2         0      0   1441
FIFTH THIRD BANCORP
COM                  COMMON STOCK    316773100      96       9856 Shares                 X                 1      9856      0      0
FIFTH THIRD BANCORP
COM                  COMMON STOCK    316773100     680      69763 Shares                 X                 2         0      0  69763



                                    16 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
FINANCIAL FEDERAL
CORP                 COMMON STOCK    317492106      15        558 Shares                 X                 1       558      0      0
FIRST COMMUNITY BANK
CORP OF A            COMMON STOCK    31985E202      16       6615 Shares                 X                 2         0      0   6615
FIRST HORIZON
NATIONAL CORP        COMMON STOCK    320517105       1        108 Shares                         X         1       108      0      0
FIRST INDUSTRIAL
REALTY TR (RE        COMMON STOCK    32054K103       9       1712 Shares                 X                 1         0      0      0
THE FIRST MARBLEHEAD
CORPORATI            COMMON STOCK    320771108      65      33975 Shares                 X                 2     23975      0  10000
FIRST MARINER
BANCORP INCORPOR     COMMON STOCK    320795107       3       3000 Shares                         X         1      3000      0      0
FIRST NIAGARA
FINANCIAL GROUP      COMMON STOCK    33582V108       4        292 Shares                 X                 1       292      0      0
FIRST NIAGARA
FINANCIAL GROUP      COMMON STOCK    33582V108       3        225 Shares                         X         1       225      0      0
FIRST SOLAR INC      COMMON STOCK    336433107     330       2438 Shares                 X                 1      2438      0      0
FIRST SOLAR INC      COMMON STOCK    336433107     125        925 Shares                         X         1       600      0    325
FIRST SOLAR INC      COMMON STOCK    336433107      14        100 Shares                 X                 2         0      0    100
FIRST TRUST ISE -
REVERE NATUR         PREFERRED STOCK 33734J102     107       6100 Shares                 X                 1         0      0      0
FISERV INC           COMMON STOCK    337738108       5        100 Shares                 X                 1       100      0      0
FISERV INC           COMMON STOCK    337738108      12        250 Shares                         X         1        50      0    200
FISERV INC           COMMON STOCK    337738108     766      15800 Shares                 X                 2      6000      0   9800
FIRSTENERGY CORP COM COMMON STOCK    337932107     280       6030 Shares                 X                 1      6030      0      0
FIRSTENERGY CORP COM COMMON STOCK    337932107     120       2576 Shares                         X         1      2576      0      0
FIRSTENERGY CORP COM COMMON STOCK    337932107      45        960 Shares                 X                 2         0      0    960
FIVE STAR QUALITY
CARE INC             COMMON STOCK    33832D106       0         10 Shares                         X         1         0      0     10
FLANDERS CORPORATION COMMON STOCK    338494107    1522     369406 Shares                 X                 2    176406      0 193000
FLEXIBLE SOLUTIONS
INTERNATION          COMMON STOCK    33938T104       0        250 Shares                 X                 1       250      0      0
FLUOR CORP           COMMON STOCK    343412102     231       5130 Shares                 X                 1      5130      0      0
FLUOR CORP           COMMON STOCK    343412102     149       3300 Shares                         X         1      3300      0      0
FLOWERS FOODS INC
COM                  COMMON STOCK    343498101      12        500 Shares                 X                 1       500      0      0
FLOWERS FOODS INC
COM                  COMMON STOCK    343498101      84       3530 Shares                 X                 2         0      0   3530
FLOWSERVE CORP COM   COMMON STOCK    34354P105      57        600 Shares                 X                 1       600      0      0
FOOT LOCKER INC      COMMON          344849104      43       3900 Shares                 X                 3      3900      0      0
FORD MOTOR CO        COMMON STOCK    345370860      46       4613 Shares                 X                 1      4138      0    475
FORD MOTOR CO        COMMON STOCK    345370860      68       6813 Shares                         X         1      6350      0    463
FORD MOTOR CO        COMMON STOCK    345370860     159      15000 Shares                 X                 2     15000      0      0
FORD MOTOR CAP TR II
PFD CONV             PREFERRED STOCK 345395206      27        665 Shares                         X         1         0      0      0
FOREST CITY
ENTERPRISES INC      COMMON STOCK    345550107      12       1000 Shares                 X                 2         0      0   1000
FOREST LABS INC COM  COMMON STOCK    345838106    1067      33233 Shares                 X                 1     33233      0      0
FOREST LABS INC COM  COMMON STOCK    345838106      65       2035 Shares                         X         1      2035      0      0
FOREST LABS INC COM  COMMON STOCK    345838106    2158      67209 Shares                 X                 3     65731      0   1478
FOREST OIL CORP      COMMON STOCK    346091705      11        500 Shares                 X                 1       500      0      0
FORESTAR GROUP INC   COMMON STOCK    346233109       1         42 Shares                 X                 1        42      0      0
FORTUNE BRANDS INC   COMMON STOCK    349631101     490      11332 Shares                 X                 1     11332      0      0
FORTUNE BRANDS INC   COMMON STOCK    349631101     281       6509 Shares                         X         1      6402      0    107
FORTUNE BRANDS INC   COMMON STOCK    349631101      26        600 Shares                 X                 3       600      0      0
FOSSIL INC           COMMON STOCK    349882100      31        925 Shares                 X                 1       925      0      0
FOSSIL INC           COMMON STOCK    349882100     872      25975 Shares                 X                 3     25975      0      0
FRANCE TELECOM
SA-SPONS ADR         COMMON STOCK    35177Q105      44       1754 Shares                 X                 1      1754      0      0
FRANCE TELECOM
SA-SPONS ADR         COMMON STOCK    35177Q105       1         46 Shares                         X         1         0      0     46
FRANKLIN RESOURCES
INC                  COMMON STOCK    354613101      75        716 Shares                 X                 1       716      0      0
FRANKLIN RESOURCES
INC                  COMMON STOCK    354613101      26        250 Shares                         X         1       250      0      0
FREEPORT-MCMORAN
CPR & GLD INC        COMMON STOCK    35671D857    3018      37591 Shares                 X                 1     36979      0    612
FREEPORT-MCMORAN
CPR & GLD INC        COMMON STOCK    35671D857     589       7333 Shares                         X         1      4938      0   2395
FREEPORT-MCMORAN
CPR & GLD INC        COMMON STOCK    35671D857    1957      24384 Shares                 X                 3     24384      0      0
FRONTEER DEVELOPMENT
GROUP INC            COMMON STOCK    35903Q106       2        500 Shares                 X                 1       500      0      0
FRONTIER
COMMUNICATIONS CORP  COMMON STOCK    35906A108      49       6327 Shares                 X                 1      6327      0      0
FRONTIER
COMMUNICATIONS CORP  COMMON STOCK    35906A108      12       1500 Shares                         X         1      1500      0      0
FRONTIER
COMMUNICATIONS CORP  COMMON STOCK    35906A108      41       5300 Shares                 X                 3      5300      0      0
FUEL SYSTEMS
SOLUTIONS INC        COMMON STOCK    35952W103      54       1300 Shares                 X                 1      1300      0      0
FUEL SYSTEMS
SOLUTIONS INC        COMMON STOCK    35952W103    1471      35675 Shares                 X                 3     35675      0      0
FULL HOUSE RESORTS
INC                  COMMON STOCK    359678109       2        500 Shares                 X                 1       500      0      0
FULTON FINANCIAL
CORP                 COMMON STOCK    360271100    1321     151499 Shares                 X                 1    151499      0      0
FULTON FINANCIAL
CORP                 COMMON STOCK    360271100     300      34434 Shares                         X         1     32292   1800    342
FULTON FINANCIAL
CORP                 COMMON STOCK    360271100      87      10000 Shares                 X                 3     10000      0      0
FULTON FINANCIAL
CORP                 COMMON STOCK    360271100    3421     392282 Shares           X                            392282      0      0
GSI COMMERCE INC     COMMON STOCK    36238G102      37       1475 Shares                 X                 1      1475      0      0
GSI COMMERCE INC     COMMON STOCK    36238G102    1036      40775 Shares                 X                 3     40775      0      0



                                    17 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
GTC BIOTHERAPEUTICS
INC                  COMMON STOCK    36238T203      11      15000 Shares                 X                 1     15000      0      0
GABELLI EQUITY TRUST PREFERRED STOCK 362397101       8       1509 Shares                 X                 1         0      0      0
GALLAGHER ARTHUR
J. & CO              COMMON STOCK    363576109      23       1000 Shares                 X                 1      1000      0      0
GAMESTOP CORP -
CLASS A              COMMON STOCK    36467W109    1451      66152 Shares                 X                 1     64392      0   1760
GAMESTOP CORP -
CLASS A              COMMON STOCK    36467W109      43       1975 Shares                         X         1       275      0   1700
GAMESTOP CORP -
CLASS A              COMMON STOCK    36467W109    2829     128944 Shares                 X                 3    128944      0      0
GANNETT CO INC       COMMON STOCK    364730101      55       3701 Shares                 X                 1      3701      0      0
GANNETT CO INC       COMMON STOCK    364730101      32       2175 Shares                         X         1      2175      0      0
GAP INC COM          COMMON STOCK    364760108      38       1800 Shares                 X                 1      1800      0      0
GAP INC COM          COMMON STOCK    364760108      63       3000 Shares                         X         1      3000      0      0
GENERAL AMERICAN
INVESTORS CO         PREFERRED STOCK 368802104      43       1829 Shares                 X                 2         0      0      0
GENERAL
COMMUNICATIONS INC
CLA                  COMMON STOCK    369385109       1        200 Shares                 X                 2         0      0    200
GENERAL DYNAMICS
CORP COM             COMMON STOCK    369550108    2757      40441 Shares                 X                 1     40441      0      0
GENERAL DYNAMICS
CORP COM             COMMON STOCK    369550108     804      11800 Shares                         X         1     11800      0      0
GENERAL DYNAMICS
CORP COM             COMMON STOCK    369550108      32        467 Shares                 X                 2         0      0    467
GENERAL DYNAMICS
CORP COM             COMMON STOCK    369550108      34        500 Shares                 X                 3       500      0      0
GENERAL ELECTRIC
COMPANY              COMMON STOCK    369604103   24129    1594789 Shares                 X                 1   1567952      0  26837
GENERAL ELECTRIC
COMPANY              COMMON STOCK    369604103   21479    1419598 Shares                         X         1   1358221      0  61377
GENERAL ELECTRIC
COMPANY              COMMON STOCK    369604103   10932     775061 Shares                 X                 2    184946      0 590115
GENERAL ELECTRIC
COMPANY              COMMON STOCK    369604103     752      49735 Shares                 X                 3     39485      0  10250
GENERAL ELECTRIC
COMPANY              COMMON STOCK    369604103       8        550 Shares                 X                 4       550      0      0
GENERAL ELECTRIC
COMPANY              COMMON STOCK    369604103      15       1000 Shares                         X         4      1000      0      0
GENERAL MILLS INC    COMMON STOCK    370334104    5068      71571 Shares                 X                 1     71571      0      0
GENERAL MILLS INC    COMMON STOCK    370334104    1883      26590 Shares                         X         1     25990      0    600
GENERAL MILLS INC    COMMON STOCK    370334104     142       2000 Shares                 X                 2         0      0   2000
GENERAL MILLS INC    COMMON STOCK    370334104     213       3000 Shares                 X                 3      3000      0      0
GENERAL MILLS INC    COMMON STOCK    370334104      11        150 Shares                 X                 4       150      0      0
GENESIS LEASE
LTD-ADS              COMMON STOCK    37183T107       4        500 Shares                 X                 1       500      0      0
GENOPTIX INC         COMMON STOCK    37243V100      53       1500 Shares                 X                 1      1500      0      0
GENOPTIX INC         COMMON STOCK    37243V100    1481      41675 Shares                 X                 3     41675      0      0
GENUINE PARTS INC    COMMON STOCK    372460105     142       3750 Shares                 X                 1      3750      0      0
GENUINE PARTS INC    COMMON STOCK    372460105     237       6250 Shares                         X         1      6250      0      0
GENWORTH FINANCIAL
INC - CL A           COMMON STOCK    37247D106       3        262 Shares                 X                 1       262      0      0
GEOEYE INC           COMMON STOCK    37250W108      17        625 Shares                 X                 1       625      0      0
GEOEYE INC           COMMON STOCK    37250W108     608      21825 Shares                 X                 3     21825      0      0
GENZYME CORP COM     COMMON STOCK    372917104    1059      21606 Shares                 X                 1     21206      0    400
GENZYME CORP COM     COMMON STOCK    372917104      96       1960 Shares                         X         1      1960      0      0
GERON CORP           COMMON STOCK    374163103       2        300 Shares                 X                 1       300      0      0
GIBRALTAR INDUSTRIES
INC                  COMMON STOCK    374689107      39       2500 Shares                 X                 1         0      0   2500
GILEAD SCIENCES INC
COM                  COMMON STOCK    375558103    5240     121108 Shares                 X                 1    120714      0    394
GILEAD SCIENCES INC
COM                  COMMON STOCK    375558103     840      19420 Shares                         X         1     18045      0   1375
GILEAD SCIENCES INC
COM                  COMMON STOCK    375558103     955      22056 Shares                 X                 3     19849      0   2207
GLADSTONE CAPITAL
CORP                 COMMON STOCK    376535100      38       5000 Shares                 X                 1      5000      0      0
GLADSTONE CAPITAL
CORP                 COMMON STOCK    376535100    2918     403725 Shares                 X                 2    110215      0 293510
GLADSTONE COMMERCIAL
CORP                 COMMON STOCK    376536108      54       4000 Shares                 X                 1         0      0      0
GLADSTONE COMMERCIAL
CORP                 COMMON STOCK    376536108    5316     396447 Shares                 X                 2         0      0      0
GLATFELTER           COMMON STOCK    377316104     324      26645 Shares                 X                 1     26645      0      0
GLATFELTER           COMMON STOCK    377316104      16       1350 Shares                         X         1      1350      0      0
GLAXOSMITHKLINE PLC
ADR                  COMMON STOCK    37733W105     848      20060 Shares                 X                 1     19150      0    910
GLAXOSMITHKLINE PLC
ADR                  COMMON STOCK    37733W105    1342      31764 Shares                         X         1     25210      0   6554
GLAXOSMITHKLINE PLC
ADR                  COMMON STOCK    37733W105      76       1800 Shares                 X                 2         0      0   1800
GLOBAL PAYMENTS INC  COMMON STOCK    37940X102     303       5625 Shares                 X                 1      5625      0      0
GLOBAL PAYMENTS INC  COMMON STOCK    37940X102    2360      43825 Shares                 X                 3     43825      0      0
GOLD FIELDS LIMITED
ADR                  COMMON STOCK    38059T106      16       1189 Shares                 X                 1      1189      0      0
GOLDCORP INC         COMMON STOCK    380956409      49       1233 Shares                 X                 1      1233      0      0
GOLDCORP INC         COMMON STOCK    380956409       1         30 Shares                         X         1        30      0      0
GOLDCORP INC         COMMON STOCK    380956409       6        160 Shares                 X                 2         0      0    160
GOLDMAN SACHS GROUP
INC COM              COMMON STOCK    38141G104    9092      53849 Shares                 X                 1     52729      0   1120
GOLDMAN SACHS GROUP
INC COM              COMMON STOCK    38141G104    1449       8583 Shares                         X         1      7753      0    830
GOLDMAN SACHS GROUP
INC COM              COMMON STOCK    38141G104     263       1560 Shares                 X                 2         0      0   1560
GOLDMAN SACHS GROUP
INC COM              COMMON STOCK    38141G104    3558      21081 Shares                 X                 3     20395      0    686
GOODRICH CORP        COMMON STOCK    382388106      19        300 Shares                 X                 1       300      0      0



                                    18 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
GOODRICH CORP        COMMON STOCK    382388106     700      10900 Shares                 X                 3     10900      0      0
GOOGLE INC CL A      COMMON STOCK    38259P508   12109      19531 Shares                 X                 1     19372      0    159
GOOGLE INC CL A      COMMON STOCK    38259P508    1066       1720 Shares                         X         1      1290      0    430
GOOGLE INC CL A      COMMON STOCK    38259P508   17946      31443 Shares                 X                 2     11112      0  20331
GOOGLE INC CL A      COMMON STOCK    38259P508    6464      10426 Shares                 X                 3     10103      0    323
GOVERNMENT
PROPERTIES INCOME T  COMMON STOCK    38376A103    1506      74252 Shares                 X                 2     20100      0      0
GRACO INC COM        COMMON STOCK    384109104     165       5764 Shares                 X                 1      5764      0      0
GRACO INC COM        COMMON STOCK    384109104      19        650 Shares                         X         1       650      0      0
GRACO INC COM        COMMON STOCK    384109104    1096      38361 Shares                 X                 3     38361      0      0
GRAFTECH
INTERNATIONAL LTD    COMMON STOCK    384313102      47       3030 Shares                 X                 1      3030      0      0
GRAFTECH
INTERNATIONAL LTD    COMMON STOCK    384313102    1110      71375 Shares                 X                 3     71375      0      0
W W GRAINGER INC COM COMMON STOCK    384802104     562       5800 Shares                 X                 1      5800      0      0
W W GRAINGER INC COM COMMON STOCK    384802104     249       2575 Shares                         X         1      2575      0      0
W W GRAINGER INC COM COMMON STOCK    384802104      97       1000 Shares                 X                 2         0      0   1000
GREAT PLAINS ENERGY
INC                  COMMON STOCK    391164100      15        770 Shares                 X                 1       770      0      0
GREAT PLAINS ENERGY
INC                  COMMON STOCK    391164100      16        850 Shares                         X         1       850      0      0
GREAT PLAINS ENERGY
INC                  COMMON STOCK    391164100      43       2200 Shares                 X                 3      2200      0      0
GREATER CHINA FUND
INC                  PREFERRED STOCK 39167B102       2        150 Shares                         X         1         0      0      0
GREENBRIER COS CONV
2.375%  5            OTHER           393657AD3     375     500000 Shares                 X                 2         0      0      0
GRUPO TELEVISA SA
SPONS ADR            COMMON STOCK    40049J206       2         88 Shares                 X                 1        88      0      0
GULF ISLAND
FABRICATION INC CO   COMMON STOCK    402307102      39       1850 Shares                 X                 1      1850      0      0
GULF ISLAND
FABRICATION INC CO   COMMON STOCK    402307102    1072      50950 Shares                 X                 3     50950      0      0
THE GYMBOREE
CORPORATION          COMMON STOCK    403777105      13        297 Shares                 X                 1       297      0      0
H&E EQUIPMENT
SERVICES INC         COMMON STOCK    404030108       4        394 Shares                 X                 1       394      0      0
HCC INS HLDGS INC
COM                  COMMON STOCK    404132102     294      10518 Shares                 X                 1     10518      0      0
HCC INS HLDGS INC
COM                  COMMON STOCK    404132102       3        100 Shares                         X         1       100      0      0
HCC INS HLDGS INC
COM                  COMMON STOCK    404132102    1978      70716 Shares                 X                 3     70716      0      0
HCP INCORPORATED
REITS                COMMON STOCK    40414L109      55       1811 Shares                 X                 1         0      0      0
HCP INCORPORATED
REITS                COMMON STOCK    40414L109       1         20 Shares                         X         1         0      0      0
HCP INCORPORATED
REITS                COMMON STOCK    40414L109     101       3316 Shares                 X                 2         0      0      0
HDFC BANK LIMITED
- ADR                COMMON STOCK    40415F101       3         24 Shares                 X                 1        24      0      0
HDFC BANK LIMITED
- ADR                COMMON STOCK    40415F101       3         22 Shares                         X         1        22      0      0
HMS HOLDINGS
CORPORATION          COMMON STOCK    40425J101      43        875 Shares                 X                 1       875      0      0
HMS HOLDINGS
CORPORATION          COMMON STOCK    40425J101    1191      24450 Shares                 X                 3     24450      0      0
HRPT PROPERTIES
TRUST (REIT)         COMMON STOCK    40426W101       8       1200 Shares                         X         1         0      0      0
HRPT PROPERTIES PFD
CONV 6.50%           PREFERRED STOCK 40426W507    3279     198400 Shares                 X                 2     66900      0      0
HSBC HOLDINGS PLC
SPON ADR             COMMON STOCK    404280406      54        951 Shares                 X                 1       951      0      0
HSBC HOLDINGS PLC
SPON ADR             COMMON STOCK    404280406      14        250 Shares                         X         1       250      0      0
HSBC HOLDINGS PLC
PFD 6.2SER A         PREFERRED STOCK 404280604      21       1000 Shares                 X                 1         0      0      0
HALLIBURTON HLDG CO
COM                  COMMON STOCK    406216101     186       6188 Shares                 X                 1      5088      0   1100
HALLIBURTON HLDG CO
COM                  COMMON STOCK    406216101     241       8025 Shares                         X         1      8025      0      0
HAMPTON ROADS
BANKSHARES INC       COMMON STOCK    409321106       1        670 Shares                 X                 2         0      0    670
JOHN HANCOCK BANK &
THRIFT OPP           PREFERRED STOCK 409735206       7        500 Shares                 X                 1         0      0      0
JOHN HANCOCK BANK &
THRIFT OPP           PREFERRED STOCK 409735206       6        404 Shares                 X                 2         0      0      0
JOHN HANCOCK PATR
PREM DIV FD          PREFERRED STOCK 41013T105      11       1123 Shares                         X         1         0      0      0
JOHN HANCOCK PFD INC
FD II                PREFERRED STOCK 41013X106      18       1050 Shares                 X                 1         0      0      0
HANESBRANDS INC      COMMON STOCK    410345102       0         12 Shares                 X                 1        12      0      0
HANESBRANDS INC      COMMON STOCK    410345102      14        600 Shares                         X         1       200      0    400
HANGER ORTHOPEDIC
GROUP INC            COMMON STOCK    41043F208      11        788 Shares                 X                 1       788      0      0
HARLEY-DAVIDSON INC  COMMON STOCK    412822108     166       6574 Shares                 X                 1      6574      0      0
HARLEY-DAVIDSON INC  COMMON STOCK    412822108      91       3600 Shares                         X         1       400      0   3200
HARLEYSVILLE
NATIONAL CORP        COMMON STOCK    412850109       3        500 Shares                 X                 1       500      0      0
HARMONY GOLD
MINING-SPON ADR      COMMON STOCK    413216300       1        116 Shares                 X                 1       116      0      0
HARRIS & HARRIS
GROUP INC            COMMON STOCK    413833104       0        100 Shares                 X                 1       100      0      0
HARRIS CORP          COMMON STOCK    413875105    3437      72277 Shares                 X                 1     72277      0      0
HARRIS CORP          COMMON STOCK    413875105     366       7705 Shares                         X         1      7705      0      0
HARRIS CORP          COMMON STOCK    413875105    1018      21388 Shares                 X                 3     20117      0   1271
HARRIS STRATEX
NETWORKS INC         COMMON STOCK    41457P106      11       1536 Shares                 X                 1      1536      0      0
HARRIS STRATEX
NETWORKS INC         COMMON STOCK    41457P106       3        384 Shares                         X         1       384      0      0
HARSCO CORP          COMMON STOCK    415864107    9131     283320 Shares                 X                 1    279245      0   4075
HARSCO CORP          COMMON STOCK    415864107    3212      99666 Shares                         X         1     97866      0   1800
HARSCO CORP          COMMON STOCK    415864107    2907      90179 Shares                 X                 3     88179      0   2000



                                    19 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
HARTFORD FINANCIAL
SVCS GRP IN          COMMON STOCK    416515104     195       8397 Shares                 X                 1      8397      0      0
HARTFORD FINANCIAL
SVCS GRP IN          COMMON STOCK    416515104     170       7320 Shares                         X         1      6280      0   1040
HARTFORD FINANCIAL
SVCS GRP IN          COMMON STOCK    416515104      27       1140 Shares                 X                 2         0      0   1140
HARTFORD FINANCIAL
SVCS GRP IN          COMMON STOCK    416515104       2        100 Shares                 X                 4       100      0      0
HATTERAS FINANCIAL
CORP                 COMMON STOCK    41902R103     186       6645 Shares                 X                 1         0      0      0
HATTERAS FINANCIAL
CORP                 COMMON STOCK    41902R103      72       2576 Shares                         X         1         0      0      0
HATTERAS FINANCIAL
CORP                 COMMON STOCK    41902R103      28       1000 Shares                 X                 2         0      0      0
HEALTHSOUTH CORP     COMMON STOCK    421924309      54       2875 Shares                 X                 1      2875      0      0
HEALTHSOUTH CORP     COMMON STOCK    421924309    1492      79500 Shares                 X                 3     79500      0      0
HEALTH MANAGEMENT-
CLASS A              COMMON STOCK    421933102       7        895 Shares                         X         1       895      0      0
HEALTHCARE REALTY
TRUST INC (R         COMMON STOCK    421946104     142       6600 Shares                 X                 2         0      0      0
HEALTH CARE REIT INC COMMON STOCK    42217K106      12        274 Shares                 X                 1         0      0      0
HEALTH CARE REIT INC COMMON STOCK    42217K106       1         12 Shares                         X         1         0      0      0
HEALTH CARE REIT INC COMMON STOCK    42217K106     133       3000 Shares                 X                 2         0      0      0
HEALTH NET INC COM   COMMON STOCK    42222G108      36       1525 Shares                 X                 1      1525      0      0
HEALTH NET INC COM   COMMON STOCK    42222G108     974      41800 Shares                 X                 3     41800      0      0
HECLA MNG CO COM     COMMON STOCK    422704106      58       9450 Shares                 X                 1      9450      0      0
HECLA MNG CO COM     COMMON STOCK    422704106    1562     252750 Shares                 X                 3    252750      0      0
HEINZ H J CO COM     COMMON STOCK    423074103    1205      28191 Shares                 X                 1     28191      0      0
HEINZ H J CO COM     COMMON STOCK    423074103     503      11772 Shares                         X         1     11710      0     62
HEINZ H J CO COM     COMMON STOCK    423074103      77       1800 Shares                 X                 2         0      0   1800
HELIX ENERGY
SOLUTIONS GRP        COMMON STOCK    42330P107       3        218 Shares                 X                 1       218      0      0
HENRY JACK & ASSOC
INC COM              COMMON STOCK    426281101      12        500 Shares                 X                 1       500      0      0
HERCULES TECHNOLOGY
GROWTH               COMMON STOCK    427096508       8        812 Shares                 X                 1       812      0      0
HERITAGE FINANCIAL
GROUP                COMMON STOCK    42725U109      22       3000 Shares                 X                 2         0      0   3000
THE HERSHEY COMPANY  COMMON STOCK    427866108    2701      75475 Shares                 X                 1     73075      0   2400
THE HERSHEY COMPANY  COMMON STOCK    427866108    1224      34194 Shares                         X         1     28494      0   5700
THE HERSHEY COMPANY  COMMON STOCK    427866108      29        800 Shares                 X                 2         0      0    800
THE HERSHEY COMPANY  COMMON STOCK    427866108     145       4064 Shares                 X                 3      2143      0   1921
HESS CORPORATION     COMMON STOCK    42809H107       4         71 Shares                 X                 1        71      0      0
HESS CORPORATION     COMMON STOCK    42809H107     121       2000 Shares                         X         1      2000      0      0
HEWLETT-PACKARD CO   COMMON STOCK    428236103   13102     254350 Shares                 X                 1    251968      0   2382
HEWLETT-PACKARD CO   COMMON STOCK    428236103    3044      59094 Shares                         X         1     52154      0   6940
HEWLETT-PACKARD CO   COMMON STOCK    428236103    3005      58332 Shares                 X                 2     16500      0  41832
HEWLETT-PACKARD CO   COMMON STOCK    428236103    4394      85307 Shares                 X                 3     81723      0   3584
HEWLETT-PACKARD CO   COMMON STOCK    428236103      12        237 Shares                 X                 4       237      0      0
HEWLETT-PACKARD CO   COMMON STOCK    428236103      98       1900 Shares                         X         4      1900      0      0
HHGREGG INC          COMMON STOCK    42833L108      25       1125 Shares                 X                 1      1125      0      0
HHGREGG INC          COMMON STOCK    42833L108     696      31575 Shares                 X                 3     31575      0      0
HIGHWOODS PROPERTIES
(REIT)               COMMON STOCK    431284108       1         34 Shares                 X                 1         0      0      0
HITACHI LTD SPONS
ADR                  COMMON STOCK    433578507       0         10 Shares                 X                 1        10      0      0
HOKU SCIENTIFIC INC  COMMON STOCK    434712105       1        500 Shares                 X                 1       500      0      0
HOLOGIC INC COM      COMMON STOCK    436440101    1475     101745 Shares                 X                 1    101745      0      0
HOLOGIC INC COM      COMMON STOCK    436440101     177      12177 Shares                         X         1      6977      0   5200
HOLOGIC INC COM      COMMON STOCK    436440101    1557     107367 Shares                 X                 3    102200      0   5167
HOME DEPOT INC COM   COMMON STOCK    437076102    6200     214302 Shares                 X                 1    210602      0   3700
HOME DEPOT INC COM   COMMON STOCK    437076102    2333      80650 Shares                         X         1     74125      0   6525
HOME DEPOT INC COM   COMMON STOCK    437076102     992      36300 Shares                 X                 2     21700      0  14600
HOME DEPOT INC COM   COMMON STOCK    437076102     327      11294 Shares                 X                 3      8421      0   2873
HOME DEPOT INC COM   COMMON STOCK    437076102       6        200 Shares                 X                 4       200      0      0
HOME PROPERTIES INC
(REIT)               COMMON STOCK    437306103      61       1288 Shares                 X                 1         0      0      0
HOME PROPERTIES INC
(REIT)               COMMON STOCK    437306103     119       2500 Shares                         X         1         0      0      0
HOME PROPERTIES INC
(REIT)               COMMON STOCK    437306103    8017     175839 Shares                 X                 2     17150      0      0
HONDA MTR LTD AMERN
SHS                  COMMON STOCK    438128308       2         52 Shares                 X                 1        52      0      0
HONEYWELL INTL INC
COM                  COMMON STOCK    438516106    1096      27955 Shares                 X                 1     27955      0      0
HONEYWELL INTL INC
COM                  COMMON STOCK    438516106    1285      32780 Shares                         X         1     32780      0      0
HONEYWELL INTL INC
COM                  COMMON STOCK    438516106    1070      27854 Shares                 X                 2      5924      0  21930
HONEYWELL INTL INC
COM                  COMMON STOCK    438516106      90       2300 Shares                 X                 3      2300      0      0
HONEYWELL INTL INC
COM                  COMMON STOCK    438516106      12        300 Shares                 X                 4       300      0      0
HONEYWELL INTL INC
COM                  COMMON STOCK    438516106       8        200 Shares                         X         4       200      0      0
HOSPIRA INC          COMMON STOCK    441060100     161       3160 Shares                 X                 1      3160      0      0
HOSPIRA INC          COMMON STOCK    441060100     102       2000 Shares                         X         1      1950      0     50



