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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 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: Executive Vice President and Corporate Secretary
Phone: (662) 680-2084

Signature Place and Date of Signing:


/s/ Cathy S. Freeman                    Tupelo Mississippi     February 14, 2008
-------------------------------------   --------------------   -----------------
[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:         737

Form 13F Information Table Value Total:    $809,464
                                         (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

                           FORM 13F INFORMATION TABLE



                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
ACE LIMITED                                      G0070K103     244     3952 SH       SOLE           1       2453       0    1499
FRONTLINE LDT F                                  G3682E127      24      500 SH       SOLE           1        500       0       0
HERBALIFE LTD                  COM USD SHS       G4412G101      83     2053 SH       SOLE           1          0       0    2053
INGSOLL-RAND CO                CL A BERMUDA      G4776G101     228     4900 SH       SOLE           1       4900       0       0
INVESCO LTD                    SHS               G491BT108     291     9281 SH       SOLE           1        386       0    8895
IPC HLDGS LTD                  ORD               G4933P101      12      424 SH       SOLE           1          0       0     424
KNIGHTS BRIDGE TANKERS                           G5299G106      12      500 SH       SOLE           1        500       0       0
MARVELL TECHNOLOGY GROUP                         G5876H105      72     5184 SH       SOLE           1          0       0    5184
MONTPELIER RE HLD LTDF                           G62185106     453    26620 SH       SOLE           1      26620       0       0
NABORS INDUSTRIES                                G6359F103     334    12187 SH       SOLE           1       7340       0    4847
NOBLE CORP                                       G65422100      92     1622 SH       SOLE           1          0       0    1622
RENAISSANCERE HOLDINGS LTD     COM               G7496G103     106     1765 SH       SOLE           1          0       0    1765
SEAGATE TECHNOLOGY             SHS               G7945J104      14      550 SH       SOLE           1          0       0     550
SHIP FINANCE INTERNATIONAL LTD                   G81075106       7      253 SH       SOLE           1        253       0       0
TRANSOCEAN INC                 NEW COM           G90073100       3       23 SH       SOLE           1          0       0      23
TYCO INTL LTD W/I                                G9143X208       3       75 SH       SOLE           1         75       0       0
WEATHERFORD INTL LTD           NEW  BERMUDA)     G95089101      32      473 SH       SOLE           1        473       0       0
MILLICOM INTL CELLULAR         NEW               L6388F110      75      634 SH       SOLE           1          0       0     634
MELLANOX TECHNOLOGIES LTD      SHS               M51363113      15      840 SH       SOLE           1          0       0     840
DIANA SHIPPING INC                               Y2066G104      16      500 SH       SOLE           1        500       0       0
FLEXTRONICS INT'L                                Y2573F102     283    23507 SH       SOLE           1      14359       0    9148
QUINTANA MARITIME LTD          SHS               Y7169G109      21      895 SH       SOLE           1          0       0     895
TEEKAY LNG PARTNERS L P                          Y8564M105      15      500 SH       SOLE           1        500       0       0
AFC ENTERPRISES INC            COM               00104Q107       7      610 SH       SOLE           1          0       0     610
A F L A C INC                                    001055102     403     6441 SH       SOLE           1       1801       0    4640
A F L A C INC                                    001055102    2940    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       2      150 SH       SOLE           1        150       0       0
AT&T INC                       COM               00206R102     797    19179 SH       SOLE           1      16778       0    2401
AT&T INC                       COM               00206R102     275     6620 SH       DEFINED        1       1488    5132       0
ATMI INC                                         00207R101       9      281 SH       SOLE           1          0       0     281
AARON RENTS INC                COM               002535201      11      589 SH       SOLE           1          0       0     589
ABBOTT LAB                                       002824100     549     9773 SH       SOLE           1       5381       0    4392
ABBOTT LAB                                       002824100     225     4000 SH       DEFINED        1          0    4000       0
ABERCROMBIE & FITCH CO         CL A              002896207     243     3038 SH       SOLE           1        124       0    2914
ABERDEEN ASIA-PACIFIC FUND                       003009107       3      444 SH       SOLE           1        444       0       0
ACME PACKET INC                COM               004764106      21     1665 SH       SOLE           1          0       0    1665
ACTUANT CORP                   CLASS A           00508X203      15      436 SH       SOLE           1          0       0     436
ADAMS EXPRESS CO               COM               006212104      42     2956 SH       SOLE           1       2956       0       0
ADOBE SYSTEMS INCORPORATED     DELAWARE          00724F101     239     5591 SH       SOLE           1        233       0    5358
ADVANCED ANALOGIC TECHNOLOGI   COM               00752J108      12     1040 SH       SOLE           1          0       0    1040
ADVANTAGE ENERGY INCOME FD TR
   UNIT                        ADR               00762L101       4      500 SH       SOLE           1        500       0       0
ADVANCED MED OPTICS IN                           00763M108      51     2072 SH       SOLE           1          0       0    2072
ADVENT/CLAYMORE GLOBAL                           007639107      80     5200 SH       SOLE           1       5200       0       0
AEGON N V                      ORD               007924103     421    24039 SH       SOLE           1          0       0   24039
AFFILIATED MANAGERS GROUP      COM               008252108      20      173 SH       SOLE           1          0       0     173
AGILENT TECHNOLOGIES, INC.                       00846U101       2       59 SH       SOLE           1         59       0       0
AGNICO EAGLE MINES                               008474108      27      500 SH       SOLE           1        500       0       0



                                        3





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
AIRGAS INC                     COM               009363102      12      221 SH       SOLE           1          0       0     221
AIXTRON AKTIENGELELLSCHAFT     ADR               009606104       7      510 SH       SOLE           1        510       0       0
ALCOA INC                                        013817101     112     3064 SH       SOLE           1       1139       0    1925
ALCATEL LUCENT                 SPONSORED ADR     013904305       1      107 SH       SOLE           1         32       0      75
ALLEGHENY ENERGY INC                             017361106       4       66 SH       SOLE           1         66       0       0
ALLERGAN INC                                     018490102     216     3358 SH       SOLE           1        140       0    3218
ALLIANCE BERNSTEIN GLOBAL
    HIGH INCOME FUND INC                         01879R106      25     2000 SH       SOLE           1       2000       0       0
ALLIANT TECHSYSTEMS, INC                         018804104      17      151 SH       SOLE           1          0       0     151
ALLIANZ SE SP                  ADR 1/10  SH      018805101       8      385 SH       SOLE           1          0       0     385
ALLIANCE BERNSTEIN INCOME FD                     01881E101      15     1850 SH       SOLE           1       1850       0       0
ALLIED CAP CO FUND                               01903Q108      23     1065 SH       SOLE           1       1065       0       0
ALLIED IRISH BKS P LC          SPON ADR ORD      019228402       8      180 SH       SOLE           1          0       0     180
ALLSCRIPTS HEALTHCARE SOLUTI   COM               01988P108       9      465 SH       SOLE           1          0       0     465
ALLSTATE CORP                  COMMON            020002101     513     9824 SH       SOLE           1       7643       0    2181
ALLSTATE CORP                  COMMON            020002101      16      310 SH       DEFINED        1        310       0       0
ALTRIA GROUP INC                                 02209S103    1018    13469 SH       SOLE           1      10281       0    3188
AMCOL INTL CORP                COM               02341W103      20      545 SH       SOLE           1          0       0     545
AMEREN CORP                                      023608102      18      335 SH       SOLE           1        100       0     235
AMERICA MOVIL SAB DE CV        SPON ADR L SHS    02364W105      41      660 SH       SOLE           1        660       0       0
AMERICAN EAGLE OUTFITTERS, INC                   02553E106      71     3411 SH       SOLE           1          0       0    3411
AMERICAN ELECTRIC POWER                          025537101     194     4167 SH       SOLE           1       1542       0    2625
AMER EXPRESS CO                                  025816109     170     3265 SH       SOLE           1       1665       0    1600
AMERICAN INTERNATIONAL GROUP,
   INC                                           026874107     111     1900 SH       SOLE           1        400       0    1500
AMERICAN INTERNATIONAL GROUP,
   INC                                           026874107      10      175 SH       DEFINED        1        175       0       0
AMERICAN TOWER CORP            CL A              029912201     136     3192 SH       SOLE           1          0       0    3192
AMERISTAR CASINOS                                03070Q101     104     3776 SH       SOLE           1          0       0    3776
AMERISOURCEBERGEN CORP                           03073E105       2       37 SH       SOLE           1         37       0       0
AMGEN INC                                        031162100       4       80 SH       SOLE           1         80       0       0
AMGEN INC                                        031162100       9      200 SH       DEFINED        1        200       0       0
ANADARKO PETE CORP                               032511107     287     4363 SH       SOLE           1       2560       0    1803
ANADARKO PETE CORP                               032511107     111     1696 SH       DEFINED        1          0    1696       0
ANHEUSER-BUSCH COMPANIES                         035229103     337     6436 SH       SOLE           1       5886       0     550
ANHEUSER-BUSCH COMPANIES                         035229103     162     3100 SH       DEFINED        1       3100       0       0
ANNALY CAPITAL MGMT INC                          035710409       4      200 SH       SOLE           1          0       0     200
APACHE CORP                                      037411105     109     1013 SH       SOLE           1       1013       0       0
APPLE INC                      COM               037833100     577     2911 SH       SOLE           1        193       0    2718
APPLIED MATERIALS INC                            038222105      86     4850 SH       SOLE           1       4850       0       0
AQUA AMERICAN INC                                03836W103      28     1337 SH       SOLE           1       1337       0       0
AQUILA INC                     DEL NEW           03840P102       1      158 SH       SOLE           1        158       0       0
ARCH COAL, INC                                   039380100     138     3078 SH       SOLE           1          0       0    3078
ARCHER-DANIELS-MIDLAND COMPANY                   039483102     624    13444 SH       SOLE           1       8387       0    5057
ARENA RESOURCES INC            COM               040049108      14      343 SH       SOLE           1          0       0     343
ARRIS GROUP INC                                  04269Q100      84     8368 SH       SOLE           1          0       0    8368
ARTHROCARE CORP                COM               043136100      13      270 SH       SOLE           1          0       0     270
ARVINMERITOR                                     043353101       1       44 SH       SOLE           1         44       0       0
ASSURANT INC                   COM               04621X108      85     1272 SH       SOLE           1          0       0    1272
ASTRAZENECA PLC                SPONSORED ADR     046353108       8      185 SH       SOLE           1          0       0     185
ATMOS ENERGY CORP                                049560105      56     2004 SH       SOLE           1       2004       0       0
ATWOOD OCEANICS INC            COM               050095108      13      128 SH       SOLE           1          0       0     128
AUBURN NATL BANCORP                              050473107      22     1000 SH       SOLE           1       1000       0       0
AUTO DATA PROCESS                                053015103     151     3400 SH       SOLE           1       3400       0       0
AUTOZONE                                         053332102      30      249 SH       DEFINED        1        249       0       0
AVALONBAY CMNTY INC                              053484101      33      350 SH       SOLE           1        350       0       0



