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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2007

Check here if Amendment [ ]; Amendment Number: ___________

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

Institutional Investment Manager Filing this Report:

Name: BancorpSouth Inc.

Address: One Mississippi Plaza
         201 South Spring Street
         Tupelo MS 38804

Form 13F File Number: 28-10453

     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:  Cathy S. Freeman
Title: Senior Vice President and Corporate Secretary
Phone: (662) 680-2084

Signature Place and Date of Signing:


/s/ Cathy S. Freeman                    Tupelo Mississippi     November 14, 2007
-------------------------------------   --------------------   -----------------
[Signature]                             [City State]           [Date]

Report Type (Check only one.):

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

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

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

     List of Other Managers Reporting for this Manager: None.



                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                  1
Form 13F Information Table Entry Total:           765
Form 13F Information Table Value Total:    $4,653,752
                                           (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.



No.   Form 13F File Number   Name
---   --------------------   ----
                       
1     28-10939               BancorpSouth Bank



                                       2



                           FORM 13F INFORMATION TABLE



                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
ACE LIMITED                                G0070K103      215      3565  SH         SOLE             1        113        0     3452
ARLINGTON TANKERS LTD                      G04899103        7       307  SH         SOLE             1          0        0      307
CONSOLIDATED WATER CO LTD                  G23773107        7       250  SH         SOLE             1        250        0        0
FRONTLINE LDT F                            G3682E127       24       500  SH         SOLE             1        500        0        0
GLOBAL SANTAFE CORP                        G3930E101       13       175  SH         SOLE             1          0        0      175
HERBALIFE LTD               COMUSD SHS     G4412G101       43       960  SH         SOLE             1          0        0      960
INGSOLL-RAND CO             CL A BERMUDA   G4776G101      266      4900  SH         SOLE             1       4900        0        0
KNIGHTS BRIDGE TANKERS                     G5299G106       13       500  SH         SOLE             1        500        0        0
MARVELL TECHNOLOGY GROUP                   G5876H105       63      3888  SH         SOLE             1          0        0     3888
MONTPELIER RE HLD LTDF                     G62185106      470     26620  SH         SOLE             1      26620        0        0
NABORS INDUSTRIES                          G6359F103      380     12356  SH         SOLE             1        316        0    12040
NOBLE CORP                                 G65422100       47       972  SH         SOLE             1          0        0      972
RENAISSANCERE HOLDINGS LTD  COM            G7496G103       79      1209  SH         SOLE             1          0        0     1209
SEAGATE TECHNOLOGY          SHS            G7945J104       14       550  SH         SOLE             1          0        0      550
SHIP FINANCE INTERNATIONAL
   LTD                                     G81075106        6       253  SH         SOLE             1        253        0        0
TRANSOCEAN SEDCO FOREX INC                 G90078109       79       700  SH         SOLE             1        700        0        0
TYCO INTL LTD W/I                          G9143X208        3        75  SH         SOLE             1         75        0        0
WEATHERFORD INTL LTD        NEW
                            (BERMUDA)      G95089101       31       473  SH         SOLE             1        473        0        0
MILLICOM INTL CELLULAR      NEW            L6388F110       61       736  SH         SOLE             1          0        0      736
DIANA SHIPPING INC                         Y2066G104       14       500  SH         SOLE             1        500        0        0
FLEXTRONICS INT'L                          Y2573F102      260     23301  SH         SOLE             1        679        0    22622
QUINTANA MARITIME LTD       SHS            Y7169G109       19      1030  SH         SOLE             1          0        0     1030
TEEKAY LNG PARTNERS LP                     Y8564M105       16       500  SH         SOLE             1        500        0        0
AFC ENTERPRISES INC         COM            00104Q107       10       698  SH         SOLE             1          0        0      698
A F L A C INC                              001055102      458      8031  SH         SOLE             1       1801        0     6230
A F L A C INC                              001055102     2677     46938  SH         DEFINED          1      46938        0        0
AGL RESOURCES, INC                         001204106       17       450  SH         SOLE             1        450        0        0
AES CORPORATION                            00130H105        1        69  SH         SOLE             1         69        0        0
AMR CORP                                   001765106        3       150  SH         SOLE             1        150        0        0
AT&T INC                    COM            00206R102     1044     24679  SH         SOLE             1      17162        0     7517
AT&T INC                    COM            00206R102      280      6620  SH         DEFINED          1       1488     5132        0
ATMI INC                                   00207R101        9       321  SH         SOLE             1          0        0      321
AARON RENTS INC             COM            002535201       14       652  SH         SOLE             1          0        0      652
ABBOTT LAB                                 002824100      617     11523  SH         SOLE             1       5626        0     5897
ABBOTT LAB                                 002824100      225      4200  SH         DEFINED          1        200     4000        0
ABERDEEN ASIA-PACIFIC
   FUND                                    003009107        2       444  SH         SOLE             1        444        0        0
ACME PACKET INC             COM            004764106       21      1380  SH         SOLE             1          0        0     1380
ACTUANT CORP                CLASS A        00508X203       16       249  SH         SOLE             1          0        0      249
ADAMS EXPRESS CO            COM            006212104       44      2956  SH         SOLE             1       2956        0        0
ADOBE SYSTEMS INCORPORATED
   DELAWARE                                00724F101      325      7449  SH         SOLE             1        233        0     7216
ADVANCED ANALOGIC
   TECHNOLOGI               COM            00752J108       12      1200  SH         SOLE             1          0        0     1200
ADVANTAGE ENERGY
   INCOME FD TR UNIT        ADR            00762L101        6       500  SH         SOLE             1        500        0        0
ADVANCED MED OPTICS IN                     00763M108       37      1230  SH         SOLE             1          0        0     1230
ADVENT/CLAYMORE GLOBAL                     007639107       85      5200  SH         SOLE             1       5200        0        0
AEGON N V ORD                              007924103      511     26896  SH         SOLE             1          0        0    26896
AFFILIATED MANAGERS GROUP   COM            008252108       71       561  SH         SOLE             1          0        0      561
AGILENT TECHNOLOGIES,
   INC.                                    00846U101        2        59  SH         SOLE             1         59        0        0
AGNICO EAGLE MINES                         008474108       24       500  SH         SOLE             1        500        0        0
AIRGAS INC                  COM            009363102       15       301  SH         SOLE             1          0        0      301
AIXTRON AKTIENGELELLSCHAFT  ADR            009606104        4       510  SH         SOLE             1        510        0        0
AKAMAI TECH                                00971T101       50      1762  SH         SOLE             1          0        0     1762
ALCOA INC                                  013817101      109      2789  SH         SOLE             1       1139        0     1650
ALCATEL LUCENT              SPONSORED
                            ADR            013904305        1       107  SH         SOLE             1         32        0       75
ALLEGHENY ENERGY INC                       017361106        3        66  SH         SOLE             1         66        0        0
ALLERGAN INC                               018490102      286      4451  SH         SOLE             1        140        0     4311
ALLIANCEBERNSTEIN
   GLOBAL HIGH INCOME
   FUND INC                                01879R106       27      2000  SH         SOLE             1       2000        0        0
ALLIANT TECHSYSTEMS, INC                   018804104       33       302  SH         SOLE             1          0        0      302
ALLIANZ SE                  SP ADR 1/10
                            SH             018805101        9       400  SH         SOLE             1          0        0      400
ALLIANCEBERNSTEIN INCOME
   FD                                      01881E101       25      3100  SH         SOLE             1       3100        0        0



