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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 9/30/2010

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

Institutional Investment Manager Filing this Report:

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

Form 13-F File Number: 028-00267

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

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:


/s/ Mark Czarnecki, President          Buffalo, New York      11/12/2010
---------------------------------   -----------------------   ----------
            [Signature]                  [City, State]           [Date]

Report Type (Check only one.):

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

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

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




                             FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                4
                                         ----------
Form 13-F Information Table Entry Total:      2,658
                                         ----------
Form 13-F Information Table Value Total:  2,909,716
                                         ----------
                                         (thousands)

List of Other Included Managers:

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

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

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




                                 SEC USE _______________________________________



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
ABB LTD SPON ADR       COMMON STOCK    000375204      29      1378 Shares           X                    1     1378       0        0
ABB LTD SPON ADR       COMMON STOCK    000375204      17       802 Shares                    X           1      802       0        0
ACCO BRANDS CORP       COMMON STOCK    00081T108       3       498 Shares           X                    1      498       0        0
AFLAC INC              COMMON STOCK    001055102     949     18343 Shares           X                    1    18343       0        0
AFLAC INC              COMMON STOCK    001055102     721     13947 Shares                    X           1    13547       0      400
AFLAC INC              COMMON STOCK    001055102    2572     49750 Shares           X                    2        0   20450    29300
AGIC INTL & PREMIUM
 STRATEGY F            PREFERRED STOCK 00119Q100      14      1000 Shares                    X           1        0       0        0
AGL RESOURCES INC      COMMON STOCK    001204106      28       722 Shares           X                    1      722       0        0
AGL RESOURCES INC      COMMON STOCK    001204106      15       400 Shares                    X           1      400       0        0
AES CORP COM           COMMON STOCK    00130H105     244     21469 Shares           X                    1    21469       0        0
AES CORP COM           COMMON STOCK    00130H105      50      4375 Shares                    X           1     2975       0     1400
AES CORP COM           COMMON STOCK    00130H105    6830    601825 Shares           X                    2        0  232359   369466
AK STEEL HOLDING
 CORP COM              COMMON STOCK    001547108       1        66 Shares           X                    1       66       0        0
AMN HEALTHCARE
 SERVICES INCORP       COMMON STOCK    001744101       2       457 Shares           X                    1      457       0        0
AOL INC                COMMON STOCK    00184X105      12       481 Shares           X                    1      481       0        0
AOL INC                COMMON STOCK    00184X105       3       127 Shares                    X           1      127       0        0
AOL INC                COMMON STOCK    00184X105     488     30143 Shares           X                    2        0   29875      268
AT&T INC               COMMON STOCK    00206R102   18845    658919 Shares           X                    1   647788       0    11131
AT&T INC               COMMON STOCK    00206R102   11122    388886 Shares                    X           1   342818       0    46068
AT&T INC               COMMON STOCK    00206R102   12155    425004 Shares           X                    2        0  102074   322930
AT&T INC               COMMON STOCK    00206R102     641     22414 Shares           X                    3    17409       0     5005
ATP OIL & GAS CORP
 COM                   COMMON STOCK    00208J108     341     25000 Shares           X                    2        0       0    25000
AVI BIOPHARMA INC      COMMON STOCK    002346104      16      9000 Shares           X                    1     9000       0        0
ABBOTT LABORATORIES    COMMON STOCK    002824100   10318    197521 Shares           X                    1   195521       0     2000
ABBOTT LABORATORIES    COMMON STOCK    002824100    4133     79117 Shares                    X           1    77697       0     1420
ABBOTT LABORATORIES    COMMON STOCK    002824100    2695     51581 Shares           X                    2        0   18450    33131
ABBOTT LABORATORIES    COMMON STOCK    002824100    1864     35680 Shares           X                    3    31232       0     4448
ABBOTT LABORATORIES    COMMON STOCK    002824100       2        46 Shares           X                    4       46       0        0
ABERCROMBIE & FITCH
 CO CL A               COMMON STOCK    002896207     160      4065 Shares           X                    1     3165       0      900
ABERCROMBIE & FITCH
 CO CL A               COMMON STOCK    002896207       7       175 Shares                    X           1      175       0        0
ABERDEEN AUSTRALIA
 EQUITY FUND           PREFERRED STOCK 003011103       6       500 Shares                    X           1        0       0        0
ABERDEEN EMERGING
 MKTS TELE             PREFERRED STOCK 00301T102       7       400 Shares           X                    1        0       0        0
ACME PACKET INC        COMMON STOCK    004764106      38      1000 Shares           X                    1     1000       0        0
ACME PACKET INC        COMMON STOCK    004764106    1043     27500 Shares           X                    3    27500       0        0
ACTIVISION BLIZZARD
 INC                   COMMON STOCK    00507V109      83      7665 Shares           X                    1     7665       0        0
ACTIVISION BLIZZARD
 INC                   COMMON STOCK    00507V109      66      6074 Shares                    X           1     6074       0        0
ACUITY BRANDS
 HOLDING COMPANY       COMMON STOCK    00508Y102    1846     41720 Shares           X                    2        0       0    41720
ADOBE SYS INC COM      COMMON STOCK    00724F101      29      1110 Shares           X                    1     1110       0        0
ADOBE SYS INC COM      COMMON STOCK    00724F101      29      1115 Shares                    X           1     1115       0        0
ADOBE SYS INC COM      COMMON STOCK    00724F101     740     28278 Shares           X                    2        0   12800    15478
ADTRAN INC COM         COMMON STOCK    00738A106     339      9595 Shares           X                    1     9595       0        0
ADTRAN INC COM         COMMON STOCK    00738A106    4145    117425 Shares           X                    3   117425       0        0
ADVANCE AUTO PARTS     COMMON STOCK    00751Y106      50       850 Shares           X                    1      850       0        0
AECOM TECHNOLOGY
 CORP                  COMMON STOCK    00766T100    1484     61182 Shares           X                    2        0   27882    33300
ADVANCED MICRO
 DEVICES INC COM       COMMON STOCK    007903107    1697    238724 Shares           X                    1   238724       0        0
ADVANCED MICRO
 DEVICES INC COM       COMMON STOCK    007903107       4       500 Shares                    X           1      500       0        0
ADVANCED MICRO
 DEVICES INC COM       COMMON STOCK    007903107    2785    391660 Shares           X                    3   391660       0        0
ADVANCED MICRO
 DEVICES INC COM       COMMON STOCK    007903107       4       598 Shares           X                    4      598       0        0
AEGON NV ORD AMER
 REG SHS               COMMON STOCK    007924103      38      6405 Shares           X                    1     6405       0        0
AES TRUST III PFD
 CONV 6.75% 1          PREFERRED STOCK 00808N202      20       400 Shares           X                    1        0       0        0
AES TRUST III PFD
 CONV 6.75% 1          PREFERRED STOCK 00808N202      16       325 Shares                    X           1        0       0        0
AES TRUST III PFD
 CONV 6.75% 1          PREFERRED STOCK 00808N202    5794    118780 Shares           X                    2        0   31180        0
AETNA INC NEW COM      COMMON STOCK    00817Y108     459     14507 Shares           X                    1    14507       0        0
AFFILIATED MANAGERS
 GROUP                 COMMON STOCK    008252108      11       145 Shares                    X           1      145       0        0
AFFILIATED MANAGERS
 GROUP                 COMMON STOCK    008252108      49       625 Shares           X                    3      625       0        0
AGILENT TECHNOLOGIES
 INC COM               COMMON STOCK    00846U101       8       243 Shares           X                    1      243       0        0
AGILENT TECHNOLOGIES
 INC COM               COMMON STOCK    00846U101      50      1510 Shares                    X           1      900       0      610
AGILENT TECHNOLOGIES
 INC COM               COMMON STOCK    00846U101      76      2288 Shares           X                    2        0       0     2288
AGNICO EAGLE MINES LTD COMMON STOCK    008474108       3        40 Shares           X                    1       40       0        0
AGRIUM INC             COMMON STOCK    008916108      37       500 Shares           X                    1      500       0        0
AIR PRODUCTS &
 CHEMICALS INC         COMMON STOCK    009158106    4013     48458 Shares           X                    1    47838       0      620
AIR PRODUCTS &
 CHEMICALS INC         COMMON STOCK    009158106    1364     16468 Shares                    X           1    15710       0      758



                                     1 of 43




                                 SEC USE _______________________________________



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
AIR PRODUCTS &
 CHEMICALS INC         COMMON STOCK    009158106    1630     19676 Shares           X                    3    18429       0     1247
AIR PRODUCTS &
 CHEMICALS INC         COMMON STOCK    009158106       2        22 Shares           X                    4       22       0        0
AIXTRON AG - SPONS
 ADR                   COMMON STOCK    009606104       2        54 Shares           X                    1       54       0        0
AKAMAI TECHNOLOGIES
 INC COM               COMMON STOCK    00971T101     814     16223 Shares           X                    1    16223       0        0
AKAMAI TECHNOLOGIES
 INC COM               COMMON STOCK    00971T101    1217     24267 Shares           X                    3    24267       0        0
ALBEMARLE CORP COM     COMMON STOCK    012653101    1048     22396 Shares           X                    1    22396       0        0
ALBEMARLE CORP COM     COMMON STOCK    012653101    1155     24675 Shares                    X           1    24675       0        0
ALBERTO-CULVER
 COMPANY               COMMON STOCK    013078100       9       236 Shares           X                    1      236       0        0
ALCOA INC COM          COMMON STOCK    013817101     546     45063 Shares           X                    1    44763       0      300
ALCOA INC COM          COMMON STOCK    013817101     259     21385 Shares                    X           1    19525       0     1860
ALCATEL-LUCENT -
 SPON ADR              COMMON STOCK    013904305       3       974 Shares           X                    1      974       0        0
ALCATEL-LUCENT -
 SPON ADR              COMMON STOCK    013904305       1       360 Shares                    X           1      328       0       32
ALCATEL-LUCENT -
 SPON ADR              COMMON STOCK    013904305       1       155 Shares           X                    2        0       0      155
ALEX & BALDWIN INC     COMMON STOCK    014482103    1516     43502 Shares           X                    1    43502       0        0
ALEX & BALDWIN INC     COMMON STOCK    014482103     188      5408 Shares                    X           1     5408       0        0
ALERE INC              COMMON STOCK    01449J105     196      6322 Shares           X                    1     6322       0        0
ALERE INC              COMMON STOCK    01449J105    1712     55350 Shares           X                    3    55350       0        0
ALEXANDRIA REAL
 ESTATE EQUITIE        COMMON STOCK    015271109       5        74 Shares           X                    1        0       0        0
ALEXION
 PHARMACEUTICALS
 INC CO                COMMON STOCK    015351109      56       875 Shares           X                    1      875       0        0
ALEXION
 PHARMACEUTICALS
 INC CO                COMMON STOCK    015351109      19       300 Shares                    X           1        0       0      300
ALEXION
 PHARMACEUTICALS
 INC CO                COMMON STOCK    015351109    1532     23800 Shares           X                    3    23800       0        0
ALIGN TECHNOLOGY
 INCORPORATED          COMMON STOCK    016255101      59      3025 Shares           X                    1     3025       0        0
ALIGN TECHNOLOGY
 INCORPORATED          COMMON STOCK    016255101    1586     81000 Shares           X                    3    81000       0        0
ALLEGHENY ENERGY INC   COMMON STOCK    017361106       7       298 Shares           X                    1      298       0        0
ALLEGHENY ENERGY INC   COMMON STOCK    017361106      34      1400 Shares                    X           1     1100       0      300
ALLEGHENY
 TECHNOLOGIES INC
 COM                   COMMON STOCK    01741R102      45       962 Shares           X                    1      962       0        0
ALLEGHENY
 TECHNOLOGIES INC
 COM                   COMMON STOCK    01741R102      19       400 Shares           X                    2        0       0      400
ALLERGAN INC           COMMON STOCK    018490102    1478     22211 Shares           X                    1    22211       0        0
ALLERGAN INC           COMMON STOCK    018490102     222      3332 Shares                    X           1     3332       0        0
ALLERGAN INC           COMMON STOCK    018490102      67      1000 Shares           X                    3     1000       0        0
ALLETE INC             COMMON STOCK    018522300      47      1300 Shares                    X           1     1300       0        0
ALLIANCE DATA SYS
 CORP                  COMMON STOCK    018581108       5        70 Shares           X                    2        0       0       70
ALLIANCEBERNSTEIN
 NATL MUNI IN          PREFERRED STOCK 01864U106      15      1000 Shares                    X           1        0       0        0
ALLIANCE RESOURCE
 PARTNERS              COMMON STOCK    01877R108      58      1000 Shares           X                    2        0       0     1000
ALLIANCEBERNSTEIN
 GLOBAL HIGH           PREFERRED STOCK 01879R106      83      5600 Shares           X                    2        0       0        0
ALLIANT TECHSYSTEMS
 INC                   COMMON STOCK    018804104      31       405 Shares                    X           1      405       0        0
ALLIANCEBERNSTEIN
 HOLDING LP            COMMON STOCK    01881G106      20       750 Shares                    X           1      750       0        0
ALLIANCEBERNSTEIN
 HOLDING LP            COMMON STOCK    01881G106     324     12250 Shares           X                    2        0       0    12250
ALLIANCE FINANCIAL
 CORP                  COMMON STOCK    019205103      76      2527 Shares           X                    2        0       0     2527
ALLIED IRISH BKS
 PLC-SPON ADR          COMMON STOCK    019228402    1060    746216 Shares           X                    1   655109       0    91107
ALLIED IRISH BKS
 PLC-SPON ADR          COMMON STOCK    019228402     204    143827 Shares                    X           1   139577       0     4250
ALLIED NEVADA GOLD
 CORP                  COMMON STOCK    019344100      27      1000 Shares           X                    2        0       0     1000
ALLSCRIPTS-MISYS
 HEALTHCARE            COMMON STOCK    01988P108     453     24551 Shares           X                    1    24551       0        0
ALLSCRIPTS-MISYS
 HEALTHCARE            COMMON STOCK    01988P108      64      3450 Shares                    X           1     3450       0        0
ALLSCRIPTS-MISYS
 HEALTHCARE            COMMON STOCK    01988P108    1664     90100 Shares           X                    3    90100       0        0
ALLSTATE CORP          COMMON STOCK    020002101     432     13695 Shares           X                    1    13695       0        0
ALLSTATE CORP          COMMON STOCK    020002101     181      5749 Shares                    X           1     5749       0        0
ALLSTATE CORP          COMMON STOCK    020002101     729     23100 Shares           X                    2        0       0    23100
ALNYLAM
 PHARMACEUTICALS INC   COMMON STOCK    02043Q107       1       100 Shares           X                    1      100       0        0
ALNYLAM
 PHARMACEUTICALS INC   COMMON STOCK    02043Q107      43      3500 Shares           X                    2        0       0     3500
ALPINE GLOBAL
 PREMIER PPTYS         PREFERRED STOCK 02083A103   17779   2689787 Shares           X                    1        0       0        0
ALPINE GLOBAL
 PREMIER PPTYS         PREFERRED STOCK 02083A103    2576    389731 Shares                    X           1        0       0        0
ALPINE GLOBAL
 PREMIER PPTYS         PREFERRED STOCK 02083A103    3803    575299 Shares           X                    3    55646       0        0
ALPINE GLOBAL
 PREMIER PPTYS         PREFERRED STOCK 02083A103      21      3220 Shares           X                    4        0       0        0
ALTERA CORP COM        COMMON STOCK    021441100     414     13732 Shares           X                    1    13732       0        0
ALTERA CORP COM        COMMON STOCK    021441100    3149    104400 Shares           X                    3   104400       0        0
ALTRIA GROUP INC       COMMON STOCK    02209S103    7893    328614 Shares           X                    1   323778       0     4836
ALTRIA GROUP INC       COMMON STOCK    02209S103    3368    140208 Shares                    X           1   135079       0     5129
ALTRIA GROUP INC       COMMON STOCK    02209S103     380     15820 Shares           X                    2        0   11820     4000
ALTRIA GROUP INC       COMMON STOCK    02209S103     186      7743 Shares           X                    3     7743       0        0
AMAZON.COM INC         COMMON STOCK    023135106    2581     16431 Shares           X                    1    16306       0      125
AMAZON.COM INC         COMMON STOCK    023135106     366      2330 Shares                    X           1     1480       0      850



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                                 SEC USE _______________________________________