                                        4





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
AVERY DENNISON CORP            COM               053611109     215     4055 SH       SOLE           1       2497       0    1558
AVON PRODUCTS INC              COM               054303102       4       92 SH       SOLE           1         92       0       0
AXA-UAP                        ADR               054536107       7      170 SH       SOLE           1          0       0     170
BB&T CORP                                        054937107       9      300 SH       SOLE           1        300       0       0
BP AMOCO PLC                   SPONSORED ADR     055622104     882    12058 SH       SOLE           1       5603       0    6455
BP AMOCO PLC                   SPONSORED ADR     055622104     275     3756 SH       DEFINED        1       3756       0       0
BAKER HUGHES INC               COM               057224107     331     4081 SH       SOLE           1       2517       0    1564
BALDOR ELEC CO                 COM               057741100    7224   214667 SH       SOLE           1          0  214667       0
BANCO SANTANDER S.A.           ADR               05964H105       7      345 SH       SOLE           1          0       0     345
BANCORPSOUTH INC                                 059692103   21047   891448 SH       SOLE           1     886013       0    5435
BANCORPSOUTH INC                                 059692103     952    40340 SH       DEFINED        1      37748    2592       0
BANK OF AMERICA CORP           NEW COM           060505104      92     2228 SH       SOLE           1       1963       0     265
BANK OF THE OZARKS, INC                          063904106    2416    92200 SH       DEFINED        1      92200       0       0
BANK NEW YORK MELLON CORP      COM               064058100      39      800 SH       SOLE           1        800       0       0
BANK NEW YORK MELLON CORP      COM               064058100       6      132 SH       DEFINED        1        132       0       0
BARRICK GOLD CORP                                067901108     207     4918 SH       SOLE           1        179       0    4739
BARR PHARMACEUTICALS INC                         068306109     293     5517 SH       SOLE           1       2523       0    2994
BAXTER INTL INC                                  071813109     116     2000 SH       SOLE           1       2000       0       0
BEAR STEARNS COS INC                             073902108      54      607 SH       SOLE           1        607       0       0
BELDEN INC                     COM               077454106      70     1571 SH       SOLE           1          0       0    1571
BENTLEY PHARMACEUTICALS, INC                     082657107       1       50 SH       SOLE           1         50       0       0
BERKSHIRE HATHAWAY "A"                           084670108     142        1 SH       SOLE           1          1       0       0
BERKSHIRE HATHAWAY INC         DEL CL B          084670207       5        1 SH       SOLE           1          1       0       0
BERKSHIRE HATHAWAY INC         DEL CL B          084670207      14        3 SH       DEFINED        1          3       0       0
BEST BUY INC                   COMMON STOCK      086516101     214     4058 SH       SOLE           1        169       0    3889
BHP BILLITON LIMITED           ADR  SPONSORED    088606108       7      100 SH       SOLE           1        100       0       0
BLACK & DECKER CORP            COM               091797100       9      135 SH       SOLE           1          0       0     135
BLACKBAUD INC                  COM               09227Q100       5      166 SH       SOLE           1          0       0     166
BLACKROCK INSD MUNI INCOME
    TRUST                                        092479104      68     4700          SOLE           1       4700       0       0
BLACKROCK MUNIVEST FD INC                        09253R105      44     5000          SOLE           1       5000       0       0
BLACKROCK REAL ASSET EQUITY                      09254B109      59     3500 SH       SOLE           1       3500       0       0
BLACKROCK MUNIYIELD INSURED FD                   09254E103      40     3150          SOLE           1       3150       0       0
BLACKROCK MUNIYIELD INSURED FD                   09254E103      95     7500          DEFINED        1       7500       0       0
BOEING INC                                       097023105     554     6339 SH       SOLE           1       2001       0    4338
BOSTON SCIENTIFIC                                101137107      12     1007 SH       SOLE           1       1007       0       0
BOYD GAMING CORP                                 103304101     213     6261 SH       SOLE           1       2530       0    3731
BRISTOL MYERS SQUIBB CO                          110122108     210     7909 SH       SOLE           1       7909       0       0
BROADCOM CORP                                    111320107      69     2650 SH       SOLE           1          0       0    2650
BROADRIDGE FINL SOLUTIONS INC  COM               11133T103      11      475 SH       SOLE           1        475       0       0
BROOKS AUTOMATION INC                            114340102       9      712 SH       SOLE           1          0       0     712
BRUNSWICK CORP                 COM               117043109       5      315 SH       SOLE           1          0       0     315
BURLINGTON NORTHERN/SANTA FE
   CORP                                          12189T104      11      135 SH       SOLE           1        135       0       0
CBS CORP                       NEW CL B          124857202      11      420 SH       SOLE           1         45       0     375
C H ROBINSON WORLDWIDE INC                       12541W209       2       31 SH       SOLE           1         31       0       0
CME GROUP INC                  COM               12572Q105     155      226 SH       SOLE           1          9       0     217
CRH PLC                        ADR               12626K203       5      145 SH       SOLE           1          0       0     145
CSX CORP                       COM               126408103      29      650 SH       SOLE           1        650       0       0
CVS CAREMARK CORPORATION       COM               126650100     300     7544 SH       SOLE           1       5075       0    2469
CADBURY SCHWEPPES PLC          ADR               127209302      54     1100 SH       SOLE           1       1100       0       0
CADENCE FINANCIAL CORP                           12738A101      49     3333 SH       SOLE           1       3333       0       0
CADENCE DESIGN SYSTEMS INC                       127387108     150     8836 SH       SOLE           1       5838       0    2998
CAMPBELL SOUP CO               COM               134429109     224     6271 SH       SOLE           1       3829       0    2442