                                       3





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
ALLIED CAP CO FUND                         01903Q108       25       883  SH         SOLE             1        815        0       68
ALLIED IRISH BKS P L C      SPON ADR ORD   019228402        7       165  SH         SOLE             1          0        0      165
ALLSCRIPTS HEALTHCARE
   SOLUTI                   COM            01988P108       14       535  SH         SOLE             1          0        0      535
ALLSTATE CORP               COMMON         020002101      494      8644  SH         SOLE             1       4115        0     4529
ALLSTATE CORP               COMMON         020002101       17       310  SH         DEFINED          1        310        0        0
ALLTEL CORP                                020039103       60       863  SH         SOLE             1        863        0        0
ALTRIA GROUP INC                           02209S103      925     13314  SH         SOLE             1       6565        0     6749
AMBASSADORS GROUP INC       COM            023177108       14       385  SH         SOLE             1          0        0      385
AMCOL INTL CORP             COM            02341W103       20       630  SH         SOLE             1          0        0      630
AMEREN CORP                                023608102       11       215  SH         SOLE             1        100        0      115
AMERICA MOVIL SAB DE
   CV SPON ADR L            SHS            02364W105       42       660  SH         SOLE             1        660        0        0
AMERICAN EAGLE OUTFITTERS,
   INC                                     02553E106       20       790  SH         SOLE             1          0        0      790
AMERICAN ELECTRIC
   POWER                                   025537101      196      4267  SH         SOLE             1       1642        0     2625
AMER EXPRESS CO                            025816109      471      7945  SH         SOLE             1       1818        0     6127
AMERICAN INTERNATIONAL
   GROUP, INC                              026874107      146      2172  SH         SOLE             1        872        0     1300
AMERICAN INTERNATIONAL
   GROUP, INC                              026874107       11       175  SH         DEFINED          1        175        0        0
AMERICAN MEDICAL SYS HLDGS                 02744M108       12       720  SH         SOLE             1          0        0      720
AMERICAN TOWER CORP         CL A           029912201       82      1892  SH         SOLE             1          0        0     1892
AMERISTAR CASINOS                          03070Q101       53      1917  SH         SOLE             1          0        0     1917
AMERISOURCEBERGEN CORP                     03073E105        1        37  SH         SOLE             1         37        0        0
AMGEN INC                                  031162100        4        80  SH         SOLE             1         80        0        0
AMGEN INC                                  031162100       11       200  SH         DEFINED          1        200        0        0
ANADARKO PETE CORP                         032511107      128      2395  SH         SOLE             1        115        0     2280
ANADARKO PETE CORP                         032511107       91      1696  SH         DEFINED          1          0     1696        0
ANHEUSER-BUSCH COMPANIES                   035229103      336      6734  SH         SOLE             1       6184        0      550
ANHEUSER-BUSCH COMPANIES                   035229103      154      3100  SH         DEFINED          1       3100        0        0
ANNALY CAPITAL MGMT INC                    035710409        3       200  SH         SOLE             1          0        0      200
APACHE CORP                                037411105       59       664  SH         SOLE             1        664        0        0
APPLE INC                   COM            037833100      557      3630  SH         SOLE             1        113        0     3517
APPLIED MATERIALS INC                      038222105      100      4850  SH         SOLE             1       4850        0        0
AQUA AMERICAN INC                          03836W103       30      1337  SH         SOLE             1       1337        0        0
AQUILA INC                  DELNEW         03840P102        0       158  SH         SOLE             1        158        0        0
ARCH COAL, INC                             039380100       77      2295  SH         SOLE             1          0        0     2295
ARCHER-DANIELS-MIDLAND
   COMPANY                                 039483102      438     13261  SH         SOLE             1        660        0    12601
ARENA RESOURCES INC         COM            040049108       23       356  SH         SOLE             1          0        0      356
ARRIS GROUP INC                            04269Q100       60      4894  SH         SOLE             1          0        0     4894
ARVINMERITOR                               043353101        0        44  SH         SOLE             1         44        0        0
ASSURANT INC                COM            04621X108       32       608  SH         SOLE             1          0        0      608
ASTRAZENECA PLC             SPONSORED
                            ADR            046353108        9       180  SH         SOLE             1          0        0      180
ATHEROS COMMUNICATIONS INC  COM            04743P108       17       590  SH         SOLE             1          0        0      590
ATMOS ENERGY CORP                          049560105       56      2004  SH         SOLE             1       2004        0        0
ATWOOD OCEANICS INC         COM            050095108       15       208  SH         SOLE             1          0        0      208
AUBURN NATL BANCORP                        050473107       24      1000  SH         SOLE             1       1000        0        0
AUTO DATA PROCESS                          053015103      163      3550  SH         SOLE             1       3550        0        0
AUTOZONE                                   053332102       28       249  SH         DEFINED          1        249        0        0
AVALONBAY CMNTY INC                        053484101       41       350  SH         SOLE             1        350        0        0
AVAYA INC                                  053499109        2       130  SH         SOLE             1        130        0        0
AVERY DENNISON CORP         COM            053611109      205      3602  SH         SOLE             1        105        0     3497
AVON PRODUCTS INC           COM            054303102        3        92  SH         SOLE             1         92        0        0
AXA-UAP                     ADR            054536107       16       373  SH         SOLE             1        183        0      190
BB&T CORP                                  054937107       23       592  SH         SOLE             1        464        0      128
BP AMOCO PLC                SPONSORED
                            ADR            055622104      896     12923  SH         SOLE             1       5703        0     7220
BP AMOCO PLC                SPONSORED
                            ADR            055622104      260      3756  SH         DEFINED          1       3756        0        0
BACK YARD BURGERS INC                      05635W101        0       150  SH         SOLE             1        150        0        0
BAKER HUGHES INC            COM            057224107      355      3937  SH         SOLE             1        115        0     3822
BALDOR ELEC CO              COM            057741100     7988    199967  SH         DEFINED          1     199967        0        0
BANCO SANTANDER CENT
   HISPANO SA               ADR            05964H105        7       390  SH         SOLE             1          0        0      390
BANCORPSOUTH INC                           059692103    22188    913504  SH         SOLE             1     908069        0     5435
BANCORPSOUTH INC                           059692103      979     40340  SH         DEFINED          1      37748     2592        0
BANK OF AMERICA CORP        NEW COM        060505104      395      7869  SH         SOLE             1       2487        0     5382
BANK OF THE OZARKS, INC                    063904106     2813     92200  SH         DEFINED          1      92200        0        0
BANK NEW YORK MELLON CORP   COM            064058100       35       800  SH         SOLE             1        800        0        0
BANK NEW YORK MELLON CORP   COM            064058100        5       132  SH         DEFINED          1        132        0        0
BARRICK GOLD CORP                          067901108      226      5622  SH         SOLE             1        179        0     5443
BARR PHARMACEUTICALS INC                   068306109      269      4738  SH         SOLE             1        115        0     4623
BAXTER INTL INC                            071813109      112      2000  SH         SOLE             1       2000        0        0
BEAR STEARNS COS INC                       073902108       74       607  SH         SOLE             1        607        0        0



                                       4





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
BELDEN INC                  COM            077454106       33       711  SH         SOLE             1          0        0      711
BENTLEY PHARMACEUTICALS,
   INC                                     082657107        0        50  SH         SOLE             1         50        0        0
BERKSHIRE HATHAWAY "A"                     084670108      118         1  SH         SOLE             1          1        0        0
BERKSHIRE HATHAWAY INC DEL  CL B           084670207        3         1  SH         SOLE             1          1        0        0
BERKSHIRE HATHAWAY INC DEL  CL B           084670207       11         3  SH         DEFINED          1          3        0        0
BEST BUY INC                COMMON STOCK   086516101      248      5391  SH         SOLE             1        169        0     5222
BHP BILLITON LIMITED        ADR
                            SPONSORED      088606108        7       100  SH         SOLE             1        100        0        0
BLACK & DECKER CORP         COM            091797100       11       135  SH         SOLE             1          0        0      135
BLACKBAUD INC               COM            09227Q100        4       190  SH         SOLE             1          0        0      190
BLACKROCK INVT
   QUALITY MUNI TR INC                     09247D105       49      3000             SOLE             1       3000        0        0
BLACKROCK INCOME
   TRUST INC                               09247F100        1       200  SH         SOLE             1        200        0        0
BLACKROCK INSD MUNI
   INCOME TRUST                            092479104       67      4700             SOLE             1       4700        0        0
BLACKROCK INTL GROWTH
   & INCOME                                092524107        8       500  SH         SOLE             1        500        0        0
BLACKROCK MUNIVEST FD INC                  09253R105       47      5000             SOLE             1       5000        0        0
BLACKROCK REAL ASSET
   EQUITY                                  09254B109       58      3500  SH         SOLE             1       3500        0        0
BLACKROCK MUNIYIELD
   INSURED FD                              09254E103       42      3150             SOLE             1       3150        0        0
BLACKROCK MUNIYIELD
   INSURED FD                              09254E103      100      7500             DEFINED          1       7500        0        0
BLACKROCK DEBT STRATEGIES
   FD                                      09255R103        2       302  SH         SOLE             1        302        0        0
BOARDWALK PIPELINE
   PARTNERS LP                             096627104        3       100  SH         SOLE             1        100        0        0
BOEING INC                                 097023105      589      5611  SH         SOLE             1        639        0     4972
BOSTON SCIENTIFIC                          101137107       14      1007  SH         SOLE             1       1007        0        0
BOYD GAMING CORP                           103304101      201      4714  SH         SOLE             1        108        0     4606
BRISTOL MYERS SQUIBB CO                    110122108      233      8109  SH         SOLE             1       8109        0        0
BROADCOM CORP                              111320107       54      1494  SH         SOLE             1          0        0     1494
BROADRIDGE FINL
   SOLUTIONS INC            COM            11133T103        8       475  SH         SOLE             1        475        0        0
BROOKS AUTOMATION INC                      114340102       10       746  SH         SOLE             1          0        0      746
BRUNSWICK CORP              COM            117043109        6       303  SH         SOLE             1          0        0      303
BURLINGTON NORTHERN/SANTA
   FE CORP                                 12189T104       10       135  SH         SOLE             1        135        0        0
CBS CORP                    NEW CL B       124857202       13       420  SH         SOLE             1         45        0      375
C H ROBINSON WORLDWIDE
   INC                                     12541W209        1        31  SH         SOLE             1         31        0        0
CIGNA CORPORATION                          125509109      135      2534  SH         SOLE             1         89        0     2445
CME GROUP INC               COM            12572Q105      176       300  SH         SOLE             1          9        0      291
CNOOC LTD                   SPONSORED
                            ADR            126132109      139       836  SH         SOLE             1         27        0      809
CRH PLC                     ADR            12626K203        5       140  SH         SOLE             1          0        0      140
CSX CORP                    COM            126408103       27       650  SH         SOLE             1        650        0        0
CVS CAREMARK CORPORATION    COM            126650100      301      7620  SH         SOLE             1        269        0     7351
CADBURY SCHWEPPES PLC       ADR            127209302       51      1100  SH         SOLE             1       1100        0        0
CADENCE FINANCIAL CORP                     12738A101       58      3333  SH         SOLE             1       3333        0        0
CADENCE DESIGN SYSTEMS INC                 127387108      128      5812  SH         SOLE             1          0        0     5812
CAMPBELL SOUP CO            COM            134429109        0        15  SH         SOLE             1         15        0        0
CANADIAN PAC RAILWAY                       13645T100       35       501  SH         SOLE             1          0        0      501
CANON INC                   ADR REPSTG
                            5 SHRS         138006309      419      7726  SH         SOLE             1          0        0     7726
CAPITAL ONE FINL CORP       COM            14040H105      645      9717  SH         SOLE             1       9717        0        0
CAPSTEAD MTG CORP                          14067E308        6       500  SH         SOLE             1        500        0        0
CARDINAL HEALTH INC         COM            14149Y108       11       181  SH         SOLE             1        181        0        0
CARPENTER TECHNOLOGY CORP   COM            144285103       48       375  SH         SOLE             1          0        0      375
CATERPILLAR INC                            149123101      101      1300  SH         SOLE             1          0        0     1300
CELGENE CORP                               151020104      307      4317  SH         SOLE             1        135        0     4182
CEMEX SAB DE CV             ADR            151290889       67      2262  SH         SOLE             1         76        0     2186
CENTERPOINT ENERGY INC                     15189T107       21      1321  SH         SOLE             1        821        0      500
CENTRAL GARDEN & PET, INC                  153527106        8       934  SH         SOLE             1          0        0      934
CENTURYTEL, INC                            156700106       46      1000  SH         SOLE             1       1000        0        0
CHARTER COMMUNICATIONS INC
   DEL                      CL A           16117M107       37     14519  SH         SOLE             1          0        0    14519
CHECKFREE CORP              NEW            162813109       56      1217  SH         SOLE             1       1217        0        0
CHEESECAKE FACTORY                         163072101       40      1712  SH         SOLE             1          0        0     1712
CHESAPEAKE ENERGY CORP                     165167107       58      1673  SH         SOLE             1          0        0     1673
CHEVRON CORPORATION                        166764100      740      7911  SH         SOLE             1       5340        0     2571