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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AMAZON.COM INC         COMMON STOCK    023135106      47       300 Shares           X                    2        0       0      300
AMAZON.COM INC         COMMON STOCK    023135106    1200      7641 Shares           X                    3     7641       0        0
AMAZON.COM INC         COMMON STOCK    023135106       2        14 Shares           X                    4       14       0        0
AMBAC FINANCIAL
 GROUP INC             COMMON STOCK    023139108       0       165 Shares                    X           1      165       0        0
AMEREN CORP            COMMON STOCK    023608102       3       100 Shares           X                    1      100       0        0
AMEREN CORP            COMMON STOCK    023608102       9       300 Shares                    X           1      300       0        0
AMERICA MOVIL SA -
 SPONS ADR S           COMMON STOCK    02364W105      72      1350 Shares           X                    1     1350       0        0
AMERICA MOVIL SA -
 SPONS ADR S           COMMON STOCK    02364W105     160      3000 Shares                    X           1        0       0     3000
AMERICA MOVIL SA -
 SPONS ADR S           COMMON STOCK    02364W105     107      2000 Shares           X                    2        0       0     2000
AMERICAN CAPITAL LTD   COMMON STOCK    02503Y103       2       399 Shares           X                    1      399       0        0
AMERICAN CAPITAL LTD   COMMON STOCK    02503Y103       1        86 Shares                    X           1       86       0        0
AMERICAN CAPITAL LTD   COMMON STOCK    02503Y103    1472    253355 Shares           X                    2        0   62191   191164
AMERICAN ELECTRIC
 POWER CO INC          COMMON STOCK    025537101     145      4015 Shares           X                    1     4015       0        0
AMERICAN ELECTRIC
 POWER CO INC          COMMON STOCK    025537101     106      2914 Shares                    X           1     2084       0      830
AMERICAN EAGLE
 OUTFITTER INC         COMMON STOCK    02553E106       4       235 Shares           X                    1      235       0        0
AMERICAN ELECTRIC
 TECHNOLOGIES          COMMON STOCK    025576109       0       100 Shares           X                    1      100       0        0
AMERICAN ELECTRIC
 TECHNOLOGIES          COMMON STOCK    025576109       0       160 Shares           X                    2        0       0      160
AM EX CO               COMMON STOCK    025816109     664     15809 Shares           X                    1    15209       0      600
AM EX CO               COMMON STOCK    025816109     433     10303 Shares                    X           1     8025       0     2278
AM EX CO               COMMON STOCK    025816109    1646     40335 Shares           X                    2        0    8521    31814
AMERICAN FINANCIAL
 GROUP INC             COMMON STOCK    025932104      18       600 Shares                    X           1        0       0      600
AMERICAN INTL GROUP
 PFD CV 8.5            PREFERRED STOCK 026874115       4       500 Shares           X                    1        0       0        0
AMERICAN INTL GROUP
 PFD CV 8.5            PREFERRED STOCK 026874115     307     35750 Shares           X                    2        0       0        0
AMERICAN
 INTERNATIONAL GROUP   COMMON STOCK    026874784       7       180 Shares           X                    1      180       0        0
AMERICAN
 INTERNATIONAL GROUP   COMMON STOCK    026874784       7       178 Shares                    X           1       78       0      100
AMERICAN
 INTERNATIONAL GROUP   COMMON STOCK    026874784       2        40 Shares           X                    2        0       0       40
AMERICAN SELECT
 PORTFOLIO             PREFERRED STOCK 029570108      11       900 Shares           X                    1        0       0        0
AMERICAN TOWER CORP
 CL A                  COMMON STOCK    029912201      10       200 Shares           X                    1      200       0        0
AMERICAN STRATEGIC
 INCOME II             PREFERRED STOCK 030099105      10      1000 Shares           X                    1        0       0        0
AMERICAN STRATEGIC
 INCOME III            PREFERRED STOCK 03009T101       8      1000 Shares           X                    1        0       0        0
AMERICAN
 SUPERCONDUCTOR CORP   COMMON STOCK    030111108       3       100 Shares                    X           1      100       0        0
AMERICAN WATER WORKS
 CO INC                COMMON STOCK    030420103      13       550 Shares           X                    1      550       0        0
AMERICREDIT CORP       COMMON STOCK    03060R101     123      5010 Shares           X                    1     5010       0        0
AMERISAFE INC          COMMON STOCK    03071H100       4       207 Shares           X                    1      207       0        0
AMERISOURCE BERGEN
 CORP COM              COMMON STOCK    03073E105      83      2696 Shares           X                    1     2696       0        0
AMERISOURCE BERGEN
 CORP COM              COMMON STOCK    03073E105       2        52 Shares                    X           1       52       0        0
AMERIGROUP
 CORPORATION           COMMON STOCK    03073T102      42      1000 Shares           X                    1     1000       0        0
AMERIGROUP
 CORPORATION           COMMON STOCK    03073T102    1125     26500 Shares           X                    3    26500       0        0
AMERIPRISE FINANCIAL
 INC                   COMMON STOCK    03076C106      87      1832 Shares           X                    1     1712       0      120
AMERIPRISE FINANCIAL
 INC                   COMMON STOCK    03076C106      63      1324 Shares                    X           1     1129       0      195
AMERIPRISE FINANCIAL
 INC                   COMMON STOCK    03076C106      89      1880 Shares           X                    2        0       0     1880
AMERIS BANCORP         COMMON STOCK    03076K108       1       123 Shares           X                    1      123       0        0
AMERIGAS PARTNERS LP   COMMON STOCK    030975106      58      1300 Shares                    X           1     1300       0        0
AMGEN INC COM          COMMON STOCK    031162100    4871     88391 Shares           X                    1    88391       0        0
AMGEN INC COM          COMMON STOCK    031162100    1468     26638 Shares                    X           1    22138       0     4500
AMGEN INC COM          COMMON STOCK    031162100     388      7034 Shares           X                    2        0       0     7034
AMGEN INC COM          COMMON STOCK    031162100       1        25 Shares           X                    4       25       0        0
AMGEN INC COM          COMMON STOCK    031162100      33       600 Shares                    X           4      600       0        0
AMKOR TECHNOLOGY INC   COMMON STOCK    031652100     131     20000 Shares           X                    2        0       0    20000
AMYLIN
 PHARMACEUTICALS INC   COMMON STOCK    032346108       5       230 Shares           X                    2        0       0      230
ANADARKO PETROLEUM
 CORP                  COMMON STOCK    032511107     617     10815 Shares           X                    1    10815       0        0
ANADARKO PETROLEUM
 CORP                  COMMON STOCK    032511107     151      2639 Shares                    X           1     2639       0        0
ANADARKO PETROLEUM
 CORP                  COMMON STOCK    032511107     859     15054 Shares           X                    2        0    7500     7554
ANADIGICS INC          COMMON STOCK    032515108      60      9825 Shares           X                    1     9825       0        0
ANADIGICS INC          COMMON STOCK    032515108    1596    262000 Shares           X                    3   262000       0        0
ANALOG DEVICES INC     COMMON STOCK    032654105      17       552 Shares           X                    1      552       0        0
ANALOG DEVICES INC     COMMON STOCK    032654105      11       360 Shares                    X           1      360       0        0
ANALOG DEVICES INC     COMMON STOCK    032654105     659     21000 Shares           X                    2        0       0    21000
ANCHOR BANCORP
 WISCONSIN INC         COMMON STOCK    032839102       0       250 Shares           X                    1      250       0        0
ANGLOGOLD ASHANTI
 SPON ADR              COMMON STOCK    035128206       2        50 Shares           X                    1       50       0        0
ANHEUSER-BUSCH INBEV
 NV                    COMMON STOCK    03524A108       2        26 Shares           X                    1       26       0        0
ANHEUSER-BUSCH INBEV
 NV                    COMMON STOCK    03524A108       1        10 Shares                    X           1       10       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
ANNALY CAPITAL
 MANAGEMENT INC        COMMON STOCK    035710409      33      1880 Shares           X                    1        0       0        0
ANNALY CAPITAL
 MANAGEMENT INC        COMMON STOCK    035710409       5       300 Shares                    X           1        0       0        0
ANNALY CAPITAL
 MANAGEMENT INC        COMMON STOCK    035710409    7547    428835 Shares           X                    2        0  116250        0
ANNAPOLIS BANCORP
 INCORPORATED          COMMON STOCK    035848100       5      1333 Shares                    X           1     1333       0        0
ANSYS INC              COMMON STOCK    03662Q105     394      9335 Shares           X                    1     9335       0        0
ANSYS INC              COMMON STOCK    03662Q105    3453     81732 Shares           X                    3    81732       0        0
AON CORP               COMMON STOCK    037389103     242      6200 Shares           X                    1     6200       0        0
AON CORP               COMMON STOCK    037389103    1842     47100 Shares           X                    2        0    7750    39350
APACHE CORP COM        COMMON STOCK    037411105    5039     51548 Shares           X                    1    51206       0      342
APACHE CORP COM        COMMON STOCK    037411105    2168     22172 Shares                    X           1    21730       0      442
APACHE CORP COM        COMMON STOCK    037411105     312      3189 Shares           X                    2        0       0     3189
APACHE CORP COM        COMMON STOCK    037411105     273      2797 Shares           X                    3     2072       0      725
APARTMENT INVT &
 MGMT CL A             COMMON STOCK    03748R101      81      3779 Shares           X                    2        0       0        0
APOLLO GROUP INC
 CL A                  COMMON STOCK    037604105      64      1242 Shares           X                    1     1242       0        0
APOLLO INVESTMENT
 CORPORATION           PREFERRED STOCK 03761U106      15      1500 Shares           X                    1        0       0        0
APOLLO INVESTMENT
 CORPORATION           PREFERRED STOCK 03761U106       8       800 Shares                    X           1        0       0        0
APOLLO INVESTMENT
 CORPORATION           PREFERRED STOCK 03761U106     101      9885 Shares           X                    2        0       0        0
APPLE INC              COMMON STOCK    037833100   24960     87965 Shares           X                    1    86681       0     1284
APPLE INC              COMMON STOCK    037833100    3558     12540 Shares                    X           1    11501       0     1039
APPLE INC              COMMON STOCK    037833100   36825    129778 Shares           X                    2        0   45680    84098
APPLE INC              COMMON STOCK    037833100    7724     27224 Shares           X                    3    26417       0      807
APPLE INC              COMMON STOCK    037833100      10        36 Shares           X                    4       36       0        0
APPLE INC              COMMON STOCK    037833100     341      1200 Shares                    X           4     1200       0        0
APPLIED MATERIALS
 INC COM               COMMON STOCK    038222105     122     10435 Shares           X                    1     9435       0     1000
APPLIED MATERIALS
 INC COM               COMMON STOCK    038222105      29      2500 Shares                    X           1     2100       0      400
APPLIED MATERIALS
 INC COM               COMMON STOCK    038222105     281     24100 Shares           X                    2        0   12600    11500
APPLIED MICRO
 CIRCUITS CORP         COMMON STOCK    03822W406      30      3025 Shares           X                    1     3025       0        0
APPLIED MICRO
 CIRCUITS CORP         COMMON STOCK    03822W406     815     81500 Shares           X                    3    81500       0        0
AQUA AMERICA INC       COMMON STOCK    03836W103      48      2333 Shares           X                    1     2333       0        0
AQUA AMERICA INC       COMMON STOCK    03836W103       4       200 Shares                    X           1      200       0        0
ARCH COAL INC          COMMON STOCK    039380100      12       454 Shares           X                    1      454       0        0
ARCELORMITTAL-NY
 REGISTERED            COMMON STOCK    03938L104      10       300 Shares           X                    1      300       0        0
ARCHER DANIELS
 MIDLAND CO COM        COMMON STOCK    039483102     156      4900 Shares           X                    1     4900       0        0
ARCHER DANIELS
 MIDLAND CO COM        COMMON STOCK    039483102     466     14600 Shares                    X           1     9100       0     5500
ARM HOLDINGS PLC       COMMON STOCK    042068106    1051     56005 Shares           X                    1    56005       0        0
ARM HOLDINGS PLC       COMMON STOCK    042068106     177      9416 Shares                    X           1     9416       0        0
ARRIS GROUP            COMMON STOCK    04269Q100     193     19720 Shares                    X           1    19720       0        0
ART TECHNOLOGY GROUP   COMMON          04289L107      18      4481 Shares       X                              4481       0        0
ARTESIAN RESOURCES
 CORPORATION           COMMON STOCK    043113208      86      4491 Shares           X                    1     4491       0        0
ARUBA NETWORKS INC     COMMON STOCK    043176106      63      2950 Shares           X                    1     2950       0        0
ARUBA NETWORKS INC     COMMON STOCK    043176106    1675     78500 Shares           X                    3    78500       0        0
ARVINMERITOR INC COM   COMMON STOCK    043353101      46      2975 Shares           X                    1     2975       0        0
ARVINMERITOR INC COM   COMMON STOCK    043353101    1228     79000 Shares           X                    3    79000       0        0
ASCENT MEDIA
 CORPORATION - A       COMMON STOCK    043632108       2        71 Shares                    X           1       71       0        0
ASHLAND INC            COMMON STOCK    044209104      61      1250 Shares           X                    1     1250       0        0
ASHLAND INC            COMMON STOCK    044209104      23       474 Shares                    X           1      474       0        0
ASSURANT INC           COMMON STOCK    04621X108       6       145 Shares           X                    1      145       0        0
ASTRAZENECA GROUP
 PLC SPONSORE          COMMON STOCK    046353108      66      1300 Shares           X                    1     1300       0        0
ASTRAZENECA GROUP
 PLC SPONSORE          COMMON STOCK    046353108      25       500 Shares                    X           1      500       0        0
ATHENAHEALTH INC       COMMON STOCK    04685W103     111      3364 Shares           X                    1     3364       0        0
ATHENAHEALTH INC       COMMON STOCK    04685W103      43      1288 Shares                    X           1     1288       0        0
ATHEROS
 COMMUNICATIONS        COMMON STOCK    04743P108     233      8857 Shares           X                    1     8857       0        0
ATHEROS
 COMMUNICATIONS        COMMON STOCK    04743P108    2045     77600 Shares           X                    3    77600       0        0
ATLAS AIR WORLDWIDE
 HOLDINGS              COMMON STOCK    049164205      31       625 Shares           X                    1      625       0        0
ATLAS AIR WORLDWIDE
 HOLDINGS              COMMON STOCK    049164205     830     16500 Shares           X                    3    16500       0        0
ATLAS PIPELINE
 PARTNERS LP           COMMON STOCK    049392103       1        60 Shares                    X           1       60       0        0
ATMEL CORP             COMMON STOCK    049513104     231     29001 Shares           X                    1    29001       0        0
ATMEL CORP             COMMON STOCK    049513104    2015    253100 Shares           X                    3   253100       0        0
ATMOS ENERGY CORP      COMMON STOCK    049560105      37      1250 Shares           X                    1     1250       0        0
AUTODESK COM           COMMON STOCK    052769106     314      9811 Shares           X                    1     9811       0        0
AUTODESK COM           COMMON STOCK    052769106      32      1000 Shares                    X           1     1000       0        0
AUTODESK COM           COMMON STOCK    052769106    2329     72857 Shares           X                    3    72857       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
AUTOLIV INC            COMMON STOCK    052800109       7       100 Shares           X                    2        0       0      100
AUTOMATIC DATA
 PROCESSING INC        COMMON STOCK    053015103    1600     38066 Shares           X                    1    37266       0      800
AUTOMATIC DATA
 PROCESSING INC        COMMON STOCK    053015103    1781     42375 Shares                    X           1    39625       0     2750
AUTOMATIC DATA
 PROCESSING INC        COMMON STOCK    053015103     587     13975 Shares           X                    2        0       0    13975
AUTOZONE INC COM       COMMON STOCK    053332102      49       212 Shares           X                    1      212       0        0
AUTOZONE INC COM       COMMON STOCK    053332102      48       208 Shares                    X           1      208       0        0
AUXILIUM
 PHARMACEUTICALS INC   COMMON STOCK    05334D107    1081     43622 Shares           X                    1    43622       0        0
AUXILIUM
 PHARMACEUTICALS INC   COMMON STOCK    05334D107    3165    127733 Shares           X                    3   127733       0        0
AUXILIUM
 PHARMACEUTICALS INC   COMMON STOCK    05334D107       3       102 Shares           X                    4      102       0        0
AVALONBAY
 COMMUNITIES INC       COMMON STOCK    053484101      27       257 Shares           X                    1        0       0        0
AVALONBAY
 COMMUNITIES INC       COMMON STOCK    053484101      43       412 Shares           X                    2        0       0        0
AVERY DENNISON CORP
 COM                   COMMON STOCK    053611109       2        58 Shares           X                    1       58       0        0
AVIAT NETWORKS INC     COMMON STOCK    05366Y102       0        24 Shares                    X           1       24       0        0
AVIS BUDGET GROUP INC  COMMON STOCK    053774105       1       118 Shares           X                    1      118       0        0
AVIS BUDGET GROUP INC  COMMON STOCK    053774105       2       158 Shares                    X           1      158       0        0
AVISTA CORP            COMMON STOCK    05379B107      48      2300 Shares           X                    2        0       0     2300
AVON PRODUCTS INC      COMMON STOCK    054303102    1285     40011 Shares           X                    1    40011       0        0
AVON PRODUCTS INC      COMMON STOCK    054303102     183      5698 Shares                    X           1     4698       0     1000
AVON PRODUCTS INC      COMMON STOCK    054303102    1422     44273 Shares           X                    3    44273       0        0
AVON PRODUCTS INC      COMMON STOCK    054303102       2        76 Shares           X                    4       76       0        0
BB&T CORP COM          COMMON STOCK    054937107     444     18425 Shares           X                    1    17025       0     1400
BB&T CORP COM          COMMON STOCK    054937107     461     19143 Shares                    X           1    19143       0        0
BB&T CORP COM          COMMON STOCK    054937107    1080     44861 Shares           X                    2        0   21190    23671
B & G FOODS INC        COMMON STOCK    05508R106       7       645 Shares                    X           1      645       0        0
BCE INC                COMMON STOCK    05534B760      54      1654 Shares           X                    1     1654       0        0
BOK FINANCIAL
 CORPORATION           COMMON STOCK    05561Q201       0        11 Shares           X                    1       11       0        0
BP PLC SPONSORED ADR   COMMON STOCK    055622104     889     21583 Shares           X                    1    21583       0        0
BP PLC SPONSORED ADR   COMMON STOCK    055622104     756     18368 Shares                    X           1    17768       0      600
BP PLC SPONSORED ADR   COMMON STOCK    055622104    2202     53484 Shares           X                    2        0       0    53484
BMC SOFTWARE INC COM   COMMON STOCK    055921100     209      5160 Shares           X                    1     4685       0      475
BMC SOFTWARE INC COM   COMMON STOCK    055921100     127      3130 Shares                    X           1      630       0     2500
BABCOCK & WILCOX CO    COMMON STOCK    05615F102     268     12610 Shares           X                    1    12385       0      225
BABCOCK & WILCOX CO    COMMON STOCK    05615F102      11       537 Shares                    X           1      387       0      150
BABCOCK & WILCOX CO    COMMON STOCK    05615F102      35      1650 Shares           X                    2        0       0     1650
BABCOCK & WILCOX CO    COMMON STOCK    05615F102     918     43153 Shares           X                    3    43153       0        0
BAIDU INC-SPON ADR     COMMON STOCK    056752108     123      1202 Shares           X                    1     1202       0        0
BAIDU INC-SPON ADR     COMMON STOCK    056752108       5        44 Shares                    X           1       44       0        0
BAKER HUGHES INC COM   COMMON STOCK    057224107      57      1333 Shares           X                    1     1333       0        0
BAKER HUGHES INC COM   COMMON STOCK    057224107      28       650 Shares                    X           1      650       0        0
BAKER HUGHES INC COM   COMMON STOCK    057224107    1834     43063 Shares           X                    2        0   15450    27613
BALDOR ELECTRIC CO     COMMON STOCK    057741100      32       800 Shares           X                    1      800       0        0
BALDOR ELECTRIC CO     COMMON STOCK    057741100     869     21500 Shares           X                    3    21500       0        0
BALL CORPORATION       COMMON STOCK    058498106    1412     24000 Shares           X                    1    24000       0        0
BANCO BILBAO VIZCAYA
 ARGENTARI             COMMON STOCK    05946K101     248     18371 Shares           X                    1    18371       0        0
BANCO SANTANDER SA -
 SPONS ADR             COMMON STOCK    05964H105     306     24186 Shares           X                    1    24186       0        0
BANCO SANTANDER SA -
 SPONS ADR             COMMON STOCK    05964H105       3       267 Shares                    X           1      132       0      135
BANCORP RHODE ISLAND
 INC                   COMMON STOCK    059690107       1        44 Shares           X                    1       44       0        0
BANK AMER CORP         COMMON STOCK    060505104    7300    557177 Shares           X                    1   546342       0    10835
BANK AMER CORP         COMMON STOCK    060505104    1854    141477 Shares                    X           1   130504       0    10973
BANK AMER CORP         COMMON STOCK    060505104    4275    326246 Shares           X                    2        0  117465   208781
BANK AMER CORP         COMMON STOCK    060505104    1870    142664 Shares           X                    3   131587       0    11077
BANK AMER CORP         COMMON STOCK    060505104       2       181 Shares           X                    4      181       0        0
BANK AMER CORP
 WARRANTS 1            COMMON STOCK    060505146    3660    564875 Shares           X                    2        0       0   564875
BANK AMER CORP
 WARRANTS 10           COMMON STOCK    060505153    1255    527500 Shares           X                    2        0       0   527500
BANK OF HAWAII CORP    COMMON STOCK    062540109       2        50 Shares                    X           1       50       0        0
BANK NEW YORK MELLON
 CORP                  COMMON STOCK    064058100    2771    106045 Shares           X                    1   105045       0     1000
BANK NEW YORK MELLON
 CORP                  COMMON STOCK    064058100     537     20554 Shares                    X           1    16192       0     4362
BANK NEW YORK MELLON
 CORP                  COMMON STOCK    064058100     956     36573 Shares           X                    2        0       0    36573
BANK NOVA SCOTIA
 HALIFAX               COMMON STOCK    064149107       1        22 Shares           X                    1       22       0        0
BAR HARBOR
 BANCSHARES            COMMON STOCK    066849100     116      4200 Shares           X                    2        0       0     4200
BARD C R INC COM       COMMON STOCK    067383109      41       500 Shares           X                    1      500       0        0
BARD C R INC COM       COMMON STOCK    067383109     285      3500 Shares                    X           1     3500       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
BARCLAYS PLC - SPONS
 ADR                   COMMON STOCK    06738E204      14       755 Shares           X                    1      755       0        0
BARRICK GOLD CORP      COMMON STOCK    067901108      30       656 Shares           X                    1      656       0        0
BARRICK GOLD CORP      COMMON STOCK    067901108     232      5020 Shares                    X           1     5020       0        0
BARRICK GOLD CORP      COMMON STOCK    067901108       8       175 Shares           X                    2        0       0      175
BAXTER INTL INC        COMMON STOCK    071813109     604     12658 Shares           X                    1    12658       0        0
BAXTER INTL INC        COMMON STOCK    071813109     351      7364 Shares                    X           1     7364       0        0
BAXTER INTL INC        COMMON STOCK    071813109     681     14277 Shares           X                    2        0       0    14277
BAYTEX ENERGY TRUST
 - UNITS               COMMON STOCK    073176109     104      2875 Shares           X                    2        0       0     2875
BECKMAN COULTER INC    COMMON STOCK    075811109     126      2580 Shares                    X           1     1580       0     1000
BECKMAN COULTER INC    COMMON STOCK    075811109     805     16500 Shares           X                    2        0       0    16500
BECTON DICKINSON &
 CO COM                COMMON STOCK    075887109    1195     16125 Shares           X                    1    16125       0        0
BECTON DICKINSON &
 CO COM                COMMON STOCK    075887109     322      4349 Shares                    X           1     4349       0        0
BECTON DICKINSON &
 CO COM                COMMON STOCK    075887109      48       650 Shares           X                    2        0       0      650
BED BATH & BEYOND
 INC COM               COMMON STOCK    075896100      94      2170 Shares           X                    1     2170       0        0
BED BATH & BEYOND
 INC COM               COMMON STOCK    075896100     260      5985 Shares           X                    2        0       0     5985
BEMIS INC              COMMON STOCK    081437105      25       800 Shares                    X           1      800       0        0
BERKSHIRE HATHAWAY
 INC CLASS A           COMMON STOCK    084670108     498         4 Shares                    X           1        4       0        0
BERKSHIRE HATHAWAY
 INC CLASS A           COMMON STOCK    084670108     374         3 Shares           X                    2        0       0        3
BERKSHIRE HATHAWAY
 INC DEL CL            COMMON STOCK    084670702    3539     42806 Shares           X                    1    42501       0      305
BERKSHIRE HATHAWAY
 INC DEL CL            COMMON STOCK    084670702    1185     14336 Shares                    X           1    12198       0     2138
BERKSHIRE HATHAWAY
 INC DEL CL            COMMON STOCK    084670702     965     11670 Shares           X                    2        0       0    11670
BEST BUY COMPANY INC   COMMON STOCK    086516101    2713     66443 Shares           X                    1    65405       0     1038
BEST BUY COMPANY INC   COMMON STOCK    086516101     362      8878 Shares                    X           1     8758       0      120
BEST BUY COMPANY INC   COMMON STOCK    086516101     285      6968 Shares           X                    2        0       0     6968
BEST BUY COMPANY INC   COMMON STOCK    086516101     430     10538 Shares           X                    3     7996       0     2542
BEST BUY COMPANY INC   COMMON STOCK    086516101      37       900 Shares                    X           4      900       0        0
BHP BILLITON LTD
 SPONSORED ADR         COMMON STOCK    088606108     464      6080 Shares           X                    1     6080       0        0
BHP BILLITON LTD
 SPONSORED ADR         COMMON STOCK    088606108     432      5663 Shares                    X           1     4131       0     1532
BIOMARIN
 PHARMACEUTICAL INC    COMMON STOCK    09061G101       4       200 Shares           X                    1      200       0        0
BIOGEN IDEC INC        COMMON STOCK    09062X103     408      7277 Shares           X                    1     7277       0        0
BIOGEN IDEC INC        COMMON STOCK    09062X103     106      1885 Shares                    X           1     1775       0      110
BIOGEN IDEC INC        COMMON STOCK    09062X103     765     13630 Shares           X                    2        0       0    13630