                                        5





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
CANADIAN PAC RAILWAY                             13645T100      64      988 SH       SOLE           1          0       0     988
CANON INC ADR REPSTG 5         SHRS              138006309     320     6987 SH       SOLE           1          0       0    6987
CAPELLA EDUCATION COMPANY      COM               139594105      11      165 SH       SOLE           1          0       0     165
CAPITAL ONE FINL CORP          COM               14040H105     384     8121 SH       SOLE           1       8121       0       0
CAPSTEAD MTG CORP                                14067E308       6      500 SH       SOLE           1        500       0       0
CARDINAL HEALTH INC            COM               14149Y108      13      231 SH       SOLE           1        231       0       0
CARNIVAL CORP                                    143658300      22      485 SH       SOLE           1        485       0       0
CATERPILLAR INC                                  149123101     113     1560 SH       SOLE           1          0       0    1560
CELGENE CORP                                     151020104     148     3195 SH       SOLE           1        135       0    3060
CEMEX SAB DE CV                ADR               151290889      68     2628 SH       SOLE           1         93       0    2535
CENTERPOINT ENERGY INC                           15189T107      23     1321 SH       SOLE           1        821       0     500
CENTURYTEL, INC                                  156700106      41     1000 SH       SOLE           1       1000       0       0
CHEESECAKE FACTORY                               163072101      68     2887 SH       SOLE           1          0       0    2887
CHESAPEAKE ENERGY CORP                           165167107      96     2437 SH       SOLE           1          0       0    2437
CHEVRON CORPORATION                              166764100     805     8623 SH       SOLE           1       7247       0    1376
CHEVRON CORPORATION                              166764100     205     2200 SH       DEFINED        1       2200       0       0
CHINA PETE & CHEM CORP         SPON ADR H SHS    16941R108       7       45 SH       SOLE           1          0       0      45
CISCO SYS INC                                    17275R102     513    18976 SH       SOLE           1       6011       0   12965
CITADEL BROADCASTING CORP      COM               17285T106       0       70 SH       SOLE           1          2       0      68
CITIGROUP, INC                                   172967101      89     3021 SH       SOLE           1       3021       0       0
CITIGROUP, INC                                   172967101     209     7107 SH       DEFINED        1       7107       0       0
CITIZENS COMMUNICATIONS CO                       17453B101      56     4364 SH       SOLE           1          0       0    4364
CITIZENS HOLDING COMPANY                         174715102    2895   158987 SH       SOLE           1     158987       0       0
CLEVELAND CLIFFS INC                             185896107      10      103 SH       SOLE           1          0       0     103
COACH INC                                        189754104     151     4951 SH       SOLE           1        206       0    4745
COCA COLA CO                                     191216100     806    13132 SH       SOLE           1       9187       0    3945
COCA COLA CO                                     191216100     314     5125 SH       DEFINED        1       5125       0       0
COCA COLA ENTERPRISES INC      COM               191219104      52     2000 SH       SOLE           1       2000       0       0
COCA COLA FEMSA S A B DE CV    SPON ADR REP L    191241108       8      161 SH       SOLE           1          0       0     161
COLGATE-PALMOLIVE CO                             194162103     244     3128 SH       SOLE           1       3128       0       0
COLUMBIA SPORTSWEAR CO                           198516106       9      207 SH       SOLE           1          1       0     206
COMCAST CORP                   NEW CL A COM      20030N101       4      223 SH       SOLE           1        223       0       0
COMCAST CORP                   NEW CL A COM      20030N101      11      601 SH       DEFINED        1          0     601       0
COMMSCOPE INC                                    203372107      16      328 SH       SOLE           1          0       0     328
COMMVAULT SYSTEMS INC          COM               204166102      20      930 SH       SOLE           1          0       0     930
COMPASS MINERALS INTL                            20451N101      21      500 SH       SOLE           1        500       0       0
COMTECH GROUP INC              COMNEW            205821200      18     1140 SH       SOLE           1          0       0    1140
CONAGRA FOODS INC              COM               205887102     230     9652 SH       SOLE           1       6038       0    3614
CONCHO RES INC                 COM               20605P101      15      712 SH       SOLE           1          0       0     712
CONEXANT SYS INC               COM               207142100       0      176 SH       SOLE           1        176       0       0
CONOCO PHILLIPS                                  20825C104     530     5999 SH       SOLE           1       5839       0     160
CONTINENTAL AIRLINES           CL-B              210795308      44     1974 SH       SOLE           1          0       0    1974
CONTINENTAL RESOURCES INC      COM               212015101      15      580 SH       SOLE           1          0       0     580
COOPER TIRE & RUBBER CO                          216831107     100     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      10      265 SH       SOLE           1          0       0     265
CORNING INC                                      219350105     228     9518 SH       SOLE           1       1584       0    7934
CORRECTIONS CORP OF AMERICA                      22025Y407      50     1690 SH       SOLE           1          0       0    1690
CREDIT SUISSE GROUP            ADR               225401108     140     2326 SH       SOLE           1         83       0    2243
CROSS TIMBERS ROYALTY TRUST                      22757R109      21      500 SH       SOLE           1          0       0     500
CROWN CASTLE INTL CORP         COM               228227104     142     3411 SH       SOLE           1         19       0    3392
CULLEN FROST BANKERS INC                         229899109      12      231 SH       SOLE           1          0       0     231
CYTEC INDS INC                 COM               232820100       9      139 SH       SOLE           1          0       0     139
DNP SELECT INCOME FD INC                         23325P104      12     1100 SH       SOLE           1       1100       0       0



                                        6





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
DRS TECHNOLOGIES INC                             23330X100      10      188 SH       SOLE           1          0       0     188
DTE ENERGY CO                                    233331107       4      100 SH       SOLE           1        100       0       0
DWS MUNICIPAL INCOME TRUST                       23338M106     110    10425          DEFINED        1      10425       0       0
DANAHER CORP                   DEL COM           235851102     271     3091 SH       SOLE           1        129       0    2962
DEERE & CO                                       244199105     311     3340 SH       SOLE           1       3340       0       0
DELL INC                                         24702R101      86     3513 SH       SOLE           1       3513       0       0
DELTIC TIMBER INC                                247850100     326     6324 SH       SOLE           1       6324       0       0
DELTIC TIMBER INC                                247850100   22436   435743 SH       DEFINED        1          0  435743       0
DIAGEO P L C                   SPON ADR NEW      25243Q205     269     3138 SH       SOLE           1        112       0    3026
DIAMOND OFFSHORE DRILLING IN   COM               25271C102       6       45 SH       SOLE           1          0       0      45
DIGITAL RLTY TR INC            COM               253868103      66     1708 SH       SOLE           1          0       0    1708
DIRECTTV GROUP INC                               25459L106     286    12358 SH       SOLE           1       8154       0    4204
WALT DISNEY CO                                   254687106      67     2089 SH       SOLE           1        489       0    1600
DISCOVER FINL SVCS             COM               254709108      22     1444 SH       SOLE           1       1444       0       0
DISCOVER FINL SVCS             COM               254709108       2      130 SH       DEFINED        1        130       0       0
DIVIDEND CAPITAL REALTY
   INCOME ALLOCATION FUND                        25537T105       2      266 SH       SOLE           1        266       0       0
DONNELLEY RR & SONS                              257867101      11      290 SH       SOLE           1          0       0     290
DOUBLE-TAKE SOFTWARE INC       COM               258598101      13      595 SH       SOLE           1          0       0     595
DOW CHEMICAL CO                                  260543103      43     1080 SH       SOLE           1        515       0     565
DU PONT EI D NEMOURS & CO                        263534109     160     3624 SH       SOLE           1       1049       0    2575
DUKE ENERGY CORP               COM               26441C105      27     1317 SH       SOLE           1       1317       0       0
DUKE REALTY CORP                                 264411505       9      355 SH       SOLE           1          0       0     355
DYNEGY INC                     DEL CL A          26817G102      82    11458 SH       SOLE           1          0       0   11458
EMC CORP                                         268648102       7      400 SH       SOLE           1        400       0       0
EMC CORP                                         268648102      31     1700 SH       DEFINED        1       1700       0       0
ENI S P A                      SPONSORED ADR     26874R108     256     3534 SH       SOLE           1          0       0    3534
EASTGROUP PROPERTIES INC                         277276101       3       60 SH       SOLE           1         60       0       0
EASTMAN CHEMICAL CO                              277432100       1       12 SH       SOLE           1         12       0       0
EATON CORP                     COM               278058102     233     2400 SH       SOLE           1          0       0    2400
EATON VANCE INSURED MUNICIPAL
   BOND FUND II                                  27827K109      10      768          SOLE           1        768       0       0
EATON VANCE INSURED MUNI BOND
   FD                                            27827X101      47     3300          SOLE           1       3300       0       0
EATON VANCE LIMITED DURATION
   INCOME FUND                                   27828H105      19     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      17     1000 SH       SOLE           1       1000       0       0
EATON VANCE TAX MANAGED GLOBAL                   27829F108      18     1100 SH       SOLE           1       1100       0       0
ECOLAB INC                     COMMON            278865100     213     4158 SH       SOLE           1        173       0    3985
EDWARDS LIFESCIENCES CORP                        28176E108      11      240 SH       SOLE           1        240       0       0
EHEALTH INC                    COM               28238P109      14      440 SH       SOLE           1          0       0     440
EL PASO CORPORATION                              28336L109     342    19823 SH       SOLE           1      12036       0    7787
EL PASO ELEC CO                                  283677854       0        6 SH       SOLE           1          6       0       0
ELECTRONIC ARTS INC                              285512109     258     4422 SH       SOLE           1        218       0    4204
EMBARQ CORP                    COM               29078E105     124     2510 SH       SOLE           1       2510       0       0
EMBRAER-EMPRESA BRASILEIRA DSP ADR COM SHS       29081M102      98     2150 SH       SOLE           1         77       0    2073
EMERSON ELECTRIC CO                              291011104      74     1300 SH       SOLE           1       1300       0       0
ENCANA CORP-CAD                                  292505104     124     1820 SH       SOLE           1          0       0    1820
ENCORE WIRE CORP               COM               292562105     410    25748 SH       SOLE           1       8198       0   17550
ENERGEN CORP                                     29265N108      65     1006 SH       SOLE           1       1006       0       0
ENERGY EAST CORP               COM               29266M109       7      240 SH       SOLE           1        240       0       0
ENERPLUS RESOURCE FD                             29274D604      39      975 SH       SOLE           1        975       0       0
ENTERGY CORP                                     29364G103     373     3125 SH       SOLE           1        750       0    2375
ENTERGY CORP                                     29364G103      88      734 SH       DEFINED        1        734       0       0
EQUITY RESIDENTIAL PPTYS SBI                     29476L107       1       34 SH       SOLE           1         34       0       0