                                    20 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
HOSPITALITY
PROPERTIES TRUST (   COMMON STOCK    44106M102       7        300 Shares                         X         1         0      0      0
HOSPITALITY
PROPERTIES TRUST (   COMMON STOCK    44106M102      47       2000 Shares                 X                 2         0      0      0
HOST HOTELS &
RESORTS INC          COMMON STOCK    44107P104       1         63 Shares                 X                 1         0      0      0
HOST HOTELS &
RESORTS INC          COMMON STOCK    44107P104       3        281 Shares                         X         1         0      0      0
HOST HOTELS &
RESORTS INC          COMMON STOCK    44107P104     143      12230 Shares                 X                 2         0      0      0
HUANENG POWER
INTL-SPONS ADR       COMMON STOCK    443304100      60       2660 Shares                         X         1      2660      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      47       1075 Shares                 X                 1      1075      0      0
HUMANA INC COM       COMMON STOCK    444859102      53       1200 Shares                 X                 2         0      0   1200
HUMANA INC COM       COMMON STOCK    444859102    1073      24450 Shares                 X                 3     24450      0      0
HUMAN GENOME
SCIENCES INC         COMMON STOCK    444903108    1287      42096 Shares                 X                 1     42096      0      0
HUMAN GENOME
SCIENCES INC         COMMON STOCK    444903108      24        800 Shares                         X         1       200      0    600
HUMAN GENOME
SCIENCES INC         COMMON STOCK    444903108      18        600 Shares                 X                 2         0      0    600
HUMAN GENOME
SCIENCES INC         COMMON STOCK    444903108    4686     153158 Shares                 X                 3    153158      0      0
J B HUNT TRANSPORT
SERVICES IN          COMMON STOCK    445658107     313       9710 Shares                 X                 1      9710      0      0
HUNTSMAN CORPORATION COMMON STOCK    447011107       1         77 Shares                 X                 1        77      0      0
IAC/INTERACTIVECORP  COMMON STOCK    44919P508       4        172 Shares                 X                 1       172      0      0
IESI-BFC LIMITED     COMMON STOCK    44951D108      64       4000 Shares                 X                 2         0      0   4000
ING PRIME RATE TR    PREFERRED STOCK 44977W106      10       2000 Shares                         X         1         0      0      0
ING RISK MANAGED
NATURAL RES          PREFERRED STOCK 449810100      85       5000 Shares                         X         1         0      0      0
ING CLARION GLOBAL
R/E INCOME           PREFERRED STOCK 44982G104    8132    1276667 Shares                 X                 1         0      0      0
ING CLARION GLOBAL
R/E INCOME           PREFERRED STOCK 44982G104    1365     214362 Shares                         X         1         0      0      0
ING CLARION GLOBAL
R/E INCOME           PREFERRED STOCK 44982G104    2265     355607 Shares                 X                 3         0      0      0
IMS HEALTH INC COM   COMMON STOCK    449934108     163       7722 Shares                 X                 1      6970      0    752
IMS HEALTH INC COM   COMMON STOCK    449934108       6        300 Shares                         X         1         0      0    300
ISTAR FINANCIAL INC  COMMON STOCK    45031U101       6       2500 Shares                 X                 1         0      0      0
ISTAR FINANCIAL INC  COMMON STOCK    45031U101     423     174820 Shares                 X                 2     43445      0      0
ITT EDUCATIONAL
SERVICES INC C       COMMON STOCK    45068B109     214       2225 Shares                 X                 1      2225      0      0
ITT EDUCATIONAL
SERVICES INC C       COMMON STOCK    45068B109    1843      19200 Shares                 X                 3     19200      0      0
ITT CORP             COMMON STOCK    450911102     126       2526 Shares                 X                 1      2526      0      0
ITT CORP             COMMON STOCK    450911102     189       3805 Shares                         X         1      2880      0    925
ITT CORP             COMMON STOCK    450911102      42        840 Shares                 X                 2         0      0    840
ICON PLC SPONSORED
ADR                  COMMON STOCK    45103T107       4        186 Shares                 X                 1       186      0      0
ICICI BANK LIMITED
SPONSORED A          COMMON STOCK    45104G104       1         28 Shares                 X                 1        28      0      0
ILLINOIS TOOL WKS
INC COM              COMMON STOCK    452308109     787      16394 Shares                 X                 1     16394      0      0
ILLINOIS TOOL WKS
INC COM              COMMON STOCK    452308109     710      14800 Shares                         X         1     14800      0      0
ILLINOIS TOOL WKS
INC COM              COMMON STOCK    452308109    2008      41840 Shares                 X                 2      9600      0  32240
ILLINOIS TOOL WKS
INC COM              COMMON STOCK    452308109      67       1386 Shares                 X                 3      1386      0      0
IMMUCOR INC          COMMON STOCK    452526106      14        670 Shares                 X                 1       670      0      0
IMPERIAL OIL LTD     COMMON STOCK    453038408      97       2500 Shares                         X         1      2500      0      0
IMPERIAL OIL LTD     COMMON STOCK    453038408     104       2700 Shares                 X                 2         0      0   2700
INCYTE GENOMICS INC
COM                  COMMON STOCK    45337C102       4        400 Shares                 X                 1       400      0      0
INERGY LP            COMMON STOCK    456615103      32        910 Shares                 X                 1       910      0      0
INFORMATICA CORP COM COMMON STOCK    45666Q102      63       2425 Shares                 X                 1      2425      0      0
INFORMATICA CORP COM COMMON STOCK    45666Q102    1687      65250 Shares                 X                 3     65250      0      0
INFOSYS TECHNOLOGIES
LTDSPON A            COMMON STOCK    456788108      80       1450 Shares                 X                 1      1450      0      0
INFOSYS TECHNOLOGIES
LTDSPON A            COMMON STOCK    456788108       5         96 Shares                         X         1        96      0      0
ING GROEP NV
SPONSORED ADR        COMMON STOCK    456837103       5        558 Shares                 X                 1       558      0      0
ING GROEP NV
SPONSORED ADR        COMMON STOCK    456837103       7        700 Shares                         X         1       700      0      0
ING GROEP NV
SPONSORED ADR        COMMON STOCK    456837103       5        525 Shares                 X                 2         0      0    525
ING GLOBAL EQUITY
DIV & PREM O         PREFERRED STOCK 45684E107      75       6150 Shares                         X         1         0      0      0
INSIGHT ENTERPRISES
INC COM              COMMON STOCK    45765U103       5        400 Shares                 X                 1       400      0      0
INOVIO BIOMEDICAL
CORP                 COMMON STOCK    45773H102       0        250 Shares                 X                 1       250      0      0
INSULET CORP         COMMON STOCK    45784P101      47       3275 Shares                 X                 1      3275      0      0
INSULET CORP         COMMON STOCK    45784P101    1309      91700 Shares                 X                 3     91700      0      0
INTEL CORP COM       COMMON STOCK    458140100   12105     593385 Shares                 X                 1    589875      0   3510
INTEL CORP COM       COMMON STOCK    458140100    4867     238565 Shares                         X         1    212665      0  25900
INTEL CORP COM       COMMON STOCK    458140100     616      30198 Shares                 X                 2     20766      0   9432
INTEL CORP COM       COMMON STOCK    458140100    2493     122173 Shares                 X                 3    116718      0   5455
INTEL CORP COM       COMMON STOCK    458140100       8        400 Shares                 X                 4       400      0      0
INTEGRYS ENERGY
GROUP INC            COMMON STOCK    45822P105      21        500 Shares                 X                 1       500      0      0



                                    21 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
INTEGRYS ENERGY
GROUP INC            COMMON STOCK    45822P105      15        350 Shares                         X         1       350      0      0
INTERACTIVE DATA
CORP COM             COMMON STOCK    45840J107       2         81 Shares                 X                 1        81      0      0
INTERCONTINENTAL
EXCHANGE INC         COMMON STOCK    45865V100    1598      14233 Shares                 X                 1     14103      0    130
INTERCONTINENTAL
EXCHANGE INC         COMMON STOCK    45865V100      37        330 Shares                         X         1       125      0    205
INTERCONTINENTAL
EXCHANGE INC         COMMON STOCK    45865V100    2052      18268 Shares                 X                 3     18268      0      0
INTERDIGITAL INC     COMMON STOCK    45867G101      27       1000 Shares                 X                 1      1000      0      0
INTERDIGITAL INC     COMMON STOCK    45867G101     398      15000 Shares                 X                 2         0      0  15000
INTERMEC INC         COMMON STOCK    458786100       1         95 Shares                 X                 1        95      0      0
IBM CORPORATION      COMMON STOCK    459200101   41281     315362 Shares                 X                 1    309586      0   5776
IBM CORPORATION      COMMON STOCK    459200101   15885     121352 Shares                         X         1    113227      0   8125
IBM CORPORATION      COMMON STOCK    459200101   14919     119844 Shares                 X                 2     17102      0 102742
IBM CORPORATION      COMMON STOCK    459200101    5338      40775 Shares                 X                 3     38994      0   1781
IBM CORPORATION      COMMON STOCK    459200101      26        200 Shares                 X                 4       200      0      0
IBM CORPORATION      COMMON STOCK    459200101      65        500 Shares                         X         4       500      0      0
INTL FLAVORS &
FRAGRANCES INC       COMMON STOCK    459506101      29        700 Shares                 X                 1       700      0      0
INTERNATIONAL GAME
TECH COM             COMMON STOCK    459902102       9        500 Shares                 X                 1       500      0      0
INTERNATIONAL GAME
TECH COM             COMMON STOCK    459902102      56       3000 Shares                         X         1      3000      0      0
INTERNATIONAL PAPER
CO COM               COMMON STOCK    460146103     221       8268 Shares                 X                 1      8268      0      0
INTERNATIONAL PAPER
CO COM               COMMON STOCK    460146103     139       5192 Shares                         X         1      2956      0   2236
INTERNATIONAL
RECTIFIER CORP       COMMON STOCK    460254105       2        100 Shares                         X         1       100      0      0
INTERNATIONAL
SPEEDWAY CORP CL     COMMON STOCK    460335201       1         50 Shares                 X                 1        50      0      0
INTUIT INC COM       COMMON STOCK    461202103      34       1100 Shares                 X                 1      1100      0      0
INVACARE CORP COM    COMMON STOCK    461203101       5        200 Shares                 X                 1       200      0      0
INTUITIVE SURGICAL
INC                  COMMON STOCK    46120E602    6137      20225 Shares                 X                 1     20027      0    198
INTUITIVE SURGICAL
INC                  COMMON STOCK    46120E602     338       1115 Shares                         X         1      1070      0     45
INTUITIVE SURGICAL
INC                  COMMON STOCK    46120E602      46        150 Shares                 X                 2         0      0    150
INTUITIVE SURGICAL
INC                  COMMON STOCK    46120E602    2072       6831 Shares                 X                 3      6457      0    374
INTUITIVE SURGICAL
INC                  COMMON STOCK    46120E602     212        700 Shares                         X         4       700      0      0
INTREPID POTASH INC  COMMON STOCK    46121Y102      35       1200 Shares                 X                 1      1200      0      0
INTREPID POTASH INC  COMMON STOCK    46121Y102     966      33125 Shares                 X                 3     33125      0      0
INVERNESS MEDICAL
INNOVATIONS          COMMON STOCK    46126P106     261       6292 Shares                 X                 1      6292      0      0
INVERNESS MEDICAL
INNOVATIONS          COMMON STOCK    46126P106      83       2000 Shares                 X                 2         0      0   2000
INVERNESS MEDICAL
INNOVATIONS          COMMON STOCK    46126P106    2750      66250 Shares                 X                 3     66250      0      0
INVESTMENT
TECHNOLOGY GROUP     COMMON STOCK    46145F105      11        556 Shares                 X                 1       556      0      0
INVESTORS TITLE
COMPANY              COMMON STOCK    461804106      62       2000 Shares                 X                 2         0      0   2000
ION GEOPHYSICAL
CORPORATION          COMMON STOCK    462044108      28       4675 Shares                 X                 1      4675      0      0
ION GEOPHYSICAL
CORPORATION          COMMON STOCK    462044108     766     129425 Shares                 X                 3    129425      0      0
BANK OF IRELAND
SPONSORED ADR        COMMON STOCK    46267Q103       1        100 Shares                 X                 1       100      0      0
IRON MTN INC PA COM  COMMON STOCK    462846106      18        781 Shares                 X                 1       781      0      0
ISHARES COMEX GOLD
TRUST                PREFERRED STOCK 464285105      63        590 Shares                 X                 1         0      0      0
ISHARES MSCI
AUSTRALIA INDEX F    PREFERRED STOCK 464286103       9        415 Shares                         X         1         0      0      0
ISHARES MSCI BRAZIL
INDEX FUND           PREFERRED STOCK 464286400      37        500 Shares                 X                 2         0      0      0
ISHARES MSCI CANADA
INDEX FD             PREFERRED STOCK 464286509      10        365 Shares                         X         1         0      0      0
ISHARES MSCI BRIC
INDEX FUND           PREFERRED STOCK 464286657     361       7875 Shares                 X                 2         0      0      0
ISHARES MSCI PACIFIC
EX-JAPAN             PREFERRED STOCK 464286665     325       7860 Shares                 X                 2         0      0      0
ISHARES MSCI UNITED
KINGDOM UN           PREFERRED STOCK 464286699       1         74 Shares                 X                 1         0      0      0
ISHARES MSCI GERMANY
INDEX FD             PREFERRED STOCK 464286806      13        560 Shares                         X         1         0      0      0
ISHARES MSCI JAPAN
INDEX FD             PREFERRED STOCK 464286848     110      11308 Shares                 X                 1         0      0      0
ISHARES MSCI JAPAN
INDEX FD             PREFERRED STOCK 464286848      32       3300 Shares                         X         1         0      0      0
ISHARES S&P 100
INDEX FUND           COMMON STOCK    464287101     105       2048 Shares                 X                 2         0      0   2048
ISHARES DJ SELECT
DIVIDEND IND         PREFERRED STOCK 464287168      26        600 Shares                 X                 1         0      0      0
ISHARES DJ SELECT
DIVIDEND IND         PREFERRED STOCK 464287168      11        250 Shares                         X         1         0      0      0
ISHARES BARCLAYS
TIPS BOND FD         PREFERRED STOCK 464287176      55        534 Shares                 X                 1         0      0      0
ISHARES FTSE/XINHUA
CHINA 25             PREFERRED STOCK 464287184       4        100 Shares                         X         1         0      0      0
ISHARES FTSE/XINHUA
CHINA 25             PREFERRED STOCK 464287184     127       3000 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    4784      42790 Shares                 X                 1         0      0      0
ISHARES S&P 500
INDEX FD             PREFERRED STOCK 464287200    1029       9204 Shares                         X         1         0      0      0
ISHARES S&P 500
INDEX FD             PREFERRED STOCK 464287200      17        150 Shares                 X                 2         0      0      0
ISHARES BARCLAYS
AGGREGATE BD         PREFERRED STOCK 464287226     338       3276 Shares                 X                 1         0      0      0
ISHARES MSCI
EMERGING MARKETS     PREFERRED STOCK 464287234     170       4105 Shares                 X                 1         0      0      0
ISHARES MSCI
EMERGING MARKETS     PREFERRED STOCK 464287234     179       4325 Shares                 X                 2         0      0      0



                                    22 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
ISHARES S&P 500/
BARRA GRWTH IN       PREFERRED STOCK 464287309     711      12258 Shares                 X                 1         0      0      0
ISHARES S&P GLOBAL
ENERGY SECT          PREFERRED STOCK 464287341     157       4390 Shares                 X                 2         0      0      0
ISHARES S&P NA NAT
RES SIF              PREFERRED STOCK 464287374     408      11900 Shares                 X                 2         0      0      0
ISHARES S&P 500
BARRA VALUE IN       COMMON STOCK    464287408     180       3387 Shares                 X                 1      3387      0      0
ISHARES BARCLAYS
7-10 YRS TREA        PREFERRED STOCK 464287440      26        297 Shares                         X         1         0      0      0
ISHARES BARCLAYS
1-3 YR TREAS         PREFERRED STOCK 464287457      20        238 Shares                         X         1         0      0      0
ISHARES MSCI EAFE
INDEX FD             PREFERRED STOCK 464287465   17370     314227 Shares                 X                 1         0      0      0
ISHARES MSCI EAFE
INDEX FD             PREFERRED STOCK 464287465    5921     107105 Shares                         X         1         0      0      0
ISHARES MSCI EAFE
INDEX FD             PREFERRED STOCK 464287465    1473      26641 Shares                 X                 2         0      0      0
ISHARES MSCI EAFE
INDEX FD             PREFERRED STOCK 464287465    2970      53732 Shares                 X                 3         0      0      0
ISHARES RUSSELL MID
CAP GROWTH           PREFERRED STOCK 464287481     108       2380 Shares                 X                 2         0      0      0
ISHARES S&P MIDCAP
400 INDEX F          PREFERRED STOCK 464287507      84       1165 Shares                 X                 1         0      0      0
ISHARES S&P MIDCAP
400 INDEX F          PREFERRED STOCK 464287507     129       1782 Shares                 X                 2         0      0      0
ISHARES S&P NA
TECHNOLOGY SFI       PREFERRED STOCK 464287549      19        350 Shares                 X                 1         0      0      0
ISHARES S&P NA
TECHNOLOGY SFI       PREFERRED STOCK 464287549       5         85 Shares                 X                 2         0      0      0
ISHARES NASDAQ
BIOTECHNOLOGY I      PREFERRED STOCK 464287556      41        500 Shares                 X                 2         0      0      0
ISHARES S&P GLOBAL
100 INDEX F          PREFERRED STOCK 464287572      65       1075 Shares                 X                 2         0      0      0
ISHARES RUSSELL 1000
VALUE IND            PREFERRED STOCK 464287598    5223      91000 Shares                 X                 1         0      0      0
ISHARES RUSSELL 1000
VALUE IND            PREFERRED STOCK 464287598     476       8291 Shares                         X         1         0      0      0
ISHARES RUSSELL 1000
VALUE IND            PREFERRED STOCK 464287598    1176      20480 Shares                 X                 3         0      0      0
ISHARES S&P MIDCAP
400 BARRA G          PREFERRED STOCK 464287606     586       7538 Shares                 X                 1         0      0      0
ISHARES S&P MIDCAP
400 BARRA G          PREFERRED STOCK 464287606     696       8950 Shares                 X                 2         0      0      0
ISHARES RUSSELL 1000
GROWTH IN            PREFERRED STOCK 464287614   19762     396431 Shares                 X                 1         0      0      0
ISHARES RUSSELL 1000
GROWTH IN            PREFERRED STOCK 464287614    1128      22624 Shares                         X         1         0      0      0
ISHARES RUSSELL 1000
GROWTH IN            PREFERRED STOCK 464287614    7399     148426 Shares                 X                 3         0      0      0
ISHARES RUSSELL 1000
INDEX FD             PREFERRED STOCK 464287622    2370      38664 Shares                 X                 1         0      0      0
ISHARES RUSSELL 1000
INDEX FD             PREFERRED STOCK 464287622      46        750 Shares                         X         1         0      0      0
ISHARES RUSSELL 2000
VALUE                PREFERRED STOCK 464287630      68       1180 Shares                 X                 2         0      0      0
ISHARES RUSSELL 2000
GRWTH FD             PREFERRED STOCK 464287648      20        300 Shares                 X                 2         0      0      0
ISHARES RUSSELL 2000
INDEX FD             PREFERRED STOCK 464287655     813      13013 Shares                 X                 1         0      0      0
ISHARES RUSSELL 2000
INDEX FD             PREFERRED STOCK 464287655      16        260 Shares                         X         1         0      0      0
ISHARES DOW JONES US
UTIL SECT            PREFERRED STOCK 464287697      31        415 Shares                 X                 1         0      0      0
ISHARES S&P MIDCAP
400/BARRA V          PREFERRED STOCK 464287705     406       6154 Shares                 X                 1         0      0      0
ISHARES S&P MIDCAP
400/BARRA V          PREFERRED STOCK 464287705     218       3300 Shares                 X                 2         0      0      0
ISHARES DJ US TECH
SEC INDEX F          COMMON STOCK    464287721    4545      79013 Shares                 X                 2     13162      0  65851
ISHARES DJ US REAL
ESTATE INDE          COMMON STOCK    464287739      14        300 Shares                 X                 1       300      0      0
ISHARES DJ US REAL
ESTATE INDE          COMMON STOCK    464287739       5        100 Shares                 X                 2         0      0    100
ISHARES DJ US
INDUSTRIAL SEC I     PREFERRED STOCK 464287754      11        200 Shares                 X                 2         0      0      0
ISHARES DJ US
HEALTHCARE SECTO     COMMON STOCK    464287762       6         95 Shares                         X         1        95      0      0
ISHARES DJ US
HEALTHCARE SECTO     COMMON STOCK    464287762       6        100 Shares                 X                 2         0      0    100
ISHARES DOW JONES US
FINL SECT            PREFERRED STOCK 464287788      18        340 Shares                 X                 1         0      0      0
ISHARES DOW JONES US
FINL SECT            PREFERRED STOCK 464287788      37        705 Shares                         X         1         0      0      0
ISHARES DOW JONES US
FINL SECT            PREFERRED STOCK 464287788      14        275 Shares                 X                 2         0      0      0
ISHARES DJ US ENERGY
SECTOR ID            COMMON STOCK    464287796      11        336 Shares                 X                 2         0      0    336
ISHARES S&P SMALLCAP
600 INDEX            PREFERRED STOCK 464287804    1071      19574 Shares                 X                 1         0      0      0
ISHARES S&P SMALLCAP
600 INDEX            PREFERRED STOCK 464287804      11        200 Shares                         X         1         0      0      0
ISHARES S&P SMALLCAP
600 INDEX            PREFERRED STOCK 464287804      78       1426 Shares                 X                 2         0      0      0
ISHARES DJ US BASIC
MATERIALS            PREFERRED STOCK 464287838     105       1750 Shares                 X                 1         0      0      0
ISHARES DJ US BASIC
MATERIALS            PREFERRED STOCK 464287838      45        750 Shares                         X         1         0      0      0
ISHARES S&P EUROPE
350 INDEX F          PREFERRED STOCK 464287861     133       3409 Shares                         X         1         0      0      0
ISHARES S&P EUROPE
350 INDEX F          PREFERRED STOCK 464287861     184       4710 Shares                 X                 2         0      0      0
ISHARES S&P SMALLCAP
600 BARRA            PREFERRED STOCK 464287887      48        848 Shares                 X                 1         0      0      0
ISHARES IBOXX HI YLD
CORP BD F            PREFERRED STOCK 464288513      33        374 Shares                         X         1         0      0      0
ISHARES BARCLAYS
CREDIT BOND F        PREFERRED STOCK 464288620     380       3780 Shares                 X                 1         0      0      0
ISHARES S&P US PFD
STK INDEX F          PREFERRED STOCK 464288687      37       1000 Shares                 X                 1         0      0      0
ISHARES S&P GLOBAL
MATERIALS            PREFERRED STOCK 464288695      18        285 Shares                 X                 2         0      0      0
ISHARES DJ US HOME
CONSTRUCT F          COMMON STOCK    464288752     173      14400 Shares                 X                 2         0      0  14400
ISHARES DOW JONES US
BRKR-DLR             PREFERRED STOCK 464288794     806      28660 Shares                 X                 1         0      0      0
ISHARES DOW JONES US
HEALTHCAR            PREFERRED STOCK 464288828      63       1300 Shares                 X                 2         0      0      0
ISHARES DOW JONES US
PHARMACEU            PREFERRED STOCK 464288836     115       2000 Shares                 X                 2         0      0      0
ISHARES DJ US OIL
EQUIP & SV           PREFERRED STOCK 464288844     181       4200 Shares                 X                 2         0      0      0
ISHARES MSCI EAFE
GRWTH INDEX          PREFERRED STOCK 464288885    2718      49311 Shares                 X                 1         0      0      0



                                    23 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
ISHARES MSCI EAFE
GRWTH INDEX          PREFERRED STOCK 464288885     159       2878 Shares                         X         1         0      0      0
ISHARES SILVER TRUST PREFERRED STOCK 46428Q109      50       3000 Shares                 X                 2         0      0      0
ISHARES S&P GSCI
COMMODITY - I        PREFERRED STOCK 46428R107      24        750 Shares                 X                 1         0      0      0
ISIS PHARMACEUTICALS
COM                  COMMON STOCK    464330109       4        350 Shares                 X                 1       350      0      0
ITAU UNIBANCO
HOLDING SA - PRE     COMMON STOCK    465562106       6        243 Shares                 X                 1       243      0      0
ITAU UNIBANCO
HOLDING SA - PRE     COMMON STOCK    465562106       3        144 Shares                         X         1       144      0      0
ITRON INC COM        COMMON STOCK    465741106      35        525 Shares                 X                 1       525      0      0
ITRON INC COM        COMMON STOCK    465741106     999      14775 Shares                 X                 3     14775      0      0
IVANHOE MINES LTD    COMMON STOCK    46579N103       3        200 Shares                 X                 1       200      0      0
J CREW GROUP INC     COMMON STOCK    46612H402      43        950 Shares                 X                 1       950      0      0
J CREW GROUP INC     COMMON STOCK    46612H402    1163      26000 Shares                 X                 3     26000      0      0
JDS UNIPHASE CORP    COMMON STOCK    46612J507       1        125 Shares                 X                 1       125      0      0
JDS UNIPHASE CORP    COMMON STOCK    46612J507       2        186 Shares                 X                 2         0      0    186
JPMORGAN CHASE & CO  COMMON STOCK    46625H100   13778     330647 Shares                 X                 1    327190      0   3457
JPMORGAN CHASE & CO  COMMON STOCK    46625H100    5278     126664 Shares                         X         1    115103      0  11561
JPMORGAN CHASE & CO  COMMON STOCK    46625H100    8398     212979 Shares                 X                 2     58479      0 154500
JPMORGAN CHASE & CO  COMMON STOCK    46625H100     688      16501 Shares                 X                 3     12413      0   4088
J2 GLOBAL
COMMUNICATONS INC NE COMMON STOCK    46626E205      12        594 Shares                 X                 1       594      0      0
JABIL CIRCUIT INC    COMMON STOCK    466313103      17       1000 Shares                 X                 1      1000      0      0
JABIL CIRCUIT INC    COMMON STOCK    466313103       2        105 Shares                         X         1       105      0      0
JP MORGAN CHASE
- WTS       10       COMMON STOCK    46634E114    3896     292250 Shares                 X                 2         0      0 292250
JACOBS ENGINEERING
GROUP INC C          COMMON STOCK    469814107     988      26275 Shares                 X                 1     24675      0   1600
JACOBS ENGINEERING
GROUP INC C          COMMON STOCK    469814107     200       5327 Shares                         X         1      5327      0      0
JANUS CAPITAL GROUP
INC                  COMMON STOCK    47102X105     906      67374 Shares                 X                 1     67374      0      0
JANUS CAPITAL GROUP
INC                  COMMON STOCK    47102X105    4326     321714 Shares                 X                 3    321714      0      0
JETBLUE AIRWAYS
CORPORATION          COMMON STOCK    477143101       1        100 Shares                 X                 1       100      0      0
JETBLUE AIRWAYS
CORPORATION          COMMON STOCK    477143101       5        843 Shares                 X                 2         0      0    843
JOHNSON & JOHNSON    COMMON STOCK    478160104   27882     432878 Shares                 X                 1    427278      0   5600
JOHNSON & JOHNSON    COMMON STOCK    478160104   28467     441965 Shares                         X         1    427333      0  14632
JOHNSON & JOHNSON    COMMON STOCK    478160104    9026     154727 Shares                 X                 2     38441      0 116286
JOHNSON & JOHNSON    COMMON STOCK    478160104    3016      46826 Shares                 X                 3     46826      0      0
JOHNSON & JOHNSON    COMMON STOCK    478160104      13        200 Shares                 X                 4       200      0      0
JOHNSON & JOHNSON    COMMON STOCK    478160104      64       1000 Shares                         X         4      1000      0      0
JOHNSON CONTROLS INC
COM                  COMMON STOCK    478366107     590      21670 Shares                 X                 1     21670      0      0
JOHNSON CONTROLS INC
COM                  COMMON STOCK    478366107     187       6850 Shares                         X         1      6850      0      0
JOY GLOBAL
INCORPORATED         COMMON STOCK    481165108    2078      40288 Shares                 X                 1     39543      0    745
JOY GLOBAL
INCORPORATED         COMMON STOCK    481165108     502       9740 Shares                         X         1      9390      0    350
JOY GLOBAL
INCORPORATED         COMMON STOCK    481165108    2072      40150 Shares                 X                 3     40150      0      0
JUNIPER NETWORKS INC COMMON STOCK    48203R104     705      26422 Shares                 X                 1     26344      0     78
JUNIPER NETWORKS INC COMMON STOCK    48203R104     167       6255 Shares                         X         1      6255      0      0
KLA TENCOR CORP COM  COMMON STOCK    482480100      18        501 Shares                 X                 1       501      0      0
KKR FINANCIAL
HOLDINGS LLC         COMMON STOCK    48248A306      35       6000 Shares                 X                 1      6000      0      0
KKR FINANCIAL
HOLDINGS LLC         COMMON STOCK    48248A306    3105     536957 Shares                 X                 2     60371      0 476586
KT CORPORATION SP
ADR                  COMMON STOCK    48268K101       1         75 Shares                 X                 1        75      0      0
K V PHARMACEUTICAL
CO CL A              COMMON STOCK    482740206       0         95 Shares                 X                 1        95      0      0
KANSAS LIFE INS CO
COM                  COMMON STOCK    484836101      30       1000 Shares                 X                 1      1000      0      0
KANSAS CITY SOUTHERN COMMON STOCK    485170302       1         26 Shares                 X                 1        26      0      0
KAYDON CORP          COMMON STOCK    486587108       3         72 Shares                 X                 1        72      0      0
KAYNE ANDERSON MLP
INVESTMENT           PREFERRED STOCK 486606106      18        714 Shares                 X                 1         0      0      0
KELLOGG CO COM       COMMON STOCK    487836108    1085      20390 Shares                 X                 1     20390      0      0
KELLOGG CO COM       COMMON STOCK    487836108     856      16097 Shares                         X         1     14900      0   1197
KENNAMETAL INC       COMMON STOCK    489170100      65       2500 Shares                 X                 1      2500      0      0
KENNAMETAL INC       COMMON STOCK    489170100    1215      46875 Shares                 X                 3     46875      0      0
KENSEY NASH CORP COM COMMON STOCK    490057106      12        463 Shares                 X                 1       463      0      0
KEYCORP NEW COM      COMMON STOCK    493267108       6       1100 Shares                         X         1      1100      0      0
KEYCORP NEW COM      COMMON STOCK    493267108      17       3000 Shares                 X                 2         0      0   3000
KEYCORP NEW COM      COMMON STOCK    493267108      39       7100 Shares                 X                 3      7100      0      0
KIMBERLY CLARK CORP  COMMON STOCK    494368103    4742      74437 Shares                 X                 1     74437      0      0
KIMBERLY CLARK CORP  COMMON STOCK    494368103    2806      44049 Shares                         X         1     40857      0   3192
KIMBERLY CLARK CORP  COMMON STOCK    494368103     275       4312 Shares                 X                 2         0      0   4312
KIMBERLY CLARK CORP  COMMON STOCK    494368103     137       2148 Shares                 X                 3      2148      0      0
KIMBERLY CLARK CORP  COMMON STOCK    494368103       6        100 Shares                 X                 4       100      0      0