BIOTECH HOLDRS TRUST   COMMON STOCK    09067D201       6        60 Shares           X                    1       60       0        0
BLACK HILLS CORP       COMMON STOCK    092113109      50      1600 Shares           X                    1     1600       0        0
BLACKROCK INC          COMMON STOCK    09247X101    2251     13219 Shares           X                    1    13219       0        0
BLACKROCK INC          COMMON STOCK    09247X101     288      1691 Shares                    X           1     1691       0        0
BLACKROCK MUN INC
 TRUST                 PREFERRED STOCK 09248F109      14      1000 Shares           X                    1        0       0        0
BLACKROCK MARYLAND
 MUNI BD TR            PREFERRED STOCK 09249L105      50      3000 Shares           X                    2        0       0        0
BLACKROCK ENERGY &
 RESOURCES T           PREFERRED STOCK 09250U101      10       415 Shares                    X           1        0       0        0
BLACKROCK HEALTH
 SCIENCES TRUS         PREFERRED STOCK 09250W107     127      5000 Shares                    X           1        0       0        0
BLACKROCK INTL
 GROWTH & INCOME       PREFERRED STOCK 092524107      53      5000 Shares           X                    1        0       0        0
BLACKSTONE GROUP LP
 (THE)                 COMMON STOCK    09253U108     935     73665 Shares           X                    1    70351       0     3314
BLACKSTONE GROUP LP
 (THE)                 COMMON STOCK    09253U108      64      5024 Shares                    X           1     3278       0     1746
BLACKSTONE GROUP LP
 (THE)                 COMMON STOCK    09253U108     113      8919 Shares           X                    3     8919       0        0
BLACKROCK REAL ASSET
 EQUITY TR             PREFERRED STOCK 09254B109      26      2000 Shares           X                    1        0       0        0
BLACKROCK MUNIYLD
 QUALITY FUND          PREFERRED STOCK 09254G108      92      6850 Shares                    X           1        0       0        0
BLACKROCK MUNIHLDGS
 NJ INSURED            PREFERRED STOCK 09254X101      46      3050 Shares                    X           1        0       0        0
BLACKROCK MUNIHLDGS
 NY INSURED            PREFERRED STOCK 09255C106      47      3050 Shares                    X           1        0       0        0
BLACKROCK MUNIYLD
 PENNSYLVANIA          PREFERRED STOCK 09255G107      15       981 Shares                    X           1        0       0        0
BLACKROCK CORP HI
 YLD FD V              PREFERRED STOCK 09255N102     221     18980 Shares           X                    1        0       0        0
BLACKROCK CORP HI
 YLD FD VI             PREFERRED STOCK 09255P107     188     16260 Shares           X                    1        0       0        0
BLOCK H & R INC        COMMON STOCK    093671105       7       570 Shares           X                    1      570       0        0
BOARDWALK PIPELINE
 PARTNERS LP           COMMON STOCK    096627104      82      2500 Shares           X                    2        0       0     2500
BOEING CO COM          COMMON STOCK    097023105    4905     73708 Shares           X                    1    72685       0     1023
BOEING CO COM          COMMON STOCK    097023105    1131     16997 Shares                    X           1    16070       0      927
BOEING CO COM          COMMON STOCK    097023105      75      1130 Shares           X                    2        0       0     1130
BOEING CO COM          COMMON STOCK    097023105    1244     18692 Shares           X                    3    18692       0        0
BOEING CO COM          COMMON STOCK    097023105       3        52 Shares           X                    4       52       0        0
BON-TON STORES
 INCORPORATED          COMMON STOCK    09776J101      82      8100 Shares           X                    1     8100       0        0
BORG WARNER INC COM    COMMON STOCK    099724106     294      5585 Shares           X                    1     5585       0        0
BORG WARNER INC COM    COMMON STOCK    099724106    2457     46700 Shares           X                    3    46700       0        0
BOSTON BEER
 INCORPORATED CLASS    COMMON STOCK    100557107      27       402 Shares           X                    1      402       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
BOSTON PROPERTIES
 INC (REIT)            COMMON STOCK    101121101      27       320 Shares           X                    1        0       0        0
BOSTON PROPERTIES
 INC (REIT)            COMMON STOCK    101121101      50       600 Shares                    X           1        0       0        0
BOSTON SCIENTIFIC
 CORP COM              COMMON STOCK    101137107      29      4690 Shares                    X           1     4690       0        0
BRANDYWINE REALTY
 TRUST (REIT)          COMMON STOCK    105368203      18      1500 Shares           X                    1        0       0        0
BRASIL TELECOM SA -
 ADR                   COMMON STOCK    10553M101       2        94 Shares           X                    1       94       0        0
BRASIL TELECOM SA -
 ADR                   COMMON STOCK    10553M101       0        18 Shares                    X           1       18       0        0
BRASIL TELECOM SA -
 ADR                   COMMON STOCK    10553M200       0        54 Shares           X                    1       54       0        0
BRASIL TELECOM SA -
 ADR                   COMMON STOCK    10553M200       0        10 Shares                    X           1       10       0        0
BRIGHAM EXPL           COMMON          109178103      74      3950 Shares           X                    1     3950       0        0
BRIGHAM EXPL           COMMON          109178103    2006    107000 Shares           X                    3   107000       0        0
BRINKER INTL INC       COMMON          109641100     295     15645 Shares           X                    1    15645       0        0
BRINKER INTL INC       COMMON          109641100     120      6375 Shares                    X           1     6375       0        0
BRINKER INTL INC       COMMON          109641100    1590     84300 Shares           X                    3    84300       0        0
BRISTOL MYERS SQUIBB
 COMPANY               COMMON          110122108    7702    284104 Shares           X                    1   283004       0     1100
BRISTOL MYERS SQUIBB
 COMPANY               COMMON          110122108    6466    238513 Shares                    X           1   212543       0    25970
BRISTOL MYERS SQUIBB
 COMPANY               COMMON          110122108    7789    287297 Shares           X                    2        0   62400   224897
BRISTOL MYERS SQUIBB
 COMPANY               COMMON          110122108       8       300 Shares           X                    3      300       0        0
BRISTOL MYERS SQUIBB
 COMPANY               COMMON          110122108      14       500 Shares                    X           4      500       0        0
BRITISH AMERICAN
 TOBACCO-SP AD         COMMON STOCK    110448107      16       210 Shares           X                    1      210       0        0
BRITISH AMERICAN
 TOBACCO-SP AD         COMMON STOCK    110448107       9       124 Shares                    X           1      124       0        0
BROADCOM CORP          CLASS A         111320107     287      8098 Shares           X                    1     8098       0        0
BROADCOM CORP          CLASS A         111320107       3        74 Shares                    X           1       74       0        0
BROADCOM CORP          CLASS A         111320107    1384     39100 Shares           X                    3    39100       0        0
BROADRIDGE FINANCIAL
 SOLUTIONS             COMMON STOCK    11133T103       3       143 Shares           X                    1      143       0        0
BROADRIDGE FINANCIAL
 SOLUTIONS             COMMON STOCK    11133T103       8       350 Shares                    X           1      350       0        0
BROADRIDGE FINANCIAL
 SOLUTIONS             COMMON STOCK    11133T103      37      1600 Shares           X                    2        0       0     1600
BROCADE
 COMMUNICATIONS
 SYSTEM                COMMON STOCK    111621306      58      9850 Shares           X                    1     9850       0        0
BROOKFIELD ASSET
 MANAGEMENT CL         COMMON STOCK    112585104       9       300 Shares           X                    2        0       0      300
BROWN & BROWN INC      COMMON STOCK    115236101      63      3115 Shares           X                    1     3115       0        0
BROWN-FORMAN CORP
 CL B                  COMMON STOCK    115637209     777     12612 Shares           X                    1    12612       0        0
BROWN-FORMAN CORP
 CL B                  COMMON STOCK    115637209     117      1901 Shares                    X           1     1901       0        0
BROWN-FORMAN CORP
 CL B                  COMMON STOCK    115637209     416      6750 Shares           X                    2        0       0     6750
BRYN MAWR BANK
 CORPORATION           COMMON STOCK    117665109      20      1142 Shares           X                    1     1142       0        0
BUCKEYE GP HOLDINGS
 LP                    COMMON STOCK    118167105      86      2000 Shares           X                    2        0       0     2000
BUCKEYE PARTNERS
 LIMITED PARTNERSHIP   COMMON          118230101      60       950 Shares                    X           1      950       0        0
BUCKEYE PARTNERS
 LIMITED PARTNERSHIP   COMMON          118230101     324      7500 Shares           X                    2        0    7500        0
BUCYRUS
 INTERNATIONAL INC     COMMON STOCK    118759109      70      1005 Shares           X                    1     1005       0        0
BUCYRUS
 INTERNATIONAL INC     COMMON STOCK    118759109    1214     17500 Shares           X                    3    17500       0        0
BUFFALO WILD WINGS     COMMON          119848109      44       925 Shares           X                    1      925       0        0
BUFFALO WILD WINGS     COMMON          119848109    1197     25000 Shares           X                    3    25000       0        0
CBL & ASSOCIATES
 PROPERTIES            COMMON STOCK    124830100       2       179 Shares           X                    1        0       0        0
CBS CORP CL B          COMMON STOCK    124857202    3265    205847 Shares           X                    1   205847       0        0
CBS CORP CL B          COMMON STOCK    124857202      49      3061 Shares                    X           1     2736       0      325
CBS CORP CL B          COMMON STOCK    124857202    5006    315625 Shares           X                    3   306488       0     9137
CBS CORP CL B          COMMON STOCK    124857202       3       166 Shares           X                    4      166       0        0
CB RICHARD ELLIS
 GROUP INC-A           COMMON STOCK    12497T101    2783    152246 Shares           X                    1   152246       0        0
CB RICHARD ELLIS
 GROUP INC-A           COMMON STOCK    12497T101     381     20850 Shares           X                    2        0   14100     6750
CB RICHARD ELLIS
 GROUP INC-A           COMMON STOCK    12497T101    5677    310559 Shares           X                    3   303815       0     6744
CB RICHARD ELLIS
 GROUP INC-A           COMMON STOCK    12497T101       3       156 Shares           X                    4      156       0        0
CF INDUSTRIES HLDGS    COMMON          125269100      41       429 Shares           X                    1      429       0        0
CF INDUSTRIES HLDGS    COMMON          125269100     716      7500 Shares           X                    3     7500       0        0
CH ENERGY GROUP INC
 COM                   COMMON STOCK    12541M102      29       650 Shares           X                    1      650       0        0
CH ENERGY GROUP INC
 COM                   COMMON STOCK    12541M102      84      1900 Shares                    X           1     1900       0        0
CH ROBINSON
 WORLDWIDE INC         COMMON STOCK    12541W209     352      5030 Shares           X                    1     5030       0        0
CH ROBINSON
 WORLDWIDE INC         COMMON STOCK    12541W209       7       100 Shares                    X           1      100       0        0
CH ROBINSON
 WORLDWIDE INC         COMMON STOCK    12541W209    2849     40742 Shares           X                    3    40742       0        0
CIGNA CORP             COMMON STOCK    125509109      18       500 Shares           X                    1      500       0        0
CIGNA CORP             COMMON STOCK    125509109     286      8005 Shares                    X           1     8005       0        0
CIGNA CORP             COMMON STOCK    125509109       3        90 Shares           X                    2        0       0       90
CME GROUP INC          COMMON STOCK    12572Q105      35       133 Shares           X                    1      133       0        0
CME GROUP INC          COMMON STOCK    12572Q105       4        14 Shares                    X           1       14       0        0
CNOOC LTD -ADR         COMMON STOCK    126132109      97       500 Shares                    X           1      500       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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CPFL ENERGIA SA -
 ADR                   COMMON STOCK    126153105      35       500 Shares           X                    1      500       0        0
CPFL ENERGIA SA -
 ADR                   COMMON STOCK    126153105      14       200 Shares                    X           1      200       0        0
CSX CORP               COMMON STOCK    126408103    2603     47061 Shares           X                    1    47061       0        0
CSX CORP               COMMON STOCK    126408103    1227     22180 Shares                    X           1    21980       0      200
CSX CORP               COMMON STOCK    126408103      28       512 Shares           X                    2        0       0      512
CVS/CAREMARK CORP      COMMON STOCK    126650100    2621     83274 Shares           X                    1    81474       0     1800
CVS/CAREMARK CORP      COMMON STOCK    126650100    1237     39319 Shares                    X           1    38735       0      584
CVS/CAREMARK CORP      COMMON STOCK    126650100     226      7190 Shares           X                    2        0       0     7190
CVS/CAREMARK CORP      COMMON STOCK    126650100      25       800 Shares                    X           4      800       0        0
CA INC                 COMMON STOCK    12673P105     133      6300 Shares           X                    1     6300       0        0
CABOT OIL & GAS CORP   COMMON STOCK    127097103     208      6900 Shares           X                    1     6900       0        0
CABOT OIL & GAS CORP   COMMON STOCK    127097103    1804     59900 Shares           X                    3    59900       0        0
CAL DIVE
 INTERNATIONAL INC     COMMON STOCK    12802T101       1       231 Shares           X                    1      231       0        0
CALAMOS STRATEGIC
 TOT RET FD            PREFERRED STOCK 128125101      44      5000 Shares                    X           1        0       0        0
CALLAWAY GOLF CO COM   COMMON STOCK    131193104       0        23 Shares           X                    1       23       0        0
CAMDEN PROPERTY
 TRUST (REIT)          COMMON STOCK    133131102      48      1000 Shares           X                    1        0       0        0
CAMECO CORPORATION     COMMON STOCK    13321L108       7       264 Shares           X                    1      264       0        0
CAMECO CORPORATION     COMMON STOCK    13321L108       1        42 Shares                    X           1       42       0        0
CAMERON
 INTERNATIONAL CORP    COMMON STOCK    13342B105     373      8678 Shares           X                    1     8678       0        0
CAMERON
 INTERNATIONAL CORP    COMMON STOCK    13342B105      47      1100 Shares                    X           1      100       0     1000
CAMERON
 INTERNATIONAL CORP    COMMON STOCK    13342B105    2230     51900 Shares           X                    3    51900       0        0
CAMERON
 INTERNATIONAL CORP    COMMON STOCK    13342B105      21       500 Shares                    X           4      500       0        0
CAMPBELL SOUP CO COM   COMMON STOCK    134429109      64      1800 Shares           X                    1     1800       0        0
CAMPBELL SOUP CO COM   COMMON STOCK    134429109     122      3400 Shares                    X           1     3400       0        0
CANADIAN NATIONAL
 RAILWAY COMP          COMMON STOCK    136375102     147      2300 Shares           X                    1     2300       0        0
CANADIAN NATURAL
 RESOURCES LTD         COMMON STOCK    136385101      22       632 Shares           X                    1      632       0        0
CANON INC SPONS ADR    COMMON STOCK    138006309      34       718 Shares           X                    1      718       0        0
CAPITAL ONE
 FINANCIAL CORP        COMMON STOCK    14040H105     425     10741 Shares           X                    1    10741       0        0
CAPITAL ONE
 FINANCIAL CORP        COMMON STOCK    14040H105     246      6215 Shares                    X           1     4715       0     1500
CAPITAL ONE
 FINANCIAL CORP        COMMON STOCK    14040H105    1741     44006 Shares           X                    2        0   25756    18250
WARRANTS - CAPITAL
 ONE FINL 11           COMMON STOCK    14040H139    2507    177794 Shares           X                    2        0       0   177794
CAPITALSOURCE INC      COMMON STOCK    14055X102   10338   1935981 Shares           X                    2        0  587819  1348162
CAPSTEAD MORTGAGE
 CV PFD $1.26          PREFERRED STOCK 14067E308      34      2400 Shares           X                    1        0       0        0
CARDINAL FINANCIAL
 CORP                  COMMON STOCK    14149F109      67      7000 Shares           X                    2        0       0     7000
CARDINAL HEALTH INC    COMMON STOCK    14149Y108     136      4118 Shares           X                    1     4118       0        0
CARDINAL HEALTH INC    COMMON STOCK    14149Y108     102      3073 Shares                    X           1     3073       0        0
CARDINAL HEALTH INC    COMMON STOCK    14149Y108     296      6000 Shares           X                    2        0    6000        0
CAREFUSION CORP        COMMON STOCK    14170T101      13       505 Shares           X                    1      505       0        0
CAREFUSION CORP        COMMON STOCK    14170T101      39      1586 Shares                    X           1     1586       0        0
CARLISLE COMPANIES
 INC                   COMMON STOCK    142339100      90      3000 Shares                    X           1     3000       0        0
CARNIVAL CORPORATION   COMMON STOCK    143658300    1817     47573 Shares           X                    1    47573       0        0
CARNIVAL CORPORATION   COMMON STOCK    143658300     269      7050 Shares                    X           1     6050       0     1000
CARNIVAL CORPORATION   COMMON STOCK    143658300      37       965 Shares           X                    3      965       0        0
CARNIVAL PLC - ADR     COMMON STOCK    14365C103       1        20 Shares                    X           1       20       0        0
CARPENTER TECHNOLOGY
 CORP COM              COMMON STOCK    144285103      26       776 Shares                    X           1      776       0        0
CARROLS RESTAURANT
 GROUP INC             COMMON STOCK    14574X104       2       340 Shares           X                    1      340       0        0
CATALYST HEALTH
 SOLUTIONS INC         COMMON STOCK    14888B103      42      1200 Shares           X                    1     1200       0        0
CATALYST HEALTH
 SOLUTIONS INC         COMMON STOCK    14888B103     757     21500 Shares           X                    3    21500       0        0
CATERPILLAR INC        COMMON STOCK    149123101   10072    128012 Shares           X                    1   125023       0     2989
CATERPILLAR INC        COMMON STOCK    149123101    1813     23038 Shares                    X           1    19485       0     3553
CATERPILLAR INC        COMMON STOCK    149123101     248      3147 Shares           X                    2        0       0     3147
CATERPILLAR INC        COMMON STOCK    149123101    2413     30670 Shares           X                    3    30670       0        0
CATERPILLAR INC        COMMON STOCK    149123101      47       600 Shares                    X           4      600       0        0
CEDAR FAIR LTD PTR     COMMON STOCK    150185106      10       750 Shares           X                    1      750       0        0
CELADON GROUP INC      COMMON STOCK    150838100      29      2125 Shares           X                    1     2125       0        0
CELADON GROUP INC      COMMON STOCK    150838100     780     56500 Shares           X                    3    56500       0        0
CELERA CORPORATION     COMMON STOCK    15100E106       4       600 Shares           X                    1      600       0        0
CELGENE CORP COM       COMMON STOCK    151020104    3624     62903 Shares           X                    1    62638       0      265
CELGENE CORP COM       COMMON STOCK    151020104     454      7874 Shares                    X           1     6974       0      900
CELGENE CORP COM       COMMON STOCK    151020104    1991     34564 Shares           X                    3    34564       0        0
CELGENE CORP COM       COMMON STOCK    151020104       2        34 Shares           X                    4       34       0        0
CEMEX SAB SPONS ADR
 PART CER              COMMON STOCK    151290889      25      2922 Shares                    X           1     2922       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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CENOVUS ENERGY INC     COMMON STOCK    15135U109      26       900 Shares           X                    1      900       0        0
CENTERPOINT ENERGY
 INC                   COMMON STOCK    15189T107      16      1000 Shares           X                    1     1000       0        0
CENTRAIS ELETRICAS
 BRAS-SP ADR           COMMON STOCK    15234Q207      20      1540 Shares           X                    1     1540       0        0
CENTRAL FUND OF
 CANADA LTD            PREFERRED STOCK 153501101       9       525 Shares                    X           1        0       0        0
CENTRAL GOLDTRUST      PREFERRED STOCK 153546106       8       165 Shares                    X           1        0       0        0
CENTURYLINK INC        COMMON STOCK    156700106     144      3648 Shares           X                    1     3559       0       89
CEPHALON INC COM       COMMON STOCK    156708109      12       200 Shares           X                    1      200       0        0
CERNER CORP            COMMON STOCK    156782104    4452     53008 Shares           X                    1    52643       0      365
CERNER CORP            COMMON STOCK    156782104     737      8778 Shares                    X           1     6903       0     1875
CERNER CORP            COMMON STOCK    156782104    9743    116005 Shares           X                    2        0   37115    78890
CERNER CORP            COMMON STOCK    156782104    2037     24256 Shares           X                    3    23178       0     1078
CHEESECAKE FACTORY     COMMON          163072101      45      1700 Shares           X                    1     1700       0        0
CHEESECAKE FACTORY     COMMON          163072101    1218     46000 Shares           X                    3    46000       0        0
CHENIERE ENERGY INC    COMMON STOCK    16411R208      25     10000 Shares           X                    2        0       0    10000
CHESAPEAKE ENERGY
 CORP COM              COMMON STOCK    165167107      49      2145 Shares           X                    1     2145       0        0
CHESAPEAKE ENERGY
 CORP COM              COMMON STOCK    165167107     279     12300 Shares           X                    2        0       0    12300
CHESAPEAKE ENERGY
 CONV PFD 4.5          PREFERRED STOCK 165167842    5038     58575 Shares           X                    2        0    9530        0
CHESAPEAKE UTILITIES
 CORPORATI             COMMON STOCK    165303108      18       500 Shares                    X           1      500       0        0
CHEVRON CORP           COMMON STOCK    166764100   24279    299555 Shares           X                    1   296225       0     3330
CHEVRON CORP           COMMON STOCK    166764100   16009    197522 Shares                    X           1   187123       0    10399
CHEVRON CORP           COMMON STOCK    166764100    7713     95163 Shares           X                    2        0   24516    70647
CHEVRON CORP           COMMON STOCK    166764100     340      4194 Shares           X                    3     2546       0     1648
CHEVRON CORP           COMMON STOCK    166764100     162      2000 Shares                    X           4     2000       0        0
CHICAGO BRIDGE &
 IRON CO N V C         COMMON STOCK    167250109      10       400 Shares           X                    1      400       0        0
CHICAGO BRIDGE &
 IRON CO N V C         COMMON STOCK    167250109       1        25 Shares                    X           1       25       0        0
CHICAGO BRIDGE &
 IRON CO N V C         COMMON STOCK    167250109    1019     41685 Shares           X                    2        0       0    41685
CHIMERA INVESTMENT
 CORP                  COMMON STOCK    16934Q109      52     13100 Shares           X                    1        0       0        0
CHIMERA INVESTMENT
 CORP                  COMMON STOCK    16934Q109      28      7100 Shares                    X           1        0       0        0
CHINA MOBILE LTD
 SPON ADR              COMMON STOCK    16941M109      32       625 Shares           X                    1      625       0        0
CHINA PETE & CHEM
 CORP SPON AD          COMMON STOCK    16941R108       1        12 Shares                    X           1       12       0        0
CHINA UNICOM-
 (HONG KONG) ADR       COMMON STOCK    16945R104      35      2420 Shares           X                    1     2420       0        0
CHIPOTLE MEXICAN
 GRILL-CL A            COMMON STOCK    169656105      36       208 Shares           X                    1      208       0        0
CHUBB CORP             COMMON STOCK    171232101     391      6855 Shares           X                    1     6855       0        0
CHUBB CORP             COMMON STOCK    171232101      57      1000 Shares                    X           1     1000       0        0
CHUBB CORP             COMMON STOCK    171232101    1374     24110 Shares           X                    2        0       0    24110
CHURCH & DWIGHT CO
 INC                   COMMON STOCK    171340102     356      5486 Shares           X                    1     5486       0        0
CHURCH & DWIGHT CO
 INC                   COMMON STOCK    171340102    2708     41700 Shares           X                    3    41700       0        0
CIENA CORP             COMMON STOCK    171779309     877     56340 Shares           X                    1    56340       0        0
CIENA CORP             COMMON STOCK    171779309    1444     92752 Shares           X                    3    92752       0        0
CIENA CORP             COMMON STOCK    171779309       2       130 Shares           X                    4      130       0        0
CIMAREX ENERGY CO      COMMON STOCK    171798101      20       300 Shares           X                    1      300       0        0
CIMAREX ENERGY CO      COMMON STOCK    171798101      13       200 Shares                    X           1      200       0        0
CINCINNATI FINL CORP
 COM                   COMMON STOCK    172062101      90      3119 Shares           X                    1     3119       0        0
CINCINNATI FINL CORP
 COM                   COMMON STOCK    172062101      29      1000 Shares                    X           1     1000       0        0
CINCINNATI FINL CORP
 COM                   COMMON STOCK    172062101     174      6050 Shares           X                    2        0       0     6050
CIRRUS LOGIC INC       COMMON STOCK    172755100      14       800 Shares           X                    1      800       0        0
CISCO SYSTEMS INC      COMMON STOCK    17275R102   13925    635823 Shares           X                    1   625232       0    10591
CISCO SYSTEMS INC      COMMON STOCK    17275R102    4148    189406 Shares                    X           1   172306       0    17100
CISCO SYSTEMS INC      COMMON STOCK    17275R102    4391    200501 Shares           X                    2        0   86071   114430
CISCO SYSTEMS INC      COMMON STOCK    17275R102    3125    142725 Shares           X                    3   136022       0     6703
CISCO SYSTEMS INC      COMMON STOCK    17275R102       5       224 Shares           X                    4      224       0        0
CITIGROUP INC COM      COMMON STOCK    172967101     407    103981 Shares           X                    1   103981       0        0
CITIGROUP INC COM      COMMON STOCK    172967101     152     38789 Shares                    X           1    34129       0     4660
CITIGROUP INC COM      COMMON STOCK    172967101     348     88946 Shares           X                    2        0   28560    60386
CITRIX SYSTEMS INC
 COM                   COMMON STOCK    177376100    1480     21681 Shares           X                    1    21681       0        0
CITRIX SYSTEMS INC
 COM                   COMMON STOCK    177376100      79      1156 Shares                    X           1     1156       0        0
CITY HOLDING COMPANY   COMMON STOCK    177835105     971     31662 Shares           X                    1    31662       0        0
CLARIENT INC           COMMON STOCK    180489106      34     10000 Shares           X                    1    10000       0        0
CLAYMORE S&P GLOBAL
 WATER ETF             PREFERRED STOCK 18383Q507       2       100 Shares                    X           1        0       0        0
CLIFFS NATURAL
 RESOURCES INC         COMMON STOCK    18683K101    5444     85175 Shares           X                    1    84575       0      600
CLIFFS NATURAL
 RESOURCES INC         COMMON STOCK    18683K101     239      3735 Shares                    X           1     1535       0     2200
CLIFFS NATURAL
 RESOURCES INC         COMMON STOCK    18683K101    1097     17150 Shares           X                    2        0   10350     6800