                                        7





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
ERESEARCHTECHNOLOGY INC        COM               29481V108      18     1495 SH       SOLE           1          0       0    1495
ERICSSON (LM) TELE CO          ADR (NEW)         294821608     437    18703 SH       SOLE           1        762       0   17941
EXELON CORP                                      30161N101      53      654 SH       SOLE           1        654       0       0
EXELON CORP                                      30161N101      49      600 SH       DEFINED        1        600       0       0
EXPEDIA INC                    DEL               30212P105       2       60 SH       SOLE           1         60       0       0
EXPONENT INC                   COM               30214U102      10      385 SH       SOLE           1          0       0     385
EXPRESS SCRIPTS INC                              302182100     105     1442 SH       SOLE           1          0       0    1442
EXTERRAN PARTNERS, L.P.                          30225N105       6      200 SH       SOLE           1        200       0       0
EXXON MOBIL CORP                                 30231G102    6038    64449 SH       SOLE           1      55478       0    8971
EXXON MOBIL CORP                                 30231G102    2191    23383 SH       DEFINED        1      14783    8600       0
FEI CO                                           30241L109       2       80 SH       SOLE           1         80       0       0
F M C CORP                     COM NEW           302491303      12      220 SH       SOLE           1          0       0     220
FPL GROUP INC                                    302571104      34      500 SH       SOLE           1        500       0       0
FAIRCHILD SEMICONDUCTRINTL INC                   303726103      70     4825 SH       SOLE           1          0       0    4825
FEDEX CORPORATION                                31428X106      10      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       1       45 SH       SOLE           1         45       0       0
FIRST CASH FINANCIAL SVC INC                     31942D107       9      598 SH       SOLE           1          0       0     598
FIRST HORIZON NATIONAL                           320517105       4      212 SH       SOLE           1        212       0       0
FIRST M & F CORP                                 320744105      75     4776 SH       SOLE           1       4492       0     284
FIRST ENERGY CORP              COMMON            337932107     318     4400 SH       SOLE           1       4400       0       0
FORD MOTOR COMPANY             COMMON            345370860       8     1256 SH       SOLE           1        756       0     500
FORDING CANADIAN COAL                            345425102      19      500 SH       SOLE           1        500       0       0
FOREST LABS                                      345838106      49     1340 SH       SOLE           1          0       0    1340
FORWARD AIR CORP               COM               349853101       8      258 SH       SOLE           1          0       0     258
FREEPORT MCMORAN COPPER &
   GOLD                        COM               35671D857       5       44 SH       SOLE           1         44       0       0
FRONTIER OIL CORP                                35914P105       8      200 SH       SOLE           1        200       0       0
FUEL TECH INC                  COM               359523107       8      360 SH       SOLE           1          0       0     360
FUJIFILM HLDGS CORP            ADR 2 ORD         35958N107     364     8764 SH       SOLE           1          0       0    8764
GEO GROUP INC                  COM               36159R103      18      640 SH       SOLE           1          0       0     640
GFI GROUP INC                  COM               361652209      17      175 SH       SOLE           1          0       0     175
GANNETT INC                    COM               364730101       9      235 SH       SOLE           1          0       0     235
GAP INC                        DEL COM           364760108       2       76 SH       SOLE           1         76       0       0
GAYLORD ENTMT CO               NEW COM           367905106     110     2719 SH       SOLE           1         27       0    2692
GENENTECH INC                                    368710406     189     2819 SH       SOLE           1        393       0    2426
GENERAL CABLE CORP             DELNEW COM        369300108      85     1157 SH       SOLE           1          0       0    1157
GENERAL ELECTRIC CO                              369604103    1612    43501 SH       SOLE           1      35280       0    8221
GENERAL ELECTRIC CO                              369604103      13      350 SH       DEFINED        1        350       0       0
GENERAL MLS INC                COM               370334104       1       22 SH       SOLE           1         22       0       0
GEN MTR CORP                                     370442105      36     1450 SH       SOLE           1        150       0    1300
GEOEYE INC                     COM               37250W108      11      315 SH       SOLE           1          0       0     315
GILEAD SCIENCES INC                              375558103     199     4321 SH       SOLE           1        180       0    4141
GLAXOSMITHKLINE PLC            ADR               37733W105     262     5206 SH       SOLE           1        163       0    5043
GLOBAL PAYMENTS INC                              37940X102     103     2205 SH       SOLE           1          0       0    2205
GOLD FIELDS LTD                SPONS ADR         38059T106     183    12868 SH       SOLE           1       7898       0    4970
GOLDMAN SACHS GROUP                              38141G104      49      230 SH       SOLE           1        130       0     100
B F GOODRICH                                     382388106      98     1393 SH       SOLE           1          0       0    1393
GOOGLE INC                                       38259P508     463      669 SH       SOLE           1         28       0     641
GRANITE CONSTR INC             COM               387328107       8      211 SH       SOLE           1          0       0     211
GREENE BANKSHARES                                394361208      12      644 SH       SOLE           1        644       0       0
GULFPORT ENERGY CORP           COM NEW           402635304      12      662 SH       SOLE           1          0       0     662
HCC INSURANCE HOLDINGS, INC                      404132102      15      524 SH       SOLE           1          0       0     524
HMS HLDGS CORP                 COM               40425J101      18      530 SH       SOLE           1          0       0     530
HSBC HLDGS PLC                 SPONSORED ADR     404280406     430     5134 SH       SOLE           1          0       0    5134
HAEMONETICS CORP                                 405024100      17      265 SH       SOLE           1          0       0     265
HALLIBURTON CO                 COM               406216101     368     9704 SH       SOLE           1       7076       0    2628



                                        8





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
JOHN HANCOCK PFD INC II                          41013X106       9      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     176     2800 SH       SOLE           1       2800       0       0
HAWAIIAN ELEC INDS INC                           419870100      26     1130 SH       DEFINED        1       1130       0       0
HAYNES INTERNATIONAL INC       COM NEW           420877201      17      245 SH       SOLE           1          0       0     245
HEALTH CARE SERVICES GROUP INC                   421906108      10      449 SH       SOLE           1          0       0     449
HEALTHEXTRAS INC               COM               422211102       9      355 SH       SOLE           1          0       0     355
HEALTHSPRING INC               COM               42224N101      11      580 SH       SOLE           1          0       0     580
HEALTHWAYS INC                 COM               422245100      94     1612 SH       SOLE           1          0       0    1612
HEINZ H J CO                   COM               423074103      13      273 SH       SOLE           1        273       0       0
HEWLETT PACKARD CO                               428236103     578    11453 SH       SOLE           1       4826       0    6627
HILB ROGAL & HOBBS COMPANY                       431294107       9      217 SH       SOLE           1          0       0     217
HOLLY CORP COMPAR $0.01                          435758305      71     1390 SH       SOLE           1          0       0    1390
HOLOGIC INC                    COM               436440101     241     3514 SH       SOLE           1        129       0    3385
HOME DEPOT                                       437076102     124     4588 SH       SOLE           1       2638       0    1950
HOME DEPOT                                       437076102      32     1192 SH       DEFINED        1       1192       0       0
HONEYWELL INTL INC                               438516106      92     1500 SH       SOLE           1          0       0    1500
HOSPIRA, INC                                     441060100      17      400 SH       DEFINED        1          0     400       0
HOST HOTELS & RESORTS INC      COM               44107P104      95     5576 SH       SOLE           1        306       0    5270
HUBBELL INC                    CL B              443510201      52     1000 SH       SOLE           1          0       0    1000
JB HUNT TRANSPORT SVC INC                        445658107      94     3408 SH       SOLE           1          0       0    3408
HUNTINGTON BANCSHARE INC                         446150104       0       23 SH       SOLE           1         23       0       0
HURON CONSULTING GROUP INC     COM               447462102      12      145 SH       SOLE           1          0       0     145
IDACORP INC                    COM               451107106       4      100 SH       SOLE           1        100       0       0
IDEARC INC                     COM               451663108       4      230 SH       SOLE           1        230       0       0
IDEARC INC                     COM               451663108       2       99 SH       DEFINED        1         60      39       0
ILLINOIS TOOL WORKS INC                          452308109       8      152 SH       SOLE           1        152       0       0
INFINEON TECH AG               ADR               45662N103     329    28280 SH       SOLE           1      17652       0   10628
INFOSYS TECHNOLOGIES LTD       SPONSORED ADR     456788108       3       73 SH       SOLE           1          0       0      73
ING GROEP N V                                    456837103       6      155 SH       SOLE           1          0       0     155
ING GLOBAL EQUITY DIV                            45684E107      41     2500 SH       SOLE           1       2500       0       0
INGRAM MICRO INC               CL A              457153104     199    11020 SH       SOLE           1       6787       0    4233
INNERWORKINGS INC              COM               45773Y105      17      970 SH       SOLE           1          0       0     970
INTEL CORP CAP                                   458140100     952    35715 SH       SOLE           1      14369       0   21346
INTEL CORP CAP                                   458140100      53     2000 SH       DEFINED        1       2000       0       0
INTERCONTINENTALEXCHANGE INC   COM               45865V100     287     1491 SH       SOLE           1         61       0    1430
IBM CORP                                         459200101     784     7250 SH       SOLE           1       3602       0    3648
IBM CORP                                         459200101      49      450 SH       DEFINED        1        450       0       0
INTERNATIONAL GAME TECH                          459902102     335     7633 SH       SOLE           1       3182       0    4451
INTL PAPER CO                                    460146103      10      300 SH       SOLE           1        300       0       0
INTL PAPER CO                                    460146103      29      900 SH       DEFINED        1          0     900       0
INTERPUBLIC GROUP COS INC      COM               460690100     222    27314 SH       SOLE           1      16810       0   10504
INTERVOICE INC                 NEW COM           461142101       8     1005 SH       SOLE           1          0       0    1005
INTUIT                                           461202103       1       24 SH       SOLE           1         24       0       0
INVESTMENT GRADE MUNICIPAL
   INCOME FUND                                   461368102     117     9055          DEFINED        1       9055       0       0
IRON MTN INC                   COM               462846106     155     4195 SH       SOLE           1        174       0    4021
ISHARES RUSSELL MIDCAP VALUE                     464287473      71      500 SH       SOLE           1          0       0     500
ISHARES TR RUSSELL MCP GR                        464287481      80      700 SH       SOLE           1          0       0     700
ISHARES RUSSELL MID CAP INDEX
   FUND                                          464287499     155     1500 SH       SOLE           1          0       0    1500
ISHARES TR RUSSELL 2000 VALUE
   INDEX FD                                      464287630      70      997 SH       SOLE           1          0       0     997
ISHARES RUSSELL 2000 GROWTH
   INDEX FUND                                    464287648     100     1198 SH       SOLE           1        200       0     998
ISHARES TRUST RUSSELL 2000
   INDEX                                         464287655     236     3104 SH       SOLE           1          0       0    3104