                                       5





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
CHEVRON CORPORATION                        166764100      205      2200  SH         DEFINED          1       2200        0        0
CHORDIANT SOFTWARE INC      COMNEW         170404305       19      1415  SH         SOLE             1          0        0     1415
CISCO SYS INC                              17275R102      785     23717  SH         SOLE             1       6351        0    17366
CITADEL BROADCASTING CORP   COM            17285T106        0       108  SH         SOLE             1         40        0       68
CITIGROUP, INC                             172967101      167      3582  SH         SOLE             1       3464        0      118
CITIGROUP, INC                             172967101      331      7107  SH         DEFINED          1       7107        0        0
CITIZENS COMMUNICATIONS CO                 17453B101       40      2822  SH         SOLE             1          0        0     2822
CITIZENS HOLDING COMPANY                   174715102     3656    158987  SH         SOLE             1     158987        0        0
CLEVELAND CLIFFS INC                       185896107        7        90  SH         SOLE             1          0        0       90
COACH INC                                  189754104      310      6579  SH         SOLE             1        206        0     6373
COCA COLA CO                               191216100      743     12932  SH         SOLE             1       9187        0     3745
COCA COLA CO                               191216100      297      5175  SH         DEFINED          1       5175        0        0
COCA COLA ENTERPRISES INC   COM            191219104       48      2000  SH         SOLE             1       2000        0        0
COCA COLA FEMSA S A B
   DE C VSPON               ADR REP L      191241108        7       166  SH         SOLE             1          0        0      166
COGNIZANT TECHNOLOGY SOL                   192446102      282      3543  SH         SOLE             1        111        0     3432
COLGATE-PALMOLIVE CO                       194162103      209      2931  SH         SOLE             1       2931        0        0
COLUMBIA SPORTSWEAR CO                     198516106       11       199  SH         SOLE             1          1        0      198
COMCAST CORP                NEW CL A COM   20030N101      298     12340  SH         SOLE             1       1130        0    11210
COMCAST CORP                NEW CL A COM   20030N101       14       601  SH         DEFINED          1          0      601        0
COMERICA INC                               200340107        1        33  SH         SOLE             1          0        0       33
COMMSCOPE INC                              203372107       18       360  SH         SOLE             1          0        0      360
COMMVAULT SYSTEMS INC       COM            204166102       19      1075  SH         SOLE             1          0        0     1075
COMPASS MINERALS INTL                      20451N101       17       500  SH         SOLE             1        500        0        0
COMTECH GROUP INC           COMNEW         205821200       23      1315  SH         SOLE             1          0        0     1315
CONAGRA FOODS INC           COM            205887102      217      8313  SH         SOLE             1        254        0     8059
CONCHO RES INC              COM            20605P101        5       403  SH         SOLE             1          0        0      403
CONEXANT SYS INC            COM            207142100        0       176  SH         SOLE             1        176        0        0
CONOCO PHILLIPS                            20825C104      626      7141  SH         SOLE             1       6981        0      160
CONTINENTAL AIRLINES        CL-B           210795308       49      1499  SH         SOLE             1          0        0     1499
CONTINENTAL RESOURCES INC   COM            212015101       20      1130  SH         SOLE             1          0        0     1130
COOPER TIRE & RUBBER CO                    216831107      147      6028  SH         SOLE             1       5653        0      375
COOPER TIRE & RUBBER CO                    216831107        2       100  SH         DEFINED          1        100        0        0
CORN PRODUCTS
   INTERNATIONAL INC                       219023108        8       194  SH         SOLE             1          0        0      194
CORNING INC                                219350105      301     12238  SH         SOLE             1       1584        0    10654
CORRECTIONS CORP OF
   AMERICA                                 22025Y407       51      1950  SH         SOLE             1          0        0     1950
CREDIT SUISSE GROUP         ADR            225401108      278      4194  SH         SOLE             1        135        0     4059
CROSS TIMBERS ROYALTY
   TRUST                                   22757R109       19       500  SH         SOLE             1          0        0      500
CROWN CASTLE INTL CORP      COM            228227104       93      2305  SH         SOLE             1         19        0     2286
CYTEC INDS INC              COM            232820100       10       159  SH         SOLE             1          0        0      159
DNP SELECT INCOME FD INC                   23325P104       11      1100  SH         SOLE             1       1100        0        0
DRS TECHNOLOGIES INC                       23330X100       11       215  SH         SOLE             1          0        0      215
DTE ENERGY CO                              233331107        4       100  SH         SOLE             1        100        0        0
DWS MUNICIPAL INCOME
   TRUST                                   23338M106      112     10425             DEFINED          1      10425        0        0
DAKTRONICS INC              COM            234264109       15       560  SH         SOLE             1          0        0      560
DANAHER CORP                DEL COM        235851102      397      4809  SH         SOLE             1        150        0     4659
DEERE & CO                                 244199105      247      1670  SH         SOLE             1       1670        0        0
DELL INC                                   24702R101       98      3571  SH         SOLE             1       3571        0        0
DELTIC TIMBER INC                          247850100      359      6324  SH         SOLE             1       6324        0        0
DELTIC TIMBER INC                          247850100    24802    435743  SH         DEFINED          1          0   435743        0
DEUTSCHE TELEKOM AG         SPON ADR       251566105        4       239  SH         SOLE             1          0        0      239
DIAGEO P L C                SPON ADR NEW   25243Q205      367      4190  SH         SOLE             1        134        0     4056
DIAMONDROCK
   HOSPITALITY CO           COM            252784301       17      1020  SH         SOLE             1          0        0     1020
DIGITAL RLTY TR INC         COM            253868103       39      1014  SH         SOLE             1          0        0     1014
DIRECTTV GROUP INC                         25459L106      166      6843  SH         SOLE             1          0        0     6843
WALT DISNEY CO                             254687106       66      1939  SH         SOLE             1        539        0     1400
DISCOVER FINL SVCS          COM            254709108       67      3226  SH         SOLE             1       1444        0     1782
DISCOVER FINL SVCS          COM            254709108        2       130  SH         DEFINED          1        130        0        0
DOMTAR CORP                 COM            257559104       33      4141  SH         SOLE             1          0        0     4141
DONNELLEY RR & SONS                        257867101       10       290  SH         SOLE             1          0        0      290
DOUBLE-TAKE SOFTWARE
   INC                      COM            258598101       13       685  SH         SOLE             1          0        0      685
DOW CHEMICAL CO                            260543103       46      1080  SH         SOLE             1        515        0      565
DREYFUS STRATEGIC
   MUNICIPALS INC                          261932107        0         9             SOLE             1          9        0        0
DU PONT EI D NEMOURS & CO                  263534109       76      1550  SH         SOLE             1        450        0     1100
DUKE ENERGY CORP            COM            26441C105       26      1417  SH         SOLE             1       1417        0        0
DUKE REALTY CORP                           264411505       11       355  SH         SOLE             1          0        0      355



                                       6





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
DYNEGY INC                  DEL CL A       26817G102       62      6795  SH         SOLE             1          0        0     6795
EMC CORP                                   268648102       18       876  SH         SOLE             1        876        0        0
EMC CORP                                   268648102       35      1700  SH         DEFINED          1       1700        0        0
ENI S P A                   SPONSORED
                            ADR            26874R108      268      3639  SH         SOLE             1          0        0     3639
EASTGROUP PROPERTIES INC                   277276101        2        60  SH         SOLE             1         60        0        0
EASTMAN CHEMICAL CO                        277432100        0        12  SH         SOLE             1         12        0        0
EATON CORP                  COM            278058102      237      2400  SH         SOLE             1          0        0     2400
EATON VANCE INSURED
   MUNICIPAL BOND FUND II                  27827K109       11       768             SOLE             1        768        0        0
EATON VANCE INSURED
   MUNI BOND FD                            27827X101       50      3300             SOLE             1       3300        0        0
EATON VANCE LIMITED
   DURATION INCOME FUND                    27828H105       20      1253  SH         SOLE             1       1253        0        0
EATON VANCE TAX ADV
   GLOBAL DIV INCOME                       27828S101       27      1000  SH         SOLE             1       1000        0        0
EATON VANCE TAX
   MANAGED GLOB                            27829C105       18      1000  SH         SOLE             1       1000        0        0
EATON VANCE TAX
   MANAGED GLOBAL                          27829F108       37      2200  SH         SOLE             1       2200        0        0
ECOLAB INC                  COMMON         278865100      260      5524  SH         SOLE             1        173        0     5351
EDO CORP                    COM            281347104       14       250  SH         SOLE             1          0        0      250
EDWARDS LIFESCIENCES CORP                  28176E108       11       240  SH         SOLE             1        240        0        0
EHEALTH INC                 COM            28238P109       14       510  SH         SOLE             1          0        0      510
EL PASO CORPORATION                        28336L109      384     22687  SH         SOLE             1        748        0    21939
EL PASO ELEC CO                            283677854        0         6  SH         SOLE             1          6        0        0
ELECTRONIC ARTS INC                        285512109      328      5864  SH         SOLE             1        218        0     5646
EMBARQ CORP                 COM            29078E105      139      2510  SH         SOLE             1       2510        0        0
EMBRAER-EMPRESA BRASILEIRA
   DSP                      ADR COM SHS    29081M102       93      2136  SH         SOLE             1         68        0     2068
EMERSON ELECTRIC CO                        291011104       74      1400  SH         SOLE             1       1400        0        0
ENCANA CORP-CAD                            292505104      125      2031  SH         SOLE             1          0        0     2031
ENCORE WIRE CORP            COM            292562105      802     31948  SH         SOLE             1       8198        0    23750
ENERGEN CORP                               29265N108       57      1006  SH         SOLE             1       1006        0        0
ENEL SOCIETA PER ARZION     ADR            29265W108        4        85  SH         SOLE             1          0        0       85
ENERGY EAST CORP            COM            29266M109        6       240  SH         SOLE             1        240        0        0
ENERPLUS RESOURCE FD                       29274D604       46       975  SH         SOLE             1        975        0        0
ENTERGY CORP                               29364G103      476      4400  SH         SOLE             1       2025        0     2375
ENTERGY CORP                               29364G103       79       734  SH         DEFINED          1        734        0        0
EQUITY RESIDENTIAL PPTYS
   SBI                                     29476L107        1        34  SH         SOLE             1         34        0        0
ERESEARCHTECHNOLOGY INC     COM            29481V108       12      1095  SH         SOLE             1          0        0     1095
ERICSSON (LM) TELE CO       ADR (NEW)      294821608      863     21713  SH         SOLE             1       1352        0    20361
EXELON CORP                                30161N101       49       654  SH         SOLE             1        654        0        0
EXELON CORP                                30161N101       45       600  SH         DEFINED          1        600        0        0
EXPEDIA INC                 DEL            30212P105        1        60  SH         SOLE             1         60        0        0
EXPRESS SCRIPTS INC                        302182100       47       850  SH         SOLE             1          0        0      850
EXTERRAN PARTNERS, L.P.                    30225N105        6       200  SH         SOLE             1        200        0        0
EXXON MOBIL CORP                           30231G102     9472    102342  SH         SOLE             1      92471        0     9871
EXXON MOBIL CORP                           30231G102     2267     24503  SH         DEFINED          1      15903     8600        0
FEI CO                                     30241L109        2        80  SH         SOLE             1         80        0        0
F M C CORP                  COMNEW         302491303       17       328  SH         SOLE             1          0        0      328
FPL GROUP INC                              302571104       30       500  SH         SOLE             1        500        0        0
FAIRCHILD SEMICONDUCTRINTL
   INC                                     303726103       53      2869  SH         SOLE             1          0        0     2869
FED HMN LN MTG CORP         VOTING COM     313400301       12       205  SH         SOLE             1          0        0      205
FEDEX CORPORATION                          31428X106       11       109  SH         SOLE             1        109        0        0
FIDELITY NATIONAL
   INFORMATION SVCS         COM            31620M106        1        23  SH         SOLE             1         23        0        0
FIDELITY NATIONAL
   FINANCIAL INC                           31620R105        0        45  SH         SOLE             1         45        0        0
FIFTH THIRD BANCORP                        316773100        3        91  SH         SOLE             1          0        0       91
FINANCIAL FED CORP          COM            317492106       11       409  SH         SOLE             1          0        0      409
FIRST CASH FINANCIAL SVC
   INC                                     31942D107       14       605  SH         SOLE             1          0        0      605
FIRST HORIZON NATIONAL                     320517105        8       305  SH         SOLE             1        212        0       93
FIRST M & F CORP                           320744105       83      4776  SH         SOLE             1       4492        0      284
FIRST ENERGY CORP           COMMON         337932107      278      4400  SH         SOLE             1       4400        0        0
FORD MOTOR COMPANY          COMMON         345370860       19      2256  SH         SOLE             1       1756        0      500
FORDING CANADIAN COAL                      345425102       19       500  SH         SOLE             1        500        0        0
FOREST LABS                                345838106       29       782  SH         SOLE             1          0        0      782
FORWARD AIR CORP            COM            349853101        7       266  SH         SOLE             1          0        0      266
FRANCE TELECOM              SPONSORED
                            ADR            35177Q105        2        76  SH         SOLE             1          0        0       76
FREEPORT MCMORAN
   COPPER & GOLD            COM            35671D857        4        44  SH         SOLE             1         44        0        0
FRONTIER OIL CORP                          35914P105        8       200  SH         SOLE             1        200        0        0
FUJIFILM HLDGS CORP         ADR 2 ORD      35958N107      450      9816  SH         SOLE             1          0        0     9816
GEO GROUP INC               COM            36159R103       21       740  SH         SOLE             1          0        0      740
GFI GROUP INC               COM            361652209       17       205  SH         SOLE             1          0        0      205
GALLAGHER ARTHUR J & CO                    363576109        3       119  SH         SOLE             1          0        0      119
GAMESTOP CORP                              36467W109       43       764  SH         SOLE             1          0        0      764