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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CLIFFS NATURAL
 RESOURCES INC         COMMON STOCK    18683K101    3448     53937 Shares           X                    3    51422       0     2515
CLIFFS NATURAL
 RESOURCES INC         COMMON STOCK    18683K101       2        39 Shares           X                    4       39       0        0
CLOROX COMPANY         COMMON STOCK    189054109     652      9768 Shares           X                    1     9768       0        0
CLOROX COMPANY         COMMON STOCK    189054109     368      5515 Shares                    X           1     4015       0     1500
CLOROX COMPANY         COMMON STOCK    189054109      67      1000 Shares           X                    2        0       0     1000
CLOUGH GLOBAL
 OPPORTUNITIES         PREFERRED STOCK 18914E106     396     31225 Shares           X                    1        0       0        0
COACH INC              COMMON STOCK    189754104    1959     45597 Shares           X                    1    42097       0     3500
COACH INC              COMMON STOCK    189754104     328      7627 Shares                    X           1     7627       0        0
COACH INC              COMMON STOCK    189754104    3706     86266 Shares           X                    3    84348       0     1918
COBALT INTERNATIONAL
 ENERGY                COMMON STOCK    19075F106      90      9400 Shares           X                    2        0       0     9400
COCA COLA BOTTLING
 CO CONSOLID           COMMON STOCK    191098102       7       125 Shares           X                    1      125       0        0
COCA COLA CO COM       COMMON STOCK    191216100   17431    297870 Shares           X                    1   292961       0     4909
COCA COLA CO COM       COMMON STOCK    191216100    6783    115909 Shares                    X           1   113173       0     2736
COCA COLA CO COM       COMMON STOCK    191216100    3293     56275 Shares           X                    2        0   25281    30994
COCA COLA CO COM       COMMON STOCK    191216100    3299     56365 Shares           X                    3    52638       0     3727
COCA COLA CO COM       COMMON STOCK    191216100       4        64 Shares           X                    4       64       0        0
COCA COLA
 ENTERPRISES INC       COMMON STOCK    191219104      31      1000 Shares           X                    1     1000       0        0
COCA-COLA FEMSA SA
 DE CV SPON            COMMON STOCK    191241108       1        14 Shares                    X           1       14       0        0
CODORUS VALLEY
 BANCORP INC           COMMON STOCK    192025104     189     22679 Shares           X                    1    20071       0     2608
CODORUS VALLEY
 BANCORP INC           COMMON STOCK    192025104      78      9398 Shares                    X           1     9398       0        0
COGNIZANT TECH SOL
 CORP                  COMMON STOCK    192446102    1842     28568 Shares           X                    1    28568       0        0
COGNIZANT TECH SOL
 CORP                  COMMON STOCK    192446102     506      7844 Shares                    X           1     7844       0        0
COHEN & STEERS INC     COMMON STOCK    19247A100      30      1375 Shares           X                    1     1375       0        0
COHEN & STEERS INC     COMMON STOCK    19247A100     803     37000 Shares           X                    3    37000       0        0
COHEN & STEERS
 QUALITY INC RLT       PREFERRED STOCK 19247L106      20      2600 Shares           X                    1        0       0        0
COHEN & STEERS
 QUALITY INC RLT       PREFERRED STOCK 19247L106       8      1020 Shares           X                    2        0       0        0
COHEN & STEERS
 REIT & PFD INC        PREFERRED STOCK 19247X100      21      1600 Shares                    X           1        0       0        0
COHEN & STEERS
 INFRASTRUCTURE        PREFERRED STOCK 19248A109     384     24094 Shares           X                    1        0       0        0
COHU INCORPORATED      COMMON STOCK    192576106      10       800 Shares           X                    1      800       0        0
COLGATE PALMOLIVE
 CO COM                COMMON STOCK    194162103    5804     75518 Shares           X                    1    75518       0        0
COLGATE PALMOLIVE
 CO COM                COMMON STOCK    194162103    4231     55045 Shares                    X           1    50995       0     4050
COLGATE PALMOLIVE
 CO COM                COMMON STOCK    194162103   11950    155477 Shares           X                    2        0   49374   106103
COMCAST CORP NEW A     COMMON STOCK    20030N101    1400     77451 Shares           X                    1    77451       0        0
COMCAST CORP NEW A     COMMON STOCK    20030N101     647     35807 Shares                    X           1    32463       0     3344
COMCAST CORP-SPECIAL
 CL A                  COMMON STOCK    20030N200      71      4174 Shares           X                    1     4174       0        0
COMCAST CORP-SPECIAL
 CL A                  COMMON STOCK    20030N200      98      5733 Shares                    X           1     5433       0      300
COMERICA INC           COMMON STOCK    200340107      74      2000 Shares           X                    2        0       0     2000
COMMERCIAL NATL
 FINANCIAL CORP        COMMON STOCK    202217105      14       820 Shares           X                    1      820       0        0
COMMONWEALTH REIT      COMMON STOCK    203233101       8       300 Shares                    X           1        0       0        0
COMMONWEALTH REIT      PREFERRED STOCK 203233408    2844    128000 Shares           X                    2        0       0        0
COMMUNITY BANK
 SYSTEM INC            COMMON STOCK    203607106     520     22600 Shares           X                    1      100       0    22500
COMMUNITY BANKERS
 TRUST CORP            COMMON STOCK    203612106      11     11455 Shares           X                    2        0       0    11455
COMMVAULT SYSTEMS
 INC                   COMMON STOCK    204166102      22       850 Shares           X                    1      850       0        0
COMMVAULT SYSTEMS
 INC                   COMMON STOCK    204166102     825     31700 Shares           X                    3    31700       0        0
COMPANHIA ENERGETICA
 DEMINAS A             COMMON STOCK    204409601       1        80 Shares           X                    1       80       0        0
COMPANHIA
 SIDERURGICA SP-ADR    COMMON STOCK    20440W105      44      2508 Shares           X                    1     2508       0        0
COMPANHIA
 SIDERURGICA SP-ADR    COMMON STOCK    20440W105       2       108 Shares                    X           1      108       0        0
COMPANHIA PARANAENSE
 DE ENERGI             COMMON STOCK    20441B407       1        42 Shares                    X           1       42       0        0
COMPLETE PRODUCTION
 SERVICES I            COMMON STOCK    20453E109      32      1550 Shares           X                    1     1550       0        0
COMPLETE PRODUCTION
 SERVICES I            COMMON STOCK    20453E109     838     41000 Shares           X                    3    41000       0        0
COMPUTER TASK GROUP    COMMON STOCK    205477102     449     58750 Shares           X                    1    58750       0        0
CONAGRA FOODS INC      COMMON STOCK    205887102      23      1051 Shares           X                    1     1051       0        0
CONAGRA FOODS INC      COMMON STOCK    205887102      30      1346 Shares                    X           1     1346       0        0
CON-WAY INC            COMMON STOCK    205944101      15       500 Shares           X                    1      500       0        0
CON-WAY INC            COMMON STOCK    205944101      12       400 Shares           X                    2        0       0      400
CONCHO RESOURCES INC   COMMON STOCK    20605P101       1        19 Shares           X                    1       19       0        0
CONCUR TECHNOLOGIES
 INCORPORAT            COMMON STOCK    206708109      51      1025 Shares           X                    1     1025       0        0
CONCUR TECHNOLOGIES
 INCORPORAT            COMMON STOCK    206708109    1335     27000 Shares           X                    3    27000       0        0
CONOCOPHILLIPS         COMMON STOCK    20825C104   13048    227195 Shares           X                    1   224015       0     3180
CONOCOPHILLIPS         COMMON STOCK    20825C104    3889     67724 Shares                    X           1    61187       0     6537
CONOCOPHILLIPS         COMMON STOCK    20825C104     174      3038 Shares           X                    2        0       0     3038
CONOCOPHILLIPS         COMMON STOCK    20825C104    1609     28016 Shares           X                    3    25401       0     2615