                                        9





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
ISHARES TR DOW JONES REAL
   ESTATE INDEX FUND                             464287739      34      520 SH       SOLE           1        520       0       0
ISHARES S&P SMALL CAP 600
   GROWTH INDEX FUND                             464287887      13      100 SH       SOLE           1        100       0       0
JPMORGAN CHASE & CO            COM               46625H100     283     6475 SH       SOLE           1       4710       0    1765
JPMORGAN CHASE & CO            COM               46625H100      85     1956 SH       DEFINED        1          0    1956       0
JOHNSON & JOHNSON                                478160104    1666    24977 SH       SOLE           1      23577       0    1400
JOHNSON & JOHNSON                                478160104     474     7100 SH       DEFINED        1       5900    1200       0
JOHNSON CONTROLS INC                             478366107     274     7593 SH       SOLE           1       1898       0    5695
KBR INC                        COM               48242W106      84     2158 SH       SOLE           1          0       0    2158
KBW INC                        COM               482423100       7      284 SH       SOLE           1          0       0     284
KANSAS CITY SOUTHERN           COM NEW           485170302      94     2728 SH       SOLE           1          0       0    2728
KELLOGG CO                                       487836108      23      446 SH       SOLE           1        446       0       0
KENDLE INTERNATIONAL INC       COM               48880L107      17      340 SH       SOLE           1          0       0     340
KENEXA CORP                    COM               488879107       4      215 SH       SOLE           1          0       0     215
KENNAMETAL INC                 COM               489170100      11      290 SH       SOLE           1          0       0     290
KEYCORP                        NEW               493267108      30     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      13      232 SH       SOLE           1        232       0       0
KONINKLIJKE PHLPS ELECTRS N V
   SP                          ADR NEW           500472303     171     3997 SH       SOLE           1          0       0    3997
KOOKMIN BANK F                 ADR               50049M109      60      816 SH       SOLE           1         29       0     787
KRAFT FOODS                                      50075N104     157     4804 SH       SOLE           1       4426       0     378
KRISPY KREME DOUGHNUTS INC     COM               501014104       0        1 SH       SOLE           1          1       0       0
KROGER CO                                        501044101       4      150 SH       SOLE           1        150       0       0
LHC GROUP INC                  COM               50187A107      12      489 SH       SOLE           1          0       0     489
LSI CORPORATION                COM               502161102       0        6 SH       SOLE           1          6       0       0
LABORATORY CORP AMER HLDGS     COMNEW            50540R409      74      978 SH       SOLE           1          0       0     978
LAS VEGAS SANDS CORP                             517834107       1       11 SH       SOLE           1         11       0       0
LEAP WIRELESS INTL INC         COM NEW           521863308     101     2176 SH       SOLE           1          0       0    2176
LEGG MASON INC                                   524901105      59      804 SH       SOLE           1          0       0     804
LEHMAN BROTHERS HOLDINGS       COM               524908100     257     3922 SH       SOLE           1       2415       0    1507
LENNOX INTL INC                COM               526107107      16      380 SH       SOLE           1          0       0     380
LEVEL 3 COMMUNICATIONS INC                       52729N100      93    30748 SH       SOLE           1       4685       0   26063
LIBERTY ALL STAR EQUITY FD                       530158104      87    12381 SH       SOLE           1      12381       0       0
LIFECELL CORP                  COM               531927101      23      535 SH       SOLE           1          0       0     535
ELI LILLY & CO                                   532457108     101     1900 SH       SOLE           1       1900       0       0
ELI LILLY & CO                                   532457108      69     1300 SH       DEFINED        1       1300       0       0
LIMITED BRANDS, INC                              532716107     191    10089 SH       SOLE           1       6765       0    3324
LINCOLN ELECTRIC CO HOLDINGS                     533900106      14      202 SH       SOLE           1          0       0     202
LINCOLN NATIONAL CORP          IND               534187109      11      185 SH       SOLE           1          0       0     185
LIQUIDITY SERVICES INC         COM               53635B107      11      865 SH       SOLE           1          0       0     865
LLOYDS TSB GROUP PLC           ADR               539439109     186     4949 SH       SOLE           1        176       0    4773
LOCKHEED MARTIN CORP                             539830109      89      845 SH       SOLE           1        845       0       0
LOWES CO INC                                     548661107     222     9834 SH       SOLE           1       9834       0       0
M & T BANK CORP                                  55261F104     163     2000 SH       SOLE           1       2000       0       0
MSC INDL DIRECT CO A                             553530106      13      310 SH       SOLE           1          0       0     310
MACYS INC                                        55616P104       2       80 SH       SOLE           1         80       0       0
MAGELLAN MIDSTREAM PARTNERS LP                   559080106      11      250 SH       SOLE           1        250       0       0
MANULIFE FINANCIAL CORP                          56501R106    1398    34300 SH       SOLE           1      34300       0       0
MARATHON OIL CORP                                565849106      17      281 SH       SOLE           1         76       0     205
MARRIOTT INTL INC              NEW CL A          571903202     171     4991 SH       SOLE           1        207       0    4784
MATRIX SVC CO                  COM               576853105      13      610 SH       SOLE           1          0       0     610
MATTELL INC                                      577081102      10      500 SH       SOLE           1          0       0     500
MCDERMOTT INTL INC             COM               580037109      46      775 SH       SOLE           1          0       0     775
MCDONALD'S CORP                                  580135101      65     1100 SH       SOLE           1          0       0    1100



                                        10





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
MCGRATH RENTCORP                                 580589109       8      322 SH       SOLE           1          0       0     322
MCKESSON CORP                                    58155Q103       4       59 SH       SOLE           1         59       0       0
MEADWESTVACO CORP                                583334107      48     1547 SH       SOLE           1       1547       0       0
MEDCO HEALTH SOLUTIONS INC                       58405U102      40      399 SH       SOLE           1        399       0       0
MEDICAL ACTION INDUSTRIES INC                    58449L100       9      444 SH       SOLE           1         75       0     369
MEDTRONIC INC                  COM               585055106      15      300 SH       SOLE           1        300       0       0
MENS WEARHOUSE INC             COM               587118100       8      294 SH       SOLE           1          0       0     294
MERCK & CO INC                                   589331107     336     5786 SH       SOLE           1       4086       0    1700
MERRILL LYNCH & CO, INC                          590188108      25      470 SH       SOLE           1        320       0     150
METLIFE INC                    COM               59156R108      19      309 SH       SOLE           1        309       0       0
MICROS SYSTEMS INC                               594901100      10      149 SH       SOLE           1          0       0     149
MICROSOFT CORP                                   594918104     895    25161 SH       SOLE           1      12341       0   12820
MICRON TECHNOLOGY                                595112103      60     8224 SH       SOLE           1          0       0    8224
MICROSEMI CORP                                   595137100      10      454 SH       SOLE           1          0       0     454
MID-AMERICA APARTMENT CMNTYS                     59522J103      24      550 SH       DEFINED        1        550       0       0
MIDAS GROUP INC                                  595626102      10      666 SH       SOLE           1        666       0       0
MIDCAP SPDR TRUST SERIES 1                       595635103      16      100 SH       SOLE           1        100       0       0
MINDSPEED TECNOLOGIES                            602682106       0       58 SH       SOLE           1         58       0       0
MIRANT CORP                    NEW COM           60467R100     102     2616 SH       SOLE           1         29       0    2587
MIRANT CORP                    NEW WT SER A      60467R118       2       95 SH       SOLE           1         95       0       0
MITSUBISHI UFJ FINANCIAL
   GROUP INC                                     606822104     366    39222 SH       SOLE           1       1395       0   37827
MONEYGRAM INTERNATIONAL INC                      60935Y109       5      348 SH       SOLE           1        348       0       0
MONOTYPE IMAGING HOLDINGS IN   COM               61022P100      14      925 SH       SOLE           1          0       0     925
MONRO MUFFLER BRAKE INC        COM               610236101       8      392 SH       SOLE           1          0       0     392
MONSANTO CO.                   (NEW)             61166W101      48      434 SH       SOLE           1        434       0       0
MONTGOMERY STREET INCOME
   SECURITIES, INC                               614115103      19     1160 SH       SOLE           1       1160       0       0
MOODYS CORP                                      615369105      68     1905 SH       SOLE           1          0       0    1905
MOOG INC                       CL A              615394202      14      309 SH       SOLE           1          0       0     309
MORGAN STANLEY DEAN WITTER
   DISCOVER & CO                                 617446448     152     2870 SH       SOLE           1       2870       0       0
MORGAN STANLEY DEAN WITTER
   DISCOVER & CO                                 617446448      14      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      59     4000 SH       SOLE           1       4000       0       0
MURPHY OIL CORP                COM               626717102   12134   143024 SH       SOLE           1     137024       0    6000
MURPHY OIL CORP                COM               626717102  644700  7599012 SH       DEFINED        1          0 7599012       0
MYLAN INC                      COM               628530107      24     1700 SH       SOLE           1       1700       0       0
 NBTY INC                      COM               628782104      52     1915 SH       SOLE           1          0       0    1915
NII HLDGS INC                  CL B NEW          62913F201     134     2769 SH       SOLE           1          0       0    2769
NRG ENERGY INC                 COM NEW           629377508      90     2070 SH       SOLE           1          0       0    2070
NTT DOCOMO INC                 SPONS ADR         62942M201     197    12012 SH       SOLE           1        429       0   11583
NASDAQ STOCK MARKET INC        COM               631103108     127     2570 SH       SOLE           1          0       0    2570
NATCO GROUP INC                CL A              63227W203      15      270 SH       SOLE           1          0       0     270
NATIONAL CITY CORP             COM               635405103       1       45 SH       SOLE           1         45       0       0
NEENAH PAPER INC                                 640079109       0       15 SH       SOLE           1         15       0       0
NEUSTAR INC                    CL A              64126X201      17      580 SH       SOLE           1          0       0     580
NEWMONT MINING CORP                              651639106     321     6569 SH       SOLE           1       4020       0    2549
NEWPARK RESOURCES, INC                           651718504       0        8 SH       SOLE           1          8       0       0
NEWS CORP                                        65248E104     222    10837 SH       SOLE           1        450       0   10387
NFJ DIV INT & PREM STRATEGY                      65337H109      45     1913 SH       SOLE           1       1913       0       0
NIPPON TEL & TEL               SPON ADR          654624105     180     7320 SH       SOLE           1        250       0    7070
NISOURCE INC                                     65473P105       4      200 SH       SOLE           1        200       0       0
NISSAN MOTORS                  SPONSORED ADR     654744408     164     7577 SH       SOLE           1        270       0    7307
NOKIA CORP                     SPND ADR          654902204     441    11487 SH       SOLE           1          0       0   11487
NORDSON CORP                   COM               655663102      13      218 SH       SOLE           1          0       0     218
NORDSTROM INC                                    655664100      60     1624 SH       SOLE           1          0       0    1624
NORFOLK SO CORP                                  655844108     317     6289 SH       SOLE           1       4315       0    1974
NORTHERN TRUST COMPANY NTRS                      665859104     136     1780 SH       SOLE           1       1780       0       0