                                       7





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
GANNETT INC                 COM            364730101       10       235  SH         SOLE             1          0        0      235
GAP INC DEL                 COM            364760108        1        76  SH         SOLE             1         76        0        0
GAYLORD ENTMT CO            NEW COM        367905106       86      1628  SH         SOLE             1         27        0     1601
GENENTECH INC                              368710406      285      3660  SH         SOLE             1        393        0     3267
GENERAL CABLE CORP          DELNEW COM     369300108       66       989  SH         SOLE             1          0        0      989
GENERAL ELECTRIC CO                        369604103     2157     52104  SH         SOLE             1      36073        0    16031
GENERAL ELECTRIC CO                        369604103       14       350  SH         DEFINED          1        350        0        0
GENERAL MLS INC             COM            370334104        1        22  SH         SOLE             1         22        0        0
GEN MTR CORP                               370442105       45      1250  SH         SOLE             1        150        0     1100
GLAXOSMITHKLINE PLC         ADR            37733W105      494      9302  SH         SOLE             1        279        0     9023
GLOBAL PAYMENTS INC                        37940X102       68      1541  SH         SOLE             1          0        0     1541
GOLDMAN SACHS GROUP                        38141G104       49       230  SH         SOLE             1        130        0      100
B F GOODRICH                               382388106       56       822  SH         SOLE             1          0        0      822
GOOGLE INC                                 38259P508      504       890  SH         SOLE             1         28        0      862
GRANT PRIDECO INC           COM            38821G101       29       540  SH         SOLE             1          0        0      540
GULFPORT ENERGY CORP        COM NEW        402635304       14       605  SH         SOLE             1          0        0      605
HCC INSURANCE HOLDINGS,
   INC                                     404132102       12       437  SH         SOLE             1          0        0      437
HMS HLDGS CORP              COM            40425J101       15       610  SH         SOLE             1          0        0      610
HSBC HLDGS PLC              SPONSORED
                            ADR            404280406      529      5723  SH         SOLE             1          0        0     5723
HALLIBURTON CO              COM            406216101      413     10777  SH         SOLE             1       2101        0     8676
JOHN HANCOCK PFD INC II                    41013X106       10       481  SH         SOLE             1        481        0        0
JOHN HANCOCK PREFERRED
   INCOME FUND III                         41021P103        2       130  SH         SOLE             1        130        0        0
HARRIS CORP                                413875105      161      2800  SH         SOLE             1       2800        0        0
HAWAIIAN ELEC INDS INC                     419870100       24      1130  SH         DEFINED          1       1130        0        0
HAYNES INTERNATIONAL INC    COM NEW        420877201       24       285  SH         SOLE             1          0        0      285
HEALTH CARE SERVICES
   GROUP INC                               421906108        8       423  SH         SOLE             1          0        0      423
HEALTHEXTRAS INC            COM            422211102       11       410  SH         SOLE             1          0        0      410
HEALTHSPRING INC            COM            42224N101       12       663  SH         SOLE             1          0        0      663
HEALTHWAYS INC              COM            422245100       50       942  SH         SOLE             1          0        0      942
HEINZ H J CO                COM            423074103       12       273  SH         SOLE             1        273        0        0
HEWLETT PACKARD CO                         428236103      303      6090  SH         SOLE             1       4374        0     1716
HILB ROGAL & HOBBS COMPANY                 431294107        8       195  SH         SOLE             1          0        0      195
HOLOGIC INC                 COM            436440101       29       480  SH         SOLE             1          0        0      480
HOME DEPOT                                 437076102      140      4338  SH         SOLE             1       3038        0     1300
HOME DEPOT                                 437076102       38      1192  SH         DEFINED          1       1192        0        0
HONEYWELL INTL INC                         438516106       77      1300  SH         SOLE             1          0        0     1300
HOSPIRA, INC                               441060100       18       450  SH         DEFINED          1         50      400        0
HOST HOTELS & RESORTS INC   COM            44107P104       76      3432  SH         SOLE             1        306        0     3126
HUBBELL INC                 CL B           443510201       57      1000  SH         SOLE             1          0        0     1000
JB HUNT TRANSPORT SVC INC                  445658107       53      2022  SH         SOLE             1          0        0     2022
HUNTINGTON BANCSHARE INC                   446150104        0        23  SH         SOLE             1         23        0        0
ING CLARION GLOBAL REAL
   ESTATE FUND                             44982G104        9       500  SH         SOLE             1        500        0        0
IDACORP INC                 COM            451107106        3       100  SH         SOLE             1        100        0        0
IDEARC INC                  COM            451663108        7       244  SH         SOLE             1        244        0        0
IDEARC INC                  COM            451663108        3       106  SH         DEFINED          1         67       39        0
IDEX CORPORATION                           45167R104        9       251  SH         SOLE             1          0        0      251
ILLINOIS TOOL WORKS INC                    452308109        9       152  SH         SOLE             1        152        0        0
INFINEON TECH AG            ADR            45662N103      421     24551  SH         SOLE             1        718        0    23833
ING GROEP N V                              456837103      191      4313  SH         SOLE             1          0        0     4313
ING GLOBAL EQUITY DIV                      45684E107       48      2500  SH         SOLE             1       2500        0        0
INNERWORKINGS INC           COM            45773Y105       19      1120  SH         SOLE             1          0        0     1120
INTEL CORP CAP                             458140100      733     28360  SH         SOLE             1       3964        0    24396
INTEL CORP CAP                             458140100       51      2000  SH         DEFINED          1       2000        0        0
INTEGRYS ENERGY GROUP INC   COM            45822P105        2        50  SH         SOLE             1          0        0       50
INTERCONTINENTALEXCHANGE
   INC                      COM            45865V100      299      1969  SH         SOLE             1         61        0     1908
IBM CORP                                   459200101      874      7420  SH         SOLE             1       3602        0     3818
IBM CORP                                   459200101       53       450  SH         DEFINED          1        450        0        0
INTERNATIONAL GAME TECH                    459902102       72      1683  SH         SOLE             1          0        0     1683
INTL PAPER CO                              460146103       10       300  SH         SOLE             1        300        0        0
INTL PAPER CO                              460146103       32       900  SH         DEFINED          1          0      900        0
INTERPUBLIC GROUP COS INC   COM            460690100      195     18875  SH         SOLE             1        551        0    18324
INTUIT                                     461202103        0        24  SH         SOLE             1         24        0        0
INVESCO PLC                 SPONSORED
                            ADR            46127U104      336     12341  SH         SOLE             1        386        0    11955
INVESTMENT GRADE MUNICIPAL
   INCOME FUND                             461368102      123      9055             DEFINED          1       9055        0        0
IRON MTN INC                COM            462846106      169      5569  SH         SOLE             1        174        0     5395
ISHARES RUSSELL MIDCAP
   VALUE                                   464287473       75       500  SH         SOLE             1          0        0      500
ISHARES TR RUSSELL MCP GR                  464287481       81       700  SH         SOLE             1          0        0      700