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
CONSOL ENERGY INC      COMMON STOCK    20854P109     129      3490 Shares           X                    1     3490       0        0
CONSOL ENERGY INC      COMMON STOCK    20854P109      31       850 Shares                    X           1        0       0      850
CONSOLIDATED EDISON
 INC                   COMMON STOCK    209115104     153      3168 Shares           X                    1     3168       0        0
CONSOLIDATED EDISON
 INC                   COMMON STOCK    209115104      55      1134 Shares                    X           1     1134       0        0
CONSTELLATION BRANDS
 INC CL A              COMMON STOCK    21036P108      22      1234 Shares           X                    1     1234       0        0
CONSTELLATION BRANDS
 INC CL A              COMMON STOCK    21036P108       7       370 Shares                    X           1      370       0        0
CONSTELLATION BRANDS
 INC CL A              COMMON STOCK    21036P108     299     11927 Shares           X                    2        0   11927        0
CONSTELLATION ENERGY
 GROUP INC             COMMON STOCK    210371100    1456     45157 Shares           X                    1    45157       0        0
CONSTELLATION ENERGY
 GROUP INC             COMMON STOCK    210371100    1587     49236 Shares                    X           1    49236       0        0
CONSTELLATION ENERGY
 GROUP INC             COMMON STOCK    210371100      10       300 Shares           X                    3      300       0        0
CORN PRODS INTL INC
 COM                   COMMON STOCK    219023108      15       400 Shares                    X           1      400       0        0
CORNING INC            COMMON STOCK    219350105    4185    228956 Shares           X                    1   226956       0     2000
CORNING INC            COMMON STOCK    219350105     684     37437 Shares                    X           1    31612       0     5825
CORNING INC            COMMON STOCK    219350105    1247     68237 Shares           X                    2        0       0    68237
CORNING INC            COMMON STOCK    219350105    1931    105637 Shares           X                    3    99780       0     5857
CORNING INC            COMMON STOCK    219350105       2       124 Shares           X                    4      124       0        0
COSTCO WHOLESALE
 CORP COM              COMMON STOCK    22160K105     413      6411 Shares           X                    1     6411       0        0
COSTCO WHOLESALE
 CORP COM              COMMON STOCK    22160K105     204      3165 Shares                    X           1     3165       0        0
COSTCO WHOLESALE
 CORP COM              COMMON STOCK    22160K105     469      7270 Shares           X                    2        0       0     7270
COSTCO WHOLESALE
 CORP COM              COMMON STOCK    22160K105      64      1000 Shares                    X           4     1000       0        0
COVANCE INC COM        COMMON STOCK    222816100      26       550 Shares           X                    1      550       0        0
COVANCE INC COM        COMMON STOCK    222816100      47      1000 Shares                    X           1     1000       0        0
COVENTRY HEALTH
 CARE INC              COMMON STOCK    222862104       8       388 Shares           X                    1      388       0        0
COVENTRY HEALTH
 CARE INC              COMMON STOCK    222862104    1834     85195 Shares           X                    2        0   44400    40795
CRANE CO               COMMON STOCK    224399105     266      7000 Shares           X                    1     7000       0        0
CRAY INC               COMMON STOCK    225223304       0        75 Shares           X                    1       75       0        0
CREDIT SUISSE GROUP
 SPONSORED             COMMON STOCK    225401108      51      1209 Shares           X                    1     1209       0        0
CREDIT SUISSE GROUP
 SPONSORED             COMMON STOCK    225401108       1        18 Shares                    X           1       18       0        0
CREE RESEARCH INC
 COM                   COMMON STOCK    225447101     795     14647 Shares           X                    1    14647       0        0
CREE RESEARCH INC
 COM                   COMMON STOCK    225447101     142      2610 Shares                    X           1     1860       0      750
CROSS TIMBERS
 ROYALTY TRUST         COMMON STOCK    22757R109       0         1 Shares           X                    1        0       0        0
CROWN HOLDINGS INC     COMMON STOCK    228368106     344     12002 Shares           X                    1    12002       0        0
CROWN HOLDINGS INC     COMMON STOCK    228368106      11       400 Shares                    X           1      400       0        0
CROWN HOLDINGS INC     COMMON STOCK    228368106    2470     86200 Shares           X                    3    86200       0        0
CUMMINS INC COM        COMMON STOCK    231021106    3594     39682 Shares           X                    1    39282       0      400
CUMMINS INC COM        COMMON STOCK    231021106     230      2540 Shares                    X           1     1550       0      990
CUMMINS INC COM        COMMON STOCK    231021106     289      3192 Shares           X                    2        0       0     3192
CUMMINS INC COM        COMMON STOCK    231021106    5653     62408 Shares           X                    3    61187       0     1221
CUMMINS INC COM        COMMON STOCK    231021106       3        34 Shares           X                    4       34       0        0
CURTISS WRIGHT CORP    COMMON STOCK    231561101      43      1406 Shares           X                    1     1406       0        0
CUTERA INC             COMMON STOCK    232109108       3       400 Shares           X                    1      400       0        0
CYTEC INDUSTRIES
 INC COM               COMMON STOCK    232820100      37       657 Shares           X                    1      657       0        0
CYTEC INDUSTRIES
 INC COM               COMMON STOCK    232820100     789     14000 Shares           X                    3    14000       0        0
DNB FINANCIAL
 CORPORATION           COMMON STOCK    233237106      13      1878 Shares           X                    1     1878       0        0
DNP SELECT INCOME
 FUND INC              PREFERRED STOCK 23325P104       5       500 Shares           X                    1        0       0        0
DNP SELECT INCOME
 FUND INC              PREFERRED STOCK 23325P104      10      1000 Shares                    X           1        0       0        0
DNP SELECT INCOME
 FUND INC              PREFERRED STOCK 23325P104      20      2000 Shares           X                    3        0       0        0
DPL INC                COMMON STOCK    233293109      70      2683 Shares           X                    1     2683       0        0
DPL INC                COMMON STOCK    233293109       3       100 Shares                    X           1      100       0        0
D R HORTON INC         COMMON STOCK    23331A109    1743    156762 Shares           X                    1   153429       0     3333
D R HORTON INC         COMMON STOCK    23331A109      80      7227 Shares                    X           1     6827       0      400
D R HORTON INC         COMMON STOCK    23331A109    1609    144733 Shares           X                    3   144733       0        0
D R HORTON INC         COMMON STOCK    23331A109       2       208 Shares           X                    4      208       0        0
DTE ENERGY CO          COMMON STOCK    233331107     150      3266 Shares           X                    1     3266       0        0
DTE ENERGY CO          COMMON STOCK    233331107      69      1501 Shares                    X           1     1501       0        0
DWS STRATEGIC
 MUNICIPAL INCOME      PREFERRED STOCK 23338T101      21      1500 Shares                    X           1        0       0        0
DANAHER CORP COM       COMMON STOCK    235851102    2745     67594 Shares           X                    1    67594       0        0
DANAHER CORP COM       COMMON STOCK    235851102     174      4280 Shares                    X           1     3140       0     1140
DANAHER CORP COM       COMMON STOCK    235851102    6899    169866 Shares           X                    2        0   39290   130576
DANAHER CORP COM       COMMON STOCK    235851102    2139     52676 Shares           X                    3    49419       0     3257
DANAHER CORP COM       COMMON STOCK    235851102       3        72 Shares           X                    4       72       0        0
DARDEN RESTAURANTS
 INC COM               COMMON STOCK    237194105     699     16329 Shares           X                    1    16329       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
DARDEN RESTAURANTS
 INC COM               COMMON STOCK    237194105     178      4150 Shares                    X           1     4150       0        0
DARDEN RESTAURANTS
 INC COM               COMMON STOCK    237194105      17       400 Shares           X                    2        0       0      400
DAVITA INC WITH
 ATTACHED RIGHT        COMMON STOCK    23918K108      10       150 Shares                    X           1        0       0      150
DECKERS OUTDOOR CORP   COMMON STOCK    243537107      59      1175 Shares           X                    1     1175       0        0
DECKERS OUTDOOR CORP   COMMON STOCK    243537107    1574     31500 Shares           X                    3    31500       0        0
DEERE & CO             COMMON STOCK    244199105    3698     52996 Shares           X                    1    52396       0      600
DEERE & CO             COMMON STOCK    244199105     425      6085 Shares                    X           1     4599       0     1486
DEERE & CO             COMMON STOCK    244199105    1780     25501 Shares           X                    3    25501       0        0
DEERE & CO             COMMON STOCK    244199105       4        58 Shares           X                    4       58       0        0
DEL MONTE FOODS CO     COMMON STOCK    24522P103       9       651 Shares           X                    1      651       0        0
DEL MONTE FOODS CO     COMMON STOCK    24522P103       3       200 Shares                    X           1      200       0        0
DELL INC               COMMON STOCK    24702R101    1026     79117 Shares           X                    1    79117       0        0
DELL INC               COMMON STOCK    24702R101     226     17460 Shares                    X           1    15660       0     1800
DELL INC               COMMON STOCK    24702R101       1       100 Shares           X                    2        0       0      100
DELTA PETROLEUM CORP   COMMON STOCK    247907207      12     15500 Shares                    X           1    15500       0        0
DENDREON CORPORATION   COMMON STOCK    24823Q107      30       725 Shares           X                    1      725       0        0
DENDREON CORPORATION   COMMON STOCK    24823Q107     803     19500 Shares           X                    3    19500       0        0
DENTSPLY
 INTERNATIONAL INC
 COM                   COMMON STOCK    249030107    1212     37910 Shares           X                    1    37710       0      200
DENTSPLY
 INTERNATIONAL INC
 COM                   COMMON STOCK    249030107     189      5900 Shares                    X           1     5900       0        0
DEV DIVERSIFIED RLTY
 CORP                  COMMON STOCK    251591103       2       220 Shares                    X           1        0       0        0
DEVON ENERGY CORP      COMMON STOCK    25179M103     317      4899 Shares           X                    1     4899       0        0
DEVON ENERGY CORP      COMMON STOCK    25179M103      88      1352 Shares                    X           1     1352       0        0
DEVON ENERGY CORP      COMMON STOCK    25179M103     602      9295 Shares           X                    2        0       0     9295
DEVRY INC              COMMON STOCK    251893103      30       600 Shares           X                    1      600       0        0
DIAGEO PLC SPONSORED
 ADR                   COMMON STOCK    25243Q205     253      3665 Shares           X                    1     3665       0        0
DIAGEO PLC SPONSORED
 ADR                   COMMON STOCK    25243Q205      55       800 Shares                    X           1      800       0        0
DIAGEO PLC SPONSORED
 ADR                   COMMON STOCK    25243Q205      35       500 Shares           X                    3      500       0        0
DIAMOND OFFSHORE
 DRILLING COM          COMMON STOCK    25271C102       3        50 Shares           X                    1       50       0        0
DIEBOLD INC            COMMON STOCK    253651103       3        90 Shares           X                    1       90       0        0
DINEEQUITY INC         COMMON STOCK    254423106     391      8696 Shares           X                    1     8696       0        0
DINEEQUITY INC         COMMON STOCK    254423106    4830    107375 Shares           X                    3   107375       0        0
DIONEX CORP            COMMON STOCK    254546104     985     11400 Shares           X                    2        0       0    11400
DIREXION DAILY SMALL
 CAP BEAR              PREFERRED STOCK 25459W326      18       700 Shares                    X           1        0       0        0
DIREXIONSHARES DAILY
 FINL BEAR             PREFERRED STOCK 25459W490      26      1950 Shares                    X           1        0       0        0
DISNEY WALT CO         COMMON STOCK    254687106    6464    195298 Shares           X                    1   194998       0      300
DISNEY WALT CO         COMMON STOCK    254687106    1887     57010 Shares                    X           1    51160       0     5850
DISNEY WALT CO         COMMON STOCK    254687106    1355     40938 Shares           X                    2        0   10012    30926
DISNEY WALT CO         COMMON STOCK    254687106    1417     42789 Shares           X                    3    39617       0     3172
DISNEY WALT CO         COMMON STOCK    254687106       2        70 Shares           X                    4       70       0        0
DISCOVER FINANCIAL
 SERVICES              COMMON STOCK    254709108      15       902 Shares           X                    1      902       0        0
DISCOVER FINANCIAL
 SERVICES              COMMON STOCK    254709108      19      1159 Shares                    X           1      165       0      994
DISCOVERY
 COMMUNICATIONS INC    COMMON STOCK    25470F104      32       734 Shares           X                    1      734       0        0
DISCOVERY
 COMMUNICATIONS INC    COMMON STOCK    25470F104      30       696 Shares                    X           1      696       0        0
DISCOVERY
 COMMUNICATIONS INC
 -                     COMMON STOCK    25470F302      28       734 Shares           X                    1      734       0        0
DISCOVERY
 COMMUNICATIONS INC
 -                     COMMON STOCK    25470F302      47      1239 Shares                    X           1     1239       0        0
DISH NETWORK CORP
 CL A                  COMMON STOCK    25470M109       8       400 Shares           X                    1      400       0        0
THE DIRECTV GROUP
 HLDGS CL A            COMMON STOCK    25490A101     290      6978 Shares           X                    1     6978       0        0
THE DIRECTV GROUP
 HLDGS CL A            COMMON STOCK    25490A101     250      5996 Shares                    X           1     5996       0        0
DOLBY LABORATORIES
 INC CL A              COMMON STOCK    25659T107     259      4565 Shares           X                    1     4565       0        0
DOLBY LABORATORIES
 INC CL A              COMMON STOCK    25659T107     163      2875 Shares           X                    2        0       0     2875
DOLBY LABORATORIES
 INC CL A              COMMON STOCK    25659T107    2153     37900 Shares           X                    3    37900       0        0
DOLLAR TREE INC        COMMON STOCK    256746108     686     14070 Shares           X                    1    14070       0        0
DOLLAR TREE INC        COMMON STOCK    256746108      16       320 Shares                    X           1      320       0        0
DOMINION RESOURCES
 BLACK WARRI           COMMON STOCK    25746Q108      27      2000 Shares           X                    1     2000       0        0
DOMINION RESOURCES
 INC                   COMMON STOCK    25746U109    4549    104192 Shares           X                    1   103342       0      850
DOMINION RESOURCES
 INC                   COMMON STOCK    25746U109    2768     63410 Shares                    X           1    53824       0     9586
DOMINION RESOURCES
 INC                   COMMON STOCK    25746U109     140      3200 Shares           X                    2        0       0     3200
DOMINION RESOURCES
 INC                   COMMON STOCK    25746U109      87      2000 Shares                    X           4     2000       0        0
DONALDSON INC COM      COMMON STOCK    257651109      24       500 Shares                    X           1      500       0        0
DONNELLEY R R &
 SONS CO               COMMON STOCK    257867101       8       460 Shares           X                    1      460       0        0
DONNELLEY R R &
 SONS CO               COMMON STOCK    257867101      12       700 Shares                    X           1      700       0        0
DONNELLEY R R &
 SONS CO               COMMON STOCK    257867101      73      4280 Shares           X                    2        0       0     4280



