UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: 06/30/2006 Check here if Amendment [ ] Amendment Number: This Amendment [ ] is a restatement Institutional Investment Manager Filing this Report: Name: TRUSTCO BANK Address: 3 SARNOWSKI DRIVE GLENVILLE, NY 12302 13F File Number: 28-10307 The institutional investment Manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Richard W. Provost Title: Trust Officer Phone: 518-381-3699 Signature, Place, and Date of Signing: 07/18/2006 Report Type (Check only one) [X] 13F HOLDINGS REPORT [ ] 13F COMBINATION REPORT FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL AT&T INC COMMON STOCK 00206R102 727 26077 SH DEFINED 26054 23 00206R102 337 12073 SH DEF/OTH 7998 4075 ABBOTT COMMON STOCK 002824100 2015 46202 SH DEFINED 43502 500 2200 LABORATORIES 002824100 420 9626 SH DEF/OTH 5826 2800 1000 AIR PRODUCTS & COMMON STOCK 009158106 795 12440 SH DEFINED 12440 CHEMICALS INC ALCOA INC COMMON STOCK 013817101 743 22950 SH DEFINED 22650 200 100 013817101 61 1900 SH DEF/OTH 1600 300 ALLSTATE CORP COMMON STOCK 020002101 1250 22842 SH DEFINED 22842 020002101 104 1908 SH DEF/OTH 970 838 100 ALTRIA GROUP INC COMMON STOCK 02209S103 64 870 SH DEFINED 870 02209S103 3194 43500 SH DEF/OTH 38000 5500 AMERICAN EXPRESS COMMON STOCK 025816109 1603 30115 SH DEFINED 28415 200 1500 CO 025816109 587 11034 SH DEF/OTH 9734 1300 COLUMN TOTALS 11900 Page 1 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL AMGEN INC COMMON STOCK 031162100 752 11532 SH DEFINED 11282 150 100 031162100 176 2700 SH DEF/OTH 1800 600 300 ANHEUSER BUSCH COMMON STOCK 035229103 692 15171 SH DEFINED 15171 COS INC 035229103 146 3200 SH DEF/OTH 200 3000 APPLIED COMMON STOCK 038222105 357 21900 SH DEFINED 18700 3200 MATERIALS INC 038222105 68 4200 SH DEF/OTH 4000 200 ARGONAUT GROUP COMMON STOCK 040157109 1615 53747 SH DEFINED 53747 INC AUTOMATIC DATA COMMON STOCK 053015103 697 15375 SH DEFINED 13875 1500 PROCESSING INC 053015103 54 1200 SH DEF/OTH 400 700 100 BP PLC FOREIGN STOCK 055622104 2976 42748 SH DEFINED 39648 3100 055622104 879 12633 SH DEF/OTH 8829 3704 100 BAKER HUGHES INC COMMON STOCK 057224107 229 2800 SH DEFINED 2800 COLUMN TOTALS 8641 Page 2 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 057224107 33 400 SH DEF/OTH 100 300 BANK OF AMERICA COMMON STOCK 060505104 1938 40299 SH DEFINED 39999 300 CORP 060505104 1165 24229 SH DEF/OTH 19975 3654 600 BANK OF NEW YORK COMMON STOCK 064057102 625 19400 SH DEFINED 19400 INC BELLSOUTH CORP COMMON STOCK 079860102 980 27066 SH DEFINED 27066 079860102 435 12025 SH DEF/OTH 7880 3945 200 BRISTOL-MYERS COMMON STOCK 110122108 635 24565 SH DEFINED 19265 4800 500 SQUIBB CO 110122108 393 15200 SH DEF/OTH 5200 10000 CHEVRON CORP NEW COMMON STOCK 166764100 2626 42319 SH DEFINED 38619 1300 2400 166764100 866 13947 SH DEF/OTH 11460 1687 800 CISCO SYSTEMS INC COMMON STOCK 17275R102 1835 93935 SH DEFINED 92735 600 600 17275R102 234 12000 SH DEF/OTH 10300 1200 500 COLUMN TOTALS 11765 Page 3 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL CITIGROUP INC COMMON STOCK 172967101 3081 63855 SH DEFINED 63555 300 172967101 357 7400 SH DEF/OTH 4100 2700 600 COCA COLA CO COMMON STOCK 191216100 2907 67567 SH DEFINED 67467 100 191216100 576 13400 SH DEF/OTH 9200 4200 COLGATE COMMON STOCK 194162103 2022 33761 SH DEFINED 33161 600 PALMOLIVE CO 194162103 252 4200 SH DEF/OTH 300 3400 500 CURTISS WRIGHT COMMON STOCK 231561101 1987 64352 SH DEFINED 64352 CORP DELL INC COMMON STOCK 24702R101 396 16200 SH DEFINED 16100 100 24702R101 91 3700 SH DEF/OTH 2800 600 300 DISNEY WALT