                                       8





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
ISHARES RUSSELL MID CAP
   INDEX FUND                              464287499      609      5632  SH         SOLE             1          0        0     5632
ISHARES TR RUSSELL
   2000 VALUE INDEX FD                     464287630       78      1025  SH         SOLE             1          0        0     1025
ISHARES RUSSELL 2000
   GROWTH INDEX FUND                       464287648       87      1025  SH         SOLE             1          0        0     1025
ISHARES TRUST RUSSELL
   2000 INDEX                              464287655      292      3649  SH         SOLE             1          0        0     3649
ISHARES TR DOW JONES
   REAL ESTATE INDEX FUND                  464287739       39       520  SH         SOLE             1        520        0        0
JPMORGAN CHASE & CO         COM            46625H100      264      5773  SH         SOLE             1       4208        0     1565
JPMORGAN CHASE & CO         COM            46625H100       89      1956  SH         DEFINED          1          0     1956        0
JOHNSON & JOHNSON                          478160104     1700     25877  SH         SOLE             1      24677        0     1200
JOHNSON & JOHNSON                          478160104      466      7100  SH         DEFINED          1       5900     1200        0
JOHNSON CONTROLS INC                       478366107       64       550  SH         SOLE             1        550        0        0
KBR INC                     COM            48242W106       50      1299  SH         SOLE             1          0        0     1299
KANSAS CITY SOUTHERN        COM NEW        485170302       52      1646  SH         SOLE             1          0        0     1646
KELLOGG CO                                 487836108       24       446  SH         SOLE             1        446        0        0
KENEXA CORP                 COM            488879107       25       815  SH         SOLE             1          0        0      815
KENNAMETAL INC              COM            489170100       15       184  SH         SOLE             1          0        0      184
KEYCORP                     NEW            493267108       41      1275  SH         SOLE             1        900        0      375
KIMBERLY-CLARK CORP                        494368103       35       507  SH         SOLE             1        312        0      195
KIMBERLY-CLARK CORP                        494368103       17       250  SH         DEFINED          1        250        0        0
KINDER MORGAN ENERGY
   PARTNERS, L.P                           494550106       11       232  SH         SOLE             1        232        0        0
KONINKLIJKE PHLPS
   ELECTRS N V              SP ADR NEW     500472303      199      4441  SH         SOLE             1          0        0     4441
KOOKMIN BANK F              ADR            50049M109       72       888  SH         SOLE             1         29        0      859
KRAFT FOODS                                50075N104      162      4704  SH         SOLE             1       4326        0      378
KRISPY KREME DOUGHNUTS INC  COM            501014104        0         1  SH         SOLE             1          1        0        0
KROGER CO                                  501044101        5       200  SH         SOLE             1        200        0        0
LHC GROUP INC               COM            50187A107       11       559  SH         SOLE             1          0        0      559
LSI CORPORATION             COM            502161102        0         6  SH         SOLE             1          6        0        0
LAFARGE                     SPONSORED
                            ADR            505861401        4       125  SH         SOLE             1          0        0      125
LAS VEGAS SANDS CORP                       517834107      157      1178  SH         SOLE             1         45        0     1133
LEAP WIRELESS INTL INC      COMNEW         521863308       38       475  SH         SOLE             1          0        0      475
LENNOX INTL INC             COM            526107107       21       646  SH         SOLE             1          0        0      646
LEVEL 3 COMMUNICATIONS INC                 52729N100       21      4685  SH         SOLE             1       4685        0        0
LIBERTY ALL STAR EQUITY FD                 530158104      203     24762  SH         SOLE             1      24762        0        0
LIFECELL CORP               COM            531927101       23       615  SH         SOLE             1          0        0      615
ELI LILLY & CO                             532457108      108      1900  SH         SOLE             1       1900        0        0
ELI LILLY & CO                             532457108       74      1300  SH         DEFINED          1       1300        0        0
LIMITED BRANDS, INC                        532716107      155      6814  SH         SOLE             1        470        0     6344
LINCOLN ELECTRIC CO
   HOLDINGS                                533900106       11       147  SH         SOLE             1          0        0      147
LINCOLN NATIONAL CORP IND                  534187109       12       185  SH         SOLE             1          0        0      185
LIQUIDITY SERVICES INC      COM            53635B107        5       525  SH         SOLE             1          0        0      525
LLOYDS TSB GROUP PLC        ADR            539439109      371      8360  SH         SOLE             1        267        0     8093
LOCKHEED MARTIN CORP                       539830109       91       845  SH         SOLE             1        845        0        0
LOWES CO INC                               548661107      275      9834  SH         SOLE             1       9834        0        0
M & T BANK CORP                            55261F104      206      2000  SH         SOLE             1       2000        0        0
MBIA INC                                   55262C100      553      9074  SH         SOLE             1        269        0     8805
MB FINANCIAL INC            NEW            55264U108        8       249  SH         SOLE             1          0        0      249
MFS GOVT MKTS INCOME TR     SH BEN INT     552939100        1       200  SH         SOLE             1        200        0        0
MSC INDL DIRECT             CO A           553530106       17       355  SH         SOLE             1          0        0      355
MACQUARIE INFRASTR CO
   LLC MEMBERSHIP INT                      55608B105        1        36  SH         SOLE             1          0        0       36
MACYS INC                                  55616P104        2        80  SH         SOLE             1         80        0        0
MAGELLAN MIDSTREAM
   PARTNERS LP                             559080106       10       250  SH         SOLE             1        250        0        0
MAIDENFORM BRANDS INC       COM            560305104       13       865  SH         SOLE             1          0        0      865
MANULIFE FINANCIAL CORP                    56501R106     1631     39550  SH         SOLE             1      39550        0        0
MARATHON OIL CORP                          565849106       16       281  SH         SOLE             1         76        0      205
MARRIOTT INTL INC           NEW CL A       571903202      288      6634  SH         SOLE             1        207        0     6427
MATTELL INC                                577081102       11       500  SH         SOLE             1          0        0      500
MCDERMOTT INTL INC          COM            580037109       67      1250  SH         SOLE             1          0        0     1250
MCDONALD'S CORP                            580135101       76      1400  SH         SOLE             1          0        0     1400
MCGRATH RENTCORP                           580589109       12       368  SH         SOLE             1          0        0      368
MCKESSON CORP                              58155Q103        3        59  SH         SOLE             1         59        0        0
MEADWESTVACO CORP                          583334107       45      1547  SH         SOLE             1       1547        0        0
MEDCO HEALTH SOLUTIONS INC                 58405U102       36       399  SH         SOLE             1        399        0        0
MEDICAL ACTION INDUSTRIES
   INC                                     58449L100       11       497  SH         SOLE             1         75        0      422
MEDTRONIC INC               COM            585055106       21       390  SH         SOLE             1        390        0        0
MENS WEARHOUSE INC          COM            587118100       15       310  SH         SOLE             1          0        0      310
MERCK & CO INC                             589331107      302      5851  SH         SOLE             1       4086        0     1765
MERRILL LYNCH & CO, INC                    590188108       33       470  SH         SOLE             1        320        0      150
METLIFE INC                 COM            59156R108       21       309  SH         SOLE             1        309        0        0
METROPCS COMMUNICATIONS
   INC                      COM            591708102      250      9187  SH         SOLE             1        287        0     8900