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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DOVER CORP             COMMON STOCK    260003108     785     15040 Shares           X                    1    15040       0        0
DOVER CORP             COMMON STOCK    260003108     139      2656 Shares                    X           1     2656       0        0
DOW CHEMICAL CO        COMMON STOCK    260543103    3479    126681 Shares           X                    1   126681       0        0
DOW CHEMICAL CO        COMMON STOCK    260543103    1382     50335 Shares                    X           1    50335       0        0
DOW CHEMICAL CO        COMMON STOCK    260543103    1519     55300 Shares           X                    2        0   19650    35650
DOW CHEMICAL CO        COMMON STOCK    260543103    1253     45641 Shares           X                    3    45641       0        0
DOW CHEMICAL CO        COMMON STOCK    260543103       2        60 Shares           X                    4       60       0        0
DR PEPPER SNAPPLE
 GROUP INC             COMMON STOCK    26138E109      47      1334 Shares           X                    1     1334       0        0
DR PEPPER SNAPPLE
 GROUP INC             COMMON STOCK    26138E109       2        56 Shares                    X           1       56       0        0
DREYFUS MUNICIPAL
 INCOME FUND           PREFERRED STOCK 26201R102      72      7200 Shares                    X           1        0       0        0
DREYFUS STRATEGIC
 MUN BD FD             PREFERRED STOCK 26202F107     241     27602 Shares           X                    1        0       0        0
DREYFUS STRATEGIC
 MUN BD FD             PREFERRED STOCK 26202F107      61      7000 Shares                    X           1        0       0        0
DRIL-QUIP INC          COMMON STOCK    262037104      48       775 Shares           X                    1      775       0        0
DRIL-QUIP INC          COMMON STOCK    262037104    1304     21000 Shares           X                    3    21000       0        0
DUPONT EI DE NEMOURS
 & CO COM              COMMON STOCK    263534109    7095    158999 Shares           X                    1   158106       0      893
DUPONT EI DE NEMOURS
 & CO COM              COMMON STOCK    263534109    5582    125100 Shares                    X           1   120600       0     4500
DUPONT EI DE NEMOURS
 & CO COM              COMMON STOCK    263534109    4421     99089 Shares           X                    2        0   25910    73179
DUPONT EI DE NEMOURS
 & CO COM              COMMON STOCK    263534109     125      2794 Shares           X                    3     2794       0        0
DUKE REALTY CORP       COMMON STOCK    264411505      12      1000 Shares           X                    2        0       0        0
DUKE ENERGY CORP       COMMON STOCK    26441C105    2249    126975 Shares           X                    1   124175       0     2800
DUKE ENERGY CORP       COMMON STOCK    26441C105     682     38508 Shares                    X           1    35208       0     3300
DUKE ENERGY CORP       COMMON STOCK    26441C105      27      1500 Shares           X                    2        0       0     1500
DUKE ENERGY CORP       COMMON STOCK    26441C105      18      1000 Shares           X                    3     1000       0        0
DUN & BRADSTREET
 CORP                  COMMON STOCK    26483E100      34       458 Shares           X                    1      458       0        0
DUN & BRADSTREET
 CORP                  COMMON STOCK    26483E100      30       399 Shares                    X           1      399       0        0
EMC CORP MASS COM      COMMON STOCK    268648102    6685    329156 Shares           X                    1   328931       0      225
EMC CORP MASS COM      COMMON STOCK    268648102     889     43784 Shares                    X           1    42909       0      875
EMC CORP MASS COM      COMMON STOCK    268648102    4548    223931 Shares           X                    2        0   68236   155695
EMC CORP MASS COM      COMMON STOCK    268648102    1817     89436 Shares           X                    3    84015       0     5421
ENI SPA-SPONS ADR      COMMON STOCK    26874R108      16       380 Shares           X                    1      380       0        0
ENI SPA-SPONS ADR      COMMON STOCK    26874R108       1        20 Shares                    X           1       20       0        0
ENI SPA-SPONS ADR      COMMON STOCK    26874R108       9       212 Shares           X                    2        0       0      212
EOG RESOURCES INC
 COM                   COMMON STOCK    26875P101    3101     33352 Shares           X                    1    32952       0      400
EOG RESOURCES INC
 COM                   COMMON STOCK    26875P101     324      3480 Shares                    X           1     1650       0     1830
EOG RESOURCES INC
 COM                   COMMON STOCK    26875P101      46       500 Shares           X                    2        0       0      500
EOG RESOURCES INC
 COM                   COMMON STOCK    26875P101     387      4164 Shares           X                    3     2458       0     1706
EQT CORPORATION        COMMON STOCK    26884L109     234      6500 Shares           X                    1     6500       0        0
EQT CORPORATION        COMMON STOCK    26884L109      97      2700 Shares                    X           1     2700       0        0
EAGLE BANCORP INC MD   COMMON STOCK    268948106    4240    369421 Shares           X                    2        0   31750   337671
ETFS GOLD TRUST        PREFERRED STOCK 26922Y105      52       400 Shares           X                    2        0       0        0
E*TRADE FINANCIAL
 CORPORATION           COMMON STOCK    269246401       3       200 Shares           X                    1      200       0        0
EASTGROUP PROPERTIES
 INCORPORA             COMMON STOCK    277276101    2523     67500 Shares           X                    2        0       0        0
EASTMAN CHEMICAL
 COMPANY COM           COMMON STOCK    277432100      37       500 Shares                    X           1        0       0      500
EASTMAN KODAK CO COM   COMMON STOCK    277461109       2       500 Shares           X                    1      500       0        0
EASTMAN KODAK CO COM   COMMON STOCK    277461109       1       325 Shares                    X           1      325       0        0
EATON CORP COM         COMMON STOCK    278058102     468      5668 Shares           X                    1     5668       0        0
EATON CORP COM         COMMON STOCK    278058102      25       300 Shares                    X           1      300       0        0
EATON VANCE
 MUNICIPAL INCOME T    PREFERRED STOCK 27826U108      65      5000 Shares                    X           1        0       0        0
EATON VANCE
 FLOATING-RATE INC     PREFERRED STOCK 278279104       7       450 Shares           X                    1        0       0        0
EATON VANCE NY MUNI
 BD FD                 PREFERRED STOCK 27827Y109      21      1500 Shares                    X           1        0       0        0
EATON VANCE
 TAX-ADVANTAGED DVD    PREFERRED STOCK 27828G107      20      1250 Shares           X                    1        0       0        0
EATON VANCE
 TAX-ADVANTAGED DVD    PREFERRED STOCK 27828G107      61      3900 Shares                    X           1        0       0        0
EATON VANCE SR
 FLOATING RATE F       PREFERRED STOCK 27828Q105     769     49025 Shares           X                    1        0       0        0
EATON VANCE SR
 FLOATING RATE F       PREFERRED STOCK 27828Q105      58      3700 Shares                    X           1        0       0        0
EATON VANCE TAX
 MAN GLBL BR           PREFERRED STOCK 27829C105      13      1000 Shares           X                    1        0       0        0
EBAY INC COM           COMMON STOCK    278642103     305     12516 Shares           X                    1    12516       0        0
EBAY INC COM           COMMON STOCK    278642103      21       880 Shares                    X           1      880       0        0
EBAY INC COM           COMMON STOCK    278642103     414     16984 Shares           X                    2        0       0    16984
ECHO GLOBAL
 LOGISTICS INC         COMMON STOCK    27875T101      31      2449 Shares           X                    1     2449       0        0
ECHO GLOBAL
 LOGISTICS INC         COMMON STOCK    27875T101     817     64000 Shares           X                    3    64000       0        0
ECOLAB INC COM         COMMON STOCK    278865100    1060     20900 Shares           X                    1    20900       0        0
ECOLAB INC COM         COMMON STOCK    278865100     112      2200 Shares                    X           1     2200       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
EDISON INTERNATIONAL
 COM                   COMMON STOCK    281020107     177      5161 Shares           X                    1     5161       0        0
EDISON INTERNATIONAL
 COM                   COMMON STOCK    281020107     155      4515 Shares                    X           1     4515       0        0
EDWARDS LIFESCIENCES
 CORP COM              COMMON STOCK    28176E108      75      1120 Shares           X                    1     1120       0        0
EDWARDS LIFESCIENCES
 CORP COM              COMMON STOCK    28176E108       1        22 Shares                    X           1       22       0        0
EL PASO CORP COM       COMMON STOCK    28336L109      17      1400 Shares           X                    1     1400       0        0
EL PASO CORP COM       COMMON STOCK    28336L109     186     15000 Shares           X                    2        0       0    15000
EL PASO ELECTRIC CO    COMMON STOCK    283677854       9       369 Shares           X                    1      369       0        0
EL PASO PIPELINE
 PARTNERS LP           COMMON STOCK    283702108      64      2000 Shares           X                    2        0       0     2000
ELDORADO GOLD
 CORPORATION           COMMON STOCK    284902103      44      2375 Shares           X                    1     2375       0        0
ELECTRONICS ARTS COM   COMMON STOCK    285512109      82      4970 Shares           X                    1     4970       0        0
ELECTRONICS ARTS COM   COMMON STOCK    285512109      38      2300 Shares                    X           1     1100       0     1200
EMERGENCY MEDICAL
 SERVICES-A            COMMON STOCK    29100P102    8590    161317 Shares           X                    2        0   47650   113667
EMERSON ELECTRIC CO    COMMON STOCK    291011104    7452    141514 Shares           X                    1   140214       0     1300
EMERSON ELECTRIC CO    COMMON STOCK    291011104    5156     97902 Shares                    X           1    85152       0    12750
EMERSON ELECTRIC CO    COMMON STOCK    291011104    5748    109145 Shares           X                    2        0   24230    84915
EMERSON ELECTRIC CO    COMMON STOCK    291011104     288      5470 Shares           X                    3     3147       0     2323
EMPIRE DISTRICT
 ELECTRIC CO           COMMON STOCK    291641108      10       500 Shares           X                    1      500       0        0
ENCANA CORP            COMMON STOCK    292505104      30      1000 Shares           X                    1     1000       0        0
ENCANA CORP            COMMON STOCK    292505104     330     10900 Shares                    X           1    10900       0        0
ENDEAVOUR
 INTERNATIONAL CORP    COMMON STOCK    29259G101       1      1000 Shares                    X           1     1000       0        0
ENERGIZER HLDGS INC
 COM                   COMMON STOCK    29266R108       7       100 Shares                    X           1      100       0        0
ENERGY TRANSFER
 PARTNERS LP           COMMON STOCK    29273R109      24       500 Shares                    X           1      500       0        0
ENERGY TRANSFER
 PARTNERS LP           COMMON STOCK    29273R109      58      1200 Shares           X                    2        0       0     1200
ENERGY TRANSFER
 EQUITY LP             COMMON STOCK    29273V100    2949     79450 Shares           X                    2        0       0    79450
ENERPLUS RESOURCES
 FUND                  COMMON STOCK    29274D604      15       600 Shares           X                    1      600       0        0
ENERPLUS RESOURCES
 FUND                  COMMON STOCK    29274D604      79      3055 Shares                    X           1     3055       0        0
ENERPLUS RESOURCES
 FUND                  COMMON STOCK    29274D604      54      2080 Shares           X                    2        0       0     2080
ENSCO PLC              COMMON STOCK    29358Q109     565     12626 Shares           X                    1    12576       0       50
ENSCO PLC              COMMON STOCK    29358Q109     153      3425 Shares                    X           1     2625       0      800
ENSCO PLC              COMMON STOCK    29358Q109      22       500 Shares           X                    2        0       0      500
ENTERGY CORP COM NEW   COMMON STOCK    29364G103     115      1509 Shares           X                    1     1509       0        0
ENTERGY CORP COM NEW   COMMON STOCK    29364G103     143      1872 Shares                    X           1     1872       0        0
ENTERPRISE PRODUCTS
 PARTNERS L            COMMON STOCK    293792107     174      4382 Shares           X                    1     4382       0        0
ENTERPRISE PRODUCTS
 PARTNERS L            COMMON STOCK    293792107      46      1150 Shares                    X           1     1150       0        0
ENTERPRISE PRODUCTS
 PARTNERS L            COMMON STOCK    293792107   13447    338984 Shares           X                    2        0   33782   305202
ENTROPIC
 COMMUNICATIONS INC    COMMON STOCK    29384R105      32      3350 Shares           X                    1     3350       0        0
ENTROPIC
 COMMUNICATIONS INC    COMMON STOCK    29384R105     115     12000 Shares           X                    2        0       0    12000
ENTROPIC
 COMMUNICATIONS INC    COMMON STOCK    29384R105     850     88500 Shares           X                    3    88500       0        0
EQUIFAX INC COM        COMMON STOCK    294429105      37      1200 Shares                    X           1     1200       0        0
EQUITY
 ONE INCORPORATED      COMMON STOCK    294752100       8       500 Shares           X                    1        0       0        0
EQUITY RESIDENTIAL
 (REIT)                COMMON STOCK    29476L107     147      3100 Shares                    X           1        0       0        0
TELEFONAKTIEBOLAGET
 LM ERICSSO            COMMON STOCK    294821608      50      4555 Shares           X                    1     4555       0        0
ERIE INDEMNITY CO CL A COMMON STOCK    29530P102     987     17601 Shares           X                    1    17601       0        0
DELHAIZE GROUP
 SPONSORED ADR         COMMON STOCK    29759W101       7       100 Shares           X                    1      100       0        0
EVERCORE PARTNERS INC
 CL A                  COMMON STOCK    29977A105      47      1650 Shares           X                    1     1650       0        0
EVERCORE PARTNERS INC
 CL A                  COMMON STOCK    29977A105    1245     43500 Shares           X                    3    43500       0        0
EVERGREEN ENERGY INC   COMMON STOCK    30024B203       2      1667 Shares           X                    2        0       0     1667
EXELON CORP            COMMON STOCK    30161N101    2979     69962 Shares           X                    1    69587       0      375
EXELON CORP            COMMON STOCK    30161N101    1242     29174 Shares                    X           1    25684       0     3490
EXPEDITORS INTL WASH
 INC COM               COMMON STOCK    302130109    2117     45785 Shares           X                    1    45785       0        0
EXPEDITORS INTL WASH
 INC COM               COMMON STOCK    302130109     179      3869 Shares                    X           1     3669       0      200
EXPEDITORS INTL WASH
 INC COM               COMMON STOCK    302130109    2942     63638 Shares           X                    3    63638       0        0
EXPRESS-1 EXPEDITED
 SOLUTIONS             COMMON STOCK    30217Q108       2       800 Shares           X                    1      800       0        0
EXPRESS SCRIPTS INC    COMMON STOCK    302182100   13316    273438 Shares           X                    1   271528       0     1910
EXPRESS SCRIPTS INC    COMMON STOCK    302182100    3698     75930 Shares                    X           1    71222       0     4708
EXPRESS SCRIPTS INC    COMMON STOCK    302182100      15       300 Shares           X                    2        0       0      300
EXPRESS SCRIPTS INC    COMMON STOCK    302182100    3894     79949 Shares           X                    3    77490       0     2459
EXXON MOBIL CORP       COMMON STOCK    30231G102   55117    892008 Shares           X                    1   879185       0    12823
EXXON MOBIL CORP       COMMON STOCK    30231G102   43993    711977 Shares                    X           1   635258       0    76719
EXXON MOBIL CORP       COMMON STOCK    30231G102    7289    117961 Shares           X                    2        0   17806   100155
EXXON MOBIL CORP       COMMON STOCK    30231G102    6892    111538 Shares           X                    3   106822       0     4716
EXXON MOBIL CORP       COMMON STOCK    30231G102       3        47 Shares           X                    4       47       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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EXXON MOBIL CORP       COMMON STOCK    30231G102     173      2800 Shares                    X           4     2800       0        0
FLIR SYSTEMS INC       COMMON STOCK    302445101     210      8167 Shares           X                    1     8167       0        0
FLIR SYSTEMS INC       COMMON STOCK    302445101      23       895 Shares                    X           1      895       0        0
FLIR SYSTEMS INC       COMMON STOCK    302445101    1822     70900 Shares           X                    3    70900       0        0
FMC TECHNOLOGIES INC
 COM                   COMMON STOCK    30249U101     374      5472 Shares           X                    1     5472       0        0
FMC TECHNOLOGIES INC
 COM                   COMMON STOCK    30249U101    2602     38100 Shares           X                    3    38100       0        0
FNB CORP PA            COMMON STOCK    302520101      60      7034 Shares           X                    1     7034       0        0
FNB CORP PA            COMMON STOCK    302520101     122     14195 Shares                    X           1     9288       0     4907
FACTSET RESEARCH
 SYSTEMS INC           COMMON STOCK    303075105      41       500 Shares                    X           1      500       0        0
FAMILY DOLLAR STORES   COMMON STOCK    307000109      54      1230 Shares           X                    1     1230       0        0
FAMILY DOLLAR STORES   COMMON STOCK    307000109       3        75 Shares                    X           1       75       0        0
FASTENAL CO            COMMON STOCK    311900104     276      5186 Shares           X                    1     5186       0        0
FASTENAL CO            COMMON STOCK    311900104      53      1000 Shares                    X           1     1000       0        0
FASTENAL CO            COMMON STOCK    311900104    1872     35200 Shares           X                    3    35200       0        0
FEDERAL REALTY INV TR
 (REIT)                COMMON STOCK    313747206     674      8244 Shares           X                    2        0    4000        0
FEDEX CORP COM         COMMON STOCK    31428X106    1791     20944 Shares           X                    1    19744       0     1200
FEDEX CORP COM         COMMON STOCK    31428X106     243      2841 Shares                    X           1     2841       0        0
FEDEX CORP COM         COMMON STOCK    31428X106     469      5489 Shares           X                    2        0       0     5489
FEDEX CORP COM         COMMON STOCK    31428X106       2        28 Shares           X                    4       28       0        0
FERRELLGAS PARTNERS LP COMMON STOCK    315293100      50      2000 Shares           X                    1     2000       0        0
F5 NETWORKS INC        COMMON STOCK    315616102    2193     21123 Shares           X                    1    21123       0        0
F5 NETWORKS INC        COMMON STOCK    315616102     405      3906 Shares                    X           1     3906       0        0
F5 NETWORKS INC        COMMON STOCK    315616102    2907     28000 Shares           X                    3    28000       0        0
FIDELITY NATIONAL
 FINANCIAL -           COMMON STOCK    31620R105      23      1441 Shares           X                    2        0       0     1441
FIFTH THIRD BANCORP
 COM                   COMMON STOCK    316773100     133     11049 Shares           X                    1    11049       0        0
FIFTH THIRD BANCORP
COM                    COMMON STOCK    316773100     839     69763 Shares           X                    2        0       0    69763
FINISAR CORPORATION    COMMON STOCK    31787A507      89      4750 Shares           X                    1     4750       0        0
FINISAR CORPORATION    COMMON STOCK    31787A507    2377    126500 Shares           X                    3   126500       0        0
FIRST CASH FINANCIAL
 SERVICES              COMMON STOCK    31942D107      56      2025 Shares           X                    1     2025       0        0
FIRST CASH FINANCIAL
 SERVICES              COMMON STOCK    31942D107    1496     53900 Shares           X                    3    53900       0        0
FIRST HORIZON NATIONAL
 CORP                  COMMON STOCK    320517105       1       111 Shares                    X           1      111       0        0
FIRST INDUSTRIAL
 REALTY TR (RE         COMMON STOCK    32054K103       8      1606 Shares           X                    1        0       0        0
THE FIRST MARBLEHEAD
 CORPORATI             COMMON STOCK    320771108      51     21775 Shares           X                    2        0   18775     3000
FIRST NIAGARA
 FINANCIAL GROUP       COMMON STOCK    33582V108       6       529 Shares           X                    1      529       0        0
FIRST NIAGARA
 FINANCIAL GROUP       COMMON STOCK    33582V108       3       225 Shares                    X           1      225       0        0
FIRST SOLAR INC        COMMON STOCK    336433107     421      2860 Shares           X                    1     2860       0        0
FIRST SOLAR INC        COMMON STOCK    336433107     120       815 Shares                    X           1      490       0      325
FIRST SOLAR INC        COMMON STOCK    336433107      15       100 Shares           X                    2        0       0      100
FIRST TRUST NYSE
 ARCA BIOTEC           PREFERRED STOCK 33733E203     397     11373 Shares           X                    2        0       0        0
FIRST TRUST ISE -
 REVERE NATUR          PREFERRED STOCK 33734J102     100      6100 Shares           X                    1        0       0        0
FIRST TRUST ISE -
 REVERE NATUR          PREFERRED STOCK 33734J102     177     10800 Shares           X                    2        0       0        0
FIRSTSERVICE CORP-VTG  COMMON STOCK    33761N109      24       975 Shares           X                    1      975       0        0
FIRSTSERVICE CORP-VTG  COMMON STOCK    33761N109     644     26700 Shares           X                    3    26700       0        0
FISERV INC             COMMON STOCK    337738108       5       100 Shares           X                    1      100       0        0
FISERV INC             COMMON STOCK    337738108      13       250 Shares                    X           1       50       0      200
FISERV INC             COMMON STOCK    337738108     673     12500 Shares           X                    2        0    5500     7000
FIRSTENERGY CORP       COMMON STOCK    337932107     166      4304 Shares           X                    1     4304       0        0
FIRSTENERGY CORP       COMMON STOCK    337932107     122      3166 Shares                    X           1     3166       0        0
FIRSTENERGY CORP       COMMON STOCK    337932107      37       960 Shares           X                    2        0       0      960
FIVE STAR QUALITY
 CARE INC              COMMON STOCK    33832D106       0        10 Shares                    X           1        0       0       10
FLEXIBLE SOLUTIONS
 INTERNATION           COMMON STOCK    33938T104       0       250 Shares           X                    1      250       0        0
FLUOR CORP             COMMON STOCK    343412102     149      3000 Shares           X                    1     3000       0        0
FLUOR CORP             COMMON STOCK    343412102     163      3300 Shares                    X           1     3300       0        0
FLOWERS FOODS INC COM  COMMON STOCK    343498101      12       500 Shares           X                    1      500       0        0
FLOWERS FOODS INC COM  COMMON STOCK    343498101      88      3530 Shares           X                    2        0       0     3530
FLOWSERVE CORP COM     COMMON STOCK    34354P105      66       600 Shares           X                    1      600       0        0
FORD MOTOR CO          COMMON STOCK    345370860    1409    115085 Shares           X                    1   115085       0        0
FORD MOTOR CO          COMMON STOCK    345370860     105      8577 Shares                    X           1     8114       0      463
FORD MOTOR CO          COMMON STOCK    345370860     272     24000 Shares           X                    2        0   24000        0
FORD MOTOR CO          COMMON STOCK    345370860    1617    132155 Shares           X                    3   132155       0        0
FORD MOTOR CAP TR II
 PFD CONV              PREFERRED STOCK 345395206      32       665 Shares                    X           1        0       0        0
FOREST CITY
 ENTERPRISES INC       COMMON STOCK    345550107      13      1000 Shares           X                    2        0       0     1000