                                    24 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
KINDER MORGAN ENERGY
PARTNERS             COMMON STOCK    494550106     267       4380 Shares                 X                 1      4380      0      0
KINDER MORGAN ENERGY
PARTNERS             COMMON STOCK    494550106      66       1075 Shares                         X         1      1075      0      0
KINDER MORGAN ENERGY
PARTNERS             COMMON STOCK    494550106   13003     219720 Shares                 X                 2     37570      0 182150
KINDER MORGAN
MANAGEMENT LLC       COMMON STOCK    49455U100     436       7980 Shares                 X                 1      7980      0      0
KINDER MORGAN
MANAGEMENT LLC       COMMON STOCK    49455U100      85       1553 Shares                         X         1      1553      0      0
KINDER MORGAN
MANAGEMENT LLC       COMMON STOCK    49455U100    4653      92308 Shares                 X                 2     25093      0  67215
KINROSS GOLD
CORPORATION          COMMON STOCK    496902404      18       1000 Shares                 X                 1      1000      0      0
KINROSS GOLD
CORPORATION          COMMON STOCK    496902404       6        300 Shares                 X                 2         0      0    300
KITE REALTY GROUP
TRUST                COMMON STOCK    49803T102       1        149 Shares                 X                 1         0      0      0
KNOLOGY INC          COMMON STOCK    499183804     280      25642 Shares                 X                 2         0      0  25642
KOHLS CORP COM       COMMON STOCK    500255104     180       3344 Shares                 X                 1      3344      0      0
KOHLS CORP COM       COMMON STOCK    500255104     137       2538 Shares                         X         1      2538      0      0
KOHLS CORP COM       COMMON STOCK    500255104      18        335 Shares                 X                 3       335      0      0
KONINKLIJKE PHILIPS
ELEC N V N           COMMON STOCK    500472303      10        356 Shares                 X                 1       356      0      0
KONINKLIJKE PHILIPS
ELEC N V N           COMMON STOCK    500472303     147       5000 Shares                         X         1      5000      0      0
KOPPERS HOLDINGS INC COMMON STOCK    50060P106      12        391 Shares                 X                 1       391      0      0
KOREA ELECTRIC POWER
CORP SP A            COMMON STOCK    500631106       5        346 Shares                 X                 1       346      0      0
KRAFT FOODS INC CL A COMMON STOCK    50075N104    6894     253651 Shares                 X                 1    252544      0   1107
KRAFT FOODS INC CL A COMMON STOCK    50075N104    2760     101554 Shares                         X         1     95534      0   6020
KRAFT FOODS INC CL A COMMON STOCK    50075N104     500      18387 Shares                 X                 2         0      0  18387
KRAFT FOODS INC CL A COMMON STOCK    50075N104     491      18036 Shares                 X                 3     14480      0   3556
KRAFT FOODS INC CL A COMMON STOCK    50075N104       3        100 Shares                 X                 4       100      0      0
KRAFT FOODS INC CL A COMMON STOCK    50075N104      16        600 Shares                         X         4       600      0      0
KROGER CO            COMMON STOCK    501044101     114       5536 Shares                 X                 1      5536      0      0
KROGER CO            COMMON STOCK    501044101      14        675 Shares                         X         1       175      0    500
KROGER CO            COMMON STOCK    501044101       8        400 Shares                 X                 4       400      0      0
KUBOTA CORP-SPONS
ADR                  COMMON STOCK    501173207       4         82 Shares                 X                 1        82      0      0
LKQ CORPORATION      COMMON STOCK    501889208     260      13292 Shares                 X                 1     13292      0      0
LKQ CORPORATION      COMMON STOCK    501889208    2217     113200 Shares                 X                 3    113200      0      0
LSI CORPORATION      COMMON STOCK    502161102       1        150 Shares                 X                 1       150      0      0
LSI CORPORATION      COMMON STOCK    502161102       0         22 Shares                         X         1        14      0      8
LTC PROPERTIES INC
(REIT)               COMMON STOCK    502175102      14        542 Shares                 X                 1         0      0      0
L 3 COMMUNICATIONS
CORP COM             COMMON STOCK    502424104      37        430 Shares                         X         1       430      0      0
L 3 COMMUNICATIONS
CORP COM             COMMON STOCK    502424104     717       8250 Shares                 X                 2         0      0   8250
LABORATORY CRP OF
AMER HLDGS C         COMMON STOCK    50540R409      46        618 Shares                 X                 1       618      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    8510     117805 Shares                 X                 2     25760      0  92045
LADISH CO INC        COMMON STOCK    505754200       3        200 Shares                 X                 1       200      0      0
LAM RESH CORP        COMMON STOCK    512807108     307       7825 Shares                 X                 1      7825      0      0
LAM RESH CORP        COMMON STOCK    512807108    2607      66500 Shares                 X                 3     66500      0      0
LAS VEGAS SANDS CORP COMMON STOCK    517834107       4        300 Shares                 X                 1       300      0      0
LASERCARD CORP       COMMON STOCK    51807U101       3        500 Shares                 X                 2         0      0    500
LAUDER ESTEE CO CL A COMMON STOCK    518439104    1218      25190 Shares                 X                 1     21590      0   3600
LAUDER ESTEE CO CL A COMMON STOCK    518439104     174       3595 Shares                         X         1      2395      0   1200
LEGGETT & PLATT INC  COMMON STOCK    524660107     163       8000 Shares                 X                 1      8000      0      0
LEGG MASON INC       COMMON STOCK    524901105     133       4395 Shares                 X                 1      4395      0      0
LEGG MASON INC       COMMON STOCK    524901105      25        815 Shares                         X         1       815      0      0
LEGG MASON INC       COMMON STOCK    524901105      30       1000 Shares                 X                 2         0      0   1000
LENDER PROCESSING
SERVICES INC         COMMON STOCK    52602E102     134       3300 Shares                 X                 1      3300      0      0
LENDER PROCESSING
SERVICES INC         COMMON STOCK    52602E102     969      23825 Shares                 X                 3     23825      0      0
LENNOX INTL INC COM  COMMON STOCK    526107107       4         93 Shares                 X                 1        93      0      0
LEVEL 3
COMMUNICATIONS
INCORPORATED         COMMON          52729N100      72      46050 Shares                 X                 2     46050      0      0
LIBERTY ALL STAR
EQUITY FD            PREFERRED STOCK 530158104     186      42912 Shares                         X         1         0      0      0
LIBERTY GLOBAL INC
- CL A               COMMON STOCK    530555101       5        213 Shares                 X                 1       213      0      0
LIBERTY GLOBAL INC
- CL A               COMMON STOCK    530555101      33       1512 Shares                         X         1      1512      0      0
LIBERTY GLOBAL INC
-CL B                COMMON STOCK    530555200      20        936 Shares                         X         1       936      0      0
LIBERTY GLOBAL INC
CL C                 COMMON STOCK    530555309       5        216 Shares                 X                 1       216      0      0
LIBERTY GLOBAL INC
CL C                 COMMON STOCK    530555309      54       2448 Shares                         X         1      2448      0      0
LIBERTY MEDIA HLDG
CORP - INTE          COMMON STOCK    53071M104      44       4070 Shares                 X                 1      4070      0      0
LIBERTY MEDIA HLDG
CORP - INTE          COMMON STOCK    53071M104      74       6840 Shares                         X         1      6840      0      0
LIBERTY MEDIA HLDG
CORP - INTE          COMMON STOCK    53071M203      50       4680 Shares                         X         1      4680      0      0
LIBERTY MEDIA HLDG
CORP - CAP           COMMON STOCK    53071M302      16        684 Shares                 X                 1       684      0      0



                                    25 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
LIBERTY MEDIA HLDG
CORP - CAP           COMMON STOCK    53071M302      33       1368 Shares                         X         1      1368      0      0
LIBERTY MEDIA HLDG
CORP - CAP           COMMON STOCK    53071M401      22        936 Shares                         X         1       936      0      0
LIBERTY MEDIA -
STARZ SR A           COMMON STOCK    53071M708      22        473 Shares                 X                 1       473      0      0
LIBERTY MEDIA -
STARZ SR A           COMMON STOCK    53071M708      22        480 Shares                         X         1       480      0      0
LIBERTY PROPERTY
TRUST (REIT)         COMMON STOCK    531172104      26        800 Shares                 X                 2         0      0      0
LIFE TECHNOLOGIES
CORP                 COMMON STOCK    53217V109     613      11747 Shares                 X                 1     11747      0      0
LIFE TECHNOLOGIES
CORP                 COMMON STOCK    53217V109      42        800 Shares                         X         1         0      0    800
LIFE TECHNOLOGIES
CORP                 COMMON STOCK    53217V109    2866      54877 Shares                 X                 3     54877      0      0
LILLY ELI & CO       COMMON STOCK    532457108    2503      70086 Shares                 X                 1     70086      0      0
LILLY ELI & CO       COMMON STOCK    532457108    3280      91858 Shares                         X         1     89551   1600    707
LILLY ELI & CO       COMMON STOCK    532457108     257       7200 Shares                 X                 2         0      0   7200
LILLY ELI & CO       COMMON STOCK    532457108     225       6303 Shares                 X                 3      4636      0   1667
LILLY ELI & CO       COMMON STOCK    532457108       4        100 Shares                 X                 4       100      0      0
LINCOLN NATIONAL
CORP                 COMMON STOCK    534187109     246       9877 Shares                 X                 1      9877      0      0
LINCOLN NATIONAL
CORP                 COMMON STOCK    534187109     187       7502 Shares                         X         1      7502      0      0
LINCOLN NATIONAL
CORP                 COMMON STOCK    534187109     102       4100 Shares                 X                 2         0      0   4100
LINEAR TECHNOLOGY
CORP COM             COMMON STOCK    535678106     211       6915 Shares                 X                 1      6165      0    750
LINEAR TECHNOLOGY
CORP COM             COMMON STOCK    535678106      57       1865 Shares                         X         1       525      0   1340
LIONS GATE
ENTERTAINMENT CORP.  COMMON STOCK    535919203       1        130 Shares                 X                 1       130      0      0
LINN ENERGY LLC      COMMON STOCK    536020100      65       2315 Shares                 X                 1      2315      0      0
LITHIA MOTORS INC
CL-A                 COMMON STOCK    536797103       0         60 Shares                 X                 1        60      0      0
LLOYDS BANKING
GROUP PLC            COMMON STOCK    539439109       0         40 Shares                 X                 1        40      0      0
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK    539830109    6997      92866 Shares                 X                 1     92766      0    100
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK    539830109    1339      17770 Shares                         X         1     17470      0    300
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK    539830109     889      11798 Shares                 X                 2         0      0  11798
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK    539830109     110       1465 Shares                 X                 3      1465      0      0
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK    539830109       8        100 Shares                 X                 4       100      0      0
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK    539830109      49        650 Shares                         X         4       650      0      0
LOEWS CORP           COMMON STOCK    540424108     124       3410 Shares                 X                 1      3410      0      0
LOEWS CORP           COMMON STOCK    540424108      81       2232 Shares                         X         1      2232      0      0
LOEWS CORP           COMMON STOCK    540424108     131       3600 Shares                 X                 2         0      0   3600
LORILLARD INC        COMMON STOCK    544147101      13        165 Shares                 X                 1       165      0      0
LORILLARD INC        COMMON STOCK    544147101       0          6 Shares                         X         1         0      0      6
LORILLARD INC        COMMON STOCK    544147101      40        500 Shares                 X                 3       500      0      0
LOWES COMPANIES INC  COMMON STOCK    548661107    4093     174973 Shares                 X                 1    169587      0   5386
LOWES COMPANIES INC  COMMON STOCK    548661107     496      21203 Shares                         X         1     17953      0   3250
LOWES COMPANIES INC  COMMON STOCK    548661107    1557      66563 Shares                 X                 3     63650      0   2913
LUBRIZOL CORP        COMMON STOCK    549271104     833      11412 Shares                         X         1     11412      0      0
LULULEMON ATHLETICA
INC-W/I              COMMON STOCK    550021109     686      22792 Shares                 X                 1     22792      0      0
LULULEMON ATHLETICA
INC-W/I              COMMON STOCK    550021109    4434     147287 Shares                 X                 3    147287      0      0
LUXOTTICA GROUP
SPA-SPON ADR         COMMON STOCK    55068R202       2         60 Shares                 X                 1        60      0      0
M & T BANK CORP      COMMON STOCK    55261F104   99495    1487443 Shares                 X                 1   1466055      0  21388
M & T BANK CORP      COMMON STOCK    55261F104    9314     139239 Shares                         X         1     14264      0 124975
M & T BANK CORP      COMMON STOCK    55261F104      10        150 Shares                 X                 2         0      0    150
M & T BANK CORP      COMMON STOCK    55261F104      10        150 Shares                         X         4       150      0      0
MDU RES GROUP INC    COMMON          552690109      40       1700 Shares                 X                 3      1700      0      0
MEMC ELECTRONIC
MATERIALS INC        COMMON STOCK    552715104     365      26815 Shares                 X                 1     26815      0      0
MEMC ELECTRONIC
MATERIALS INC        COMMON STOCK    552715104       2        175 Shares                         X         1       175      0      0
MFA FINANCIAL INC    COMMON STOCK    55272X102     151      20500 Shares                 X                 2         0      0      0
MFS MUN INCOME TR SH
BEN INT              OTHER           552738106      20       3000 Shares                 X                 1         0      0      0
MFS MUN INCOME TR SH
BEN INT              OTHER           552738106      18       2600 Shares                 X                 2         0      0      0
MKS INSTRUMENT INC   COMMON          55306N104     796      45700 Shares                 X                 3     45700      0      0
MYR GROUP INC        COMMON STOCK    55405W104     108       6000 Shares                 X                 1      6000      0      0
MYR GROUP INC        COMMON STOCK    55405W104    3133     173275 Shares                 X                 3    173275      0      0
MACY'S INC           COMMON STOCK    55616P104     121       7230 Shares                 X                 1      6895      0    335
MACY'S INC           COMMON STOCK    55616P104      16        942 Shares                         X         1       942      0      0
MACY'S INC           COMMON STOCK    55616P104       1         42 Shares                 X                 2         0      0     42
MAGELLAN MIDSTREAM
PARTNERS L.          COMMON STOCK    559080106      22        500 Shares                         X         1       500      0      0
MAGELLAN MIDSTREAM
PARTNERS L.          COMMON STOCK    559080106    7394     170650 Shares                 X                 2     22250      0 148400
MAGNA INTERNATIONAL
- CL A               COMMON STOCK    559222401       5         94 Shares                 X                 1        94      0      0
MAGNA INTERNATIONAL
- CL A               COMMON STOCK    559222401      25        500 Shares                         X         1       500      0      0
MANITOWOC CO INC COM COMMON STOCK    563571108    1012     101533 Shares                 X                 1    101533      0      0



                                    26 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
MANITOWOC CO INC COM COMMON STOCK    563571108    1184     118691 Shares                 X                 3    118691      0      0
MANPOWER INC WIS     COMMON STOCK    56418H100      82       1500 Shares                 X                 1      1500      0      0
MANTECH
INTERNATIONAL CORP   COMMON STOCK    564563104      12        241 Shares                 X                 1       241      0      0
MANULIFE FINANCIAL
CORP                 COMMON STOCK    56501R106     648      35318 Shares                 X                 1     35318      0      0
MANULIFE FINANCIAL
CORP                 COMMON STOCK    56501R106      37       2023 Shares                         X         1      2023      0      0
MANULIFE FINANCIAL
CORP                 COMMON STOCK    56501R106     470      25600 Shares                 X                 2         0      0  25600
MARATHON OIL CORP    COMMON STOCK    565849106     537      17189 Shares                 X                 1     17189      0      0
MARATHON OIL CORP    COMMON STOCK    565849106     165       5274 Shares                         X         1      5049      0    225
MARATHON OIL CORP    COMMON STOCK    565849106     203       6507 Shares                 X                 3      6507      0      0
MARATHON OIL CORP    COMMON STOCK    565849106      23        725 Shares                 X                 4       725      0      0
MARINER ENERGY INC   COMMON STOCK    56845T305       5        404 Shares                 X                 1       404      0      0
MARKEL CORP COM      COMMON STOCK    570535104     207        609 Shares                 X                 1       609      0      0
MARKEL CORP COM      COMMON STOCK    570535104      79        232 Shares                         X         1       232      0      0
MARKEL CORP COM      COMMON STOCK    570535104    3537      10685 Shares                 X                 2      2510      0   8175
MARKET VECTORS GOLD
MINERS               PREFERRED STOCK 57060U100      22        475 Shares                         X         1         0      0      0
MARKET VECTORS
AGRIBUSINESS ET      PREFERRED STOCK 57060U605      16        375 Shares                 X                 1         0      0      0
MARKET VECTORS
AGRIBUSINESS ET      PREFERRED STOCK 57060U605      18        400 Shares                 X                 2         0      0      0
MARKWEST ENERGY
PARTNERS LP          COMMON STOCK    570759100      29        975 Shares                 X                 1       975      0      0
MARKWEST ENERGY
PARTNERS LP          COMMON STOCK    570759100       6        200 Shares                         X         1       200      0      0
MARKWEST ENERGY
PARTNERS LP          COMMON STOCK    570759100     791      27000 Shares                 X                 3     27000      0      0
MARSH & MCLENNAN COS
INC COM              COMMON STOCK    571748102      50       2275 Shares                         X         1      2275      0      0
MARSH & MCLENNAN COS
INC COM              COMMON STOCK    571748102      73       3300 Shares                 X                 3      3300      0      0
MARSHALL & ILSLEY
CORP                 COMMON STOCK    571837103       6       1086 Shares                 X                 1      1086      0      0
MARSHALL & ILSLEY
CORP                 COMMON STOCK    571837103      20       3600 Shares                 X                 3      3600      0      0
MARRIOTT INTL INC
CL A                 COMMON STOCK    571903202      36       1311 Shares                 X                 1      1311      0      0
MARRIOTT INTL INC
CL A                 COMMON STOCK    571903202       7        250 Shares                         X         1       250      0      0
MARRIOTT INTL INC
CL A                 COMMON STOCK    571903202     845      31014 Shares                 X                 2         0      0  31014
MARTIN MARIETTA
MATERIALS INC        COMMON STOCK    573284106       3         39 Shares                 X                 1        39      0      0
MASCO CORP           COMMON STOCK    574599106      94       6842 Shares                 X                 1      6842      0      0
MASCO CORP           COMMON STOCK    574599106      71       5169 Shares                         X         1      5169      0      0
MASCO CORP           COMMON STOCK    574599106      33       2400 Shares                 X                 3      2400      0      0
MASSEY ENERGY CO COM COMMON STOCK    576206106      22        523 Shares                 X                 1       523      0      0
MASSEY ENERGY CO COM COMMON STOCK    576206106      63       1500 Shares                         X         1      1500      0      0
MASTEC INC           COMMON STOCK    576323109      45       3625 Shares                 X                 1      3625      0      0
MASTEC INC           COMMON STOCK    576323109    1249      99900 Shares                 X                 3     99900      0      0
MASTERCARD INC CL A  COMMON STOCK    57636Q104    1937       7568 Shares                 X                 1      7558      0     10
MASTERCARD INC CL A  COMMON STOCK    57636Q104     210        819 Shares                         X         1       819      0      0
MASTERCARD INC CL A  COMMON STOCK    57636Q104    1573       6146 Shares                 X                 3      6146      0      0
MATTEL INC           COMMON STOCK    577081102      16        796 Shares                 X                 1       796      0      0
MATTEL INC           COMMON STOCK    577081102      32       1592 Shares                         X         1      1592      0      0
MAXIM INTEGRATED
PRODS INC COM        COMMON STOCK    57772K101      14        705 Shares                 X                 1       705      0      0
MAXIMUS INC COM      COMMON STOCK    577933104      10        200 Shares                 X                 1       200      0      0
MCAFEE INC           COMMON STOCK    579064106     841      20741 Shares                 X                 1     20741      0      0
MCAFEE INC           COMMON STOCK    579064106    4078     100492 Shares                 X                 3    100492      0      0
MCCORMICK & CO-NON
VTG SHS              COMMON STOCK    579780206    1848      51155 Shares                 X                 1     51155      0      0
MCCORMICK & CO-NON
VTG SHS              COMMON STOCK    579780206     540      14950 Shares                         X         1     14950      0      0
MCCORMICK & CO-NON
VTG SHS              COMMON STOCK    579780206      36       1000 Shares                 X                 3      1000      0      0
MCDERMOTT INTL INC   COMMON STOCK    580037109    2947     122739 Shares                 X                 1    122739      0      0
MCDERMOTT INTL INC   COMMON STOCK    580037109      26       1075 Shares                         X         1       775      0    300
MCDERMOTT INTL INC   COMMON STOCK    580037109      67       2800 Shares                 X                 2         0      0   2800
MCDERMOTT INTL INC   COMMON STOCK    580037109    7673     319596 Shares                 X                 3    317170      0   2426
MCDONALD'S
CORPORATION          COMMON STOCK    580135101    9502     152181 Shares                 X                 1    151806      0    375
MCDONALD'S
CORPORATION          COMMON STOCK    580135101    2696      43171 Shares                         X         1     40155      0   3016
MCDONALD'S
CORPORATION          COMMON STOCK    580135101    1480      24319 Shares                 X                 2      5134      0  19185
MCDONALD'S
CORPORATION          COMMON STOCK    580135101    2104      33671 Shares                 X                 3     32277      0   1394
MCDONALD'S
CORPORATION          COMMON STOCK    580135101      19        300 Shares                 X                 4       300      0      0
MCDONALD'S
CORPORATION          COMMON STOCK    580135101      94       1500 Shares                         X         4      1500      0      0
MC GRAW HILL
COMPANIES INC        COMMON STOCK    580645109     361      10782 Shares                 X                 1     10782      0      0
MC GRAW HILL
COMPANIES INC        COMMON STOCK    580645109     657      19595 Shares                         X         1     15195      0   4400
MCKESSON
CORPORATION COM      COMMON STOCK    58155Q103     925      14794 Shares                 X                 1     14794      0      0
MCKESSON
CORPORATION COM      COMMON STOCK    58155Q103      36        578 Shares                         X         1       428      0    150
MCKESSON
CORPORATION COM      COMMON STOCK    58155Q103      68       1090 Shares                 X                 3       425      0    665



                                    27 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
MEAD JOHNSON
NUTRITION CO         COMMON STOCK    582839106     806      18450 Shares                 X                 2         0      0  18450
MEDASSETS INC        COMMON STOCK    584045108      40       1875 Shares                 X                 1      1875      0      0
MEDASSETS INC        COMMON STOCK    584045108    1103      51975 Shares                 X                 3     51975      0      0
MEDCO HEALTH
SOLUTIONS INC        COMMON STOCK    58405U102    1953      30560 Shares                 X                 1     30560      0      0
MEDCO HEALTH
SOLUTIONS INC        COMMON STOCK    58405U102    2539      39730 Shares                         X         1     35018      0   4712
MEDCO HEALTH
SOLUTIONS INC        COMMON STOCK    58405U102     154       2412 Shares                 X                 2         0      0   2412
MEDCO HEALTH
SOLUTIONS INC        COMMON STOCK    58405U102       3         48 Shares                 X                 4        48      0      0
MEDIA GEN INC CL A   COMMON STOCK    584404107       3        400 Shares                 X                 2         0      0    400
MEDNAX INC           COMMON STOCK    58502B106       2         30 Shares                 X                 1        30      0      0
MEDTRONIC INC        COMMON STOCK    585055106    2756      62675 Shares                 X                 1     62475      0    200
MEDTRONIC INC        COMMON STOCK    585055106    2414      54899 Shares                         X         1     51749      0   3150
MEDTRONIC INC        COMMON STOCK    585055106    7991     199990 Shares                 X                 2     78247      0 121743
MEDTRONIC INC        COMMON STOCK    585055106    1415      32150 Shares                 X                 3     32150      0      0
MERCADOLIBRE INC     COMMON STOCK    58733R102      19        375 Shares                 X                 1       375      0      0
MERCADOLIBRE INC     COMMON STOCK    58733R102     529      10200 Shares                 X                 3     10200      0      0
MERCK & CO INC       COMMON STOCK    58933Y105   12015     328825 Shares                 X                 1    328825      0      0
MERCK & CO INC       COMMON STOCK    58933Y105    5966     163278 Shares                         X         1    152728      0  10550
MERCK & CO INC       COMMON STOCK    58933Y105   10907     312831 Shares                 X                 2     58238      0 254593
MERCK & CO INC       COMMON STOCK    58933Y105    4540     124245 Shares                 X                 3    121700      0   2545
MERCK & CO INC       COMMON STOCK    58933Y105       7        200 Shares                 X                 4       200      0      0
MERCURY GENERAL CORP COMMON          589400100      59       1500 Shares                 X                 3      1500      0      0
MERIT MED SYS INC    COMMON STOCK    589889104       3        135 Shares                 X                 1       135      0      0
METLIFE INC          COMMON STOCK    59156R108    2837      80254 Shares                 X                 1     79139      0   1115
METLIFE INC          COMMON STOCK    59156R108     163       4605 Shares                         X         1      1545      0   3060
METLIFE INC          COMMON STOCK    59156R108    1783      50432 Shares                 X                 3     48895      0   1537
METROPOLITAN HEALTH
NETWORKS I           COMMON STOCK    592142103       1        500 Shares                 X                 1       500      0      0
MICROSOFT CORP       COMMON STOCK    594918104   24511     804164 Shares                 X                 1    787767      0  16397
MICROSOFT CORP       COMMON STOCK    594918104    8154     267535 Shares                         X         1    239314      0  28221
MICROSOFT CORP       COMMON STOCK    594918104    1046      40300 Shares                 X                 2     32800      0   7500
MICROSOFT CORP       COMMON STOCK    594918104    7316     239968 Shares                 X                 3    232179      0   7789
MICROSOFT CORP       COMMON STOCK    594918104      27        900 Shares                 X                 4       900      0      0
MICROSOFT CORP       COMMON STOCK    594918104      46       1500 Shares                         X         4      1500      0      0
MICROSTRATEGY INC    COMMON STOCK    594972408       3         27 Shares                 X                 2         0      0     27
MICROCHIP TECHNOLOGY
INC COM              COMMON STOCK    595017104     153       5250 Shares                 X                 1      5250      0      0
MICROCHIP TECHNOLOGY
INC COM              COMMON STOCK    595017104      29       1000 Shares                         X         1      1000      0      0
MICROSEMI CORP       COMMON STOCK    595137100      31       1725 Shares                 X                 1      1725      0      0
MICROSEMI CORP       COMMON STOCK    595137100     841      47400 Shares                 X                 3     47400      0      0
MID-AMERICA
APARTMENT COMMUNIT   COMMON STOCK    59522J103      72       1500 Shares                 X                 2         0      0      0
MID PENN BANCORP
INCORPORATED         COMMON STOCK    59540G107      16       1597 Shares                 X                 1      1597      0      0
MIDCAP SPDR TRUST
SERIES 1 S&P         PREFERRED STOCK 595635103     757       5747 Shares                 X                 1         0      0      0
MIDCAP SPDR TRUST
SERIES 1 S&P         PREFERRED STOCK 595635103    2163      16420 Shares                         X         1         0      0      0
MIDCAP SPDR TRUST
SERIES 1 S&P         PREFERRED STOCK 595635103     333       2525 Shares                 X                 2         0      0      0
MIDCAP SPDR TRUST
SERIES 1 S&P         PREFERRED STOCK 595635103      60        455 Shares                 X                 3         0      0      0
MILLIPORE CORP COM   COMMON STOCK    601073109       1         15 Shares                 X                 1        15      0      0
MINDRAY MEDICAL INTL
LTD-ADR              COMMON STOCK    602675100       2         50 Shares                 X                 1        50      0      0
MINE SAFETY
APPLIANCES CO        COMMON STOCK    602720104      17        650 Shares                 X                 1       650      0      0
MITSUI & CO LTD
-SPONS ADR           COMMON STOCK    606827202       2          6 Shares                 X                 1         6      0      0
MOLEX INC            COMMON STOCK    608554101      73       3400 Shares                 X                 1      3400      0      0
MOLSON COORS BREWING
COMPANY              COMMON STOCK    60871R209       1         23 Shares                 X                 1        23      0      0
MOLSON COORS BREWING
COMPANY              COMMON STOCK    60871R209      27        600 Shares                         X         1       600      0      0
MONOLITHIC POWER
SYSTEMS INC          COMMON STOCK    609839105      34       1425 Shares                 X                 1      1425      0      0
MONOLITHIC POWER
SYSTEMS INC          COMMON STOCK    609839105     928      38725 Shares                 X                 3     38725      0      0
MONSANTO COMPANY     COMMON STOCK    61166W101    4034      49348 Shares                 X                 1     49034      0    314
MONSANTO COMPANY     COMMON STOCK    61166W101    1180      14437 Shares                         X         1     12982      0   1455
MONSANTO COMPANY     COMMON STOCK    61166W101     221       2700 Shares                 X                 2         0      0   2700
MONSANTO COMPANY     COMMON STOCK    61166W101    3147      38491 Shares                 X                 3     37748      0    743
MONTGOMERY ST INCOME
SECS INC             PREFERRED STOCK 614115103      68       4653 Shares                 X                 1         0      0      0
MOODYS CORP          COMMON STOCK    615369105      78       2922 Shares                 X                 1      2170      0    752
MOODYS CORP          COMMON STOCK    615369105      95       3550 Shares                         X         1      3550      0      0
MORGAN STANLEY GROUP
INC                  COMMON STOCK    617446448    1902      64265 Shares                 X                 1     64095      0    170
MORGAN STANLEY GROUP
INC                  COMMON STOCK    617446448     370      12510 Shares                         X         1     11998      0    512
MORGAN STANLEY GROUP
INC                  COMMON STOCK    617446448     231       7823 Shares                 X                 3      5092      0   2731