                                       9





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
MICROS SYSTEMS INC                         594901100       11       170  SH         SOLE             1          0        0      170
MICROSOFT CORP                             594918104      895     30391  SH         SOLE             1       8716        0    21675
MICROCHIP TECH INC                         595017104      300      8277  SH         SOLE             1        259        0     8018
MICRON TECHNOLOGY                          595112103       54      4929  SH         SOLE             1          0        0     4929
MICROSEMI CORP                             595137100       12       435  SH         SOLE             1          0        0      435
MID-AMERICA APARTMENT
   CMNTYS                                  59522J103       27       550  SH         DEFINED          1        550        0        0
MIDAS GROUP INC                            595626102       12       666  SH         SOLE             1        666        0        0
MINDSPEED TECNOLOGIES                      602682106        0        58  SH         SOLE             1         58        0        0
MIRANT CORP                 NEW  COM       60467R100       60      1485  SH         SOLE             1        199        0     1286
MIRANT CORP                 NEW WT SER A   60467R118        6       322  SH         SOLE             1        322        0        0
MITSUBISHI UFJ FINANCIAL
   GROUP INC                               606822104      306     33755  SH         SOLE             1       1075        0    32680
MOBILE MINI INC             COM            60740F105       16       690  SH         SOLE             1          0        0      690
MONEYGRAM INTERNATIONAL
   INC                                     60935Y109        7       348  SH         SOLE             1        348        0        0
MONOTYPE IMAGING HOLDINGS
   IN                       COM            61022P100       13      1065  SH         SOLE             1          0        0     1065
MONRO MUFFLER BRAKE INC     COM            610236101       10       300  SH         SOLE             1          0        0      300
MONSANTO CO.                (NEW)          61166W101       37       434  SH         SOLE             1        434        0        0
MONTGOMERY STREET
   INCOME SECURITIES, INC                  614115103       19      1160  SH         SOLE             1       1160        0        0
MOOG INC                    CL A           615394202       19       441  SH         SOLE             1          0        0      441
MORGAN STANLEY DEAN
   WITTER DISCOVER & CO                    617446448      197      3135  SH         SOLE             1       3135        0        0
MORGAN STANLEY DEAN
   WITTER DISCOVER & CO                    617446448       16       260  SH         DEFINED          1        260        0        0
MOTOROLA INC                               620076109        8       468  SH         SOLE             1        468        0        0
MOTOROLA INC                               620076109        5       300  SH         DEFINED          1        300        0        0
MUNICIPAL MORTGAGE &
   EQUITY LLC - GROWTH      SH             62624B101       90      4000  SH         SOLE             1       4000        0        0
MURPHY OIL CORP             COM            626717102    10212    146144  SH         SOLE             1     140144        0     6000
MURPHY OIL CORP             COM            626717102   531368   7604012  SH         DEFINED          1          0  7604012        0
MYLAN LABORATORIES INC                     628530107       27      1700  SH         SOLE             1       1700        0        0
NII HLDGS INC               CL B NEW       62913F201       80       974  SH         SOLE             1          0        0      974
NRG ENERGY INC              COMNEW         629377508       52      1241  SH         SOLE             1          0        0     1241
NTT DOCOMO INC              SPONS ADR      62942M201      191     13451  SH         SOLE             1        429        0    13022
NASDAQ STOCK MARKET INC     COM            631103108       73      1960  SH         SOLE             1          0        0     1960
NATCO GROUP INC             CL A           63227W203       16       310  SH         SOLE             1          0        0      310
NATIONAL CITY CORP          COM            635405103        4       169  SH         SOLE             1         45        0      124
NEENAH PAPER INC                           640079109        0        15  SH         SOLE             1         15        0        0
NEUSTAR INC                 CL A           64126X201       22       670  SH         SOLE             1          0        0      670
NEW YORK COMMUNITY BANCORP
   INC                                     649445103        1       100  SH         SOLE             1          0        0      100
NEWPARK RESOURCES, INC                     651718504        0         8  SH         SOLE             1          8        0        0
NEWS CORP                                  65248E104      316     14414  SH         SOLE             1        450        0    13964
NFJ DIV INT & PREM
   STRATEGY                                65337H109       90      3828  SH         SOLE             1       3828        0        0
NIPPON TEL & TEL            SPON ADR       654624105      187      8076  SH         SOLE             1        250        0     7826
NISOURCE INC                               65473P105        3       200  SH         SOLE             1        200        0        0
NOKIA CORP SPND             ADR            654902204      489     12917  SH         SOLE             1          0        0    12917
NOMURA HOLDINGS INC         ADR            65535H208      196     11795  SH         SOLE             1        380        0    11415
NORDSON CORP                COM            655663102       15       302  SH         SOLE             1          0        0      302
NORFOLK SO CORP                            655844108       91      1769  SH         SOLE             1       1534        0      235
NORSK HYDRO AS              ADR            656531605        7       180  SH         SOLE             1          0        0      180
NORTHERN TRUST
   COMPANY NTRS                            665859104      117      1780  SH         SOLE             1       1780        0        0
NORTHERN TRUST
   COMPANY NTRS                            665859104      238      3600  SH         DEFINED          1       3600        0        0
NOVAGOLD RESOURCES INC                     66987E206       16      1000  SH         SOLE             1       1000        0        0
NOVARTIS AG                 SPONSORED
                            ADR            66987V109      876     15945  SH         SOLE             1        511        0    15434
NOVELL INC                                 670006105       42      5545  SH         SOLE             1          0        0     5545
NUVEEN INSD PREMIUM
   INCOME MUNI FD                          6706D8104      111      8938             SOLE             1       8938        0        0
NUVEEN EQUITY PREM
   ADVANTAGE                               6706ET107       52      3037  SH         SOLE             1       3037        0        0
NUVEEN TAX ADVANTAGED
   FLOATING RT FD                          6706EV102       26      2000             SOLE             1       2000        0        0
NUVEEN PREMIUM INCOME
   MUN FUND 4                              6706K4105       24      2000             DEFINED          1       2000        0        0
NUVEEN INSURED
   QUALITY MUNICIPAL
   FD (CLOSED END)                         67062N103       65      4700             SOLE             1       4700        0        0
NUVEEN PERFORMANCE
   PLUS MUNICIPAL FD                       67062P108      129      9285             DEFINED          1       9285        0        0
NUTRI SYS INC               NEW COM        67069D108       19       415  SH         SOLE             1          0        0      415
NUVEEN DIV ADVANTAGE
   MUN FD                                  67070F100       20      1350             SOLE             1       1350        0        0
NUVEEN INSURED ADVANTAGE                   67071L106       47      3400             SOLE             1       3400        0        0
NUVEEN MUN VALUE FD INC                    670928100      435     45231             SOLE             1      45231        0        0
NUVEEN MUN VALUE FD INC                    670928100       96     10000             DEFINED          1      10000        0        0



                                       10





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
NUVEEN SELECT QUALITY
   MUNICIPAL FUND                          670973106       24      1650             SOLE             1       1650        0        0
NUVEEN INSURED MUNICIPAL
   OPPORTUNITY FUND INC                    670984103      107      7600             SOLE             1       7600        0        0
NUVEEN PREMIER
   INSURED MUN INCOME
   FUND INC                                670987106       13      1000             DEFINED          1       1000        0        0
NUVEEN PREMIER MUNICIPAL
   INC                                     670988104       20      1565             SOLE             1       1565        0        0
OCCIDENTAL PETE COR         DEL            674599105       79      1237  SH         SOLE             1       1022        0      215
OIL STATES
   INTERNATIONAL INC                       678026105       22       461  SH         SOLE             1          0        0      461
OMNICARE INC                COM            681904108       74      2251  SH         SOLE             1          0        0     2251
ON SEMICONDUCTOR CORP       COM            682189105       45      3638  SH         SOLE             1          0        0     3638
OPNEXT INC                  COM            68375V105       17      1520  SH         SOLE             1          0        0     1520
ORACLE SYSTEMS CORP                        68389X105       30      1421  SH         SOLE             1       1421        0        0
ORIX CORP                                  686330101        6        55  SH         SOLE             1          0        0       55
OTELCO INC                                 688823202        9       500  SH         SOLE             1        500        0        0
OWENS & MINOR INC           NEW COM        690732102       15       400  SH         SOLE             1          0        0      400
P.A.M. TRANSPORTATION
   SERVICES, INC                           693149106        1       100  SH         SOLE             1        100        0        0
PG&E CORP                                  69331C108       19       418  SH         SOLE             1        418        0        0
PMC SIERRA INC                             69344F106       57      6820  SH         SOLE             1          0        0     6820
PACTIV COPR                                695257105       25       897  SH         SOLE             1        897        0        0
PANERA BREAD COMPANY                       69840W108       49      1217  SH         SOLE             1          0        0     1217
PARALLEL PETE CORP          DEL COM        699157103       20      1235  SH         SOLE             1          0        0     1235
PAYCHEX INC                                704326107      320      7816  SH         SOLE             1        244        0     7572
PEDIATRIX MEDICAL GROUP
   INC                                     705324101       26       410  SH         SOLE             1          0        0      410
PENN NATL GAMING INC        COM            707569109       29       506  SH         SOLE             1          0        0      506
PENSKE AUTOMOTIVE GRP INC   COM            70959W103        9       479  SH         SOLE             1          0        0      479
PEPSI BOTTLING GROUP INC                   713409100        1        33  SH         SOLE             1         33        0        0
PEPSIAMERICAS INC                          71343P200      129      4000  SH         SOLE             1       4000        0        0
PEPSICO INC                 COM            713448108     1633     22304  SH         SOLE             1      17343        0     4961
PEPSICO INC                 COM            713448108      112      1530  SH         DEFINED          1        430     1100        0
PERFICIENT INC              COM            71375U101       20       945  SH         SOLE             1          0        0      945
PT TELEKOM INDONESIA        ADR            715684106       86      1763  SH         SOLE             1         57        0     1706
PETROHAWK ENERGY CORP                      716495106       14       870  SH         SOLE             1          0        0      870
PETROBRAS                                  71654V408       18       250  SH         SOLE             1          0        0      250
PETROQUEST ENERGY INC       COM            716748108       12      1123  SH         SOLE             1          0        0     1123
PETSMART INC                               716768106       50      1583  SH         SOLE             1          0        0     1583
PFIZER INC                                 717081103      440     18046  SH         SOLE             1      16217        0     1829
PFIZER INC                                 717081103       61      2500  SH         DEFINED          1       1800      700        0
PHARMERICA CORP             COM            71714F104        0         3  SH         SOLE             1          3        0        0
PHASE FORWARD INC           COM            71721R406       16       804  SH         SOLE             1          0        0      804
PHILLIPS VAN HEUSEN CORP    COM            718592108       40       773  SH         SOLE             1          0        0      773
PHOENIX TECHNOLOGY LTD      COM            719153108       23      2180  SH         SOLE             1          0        0     2180
PIMCO MUNI INCOME FUND III                 72201A103       20      1333             SOLE             1       1333        0        0
PIMCOM F/R STATEGY
   FUND                                    72201J104       24      1400  SH         SOLE             1       1400        0        0
PINNACLE ENTMT INC          COM            723456109       66      2430  SH         SOLE             1          0        0     2430
PITNEY BOWES INC            COM            724479100        0        13  SH         SOLE             1         13        0        0
PLUM CREEK TIMBER CO INC                   729251108       22       500  SH         SOLE             1        500        0        0
POLARIS INDS INC                           731068102        4       100  SH         SOLE             1          0        0      100
PORTFOLIO RECOVERY
   ASSOCIATES INC                          73640Q105       25       485  SH         SOLE             1          0        0      485
POWERSHARES QQQ TR                         73935A104        0         1  SH         SOLE             1          1        0        0
PRAXAIR INC                 COM            74005P104       40       478  SH         SOLE             1        478        0        0
PRECISION CASTPARTS CORP    COM            740189105      406      2750  SH         SOLE             1         86        0     2664
PRIMEWEST ENERGY TRUST
   UNIT                     NEW            741930309       52      1999  SH         SOLE             1       1999        0        0
PRINCIPAL FINANCIAL GROUP                  74251V102       80      1283  SH         SOLE             1       1283        0        0
PROCTER & GAMBLE CO         COM            742718109     1731     24619  SH         SOLE             1      16614        0     8005
PROCTER & GAMBLE CO         COM            742718109      492      7000  SH         DEFINED          1       7000        0        0
PROGRESS ENERGY INC         COM            743263105       23       500  SH         SOLE             1        500        0        0
PROLOGIS                    SH BEN INT
                            COM            743410102        0        12  SH         SOLE             1         12        0        0
PROSPERITY BANCSHARES INC   COM            743606105       15       461  SH         SOLE             1          0        0      461
PROVIDENT ENERGY UNIT INV
   TRUST                                   74386K104       12      1000  SH         SOLE             1       1000        0        0
PRUDENTIAL PLC              ADR            74435K204        8       265  SH         SOLE             1          0        0      265
PSYCHIATRIC SOLUTIONS                      74439H108       30       780  SH         SOLE             1          0        0      780
PUBLIC SVC ENTERPRISE
   GROUP INC                               744573106       29       330  SH         SOLE             1        330        0        0
PUBLIC STORAGE, INC
   REIT                                    74460D109       35       456  SH         SOLE             1        456        0        0