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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FOREST LABS INC COM    COMMON STOCK    345838106      62      1990 Shares           X                    1     1990       0        0
FOREST LABS INC COM    COMMON STOCK    345838106      63      2035 Shares                    X           1     2035       0        0
FORESTAR GROUP INC     COMMON STOCK    346233109       1        42 Shares           X                    1       42       0        0
FORTINET INC           COMMON STOCK    34959E109      58      2325 Shares           X                    1     2325       0        0
FORTINET INC           COMMON STOCK    34959E109    1550     62000 Shares           X                    3    62000       0        0
FORTUNE BRANDS INC     COMMON STOCK    349631101     568     11545 Shares           X                    1    11545       0        0
FORTUNE BRANDS INC     COMMON STOCK    349631101     209      4253 Shares                    X           1     4146       0      107
FRANCE TELECOM
 SA-SPONS ADR          COMMON STOCK    35177Q105      37      1720 Shares           X                    1     1720       0        0
FRANKLIN RESOURCES INC COMMON STOCK    354613101      49       460 Shares           X                    1      460       0        0
FREEPORT-MCMORAN CPR &
 GLD INC               COMMON STOCK    35671D857    1579     18486 Shares           X                    1    18136       0      350
FREEPORT-MCMORAN CPR &
 GLD INC               COMMON STOCK    35671D857     515      6028 Shares                    X           1     3748       0     2280
FREEPORT-MCMORAN CPR &
 GLD INC               COMMON STOCK    35671D857     499      5845 Shares           X                    2        0       0     5845
FRONTEER GOLD INC      COMMON STOCK    359032109       4       500 Shares           X                    1      500       0        0
FRONTIER
 COMMUNICATIONS CORP   COMMON STOCK    35906A108     483     59178 Shares           X                    1    55414       0     3764
FRONTIER
 COMMUNICATIONS CORP   COMMON STOCK    35906A108     322     39420 Shares                    X           1    38168       0     1252
FRONTIER
 COMMUNICATIONS CORP   COMMON STOCK    35906A108       1        95 Shares           X                    3       95       0        0
FULL HOUSE RESORTS INC COMMON STOCK    359678109       2       500 Shares           X                    1      500       0        0
FULTON FINANCIAL CORP  COMMON STOCK    360271100    1203    132749 Shares           X                    1   132749       0        0
FULTON FINANCIAL CORP  COMMON STOCK    360271100     289     31851 Shares                    X           1    29709    1800      342
FULTON FINANCIAL CORP  COMMON STOCK    360271100      91     10000 Shares           X                    3    10000       0        0
FULTON FINANCIAL CORP  COMMON STOCK    360271100    3554    392282 Shares      X                             392282       0        0
G-III APPAREL GROUP
 LTD                   COMMON STOCK    36237H101      55      1750 Shares           X                    1     1750       0        0
G-III APPAREL GROUP
 LTD                   COMMON STOCK    36237H101    1475     47000 Shares           X                    3    47000       0        0
GSI COMMERCE INC       COMMON STOCK    36238G102      56      2275 Shares           X                    1     2275       0        0
GSI COMMERCE INC       COMMON STOCK    36238G102    1507     61000 Shares           X                    3    61000       0        0
GABELLI EQUITY TRUST   PREFERRED STOCK 362397101       8      1509 Shares           X                    1        0       0        0
GABELLI GLOBAL GOLD
 NATL RES &            PREFERRED STOCK 36244N109      10       595 Shares                    X           1        0       0        0
GALLAGHER ARTHUR J. &
 CO                    COMMON STOCK    363576109      26      1000 Shares           X                    1     1000       0        0
GAMESTOP CORP -
 CLASS A               COMMON STOCK    36467W109     498     25286 Shares           X                    1    24491       0      795
GAMESTOP CORP -
 CLASS A               COMMON STOCK    36467W109    2640    133944 Shares           X                    3   133944       0        0
GANNETT CO INC         COMMON STOCK    364730101      12      1009 Shares           X                    1     1009       0        0
GANNETT CO INC         COMMON STOCK    364730101      24      2000 Shares                    X           1     2000       0        0
GAP INC COM            COMMON STOCK    364760108      28      1500 Shares           X                    1     1500       0        0
GAP INC COM            COMMON STOCK    364760108      47      2500 Shares                    X           1     2500       0        0
GARDNER DENVER INC COM COMMON STOCK    365558105      60      1125 Shares           X                    1     1125       0        0
GARDNER DENVER INC COM COMMON STOCK    365558105    1600     29800 Shares           X                    3    29800       0        0
GENERAL AMERICAN
 INVESTORS CO          PREFERRED STOCK 368802104      45      1829 Shares           X                    2        0       0        0
GENERAL COMMUNICATIONS
 INC CLA               COMMON STOCK    369385109       2       200 Shares           X                    2        0       0      200
GENERAL DYNAMICS CORP
 COM                   COMMON STOCK    369550108    2087     33235 Shares           X                    1    33235       0        0
GENERAL DYNAMICS CORP
 COM                   COMMON STOCK    369550108     638     10155 Shares                    X           1    10155       0        0
GENERAL DYNAMICS CORP
 COM                   COMMON STOCK    369550108      29       467 Shares           X                    2        0       0      467
GENERAL ELECTRIC
 COMPANY               COMMON STOCK    369604103   25081   1543432 Shares           X                    1  1517857       0    25575
GENERAL ELECTRIC
 COMPANY               COMMON STOCK    369604103   22524   1386118 Shares                    X           1  1320781       0    65337
GENERAL ELECTRIC
 COMPANY               COMMON STOCK    369604103   13184    811308 Shares           X                    2        0  184532   626776
GENERAL ELECTRIC
 COMPANY               COMMON STOCK    369604103    2912    179212 Shares           X                    3   169462       0     9750
GENERAL ELECTRIC
 COMPANY               COMMON STOCK    369604103       4       271 Shares           X                    4      271       0        0
GENERAL ELECTRIC
 COMPANY               COMMON STOCK    369604103      16      1000 Shares                    X           4     1000       0        0
GENERAL GROWTH PPTYS
 INC                   COMMON STOCK    370021107      19      1200 Shares           X                    2        0       0        0
GENERAL MILLS INC      COMMON STOCK    370334104    3778    103389 Shares           X                    1   103389       0        0
GENERAL MILLS INC      COMMON STOCK    370334104    1926     52697 Shares                    X           1    51497       0     1200
GENERAL MILLS INC      COMMON STOCK    370334104     146      4000 Shares           X                    2        0       0     4000
GENUINE PARTS INC      COMMON STOCK    372460105      89      2000 Shares           X                    1     2000       0        0
GENUINE PARTS INC      COMMON STOCK    372460105     279      6250 Shares                    X           1     6250       0        0
GENZYME CORP COM       COMMON STOCK    372917104     646      9126 Shares           X                    1     9126       0        0
GENZYME CORP COM       COMMON STOCK    372917104     139      1960 Shares                    X           1     1960       0        0
GERON CORP             COMMON STOCK    374163103       2       300 Shares           X                    1      300       0        0
GETTY REALTY CORP      COMMON STOCK    374297109    1308     48755 Shares           X                    2        0       0        0
GIBRALTAR INDUSTRIES
 INC                   COMMON STOCK    374689107      22      2500 Shares           X                    1        0       0     2500
GILEAD SCIENCES INC
 COM                   COMMON STOCK    375558103    4609    129424 Shares           X                    1   127489       0     1935
GILEAD SCIENCES INC
 COM                   COMMON STOCK    375558103     484     13589 Shares                    X           1    12685       0      904
GILEAD SCIENCES INC
 COM                   COMMON STOCK    375558103     473     13285 Shares           X                    3     9290       0     3995
GILEAD SCIENCES INC
 COM                   COMMON STOCK    375558103       3        80 Shares           X                    4       80       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
GLADSTONE CAPITAL CORP COMMON STOCK    376535100    4149    368175 Shares           X                    2        0   92465   275710
GLADSTONE COMMERCIAL
 CORP                  COMMON STOCK    376536108    7925    461838 Shares           X                    2        0   37950        0
GLATFELTER             COMMON STOCK    377316104     306     25145 Shares           X                    1    25145       0        0
GLATFELTER             COMMON STOCK    377316104      14      1150 Shares                    X           1     1150       0        0
GLAXOSMITHKLINE PLC
 ADR                   COMMON STOCK    37733W105     787     19921 Shares           X                    1    19921       0        0
GLAXOSMITHKLINE PLC
 ADR                   COMMON STOCK    37733W105    1127     28514 Shares                    X           1    22014       0     6500
GLAXOSMITHKLINE PLC
 ADR                   COMMON STOCK    37733W105      71      1800 Shares           X                    2        0       0     1800
GLOBAL PAYMENTS INC    COMMON STOCK    37940X102     306      7146 Shares           X                    1     7146       0        0
GLOBAL PAYMENTS INC    COMMON STOCK    37940X102    2682     62525 Shares           X                    3    62525       0        0
GOLD FIELDS LIMITED
 ADR                   COMMON STOCK    38059T106       2       150 Shares           X                    1      150       0        0
GOLDCORP INC           COMMON STOCK    380956409       2        56 Shares           X                    1       56       0        0
GOLDCORP INC           COMMON STOCK    380956409      20       453 Shares                    X           1      453       0        0
GOLDCORP INC           COMMON STOCK    380956409       7       160 Shares           X                    2        0       0      160
GOLDMAN SACHS GROUP
 INC COM               COMMON STOCK    38141G104    8111     56103 Shares           X                    1    54895       0     1208
GOLDMAN SACHS GROUP
 INC COM               COMMON STOCK    38141G104    1328      9185 Shares                    X           1     8301       0      884
GOLDMAN SACHS GROUP
 INC COM               COMMON STOCK    38141G104      58       400 Shares           X                    2        0       0      400
GOLDMAN SACHS GROUP
 INC COM               COMMON STOCK    38141G104    1708     11817 Shares           X                    3    10679       0     1138
GOLDMAN SACHS GROUP
 INC COM               COMMON STOCK    38141G104       2        16 Shares           X                    4       16       0        0
GOODRICH CORP          COMMON          382388106     804     10900 Shares           X                    3    10900       0        0
GOOGLE INC CL A        COMMON STOCK    38259P508    8390     15957 Shares           X                    1    15832       0      125
GOOGLE INC CL A        COMMON STOCK    38259P508     806      1533 Shares                    X           1     1170       0      363
GOOGLE INC CL A        COMMON STOCK    38259P508   17020     32370 Shares           X                    2        0   11237    21133
GOOGLE INC CL A        COMMON STOCK    38259P508    2438      4638 Shares           X                    3     4330       0      308
GOOGLE INC CL A        COMMON STOCK    38259P508       4         8 Shares           X                    4        8       0        0
GOVERNMENT PROPERTIES
 INCOME T              COMMON STOCK    38376A103      72      2700 Shares                    X           1        0       0        0
GOVERNMENT PROPERTIES
 INCOME T              COMMON STOCK    38376A103    3881    145352 Shares           X                    2        0   47200        0
GRACO INC COM          COMMON STOCK    384109104     167      5257 Shares           X                    1     5257       0        0
GRACO INC COM          COMMON STOCK    384109104      21       650 Shares                    X           1      650       0        0
GRACO INC COM          COMMON STOCK    384109104    1262     39761 Shares           X                    3    39761       0        0
GRAHAM PACKAGING CO
 INC                   COMMON STOCK    384701108      31      2600 Shares           X                    1     2600       0        0
W W GRAINGER INC COM   COMMON STOCK    384802104     649      5450 Shares           X                    1     5450       0        0
W W GRAINGER INC COM   COMMON STOCK    384802104     307      2575 Shares                    X           1     2575       0        0
W W GRAINGER INC COM   COMMON STOCK    384802104      95       800 Shares           X                    2        0       0      800
GREAT PLAINS ENERGY
 INC                   COMMON STOCK    391164100      15       770 Shares           X                    1      770       0        0
GREATER CHINA FUND INC PREFERRED STOCK 39167B102       2       150 Shares                    X           1        0       0        0
GRUPO TELEVISA SA
 SPONS ADR             COMMON STOCK    40049J206       6       297 Shares           X                    1      297       0        0
H&E EQUIPMENT SERVICES
 INC                   COMMON STOCK    404030108       3       394 Shares           X                    1      394       0        0
HCP INCORPORATED REITS COMMON STOCK    40414L109      71      1961 Shares           X                    1        0       0        0
HCP INCORPORATED REITS COMMON STOCK    40414L109     119      3316 Shares           X                    2        0       0        0
HDFC BANK LIMITED -
 ADR                   COMMON STOCK    40415F101       2        10 Shares           X                    1       10       0        0
HDFC BANK LIMITED -
 ADR                   COMMON STOCK    40415F101       1         8 Shares                    X           1        8       0        0
HMS HOLDINGS
 CORPORATION           COMMON STOCK    40425J101      49       825 Shares           X                    1      825       0        0
HMS HOLDINGS
 CORPORATION           COMMON STOCK    40425J101    1297     22000 Shares           X                    3    22000       0        0
HSBC HOLDINGS PLC SPON
 ADR                   COMMON STOCK    404280406      64      1264 Shares           X                    1     1264       0        0
HSBC HOLDINGS PLC SPON
 ADR                   COMMON STOCK    404280406      13       250 Shares                    X           1      250       0        0
HSBC HOLDINGS PLC PFD
 6.2SER A              PREFERRED STOCK 404280604      10       400 Shares           X                    1        0       0        0
HALLIBURTON HLDG CO
 COM                   COMMON STOCK    406216101    1836     55524 Shares           X                    1    55524       0        0
HALLIBURTON HLDG CO
 COM                   COMMON STOCK    406216101     162      4900 Shares                    X           1     4900       0        0
HALLIBURTON HLDG CO
 COM                   COMMON STOCK    406216101       4       125 Shares           X                    2        0       0      125
HALLIBURTON HLDG CO
 COM                   COMMON STOCK    406216101    2816     85163 Shares           X                    3    85163       0        0
JOHN HANCOCK BANK &
 THRIFT OPP            PREFERRED STOCK 409735206       6       404 Shares           X                    2        0       0        0
JOHN HANCOCK PATR
 PREM DIV FD           PREFERRED STOCK 41013T105      58      5000 Shares           X                    2        0       0        0
JOHN HANCOCK PFD INC
 FD II                 PREFERRED STOCK 41013X106      21      1050 Shares           X                    1        0       0        0
HANESBRANDS INC        COMMON STOCK    410345102      16       600 Shares                    X           1      200       0      400
HARLEY-DAVIDSON INC    COMMON STOCK    412822108     205      7217 Shares           X                    1     7217       0        0
HARLEY-DAVIDSON INC    COMMON STOCK    412822108      97      3400 Shares                    X           1      200       0     3200
HARRIS & HARRIS GROUP
 INC                   COMMON STOCK    413833104       0       100 Shares           X                    1      100       0        0
HARRIS CORP            COMMON STOCK    413875105     993     22429 Shares           X                    1    22429       0        0
HARRIS CORP            COMMON STOCK    413875105     299      6760 Shares                    X           1     6760       0        0
HARRIS CORP            COMMON STOCK    413875105     751     16961 Shares           X                    3    16961       0        0
HARSCO CORP            COMMON STOCK    415864107    5202    211648 Shares           X                    1   209573       0     2075
HARSCO CORP            COMMON STOCK    415864107    2025     82381 Shares                    X           1    82381       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
HARSCO CORP            COMMON STOCK    415864107    1138     46294 Shares           X                    3    46294       0        0
HARTFORD FINANCIAL
 SVCS GRP IN           COMMON STOCK    416515104     122      5318 Shares           X                    1     5318       0        0
HARTFORD FINANCIAL
 SVCS GRP IN           COMMON STOCK    416515104      78      3385 Shares                    X           1     2495       0      890
HARTFORD FINANCIAL
 SVCS GRP IN           COMMON STOCK    416515104      26      1140 Shares           X                    2        0       0     1140
HATTERAS FINANCIAL
 CORP                  COMMON STOCK    41902R103     732     25723 Shares           X                    1        0       0        0
HATTERAS FINANCIAL
 CORP                  COMMON STOCK    41902R103      84      2942 Shares                    X           1        0       0        0
HATTERAS FINANCIAL
 CORP                  COMMON STOCK    41902R103      28      1000 Shares           X                    2        0       0        0
HEALTH MANAGEMENT-
 CLASS A               COMMON STOCK    421933102       2       200 Shares                    X           1      200       0        0
HEALTHCARE REALTY
 TRUST INC (R          COMMON STOCK    421946104     154      6600 Shares           X                    2        0       0        0
HEALTH CARE REIT INC   COMMON STOCK    42217K106      22       464 Shares           X                    1        0       0        0
HEALTH CARE REIT INC   COMMON STOCK    42217K106     189      4000 Shares           X                    2        0       0        0
HECLA MNG CO COM       COMMON STOCK    422704106      32      5075 Shares           X                    1     5075       0        0
HECLA MNG CO COM       COMMON STOCK    422704106     790    125000 Shares           X                    3   125000       0        0
HEINZ H J CO COM       COMMON STOCK    423074103    1182     24946 Shares           X                    1    24946       0        0
HEINZ H J CO COM       COMMON STOCK    423074103     494     10435 Shares                    X           1    10435       0        0
HEINZ H J CO COM       COMMON STOCK    423074103     367      7762 Shares           X                    2        0    5962     1800
HELMERICH & PAYNE INC
 COM                   COMMON STOCK    423452101       6       150 Shares           X                    1      150       0        0
HERCULES TECHNOLOGY
 GROWTH                COMMON STOCK    427096508       8       812 Shares           X                    1      812       0        0
HERITAGE FINANCIAL
 GROUP                 COMMON STOCK    42725U109      25      3000 Shares           X                    2        0       0     3000
THE HERSHEY COMPANY    COMMON STOCK    427866108    3321     69782 Shares           X                    1    67782       0     2000
THE HERSHEY COMPANY    COMMON STOCK    427866108    1417     29784 Shares                    X           1    26884       0     2900
THE HERSHEY COMPANY    COMMON STOCK    427866108      38       800 Shares           X                    2        0       0      800
HESS CORPORATION       COMMON STOCK    42809H107       8       134 Shares           X                    2        0       0      134
HEWLETT-PACKARD CO     COMMON STOCK    428236103    9933    236104 Shares           X                    1   232850       0     3254
HEWLETT-PACKARD CO     COMMON STOCK    428236103    2586     61466 Shares                    X           1    54202       0     7264
HEWLETT-PACKARD CO     COMMON STOCK    428236103    3437     81699 Shares           X                    2        0   21800    59899
HEWLETT-PACKARD CO     COMMON STOCK    428236103    2417     57463 Shares           X                    3    53636       0     3827
HEWLETT-PACKARD CO     COMMON STOCK    428236103       4        98 Shares           X                    4       98       0        0
HEWLETT-PACKARD CO     COMMON STOCK    428236103      80      1900 Shares                    X           4     1900       0        0
HITACHI LTD SPONS ADR  COMMON STOCK    433578507       8       180 Shares           X                    1      180       0        0
HOLOGIC INC COM        COMMON STOCK    436440101      96      6006 Shares           X                    1     6006       0        0
HOLOGIC INC COM        COMMON STOCK    436440101     162     10093 Shares                    X           1     6093       0     4000
HOLOGIC INC COM        COMMON STOCK    436440101      54      3360 Shares           X                    3     3360       0        0
HOME DEPOT INC COM     COMMON STOCK    437076102    8742    275947 Shares           X                    1   272981       0     2966
HOME DEPOT INC COM     COMMON STOCK    437076102    2959     93395 Shares                    X           1    86870       0     6525
HOME DEPOT INC COM     COMMON STOCK    437076102    1543     48729 Shares           X                    2        0   21700    27029
HOME DEPOT INC COM     COMMON STOCK    437076102    1809     57106 Shares           X                    3    51326       0     5780
HOME DEPOT INC COM     COMMON STOCK    437076102       2        77 Shares           X                    4       77       0        0
HOME PROPERTIES INC
 (REIT)                COMMON STOCK    437306103      30       570 Shares           X                    1        0       0        0
HOME PROPERTIES INC
 (REIT)                COMMON STOCK    437306103     132      2500 Shares                    X           1        0       0        0
HOME PROPERTIES INC
 (REIT)                COMMON STOCK    437306103    7714    145819 Shares           X                    2        0   15975        0
HONDA MTR LTD AMERN
 SHS                   COMMON STOCK    438128308      24       675 Shares           X                    1      675       0        0
HONEYWELL INTL INC COM COMMON STOCK    438516106     969     22054 Shares           X                    1    20822       0     1232
HONEYWELL INTL INC COM COMMON STOCK    438516106    1579     35924 Shares                    X           1    35924       0        0
HONEYWELL INTL INC COM COMMON STOCK    438516106    1071     24384 Shares           X                    2        0    5924    18460
HONEYWELL INTL INC COM COMMON STOCK    438516106       9       200 Shares                    X           4      200       0        0
HOSPIRA INC            COMMON STOCK    441060100     178      3125 Shares           X                    1     3125       0        0
HOSPIRA INC            COMMON STOCK    441060100      65      1142 Shares                    X           1     1092       0       50
HOSPIRA INC            COMMON STOCK    441060100       6       110 Shares           X                    2        0       0      110
HOSPITALITY PROPERTIES
 TRUST (               COMMON STOCK    44106M102       5       220 Shares           X                    1        0       0        0
HOSPITALITY PROPERTIES
 TRUST (               COMMON STOCK    44106M102      54      2400 Shares           X                    2        0       0        0
HOST HOTELS & RESORTS
 INC                   COMMON STOCK    44107P104     177     12230 Shares           X                    2        0       0        0
HOVNANIAN
 ENTERPRISES-A         COMMON STOCK    442487203      21      5300 Shares           X                    2        0       0     5300
HUANENG POWER INTL-
 SPONS ADR             COMMON STOCK    443304100       1        40 Shares                    X           1       40       0        0
HUDSON TECHNOLOGIES
 INC                   COMMON STOCK    444144109       1       500 Shares           X                    1      500       0        0
HUGOTON ROYALTY TRUST  COMMON STOCK    444717102       3       150 Shares                    X           1      150       0        0
HUMAN GENOME SCIENCES
 INC                   COMMON STOCK    444903108    1382     46393 Shares           X                    1    46393       0        0
HUMAN GENOME SCIENCES
 INC                   COMMON STOCK    444903108      27       900 Shares                    X           1      300       0      600
HUMAN GENOME SCIENCES
 INC                   COMMON STOCK    444903108      22       730 Shares           X                    2        0       0      730
HUMAN GENOME SCIENCES
 INC                   COMMON STOCK    444903108    5414    181740 Shares           X                    3   181740       0        0
HUMAN GENOME SCIENCES
 INC                   COMMON STOCK    444903108       3        94 Shares           X                    4       94       0        0
IESI-BFC LIMITED       COMMON STOCK    44951D108      92      4000 Shares           X                    2        0       0     4000