                                    28 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
MORGAN STANLEY
EMERGING MKTS D      PREFERRED STOCK 61744H105       5        500 Shares                 X                 1         0      0      0
MORGAN STANLEY HIGH
YLD FD INC           PREFERRED STOCK 61744M104       2        300 Shares                 X                 1         0      0      0
MORGAN STANLEY MUNI
INC OPP              PREFERRED STOCK 61745P452      24       3900 Shares                 X                 1         0      0      0
MORGAN STANLEY
QUALITY MUNI IN      PREFERRED STOCK 61745P668      22       1708 Shares                         X         1         0      0      0
MORGAN STAN DEAN
QUALITY MUN I        PREFERRED STOCK 61745P734      17       1413 Shares                         X         1         0      0      0
MORGAN STANLEY INSD
MUNI INCOM           PREFERRED STOCK 61745P791      39       2814 Shares                         X         1         0      0      0
THE MOSAIC COMPANY   COMMON STOCK    61945A107    4012      67169 Shares                 X                 1     66969      0    200
THE MOSAIC COMPANY   COMMON STOCK    61945A107     123       2060 Shares                         X         1      1785      0    275
THE MOSAIC COMPANY   COMMON STOCK    61945A107    3471      65200 Shares                 X                 2     15900      0  49300
THE MOSAIC COMPANY   COMMON STOCK    61945A107    2457      41127 Shares                 X                 3     39462      0   1665
THE MOSAIC COMPANY   COMMON STOCK    61945A107      75       1250 Shares                         X         4      1250      0      0
MOTOROLA INC         COMMON STOCK    620076109     176      22633 Shares                 X                 1     22633      0      0
MOTOROLA INC         COMMON STOCK    620076109     298      38465 Shares                         X         1     38465      0      0
MOTOROLA INC         COMMON STOCK    620076109       1        150 Shares                 X                 4       150      0      0
MURPHY OIL CORP      COMMON STOCK    626717102      41        750 Shares                 X                 1       750      0      0
MURPHY OIL CORP      COMMON STOCK    626717102     146       2700 Shares                         X         1      2700      0      0
MURPHY OIL CORP      COMMON STOCK    626717102      54       1000 Shares                 X                 2         0      0   1000
MYLAN INC            COMMON STOCK    628530107      13        705 Shares                 X                 1       705      0      0
MYLAN INC- PFD CONV
6.5% 11/15           PREFERRED STOCK 628530206      58         50 Shares                 X                 2         0      0      0
MYRIAD GENETICS INC  COMMON STOCK    62855J104     619      23734 Shares                 X                 1     23734      0      0
MYRIAD GENETICS INC  COMMON STOCK    62855J104    2328      89228 Shares                 X                 3     89228      0      0
MYRIAD
PHARMACEUTICALS INC  COMMON STOCK    62856H107       0         75 Shares                 X                 1        75      0      0
NBT BANCORP INC.
COM                  COMMON STOCK    628778102      99       4878 Shares                 X                 1      4878      0      0
NCR CORP             COMMON STOCK    62886E108       2        212 Shares                 X                 1       212      0      0
NCR CORP             COMMON STOCK    62886E108       8        674 Shares                         X         1       658      0     16
NII HOLDINGS INC
-CL B                COMMON STOCK    62913F201      10        300 Shares                 X                 1       300      0      0
NRG ENERGY INC       COMMON STOCK    629377508       2         98 Shares                 X                 1        98      0      0
NTT DOCOMO INC
SPONSORED ADR        COMMON STOCK    62942M201       1         81 Shares                 X                 1        81      0      0
NYSE EURONEXT        COMMON STOCK    629491101       3         99 Shares                 X                 1        99      0      0
NASDAQ OMX GROUP     COMMON STOCK    631103108       4        200 Shares                 X                 1       200      0      0
NATIONAL BANK OF
GREECE ADR           COMMON STOCK    633643408       1        210 Shares                 X                 1       210      0      0
NATIONAL CINEMEDIA
INC                  COMMON STOCK    635309107       5        275 Shares                 X                 1       275      0      0
NATL FUEL GAS CO     COMMON STOCK    636180101      45        900 Shares                         X         1       900      0      0
NATIONAL GRID GROUP
PLC-ADR              COMMON STOCK    636274300      17        313 Shares                 X                 1       313      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    2816      63868 Shares                 X                 1     62518      0   1350
NATIONAL-OILWELL
VARCO INC            COMMON STOCK    637071101     224       5080 Shares                         X         1      1290      0   3790
NATIONAL-OILWELL
VARCO INC            COMMON STOCK    637071101    1843      48390 Shares                 X                 2     20540      0  27850
NATIONAL-OILWELL
VARCO INC            COMMON STOCK    637071101    2948      66875 Shares                 X                 3     66875      0      0
NATIONAL PENN
BANCSHARES INC       COMMON STOCK    637138108      16       2815 Shares                 X                 1      2815      0      0
NATIONAL PENN
BANCSHARES INC       COMMON STOCK    637138108      47       8041 Shares                         X         1      8041      0      0
NATIONAL
SEMICONDUCTOR
CORP CO              COMMON STOCK    637640103      13        850 Shares                 X                 1       850      0      0
NATIONAL
SEMICONDUCTOR
CORP CO              COMMON STOCK    637640103      37       2390 Shares                         X         1      2390      0      0
NATIONAL
SEMICONDUCTOR
CORP CO              COMMON STOCK    637640103      81       5300 Shares                 X                 3      5300      0      0
THE NAVIGATORS
GROUP INC            COMMON STOCK    638904102      12        258 Shares                 X                 1       258      0      0
NAVISTAR
INTERNATIONAL CORP   COMMON STOCK    63934E108       4        100 Shares                 X                 1       100      0      0
NEENAH PAPER INC     COMMON STOCK    640079109      13        964 Shares                 X                 1       964      0      0
NET 1 UEPS
TECHNOLOGIES INC     COMMON STOCK    64107N206       1         75 Shares                 X                 1        75      0      0
NETAPP INC           COMMON STOCK    64110D104     135       3924 Shares                 X                 1      3924      0      0
NETAPP INC           COMMON STOCK    64110D104       6        178 Shares                         X         1       178      0      0
NETFLIX.COM INC      COMMON STOCK    64110L106      37        675 Shares                 X                 1       675      0      0
NETFLIX.COM INC      COMMON STOCK    64110L106     562      10200 Shares                 X                 3     10200      0      0
NETGEAR INC          COMMON STOCK    64111Q104       1         55 Shares                 X                 1        55      0      0
NEUROCRINE
BIOSCIENCES INC      COMMON STOCK    64125C109       1        500 Shares                         X         1         0      0    500
NEW JERSEY
RESOURCES CORP       COMMON STOCK    646025106       6        148 Shares                         X         1       148      0      0
NEW ORIENTAL
EDUCATION & TECH     COMMON STOCK    647581107       2         28 Shares                 X                 1        28      0      0
NEW ORIENTAL
EDUCATION & TECH     COMMON STOCK    647581107       2         28 Shares                         X         1        28      0      0
NEW YORK CMNTY BANCO COMMON          649445103      65       4500 Shares                 X                 3      4500      0      0
NEW YORK TIMES CO
CL A                 COMMON STOCK    650111107      15       1220 Shares                 X                 1      1220      0      0
NEWELL RUBBERMAID
INC COM              COMMON STOCK    651229106      20       1350 Shares                 X                 1      1350      0      0
NEWELL RUBBERMAID
INC COM              COMMON STOCK    651229106     124       8230 Shares                         X         1      8230      0      0
NEWFIELD EXPLORATION
CO                   COMMON STOCK    651290108      32        661 Shares                 X                 1       661      0      0



                                    29 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
NEWFIELD EXPLORATION
CO                   COMMON STOCK    651290108       6        125 Shares                         X         1       125      0      0
NEWMARKET
CORPORATION          COMMON STOCK    651587107     520       4530 Shares                 X                 1      4530      0      0
NEWMARKET
CORPORATION          COMMON STOCK    651587107    1086       9464 Shares                         X         1      9464      0      0
NEWMONT MINING       COMMON STOCK    651639106      74       1569 Shares                 X                 1      1518      0     51
NEWMONT MINING       COMMON STOCK    651639106      72       1524 Shares                         X         1       624      0    900
NEWS CORP INC-A      COMMON STOCK    65248E104     606      44257 Shares                 X                 1     44247      0     10
NEWS CORP INC-A      COMMON STOCK    65248E104      28       2054 Shares                         X         1      2054      0      0
NEWS CORP-CLASS B    COMMON STOCK    65248E203      12        765 Shares                 X                 1       765      0      0
NEXEN INC            COMMON STOCK    65334H102       9        378 Shares                 X                 1       203      0    175
NICHOLAS-APPLEGATE
INTL & PREM          PREFERRED STOCK 65370C108      15       1000 Shares                         X         1         0      0      0
NICOR INC            COMMON STOCK    654086107      21        500 Shares                 X                 1       500      0      0
NICOR INC            COMMON STOCK    654086107       8        200 Shares                         X         1       200      0      0
NIKE INC CL B        COMMON STOCK    654106103    3156      47769 Shares                 X                 1     46774      0    995
NIKE INC CL B        COMMON STOCK    654106103     338       5112 Shares                         X         1      3712      0   1400
NIKE INC CL B        COMMON STOCK    654106103      51        765 Shares                 X                 2         0      0    765
NIKE INC CL B        COMMON STOCK    654106103     730      11043 Shares                 X                 3     11043      0      0
NIPPON TELEGRAPH &
TELE ADR             COMMON STOCK    654624105      27       1344 Shares                 X                 1      1344      0      0
NISOURCE INC         COMMON STOCK    65473P105      53       3426 Shares                 X                 1      3426      0      0
NISOURCE INC         COMMON STOCK    65473P105      30       1971 Shares                         X         1      1971      0      0
NOKIA CORP SPONSORED
ADR                  COMMON STOCK    654902204     463      36000 Shares                 X                 1     35485      0    515
NOKIA CORP SPONSORED
ADR                  COMMON STOCK    654902204     285      22190 Shares                         X         1     22040      0    150
NOKIA CORP SPONSORED
ADR                  COMMON STOCK    654902204      42       3300 Shares                 X                 3      3300      0      0
NOBLE ENERGY INC     COMMON STOCK    655044105     427       5998 Shares                 X                 1      5998      0      0
NOBLE ENERGY INC     COMMON STOCK    655044105      28        400 Shares                         X         1       400      0      0
NOBLE ENERGY INC     COMMON STOCK    655044105    2438      34235 Shares                 X                 3     34235      0      0
NOMURA HLDGS INC     COMMON STOCK    65535H208       1        147 Shares                 X                 1       147      0      0
NORDSTROM INC COM    COMMON STOCK    655664100     555      14767 Shares                 X                 1     14767      0      0
NORDSTROM INC COM    COMMON STOCK    655664100    1301      34617 Shares                 X                 3     34617      0      0
NORFOLK SOUTHERN
CORP                 COMMON STOCK    655844108    1322      25217 Shares                 X                 1     25017      0    200
NORFOLK SOUTHERN
CORP                 COMMON STOCK    655844108     898      17125 Shares                         X         1     14425      0   2700
NORFOLK SOUTHERN
CORP                 COMMON STOCK    655844108     103       1950 Shares                 X                 3      1950      0      0
NORTH AMERICAN
ENERGY               COMMON STOCK    656844107      32       4400 Shares                 X                 1      4400      0      0
NORTH AMERICAN
ENERGY               COMMON STOCK    656844107     874     120275 Shares                 X                 3    120275      0      0
NORTHEAST UTILITIES
COM                  COMMON STOCK    664397106      10        375 Shares                 X                 1       375      0      0
NORTHERN TR CORP     COMMON          665859104      73       1400 Shares                 X                 3      1400      0      0
NORTHROP GRUMMAN
CORP                 COMMON STOCK    666807102     223       3986 Shares                 X                 1      3876      0    110
NORTHROP GRUMMAN
CORP                 COMMON STOCK    666807102     119       2123 Shares                         X         1      2123      0      0
NORTHROP GRUMMAN
CORP                 COMMON STOCK    666807102     162       2900 Shares                 X                 3      2900      0      0
NORTHWEST NATURAL
GAS COMPANY          COMMON STOCK    667655104      20        450 Shares                 X                 1       450      0      0
NORTHWEST NATURAL
GAS COMPANY          COMMON STOCK    667655104      23        500 Shares                         X         1       500      0      0
NOVARTIS AG ADR      COMMON STOCK    66987V109    3740      68704 Shares                 X                 1     68567      0    137
NOVARTIS AG ADR      COMMON STOCK    66987V109     921      16921 Shares                         X         1     16536      0    385
NOVARTIS AG ADR      COMMON STOCK    66987V109     182       3351 Shares                 X                 3      1473      0   1878
NOVAVAX INC          COMMON STOCK    670002104      27      10000 Shares                 X                 1     10000      0      0
NOVO-NORDISK A/S
SPONS ADR            COMMON STOCK    670100205       2         24 Shares                 X                 1        24      0      0
NOVO-NORDISK A/S
SPONS ADR            COMMON STOCK    670100205       1         22 Shares                         X         1        22      0      0
NOVO-NORDISK A/S
SPONS ADR            COMMON STOCK    670100205     319       5000 Shares                 X                 2         0      0   5000
NU SKIN ENTERPRISES
INC                  COMMON STOCK    67018T105       2         70 Shares                 X                 1        70      0      0
NU SKIN ENTERPRISES
INC                  COMMON STOCK    67018T105      21        800 Shares                 X                 2         0      0    800
NSTAR COM            COMMON STOCK    67019E107      13        348 Shares                 X                 1       348      0      0
NUCOR CORP           COMMON STOCK    670346105     564      12090 Shares                 X                 1      9890      0   2200
NUCOR CORP           COMMON STOCK    670346105     246       5270 Shares                         X         1      4050      0   1220
NUCRYST
PHARMACEUTICALS CORP COMMON STOCK    67035Q100       0        200 Shares                 X                 1       200      0      0
NUSTAR ENERGY LP     COMMON STOCK    67058H102      11        200 Shares                         X         1       200      0      0
NUSTAR GP HOLDINGS
LLC                  COMMON STOCK    67059L102      77       2850 Shares                 X                 2         0      0   2850
NUVEEN PA PREM
INCOME MUN FD 2      PREFERRED STOCK 67061F101      86       6931 Shares                 X                 1         0      0      0
NUVEEN PA PREM
INCOME MUN FD 2      PREFERRED STOCK 67061F101    1718     137734 Shares                         X         1         0      0      0
NUVEEN MARYLAND PREM
INC MUN F            PREFERRED STOCK 67061Q107      28       2000 Shares                 X                 2         0      0      0
NUVEEN INVT QUALITY
MUNI FD              PREFERRED STOCK 67062E103       4        333 Shares                         X         1         0      0      0
NUVEEN INSD QUALITY
MUN FD               PREFERRED STOCK 67062N103      16       1200 Shares                 X                 1         0      0      0
NUVEEN INSD QUALITY
MUN FD               PREFERRED STOCK 67062N103      10        760 Shares                 X                 2         0      0      0
NUVEEN PERFORMANCE
PLUS MUNI F          PREFERRED STOCK 67062P108       5        390 Shares                         X         1         0      0      0



                                    30 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
NUVEEN NY PERF PLUS
MUNI FD              PREFERRED STOCK 67062R104      28       2000 Shares                         X         1         0      0      0
NUVEEN NY INVT
QUALITY MUN FD       PREFERRED STOCK 67062X101      20       1500 Shares                         X         1         0      0      0
NUVEEN SELECT
TAX-FREE INC 2       PREFERRED STOCK 67063C106     556      40000 Shares                         X         1         0      0      0
NUVEEN PREMIUM
INCOME MUNICIPA      PREFERRED STOCK 67063W102      28       2094 Shares                 X                 1         0      0      0
NUTRISYSTEM INC      COMMON STOCK    67069D108       2         50 Shares                 X                 1         0      0     50
NUVEEN MARYLAND
DIVIDEND ADV M       PREFERRED STOCK 67069R107      12        923 Shares                 X                 1         0      0      0
NUVEEN CA DVD ADV
MUNI FD 2            PREFERRED STOCK 67069X104      67       5000 Shares                 X                 1         0      0      0
NUVEEN INSURED PREM
INC MUNI F           PREFERRED STOCK 6706D8104      38       3100 Shares                 X                 2         0      0      0
NUVEEN PA DIVIDEND
ADV MUNI FD          PREFERRED STOCK 67070E103      13       1000 Shares                         X         1         0      0      0
NUVEEN MD DIV
ADVANTAGE MUN FD     PREFERRED STOCK 67070V105      55       4059 Shares                 X                 1         0      0      0
NUVEEN MD DIV
ADVANTAGE MUN FD     PREFERRED STOCK 67070V105      13       1000 Shares                 X                 2         0      0      0
NUVEEN QUALITY
PREFERRED INC F      PREFERRED STOCK 67071S101      33       5000 Shares                 X                 2         0      0      0
NUVEEN QUALITY PFD
INCOME FD 2          PREFERRED STOCK 67072C105      13       1735 Shares                 X                 1         0      0      0
NUVEEN QUALITY PFD
INCOME FD 2          PREFERRED STOCK 67072C105     109      15000 Shares                 X                 2         0      0      0
NUVEEN QUALITY PFD
INCOME FD 3          PREFERRED STOCK 67072W101       5        700 Shares                         X         1         0      0      0
NUVEEN PFD & CVRT
INCOME FUND          PREFERRED STOCK 67073B106       7       1000 Shares                 X                 1         0      0      0
NUVEEN MULTI
STRATEGY INC & GR    PREFERRED STOCK 67073D102      14       1860 Shares                 X                 1         0      0      0
NUVEEN MULTI
STRATEGY INC & GR    PREFERRED STOCK 67073D102       4        500 Shares                         X         1         0      0      0
NV ENERGY INC        COMMON STOCK    67073Y106       7        558 Shares                 X                 1       558      0      0
NV ENERGY INC        COMMON STOCK    67073Y106       2        200 Shares                         X         1       200      0      0
OGE ENERGY CORP COM  COMMON STOCK    670837103      11        300 Shares                 X                 1       300      0      0
OGE ENERGY CORP COM  COMMON STOCK    670837103      67       1810 Shares                         X         1      1810      0      0
NUVEEN MUNICIPAL
VALUE FUND           PREFERRED STOCK 670928100      38       3963 Shares                 X                 1         0      0      0
NUVEEN MUNICIPAL
VALUE FUND           PREFERRED STOCK 670928100      49       5094 Shares                         X         1         0      0      0
NUVEEN PA INVT
QUALITY MUN FD       PREFERRED STOCK 670972108      67       5115 Shares                 X                 1         0      0      0
NUVEEN PA INVT
QUALITY MUN FD       PREFERRED STOCK 670972108      47       3600 Shares                         X         1         0      0      0
NUVEEN SELECT
QUALITY MUN FD       PREFERRED STOCK 670973106       6        406 Shares                         X         1         0      0      0
NUVEEN QUALITY
INCOME MUNI FD       PREFERRED STOCK 670977107       7        500 Shares                 X                 1         0      0      0
NUVEEN QUALITY
INCOME MUNI FD       PREFERRED STOCK 670977107       3        210 Shares                         X         1         0      0      0
NUVEEN INSD MUNI
OPPORTUNITY          PREFERRED STOCK 670984103       5        396 Shares                         X         1         0      0      0
NUVEEN INSD MUNI
OPPORTUNITY          PREFERRED STOCK 670984103       7        500 Shares                 X                 2         0      0      0
NUVEEN PREMIER INSD
MUNI INC F           PREFERRED STOCK 670987106       6        410 Shares                 X                 1         0      0      0
NUVEEN PREMIER INSD
MUNI INC F           PREFERRED STOCK 670987106      14       1000 Shares                         X         1         0      0      0
NUVEEN PREMIER INSD
MUNI INC F           PREFERRED STOCK 670987106      15       1050 Shares                 X                 2         0      0      0
OCCIDENTAL PETE CORP
COM                  COMMON STOCK    674599105     586       7207 Shares                 X                 1      7183      0     24
OCCIDENTAL PETE CORP
COM                  COMMON STOCK    674599105     250       3076 Shares                         X         1      3076      0      0
OCCIDENTAL PETE CORP
COM                  COMMON STOCK    674599105    2363      30850 Shares                 X                 2      9050      0  21800
OCCIDENTAL PETE CORP
COM                  COMMON STOCK    674599105      33        400 Shares                 X                 3       400      0      0
OCEANEERING INTL INC
COM                  COMMON STOCK    675232102      15        255 Shares                 X                 1       255      0      0
OCH-ZIFF CAPITAL
MANAGEMENT GR        COMMON STOCK    67551U105      56       4050 Shares                 X                 1      4050      0      0
OCH-ZIFF CAPITAL
MANAGEMENT GR        COMMON STOCK    67551U105    1527     111100 Shares                 X                 3    111100      0      0
OLD NATIONAL BANCORP
COM                  COMMON STOCK    680033107      62       5000 Shares                 X                 1      5000      0      0
OLD REPUBLIC INTL
CORP COM             COMMON STOCK    680223104      22       2200 Shares                 X                 1      2200      0      0
OLIN CORP COM        COMMON STOCK    680665205      13        750 Shares                 X                 1       750      0      0
OMNICOM GROUP INC
COM                  COMMON STOCK    681919106      55       1400 Shares                 X                 1      1400      0      0
OMNICOM GROUP INC
COM                  COMMON STOCK    681919106      55       1400 Shares                         X         1      1400      0      0
ONCOTHYREON INC      COMMON STOCK    682324108       5        933 Shares                 X                 1       250      0    683
1-800-FLOWERS.COM
INC                  COMMON STOCK    68243Q106       1        205 Shares                 X                 1       205      0      0
ONEOK INC            COMMON STOCK    682680103      31        700 Shares                 X                 1       700      0      0
ONEOK PARTNERS LP    COMMON STOCK    68268N103      69       1100 Shares                 X                 1      1100      0      0
ONEOK PARTNERS LP    COMMON STOCK    68268N103      25        400 Shares                         X         1       400      0      0
OPTIMAL GROUP INC
- CL A               COMMON STOCK    68388R307       0         60 Shares                 X                 1        60      0      0
ORACLE CORPORATION
COM                  COMMON STOCK    68389X105    3988     162591 Shares                 X                 1    162591      0      0
ORACLE CORPORATION
COM                  COMMON STOCK    68389X105     655      26713 Shares                         X         1     25613      0   1100
ORACLE CORPORATION
COM                  COMMON STOCK    68389X105    1366      55700 Shares                 X                 2     30700      0  25000
ORACLE CORPORATION
COM                  COMMON STOCK    68389X105    1938      79010 Shares                 X                 3     76197      0   2813
ORACLE CORPORATION
COM                  COMMON STOCK    68389X105      21        850 Shares                 X                 4       850      0      0
OREXIGEN
THERAPEUTICS INC     COMMON STOCK    686164104      29       3875 Shares                 X                 1      3875      0      0
OREXIGEN
THERAPEUTICS INC     COMMON STOCK    686164104     793     106600 Shares                 X                 3    106600      0      0
ORION MARINE GROUP
INC                  COMMON STOCK    68628V308      83       3925 Shares                 X                 1      3925      0      0
ORION MARINE GROUP
INC                  COMMON STOCK    68628V308    2500     118725 Shares                 X                 3    118725      0      0
ORRSTOWN FINL SVCS
INC COM              COMMON STOCK    687380105     224       6416 Shares                 X                 1      6416      0      0



                                    31 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
OSHKOSH CORPORATION  COMMON STOCK    688239201       7        200 Shares                 X                 1       200      0      0
OTELCO INC           COMMON STOCK    688823202       1         55 Shares                 X                 1        55      0      0
OXIGENE INC          COMMON STOCK    691828107       6       5000 Shares                 X                 1      5000      0      0
PAB BANKSHARES INC   COMMON STOCK    69313P101       4       2040 Shares                 X                 2         0      0   2040
P G & E CORP         COMMON STOCK    69331C108     129       2888 Shares                 X                 1      2778      0    110
P G & E CORP         COMMON STOCK    69331C108     116       2600 Shares                         X         1      1100      0   1500
PHH CORPORATION      COMMON STOCK    693320202      12        750 Shares                 X                 1       750      0      0
PMC SIERRA INC       COMMON STOCK    69344F106     185      21305 Shares                 X                 1     21305      0      0
PMC SIERRA INC       COMMON STOCK    69344F106    1728     199500 Shares                 X                 3    199500      0      0
PNC FINANCIAL
SERVICES GROUP I     COMMON STOCK    693475105    8123     153873 Shares                 X                 1    148160      0   5713
PNC FINANCIAL
SERVICES GROUP I     COMMON STOCK    693475105    2797      52991 Shares                         X         1     41649   3450   7892
PNC FINANCIAL
SERVICES GROUP I     COMMON STOCK    693475105     816      15458 Shares                 X                 2         0      0  15458
PNC FINANCIAL
SERVICES GROUP I     COMMON STOCK    693475105     143       2707 Shares                 X                 3      2707      0      0
PNC BANK CORP PFD
CONV 1.80 SE         PREFERRED STOCK 693475501      17        194 Shares                 X                 1         0      0      0
POSCO - ADR          COMMON STOCK    693483109       1          8 Shares                 X                 1         8      0      0
PPG INDS INC         COMMON STOCK    693506107     538       9186 Shares                 X                 1      8386      0    800
PPG INDS INC         COMMON STOCK    693506107     798      13633 Shares                         X         1     12633      0   1000
PPL CORP COM         COMMON STOCK    69351T106    4327     133906 Shares                 X                 1    133006      0    900
PPL CORP COM         COMMON STOCK    69351T106    1058      32748 Shares                         X         1     26881   2130   3737
PPL CORP COM         COMMON STOCK    69351T106      26        800 Shares                 X                 3       800      0      0
PS BUSINESS PKS INC  COMMON STOCK    69360J107       3         65 Shares                 X                 1         0      0      0
PACCAR INC           COMMON STOCK    693718108     147       4050 Shares                 X                 2         0      0   4050
PACTIV CORP COM      COMMON STOCK    695257105       3        125 Shares                 X                 1       125      0      0
PAETEC HOLDING CORP  COMMON STOCK    695459107      42      10000 Shares                 X                 1      5000      0   5000
PALL CORP COM        COMMON STOCK    696429307      72       2000 Shares                         X         1      2000      0      0
PALM INC             COMMON STOCK    696643105     623      62143 Shares                 X                 1     62143      0      0
PALM INC             COMMON STOCK    696643105    1743     173689 Shares                 X                 3    173689      0      0
PAN AMERICAN SILVER
CORP                 COMMON STOCK    697900108       2        100 Shares                 X                 1       100      0      0
PANASONIC CORP SPONS
ADR                  COMMON STOCK    69832A205       3        243 Shares                 X                 1       243      0      0
PANERA BREAD CO CL-A COMMON STOCK    69840W108     176       2626 Shares                 X                 1      2626      0      0
PANERA BREAD CO CL-A COMMON STOCK    69840W108    1467      21900 Shares                 X                 3     21900      0      0
PAPA JOHNS
INTERNATIONAL INC    COMMON STOCK    698813102       5        200 Shares                 X                 1       200      0      0
PARAMETRIC
TECHNOLOGY CORP      COMMON STOCK    699173209      33       2028 Shares                 X                 1      2028      0      0
PARAMETRIC
TECHNOLOGY CORP      COMMON STOCK    699173209     833      50975 Shares                 X                 3     50975      0      0
PARKER HANNIFIN CORP COMMON STOCK    701094104     209       3887 Shares                 X                 1      3887      0      0
PARKER HANNIFIN CORP COMMON STOCK    701094104      99       1832 Shares                         X         1      1832      0      0
PARKER HANNIFIN CORP COMMON STOCK    701094104      32        600 Shares                 X                 3       600      0      0
PARTNER
COMMUNICATIONS CO
LTD-                 COMMON STOCK    70211M109       4        172 Shares                 X                 1       172      0      0
PATRIOT COAL CORP    COMMON STOCK    70336T104       3        220 Shares                 X                 1       220      0      0
PATRIOT COAL CORP    COMMON STOCK    70336T104       0         20 Shares                         X         1        20      0      0
PATTERSON-UTI
ENERGY INC           COMMON STOCK    703481101      31       2000 Shares                 X                 3      2000      0      0
PAYCHEX INC COM      COMMON STOCK    704326107    1081      35269 Shares                 X                 1     35269      0      0
PAYCHEX INC COM      COMMON STOCK    704326107      46       1500 Shares                         X         1      1500      0      0
PEABODY ENERGY CORP  COMMON STOCK    704549104    2603      57577 Shares                 X                 1     57127      0    450
PEABODY ENERGY CORP  COMMON STOCK    704549104     374       8275 Shares                         X         1      6330      0   1945
PEABODY ENERGY CORP  COMMON STOCK    704549104    2085      46100 Shares                 X                 3     46100      0      0
PEETS COFFEE & TEA
INC COM              COMMON STOCK    705560100       7        200 Shares                 X                 1       200      0      0
PENGROWTH ENERGY
TRUST                COMMON STOCK    706902509       2        200 Shares                 X                 1       200      0      0
PENGROWTH ENERGY
TRUST                COMMON STOCK    706902509      56       5800 Shares                 X                 2         0      0   5800
PENN MILLERS HOLDING
CORP                 COMMON STOCK    707561106      55       5000 Shares                 X                 1      5000      0      0
PENN VA RESOURCE
PARTNERS LP          COMMON STOCK    707884102      22       1000 Shares                         X         1      1000      0      0
PENNWEST ENERGY
TRUST                COMMON STOCK    707885109      87       4960 Shares                         X         1      4960      0      0
PENNWEST ENERGY
TRUST                COMMON STOCK    707885109      64       3650 Shares                 X                 2         0      0   3650
PENNEY JC CO INC     COMMON STOCK    708160106      71       2672 Shares                 X                 1      2557      0    115
PENNEY JC CO INC     COMMON STOCK    708160106      35       1308 Shares                         X         1      1308      0      0
PENNEY JC CO INC     COMMON STOCK    708160106       3        102 Shares                 X                 3       102      0      0
PENNICHUCK
CORPORATION NEW      COMMON STOCK    708254206      13        600 Shares                 X                 1       600      0      0
PENNS WOODS
BANCORP INC.         COMMON STOCK    708430103      32       1000 Shares                 X                 1      1000      0      0
PENNS WOODS
BANCORP INC.         COMMON STOCK    708430103     298       9198 Shares                 X                 3      9198      0      0
PENN ESTATE INV
TR (REIT)            COMMON STOCK    709102107      19       2200 Shares                 X                 1         0      0      0
PENTAIR INC COM      COMMON STOCK    709631105      27        824 Shares                 X                 1       824      0      0
PENTAIR INC COM      COMMON STOCK    709631105     155       4800 Shares                         X         1      4800      0      0