                                       11





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
PUBLICIS S A                NEW
                            SPONSORED
                            ADR            74463M106      180      4395  SH         SOLE             1        139        0     4256
PUGET ENERGY INC            NEW COM        745310102        7       300  SH         SOLE             1        300        0        0
PUTNAM HIGH INCOME SEC
   FUND                                    746779107        2       300  SH         SOLE             1        300        0        0
PUTNAM MANAGED MUNICIPAL
   INCOME TRUST                            746823103        1       250             SOLE             1        250        0        0
QIMONDA AG                  SPONSORED
                            ADR            746904101      122     10835  SH         SOLE             1        331        0    10504
QUALCOMM INC                               747525103      431     10205  SH         SOLE             1        319        0     9886
QUANTUM FUEL SYS
   TECHNOLOGIES             COM            74765E109        0       285  SH         SOLE             1        285        0        0
QUEST DIAGNOSTICS INC                      74834L100       74      1288  SH         SOLE             1          0        0     1288
RMK HIGH INCOME FUND                       74963B105        8      1008  SH         SOLE             1       1008        0        0
RMR ASIA REAL ESTATE FUND                  74964Q101        8       500  SH         SOLE             1        500        0        0
RALCORP HOLDINGS            NEW COM        751028101       16       301  SH         SOLE             1          0        0      301
RAYMOND JAMES FINANCIAL
   CORP                                    754730109       21       643  SH         SOLE             1          0        0      643
RAYTHEON CO                 NEW            755111507      381      5976  SH         SOLE             1        187        0     5789
REED ELSEVIER N V           SPONSORED
                            ADR            758204101        6       180  SH         SOLE             1          0        0      180
REED ELSEVIER PLC           SPON ADR       758205108      278      5525  SH         SOLE             1          0        0     5525
REGAL ENTMT GROUP           CL A           758766109       52      2408  SH         SOLE             1          0        0     2408
REGIS CORPORATION-MN                       758932107        8       272  SH         SOLE             1          0        0      272
REGIONS FINANCIAL CORP      NEW            7591EP100     1862     63213  SH         SOLE             1      62443        0      770
REGIONS FINANCIAL CORP      NEW            7591EP100       64      2205  SH         DEFINED          1          0     2205        0
RELIANT ENERGY INC                         75952B105       73      2862  SH         SOLE             1       1022        0     1840
RENASANT CORP               COM            75970E107       45      2109  SH         SOLE             1        975        0     1134
REPSOL YPF                  ADR            76026T205      157      4438  SH         SOLE             1          0        0     4438
REXAM PLC                   SP ADR NEW
                            2001           761655406        7       130  SH         SOLE             1          0        0      130
REYNOLDS AMERICAN INC                      761713106       12       195  SH         SOLE             1          0        0      195
RIO TINTO PLC               SPONSORED
                            ADR            767204100        8        25  SH         SOLE             1          0        0       25
RIVUS BOND FUND                            769667106       19      1100  SH         SOLE             1       1100        0        0
ROCKWELL AUTOMATION, INC                   773903109       12       177  SH         SOLE             1        177        0        0
ROCKWELL COLLINS INC                       774341101       12       177  SH         SOLE             1        177        0        0
ROFIN SINAR TECHNOLOGIES
   INCCOM                                  775043102       12       172  SH         SOLE             1          0        0      172
ROWAN COMPANIES INC                        779382100       62      1714  SH         SOLE             1          0        0     1714
ROYAL BK SCOTLAND GROUP     ADR PREF
                            SHS SER Q      780097754       28      1200  SH         SOLE             1       1200        0        0
ROYAL DUTCH SHELL PLC       SPON ADR B     780259107      222      2705  SH         SOLE             1         87        0     2618
ROYAL DUTCH SHELL PLC       SPON ADR B     780259107      127      1551  SH         DEFINED          1       1551        0        0
ROYAL DUTCH SHELL PLC                      780259206        6        75  SH         SOLE             1          0        0       75
ROYAL DUTCH SHELL PLC                      780259206      262      3200  SH         DEFINED          1       3200        0        0
ROYCE FOCUS TRUST INC                      78080N108        2       281  SH         SOLE             1        281        0        0
ROYCE VALUE TR INC                         780910105       10       544  SH         SOLE             1        544        0        0
ROYCE MICRO CAP TRUST INC                  780915104        1       103  SH         SOLE             1        103        0        0
SABINE ROYALTY TRUST                       785688102      140      3200  SH         SOLE             1          0        0     3200
SANOFI-AVENTIS              ADR            80105N105      255      6013  SH         SOLE             1        188        0     5825
SAVVIS INC                  COMNEW         805423308      100      2599  SH         SOLE             1          0        0     2599
SCANA CORP                  NEW            80589M102       27       722  SH         SOLE             1        722        0        0
SCHERING PLOUGH CORP        COM            806605101      512     16196  SH         SOLE             1      16196        0        0
SCHLUMBERGER LTD            COM            806857108     1495     14239  SH         SOLE             1       9906        0     4333
THE CHARLES SCHWAB CORP                    808513105      366     16969  SH         SOLE             1        531        0    16438
SCIENTIFIC GAMES CORP       CL A           80874P109       52      1394  SH         SOLE             1          0        0     1394
SCOTTS MIRACLE GRO CO       CL A           810186106       13       316  SH         SOLE             1          0        0      316
SEMPRA ENERGY               COM            816851109       12       210  SH         SOLE             1          0        0      210
THE SHAW GROUP INC                         820280105       29       505  SH         SOLE             1        505        0        0
SHIRE PLC                   ADR            82481R106       10       146  SH         SOLE             1        146        0        0
SIEMENS AG                  SPONS ADR      826197501        6        45  SH         SOLE             1          0        0       45
SIGMA DESIGNS INC                          826565103       18       385  SH         SOLE             1          0        0      385
SIGNET GROUP PLC            SP ADR REP
                            10             82668L872        1       110  SH         SOLE             1          0        0      110
SIGNATURE BK NEW YORK N Y   COM            82669G104       12       360  SH         SOLE             1          0        0      360
SIMMONS 1ST NATL CORP       CL A $1 PAR    828730200      321     12200  SH         SOLE             1      12200        0        0
SIMMONS 1ST NATL CORP       CL A $1 PAR    828730200       13       500  SH         DEFINED          1        500        0        0
SIMON PROPERTY GROUP INC                   828806109        3        31  SH         SOLE             1         31        0        0
SIRIUS SATTELITE RADIO                     82966U103        1       300  SH         SOLE             1          0        0      300
SKYWORKS SOLUTIONS                         83088M102        0        61  SH         SOLE             1         61        0        0



                                       12





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
SMITH MICRO SOFTWARE INC    COM            832154108       19      1230  SH         SOLE             1          0        0     1230
SONY CORP                                  835699307      418      8699  SH         SOLE             1          0        0     8699
SOTHEBYS HLDGS INC          CL A           835898107       44       925  SH         SOLE             1          0        0      925
SOUTHERN CO                 COM            842587107      608     16785  SH         SOLE             1      16425        0      360
SOUTHERN CO                 COM            842587107      145      4021  SH         DEFINED          1       4021        0        0
SOUTHWEST AIRLS CO          COM            844741108        1       102  SH         SOLE             1        102        0        0
SOUTHWESTERN ENERGY CO                     845467109       38       927  SH         SOLE             1          0        0      927
SPECTRA ENERGY                             847560109       11       458  SH         SOLE             1        458        0        0
SPRINT NEXTEL CORP          COM            852061100      953     50200  SH         SOLE             1      50200        0        0
STAGE STORES INC            COM NEW        85254C305        8       447  SH         SOLE             1          0        0      447
STANLEY WORKS                              854616109       11       210  SH         SOLE             1          0        0      210
STAPLES INCORPORATED
   (RETAIL & DELIVERY)                     855030102      282     13144  SH         SOLE             1        411        0    12733
STARBUCKS CORP                             855244109        2        81  SH         SOLE             1         81        0        0
STARWOOD HOTELS &
   RESORTS WORLDWIDE INC    COM            85590A401       31       520  SH         SOLE             1        520        0        0
STATOIL ASA                 SPON ADR       85771P102      241      7110  SH         SOLE             1          0        0     7110
STERLING FINANCIAL CORP
   (WA)                                    859319105       15       573  SH         SOLE             1          0        0      573
STORA ENSO OYJ              ADR            86210M106      210     10866  SH         SOLE             1          0        0    10866
SUBURBAN PROPANE PARTNERS
   L P                                     864482104       22       500  SH         SOLE             1        500        0        0
SUNCOR ENERGY INC                          867229106       98      1034  SH         SOLE             1       1034        0        0
SUNRISE SENIOR LIVING INC   COM            86768K106       15       445  SH         SOLE             1          0        0      445
SUNTRUST BANKS INC          COM            867914103      205      2717  SH         SOLE             1       2243        0      474
SYBASE INC                  COM            871130100       16       725  SH         SOLE             1          0        0      725
SYNCHRONOSS TECHNOLOGIES
   INC                      COM            87157B103       29       698  SH         SOLE             1          0        0      698
SYSCO CORP                                 871829107       30       863  SH         SOLE             1        863        0        0
TECO ENERGY INC             COM            872375100        8       527  SH         SOLE             1        527        0        0
TJX COMPANIES                              872540109       22       785  SH         SOLE             1        785        0        0
TXU CORP                                   873168108      227      3325  SH         SOLE             1        325        0     3000
TAIWAN SEMICONDUCTOR MFG
   CO LTD                   ADR'S          874039100       82      8125  SH         SOLE             1          0        0     8125
TALISMAN ENERGY INC         COM            87425E103        6       310  SH         SOLE             1          0        0      310
TARGET CORP                                87612E106      624      9832  SH         SOLE             1        904        0     8928
TARGET CORP                                87612E106        3        55  SH         DEFINED          1         55        0        0
TASER INT'L UTS                            87651B104       20      1290  SH         SOLE             1          0        0     1290
TEAM INC                                   878155100        9       338  SH         SOLE             1          0        0      338
TELECOM ITALIA SPA ORD      SHS            87927Y102        4       134  SH         SOLE             1          0        0      134
TELECOM CORP OF NEW
   ZEALAND                                 879278208        3       217  SH         SOLE             1          0        0      217
TELEFLEX INC                COM            879369106       18       232  SH         SOLE             1          0        0      232
TELEFONOS DE MEXICO
   SA DE CV                 SPONS ADR      879403780       10       314  SH         SOLE             1        314        0        0
TELLABS INC DELAWARE                       879664100        1       200  SH         DEFINED          1        200        0        0
TEMPLE INLAND INC           COM            879868107       73      1400  SH         SOLE             1       1400        0        0
TERRA INDUSTRIES INC                       880915103        0        15  SH         SOLE             1         15        0        0
TESCO CORP                  COM            88157K101       16       610  SH         SOLE             1          0        0      610
TEVA PHARMACEUTICAL IND     ADR'S          881624209       89      2023  SH         SOLE             1         60        0     1963
TEXAS INSTRUMENTS                          882508104      430     11755  SH         SOLE             1       2014        0     9741
THERMO FISHER SCIENTIFIC
   INC                                     883556102      351      6098  SH         SOLE             1        205        0     5893
THESTREET COM               COM            88368Q103       12      1010  SH         SOLE             1          0        0     1010
THOMAS MULTIMEDIA           ADR            885118109      257     16872  SH         SOLE             1        546        0    16326
3M CO                                      88579Y101      375      4011  SH         SOLE             1       1811        0     2200
TIFFANY & CO                NEW            886547108       47       904  SH         SOLE             1        904        0        0
TIME WARNER INC                            887317105      103      5662  SH         SOLE             1       5662        0        0
TIME WARNER TELECOM INC     CL A           887319101       46      2136  SH         SOLE             1          0        0     2136
TITANIUM METALS CORP        COM NEW        888339207       68      2055  SH         SOLE             1          0        0     2055
TORONTO-DOMINION BANK       ADR            891160509        7        94  SH         SOLE             1         94        0        0
TOTAL FINA ELF S.A.         ADR            89151E109      384      4747  SH         SOLE             1        151        0     4596
TOWER GROUP INC             COM            891777104       16       645  SH         SOLE             1          0        0      645
TOYOTA MOTOR CORP           ADR NEW        892331307      176      1509  SH         SOLE             1         46        0     1463
TRAVELERS COMPANIES INC     COM            89417E109      178      3542  SH         SOLE             1        140        0     3402
TRIARC COMPANIES "B" SR1                   895927309        8       655  SH         SOLE             1          0        0      655
TRIBUNE COMPANY                            896047107       21       800  SH         SOLE             1        800        0        0
TRUSTMARK CORP              COM            898402102      439     15659  SH         SOLE             1      15659        0        0
TYLER TECHNOLOGIES INC      COM            902252105        4       341  SH         SOLE             1          0        0      341
UGI CORP                    NEW            902681105       13       502  SH         SOLE             1        502        0        0
USA TRUCK INC - RESTRICTED                 902925106      404     26498  SH         SOLE             1      26498        0        0
US BANCORP                  DELNEW         902973304       18       572  SH         SOLE             1        395        0      177
URS CORP                    NEW COM        903236107       19       353  SH         SOLE             1          0        0      353
U S AIRWAYS GROUP INC       COM            90341W108       33      1295  SH         SOLE             1          0        0     1295
UAP HLDG CORP               COM            903441103       25       815  SH         SOLE             1          0        0      815
ULTRA PETROLEUM CORP-CAD                   903914109       66      1076  SH         SOLE             1          0        0     1076
UNILEVER NV NY              NEW            904784709      343     11125  SH         SOLE             1        353        0    10772