CO COMMON STOCK 254687106 1874 62483 SH DEFINED 56783 3300 2400 254687106 318 10600 SH DEF/OTH 7500 3000 100 DOMINION COMMON STOCK 25746U109 41 543 SH DEFINED 543 RESOURCES INC VA NEW COLUMN TOTALS 13902 Page 4 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 25746U109 240 3209 SH DEF/OTH 3088 121 DOW CHEMICAL CO COMMON STOCK 260543103 338 8650 SH DEFINED 8550 100 260543103 138 3525 SH DEF/OTH 2425 1100 DU PONT E I DE COMMON STOCK 263534109 923 22176 SH DEFINED 18590 1686 1900 NEMOURS & CO 263534109 179 4310 SH DEF/OTH 1560 2450 300 ECOLAB INC COMMON STOCK 278865100 361 8900 SH DEFINED 7900 1000 278865100 16 400 SH DEF/OTH 400 EMERSON ELECTRIC COMMON STOCK 291011104 318 3800 SH DEFINED 3700 100 CO 291011104 268 3200 SH DEF/OTH 500 2700 EXCELSIOR TAX MUTUAL 300861408 164 19443 SH DEFINED 19443 EXEMPT FUNDS INC FUNDS/MUNI BONDS EXELON CORP COMMON STOCK 30161N101 600 10550 SH DEFINED 10550 30161N101 124 2190 SH DEF/OTH 1690 500 EXXON MOBIL CORP COMMON STOCK 30231G102 10338 168502 SH DEFINED 148590 15748 4164 COLUMN TOTALS 14007 Page 5 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 30231G102 2364 38537 SH DEF/OTH 20256 14925 3356 FPL GROUP INC COMMON STOCK 302571104 526 12718 SH DEFINED 12718 FORTUNE BRANDS COMMON STOCK 349631101 675 9500 SH DEFINED 9300 200 INC 349631101 249 3500 SH DEF/OTH 2900 500 100 FRANKLIN N Y TAX MUTUAL 354130106 44 3782 SH DEFINED 3782 FREE INCOME FUNDS/MUNI BONDS 354130106 142 12191 SH DEF/OTH 12191 GENERAL ELECTRIC COMMON STOCK 369604103 28012 849882 SH DEFINED 801133 38089 10660 CO 369604103 10093 306210 SH DEF/OTH 223797 68413 14000 GENERAL MILLS INC COMMON STOCK 370334104 337 6533 SH DEFINED 6533 370334104 222 4300 SH DEF/OTH 4100 200 GLAXOSMITHKLINE FOREIGN STOCK 37733W105 385 6900 SH DEFINED 6800 100 PLC 37733W105 241 4327 SH DEF/OTH 3227 1100 COLUMN TOTALS 43290 Page 6 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL HEWLETT PACKARD COMMON STOCK 428236103 404 12747 SH DEFINED 12747 CO 428236103 82 2600 SH DEF/OTH 2600 HOME DEPOT INC COMMON STOCK 437076102 1038 29012 SH DEFINED 27312 400 1300 437076102 60 1675 SH DEF/OTH 675 600 400 INTEL CORP COMMON STOCK 458140100 2530 133162 SH DEFINED 130362 200 2600 458140100 354 18650 SH DEF/OTH 15650 2500 500 INTERNATIONAL COMMON STOCK 459200101 3081 40102 SH DEFINED 39102 1000 BUSINESS MACHINES 459200101 277 3600 SH DEF/OTH 100 3500 JPMORGAN CHASE & COMMON STOCK 46625H100 1489 35443 SH DEFINED 34815 364 264 CO 46625H100 581 13836 SH DEF/OTH 10070 3766 JOHNSON & JOHNSON COMMON STOCK 478160104 6093 101687 SH DEFINED 98487 3200 478160104 655 10925 SH DEF/OTH 6475 3200 1250 COLUMN TOTALS 16644 Page 7 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL JOHNSON CONTROLS COMMON STOCK 478366107 469 5700 SH DEFINED 5700 INC 478366107 111 1350 SH DEF/OTH 300 1000 50 KEYCORP COMMON STOCK 493267108 2414 67661 SH DEFINED 67661 LILLY ELI & CO COMMON STOCK 532457108 702 12700 SH DEFINED 12500 200 532457108 39 700 SH DEF/OTH 400 300 LINCOLN NATIONAL COMMON STOCK 534187109 345 6114 SH DEFINED 6114 CORP IN 534187109 175 3100 SH DEF/OTH 3100 LOWES COS INC COMMON STOCK 548661107 652 10750 SH DEFINED 10750 548661107 199 3275 SH DEF/OTH 2375 700 200 MASCO CORP COMMON STOCK 574599106 371 12500 SH DEFINED 12400 100 574599106 89 3000 SH DEF/OTH 1900 900 200 MCGRAW HILL COS COMMON STOCK 580645109 522 10400 SH DEFINED 10400 INC 580645109 151 3000 SH DEF/OTH 2000 600 400 MEDTRONIC INC COMMON STOCK 585055106 2748 58576 SH DEFINED 54076 700 3800 COLUMN TOTALS 8987 Page 8 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 585055106 235 