                                       11





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
NORTHERN TRUST COMPANY NTRS                      665859104     276     3600 SH       DEFINED        1       3600       0       0
NORTHWEST AIRLS CORP           COM               667280408      23     1604 SH       SOLE           1          0       0    1604
NOVARTIS AG                    SPONSORED ADR     66987V109     732    13472 SH       SOLE           1        511       0   12961
NUVEEN INSD PREMIUM INCOME
   MUNI FD                                       6706D8104     109     8938          SOLE           1       8938       0       0
NUVEEN EQUITY PREM ADVANTAGE                     6706ET107      25     1517 SH       SOLE           1       1517       0       0
NUVEEN PREMIUM INCOME MUN
   FUND 4                                        6706K4105      23     2000          DEFINED        1       2000       0       0
NUVEEN INSURED QUALITY
   MUNICIPAL FD (CLOSED END)                     67062N103      63     4700          SOLE           1       4700       0       0
NUVEEN PERFORMANCE PLUS
   MUNICIPAL FD                                  67062P108     124     9285          DEFINED        1       9285       0       0
NVIDIA CORPORATION                               67066G104     193     5680 SH       SOLE           1        236       0    5444
NUVEEN DIV ADVANTAGE MUN FD                      67070F100      20     1350          SOLE           1       1350       0       0
NUVEEN INSURED ADVANTAGE                         67071L106      46     3400          SOLE           1       3400       0       0
NUVEEN MUN VALUE FD INC                          670928100     422    45231          SOLE           1      45231       0       0
NUVEEN MUN VALUE FD INC                          670928100      93    10000          DEFINED        1      10000       0       0
NUVEEN SELECT QUALITY
   MUNICIPAL FUND                                670973106      23     1650          SOLE           1       1650       0       0
NUVEEN INSURED MUNICIPAL
   OPPORTUNITY FUND INC                          670984103     101     7600          SOLE           1       7600       0       0
NUVEEN PREMIER INSURED MUN
   INCOME FUND INC                               670987106      13     1000          DEFINED        1       1000       0       0
OYO GEOSPACE CORP              COM               671074102       9      125 SH       SOLE           1          0       0     125
OCCIDENTAL PETE COR            DEL               674599105      72      937 SH       SOLE           1        722       0     215
OIL STATES INTERNATIONAL INC                     678026105      10      294 SH       SOLE           1          0       0     294
OMNICARE INC                   COM               681904108      47     2066 SH       SOLE           1          0       0    2066
OMNICOM GROUP                                    681919106      16      342 SH       SOLE           1        342       0       0
OMNITURE INC                   COM               68212S109      13      385 SH       SOLE           1          0       0     385
ON SEMICONDUCTOR CORP          COM               682189105      67     7509 SH       SOLE           1          0       0    7509
ORACLE SYSTEMS CORP                              68389X105      22      981 SH       SOLE           1        981       0       0
ORIX CORP                                        686330101       5       55 SH       SOLE           1          0       0      55
OTELCO INC                                       688823202       7      500 SH       SOLE           1        500       0       0
OWENS & MINOR INC              NEW COM           690732102       9      218 SH       SOLE           1          0       0     218
P.A.M. TRANSPORTATION
   SERVICES, INC                                 693149106       2      100 SH       SOLE           1        100       0       0
PG&E CORP                                        69331C108      18      418 SH       SOLE           1        418       0       0
PMC SIERRA INC                                   69344F106      91    13900 SH       SOLE           1          0       0   13900
PACTIV COPR                                      695257105      24      897 SH       SOLE           1        897       0       0
PANERA BREAD COMPANY                             69840W108      60     1673 SH       SOLE           1          0       0    1673
PEDIATRIX MEDICAL GROUP INC                      705324101      14      207 SH       SOLE           1          0       0     207
PENN NATL GAMING INC           COM               707569109      50      835 SH       SOLE           1          0       0     835
PEPSI BOTTLING GROUP INC                         713409100       1       33 SH       SOLE           1         33       0       0
PEPSIAMERICAS INC                                71343P200     133     4000 SH       SOLE           1       4000       0       0
PEPSICO INC                    COM               713448108    1478    19479 SH       SOLE           1      15786       0    3693
PEPSICO INC                    COM               713448108     116     1530 SH       DEFINED        1        430    1100       0
PERFICIENT INC                 COM               71375U101      13      820 SH       SOLE           1          0       0     820
PT TELEKOM INDONESIA           ADR               715684106      67     1604 SH       SOLE           1         57       0    1547
PETROHAWK ENERGY CORP                            716495106      11      643 SH       SOLE           1          0       0     643
PETROBRAS                                        71654V408     117     1014 SH       SOLE           1         31       0     983
PETROQUEST ENERGY INC          COM               716748108      14      948 SH       SOLE           1          0       0     948
PETSMART INC                                     716768106      63     2671 SH       SOLE           1          0       0    2671
PFIZER INC                                       717081103     413    18199 SH       SOLE           1      16399       0    1800
PFIZER INC                                       717081103      57     2500 SH       DEFINED        1       1800     700       0
PHARMERICA CORP                COM               71714F104       0        3 SH       SOLE           1          3       0       0
PHASE FORWARD INC              COM               71721R406      15      698 SH       SOLE           1          0       0     698



                                       12





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
PHILLIPS VAN HEUSEN CORP       COM               718592108      59     1601 SH       SOLE           1          0       0    1601
PHOENIX TECHNOLOGY LTD         COM               719153108      24     1890 SH       SOLE           1          0       0    1890
PIMCO MUNI INCOME FUND III                       72201A103      19     1333          SOLE           1       1333       0       0
PINNACLE ENTMT INC             COM               723456109     110     4687 SH       SOLE           1          0       0    4687
PITNEY BOWES INC               COM               724479100       0       13 SH       SOLE           1         13       0       0
PLUM CREEK TIMBER CO INC                         729251108      23      500 SH       SOLE           1        500       0       0
POLARIS INDS INC                                 731068102       5      100 SH       SOLE           1          0       0     100
POWERSHARES QQQ TR                               73935A104       0        1 SH       SOLE           1          1       0       0
PRAXAIR INC                    COM               74005P104      42      478 SH       SOLE           1        478       0       0
PRECISION CASTPARTS CORP       COM               740189105     215     1552 SH       SOLE           1         64       0    1488
PRIDE INTL INC                 DEL               74153Q102      34      997 SH       SOLE           1          0       0     997
PRIMEWEST ENERGY TRUST UNIT    NEW               741930309      54     1999 SH       SOLE           1       1999       0       0
PRINCIPAL FINANCIAL GROUP                        74251V102      88     1283 SH       SOLE           1       1283       0       0
PROCTER & GAMBLE CO            COM               742718109    1660    22615 SH       SOLE           1      15919       0    6696
PROCTER & GAMBLE CO            COM               742718109     514     7000 SH       DEFINED        1       7000       0       0
PROGRESS ENERGY INC            COM               743263105      28      577 SH       SOLE           1        577       0       0
PROLOGIS SH BEN INT            COM               743410102       1       12 SH       SOLE           1         12       0       0
PROSPERITY BANCSHARES INC      COM               743606105      13      442 SH       SOLE           1          0       0     442
PROVIDENT BANKSHARES, INC                        743859100       3      160 SH       SOLE           1          0       0     160
PRUDENTIAL PLC                 ADR               74435K204       8      265 SH       SOLE           1          0       0     265
PSYCHIATRIC SOLUTIONS                            74439H108      22      675 SH       SOLE           1          0       0     675
PUBLIC SVC ENTERPRISE GROUP
   INC                                           744573106      32      330 SH       SOLE           1        330       0       0
PUBLIC STORAGE, INC REIT                         74460D109      33      456 SH       SOLE           1        456       0       0
PUTNAM MANAGED MUNICIPAL
   INCOME TRUST                                  746823103       2      250          SOLE           1        250       0       0
QIMONDA AG                     SPONSORED ADR     746904101     121    16859 SH       SOLE           1      10907       0    5952
QUALCOMM INC                                     747525103     302     7682 SH       SOLE           1        319       0    7363
QUANTUM FUEL SYS TECHNOLOGIES  COM               74765E109       0      285 SH       SOLE           1        285       0       0
QUEST DIAGNOSTICS INC                            74834L100      84     1592 SH       SOLE           1          0       0    1592
RMK HIGH INCOME FUND                             74963B105       5     1008 SH       SOLE           1       1008       0       0
RMK STATEGIC INCOME FD                           74963H102       6     1300 SH       SOLE           1       1300       0       0
RALCORP HOLDINGS               NEW COM           751028101      16      263 SH       SOLE           1          0       0     263
RANGE RESOURCES CORP                             75281A109      77     1500 SH       SOLE           1          0       0    1500
RAYMOND JAMES FINANCIAL CORP                     754730109      21      628 SH       SOLE           1          0       0     628
RAYTHEON CO                    NEW               755111507     293     4828 SH       SOLE           1        531       0    4297
REED ELSEVIER N V              SPONSORED ADR     758204101       7      175 SH       SOLE           1          0       0     175
REED ELSEVIER PLC              SPON ADR          758205108     266     4942 SH       SOLE           1          0       0    4942
REGAL BELOIT CORP              COM               758750103      12      259 SH       SOLE           1          0       0     259
REGAL ENTMT GROUP              CL A              758766109      68     3786 SH       SOLE           1          0       0    3786
REGIS CORPORATION-MN                             758932107       8      270 SH       SOLE           1          0       0     270
REGIONS FINANCIAL CORP         NEW               7591EP100    1185    50107 SH       SOLE           1      49337       0     770
REGIONS FINANCIAL CORP         NEW               7591EP100      52     2205 SH       DEFINED        1          0    2205       0
RELIANT ENERGY INC                               75952B105     100     3817 SH       SOLE           1       1022       0    2795
RENASANT CORP                  COM               75970E107      45     2109 SH       SOLE           1        975       0    1134
REPSOL YPF                     ADR               76026T205     142     3975 SH       SOLE           1          0       0    3975
REYNOLDS AMERICAN INC                            761713106      13      195 SH       SOLE           1          0       0     195
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      13      177 SH       SOLE           1        177       0       0
ROFIN SINAR TECHNOLOGIES INC   COM               775043102      15      302 SH       SOLE           1          0       0     302