                                       13





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
UNION PACIFIC CORP                         907818108       22       200  SH         SOLE             1        200        0        0
UNION PACIFIC CORP                         907818108      248      2200  SH         DEFINED          1          0     2200        0
UNITED FIRE & CAS CO        COM            910331107       17       444  SH         SOLE             1          0        0      444
UNITED INDUSTRIAL CORP                     910671106       13       179  SH         SOLE             1        179        0        0
UNITED PARCEL SERVICE -     CLB            911312106        0        10  SH         SOLE             1         10        0        0
UNITED TECHNOLOGIES CORP                   913017109      564      7011  SH         SOLE             1        342        0     6669
UNITED THERA PEUTICS CORP                  91307C102       23       355  SH         SOLE             1          0        0      355
UNITEDHEALTH GROUP                         91324P102        0        13  SH         SOLE             1         13        0        0
UNIVERSAL HEALTH SERVICES
   INC                      CL B           913903100       51       945  SH         SOLE             1          0        0      945
UPM KYMMENE CORP SPN        ADR            915436109      299     12448  SH         SOLE             1          0        0    12448
VF CORPORATION                             918204108       11       140  SH         SOLE             1          0        0      140
VALSPAR CORP                COM            920355104       13       500  SH         SOLE             1          0        0      500
VALUECLICK INC              COM            92046N102       10       475  SH         SOLE             1          0        0      475
VARIAN MEDICAL SYSTEMS                     92220P105       63      1508  SH         SOLE             1          0        0     1508
VASCO DATA SEC INTL INC     COM            92230Y104       21       595  SH         SOLE             1          0        0      595
VECTREN CORP                COM            92240G101       16       587  SH         SOLE             1          0        0      587
VERIZON COMMUNICATIONS                     92343V104      545     12316  SH         SOLE             1       5931        0     6385
VERIZON COMMUNICATIONS                     92343V104      111      2517  SH         DEFINED          1       1719      798        0
VIAD CORPORATION                           92552R406        3        87  SH         SOLE             1         87        0        0
VIGNETTE CORP               COMNEW         926734401       11       556  SH         SOLE             1          0        0      556
VISTEON CORP                               92839U107        0       123  SH         SOLE             1        123        0        0
VODAFONE GROUP PLC          NEW  SPONS
                            ADR NEW        92857W209      670     18483  SH         SOLE             1       1924        0    16559
VODAFONE GROUP PLC          NEW SPONS
                            ADR NEW        92857W209       17       494  SH         DEFINED          1          0      494        0
VOLCOM INC                  COM            92864N101       25       610  SH         SOLE             1          0        0      610
W.P.CAREY & CO., LLC                       92930Y107       15       500  SH         SOLE             1        500        0        0
WPP GROUP PLC               SPON ADR 0905  929309409      309      4588  SH         SOLE             1        134        0     4454
WACHOVIA CORP               NEW  COM       929903102       47       949  SH         SOLE             1        584        0      365
WACHOVIA CORP               NEW  COM       929903102       15       300  SH         DEFINED          1        300        0        0
WADDELL & REED FINANCIAL
   INC                      CLASS A        930059100       16       613  SH         SOLE             1          0        0      613
WAL MART STORES INC         COM            931142103     1185     27156  SH         SOLE             1      24556        0     2600
WAL MART STORES INC         COM            931142103       50      1166  SH         DEFINED          1       1166        0        0
WALGREEN CO                 COM            931422109      345      7315  SH         SOLE             1       1814        0     5501
WASHINGTON MUTUAL INC                      939322103       52      1500  SH         SOLE             1        775        0      725
WASTE CONNECTIONS INC                      941053100        9       309  SH         SOLE             1          0        0      309
WASTE MANAGEMENT INC        NEW            94106L109       13       369  SH         SOLE             1        369        0        0
WEINGARTEN RLTY INVS                       948741103       12       300  SH         SOLE             1          0        0      300
WELLPOINT INC               COM            94973V107      317      4019  SH         SOLE             1        125        0     3894
WELLS FARGO & CO.           NEW            949746101       35      1000  SH         SOLE             1       1000        0        0
WELLS FARGO & CO.           NEW            949746101       14       400  SH         DEFINED          1        400        0        0
WESCO INTL INC              COM            95082P105       11       270  SH         SOLE             1          0        0      270
WESTAR ENERGY INC                          95709T100       25      1033  SH         SOLE             1        700        0      333
WESTERN ASSET HIGH
   INCOME OPPORTUNITY FD    COM            95766K109       16      2500  SH         SOLE             1       2500        0        0
WESTERN ASSET VAR RATE                     957667108       42      2538  SH         SOLE             1       2538        0        0
WESTERN DIGITAL CORP                       958102105       16       637  SH         SOLE             1          0        0      637
WESTERN UNION CO                           959802109      399     19062  SH         SOLE             1        580        0    18482
WHITNEY HOLDING CORP        COMMON         966612103        9       375  SH         SOLE             1        375        0        0
WHOLE FOODS MARKET INC                     966837106       53      1103  SH         SOLE             1          0        0     1103
WILLIAMS COMPANY            COMMON         969457100       21       623  SH         SOLE             1        623        0        0
WINDSTREAM, INC                            97381W104       29      2075  SH         SOLE             1        891        0     1184
WRIGHT MEDICAL GROUP                       98235T107       20       755  SH         SOLE             1          0        0      755
WE WRIGLEY JR. COMPANY                     982526105       23       360  SH         SOLE             1        360        0        0
WYETH                                      983024100      220      4952  SH         SOLE             1        181        0     4771
WYNDHAM WORLDWIDE CORP                     98310W108      273      8358  SH         SOLE             1        194        0     8164
XM SATELLITE                               983759101        1       100  SH         SOLE             1          0        0      100
XT0 ENERGY INC                             98385X106      453      7329  SH         SOLE             1        464        0     6865
XCEL ENERGY INC                            98389B100       28      1309  SH         SOLE             1       1309        0        0
YUM BRANDS INC                             988498101       43      1292  SH         SOLE             1       1292        0        0
ZIMMER HLDGS INC                           98956P102      309      3823  SH         SOLE             1        158        0     3665
ZWEIG TOTAL RETURN FUND                    989837109        0       134  SH         SOLE             1          0        0      134
BANCORPSOUTH INC                           059692103   372300     15321             SOLE          NONE          0        0    15321
GENERAL ELECTRIC CO         COM            369604103   371565      8975             SOLE          NONE          0        0     8975
ISHARES TR MSCI EAFE INDEX
   FD                                      464287465   264852      3208             SOLE          NONE          0        0     3208
                                           464287507   382348      4336             SOLE          NONE          0        0     4336



                                       14





                                                                                                            ** VOTING AUTHORITY **
                               TITLE OF               MKT VAL            SH/  PUT/  INVESTMENT   OTHER    -------------------------
      NAME OF ISSUER            CLASS        CUSIP     x 1000    QTY.    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
--------------------------  -------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                           
ISHARES TR RUSSELL
   1000 GROWTH INDEX FD                    464287614   302477      4900             SOLE          NONE          0        0     4900
PROCTER & GAMBLE CO                        742718109   265322      3772             SOLE          NONE          0        0     3772
REGIONS FINL CORP           NEW COM        7591EP100   380528     12908             SOLE          NONE          0        0    12908
STANDARD & POORS
   DEPOSITARY RECEIPTS
   UNITS OF UNDIVIDED
   BENEFICIAL INTEREST      (SPDR'S)       78462F103  1605936     10519             SOLE          NONE          0        0    10519
                                                      -------  --------                                   -------  -------  -------
GRAND TOTALS                                          4653752  12227975                                   2765910  8074368  1387697



                                       15