                                    32 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
PEOPLES UNITED FINL  COMMON          712704105      42       2500 Shares                 X                 3      2500      0      0
PEPCO HOLDINGS INC   COMMON STOCK    713291102    1084      64322 Shares                 X                 1     62796      0   1526
PEPCO HOLDINGS INC   COMMON STOCK    713291102     183      10887 Shares                         X         1      8587      0   2300
PEPCO HOLDINGS INC   COMMON STOCK    713291102      12        693 Shares                 X                 2         0      0    693
PEPCO HOLDINGS INC   COMMON STOCK    713291102      42       2500 Shares                 X                 3      2500      0      0
PEPSIAMERICAS INC
COM                  COMMON STOCK    71343P200       0          4 Shares                 X                 1         4      0      0
PEPSIAMERICAS INC
COM                  COMMON STOCK    71343P200       9        300 Shares                         X         1       300      0      0
PEPSICO INC COM      COMMON STOCK    713448108   22646     372464 Shares                 X                 1    369014      0   3450
PEPSICO INC COM      COMMON STOCK    713448108   12880     211850 Shares                         X         1    196162      0  15688
PEPSICO INC COM      COMMON STOCK    713448108    7404     127903 Shares                 X                 2     30249      0  97654
PEPSICO INC COM      COMMON STOCK    713448108    3771      62028 Shares                 X                 3     60029      0   1999
PEPSICO INC COM      COMMON STOCK    713448108       9        150 Shares                 X                 4       150      0      0
PEPSICO INC COM      COMMON STOCK    713448108     103       1700 Shares                         X         4      1700      0      0
PERKINELMER INC COM  COMMON STOCK    714046109      10        505 Shares                 X                 1       505      0      0
PERKINELMER INC COM  COMMON STOCK    714046109      82       4000 Shares                         X         1      4000      0      0
PERMA-FIX
ENVIRONMENTAL SVCS   COMMON STOCK    714157104     658     290000 Shares                 X                 2         0      0 290000
PERRIGO COMPANY      COMMON STOCK    714290103     260       6521 Shares                 X                 1      6521      0      0
PERRIGO COMPANY      COMMON STOCK    714290103    2228      55924 Shares                 X                 3     55924      0      0
PETMED EXPRESS INC   COMMON STOCK    716382106      14        800 Shares                 X                 1       800      0      0
PETROCHINA CO LTD
ADR                  COMMON STOCK    71646E100       2         16 Shares                 X                 1        16      0      0
PETROCHINA CO LTD
ADR                  COMMON STOCK    71646E100      17        143 Shares                         X         1       143      0      0
PETE & RES CORP COM  COMMON STOCK    716549100      15        625 Shares                 X                 1       625      0      0
PETROLEO BRASILEIRO
SA ADR               COMMON STOCK    71654V101      37        880 Shares                 X                 2         0      0    880
PETROLEO BRASILEIRO
SA SPNS AD           COMMON STOCK    71654V408     101       2128 Shares                 X                 1      2128      0      0
PETROLEO BRASILEIRO
SA SPNS AD           COMMON STOCK    71654V408      13        272 Shares                         X         1       272      0      0
PETSMART INC         COMMON STOCK    716768106     219       8202 Shares                 X                 1      8202      0      0
PETSMART INC         COMMON STOCK    716768106      33       1250 Shares                         X         1      1250      0      0
PFIZER INC           COMMON STOCK    717081103   14899     819052 Shares                 X                 1    812068      0   6984
PFIZER INC           COMMON STOCK    717081103   11581     636691 Shares                         X         1    586820    600  49271
PFIZER INC           COMMON STOCK    717081103    3503     195029 Shares                 X                 2     35968      0 159061
PFIZER INC           COMMON STOCK    717081103     239      13147 Shares                 X                 3     13147      0      0
PFIZER INC           COMMON STOCK    717081103      19       1045 Shares                 X                 4      1045      0      0
PHARMACEUTICAL
HOLDERS TRUST        PREFERRED STOCK 71712A206      17        250 Shares                         X         1         0      0      0
PHARMERICA
CORPORATION          COMMON STOCK    71714F104       9        596 Shares                 X                 1       596      0      0
PHILIP MORRIS INTL
INC                  COMMON STOCK    718172109   13976     290022 Shares                 X                 1    286797      0   3225
PHILIP MORRIS INTL
INC                  COMMON STOCK    718172109    6033     125200 Shares                         X         1    119567      0   5633
PHILIP MORRIS INTL
INC                  COMMON STOCK    718172109    2325      48255 Shares                 X                 2         0      0  48255
PHILIP MORRIS INTL
INC                  COMMON STOCK    718172109    3150      65359 Shares                 X                 3     65359      0      0
PHILIP MORRIS INTL
INC                  COMMON STOCK    718172109      60       1250 Shares                         X         4      1250      0      0
PHILLIPS VAN HEUSEN
CORP COM             COMMON STOCK    718592108     232       5700 Shares                 X                 1      5700      0      0
PHILLIPS VAN HEUSEN
CORP COM             COMMON STOCK    718592108    2742      67400 Shares                 X                 3     67400      0      0
PHOENIX COS INC COM  COMMON STOCK    71902E109       5       1745 Shares                 X                 1      1745      0      0
PHOENIX COS INC COM  COMMON STOCK    71902E109       3       1256 Shares                         X         1      1256      0      0
PHOENIX COS INC COM  COMMON STOCK    71902E109       7       2574 Shares                 X                 2         0      0   2574
PIEDMONT NAT GAS INC COMMON STOCK    720186105      58       2180 Shares                 X                 1      2180      0      0
PIEDMONT NAT GAS INC COMMON STOCK    720186105      11        400 Shares                         X         1       400      0      0
PIMCO MUNICIPAL
INCOME FUND          PREFERRED STOCK 72200R107      12       1000 Shares                 X                 2         0      0      0
PIMCO RCM STRAT
GLOBAL GOVT          PREFERRED STOCK 72200X104       1         50 Shares                 X                 1         0      0      0
PIMCO MUNICIPAL
INCOME FUND II       PREFERRED STOCK 72201A103      14       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       4        100 Shares                         X         1       100      0      0
PIONEER HIGH INCOME
TRUST                PREFERRED STOCK 72369H106      48       3392 Shares                         X         1         0      0      0
PIONEER MUNICIPAL HI
INC ADV T            PREFERRED STOCK 723762100      25       2000 Shares                 X                 1         0      0      0
PIPER JAFFRAY
COMPANIES INC        COMMON STOCK    724078100       9        169 Shares                 X                 1       169      0      0
PIPER JAFFRAY
COMPANIES INC        COMMON STOCK    724078100       0          1 Shares                         X         1         1      0      0
PITNEY BOWES INC COM COMMON STOCK    724479100     155       6801 Shares                 X                 1      6801      0      0
PITNEY BOWES INC COM COMMON STOCK    724479100      59       2600 Shares                         X         1      2600      0      0
PITNEY BOWES INC COM COMMON STOCK    724479100      86       3800 Shares                 X                 3      3800      0      0
PIZZA INN INC        COMMON STOCK    725848105       1        325 Shares                 X                 1       325      0      0
PLAINS ALL AMERICAN
PIPELINE L           COMMON STOCK    726503105   11804     227947 Shares                 X                 2     32300      0 195647
PLANTRONICS INC
COM NEW              COMMON STOCK    727493108      29       1125 Shares                 X                 1      1125      0      0
PLANTRONICS INC
COM NEW              COMMON STOCK    727493108     807      31075 Shares                 X                 3     31075      0      0



                                    33 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
PLEXUS CORP          COMMON STOCK    729132100      42       1475 Shares                 X                 1      1475      0      0
PLEXUS CORP          COMMON STOCK    729132100    1162      40775 Shares                 X                 3     40775      0      0
PLUM CREEK TIMBER
CO INC               COMMON STOCK    729251108     105       2780 Shares                 X                 1         0      0      0
PLUM CREEK TIMBER
CO INC               COMMON STOCK    729251108      66       1750 Shares                 X                 2         0      0      0
PLUM CREEK TIMBER
CO INC               COMMON STOCK    729251108      57       1500 Shares                 X                 3      1500      0      0
POLO RALPH LAUREN
CORPORATION          COMMON STOCK    731572103       7         85 Shares                 X                 1        85      0      0
POLYCOM INC COM      COMMON STOCK    73172K104      20        800 Shares                 X                 1       800      0      0
POLYCOM INC COM      COMMON STOCK    73172K104     560      22425 Shares                 X                 3     22425      0      0
PORTUGAL TELECOM
SGPS S A SPON        COMMON STOCK    737273102     158      13000 Shares                 X                 1     13000      0      0
POST PROPERTIES INC  COMMON STOCK    737464107     186       9500 Shares                 X                 2         0      0      0
POTASH CORP OF
SASKATCHEWAN IN      COMMON STOCK    73755L107    2785      25664 Shares                 X                 1     25650      0     14
POTASH CORP OF
SASKATCHEWAN IN      COMMON STOCK    73755L107     156       1440 Shares                         X         1      1440      0      0
POTASH CORP OF
SASKATCHEWAN IN      COMMON STOCK    73755L107    1309      12058 Shares                 X                 3     11463      0    595
POWERSHARES QQQ      PREFERRED STOCK 73935A104    1047      22877 Shares                 X                 1         0      0      0
POWERSHARES QQQ      PREFERRED STOCK 73935A104    2493      54496 Shares                         X         1         0      0      0
POWERSHARES QQQ      PREFERRED STOCK 73935A104     142       3100 Shares                 X                 2         0      0      0
POWERSHARES QQQ      PREFERRED STOCK 73935A104       2         35 Shares                 X                 3         0      0      0
POWERSHARES
FINANCIAL PREFERRE   PREFERRED STOCK 73935X229     163      10000 Shares                 X                 2         0      0      0
POWERSHARES GLOBAL
WATER PORTF          COMMON STOCK    73935X575      22       1300 Shares                 X                 1      1300      0      0
POWERSHARES DB
AGRICULTURE FD       COMMON STOCK    73936B408      22        825 Shares                         X         1       825      0      0
POWERSHARES DB OIL
FUND                 PREFERRED STOCK 73936B507      27        975 Shares                         X         1         0      0      0
POWERSHARES DB US
$ INDEX BEAR         PREFERRED STOCK 73936D206      55       2000 Shares                 X                 1         0      0      0
POWERSHARES DB US
$ INDEX BEAR         PREFERRED STOCK 73936D206      14        500 Shares                         X         1         0      0      0
POWERSHARES GLOBAL
WATER PORTF          PREFERRED STOCK 73936T623     118       6500 Shares                 X                 2         0      0      0
POWERSHARES GLOBAL
WIND ENERGY          PREFERRED STOCK 73937B308       4        250 Shares                 X                 1         0      0      0
PRAXAIR INC COM      COMMON STOCK    74005P104    1194      14869 Shares                 X                 1     14869      0      0
PRAXAIR INC COM      COMMON STOCK    74005P104     324       4034 Shares                         X         1      3834      0    200
PRAXAIR INC COM      COMMON STOCK    74005P104    2386      29710 Shares                 X                 2      3760      0  25950
PRAXAIR INC COM      COMMON STOCK    74005P104    1278      15923 Shares                 X                 3     15923      0      0
PRECISION CASTPARTS
CORP COM             COMMON STOCK    740189105    3734      33840 Shares                 X                 1     33840      0      0
PRECISION CASTPARTS
CORP COM             COMMON STOCK    740189105       7         62 Shares                         X         1        62      0      0
PRECISION CASTPARTS
CORP COM             COMMON STOCK    740189105    4353      39445 Shares                 X                 3     38198      0   1247
PRECISION DRILLING
TRUST                COMMON STOCK    740215108      29       4000 Shares                         X         1      4000      0      0
PREMIER FINANCIAL
BANCORP INC          COMMON STOCK    74050M105       0         61 Shares                 X                 2         0      0     61
PRICE T ROWE GROUP
INC COM              COMMON STOCK    74144T108    4723      88700 Shares                 X                 1     88225      0    475
PRICE T ROWE GROUP
INC COM              COMMON STOCK    74144T108    1376      25835 Shares                         X         1     24270      0   1565
PRICE T ROWE GROUP
INC COM              COMMON STOCK    74144T108     107       2000 Shares                 X                 2         0      0   2000
PRICE T ROWE GROUP
INC COM              COMMON STOCK    74144T108    3445      64693 Shares                 X                 3     64693      0      0
PRICE T ROWE GROUP
INC COM              COMMON STOCK    74144T108      27        500 Shares                         X         4       500      0      0
PROCTER & GAMBLE
CO COM               COMMON STOCK    742718109   33273     548791 Shares                 X                 1    545844      0   2947
PROCTER & GAMBLE
CO COM               COMMON STOCK    742718109   29526     486981 Shares                         X         1    391825      0  95156
PROCTER & GAMBLE
CO COM               COMMON STOCK    742718109   19270     330112 Shares                 X                 2     50661      0 279451
PROCTER & GAMBLE
CO COM               COMMON STOCK    742718109    4863      80194 Shares                 X                 3     77078      0   3116
PROCTER & GAMBLE
CO COM               COMMON STOCK    742718109      18        295 Shares                 X                 4       295      0      0
PROCTER & GAMBLE
CO COM               COMMON STOCK    742718109     212       3500 Shares                         X         4      3500      0      0
PROGRESS ENERGY INC
COM                  COMMON STOCK    743263105     307       7482 Shares                 X                 1      6882      0    600
PROGRESS ENERGY INC
COM                  COMMON STOCK    743263105      93       2269 Shares                         X         1      2235      0     34
PROGRESS SOFTWARE
CORP                 COMMON STOCK    743312100      36       1225 Shares                 X                 1      1225      0      0
PROGRESS SOFTWARE
CORP                 COMMON STOCK    743312100     982      33625 Shares                 X                 3     33625      0      0
PROGRESSIVE CORP COM COMMON STOCK    743315103     101       5609 Shares                 X                 1      5609      0      0
PROLOGIS (REIT)      COMMON STOCK    743410102       6        419 Shares                 X                 1         0      0      0
PROLOGIS (REIT)      COMMON STOCK    743410102      14       1039 Shares                 X                 2         0      0      0
ULTRASHORT
FINANCIALS PROSHARE  PREFERRED STOCK 74347R628      34       1400 Shares                         X         1         0      0      0
ULTRA FINANCIALS
PROSHARES            PREFERRED STOCK 74347R743       7       1175 Shares                 X                 1         0      0      0
ULTRASHORT QQQ
PROSHARES            PREFERRED STOCK 74347R875      27       1400 Shares                         X         1         0      0      0
ULTRASHORT S&P500
PROSHARES            PREFERRED STOCK 74347R883      28        800 Shares                         X         1         0      0      0
PROVIDENCE &
WORCESTER RR CO      COMMON STOCK    743737108       1        125 Shares                 X                 1       125      0      0
PROVIDENCE SERVICE
CORPORATION          COMMON STOCK    743815102       1         45 Shares                 X                 1        45      0      0
PROVIDENT ENERGY
TRUST UNITS          COMMON STOCK    74386K104       1        200 Shares                 X                 1       200      0      0
PROVIDENT ENERGY
TRUST UNITS          COMMON STOCK    74386K104      11       1700 Shares                         X         1      1700      0      0
PROVIDENT FINANCIAL
SERVICES I           COMMON STOCK    74386T105       6        600 Shares                 X                 1       600      0      0
PROVIDENT NEW YORK
BANCORP              COMMON STOCK    744028101      19       2225 Shares                 X                 1      2225      0      0



                                    34 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
PRUDENTIAL FINANCIAL
INC                  COMMON STOCK    744320102     235       4730 Shares                 X                 1      4386      0    344
PRUDENTIAL FINANCIAL
INC                  COMMON STOCK    744320102      55       1113 Shares                         X         1      1113      0      0
PRUDENTIAL PLC-ADR   COMMON STOCK    74435K204       5        228 Shares                 X                 1       228      0      0
PRUDENTIAL PLC-ADR   COMMON STOCK    74435K204       4        192 Shares                         X         1       192      0      0
PSYCHIATRIC
SOLUTIONS INC        COMMON STOCK    74439H108    1935      91528 Shares                 X                 1     91528      0      0
PSYCHIATRIC
SOLUTIONS INC        COMMON STOCK    74439H108      89       4225 Shares                         X         1      4225      0      0
PSYCHIATRIC
SOLUTIONS INC        COMMON STOCK    74439H108     167       7909 Shares                 X                 3      4073      0   3836
PUBLIC SVC
ENTERPRISE GROUP IN  COMMON STOCK    744573106     117       3526 Shares                 X                 1      3526      0      0
PUBLIC SVC
ENTERPRISE GROUP IN  COMMON STOCK    744573106     246       7386 Shares                         X         1      7386      0      0
PUBLIC STORAGE INC
COM                  COMMON STOCK    74460D109       2         21 Shares                 X                 1         0      0      0
PUBLIC STORAGE-DEP
SHARES A             COMMON STOCK    74460D729      36       1400 Shares                 X                 2         0      0      0
PULTE HOMES INC COM  COMMON STOCK    745867101      20       2045 Shares                 X                 1      1850      0    195
PULTE HOMES INC COM  COMMON STOCK    745867101      80       8000 Shares                 X                 2         0      0   8000
PUTNAM MANAGED
MUNICIPAL INCOM      PREFERRED STOCK 746823103       9       1377 Shares                 X                 1         0      0      0
QLT INC              COMMON STOCK    746927102      10       2000 Shares                 X                 1      2000      0      0
QLOGIC CORP          COMMON STOCK    747277101       6        306 Shares                 X                 1       306      0      0
QUALCOMM INC COM     COMMON STOCK    747525103    7701     166480 Shares                 X                 1    166426      0     54
QUALCOMM INC COM     COMMON STOCK    747525103    1415      30591 Shares                         X         1     29691      0    900
QUALCOMM INC COM     COMMON STOCK    747525103      28        600 Shares                 X                 2         0      0    600
QUALCOMM INC COM     COMMON STOCK    747525103    2659      57470 Shares                 X                 3     54590      0   2880
QUANTA SERVICES INC
COM                  COMMON STOCK    74762E102    1232      59100 Shares                 X                 1     57165      0   1935
QUANTA SERVICES INC
COM                  COMMON STOCK    74762E102      14        675 Shares                         X         1         0      0    675
QUANTA SERVICES INC
COM                  COMMON STOCK    74762E102    1413      67800 Shares                 X                 3     67800      0      0
QUEST DIAGNOSTICS
INC                  COMMON STOCK    74834L100     290       4802 Shares                 X                 1      4802      0      0
QUEST DIAGNOSTICS
INC                  COMMON STOCK    74834L100     192       3174 Shares                         X         1      2874      0    300
QUEST DIAGNOSTICS
INC                  COMMON STOCK    74834L100     121       2000 Shares                 X                 2         0      0   2000
QUESTAR CORP COM     COMMON STOCK    748356102      52       1242 Shares                 X                 1      1242      0      0
QUESTAR CORP COM     COMMON STOCK    748356102     158       3800 Shares                         X         1      3800      0      0
QUESTAR CORP COM     COMMON STOCK    748356102      83       2000 Shares                 X                 2         0      0   2000
QUEST CAPITAL CORP   COMMON STOCK    74835U109       1        500 Shares                 X                 1       500      0      0
QUESTCOR
PHARMACEUTICALS INC  COMMON STOCK    74835Y101      10       2000 Shares                 X                 1      2000      0      0
QUIXOTE CORP         COMMON STOCK    749056107       2        300 Shares                 X                 1       300      0      0
QWEST COMMUNICATIONS
INTL INC             COMMON STOCK    749121109      15       3509 Shares                 X                 1      3509      0      0
QWEST COMMUNICATIONS
INTL INC             COMMON STOCK    749121109       7       1564 Shares                         X         1      1354      0    210
QWEST COMMUNICATIONS
INTL INC             COMMON STOCK    749121109     770     182955 Shares                 X                 2     97955      0  85000
RAIT FINANCIAL TRUST COMMON STOCK    749227104       1        500 Shares                         X         1         0      0      0
RPM INTL INC         COMMON STOCK    749685103     454      22300 Shares                 X                 2     11300      0  11000
RTI BIOLOGICS INC    COMMON STOCK    74975N105      25       6500 Shares                 X                 1      6500      0      0
RTI BIOLOGICS INC    COMMON STOCK    74975N105     739     192375 Shares                 X                 3    192375      0      0
RF MICRO DEVICES INC
COM                  COMMON STOCK    749941100     300      62850 Shares                 X                 1     62850      0      0
RF MICRO DEVICES INC
COM                  COMMON STOCK    749941100    3773     791000 Shares                 X                 3    791000      0      0
RACKSPACE HOSTING
INC                  COMMON STOCK    750086100      36       1750 Shares                 X                 1      1750      0      0
RACKSPACE HOSTING
INC                  COMMON STOCK    750086100     999      47900 Shares                 X                 3     47900      0      0
RAINIER PACIFIC
FINANCIAL GROU       COMMON STOCK    75087U101       0       1000 Shares                 X                 2         0      0   1000
RALCORP HOLDINGS INC COMMON STOCK    751028101       9        148 Shares                 X                 1       148      0      0
RALCORP HOLDINGS INC COMMON STOCK    751028101       6        101 Shares                         X         1       101      0      0
RAMCO-GERSHENSON
PROPERTIES TR        COMMON STOCK    751452202       3        358 Shares                 X                 1         0      0      0
RANGE RESOURCES
CORPORATION          COMMON STOCK    75281A109      11        213 Shares                 X                 1       213      0      0
RAYMOND JAMES
FINANCIAL INC        COMMON STOCK    754730109     220       9265 Shares                 X                 1      9265      0      0
RAYMOND JAMES
FINANCIAL INC        COMMON STOCK    754730109    1904      80100 Shares                 X                 3     80100      0      0
RAYONIER INC COM     COMMON STOCK    754907103      20        464 Shares                 X                 1       464      0      0
RAYONIER INC COM     COMMON STOCK    754907103     129       3050 Shares                         X         1      3050      0      0
RAYONIER INC COM     COMMON STOCK    754907103    1307      31000 Shares                 X                 2         0      0  31000
RAYTHEON CO COM NEW  COMMON STOCK    755111507     251       4876 Shares                 X                 1      4852      0     24
RAYTHEON CO COM NEW  COMMON STOCK    755111507     632      12259 Shares                         X         1     12259      0      0
RAYTHEON CO COM NEW  COMMON STOCK    755111507      72       1400 Shares                 X                 2         0      0   1400
RAYTHEON CO COM NEW  COMMON STOCK    755111507      10        200 Shares                 X                 4       200      0      0
REALTY INCOME CORP   COMMON STOCK    756109104     207       8000 Shares                 X                 2         0      0      0
REAVES UTILITY
INCOME TRUST         PREFERRED STOCK 756158101     448      24136 Shares                 X                 1         0      0      0
REDWOOD TRUST INC
-REIT                COMMON STOCK    758075402       4        290 Shares                 X                 1         0      0      0
REDWOOD TRUST INC
-REIT                COMMON STOCK    758075402       4        300 Shares                         X         1         0      0      0
REED ELSEVIER NV
SPONSORED ADR        COMMON STOCK    758204200       8        324 Shares                 X                 1       324      0      0