                                       13





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
ROWAN COMPANIES INC                              779382100     133     3370 SH       SOLE           1          0       0    3370
ROYAL BK SCOTLAND GROUP ADR
   PREF                        SHS SER Q         780097754      25     1200 SH       SOLE           1       1200       0       0
ROYAL DUTCH SHELL PLC          SPON ADR B        780259107     204     2459 SH       SOLE           1         87       0    2372
ROYAL DUTCH SHELL PLC          SPON ADR B        780259107     129     1551 SH       DEFINED        1       1551       0       0
ROYAL DUTCH SHELL PLC                            780259206      13      160 SH       SOLE           1          0       0     160
ROYAL DUTCH SHELL PLC                            780259206     269     3200 SH       DEFINED        1       3200       0       0
ROYCE FOCUS TRUST INC                            78080N108       3      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
STANDARD & POORS DEP RECEIPTS                    78462F103      22      150 SH       SOLE           1        150       0       0
SABINE ROYALTY TRUST                             785688102     137     3200 SH       SOLE           1          0       0    3200
SANOFI-AVENTIS                 ADR               80105N105     360     7905 SH       SOLE           1        275       0    7630
SAVVIS INC                     COM NEW           805423308     134     4787 SH       SOLE           1          0       0    4787
SCANA CORP                     NEW               80589M102      49     1157 SH       SOLE           1       1157       0       0
SCHERING PLOUGH CORP           COM               806605101     378    14184 SH       SOLE           1      14184       0       0
 SCHLUMBERGER LTD              COM               806857108     489     4968 SH       SOLE           1       1740       0    3228
THE CHARLES SCHWAB CORP                          808513105     326    12774 SH       SOLE           1        531       0   12243
SCIENTIFIC GAMES CORP          CL A              80874P109      78     2353 SH       SOLE           1          0       0    2353
SCOTTS MIRACLE GRO CO          CL A              810186106      10      276 SH       SOLE           1          0       0     276
SEMPRA ENERGY                  COM               816851109      13      210 SH       SOLE           1          0       0     210
SHIRE PLC                      ADR               82481R106      10      146 SH       SOLE           1        146       0       0
SHUTTERFLY INC                 COM               82568P304      10      385 SH       SOLE           1          0       0     385
SIGNET GROUP PLC SP            ADR REP 10        82668L872       1      105 SH       SOLE           1          0       0     105
SIGNATURE BK NEW YORK N Y      COM               82669G104      10      310 SH       SOLE           1          0       0     310
SIMMONS 1ST NATL CORP          CL A $1 PAR       828730200     323    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       1       61 SH       SOLE           1         61       0       0
SMITH MICRO SOFTWARE INC       COM               832154108       9     1065 SH       SOLE           1          0       0    1065
SONY CORP                                        835699307     431     7930 SH       SOLE           1          0       0    7930
SOTHEBYS HLDGS INC             CL A              835898107      15      395 SH       SOLE           1          0       0     395
SOUTHERN CO                    COM               842587107     358     9250 SH       SOLE           1       8950       0     300
SOUTHERN CO                    COM               842587107     156     4021 SH       DEFINED        1       4021       0       0
SOUTHWESTERN ENERGY CO                           845467109      91     1625 SH       SOLE           1          0       0    1625
SPECTRA ENERGY                                   847560109      12      458 SH       SOLE           1        458       0       0
SPRINT NEXTEL CORP             COMSER 1          852061100     659    50200 SH       SOLE           1      50200       0       0
STAGE STORES INC               COM NEW           85254C305       6      391 SH       SOLE           1          0       0     391
STAPLES INCORPORATED (RETAIL
   & DELIVERY)                                   855030102     226     9810 SH       SOLE           1        411       0    9399
STARBUCKS CORP                                   855244109      33     1624 SH       SOLE           1         81       0    1543
STARWOOD HOTELS & RESORTS
   WORLDWIDE INC               COM               85590A401      23      520 SH       SOLE           1        520       0       0
STATOIL ASA                    SPON ADR          85771P102     200     6551 SH       SOLE           1          0       0    6551
STRYKER CORP                                     863667101     253     3380 SH       SOLE           1        140       0    3240
SUBURBAN PROPANE PARTNERS L P                    864482104      20      500 SH       SOLE           1        500       0       0
SUN MICROSYSTEMS INC           COM               866810203       9      500 SH       SOLE           1        500       0       0
SUNCOR ENERGY INC                                867229106     112     1034 SH       SOLE           1       1034       0       0
SUNRISE SENIOR LIVING INC      COM               86768K106      12      385 SH       SOLE           1          0       0     385
SUNTRUST BANKS INC             COM               867914103     170     2717 SH       SOLE           1       2243       0     474
 SUPERIOR ENERGY SERVICES INC                    868157108       9      262 SH       SOLE           1          0       0     262
SYBASE INC                     COM               871130100      17      634 SH       SOLE           1          0       0     634
SYMANTEC                                         871503108     210    13031 SH       SOLE           1       8008       0    5023