5000 SH DEF/OTH 4400 300 300 MICROSOFT CORP COMMON STOCK 594918104 4630 198724 SH DEFINED 187224 900 10600 594918104 638 27400 SH DEF/OTH 23500 3000 900 MOTOROLA INC COMMON STOCK 620076109 423 20995 SH DEFINED 20195 200 600 620076109 139 6900 SH DEF/OTH 6300 600 NBT BANCORP INC COMMON STOCK 628778102 561 24158 SH DEFINED 672 23486 NASDAQ 100 TRUST MUTUAL 631100104 1066 27500 SH DEF/OTH 22000 5500 FUND/STOCK PEPSICO INC COMMON STOCK 713448108 4320 71960 SH DEFINED 69610 1250 1100 713448108 426 7100 SH DEF/OTH 2300 4500 300 PFIZER INC COMMON STOCK 717081103 583 24850 SH DEFINED 21950 800 2100 717081103 263 11226 SH DEF/OTH 4466 6760 COLUMN TOTALS 13284 Page 9 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL PROCTER & GAMBLE COMMON STOCK 742718109 5550 99813 SH DEFINED 95723 890 3200 CO 742718109 1209 21753 SH DEF/OTH 10050 10308 1395 ROCHESTER FUND MUTUAL 771362100 228 12559 SH DEFINED 12559 MUNICIPALS INC FUNDS/MUNI BONDS 771362100 154 8490 SH DEF/OTH 5610 2880 SCHERING PLOUGH COMMON STOCK 806605101 343 18000 SH DEFINED 13700 4300 CORP SCHLUMBERGER LTD COMMON STOCK 806857108 420 6450 SH DEFINED 6050 400 806857108 404 6200 SH DEF/OTH 6200 SOUTHERN CO COMMON STOCK 842587107 2511 78358 SH DEFINED 78058 300 842587107 228 7100 SH DEF/OTH 3000 3300 800 TARGET CORP COMMON STOCK 87612E106 1214 24850 SH DEFINED 23950 200 700 87612E106 186 3800 SH DEF/OTH 2600 1100 100 TEXAS COMMON STOCK 882508104 374 12350 SH DEFINED 12350 INSTRUMENTS INC COLUMN TOTALS 12821 Page 10 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL 882508104 9 300 SH DEF/OTH 300 3M CO COMMON STOCK 88579Y101 1555 19250 SH DEFINED 19250 88579Y101 762 9430 SH DEF/OTH 2600 6650 180 TRUSTCO BANK COMMON STOCK 898349105 10962 994741 SH DEFINED 731595 91519 171627 CORP NY 898349105 7600 689653 SH DEF/OTH 618049 37304 34300 UNITED PARCEL COMMON STOCK 911312106 595 7225 SH DEFINED 7225 SERVICE 911312106 95 1150 SH DEF/OTH 1000 100 50 UNITED COMMON STOCK 913017109 3591 56620 SH DEFINED 51420 400 4800 TECHNOLOGIES CORP 913017109 495 7800 SH DEF/OTH 5800 1400 600 UNITRIN INC COMMON STOCK 913275103 9833 225568 SH DEFINED 225568 VANGUARD MUTUAL 922021308 183 16939 SH DEFINED 16939 CALIFORNIA TAX FUNDS/MUNI FREE BONDS VANGUARD NEW MUTUAL 92204H103 168 15285 SH DEFINED 15285 YORK TAX FREE FUNDS/MUNI FUNDS BONDS COLUMN TOTALS 35848 Page 11 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL VANGUARD NEW MUTUAL 92204H301 2036 185451 SH DEFINED 185451 YORK TAX FREE FUNDS/MUNI FUNDS BONDS 92204H301 338 30786 SH DEF/OTH 29449 1337 VERIZON COMMON STOCK 92343V104 1249 37286 SH DEFINED 36886 200 200 COMMUNICATIONS INC 92343V104 432 12904 SH DEF/OTH 7130 5574 200 WAL-MART STORES COMMON STOCK 931142103 1687 35025 SH DEFINED 34025 1000 INC 931142103 193 4000 SH DEF/OTH 3600 200 200 WASHINGTON COMMON STOCK 939322103 497 10900 SH DEFINED 10900 MUTUAL INC 939322103 73 1600 SH DEF/OTH 400 1200 WELLS FARGO & CO COMMON STOCK 949746101 1867 27825 SH DEFINED 27425 400 NEW 949746101 379 5650 SH DEF/OTH 3400 1750 500 WYETH COMMON STOCK 983024100 435 9800 SH DEFINED 9800 983024100 136 3065 SH DEF/OTH 1665 1400 COLUMN TOTALS 9322 Page 12 FORM 13F INFORMATION TABLE VALUE SHS INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE X PRN SH PUT DISCRTN MANAGERS SOLE SHARED NONE SECURITY NAME OF CLASS CUSIP $1000 AMOUNT PRN CALL AGGREGATE TOTAL 200411 Page 13 FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 147 Form 13F Information Table Value Total: $ 200,411 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. 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