                                    35 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
REED ELSEVIER NV
SPONSORED ADR        COMMON STOCK    758204200       1         44 Shares                         X         1        44      0      0
REED ELSEVIER PLC
SPONS ADR            COMMON STOCK    758205207       1         24 Shares                 X                 1        24      0      0
REGAL ENTERTAINMENT  CLASS A         758766109      39       2700 Shares                 X                 3      2700      0      0
REGIS CORP MINN      COMMON STOCK    758932107       2        100 Shares                 X                 1       100      0      0
REGIONS FINANCIAL
CORP                 COMMON STOCK    7591EP100      11       2072 Shares                 X                 1      2072      0      0
REGIONS FINANCIAL
CORP                 COMMON STOCK    7591EP100      25       4771 Shares                         X         1      4771      0      0
RELIANCE STEEL &
ALUMINUM COMP        COMMON STOCK    759509102       4        100 Shares                 X                 1         0      0    100
RENASANT CORP        COMMON STOCK    75970E107       2        179 Shares                 X                 1       179      0      0
RENT-A-CENTER
INCORPORATED NEW     COMMON STOCK    76009N100      16        905 Shares                 X                 1       905      0      0
REPSOL YPF SA SPON
ADR                  COMMON STOCK    76026T205      22        818 Shares                 X                 1       818      0      0
REPUBLIC SVCS INC
COM                  COMMON STOCK    760759100       1         31 Shares                 X                 1        31      0      0
RESEARCH IN MOTION
LIMITED              COMMON STOCK    760975102    2263      33510 Shares                 X                 1     33510      0      0
RESEARCH IN MOTION
LIMITED              COMMON STOCK    760975102      42        625 Shares                         X         1       400      0    225
RESEARCH IN MOTION
LIMITED              COMMON STOCK    760975102   10626     157322 Shares                 X                 2         0      0 157322
RESEARCH IN MOTION
LIMITED              COMMON STOCK    760975102    1754      25983 Shares                 X                 3     25983      0      0
RESMED INC           COMMON STOCK    761152107     237       4526 Shares                 X                 1      4526      0      0
RESMED INC           COMMON STOCK    761152107    1783      34100 Shares                 X                 3     34100      0      0
RESOLUTE ENERGY CORP COMMON STOCK    76116A108      38       3300 Shares                 X                 1      3300      0      0
RESOLUTE ENERGY CORP COMMON STOCK    76116A108    1045      90725 Shares                 X                 3     90725      0      0
REYNOLDS AMERICAN
INC                  COMMON STOCK    761713106      57       1082 Shares                 X                 1      1082      0      0
REYNOLDS AMERICAN
INC                  COMMON STOCK    761713106      54       1028 Shares                         X         1      1000      0     28
RIGHTNOW
TECHNOLOGIES INC     COMMON STOCK    76657R106      37       2150 Shares                 X                 1      2150      0      0
RIGHTNOW
TECHNOLOGIES INC     COMMON STOCK    76657R106    1027      59125 Shares                 X                 3     59125      0      0
RIO TINTO PLC
SPONSORED ADR        COMMON STOCK    767204100       7         34 Shares                 X                 1        34      0      0
RIO TINTO PLC
SPONSORED ADR        COMMON STOCK    767204100       3         16 Shares                         X         1        16      0      0
RIO TINTO PLC
SPONSORED ADR        COMMON STOCK    767204100      54        250 Shares                 X                 2         0      0    250
RITCHIE BROS
AUCTIONEERS          COMMON STOCK    767744105     154       6876 Shares                 X                 1      6876      0      0
RITCHIE BROS
AUCTIONEERS          COMMON STOCK    767744105    1059      47200 Shares                 X                 3     47200      0      0
RITE AID CORP COM    COMMON STOCK    767754104      22      14800 Shares                 X                 1      2500      0  12300
RITE AID CORP COM    COMMON STOCK    767754104       1        600 Shares                         X         1       600      0      0
RIVERBED TECHNOLOGY
INC                  COMMON STOCK    768573107      47       2050 Shares                 X                 1      2050      0      0
RIVERBED TECHNOLOGY
INC                  COMMON STOCK    768573107    1253      54550 Shares                 X                 3     54550      0      0
ROBERT HALF INTL INC
COM                  COMMON STOCK    770323103      24        900 Shares                 X                 1       900      0      0
ROBERT HALF INTL INC
COM                  COMMON STOCK    770323103      32       1205 Shares                         X         1      1100      0    105
ROCKWELL AUTOMATION
INC.                 COMMON STOCK    773903109    3147      66976 Shares                 X                 1     65976      0   1000
ROCKWELL AUTOMATION
INC.                 COMMON STOCK    773903109     374       7970 Shares                         X         1      6720      0   1250
ROCKWELL AUTOMATION
INC.                 COMMON STOCK    773903109      77       1632 Shares                 X                 2         0      0   1632
ROCKWELL AUTOMATION
INC.                 COMMON STOCK    773903109    1728      36791 Shares                 X                 3     34210      0   2581
ROCKWELL AUTOMATION
INC.                 COMMON STOCK    773903109       8        175 Shares                 X                 4       175      0      0
ROCKWELL COLLINS COM COMMON STOCK    774341101     268       4840 Shares                 X                 1      4840      0      0
ROCKWELL COLLINS COM COMMON STOCK    774341101     162       2925 Shares                         X         1      2845      0     80
ROCKWELL COLLINS COM COMMON STOCK    774341101      90       1632 Shares                 X                 2         0      0   1632
ROCKWOOD HOLDINGS
INC                  COMMON STOCK    774415103      57       2400 Shares                 X                 1      2400      0      0
ROCKWOOD HOLDINGS
INC                  COMMON STOCK    774415103    1560      66250 Shares                 X                 3     66250      0      0
ROSETTA RESOURCES
INC                  COMMON STOCK    777779307       2         95 Shares                 X                 1        95      0      0
ROSS STORES INC COM  COMMON STOCK    778296103     475      11112 Shares                 X                 1     10412      0    700
ROSS STORES INC COM  COMMON STOCK    778296103     177       4150 Shares                         X         1      2975      0   1175
ROSS STORES INC COM  COMMON STOCK    778296103    1839      43050 Shares                 X                 3     43050      0      0
ROVI CORPORATION     COMMON STOCK    779376102       2         60 Shares                 X                 1        60      0      0
ROYAL BK CANADA      COMMON STOCK    780087102      54       1000 Shares                         X         1      1000      0      0
ROYAL BK CANADA      COMMON STOCK    780087102      43        800 Shares                 X                 2         0      0    800
ROYAL BANK SCOTLAND
PFD 6.125%           PREFERRED STOCK 780097747       2        200 Shares                 X                 1         0      0      0
ROYAL BANK SCOTLAND
PFD 6.40%            PREFERRED STOCK 780097796       8        800 Shares                 X                 1         0      0      0
ROYAL DUTCH SHELL
PLC-ADR B            COMMON STOCK    780259107      56        967 Shares                 X                 1       967      0      0
ROYAL DUTCH SHELL
PLC-ADR B            COMMON STOCK    780259107       2         36 Shares                         X         1         0      0     36
ROYAL DUTCH SHELL
PLC-ADR B            COMMON STOCK    780259107      47        800 Shares                 X                 2         0      0    800
ROYAL DUTCH SHELL
PLC-ADR A            COMMON STOCK    780259206    2762      45955 Shares                 X                 1     45955      0      0
ROYAL DUTCH SHELL
PLC-ADR A            COMMON STOCK    780259206    2711      45099 Shares                         X         1     40649      0   4450
ROYAL DUTCH SHELL
PLC-ADR A            COMMON STOCK    780259206     289       4814 Shares                 X                 2         0      0   4814
ROYCE VALUE TRUST
(CE)                 COMMON STOCK    780910105      89       8291 Shares                         X         1      8291      0      0
S & T BANCORP INC    COMMON STOCK    783859101       7        400 Shares                         X         1       400      0      0
SBA COMMUNICATIONS
CORP                 COMMON STOCK    78388J106      56       1650 Shares                 X                 1      1650      0      0



                                    36 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
SBA COMMUNICATIONS
CORP                 COMMON STOCK    78388J106    1532      44850 Shares                 X                 3     44850      0      0
SAIC INC             COMMON STOCK    78390X101       3        162 Shares                 X                 1       162      0      0
SCOLR PHARMA INC     COMMON STOCK    78402X107      10      20000 Shares                 X                 2         0      0  20000
SEI CORP COM         COMMON STOCK    784117103      43       2445 Shares                 X                 1      2445      0      0
SK TELECOM CO LTD
- ADR                COMMON STOCK    78440P108       8        476 Shares                 X                 1       476      0      0
SLM CORP COM         COMMON STOCK    78442P106      18       1602 Shares                 X                 1      1602      0      0
SLM CORP COM         COMMON STOCK    78442P106    3802     352469 Shares                 X                 2    117469      0 235000
SORL AUTO PARTS INC  COMMON STOCK    78461U101      14       1600 Shares                 X                 1      1600      0      0
SORL AUTO PARTS INC  COMMON STOCK    78461U101     378      44333 Shares                 X                 3     44333      0      0
SPDR TRUST SERIES 1
S&P 500 IN           PREFERRED STOCK 78462F103    9849      88382 Shares                 X                 1         0      0      0
SPDR TRUST SERIES 1
S&P 500 IN           PREFERRED STOCK 78462F103    7644      68592 Shares                         X         1         0      0      0
SPDR TRUST SERIES 1
S&P 500 IN           PREFERRED STOCK 78462F103     738       6626 Shares                 X                 2         0      0      0
SPDR TRUST SERIES 1
S&P 500 IN           PREFERRED STOCK 78462F103     919       8250 Shares                         X         4         0      0      0
SPX CORP COM         COMMON STOCK    784635104     172       3150 Shares                 X                 1      3120      0     30
SPX CORP COM         COMMON STOCK    784635104      61       1122 Shares                         X         1      1122      0      0
SPX CORP COM         COMMON STOCK    784635104      38        700 Shares                 X                 3       700      0      0
SPDR GOLD TRUST      PREFERRED STOCK 78463V107    2645      24650 Shares                 X                 1         0      0      0
SPDR GOLD TRUST      PREFERRED STOCK 78463V107      73        679 Shares                         X         1         0      0      0
SPDR GOLD TRUST      PREFERRED STOCK 78463V107     194       1807 Shares                 X                 2         0      0      0
SPDR S&P EMERGING
MARKETS ETF          PREFERRED STOCK 78463X509     157       2450 Shares                 X                 2         0      0      0
SPDR DJ WILSHIRE
SMALL CAP VAL        PREFERRED STOCK 78464A300      22        380 Shares                         X         1         0      0      0
SPDR BARCALYS CAP
HI YLD BD ET         PREFERRED STOCK 78464A417      21        534 Shares                 X                 1         0      0      0
SPDR BARCALYS CAP
HI YLD BD ET         PREFERRED STOCK 78464A417     194       5000 Shares                 X                 2         0      0      0
SPDR BARCLAYS CAP
SHORT TERM M         PREFERRED STOCK 78464A425     480      20000 Shares                 X                 2         0      0      0
SPDR DJ REIT ETF     PREFERRED STOCK 78464A607      69       1400 Shares                 X                 1         0      0      0
KBW REGIONAL BANKING
ETF                  PREFERRED STOCK 78464A698     495      22250 Shares                 X                 1         0      0      0
SPDR S&P DIVIDEND
ETF                  PREFERRED STOCK 78464A763      93       2000 Shares                         X         1         0      0      0
SPDR S&P DIVIDEND
ETF                  PREFERRED STOCK 78464A763      69       1500 Shares                 X                 2         0      0      0
KBW INSURANCE ETF    PREFERRED STOCK 78464A789     900      25940 Shares                 X                 1         0      0      0
SPDR KBW BANK ETF    PREFERRED STOCK 78464A797      15        699 Shares                 X                 1         0      0      0
SPDR DJ MID CAP
VALUE - E            PREFERRED STOCK 78464A839      21        460 Shares                         X         1         0      0      0
SPDR S&P BIOTECH ETF PREFERRED STOCK 78464A870     268       5000 Shares                         X         1         0      0      0
SPDR S&P
HOMEBUILDERS ETF     PREFERRED STOCK 78464A888     107       7100 Shares                 X                 2         0      0      0
SRA INTERNATIONAL
INCORPORATED         COMMON STOCK    78464R105      18        925 Shares                 X                 1       925      0      0
SRA INTERNATIONAL
INCORPORATED         COMMON STOCK    78464R105     487      25475 Shares                 X                 3     25475      0      0
STEC INC             COMMON STOCK    784774101    1000      61215 Shares                 X                 1     61215      0      0
STEC INC             COMMON STOCK    784774101     690      42173 Shares                 X                 3     42173      0      0
SWS GROUP INC        COMMON STOCK    78503N107       2        134 Shares                 X                 1       134      0      0
SXC HEALTH SOLUTIONS
CORP                 COMMON STOCK    78505P100      42        775 Shares                 X                 1       775      0      0
SXC HEALTH SOLUTIONS
CORP                 COMMON STOCK    78505P100    1155      21400 Shares                 X                 3     21400      0      0
SAFETY INSURANCE GRP COMMON STOCK    78648T100       4        108 Shares                 X                 1       108      0      0
SAFEWAY INC COM      COMMON STOCK    786514208     555      26064 Shares                 X                 1     26064      0      0
SAFEWAY INC COM      COMMON STOCK    786514208      32       1500 Shares                         X         1         0      0   1500
SAFEWAY INC COM      COMMON STOCK    786514208     173       8129 Shares                 X                 3      6079      0   2050
ST JOE CORP          COMMON STOCK    790148100      31       1075 Shares                 X                 1      1075      0      0
ST JOE CORP          COMMON STOCK    790148100       6        200 Shares                         X         1       200      0      0
ST JOE CORP          COMMON STOCK    790148100    2807     106840 Shares                 X                 2     30205      0  76635
ST JUDE MEDICAL INC
COM                  COMMON STOCK    790849103     132       3590 Shares                 X                 1      3590      0      0
ST JUDE MEDICAL INC
COM                  COMMON STOCK    790849103     125       3400 Shares                         X         1      3400      0      0
ST JUDE MEDICAL INC
COM                  COMMON STOCK    790849103     126       3425 Shares                 X                 3      1410      0   2015
ST MARY LAND &
EXPLORATION COM      COMMON STOCK    792228108      18        529 Shares                 X                 1       529      0      0
SALESFORCE.COM INC   COMMON STOCK    79466L302     148       2007 Shares                 X                 1      2007      0      0
SALESFORCE.COM INC   COMMON STOCK    79466L302       7        100 Shares                         X         1       100      0      0
SALESFORCE.COM INC   COMMON STOCK    79466L302    1077      14600 Shares                 X                 3     14600      0      0
SALISBURY BANCORP
INC                  COMMON          795226109     124       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      17       1000 Shares                 X                 1      1000      0      0
SANDISK CORP COM     COMMON STOCK    80004C101      20        683 Shares                 X                 1       633      0     50
SANDY SPRING BANCORP
INC                  COMMON STOCK    800363103       3        300 Shares                 X                 1       300      0      0
SANDY SPRING BANCORP
INC                  COMMON STOCK    800363103     447      50329 Shares                         X         1     50329      0      0
SANOFI-AVENTIS ADR   COMMON STOCK    80105N105      59       1500 Shares                 X                 1      1500      0      0
SANOFI-AVENTIS ADR   COMMON STOCK    80105N105      21        536 Shares                         X         1       536      0      0



                                    37 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
SAP AG SPONS ADR     COMMON STOCK    803054204      27        574 Shares                 X                 1       574      0      0
SAP AG SPONS ADR     COMMON STOCK    803054204      59       1268 Shares                         X         1      1268      0      0
SARA LEE CORP        COMMON STOCK    803111103     277      22778 Shares                 X                 1     22778      0      0
SARA LEE CORP        COMMON STOCK    803111103     238      19574 Shares                         X         1     14774      0   4800
SARA LEE CORP        COMMON STOCK    803111103      24       2000 Shares                 X                 3      2000      0      0
SASOL LTD SPONS-ADR  COMMON STOCK    803866300      40       1000 Shares                         X         1      1000      0      0
SAVIENT
PHARMACEUTICALS INC  COMMON STOCK    80517Q100      47       3450 Shares                 X                 1      3450      0      0
SAVIENT
PHARMACEUTICALS INC  COMMON STOCK    80517Q100    1263      92800 Shares                 X                 3     92800      0      0
SAVVIS INC           COMMON STOCK    805423308      26       1850 Shares                 X                 1      1850      0      0
SAVVIS INC           COMMON STOCK    805423308     716      50950 Shares                 X                 3     50950      0      0
SCANA CORP NEW COM   COMMON STOCK    80589M102     133       3517 Shares                 X                 1      3517      0      0
SCANA CORP NEW COM   COMMON STOCK    80589M102     210       5569 Shares                         X         1      5553      0     16
HENRY SCHEIN INC COM COMMON STOCK    806407102      99       1885 Shares                 X                 1      1885      0      0
SCHERING PLOUGH PFD
CV 6.0% 08/13/10     CONV PFD STOCK  806605705     784       3230 Shares                 X                 2      3230      0      0
SCHLUMBERGER LTD     COMMON STOCK    806857108   14073     216209 Shares                 X                 1    215122      0   1087
SCHLUMBERGER LTD     COMMON STOCK    806857108    4663      71641 Shares                         X         1     65706      0   5935
SCHLUMBERGER LTD     COMMON STOCK    806857108    2660      40865 Shares                 X                 2         0      0  40865
SCHLUMBERGER LTD     COMMON STOCK    806857108    1534      23556 Shares                 X                 3     21971      0   1585
SCHLUMBERGER LTD     COMMON STOCK    806857108      26        400 Shares                 X                 4       400      0      0
SCHLUMBERGER LTD     COMMON STOCK    806857108     114       1750 Shares                         X         4      1750      0      0
SCHOOL SPECIALTY INC
COM                  COMMON STOCK    807863105       1         45 Shares                 X                 1        45      0      0
SCHWAB CHARLES CORP
NEW COM              COMMON STOCK    808513105    1040      55270 Shares                 X                 1     55156      0    114
SCHWAB CHARLES CORP
NEW COM              COMMON STOCK    808513105     161       8541 Shares                         X         1      8541      0      0
THE SCOTTS MIRACLE
-GRO COMPANY         COMMON STOCK    810186106     462      11750 Shares                 X                 1     11750      0      0
THE SCOTTS MIRACLE
-GRO COMPANY         COMMON STOCK    810186106      79       2000 Shares                 X                 2         0      0   2000
SEACOR HOLDINGS INC  COMMON STOCK    811904101       2         27 Shares                 X                 1        27      0      0
SEALED AIR CORP NEW
COM                  COMMON STOCK    81211K100      26       1191 Shares                 X                 1      1191      0      0
SEARS HOLDINGS CORP  COMMON STOCK    812350106      74        881 Shares                 X                 1       881      0      0
SEARS HOLDINGS CORP  COMMON STOCK    812350106      39        472 Shares                         X         1       472      0      0
HEALTH CARE SELECT
SECTOR SPDR          COMMON STOCK    81369Y209     197       6350 Shares                 X                 2         0      0   6350
ENERGY SELECT SECTOR
SPDR FD              PREFERRED STOCK 81369Y506      80       1405 Shares                 X                 1         0      0      0
ENERGY SELECT SECTOR
SPDR FD              PREFERRED STOCK 81369Y506     280       4915 Shares                 X                 2         0      0      0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED STOCK 81369Y605    1549     107592 Shares                 X                 1         0      0      0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED STOCK 81369Y605     584      40529 Shares                         X         1         0      0      0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED STOCK 81369Y605      72       5000 Shares                 X                 2         0      0      0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED STOCK 81369Y605      25       1720 Shares                 X                 3         0      0      0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED STOCK 81369Y605       4        300 Shares                 X                 4         0      0      0
SELECT SECTOR
SPDRTECHNOLOGY       COMMON STOCK    81369Y803      67       2925 Shares                 X                 1      2925      0      0
SELECT SECTOR
SPDRTECHNOLOGY       COMMON STOCK    81369Y803       8        356 Shares                         X         1       356      0      0
SELECT SECTOR SPDR
UTILITIES            COMMON STOCK    81369Y886      11        370 Shares                 X                 1       370      0      0
SELECT SECTOR SPDR
UTILITIES            COMMON STOCK    81369Y886      32       1030 Shares                         X         1      1030      0      0
SELECTIVE INS GROUP
INC                  COMMON STOCK    816300107      61       3712 Shares                 X                 1      3712      0      0
SEMICONDUCTOR HOLDRS
TRUST                PREFERRED STOCK 816636203      89       3200 Shares                 X                 1         0      0      0
SEMPRA ENERGY COM    COMMON STOCK    816851109      22        400 Shares                 X                 1       400      0      0
SEMPRA ENERGY COM    COMMON STOCK    816851109      30        532 Shares                         X         1       532      0      0
SENIOR HOUSING
PROPERTIES TR (      COMMON STOCK    81721M109       2        100 Shares                         X         1         0      0      0
SENSIENT
TECHNOLOGIES CORP
COM                  COMMON STOCK    81725T100      10        387 Shares                 X                 1       387      0      0
SERVICE CORPORATION
INTL                 COMMON STOCK    817565104     326      39797 Shares                 X                 1     39797      0      0
SERVICE CORPORATION
INTL                 COMMON STOCK    817565104     131      16039 Shares                         X         1     16039      0      0
SERVICE CORPORATION
INTL                 COMMON STOCK    817565104      39       4800 Shares                 X                 2         0      0   4800
SEVERN BANCORP INC   COMMON STOCK    81811M100       2        726 Shares                         X         1       726      0      0
SEVERN BANCORP INC   COMMON STOCK    81811M100      25      10000 Shares                 X                 2         0      0  10000
SHAW GROUP INC       COMMON STOCK    820280105       8        275 Shares                 X                 1       275      0      0
SHERWIN WILLIAMS CO
COM                  COMMON STOCK    824348106     321       5200 Shares                         X         1       200      0   5000
SHIRE PLC - ADR      COMMON STOCK    82481R106       4         62 Shares                 X                 1        62      0      0
SIEMENS A G
SPONSORED ADR        COMMON STOCK    826197501      11        125 Shares                 X                 1       125      0      0
SIGMA ALDRICH CORP   COMMON STOCK    826552101      14        270 Shares                 X                 1       270      0      0
SIGNATURE BANK       COMMON STOCK    82669G104       2         55 Shares                 X                 1        55      0      0
SILVER STANDARD
RESOURCES INC        COMMON STOCK    82823L106       3        125 Shares                 X                 1       125      0      0
SILVER WHEATON
CORPORATION          COMMON STOCK    828336107      45       3000 Shares                 X                 1      3000      0      0
SILVER WHEATON
CORPORATION          COMMON STOCK    828336107    1243      82750 Shares                 X                 3     82750      0      0
SILVERCORP METALS
INC                  COMMON STOCK    82835P103       4        600 Shares                 X                 1       600      0      0



                                    38 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
SIMON PROPERTY GRP
INC (REIT)           COMMON STOCK    828806109     920      11532 Shares                 X                 1         0      0      0
SIMON PROPERTY GRP
INC (REIT)           COMMON STOCK    828806109     579       7253 Shares                         X         1         0      0      0
SIMON PROPERTY GRP
INC (REIT)           COMMON STOCK    828806109    1219      15280 Shares                 X                 2         0      0      0
SIRONA DENTAL
SYSTEMS INC          COMMON STOCK    82966C103      33       1025 Shares                 X                 1      1025      0      0
SIRONA DENTAL
SYSTEMS INC          COMMON STOCK    82966C103     809      25475 Shares                 X                 3     25475      0      0
SIRIUS XM RADIO INC  COMMON STOCK    82967N108       8      13688 Shares                 X                 1      3688      0  10000
SIRIUS XM RADIO INC  COMMON STOCK    82967N108       3       5000 Shares                 X                 2         0      0   5000
SKYWORKS
SOLUTIONSINC         COMMON STOCK    83088M102      69       4850 Shares                 X                 1      4850      0      0
SKYWORKS
SOLUTIONSINC         COMMON STOCK    83088M102    1895     133525 Shares                 X                 3    133525      0      0
SMITH & NEPHEW PLC
- SPONS ADR          COMMON STOCK    83175M205       2         46 Shares                 X                 1        46      0      0
SMITH & NEPHEW PLC
- SPONS ADR          COMMON STOCK    83175M205       2         40 Shares                         X         1        40      0      0
SMITH INTL INC       COMMON STOCK    832110100     659      24250 Shares                 X                 1     24250      0      0
SMITH INTL INC       COMMON STOCK    832110100     293      10800 Shares                         X         1     10800      0      0
SMITHFIELD FOODS INC COMMON STOCK    832248108       8        500 Shares                         X         1       500      0      0
SMITHFIELD FOODS INC COMMON STOCK    832248108      14        900 Shares                 X                 2         0      0    900
JM SMUCKER CO        COMMON STOCK    832696405     191       3097 Shares                 X                 1      3097      0      0
JM SMUCKER CO        COMMON STOCK    832696405     206       3332 Shares                         X         1      2734      0    598
SNAP ON INC          COMMON STOCK    833034101       1         17 Shares                 X                 1        17      0      0
SNAP ON INC          COMMON STOCK    833034101      42       1000 Shares                 X                 3      1000      0      0
SOLERA HOLDINGS INC  COMMON STOCK    83421A104      55       1525 Shares                 X                 1      1525      0      0
SOLERA HOLDINGS INC  COMMON STOCK    83421A104    1523      42300 Shares                 X                 3     42300      0      0
SOLUTIA INC          COMMON STOCK    834376501      42       3275 Shares                 X                 1      3275      0      0
SOLUTIA INC          COMMON STOCK    834376501       0          8 Shares                         X         1         8      0      0
SOLUTIA INC          COMMON STOCK    834376501    1152      90700 Shares                 X                 3     90700      0      0
SONIC SOLUTIONS      COMMON STOCK    835460106       1        125 Shares                 X                 1       125      0      0
SONICWALL INC        COMMON STOCK    835470105       2        200 Shares                 X                 1       200      0      0
SONOCO PRODUCTS CO
COM                  COMMON STOCK    835495102      17        575 Shares                 X                 1       575      0      0
SONY CORP -
SPONSORED ADR        COMMON STOCK    835699307       1         36 Shares                 X                 1        36      0      0
SOURCEFIRE INC       COMMON STOCK    83616T108     305      11417 Shares                 X                 1     11417      0      0
SOURCEFIRE INC       COMMON STOCK    83616T108    4825     180375 Shares                 X                 3    180375      0      0
SOUTHERN CO COM      COMMON STOCK    842587107     852      25579 Shares                 X                 1     24529      0   1050
SOUTHERN CO COM      COMMON STOCK    842587107    1020      30621 Shares                         X         1     30151      0    470
SOUTHERN CO COM      COMMON STOCK    842587107      45       1353 Shares                 X                 2         0      0   1353
SOUTHERN COPPER CORP COMMON STOCK    84265V105      85       2586 Shares                 X                 1      1986      0    600
SOUTHERN COPPER CORP COMMON STOCK    84265V105       3         80 Shares                         X         1        80      0      0
SOUTHERN UNION CO
NEW COM              COMMON STOCK    844030106       5        200 Shares                 X                 1       200      0      0
SOUTHSIDE BANCSHARES
INC                  COMMON STOCK    84470P109      12        614 Shares                 X                 1       614      0      0
SOUTHWEST AIRLINES
CO COM               COMMON STOCK    844741108      37       3275 Shares                 X                 1      3275      0      0
SOUTHWEST AIRLINES
CO COM               COMMON STOCK    844741108       7        650 Shares                         X         1       650      0      0
SOUTHWEST BANCORP
INC OKLAHOMA         COMMON STOCK    844767103       0         68 Shares                 X                 1        68      0      0
SOUTHWEST GAS CORP
COM                  COMMON STOCK    844895102       5        166 Shares                 X                 1       166      0      0
SOUTHWEST GAS CORP
COM                  COMMON STOCK    844895102      29       1000 Shares                         X         1      1000      0      0
SOUTHWESTERN ENERGY
COMPANY              COMMON STOCK    845467109    2886      59885 Shares                 X                 1     59885      0      0
SOUTHWESTERN ENERGY
COMPANY              COMMON STOCK    845467109      64       1321 Shares                         X         1      1321      0      0
SOUTHWESTERN ENERGY
COMPANY              COMMON STOCK    845467109    5089     105578 Shares                 X                 3    105578      0      0
SPAIN FUND INC       PREFERRED STOCK 846330108      15       2000 Shares                 X                 1         0      0      0
SPARTAN STORES INC   COMMON STOCK    846822104      12        823 Shares                 X                 1       823      0      0
SPARTECH CORP COM    COMMON STOCK    847220209       3        325 Shares                 X                 1       325      0      0
SPECTRA ENERGY CORP  COMMON STOCK    847560109     276      13437 Shares                 X                 1     13437      0      0
SPECTRA ENERGY CORP  COMMON STOCK    847560109     232      11308 Shares                         X         1     11058      0    250
SPECTRA ENERGY CORP  COMMON STOCK    847560109      15        750 Shares                 X                 2         0      0    750
SPRINT NEXTEL CORP   COMMON STOCK    852061100       3        692 Shares                 X                 1       692      0      0
SPRINT NEXTEL CORP   COMMON STOCK    852061100       4       1055 Shares                         X         1      1055      0      0
SPRINT NEXTEL CORP   COMMON STOCK    852061100      44      11925 Shares                 X                 2         0      0  11925
STAGE STORES INC     COMMON STOCK    85254C305       3        259 Shares                 X                 1       259      0      0
STANDEX
INTERNATIONAL
CORPORAT             COMMON STOCK    854231107       3        131 Shares                 X                 1       131      0      0
STANLEY WORKS COM    COMMON STOCK    854616109     232       4500 Shares                 X                 1      4500      0      0
STANLEY WORKS COM    COMMON STOCK    854616109     142       2750 Shares                         X         1      2750      0      0
STAPLES INC COM      COMMON STOCK    855030102    3642     148105 Shares                 X                 1    145005      0   3100
STAPLES INC COM      COMMON STOCK    855030102     844      34328 Shares                         X         1     33953      0    375
STAPLES INC COM      COMMON STOCK    855030102     381      15500 Shares                 X                 2         0      0  15500
STAPLES INC COM      COMMON STOCK    855030102     179       7261 Shares                 X                 3      3935      0   3326