                                       14





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
SYNCHRONOSS TECHNOLOGIES INC   COM               87157B103      21      606 SH       SOLE           1          0       0     606
SYSCO CORP                                       871829107      27      863 SH       SOLE           1        863       0       0
TECO ENERGY INC                COM               872375100       9      527 SH       SOLE           1        527       0       0
TJX COMPANIES                                    872540109      16      543 SH       SOLE           1        543       0       0
TAIWAN SEMICONDUCTOR MFG CO
   LTD                         ADR'S             874039100      76     7648 SH       SOLE           1          0       0    7648
TALISMAN ENERGY INC            COM               87425E103       5      290 SH       SOLE           1          0       0     290
TARGET CORP                                      87612E106     483     9653 SH       SOLE           1       4146       0    5507
TARGET CORP                                      87612E106       3       55 SH       DEFINED        1         55       0       0
TASER INT'L UTS                                  87651B104      16     1120 SH       SOLE           1          0       0    1120
TEAM INC                                         878155100       8      227 SH       SOLE           1          0       0     227
TELE NORTE LESTE                                 879246106       3      150 SH       SOLE           1          0       0     150
TELEFLEX INC                   COM               879369106      13      202 SH       SOLE           1          0       0     202
TELEFONOS DE MEXICO SA DE CV   SPONS ADR         879403780      12      314 SH       SOLE           1        314       0       0
TEMPLE INLAND INC              COM               879868107      29     1400 SH       SOLE           1       1400       0       0
TN COMMERCE BK                                   88043P108       5      200 SH       SOLE           1        200       0       0
TERRA INDUSTRIES INC                             880915103       1       15 SH       SOLE           1         15       0       0
TESCO CORP                     COM               88157K101      15      530 SH       SOLE           1          0       0     530
TEVA PHARMACEUTICAL            IND ADR'S         881624209     102     2191 SH       SOLE           1         71       0    2120
TEXAS INSTRUMENTS                                882508104     288     8611 SH       SOLE           1       1356       0    7255
THERMO FISHER SCIENTIFIC INC                     883556102     265     4588 SH       SOLE           1        205       0    4383
THESTREET COM                  COM               88368Q103      14      875 SH       SOLE           1          0       0     875
THOMAS MULTIMEDIA              ADR               885118109     239    17035 SH       SOLE           1        608       0   16427
3M CO                                            88579Y101     345     4091 SH       SOLE           1       1691       0    2400
TIFFANY & CO                   NEW               886547108      42      904 SH       SOLE           1        904       0       0
TIME WARNER INC                                  887317105      63     3792 SH       SOLE           1       3792       0       0
TIME WARNER TELECOM INC        CL A              887319101      72     3575 SH       SOLE           1          0       0    3575
TITANIUM METALS CORP           COM NEW           888339207      91     3447 SH       SOLE           1          0       0    3447
TORONTO-DOMINION BANK          ADR               891160509       7       94 SH       SOLE           1         94       0       0
TOTAL FINA ELF S.A.            ADR               89151E109     361     4366 SH       SOLE           1        151       0    4215
TOWER GROUP INC                COM               891777104      19      560 SH       SOLE           1          0       0     560
TOYOTA MOTOR CORP              ADR NEW           892331307     208     1955 SH       SOLE           1         68       0    1887
TRAVELERS COMPANIES INC        COM               89417E109     229     4253 SH       SOLE           1       2709       0    1544
TRIARC COMPANIES "B" SR1                         895927309       8      950 SH       SOLE           1          0       0     950
TRIUMPH GROUP INC              NEW COM           896818101      22      270 SH       SOLE           1          0       0     270
TRUSTMARK CORP COM                               898402102     397    15659 SH       SOLE           1      15659       0       0
TYLER TECHNOLOGIES INC         COM               902252105       7      580 SH       SOLE           1          0       0     580
UGI CORP                       NEW               902681105      14      502 SH       SOLE           1        502       0       0
USA TRUCK INC -RESTRICTED                        902925106     379    24613 SH       SOLE           1      24613       0       0
US BANCORP                     DEL NEW           902973304      21      649 SH       SOLE           1        649       0       0
URS CORP                       NEW COM           903236107      12      228 SH       SOLE           1          0       0     228
U S AIRWAYS GROUP INC          COM               90341W108      61     4133 SH       SOLE           1          0       0    4133
UAP HLDG CORP                  COM               903441103      27      705 SH       SOLE           1          0       0     705
ULTRA CLEAN HLDGS INC          COM               90385V107       7      572 SH       SOLE           1          0       0     572
ULTRA PETROLEUM CORP-CAD                         903914109     110     1536 SH       SOLE           1          0       0    1536
UNILEVER NV NY                 NEW               904784709     384    10541 SH       SOLE           1        374       0   10167
UNION PACIFIC CORP                               907818108      25      200 SH       SOLE           1        200       0       0
UNION PACIFIC CORP                               907818108     276     2200 SH       DEFINED        1          0    2200       0
UNITED BANCSHARES INC W VA                       909907107       6      219 SH       SOLE           1          0       0     219
UNITED FIRE & CAS CO           COM               910331107      11      388 SH       SOLE           1          0       0     388
UNITED INDUSTRIAL CORP                           910671106      14      179 SH       SOLE           1        179       0       0
UNITED PARCEL SERVICE - CLB                      911312106       1       10 SH       SOLE           1         10       0       0
UNITED TECHNOLOGIES CORP                         913017109     366     4777 SH       SOLE           1        132       0    4645
UNITED THERA PEUTICS CORP                        91307C102      12      125 SH       SOLE           1          0       0     125
UNITEDHEALTH GROUP                               91324P102       1       13 SH       SOLE           1         13       0       0



                                       15





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
UNIVERSAL HEALTH SERVICES INC  CL B              913903100      81     1585 SH       SOLE           1          0       0    1585
VF CORPORATION                                   918204108      10      140 SH       SOLE           1          0       0     140
VALSPAR CORP                   COM               920355104      10      465 SH       SOLE           1          0       0     465
VALUECLICK INC                 COM               92046N102      14      660 SH       SOLE           1          0       0     660
VARIAN MEDICAL SYSTEMS                           92220P105      92     1760 SH       SOLE           1          0       0    1760
VASCO DATA SEC INTL INC        COM               92230Y104      14      515 SH       SOLE           1          0       0     515
VECTREN CORP                   COM               92240G101      16      553 SH       SOLE           1          0       0     553
VERIZON COMMUNICATIONS                           92343V104     542    12401 SH       SOLE           1       5816       0    6585
VERIZON COMMUNICATIONS                           92343V104     110     2517 SH       DEFINED        1       1719     798       0
 VIAD CORPORATION                                92552R406       3       87 SH       SOLE           1         87       0       0
VIGNETTE CORP                  COM NEW           926734401       8      574 SH       SOLE           1          0       0     574
VISTEON CORP                                     92839U107       1      123 SH       SOLE           1        123       0       0
VODAFONE GROUP PLC             NEW SPONS ADR NEW 92857W209     619    16599 SH       SOLE           1       1924       0   14675
VODAFONE GROUP PLC             NEW SPONS ADR NEW 92857W209      18      494 SH       DEFINED        1          0     494       0
W.P.CAREY & CO., LLC                             92930Y107      17      500 SH       SOLE           1        500       0       0
WPP GROUP PLC                  SPON ADR 0905     929309409     331     5142 SH       SOLE           1       3176       0    1966
WACHOVIA CORP                  NEW COM           929903102      35      924 SH       SOLE           1        674       0     250
WACHOVIA CORP                  NEW COM           929903102      11      300 SH       DEFINED        1        300       0       0
WADDELL & REED FINANCIAL INC   CLASS A           930059100      16      452 SH       SOLE           1          0       0     452
WAL MART STORES INC            COM               931142103    1299    27329 SH       SOLE           1      24529       0    2800
WAL MART STORES INC            COM               931142103      55     1166 SH       DEFINED        1       1166       0       0
WALGREEN CO                    COM               931422109      61     1608 SH       SOLE           1       1608       0       0
WASHINGTON MUTUAL INC                            939322103       7      525 SH       SOLE           1        525       0       0
WASTE CONNECTIONS INC                            941053100       8      270 SH       SOLE           1          0       0     270
WEINGARTEN RLTY INVS                             948741103       9      300 SH       SOLE           1          0       0     300
WELLPOINT INC                  COM               94973V107     265     3019 SH       SOLE           1        125       0    2894
WELLS FARGO & CO.              NEW               949746101      15      500 SH       SOLE           1        500       0       0
WELLS FARGO & CO.              NEW               949746101      12      400 SH       DEFINED        1        400       0       0
WESCO INTL INC                 COM               95082P105       9      236 SH       SOLE           1          0       0     236
WESTAR ENERGY INC                                95709T100      26      991 SH       SOLE           1        700       0     291
WESTERN ASSET HIGH INCOME
   OPPORTUNITY FD              COM               95766K109       3      500 SH       SOLE           1        500       0       0
WESTERN ASSET VAR RATE                           957667108      40     2538 SH       SOLE           1       2538       0       0
WESTERN UNION CO                                 959802109     472    19454 SH       SOLE           1      11953       0    7501
WHIRLPOOL CORP                                   963320106       9      110 SH       SOLE           1          0       0     110
WHITNEY HOLDING CORP           COMMON            966612103      11      415 SH       SOLE           1        175       0     240
WILLIAMS COMPANY               COMMON            969457100      22      623 SH       SOLE           1        623       0       0
WINDSTREAM, INC                                  97381W104      23     1768 SH       SOLE           1        891       0     877
WRIGHT MEDICAL GROUP                             98235T107      19      655 SH       SOLE           1          0       0     655
WE WRIGLEY JR. COMPANY                           982526105      21      360 SH       SOLE           1        360       0       0
WYETH                                            983024100     200     4521 SH       SOLE           1       2858       0    1663
WYNDHAM WORLDWIDE CORP                           98310W108     240    10206 SH       SOLE           1       4519       0    5687
XM SATELLITE                                     983759101       1      100 SH       SOLE           1          0       0     100
XT0 ENERGY INC                                   98385X106     358     6969 SH       SOLE           1        579       0    6390
XCEL ENERGY INC                                  98389B100      24     1054 SH       SOLE           1       1054       0       0
YUM BRANDS INC                                   988498101      49     1292 SH       SOLE           1       1292       0       0
ZIMMER HLDGS INC                                 98956P102       3       40 SH       SOLE           1         40       0       0
ZUMIEZ INC                     COM               989817101       5      220 SH       SOLE           1          0       0     220
ZWEIG TOTAL RETURN FUND                          989837109       1      134 SH       SOLE           1          0       0     134
BANCORPSOUTH INC                                 059692103     296    12516          SOLE                  12516       0       0
GENERAL ELECTRIC CO COM                          369604103     348     9397          SOLE                   9397       0       0
ISHARES TR MSCI EAFE INDEX FD                    464287465     225     2860          SOLE                   2860       0       0
ISHARES TR S&P MIDCAP
   400 INDEX FD                                  464287507     333     3915          SOLE                   3915       0       0
ISHARES TR RUSSELL
   1000 GROWTH INDEX FD                          464287614     371     6100          SOLE                   6100       0       0



                                        16





                                                                                                           **VOTING AUTHORITY**
                                                           MKT VAL          SH/ PUT/ INVESTMENT   OTHER  -----------------------
        NAME OF ISSUER           TITLE OF CLASS    CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   SHARED   NONE
------------------------------ ----------------- --------- ------- -------- --- ---- ---------- -------- ------- ------- -------
                                                                                        
PROCTER & GAMBLE CO                              742718109     248     3372          SOLE                   3372       0       0
POWERSHARES QQQ TR UNIT SER 1                    73935A104     226     4411          SOLE                   4411       0       0
REGIONS FINL CORP NEW COM                        7591EP100     403    17026          SOLE                  17026       0       0
STANDARD & POORS
   DEPOSITARY RECEIPTS
   (SPDR'S) UNITS OF
   UNDIVIDED BENEFICIAL
   INTEREST                                      78462F103    1242     8484          SOLE                   8484       0       0
GRAND TOTALS                                                809464 12085845                              2707223 8284035 1094587



                                       17