                                    39 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
STARBUCKS CORP COM   COMMON STOCK    855244109     318      13800 Shares                 X                 1     13800      0      0
STARBUCKS CORP COM   COMMON STOCK    855244109     867      51192 Shares                 X                 2     35075      0  16117
STARWOOD HOTELS &
RESORTS WORL         COMMON STOCK    85590A401     680      18602 Shares                 X                 1     18602      0      0
STARWOOD HOTELS &
RESORTS WORL         COMMON STOCK    85590A401    1951      53357 Shares                 X                 3     53357      0      0
STATE STREET CORP    COMMON STOCK    857477103     750      17230 Shares                 X                 1     17230      0      0
STATE STREET CORP    COMMON STOCK    857477103    3553      81600 Shares                         X         1     81600      0      0
STATE STREET CORP    COMMON STOCK    857477103      59       1356 Shares                 X                 2         0      0   1356
STATOIL ASA
SPONSORED ADR        COMMON STOCK    85771P102       2         64 Shares                 X                 1        64      0      0
STATOIL ASA
SPONSORED ADR        COMMON STOCK    85771P102       1         38 Shares                         X         1        38      0      0
STEEL DYNAMICS INC   COMMON STOCK    858119100     280      15790 Shares                 X                 1     15665      0    125
STEEL DYNAMICS INC   COMMON STOCK    858119100    2368     133600 Shares                 X                 3    133600      0      0
STELLARONE CORP      COMMON STOCK    85856G100      17       1731 Shares                 X                 1      1731      0      0
STEMCELLS
INCORPORATED         COMMON STOCK    85857R105       1       1000 Shares                 X                 2         0      0   1000
STERLING BANCSHARES  COMMON STOCK    858907108       1        159 Shares                 X                 1       159      0      0
STERICYCLE INC COM   COMMON STOCK    858912108      27        489 Shares                 X                 2         0      0    489
STERLITE INDUSTRIES
(INDIA) LT           COMMON STOCK    859737207       4        200 Shares                 X                 1       200      0      0
STIFEL FINANCIAL
CORPORATION          COMMON STOCK    860630102      16        264 Shares                 X                 2         0      0    264
STRYKER CORP COM     COMMON STOCK    863667101     401       7958 Shares                 X                 1      7958      0      0
STRYKER CORP COM     COMMON STOCK    863667101     296       5875 Shares                         X         1      5175      0    700
STRYKER CORP COM     COMMON STOCK    863667101    2595      51525 Shares                 X                 2         0      0  51525
STURM RUGER & CO INC
COM                  COMMON STOCK    864159108       2        250 Shares                 X                 1       250      0      0
SUBURBAN PROPANE
PARTNERS LP L        COMMON STOCK    864482104      12        250 Shares                 X                 1       250      0      0
SUBURBAN PROPANE
PARTNERS LP L        COMMON STOCK    864482104      94       2000 Shares                         X         1      2000      0      0
SUCCESSFACTORS INC   COMMON STOCK    864596101      60       3600 Shares                 X                 1      3600      0      0
SUCCESSFACTORS INC   COMMON STOCK    864596101    1639      98875 Shares                 X                 3     98875      0      0
SUN LIFE FINL INC    COMMON STOCK    866796105      74       2592 Shares                 X                 1      2592      0      0
SUN MICROSYSTEMS INC COMMON STOCK    866810203      16       1751 Shares                 X                 1      1751      0      0
SUN MICROSYSTEMS INC COMMON STOCK    866810203      10       1100 Shares                         X         1      1100      0      0
SUN MICROSYSTEMS INC COMMON STOCK    866810203       2        250 Shares                 X                 2         0      0    250
SUNCOR ENERGY INC    COMMON STOCK    867224107     815      23092 Shares                 X                 1     23092      0      0
SUNCOR ENERGY INC    COMMON STOCK    867224107     110       3125 Shares                         X         1      3125      0      0
SUNESIS
PHARMACEUTICALS INC  COMMON STOCK    867328502       1       1000 Shares                 X                 1      1000      0      0
SUNOCO LOGISTICS
PARTNERS LP          COMMON STOCK    86764L108    1806      28000 Shares                 X                 2      5700      0  22300
SUNOCO INC COM       COMMON STOCK    86764P109      13        500 Shares                 X                 1       500      0      0
SUNOCO INC COM       COMMON STOCK    86764P109      26       1000 Shares                 X                 3      1000      0      0
SUNPOWER CORP CL A   COMMON STOCK    867652109      13        543 Shares                 X                 1       543      0      0
SUNRISE SENIOR
LIVING INC           COMMON STOCK    86768K106       1        200 Shares                 X                 1       200      0      0
SUNRISE SENIOR
LIVING INC           COMMON STOCK    86768K106     746     242725 Shares                 X                 2     76725      0 166000
SUNTRUST BANKS INC   COMMON STOCK    867914103     158       7800 Shares                 X                 1      7800      0      0
SUNTRUST BANKS INC   COMMON STOCK    867914103     367      18109 Shares                         X         1     16409      0   1700
SUNTRUST BANKS INC   COMMON STOCK    867914103     181       8902 Shares                 X                 2         0      0   8902
SUNTRUST BANKS INC   COMMON STOCK    867914103     106       5203 Shares                 X                 3      5203      0      0
SUPERCONDUCTOR
TECHNOLOGIES IN      COMMON STOCK    867931305       0         12 Shares                 X                 1        12      0      0
SUPERIOR WELL
SERVICES INC         COMMON STOCK    86837X105      26       1800 Shares                 X                 1      1800      0      0
SUPERIOR WELL
SERVICES INC         COMMON STOCK    86837X105     705      49425 Shares                 X                 3     49425      0      0
SUPERVALU INC        COMMON STOCK    868536103      31       2457 Shares                 X                 1      2207      0    250
SUSQUEHANNA
BANCSHARES INC PA    COMMON STOCK    869099101     625     106190 Shares                 X                 1    104044      0   2146
SUSQUEHANNA
BANCSHARES INC PA    COMMON STOCK    869099101     116      19629 Shares                         X         1     18629   1000      0
SUSQUEHANNA
BANCSHARES INC PA    COMMON STOCK    869099101     130      22111 Shares           X                             22111      0      0
SYKES ENTERPRISES
INC                  COMMON STOCK    871237103      14        548 Shares                 X                 1       548      0      0
SYMANTEC CORP COM    COMMON STOCK    871503108     145       8097 Shares                 X                 1      8097      0      0
SYMANTEC CORP COM    COMMON STOCK    871503108      60       3375 Shares                         X         1      3375      0      0
SYMMETRICOM
INCORPORATED         COMMON STOCK    871543104       3        525 Shares                 X                 1       525      0      0
SYNOPSYS INC COM     COMMON STOCK    871607107       2         81 Shares                 X                 1        81      0      0
SYNGENTA AG ADR      COMMON STOCK    87160A100       2         43 Shares                 X                 1        43      0      0
SYNIVERSE HOLDINGS
INC                  COMMON STOCK    87163F106       3        170 Shares                 X                 1       170      0      0
SYSCO CORP           COMMON STOCK    871829107    3802     136071 Shares                 X                 1    135971      0    100
SYSCO CORP           COMMON STOCK    871829107    4923     176210 Shares                         X         1    174110      0   2100
SYSCO CORP           COMMON STOCK    871829107     874      31300 Shares                 X                 2      9100      0  22200
SYSCO CORP           COMMON STOCK    871829107     201       7193 Shares                 X                 3      3893      0   3300
SYSCO CORP           COMMON STOCK    871829107       7        250 Shares                 X                 4       250      0      0
TD AMERITRADE
HOLDING CORP         COMMON STOCK    87236Y108       2         82 Shares                 X                 1        82      0      0



                                    40 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
TECO ENERGY INC      COMMON STOCK    872375100      62       3800 Shares                 X                 1      3800      0      0
TECO ENERGY INC      COMMON STOCK    872375100     270      16622 Shares                         X         1     16622      0      0
TEPPCO PARTNERS
LIMITED PARTNERSHIP  COMMON          872384102     595      17150 Shares                 X                 2     17150      0      0
TF FINANCIAL CORP    COMMON STOCK    872391107      95       5000 Shares                 X                 1      5000      0      0
TJX COMPANIES COM    COMMON STOCK    872540109     831      22738 Shares                 X                 1     22738      0      0
TJX COMPANIES COM    COMMON STOCK    872540109      47       1280 Shares                         X         1      1280      0      0
TJX COMPANIES COM    COMMON STOCK    872540109    2006      54870 Shares                 X                 3     54870      0      0
TS&W/CLAYMORE TAX
ADV BAL              PREFERRED STOCK 87280R108     139      14550 Shares                 X                 1         0      0      0
TAIWAN SEMICONDUCTOR
SPON ADR             COMMON STOCK    874039100      33       2888 Shares                 X                 1      2888      0      0
TAIWAN SEMICONDUCTOR
SPON ADR             COMMON STOCK    874039100      13       1096 Shares                         X         1        82      0   1014
TALISMAN ENERGY INC  COMMON STOCK    87425E103     356      19106 Shares                 X                 1      7271      0  11835
TALISMAN ENERGY INC  COMMON STOCK    87425E103       7        376 Shares                         X         1       166      0    210
TARGET CORP COM      COMMON STOCK    87612E106    6204     128263 Shares                 X                 1    127863      0    400
TARGET CORP COM      COMMON STOCK    87612E106     915      18912 Shares                         X         1     17817      0   1095
TARGET CORP COM      COMMON STOCK    87612E106     699      15850 Shares                 X                 2     13850      0   2000
TARGET CORP COM      COMMON STOCK    87612E106     215       4444 Shares                 X                 3      3251      0   1193
TECH DATA CORP COM   COMMON STOCK    878237106      23        500 Shares                         X         1       500      0      0
TECK RESOURCES LTD
- CL B               COMMON STOCK    878742204      59       1686 Shares                 X                 1      1686      0      0
TECK RESOURCES LTD
- CL B               COMMON STOCK    878742204      48       1382 Shares                         X         1      1382      0      0
TELE NORTE LESTE
PART ADR             COMMON STOCK    879246106      11        500 Shares                 X                 1       500      0      0
TELECOM NEW ZEALAND
SPON ADR             COMMON STOCK    879278208       4        446 Shares                 X                 1       446      0      0
TELECOM ITALIA SPA   COMMON STOCK    87927Y102       1         54 Shares                 X                 1        54      0      0
TELECOM ITALIA SPA
- SPON ADR           COMMON STOCK    87927Y201       6        551 Shares                 X                 1       551      0      0
TELEDYNE
TECHNOLOGIES INC COM COMMON STOCK    879360105      11        275 Shares                 X                 1       275      0      0
TELEFLEX INC         COMMON          879369106      54       1000 Shares                 X                 3      1000      0      0
TELEFONICA S A
SPONSORED ADR        COMMON STOCK    879382208     124       1487 Shares                 X                 1      1487      0      0
TELEFONICA S A
SPONSORED ADR        COMMON STOCK    879382208       5         64 Shares                         X         1        54      0     10
TELEFONOS DE MEXICO
SP ADR L             COMMON STOCK    879403780      10        600 Shares                 X                 1       600      0      0
TELEFONOS DE MEXICO
SP ADR L             COMMON STOCK    879403780      33       2000 Shares                         X         1         0      0   2000
TELMEX INTERNACIONAL
SAB DE CV            COMMON STOCK    879690105      11        600 Shares                 X                 1       600      0      0
TELMEX INTERNACIONAL
SAB DE CV            COMMON STOCK    879690105      36       2000 Shares                         X         1         0      0   2000
TELULAR CORP         COMMON STOCK    87970T208       2        500 Shares                 X                 2         0      0    500
TEMPLE INLAND INC    COMMON STOCK    879868107       3        128 Shares                 X                 1       128      0      0
TEMPLE INLAND INC    COMMON STOCK    879868107       2        100 Shares                         X         1       100      0      0
TEMPLE INLAND INC    COMMON STOCK    879868107       3        151 Shares                 X                 2         0      0    151
TEMPLETON DRAGON
FUND INC             PREFERRED STOCK 88018T101       3        100 Shares                 X                 1         0      0      0
TEMPLETON GLOBAL
INCOME FUND-D        PREFERRED STOCK 880198106     356      37500 Shares                 X                 1         0      0      0
TENET HEALTHCARE
CORP                 COMMON STOCK    88033G100      39       7325 Shares                 X                 1      7325      0      0
TENET HEALTHCARE
CORP                 COMMON STOCK    88033G100    1099     203825 Shares                 X                 3    203825      0      0
TERADATA CORP        COMMON STOCK    88076W103       2         62 Shares                 X                 1        62      0      0
TERADATA CORP        COMMON STOCK    88076W103      21        674 Shares                         X         1       658      0     16
TERADYNE INC         COMMON STOCK    880770102       1         78 Shares                 X                 1        78      0      0
TEREX CORP           COMMON STOCK    880779103      59       2997 Shares                 X                 1      2997      0      0
TERRA INDUSTRIES INC COMMON STOCK    880915103      22        674 Shares                 X                 1       674      0      0
TEVA PHARMACEUTICAL
SPONS ADR            COMMON STOCK    881624209    2760      49127 Shares                 X                 1     48475      0    652
TEVA PHARMACEUTICAL
SPONS ADR            COMMON STOCK    881624209    1182      21047 Shares                         X         1     18427      0   2620
TEVA PHARMACEUTICAL
SPONS ADR            COMMON STOCK    881624209    3421      60900 Shares                 X                 2         0      0  60900
TETRA TECH INC       COMMON STOCK    88162G103      41       1500 Shares                 X                 1      1500      0      0
TETRA TECH INC       COMMON STOCK    88162G103    1136      41800 Shares                 X                 3     41800      0      0
TEXAS INSTRUMENTS
INC                  COMMON STOCK    882508104    3729     143093 Shares                 X                 1    141843      0   1250
TEXAS INSTRUMENTS
INC                  COMMON STOCK    882508104    1555      59680 Shares                         X         1     50630      0   9050
TEXAS INSTRUMENTS
INC                  COMMON STOCK    882508104    1683      65678 Shares                 X                 2     61578      0   4100
TEXAS INSTRUMENTS
INC                  COMMON STOCK    882508104     169       6492 Shares                 X                 3      5020      0   1472
TEXAS INSTRUMENTS
INC                  COMMON STOCK    882508104       3        100 Shares                 X                 4       100      0      0
TEXTRON INC COM      COMMON STOCK    883203101     149       7936 Shares                 X                 1      7936      0      0
THERMO FISHER
SCIENTIFIC INC       COMMON STOCK    883556102      53       1116 Shares                 X                 1      1116      0      0
THERMO FISHER
SCIENTIFIC INC       COMMON STOCK    883556102      67       1400 Shares                         X         1       800      0    600
THERMO FISHER
SCIENTIFIC INC       COMMON STOCK    883556102    1321      27686 Shares                 X                 2      7750      0  19936
THOMSON REUTERS PLC  COMMON STOCK    884903105      50       1560 Shares                 X                 1      1560      0      0
THORATEC CORP        COMMON STOCK    885175307      46       1725 Shares                 X                 1      1725      0      0
THORATEC CORP        COMMON STOCK    885175307    1276      47400 Shares                 X                 3     47400      0      0
3 COM CORP COM       COMMON STOCK    885535104       2        300 Shares                         X         1         0      0    300



                                    41 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
3M CO                COMMON STOCK    88579Y101   13243     160189 Shares                 X                 1    159289      0    900
3M CO                COMMON STOCK    88579Y101    9581     115894 Shares                         X         1    104789      0  11105
3M CO                COMMON STOCK    88579Y101    4176      52110 Shares                 X                 2     11350      0  40760
3M CO                COMMON STOCK    88579Y101     315       3810 Shares                 X                 3      2251      0   1559
3M CO                COMMON STOCK    88579Y101      12        150 Shares                 X                 4       150      0      0
3M CO                COMMON STOCK    88579Y101      33        400 Shares                         X         4       400      0      0
TIDEWATER INC        COMMON STOCK    886423102      48       1000 Shares                 X                 1      1000      0      0
TIDEWATER INC        COMMON STOCK    886423102      34        700 Shares                 X                 3       700      0      0
TIFFANY & CO         COMMON STOCK    886547108     244       5679 Shares                 X                 1      5679      0      0
TIFFANY & CO         COMMON STOCK    886547108      43       1000 Shares                         X         1      1000      0      0
TIFFANY & CO         COMMON STOCK    886547108    1303      30300 Shares                 X                 3     30300      0      0
TIGERLOGIC CORP      COMMON STOCK    8867EQ101     182      55778 Shares                 X                 2         0      0  55778
TIM HORTONS INC      COMMON STOCK    88706M103     132       4333 Shares                 X                 1      4333      0      0
TIME WARNER INC      COMMON STOCK    887317303     252       8654 Shares                 X                 1      8654      0      0
TIME WARNER INC      COMMON STOCK    887317303      93       3206 Shares                         X         1      3106      0    100
TIME WARNER INC      COMMON STOCK    887317303      97       3312 Shares                 X                 2         0      0   3312
TIME WARNER INC      COMMON STOCK    887317303       7        251 Shares                 X                 3       251      0      0
TIME WARNER CABLE
INC                  COMMON STOCK    88732J207      85       2054 Shares                 X                 1      2054      0      0
TIME WARNER CABLE
INC                  COMMON STOCK    88732J207      26        639 Shares                         X         1       639      0      0
TIME WARNER CABLE
INC                  COMMON STOCK    88732J207      38        927 Shares                 X                 2         0      0    927
TIMKEN CO COM        COMMON STOCK    887389104      19        800 Shares                         X         1       800      0      0
TOLL BROS INC        COMMON STOCK    889478103     961      51077 Shares                 X                 1     51077      0      0
TOLL BROS INC        COMMON STOCK    889478103     188      10000 Shares                         X         1      9500      0    500
TOLL BROS INC        COMMON STOCK    889478103     150       7975 Shares                 X                 2         0      0   7975
TOLL BROS INC        COMMON STOCK    889478103    1750      92988 Shares                 X                 3     92988      0      0
TOMPKINS FINANCIAL
CORP                 COMMON STOCK    890110109       6        150 Shares                 X                 1       150      0      0
TOMPKINS FINANCIAL
CORP                 COMMON STOCK    890110109     211       5213 Shares                 X                 2         0      0   5213
TONGJITANG CHINESE
MEDICINES-A          COMMON STOCK    89025E103       1        200 Shares                         X         1       200      0      0
TOOTSIE ROLL
INDUSTRIES           COMMON STOCK    890516107      82       2998 Shares                 X                 1      2998      0      0
TOOTSIE ROLL
INDUSTRIES           COMMON STOCK    890516107       8        305 Shares                         X         1       305      0      0
TOREADOR RESOURCES
5.000% 10            OTHER           891050AB2      48      50000 Shares                 X                 2         0      0      0
TORO CO COM          COMMON STOCK    891092108      67       1600 Shares                 X                 1      1600      0      0
TORONTO-DOMINION
BANK                 COMMON STOCK    891160509      18        293 Shares                 X                 1       293      0      0
TORONTO-DOMINION
BANK                 COMMON STOCK    891160509      94       1492 Shares                         X         1      1410      0     82
TORTOISE ENERGY
INFRASTRUCTURE       PREFERRED STOCK 89147L100      31       1000 Shares                 X                 1         0      0      0
TORTOISE ENERGY
CAPITAL CORP         COMMON STOCK    89147U100      23       1000 Shares                         X         1      1000      0      0
TOTAL SA SPONSORED
ADR                  COMMON STOCK    89151E109     195       3049 Shares                 X                 1      3049      0      0
TOTAL SA SPONSORED
ADR                  COMMON STOCK    89151E109       5         82 Shares                         X         1        50      0     32
TOWER BANCORP INC    COMMON STOCK    891709107      37       1600 Shares                 X                 1      1600      0      0
TOWER GROUP INC      COMMON STOCK    891777104      13        551 Shares                 X                 1       551      0      0
TOTAL SYSTEMS
SERVICES INC         COMMON STOCK    891906109     446      25809 Shares                 X                 1     25809      0      0
TOTAL SYSTEMS
SERVICES INC         COMMON STOCK    891906109    1837     106400 Shares                 X                 3    106400      0      0
TOYOTA MOTOR CORP
SPON ADR             COMMON STOCK    892331307      32        384 Shares                 X                 1       384      0      0
TOYOTA MOTOR CORP
SPON ADR             COMMON STOCK    892331307      20        238 Shares                         X         1       238      0      0
TRACTOR SUPPLY
COMPANY              COMMON STOCK    892356106      15        288 Shares                 X                 1       288      0      0
TRADESTATION GROUP
INC                  COMMON STOCK    89267P105       7        900 Shares                 X                 1       900      0      0
TRANSACT
TECHNOLOGIES INC COM COMMON STOCK    892918103       7       1000 Shares                 X                 1      1000      0      0
TRANSCANADA CORP     COMMON STOCK    89353D107      10        300 Shares                         X         1       300      0      0
TRANSMONTAIGNE
PARTNERS LP          COMMON STOCK    89376V100      16        570 Shares                 X                 1       570      0      0
TRANS1 INCORPORATED  COMMON STOCK    89385X105       3        850 Shares                 X                 1       850      0      0
TRANS1 INCORPORATED  COMMON STOCK    89385X105     105      26439 Shares                 X                 3     26439      0      0
TRAVELCENTERS OF
AMERICA LLC          COMMON STOCK    894174101       0         30 Shares                         X         1        30      0      0
THE TRAVELERS
COMPANIES INC        COMMON STOCK    89417E109     414       8300 Shares                 X                 1      8157      0    143
THE TRAVELERS
COMPANIES INC        COMMON STOCK    89417E109     475       9520 Shares                         X         1      9520      0      0
THE TRAVELERS
COMPANIES INC        COMMON STOCK    89417E109     286       5744 Shares                 X                 2         0      0   5744
THE TRAVELERS
COMPANIES INC        COMMON STOCK    89417E109       8        160 Shares                 X                 4       160      0      0
TREDEGAR CORP        COMMON STOCK    894650100      37       2341 Shares                 X                 1      2341      0      0
TRI-CONTINENTAL CORP PREFERRED STOCK 895436103       6        487 Shares                 X                 1         0      0      0
TRIUMPH GROUP INC    COMMON STOCK    896818101      13        261 Shares                 X                 1       261      0      0
TUPPERWARE BRANDS
CORP                 COMMON STOCK    899896104      93       1992 Shares                 X                 1      1992      0      0
TUPPERWARE BRANDS
CORP                 COMMON STOCK    899896104      21        450 Shares                         X         1       450      0      0
TUPPERWARE BRANDS
CORP                 COMMON STOCK    899896104    1472      31600 Shares                 X                 3     31600      0      0



                                    42 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
TYLER TECHNOLOGIES
INC                  COMMON STOCK    902252105    3705     201300 Shares                 X                 2     60600      0 140700
TYSON FOODS INC COM  COMMON STOCK    902494103      16       1275 Shares                 X                 1      1275      0      0
UDR INC REIT         COMMON STOCK    902653104     343      20866 Shares                 X                 1         0      0      0
UDR INC REIT         COMMON STOCK    902653104     128       7782 Shares                         X         1         0      0      0
UGI CORP             COMMON STOCK    902681105     160       6596 Shares                 X                 1      6596      0      0
UGI CORP             COMMON STOCK    902681105     121       5000 Shares                         X         1      5000      0      0
U S BANCORP DEL COM
NEW                  COMMON STOCK    902973304    1475      65508 Shares                 X                 1     65258      0    250
U S BANCORP DEL COM
NEW                  COMMON STOCK    902973304     335      14861 Shares                         X         1     14561      0    300
U S BANCORP DEL COM
NEW                  COMMON STOCK    902973304     218       9700 Shares                 X                 2         0      0   9700
U S BANCORP DEL COM
NEW                  COMMON STOCK    902973304      65       2900 Shares                 X                 3      2900      0      0
U S BANCORP DEL COM
NEW                  COMMON STOCK    902973304       6        253 Shares                 X                 4       253      0      0
UQM TECHNOLOGIES INC COMMON STOCK    903213106      53       7725 Shares                 X                 1      7725      0      0
UQM TECHNOLOGIES INC COMMON STOCK    903213106    1468     214225 Shares                 X                 3    214225      0      0
URS CORP NEW         COMMON STOCK    903236107       3         70 Shares                 X                 1        70      0      0
US GEOTHERMAL INC    COMMON STOCK    90338S102       8       5038 Shares                 X                 1      5038      0      0
US GEOTHERMAL INC    COMMON STOCK    90338S102     211     137730 Shares                 X                 3    137730      0      0
UNDER ARMOUR INC
-CLASS A             COMMON STOCK    904311107      25        900 Shares                 X                 1       900      0      0
UNDER ARMOUR INC
-CLASS A             COMMON STOCK    904311107      55       2000 Shares                 X                 2         0      0   2000
UNIFIRST CORP        COMMON STOCK    904708104       4         74 Shares                 X                 1        74      0      0
UNILEVER PLC
SPONSORED ADR        COMMON STOCK    904767704      38       1187 Shares                 X                 1      1187      0      0
UNILEVER PLC
SPONSORED ADR        COMMON STOCK    904767704     149       4678 Shares                         X         1      1640      0   3038
UNILEVER NV NY
SHARES               COMMON STOCK    904784709     384      11871 Shares                 X                 1     11871      0      0
UNILEVER NV NY
SHARES               COMMON STOCK    904784709     129       3990 Shares                         X         1      3990      0      0
UNION PACIFIC CORP
COM                  COMMON STOCK    907818108    2831      44306 Shares                 X                 1     44278      0     28
UNION PACIFIC CORP
COM                  COMMON STOCK    907818108     784      12274 Shares                         X         1     12274      0      0
UNION PACIFIC CORP
COM                  COMMON STOCK    907818108    1145      17914 Shares                 X                 2         0      0  17914
UNISOURCE ENERGY
CORP                 COMMON STOCK    909205106       2         53 Shares                 X                 1        53      0      0
UNITED BANKSHARES
INC                  COMMON STOCK    909907107    3288     164626 Shares                 X                 2         0      0 164626
UNITED PARCEL
SERVICE CL B         COMMON STOCK    911312106    2573      44849 Shares                 X                 1     43374      0   1475
UNITED PARCEL
SERVICE CL B         COMMON STOCK    911312106     556       9695 Shares                         X         1      7865      0   1830
UNITED PARCEL
SERVICE CL B         COMMON STOCK    911312106    7811     136147 Shares                 X                 2         0      0 136147
UNITED PARCEL
SERVICE CL B         COMMON STOCK    911312106     150       2603 Shares                 X                 3      1951      0    652
UNITED PARCEL
SERVICE CL B         COMMON STOCK    911312106       9        150 Shares                 X                 4       150      0      0
UNITED STATES
NATURAL GAS FD L     PREFERRED STOCK 912318102     116      11500 Shares                 X                 1         0      0      0
UNITED STATES OIL
FD LP                PREFERRED STOCK 91232N108      20        500 Shares                 X                 1         0      0      0
UNITED STS STL CORP
NEW                  COMMON STOCK    912909108    1280      23223 Shares                 X                 1     22623      0    600
UNITED STS STL CORP
NEW                  COMMON STOCK    912909108      90       1640 Shares                         X         1       535      0   1105
UNITED STS STL CORP
NEW                  COMMON STOCK    912909108    3613      65545 Shares                 X                 3     65545      0      0
UNITED TECHNOLOGIES
CORP COM             COMMON STOCK    913017109    8053     116016 Shares                 X                 1    111166      0   4850
UNITED TECHNOLOGIES
CORP COM             COMMON STOCK    913017109    3407      49089 Shares                         X         1     47219      0   1870
UNITED TECHNOLOGIES
CORP COM             COMMON STOCK    913017109    3317      48590 Shares                 X                 2      4300      0  44290
UNITED TECHNOLOGIES
CORP COM             COMMON STOCK    913017109      35        503 Shares                 X                 3       503      0      0
UNITEDHEALTH GROUP
INC                  COMMON STOCK    91324P102    2561      84012 Shares                 X                 1     84012      0      0
UNITEDHEALTH GROUP
INC                  COMMON STOCK    91324P102     201       6607 Shares                         X         1      5207      0   1400
UNITEDHEALTH GROUP
INC                  COMMON STOCK    91324P102    4587     150490 Shares                 X                 2     57375      0  93115
UNITEDHEALTH GROUP
INC                  COMMON STOCK    91324P102    1561      51181 Shares                 X                 3     48915      0   2266
UNITIL CORPORATION   COMMON STOCK    913259107      12        510 Shares                 X                 1       510      0      0
UNITRIN INC COM      COMMON STOCK    913275103      42       1883 Shares                 X                 1      1883      0      0
UNIVERSAL DISPLAY
CORP                 COMMON STOCK    91347P105      16       1300 Shares                 X                 1      1300      0      0
UNIVEST CORP OF PA   COMMON STOCK    915271100      43       2454 Shares                 X                 1      2454      0      0
UNUM GROUP           COMMON STOCK    91529Y106       6        300 Shares                 X                 1       200      0    100
UNUM GROUP           COMMON STOCK    91529Y106     215      11000 Shares                 X                 2         0      0  11000
URBAN OUTFITTERS INC COMMON STOCK    917047102     793      22670 Shares                 X                 1     22670      0      0
URBAN OUTFITTERS INC COMMON STOCK    917047102       2         50 Shares                         X         1        50      0      0
URBAN OUTFITTERS INC COMMON STOCK    917047102    4148     118534 Shares                 X                 3    118534      0      0
URSTADT BIDDLE PPTYS
INC CL A             COMMON STOCK    917286205      46       3000 Shares                         X         1         0      0      0
V F CORP             COMMON STOCK    918204108     147       2010 Shares                 X                 1      2010      0      0
V F CORP             COMMON STOCK    918204108      12        160 Shares                         X         1       160      0      0
V F CORP             COMMON STOCK    918204108     220       3000 Shares                 X                 2         0      0   3000
VIST FINANCIAL CORP  COMMON STOCK    918255100      29       5500 Shares                 X                 1      5500      0      0
VALE SA              COMMON STOCK    91912E105    1215      41860 Shares                 X                 1     41860      0      0
VALE SA              COMMON STOCK    91912E105       6        215 Shares                         X         1       215      0      0



                                    43 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
VALE SA - SP PREF
ADR                  COMMON STOCK    91912E204      50       2000 Shares                 X                 1      2000      0      0
VALERO ENERGY CORP
COM                  COMMON STOCK    91913Y100      72       4300 Shares                 X                 1      3900      0    400
VALERO ENERGY CORP
COM                  COMMON STOCK    91913Y100      17       1000 Shares                         X         1      1000      0      0
VALLEY NATL BANCORP  COMMON          919794107      51       3600 Shares                 X                 3      3600      0      0
VALUECLICK INC       COMMON STOCK    92046N102      20       2000 Shares                         X         1      2000      0      0
VAN KAMPEN MUNI
TRUST                PREFERRED STOCK 920919107      13       1000 Shares                         X         1         0      0      0
VAN KAMPEN TRUST
INSURED MUNIC        PREFERRED STOCK 920928108       7        505 Shares                         X         1         0      0      0
VAN KAMPEN TR FOR
INV GR MUNIC         PREFERRED STOCK 920929106      81       5851 Shares                         X         1         0      0      0
VAN KAMPEN MUNICIPAL
OPPORTUNI            PREFERRED STOCK 920935103      99       7385 Shares                         X         1         0      0      0
VAN KAMPEN BOND FUND PREFERRED STOCK 920955101      52       2731 Shares                 X                 1         0      0      0
VAN KAMPEN SENIOR
INCOME TRUST         PREFERRED STOCK 920961109       8       2000 Shares                 X                 1         0      0      0
VAN KAMPEN PENN
VALUE MUNI INC       PREFERRED STOCK 92112T108     146      11495 Shares                 X                 1         0      0      0
VAN KAMPEN PENN
VALUE MUNI INC       PREFERRED STOCK 92112T108     593      46571 Shares                         X         1         0      0      0
VANGUARD DVD
APPRECIATION INDE    PREFERRED STOCK 921908844      75       1600 Shares                 X                 1         0      0      0
VANGUARD TOTAL BOND
MKT ETF              PREFERRED STOCK 921937835     272       3461 Shares                 X                 1         0      0      0
VANGUARD TOTAL BOND
MKT ETF              PREFERRED STOCK 921937835     148       1887 Shares                         X         1         0      0      0
VANGUARD HIGH
DIVIDEND YIELD E     PREFERRED STOCK 921946406     188       4948 Shares                 X                 1         0      0      0
VANGUARD EMERGING
MKTS ETF             PREFERRED STOCK 922042858      64       1570 Shares                         X         1         0      0      0
VANGUARD EMERGING
MKTS ETF             PREFERRED STOCK 922042858      82       2000 Shares                 X                 2         0      0      0
VANGUARD EMERGING
MKTS ETF             PREFERRED STOCK 922042858     317       7725 Shares                 X                 3         0      0      0
VANGUARD ENERGY ETF  PREFERRED STOCK 92204A306       9        112 Shares                         X         1         0      0      0
VANGUARD MATERIALS
ETF                  PREFERRED STOCK 92204A801      17        250 Shares                 X                 1         0      0      0
VARIAN MEDICAL SYS
INC COM              COMMON STOCK    92220P105       5        100 Shares                         X         1       100      0      0
VEECO INSTRUMENTS
INC                  COMMON STOCK    922417100      30        900 Shares                 X                 1       900      0      0
VEECO INSTRUMENTS
INC                  COMMON STOCK    922417100     809      24475 Shares                 X                 3     24475      0      0
VANGUARD EXTENDED
MKT ETF              PREFERRED STOCK 922908652       3         60 Shares                         X         1         0      0      0
VANGUARD GROWTH ETF  PREFERRED STOCK 922908736      85       1600 Shares                 X                 2         0      0      0
VEOLIA ENVIRONNEMENT ADR (1 ORD SHR) 92334N103      39       1200 Shares                 X                 3      1200      0      0
VERIZON
COMMUNICATIONS COM   COMMON STOCK    92343V104   16550     499560 Shares                 X                 1    491510      0   8050
VERIZON
COMMUNICATIONS COM   COMMON STOCK    92343V104    7508     226617 Shares                         X         1    217592      0   9025
VERIZON
COMMUNICATIONS COM   COMMON STOCK    92343V104   10146     318638 Shares                 X                 2     65300      0 253338
VERIZON
COMMUNICATIONS COM   COMMON STOCK    92343V104     514      15510 Shares                 X                 3     12072      0   3438
VERTEX
PHARMACEUTICALS INC  COMMON STOCK    92532F100      32        750 Shares                 X                 2         0      0    750
VIACOM INC-CLASS B   COMMON STOCK    92553P201     213       7157 Shares                 X                 1      6957      0    200
VIACOM INC-CLASS B   COMMON STOCK    92553P201     166       5583 Shares                         X         1      3183      0   2400
VISA INC             COMMON STOCK    92826C839      10        116 Shares                 X                 1       116      0      0
VISA INC             COMMON STOCK    92826C839    2408      27530 Shares                 X                 2         0      0  27530
VIRTUS INVESTMENT
PARTNERS INC         COMMON STOCK    92828Q109       1         70 Shares                 X                 1        70      0      0
VIRTUS INVESTMENT
PARTNERS INC         COMMON STOCK    92828Q109       0          8 Shares                         X         1         8      0      0
VIRTUS INVESTMENT
PARTNERS INC         COMMON STOCK    92828Q109       1         89 Shares                 X                 2         0      0     89
VISIONCHINA MEDIA
INC                  COMMON STOCK    92833U103       2        203 Shares                 X                 1       203      0      0
VMWARE INC           COMMON STOCK    928563402      16        385 Shares                 X                 1       385      0      0
VODAFONE GROUP PLC
- SP ADR             COMMON STOCK    92857W209     709      30716 Shares                 X                 1     30516      0    200
VODAFONE GROUP PLC
- SP ADR             COMMON STOCK    92857W209     214       9248 Shares                         X         1      9007      0    241
VODAFONE GROUP PLC
- SP ADR             COMMON STOCK    92857W209      78       3372 Shares                 X                 2         0      0   3372
VODAFONE GROUP PLC
- SP ADR             COMMON STOCK    92857W209      28       1200 Shares                         X         4      1200      0      0
VOLCANO CORP         COMMON STOCK    928645100       3        200 Shares                         X         1       200      0      0
VORNADO REALTY TRUST
(REIT)               COMMON STOCK    929042109     223       3194 Shares                 X                 2         0      0      0
VULCAN MATERIAL COM  COMMON STOCK    929160109     145       2761 Shares                 X                 1      2761      0      0
VULCAN MATERIAL COM  COMMON STOCK    929160109      43        817 Shares                         X         1       817      0      0
VULCAN MATERIAL COM  COMMON STOCK    929160109      84       1600 Shares                 X                 3      1600      0      0
WD 40 CO COM         COMMON STOCK    929236107      13        400 Shares                 X                 1       400      0      0
WD 40 CO COM         COMMON STOCK    929236107       6        200 Shares                         X         1       200      0      0
WGL HLDGS INC COM    COMMON STOCK    92924F106      23        700 Shares                 X                 1       700      0      0
WGL HLDGS INC COM    COMMON STOCK    92924F106      60       1796 Shares                 X                 2         0      0   1796
WGL HLDGS INC COM    COMMON STOCK    92924F106      61       1828 Shares                 X                 3      1828      0      0
WMS INDUSTRIES INC   COMMON STOCK    929297109      34        850 Shares                 X                 1       850      0      0
WMS INDUSTRIES INC   COMMON STOCK    929297109     946      23650 Shares                 X                 3     23650      0      0
W P CAREY & CO LLC   COMMON STOCK    92930Y107       6        200 Shares                 X                 1         0      0      0
W P CAREY & CO LLC   COMMON STOCK    92930Y107     139       5019 Shares                         X         1         0      0      0
WABTEC CORP COM      COMMON STOCK    929740108      45       1100 Shares                 X                 1      1100      0      0
WABTEC CORP COM      COMMON STOCK    929740108    1244      30475 Shares                 X                 3     30475      0      0



                                    44 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
WACOAL HOLDINGS CORP
- SP ADR             COMMON STOCK    930004205       4         73 Shares                 X                 1        73      0      0
WAL MART STORES INC
COM                  COMMON STOCK    931142103   12092     226232 Shares                 X                 1    225132      0   1100
WAL MART STORES INC
COM                  COMMON STOCK    931142103    3878      72549 Shares                         X         1     65609      0   6940
WAL MART STORES INC
COM                  COMMON STOCK    931142103     717      13416 Shares                 X                 2         0      0  13416
WAL MART STORES INC
COM                  COMMON STOCK    931142103    3710      69428 Shares                 X                 3     67297      0   2131
WAL MART STORES INC
COM                  COMMON STOCK    931142103      11        200 Shares                 X                 4       200      0      0
WALGREEN CO          COMMON STOCK    931422109     947      25779 Shares                 X                 1     25729      0     50
WALGREEN CO          COMMON STOCK    931422109     442      12038 Shares                         X         1     11968      0     70
WALGREEN CO          COMMON STOCK    931422109     777      21164 Shares                 X                 3     21164      0      0
WALTER ENERGY INC    COMMON STOCK    93317Q105      47        625 Shares                 X                 1       625      0      0
WALTER ENERGY INC    COMMON STOCK    93317Q105    1304      17325 Shares                 X                 3     17325      0      0
THE WARNACO GROUP
INC                  COMMON STOCK    934390402      39        925 Shares                 X                 1       925      0      0
THE WARNACO GROUP
INC                  COMMON STOCK    934390402    1096      25975 Shares                 X                 3     25975      0      0
WASHINGTON POST CO
CL B                 COMMON STOCK    939640108     242        550 Shares                 X                 2         0      0    550
WASHINGTON REAL
ESTATE INVT (R       COMMON STOCK    939653101      83       3000 Shares                 X                 1         0      0      0
WASHINGTON REAL
ESTATE INVT (R       COMMON STOCK    939653101      17        600 Shares                         X         1         0      0      0
WASHINGTON REAL
ESTATE INVT (R       COMMON STOCK    939653101     342      12398 Shares                 X                 2         0      0      0
WASTE CONNECTIONS
INC                  COMMON STOCK    941053100     227       6798 Shares                 X                 1      6798      0      0
WASTE CONNECTIONS
INC                  COMMON STOCK    941053100    1944      58297 Shares                 X                 3     58297      0      0
WASTE MANAGEMENT INC COMMON STOCK    94106L109     111       3282 Shares                 X                 1      3282      0      0
WASTE MANAGEMENT INC COMMON STOCK    94106L109     219       6482 Shares                         X         1      3182      0   3300
WASTE MANAGEMENT INC COMMON STOCK    94106L109      74       2200 Shares                 X                 3      2200      0      0
WATERS CORP COM      COMMON STOCK    941848103     167       2700 Shares                 X                 1      2700      0      0
WATSON
PHARMACEUTICALS
INC COM              COMMON STOCK    942683103      60       1526 Shares                         X         1       763    763      0
WEBSTER FINANCIAL
CORP                 COMMON          947890109     135      11356 Shares           X                             11356      0      0
WEINGARTEN REALTY
INVESTORS (R         COMMON STOCK    948741103     985      52067 Shares                 X                 2     12523      0      0
WEIS MARKETS INC     COMMON STOCK    948849104     103       2830 Shares                 X                 1      2380      0    450
WEIS MARKETS INC     COMMON STOCK    948849104      18        500 Shares                         X         1       500      0      0
WELLPOINT INC        COMMON STOCK    94973V107      49        834 Shares                 X                 1       834      0      0
WELLS FARGO & CO     COMMON STOCK    949746101   10431     386486 Shares                 X                 1    377533      0   8953
WELLS FARGO & CO     COMMON STOCK    949746101    4082     151230 Shares                         X         1    143179      0   8051
WELLS FARGO & CO     COMMON STOCK    949746101    5931     243578 Shares                 X                 2     67151      0 176427
WELLS FARGO & CO     COMMON STOCK    949746101     327      12098 Shares                 X                 3      7176      0   4922
WELLS FARGO & CO     COMMON STOCK    949746101       6        219 Shares                 X                 4       219      0      0
WELLS FARGO & CO     COMMON STOCK    949746101      54       2000 Shares                         X         4      2000      0      0
WELLS FARGO PFD CONV
7.50% SER            PREFERRED STOCK 949746804      46         50 Shares                         X         1         0      0      0
WELLS FARGO PFD CONV
7.50% SER            PREFERRED STOCK 949746804     413        450 Shares                 X                 2         0      0      0
WENDYS/ARBYS GROUP
INC - CL A           COMMON STOCK    950587105      64      13600 Shares                 X                 1     13600      0      0
WERNER ENTERPRISES
INC                  COMMON STOCK    950755108       8        427 Shares                 X                 1       427      0      0
WESTAR ENERGY INC    COMMON STOCK    95709T100       3        150 Shares                         X         1       150      0      0
WESTERN ASSET GLOBAL
HIGH INC             PREFERRED STOCK 95766B109      18       1600 Shares                 X                 1         0      0      0
WESTERN ASSET
MANAGED MUNICIPA     PREFERRED STOCK 95766M105      12       1016 Shares                         X         1         0      0      0
WESTERN ASSET
MANAGED MUNICIPA     PREFERRED STOCK 95766M105      61       5000 Shares                 X                 2         0      0      0
WESTERN ASSET
MUNICIPAL HIGH I     PREFERRED STOCK 95766N103       8       1050 Shares                         X         1         0      0      0
WESTN DIGITAL CORP   COMMON STOCK    958102105    1258      28494 Shares                 X                 1     28454      0     40
WESTN DIGITAL CORP   COMMON STOCK    958102105       3         64 Shares                         X         1        64      0      0
WESTN DIGITAL CORP   COMMON STOCK    958102105    3986      90274 Shares                 X                 3     90274      0      0
WESTERN UNION
COMPANY              COMMON STOCK    959802109     261      13865 Shares                 X                 1     13865      0      0
WESTERN UNION
COMPANY              COMMON STOCK    959802109     220      11677 Shares                         X         1     11352      0    325
WESTERN UNION
COMPANY              COMMON STOCK    959802109       4        200 Shares                 X                 4       200      0      0
WESTPORT INNOVATIONS
INC                  COMMON STOCK    960908309      30       2575 Shares                 X                 1      2575      0      0
WESTPORT INNOVATIONS
INC                  COMMON STOCK    960908309     827      71350 Shares                 X                 3     71350      0      0
WEYERHAEUSER CO COM  COMMON STOCK    962166104     123       2848 Shares                 X                 1      2848      0      0
WEYERHAEUSER CO COM  COMMON STOCK    962166104     147       3417 Shares                         X         1      2619      0    798
WEYERHAEUSER CO COM  COMMON STOCK    962166104     294       6805 Shares                 X                 2         0      0   6805
WHIRLPOOL CORP COM   COMMON STOCK    963320106      12        150 Shares                 X                 1       150      0      0
WHIRLPOOL CORP COM   COMMON STOCK    963320106      42        524 Shares                         X         1       524      0      0
WHITING PETROLEUM
CORPORATION          COMMON STOCK    966387102       2         27 Shares                 X                 1        27      0      0
WHOLE FOODS MKT INC
COM                  COMMON STOCK    966837106      89       3245 Shares                 X                 2         0      0   3245
JOHN WILEY & SONS
INC                  COMMON STOCK    968223206       3         62 Shares                 X                 1        62      0      0
WILLBROS GROUP INC   COMMON STOCK    969203108      43       2550 Shares                 X                 1      2550      0      0
WILLBROS GROUP INC   COMMON STOCK    969203108    1186      70325 Shares                 X                 3     70325      0      0



                                    45 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
WILLIAMS COMPANY INC
(THE)                COMMON STOCK    969457100       2         82 Shares                 X                 1        82      0      0
WILLIAMS COMPANY INC
(THE)                COMMON STOCK    969457100      25       1200 Shares                         X         1         0      0   1200
WILLIAMS COMPANY INC
(THE)                COMMON STOCK    969457100      78       3700 Shares                 X                 3      3700      0      0
WILMINGTON TRUST CRP COMMON          971807102      25       2050 Shares                 X                 3      2050      0      0
WINDSTREAM CORP      COMMON STOCK    97381W104      87       7930 Shares                 X                 1      7930      0      0
WINDSTREAM CORP      COMMON STOCK    97381W104     408      37161 Shares                         X         1     37099      0     62
WISCONSIN ENERGY
CORP COM             COMMON STOCK    976657106     171       3423 Shares                 X                 1      3423      0      0
WISCONSIN ENERGY
CORP COM             COMMON STOCK    976657106      95       1900 Shares                         X         1      1900      0      0
WISDOMTREE INTL REAL
ES FD                PREFERRED STOCK 97717W331      63       2340 Shares                 X                 1         0      0      0
WOLVERINES WORLD
WIDE INC COM         COMMON STOCK    978097103      15        539 Shares                 X                 1       539      0      0
WOODWARD GOVERNOR CO
COM                  COMMON STOCK    980745103      48       1875 Shares                 X                 1      1875      0      0
WOODWARD GOVERNOR CO
COM                  COMMON STOCK    980745103    1314      50975 Shares                 X                 3     50975      0      0
WORLD FUEL SERVICES
CORPORATIO           COMMON STOCK    981475106     118       4400 Shares                 X                 1      4400      0      0
WORTHINGTON INDS INC
COM                  COMMON STOCK    981811102       7        500 Shares                 X                 1       500      0      0
WORTHINGTON INDS INC
COM                  COMMON STOCK    981811102     170      13000 Shares                         X         1         0      0  13000
WRIGHT EXPRESS CORP  COMMON STOCK    98233Q105      58       1825 Shares                 X                 1      1825      0      0
WRIGHT EXPRESS CORP  COMMON STOCK    98233Q105    1623      50950 Shares                 X                 3     50950      0      0
WYNDHAM WORLDWIDE
CORP                 COMMON STOCK    98310W108       4        200 Shares                 X                 1       200      0      0
WYNDHAM WORLDWIDE
CORP                 COMMON STOCK    98310W108      18        887 Shares                         X         1       887      0      0
WYNN RESORTS LIMITED COMMON STOCK    983134107      15        250 Shares                 X                 1       250      0      0
XTO ENERGY INC COM   COMMON STOCK    98385X106     547      11753 Shares                 X                 1     11753      0      0
XTO ENERGY INC COM   COMMON STOCK    98385X106     220       4724 Shares                         X         1      4724      0      0
XTO ENERGY INC COM   COMMON STOCK    98385X106    2150      46200 Shares                 X                 2         0      0  46200
XCEL ENERGY INC COM  COMMON STOCK    98389B100      50       2365 Shares                 X                 1      2365      0      0
XCEL ENERGY INC COM  COMMON STOCK    98389B100     114       5389 Shares                         X         1      5389      0      0
XILINX COM           COMMON STOCK    983919101      21        826 Shares                 X                 1       826      0      0
XEROX CORP           COMMON STOCK    984121103      40       4686 Shares                 X                 1      4686      0      0
XEROX CORP           COMMON STOCK    984121103      63       7444 Shares                         X         1      7444      0      0
XEROX CORP           COMMON STOCK    984121103      63       7400 Shares                 X                 3      7400      0      0
XFONE INC            COMMON STOCK    98414Y109       0        275 Shares                 X                 1       275      0      0
YAHOO INC COM        COMMON STOCK    984332106     788      46943 Shares                 X                 1     46943      0      0
YAHOO INC COM        COMMON STOCK    984332106      17       1000 Shares                         X         1      1000      0      0
YAHOO INC COM        COMMON STOCK    984332106     101       6000 Shares                 X                 2         0      0   6000
YAHOO INC COM        COMMON STOCK    984332106    1901     113317 Shares                 X                 3    113317      0      0
YAMANA GOLD INC      COMMON STOCK    98462Y100       1        100 Shares                         X         1       100      0      0
YORK WATER COMPANY   COMMON STOCK    987184108    1091      75219 Shares                 X                 1     75219      0      0
YORK WATER COMPANY   COMMON STOCK    987184108    1168      80501 Shares                         X         1     80501      0      0
YUM! BRANDS INC      COMMON STOCK    988498101     445      12734 Shares                 X                 1     12734      0      0
YUM! BRANDS INC      COMMON STOCK    988498101     363      10375 Shares                         X         1      8175      0   2200
YUM! BRANDS INC      COMMON STOCK    988498101    3059      87480 Shares                 X                 2         0      0  87480
ZENITH NATIONAL
INSURANCE CORP       COMMON STOCK    989390109      42       1400 Shares                 X                 2         0      0   1400
ZEP INC              COMMON STOCK    98944B108     381      22000 Shares                 X                 2         0      0  22000
ZIMMER HLDGS INC COM COMMON STOCK    98956P102    4392      74306 Shares                 X                 1     73406      0    900
ZIMMER HLDGS INC COM COMMON STOCK    98956P102     841      14234 Shares                         X         1     13034      0   1200
ZIMMER HLDGS INC COM COMMON STOCK    98956P102    2888      54608 Shares                 X                 2     16207      0  38401
ZIMMER HLDGS INC COM COMMON STOCK    98956P102    1683      28482 Shares                 X                 3     27002      0   1480
ZIONS BANCORPORATION
COM                  COMMON STOCK    989701107      75       5845 Shares                 X                 1      5845      0      0
ZIONS BANCORPORATION
COM                  COMMON STOCK    989701107      21       1600 Shares                         X         1      1600      0      0
ZIONS BANCORPORATION
COM                  COMMON STOCK    989701107       1         89 Shares                 X                 3        89      0      0
DAIMLER AG           COMMON STOCK    D1668R123      21        386 Shares                 X                 1       386      0      0
DAIMLER AG           COMMON STOCK    D1668R123       7        124 Shares                         X         1       124      0      0
DAIMLER AG           COMMON STOCK    D1668R123       7        124 Shares                 X                 2         0      0    124
DEUTSCHE BANK AG-REG COMMON STOCK    D18190898       1         12 Shares                 X                 1        12      0      0
DEUTSCHE BANK AG-REG COMMON STOCK    D18190898      71       1000 Shares                 X                 2         0      0   1000
AMDOCS LIMITED       COMMON STOCK    G02602103      58       2050 Shares                 X                 1      2050      0      0
ARCH CAPITAL GROUP
LTD                  COMMON STOCK    G0450A105       1         15 Shares                 X                 1        15      0      0
ASPEN INSURANCE
HOLDINGS LTD         COMMON STOCK    G05384105       6        229 Shares                 X                 1       229      0      0
AXIS CAPITAL
HOLDINGS LIMITED     COMMON STOCK    G0692U109       2         84 Shares                 X                 1        84      0      0
ACCENTURE PLC- CL A  COMMON STOCK    G1151C101     646      15560 Shares                 X                 1     15460      0    100
ACCENTURE PLC- CL A  COMMON STOCK    G1151C101     517      12460 Shares                         X         1     12325      0    135
BUNGE LIMITED        COMMON STOCK    G16962105      14        214 Shares                 X                 1       146      0     68
COOPER INDUSTRIES
PLC CL A             COMMON STOCK    G24140108      62       1451 Shares                 X                 1      1451      0      0



                                    46 of 48






                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
COOPER INDUSTRIES
PLC CL A             COMMON STOCK    G24140108      64       1500 Shares                         X         1      1500      0      0
COVIDIEN PLC         COMMON STOCK    G2554F105     190       3965 Shares                 X                 1      3890      0     75
COVIDIEN PLC         COMMON STOCK    G2554F105     218       4548 Shares                         X         1      3745      0    803
COVIDIEN PLC         COMMON STOCK    G2554F105     299       6250 Shares                 X                 2         0      0   6250
EVEREST RE GROUP LTD
COM                  COMMON STOCK    G3223R108       3         34 Shares                 X                 1        34      0      0
HELEN OF TROY LTD    COMMON STOCK    G4388N106      10        400 Shares                 X                 1       400      0      0
HERBALIFE LTD        COMMON STOCK    G4412G101     148       3649 Shares                 X                 1      3649      0      0
HERBALIFE LTD        COMMON STOCK    G4412G101    1278      31500 Shares                 X                 3     31500      0      0
INGERSOLL-RAND
PUBLIC LTD CO        COMMON STOCK    G47791101      24        676 Shares                 X                 1       676      0      0
INGERSOLL-RAND
PUBLIC LTD CO        COMMON STOCK    G47791101     170       4770 Shares                         X         1      4770      0      0
INGERSOLL-RAND
PUBLIC LTD CO        COMMON STOCK    G47791101    4018     112420 Shares                 X                 2         0      0 112420
INVESCO LIMITED      COMMON STOCK    G491BT108       3        148 Shares                 X                 1       148      0      0
LJ INTERNATIONAL INC COMMON STOCK    G55312105       1        400 Shares                 X                 1       400      0      0
MARVEL TECHNOLOGY
GROUP LTD            COMMON STOCK    G5876H105      81       3918 Shares                 X                 1      3918      0      0
MARVEL TECHNOLOGY
GROUP LTD            COMMON STOCK    G5876H105       3        138 Shares                         X         1       138      0      0
NABORS INDUSTRIES
LTD                  COMMON STOCK    G6359F103     417      19050 Shares                 X                 1     19050      0      0
NABORS INDUSTRIES
LTD                  COMMON STOCK    G6359F103     326      14875 Shares                         X         1     14875      0      0
NORDIC AMERICAN
TANKER SHIPPIN       COMMON STOCK    G65773106      20        650 Shares                 X                 1       650      0      0
PARTNERRE LTD        COMMON STOCK    G6852T105       1         20 Shares                 X                 1        20      0      0
PLATINUM
UNDERWRITERS
HOLDINGS             COMMON STOCK    G7127P100       7        181 Shares                 X                 1       181      0      0
SEAGATE TECHNOLOGY   COMMON STOCK    G7945J104      28       1525 Shares                 X                 1      1525      0      0
SEAGATE TECHNOLOGY   COMMON STOCK    G7945J104       5        252 Shares                         X         1       252      0      0
SHIP FINANCE INTL
LTD                  COMMON STOCK    G81075106       5        381 Shares                 X                 1       381      0      0
SIGNET JEWELERS LTD  COMMON STOCK    G81276100       0         10 Shares                         X         1        10      0      0
TEXTAINER GROUP
HOLDINGS LTD         COMMON STOCK    G8766E109      16        945 Shares                 X                 1       945      0      0
TONGXIN
INTERNATIONAL LTD    COMMON STOCK    G8918T103      12       1325 Shares                 X                 1      1325      0      0
TONGXIN
INTERNATIONAL LTD    COMMON STOCK    G8918T103     330      36700 Shares                 X                 3     36700      0      0
VALIDUS HOLDINGS LTD COMMON STOCK    G9319H102       1         42 Shares                 X                 1        42      0      0
WHITE MOUNTAINS
INSURANCE GROU       COMMON STOCK    G9618E107     326        980 Shares                 X                 1       980      0      0
WHITE MOUNTAINS
INSURANCE GROU       COMMON STOCK    G9618E107     107        322 Shares                         X         1       322      0      0
WHITE MOUNTAINS
INSURANCE GROU       COMMON STOCK    G9618E107     600       1805 Shares                 X                 2         0      0   1805
XL CAPITAL LTD CL A  COMMON STOCK    G98255105       1         62 Shares                 X                 1      -213      0    275
ACE LTD              COMMON STOCK    H0023R105    1953      38748 Shares                 X                 1     38663      0     85
ACE LTD              COMMON STOCK    H0023R105     119       2360 Shares                         X         1      2260      0    100
ACE LTD              COMMON STOCK    H0023R105     225       4464 Shares                 X                 3      3193      0   1271
ALCON INC            COMMON STOCK    H01301102     102        622 Shares                 X                 1       622      0      0
ALCON INC            COMMON STOCK    H01301102       2         10 Shares                         X         1        10      0      0
WEATHERFORD INTL LTD
SWITZERLA            COMMON STOCK    H27013103    1843     102930 Shares                 X                 1    102930      0      0
WEATHERFORD INTL LTD
SWITZERLA            COMMON STOCK    H27013103     127       7104 Shares                         X         1      7104      0      0
WEATHERFORD INTL LTD
SWITZERLA            COMMON STOCK    H27013103    2606     145500 Shares                 X                 3    145500      0      0
FOSTER WHEELER AG    COMMON STOCK    H27178104    2340      79486 Shares                 X                 1     79486      0      0
FOSTER WHEELER AG    COMMON STOCK    H27178104     148       5031 Shares                         X         1      4306      0    725
FOSTER WHEELER AG    COMMON STOCK    H27178104    4633     157347 Shares                 X                 3    155322      0   2025
LOGITECH
INTERNATIONAL
SA - RE              COMMON STOCK    H50430232       2        126 Shares                 X                 1       126      0      0
LOGITECH
INTERNATIONAL
SA - RE              COMMON STOCK    H50430232       2        117 Shares                         X         1       117      0      0
NOBLE CORPORATION    COMMON STOCK    H5833N103     446      10950 Shares                 X                 1      9850      0   1100
NOBLE CORPORATION    COMMON STOCK    H5833N103      43       1050 Shares                         X         1       850      0    200
TRANSOCEAN LIMITED   COMMON STOCK    H8817H100    2811      33945 Shares                 X                 1     31920      0   2025
TRANSOCEAN LIMITED   COMMON STOCK    H8817H100     777       9383 Shares                         X         1      6689      0   2694
TRANSOCEAN LIMITED   COMMON STOCK    H8817H100      54        650 Shares                 X                 2         0      0    650
TYCO INTERNATIONAL
LTD                  COMMON STOCK    H89128104     172       4807 Shares                 X                 1      4807      0      0
TYCO INTERNATIONAL
LTD                  COMMON STOCK    H89128104     157       4398 Shares                         X         1      3595      0    803
TYCO INTERNATIONAL
LTD                  COMMON STOCK    H89128104     223       6250 Shares                 X                 2         0      0   6250
TYCO ELECTRONICS LTD COMMON STOCK    H8912P106      86       3522 Shares                 X                 1      3522      0      0
TYCO ELECTRONICS LTD COMMON STOCK    H8912P106      76       3116 Shares                         X         1      3116      0      0
TYCO ELECTRONICS LTD COMMON STOCK    H8912P106     153       6250 Shares                 X                 2         0      0   6250
UBS AG               COMMON STOCK    H89231338      53       3393 Shares                 X                 1      3393      0      0
UBS AG               COMMON STOCK    H89231338      78       5000 Shares                 X                 2         0      0   5000
MILLICOM
INTERNATIONAL
CELLULA              COMMON STOCK    L6388F110       3         46 Shares                 X                 1        46      0      0
MILLICOM
INTERNATIONAL
CELLULA              COMMON STOCK    L6388F110       3         42 Shares                         X         1        42      0      0
CHECK POINT
SOFTWARE TECH COM    COMMON STOCK    M22465104     535      15800 Shares                 X                 2         0      0  15800
ON TRACK INNOVATION  SHARES          M8791A109       1        900 Shares                 X                 3       900      0      0



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                                                                         SEC USE ____________________________

                                                                                       COLUMN 6                       COLUMN 8
                                                                COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              COLUMN 4  ------------------------ --------------------          ---------------------
                         COLUMN 2               VALUE   SHARES OR            PUT      SHARED  SHARED  COLUMN 7
                         TITLE OF     COLUMN 3   (X     PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER            CLASS        CUSIP   $1,000)    AMOUNT  PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- --------------- --------- -------  --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                       
CORE LABORATORIES
N V                  COMMON STOCK    N22717107       1          7 Shares                 X                 1         7      0      0
DRYSHIPS INC         COMMON STOCK    Y2109Q101       6       1050 Shares                 X                 1      1050      0      0
FLEXTRONICS INTL LTD COMMON STOCK    Y2573F102     592      80967 Shares                 X                 1     80967      0      0
FLEXTRONICS INTL LTD COMMON STOCK    Y2573F102       2        300 Shares                         X         1       300      0      0
FLEXTRONICS INTL LTD COMMON STOCK    Y2573F102    1459     199625 Shares                 X                 3    199625      0      0
GENCO SHIPPING &
TRADING LTD          COMMON STOCK    Y2685T107      14        604 Shares                 X                 1       604      0      0
GENERAL MARITIME
CORP                 COMMON STOCK    Y2693R101       6        800 Shares                 X                 1       800      0      0
GENERAL MARITIME
CORP                 COMMON STOCK    Y2693R101     491      70150 Shares                 X                 2     26150      0  44000
SEASPAN CORP         COMMON STOCK    Y75638109      51       5500 Shares                         X         1      5500      0      0

                                               2897483



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