                                    18 of 43




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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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ING RISK MANAGED
 NATURAL RES           PREFERRED STOCK 449810100      80      5200 Shares                    X           1        0       0        0
ING CLARION GLOBAL
 R/E INCOME            PREFERRED STOCK 44982G104   13388   1773191 Shares           X                    1        0       0        0
ING CLARION GLOBAL
 R/E INCOME            PREFERRED STOCK 44982G104    2165    286815 Shares                    X           1        0       0        0
ING CLARION GLOBAL
 R/E INCOME            PREFERRED STOCK 44982G104    2455    325106 Shares           X                    3    49095       0        0
ING CLARION GLOBAL
 R/E INCOME            PREFERRED STOCK 44982G104      20      2638 Shares           X                    4        0       0        0
ISTAR FINANCIAL INC    COMMON STOCK    45031U101     313    102050 Shares           X                    2        0   25350        0
ITT EDUCATIONAL
 SERVICES INC C        COMMON STOCK    45068B109     182      2596 Shares           X                    1     2596       0        0
ITT EDUCATIONAL
 SERVICES INC C        COMMON STOCK    45068B109    1581     22500 Shares           X                    3    22500       0        0
ITT CORP               COMMON STOCK    450911102      72      1542 Shares           X                    1     1542       0        0
ITT CORP               COMMON STOCK    450911102     166      3545 Shares                    X           1     2620       0      925
ITT CORP               COMMON STOCK    450911102      39       840 Shares           X                    2        0       0      840
ICONIX BRAND GROUP INC COMMON STOCK    451055107      53      3050 Shares           X                    1     3050       0        0
ICONIX BRAND GROUP INC COMMON STOCK    451055107    1418     81000 Shares           X                    3    81000       0        0
IDEXX CORP             COMMON STOCK    45168D104       6       101 Shares           X                    1      101       0        0
ILLINOIS TOOL WKS INC
 COM                   COMMON STOCK    452308109     684     14538 Shares           X                    1    14538       0        0
ILLINOIS TOOL WKS INC
 COM                   COMMON STOCK    452308109     717     15250 Shares                    X           1    15250       0        0
ILLINOIS TOOL WKS INC
 COM                   COMMON STOCK    452308109    1869     39740 Shares           X                    2        0    8400    31340
IMMUNOGEN INC          COMMON STOCK    45253H101       1       100 Shares                    X           1      100       0        0
IMPERIAL OIL LTD       COMMON STOCK    453038408      95      2500 Shares                    X           1     2500       0        0
IMPERIAL OIL LTD       COMMON STOCK    453038408     102      2700 Shares           X                    2        0       0     2700
INCYTE GENOMICS INC
 COM                   COMMON STOCK    45337C102     569     35554 Shares           X                    1    35554       0        0
INCYTE GENOMICS INC
 COM                   COMMON STOCK    45337C102    2838    177440 Shares           X                    3   177440       0        0
INCYTE GENOMICS INC
 COM                   COMMON STOCK    45337C102       1        86 Shares           X                    4       86       0        0
INERGY LP              COMMON STOCK    456615103      36       910 Shares           X                    1      910       0        0
INERGY LP              COMMON STOCK    456615103    2288     57700 Shares           X                    2        0       0    57700
INFOSYS TECHNOLOGIES
 LTDSPON A             COMMON STOCK    456788108      68      1010 Shares           X                    1     1010       0        0
INFOSYS TECHNOLOGIES
 LTDSPON A             COMMON STOCK    456788108       4        54 Shares                    X           1       54       0        0
ING GROEP NV SPONSORED
 ADR                   COMMON STOCK    456837103      21      2008 Shares           X                    1     2008       0        0
ING GROEP NV SPONSORED
 ADR                   COMMON STOCK    456837103       5       525 Shares           X                    2        0       0      525
ING GLOBAL EQUITY DIV
 & PREM O              PREFERRED STOCK 45684E107      71      6150 Shares                    X           1        0       0        0
INTEL CORP COM         COMMON STOCK    458140100   12443    648078 Shares           X                    1   641084       0     6994
INTEL CORP COM         COMMON STOCK    458140100    4601    239617 Shares                    X           1   213912       0    25705
INTEL CORP COM         COMMON STOCK    458140100     973     50673 Shares           X                    2        0   29716    20957
INTEL CORP COM         COMMON STOCK    458140100    1709     88872 Shares           X                    3    83542       0     5330
INTEL CORP COM         COMMON STOCK    458140100       2       111 Shares           X                    4      111       0        0
INTEL CORP COM         COMMON STOCK    458140100      19      1000 Shares                    X           4     1000       0        0
INTEGRYS ENERGY GROUP
 INC                   COMMON STOCK    45822P105      18       350 Shares                    X           1      350       0        0
INTERCONTINENTAL
 EXCHANGE INC          COMMON STOCK    45865V100    1055     10079 Shares           X                    1     9949       0      130
INTERCONTINENTAL
 EXCHANGE INC          COMMON STOCK    45865V100      24       230 Shares                    X           1      100       0      130
INTERCONTINENTAL
 EXCHANGE INC          COMMON STOCK    45865V100    2835     27068 Shares           X                    3    27068       0        0
INTERDIGITAL INC       COMMON STOCK    45867G101      15       500 Shares           X                    1      500       0        0
INTERDIGITAL INC       COMMON STOCK    45867G101     178      6000 Shares           X                    2        0       0     6000
IBM CORPORATION        COMMON STOCK    459200101   37050    276207 Shares           X                    1   272035       0     4172
IBM CORPORATION        COMMON STOCK    459200101   15075    112382 Shares                    X           1   104005       0     8377
IBM CORPORATION        COMMON STOCK    459200101   17720    132103 Shares           X                    2        0   18007   114096
IBM CORPORATION        COMMON STOCK    459200101    3722     27750 Shares           X                    3    26044       0     1706
IBM CORPORATION        COMMON STOCK    459200101       5        39 Shares           X                    4       39       0        0
IBM CORPORATION        COMMON STOCK    459200101      67       500 Shares                    X           4      500       0        0
INTL FLAVORS &
 FRAGRANCES INC        COMMON STOCK    459506101      44       900 Shares           X                    1      900       0        0
INTERNATIONAL GAME
 TECH COM              COMMON STOCK    459902102      43      3000 Shares                    X           1     3000       0        0
INTERNATIONAL PAPER
 CO COM                COMMON STOCK    460146103     173      7962 Shares           X                    1     7962       0        0
INTERNATIONAL PAPER
 CO COM                COMMON STOCK    460146103      92      4247 Shares                    X           1     2011       0     2236
INTERNATIONAL
 RECTIFIER CORP        COMMON STOCK    460254105       2       100 Shares                    X           1      100       0        0
INTERNATIONAL SPEEDWAY
 CORP CL               COMMON STOCK    460335201       1        50 Shares           X                    1       50       0        0
INTUIT INC COM         COMMON STOCK    461202103      37       850 Shares           X                    1      850       0        0
INVACARE CORP COM      COMMON STOCK    461203101       5       200 Shares           X                    1      200       0        0
INTUITIVE SURGICAL INC COMMON STOCK    46120E602    5054     17813 Shares           X                    1    17668       0      145
INTUITIVE SURGICAL INC COMMON STOCK    46120E602     298      1050 Shares                    X           1     1005       0       45
INTUITIVE SURGICAL INC COMMON STOCK    46120E602      43       150 Shares           X                    2        0       0      150
INTUITIVE SURGICAL INC COMMON STOCK    46120E602    1966      6929 Shares           X                    3     6668       0      261
INTUITIVE SURGICAL INC COMMON STOCK    46120E602     199       700 Shares                    X           4      700       0        0
INVESCO VAN KAMPEN
 SENIOR INC            PREFERRED STOCK 46131H107       9      2000 Shares                    X           1        0       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
INVESCO VAN KAMPEN
 MUNI TRUST            PREFERRED STOCK 46131J103      14      1000 Shares                    X           1        0       0        0
INVESCO VAN KAMPEN TR  PREFERRED STOCK 46131L108       7       505 Shares                    X           1        0       0        0
INVESCO VAN KAMPEN TR
 INVT MUN              PREFERRED STOCK 46131M106      88      5851 Shares                    X           1        0       0        0
INVESCO VAN KAMPEN
 MUNI OPP TR           PREFERRED STOCK 46132C107     107      7385 Shares                    X           1        0       0        0
INVESCO VAN KAMPEN PA
 VALUE                 PREFERRED STOCK 46132K109     229     15794 Shares           X                    1        0       0        0
INVESCO VAN KAMPEN PA
 VALUE                 PREFERRED STOCK 46132K109     216     14919 Shares                    X           1        0       0        0
INVESCO VAN KAMPEN
 BOND FUND             PREFERRED STOCK 46132L107      17       818 Shares           X                    1        0       0        0
INVESCO INSURED MUNI
 INC TR                PREFERRED STOCK 46132P108      43      2814 Shares                    X           1        0       0        0
INVESCO VAN KAMPEN
 QUALITY MUN           PREFERRED STOCK 46133G107      20      1413 Shares                    X           1        0       0        0
INVESCO QUALITY MUNI
 INVT TR               PREFERRED STOCK 46133H105      25      1708 Shares                    X           1        0       0        0
INVESCO HIGH YIELD
 INVESTMENTS           PREFERRED STOCK 46133K108       2       300 Shares           X                    1        0       0        0
INVESTORS TITLE
 COMPANY               COMMON STOCK    461804106      65      2000 Shares           X                    2        0       0     2000
IRON MTN INC PA COM    COMMON STOCK    462846106       7       329 Shares           X                    1      329       0        0
ISHARES GOLD TRUST     PREFERRED STOCK 464285105      51      4000 Shares           X                    1        0       0        0
ISHARES GOLD TRUST     PREFERRED STOCK 464285105      16      1250 Shares           X                    2        0       0        0
ISHARES MSCI BRAZIL
 INDEX FUND            PREFERRED STOCK 464286400     393      5101 Shares           X                    2        0       0        0
ISHARES MSCI CANADA
 INDEX FD              PREFERRED STOCK 464286509      22       775 Shares           X                    1        0       0        0
ISHARES MSCI BRIC
 INDEX FUND            PREFERRED STOCK 464286657     591     12375 Shares           X                    2        0       0        0
ISHARES MSCI PACIFIC
 EX-JAPAN              PREFERRED STOCK 464286665     370      8360 Shares           X                    2        0       0        0
ISHARES MSCI SINGAPORE
 INDEX F               COMMON STOCK    464286673      83      6296 Shares           X                    2        0       0     6296
ISHARES MSCI SOUTH
 KOREA INDEX           COMMON STOCK    464286772     100      1861 Shares           X                    2        0       0     1861
IPATH MSCI SOUTH
 AFRICA INDEX          PREFERRED STOCK 464286780      84      1248 Shares           X                    2        0       0        0
ISHARES MSCI JAPAN
 INDEX FD              PREFERRED STOCK 464286848      25      2500 Shares           X                    1        0       0        0
ISHARES MSCI JAPAN
 INDEX FD              PREFERRED STOCK 464286848      33      3300 Shares                    X           1        0       0        0
ISHARES S&P 100 INDEX
 FUND                  COMMON STOCK    464287101      80      1548 Shares           X                    2        0       0     1548
ISHARES DJ SELECT
 DIVIDEND IND          PREFERRED STOCK 464287168      28       600 Shares           X                    1        0       0        0
ISHARES DJ SELECT
 DIVIDEND IND          PREFERRED STOCK 464287168      12       250 Shares                    X           1        0       0        0
ISHARES FTSE/XINHUA
 CHINA 25              PREFERRED STOCK 464287184       4       100 Shares                    X           1        0       0        0
ISHARES FTSE/XINHUA
 CHINA 25              PREFERRED STOCK 464287184     434     10139 Shares           X                    2        0       0        0
ISHARES DOW JONES US
 TRANS IND             PREFERRED STOCK 464287192      13       160 Shares           X                    1        0       0        0
ISHARES S&P 500 INDEX
 FD                    PREFERRED STOCK 464287200    3971     34680 Shares           X                    1        0       0        0
ISHARES S&P 500 INDEX
 FD                    PREFERRED STOCK 464287200    1010      8821 Shares                    X           1        0       0        0
ISHARES S&P 500 INDEX
 FD                    PREFERRED STOCK 464287200      17       145 Shares           X                    2        0       0        0
ISHARES BARCLAYS
 AGGREGATE BD          PREFERRED STOCK 464287226     637      5862 Shares           X                    1        0       0        0
ISHARES BARCLAYS
 AGGREGATE BD          PREFERRED STOCK 464287226      55       509 Shares                    X           1        0       0        0
ISHARES MSCI EMERGING
 MARKETS               PREFERRED STOCK 464287234     244      5447 Shares           X                    1        0       0        0
ISHARES MSCI EMERGING
 MARKETS               PREFERRED STOCK 464287234     835     18654 Shares           X                    2        0       0        0
ISHARES IBOXX $ INV
 GR CORP BD            PREFERRED STOCK 464287242     344      3040 Shares           X                    2        0       0        0
ISHARES S&P GLOBAL
 TECH SEC IN           COMMON STOCK    464287291       6       100 Shares                    X           1      100       0        0
ISHARES S&P
 500/BARRA GRWTH IN    PREFERRED STOCK 464287309     278      4680 Shares           X                    1        0       0        0
ISHARES S&P GLOBAL
 ENERGY SECT           PREFERRED STOCK 464287341     148      4372 Shares           X                    2        0       0        0
ISHARES S&P NA NAT
 RES SIF               PREFERRED STOCK 464287374     396     11390 Shares           X                    2        0       0        0
ISHARES BARCLAYS 1-3
 YR TREAS              PREFERRED STOCK 464287457      61       724 Shares                    X           1        0       0        0
ISHARES MSCI EAFE
 INDEX FD              PREFERRED STOCK 464287465   20516    373565 Shares           X                    1        0       0        0
ISHARES MSCI EAFE
 INDEX FD              PREFERRED STOCK 464287465    6365    115895 Shares                    X           1        0       0        0
ISHARES MSCI EAFE
 INDEX FD              PREFERRED STOCK 464287465     949     17281 Shares           X                    2        0       0        0
ISHARES MSCI EAFE
 INDEX FD              PREFERRED STOCK 464287465    1341     24424 Shares           X                    3        0       0        0
ISHARES MSCI EAFE
 INDEX FD              PREFERRED STOCK 464287465      71      1296 Shares           X                    4        0       0        0
ISHARES RUSSELL MID
 CAP GROWTH            PREFERRED STOCK 464287481      50      1000 Shares           X                    2        0       0        0
ISHARES S&P MIDCAP
 400 INDEX F           PREFERRED STOCK 464287507      13       159 Shares           X                    1        0       0        0
ISHARES S&P MIDCAP
 400 INDEX F           PREFERRED STOCK 464287507     142      1767 Shares           X                    2        0       0        0
ISHARES S&P MIDCAP
 400 INDEX F           PREFERRED STOCK 464287507     482      6016 Shares           X                    3        0       0        0
ISHARES S&P NA
 TECHNOLOGY SFI        PREFERRED STOCK 464287549       4        68 Shares           X                    2        0       0        0
ISHARES NASDAQ
 BIOTECHNOLOGY I       PREFERRED STOCK 464287556      43       500 Shares           X                    2        0       0        0
ISHARES S&P GLOBAL
 100 INDEX F           PREFERRED STOCK 464287572      63      1075 Shares           X                    2        0       0        0
ISHARES RUSSELL 1000
 VALUE IND             PREFERRED STOCK 464287598    7832    132771 Shares           X                    1        0       0        0
ISHARES RUSSELL 1000
 VALUE IND             PREFERRED STOCK 464287598    1200     20347 Shares                    X           1        0       0        0
ISHARES RUSSELL 1000
 VALUE IND             PREFERRED STOCK 464287598    3729     63215 Shares           X                    3    37055       0        0
ISHARES RUSSELL 1000
 VALUE IND             PREFERRED STOCK 464287598      84      1428 Shares           X                    4        0       0        0
ISHARES S&P MIDCAP 400
 BARRA G               PREFERRED STOCK 464287606     707      8026 Shares           X                    1        0       0        0
ISHARES S&P MIDCAP 400
 BARRA G               PREFERRED STOCK 464287606    1095     12435 Shares           X                    2        0       0        0
ISHARES RUSSELL 1000
 GROWTH IN             PREFERRED STOCK 464287614   15419    300157 Shares           X                    1        0       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
ISHARES RUSSELL 1000
 GROWTH IN             PREFERRED STOCK 464287614    1620     31535 Shares                    X           1        0       0        0
ISHARES RUSSELL 1000
 GROWTH IN             PREFERRED STOCK 464287614    4191     81590 Shares           X                    3        0       0        0
ISHARES RUSSELL 1000
 INDEX FD              PREFERRED STOCK 464287622    5851     92650 Shares           X                    1        0       0        0
ISHARES RUSSELL 1000
 INDEX FD              PREFERRED STOCK 464287622      44       697 Shares                    X           1        0       0        0
ISHARES RUSSELL 2000
 VALUE                 PREFERRED STOCK 464287630      73      1180 Shares           X                    2        0       0        0
ISHARES RUSSELL 2000
 GRWTH FD              PREFERRED STOCK 464287648      51       680 Shares           X                    2        0       0        0
ISHARES RUSSELL 2000
 INDEX FD              PREFERRED STOCK 464287655     552      8182 Shares           X                    1        0       0        0
ISHARES RUSSELL 2000
 INDEX FD              PREFERRED STOCK 464287655      18       260 Shares                    X           1        0       0        0
ISHARES RUSSELL 2000
 INDEX FD              PREFERRED STOCK 464287655     135      2000 Shares           X                    2        0       0        0
ISHARES DOW JONES US
 UTIL SECT             PREFERRED STOCK 464287697      34       445 Shares           X                    1        0       0        0
ISHARES S&P MIDCAP
 400/BARRA V           PREFERRED STOCK 464287705     456      6407 Shares           X                    1        0       0        0
ISHARES S&P MIDCAP
 400/BARRA V           PREFERRED STOCK 464287705     572      8044 Shares           X                    2        0       0        0
ISHARES DJ US TECH
 SEC INDEX F           COMMON STOCK    464287721    4278     73948 Shares           X                    2        0   12997    60951
ISHARES DJ US REAL
 ESTATE INDE           COMMON STOCK    464287739       5       100 Shares           X                    2        0       0      100
ISHARES DJ US
 INDUSTRIAL SEC I      PREFERRED STOCK 464287754      12       200 Shares           X                    2        0       0        0
ISHARES DJ US
 HEALTHCARE SECTO      COMMON STOCK    464287762       6        95 Shares                    X           1       95       0        0
ISHARES DJ US
 HEALTHCARE SECTO      COMMON STOCK    464287762       6       100 Shares           X                    2        0       0      100
ISHARES DOW JONES US
 FINL SECT             PREFERRED STOCK 464287788      18       340 Shares           X                    1        0       0        0
ISHARES DOW JONES US
 FINL SECT             PREFERRED STOCK 464287788      37       705 Shares                    X           1        0       0        0
ISHARES DOW JONES US
 FINL SECT             PREFERRED STOCK 464287788      14       260 Shares           X                    2        0       0        0
ISHARES DJ US ENERGY
 SECTOR ID             COMMON STOCK    464287796      11       336 Shares           X                    2        0       0      336
ISHARES S&P
 SMALLCAP 600 INDEX    PREFERRED STOCK 464287804    1095     18527 Shares           X                    1        0       0        0
ISHARES S&P SMALLCAP
 600 INDEX             PREFERRED STOCK 464287804      83      1408 Shares           X                    2        0       0        0
ISHARES S&P SMALLCAP
 600 INDEX             PREFERRED STOCK 464287804     471      7978 Shares           X                    3        0       0        0
ISHARES DJ US BASIC
 MATERIALS             PREFERRED STOCK 464287838      23       350 Shares           X                    1        0       0        0
ISHARES DJ US BASIC
 MATERIALS             PREFERRED STOCK 464287838      48       750 Shares                    X           1        0       0        0
ISHARES S&P EUROPE
 350 INDEX F           PREFERRED STOCK 464287861     114      3000 Shares                    X           1        0       0        0
ISHARES S&P EUROPE
 350 INDEX F           PREFERRED STOCK 464287861      51      1360 Shares           X                    2        0       0        0
ISHARES S&P SMALLCAP
 600 BARRA             PREFERRED STOCK 464287879     162      2605 Shares           X                    2        0       0        0
ISHARES S&P SMALLCAP
 600 BARRA             PREFERRED STOCK 464287887      41       653 Shares           X                    1        0       0        0
ISHARES S&P SMALLCAP
 600 BARRA             PREFERRED STOCK 464287887     176      2822 Shares           X                    2        0       0        0
ISHARES MSCI ALL
 COUNTRY ASIA          PREFERRED STOCK 464288182     511      8450 Shares           X                    2        0       0        0
ISHARES S&P EMERGING
 MKTS                  PREFERRED STOCK 464288216     179      5550 Shares           X                    2        0       0        0
ISHARES S&P ASIA 50
 INDEX FD              PREFERRED STOCK 464288430    1288     30416 Shares           X                    2        0       0        0
ISHARES FTSE DEVELOPED PREFERRED STOCK 464288497       3        81 Shares                    X           1        0       0        0
ISHARES FTSE DEVELOPED PREFERRED STOCK 464288497     154      4342 Shares           X                    2        0       0        0
ISHARES IBOXX HI YLD
 CORP BD F             PREFERRED STOCK 464288513      60       672 Shares                    X           1        0       0        0
ISHARES BARCLAYS
 INTER GOVT/CR         PREFERRED STOCK 464288612     411      3715 Shares           X                    3        0       0        0
ISHARES BARCLAYS
 CREDIT BOND F         PREFERRED STOCK 464288620     408      3780 Shares           X                    1        0       0        0
ISHARES BARCLAYS 1-3
 YR CREDIT             PREFERRED STOCK 464288646     371      3535 Shares           X                    3        0       0        0
ISHARES S&P US PFD
 STK INDEX F           PREFERRED STOCK 464288687      60      1500 Shares           X                    1        0       0        0
ISHARES S&P GLOBAL
 MATERIALS             PREFERRED STOCK 464288695      27       420 Shares           X                    2        0       0        0
ISHARES DJ US HOME
 CONSTRUCT F           COMMON STOCK    464288752     149     12400 Shares           X                    2        0       0    12400
ISHARES DOW JONES US
 HEALTHCAR             PREFERRED STOCK 464288828      64      1300 Shares           X                    2        0       0        0
ISHARES DOW JONES US
 PHARMACEU             PREFERRED STOCK 464288836     245      4000 Shares           X                    2        0       0        0
ISHARES DJ US OIL
 EQUIP & SV            PREFERRED STOCK 464288844     119      2700 Shares           X                    2        0       0        0
ISHARES MSCI EAFE
 GRWTH INDEX           PREFERRED STOCK 464288885      91      1602 Shares           X                    1        0       0        0
ISHARES MSCI EAFE
 GRWTH INDEX           PREFERRED STOCK 464288885     163      2878 Shares                    X           1        0       0        0
ISHARES S&P INDIA
 NIFTY 50 IND          PREFERRED STOCK 464289529     220      7160 Shares           X                    2        0       0        0
ISHARES SILVER TRUST   PREFERRED STOCK 46428Q109      17       800 Shares           X                    1        0       0        0
ISHARES SILVER TRUST   PREFERRED STOCK 46428Q109      80      3750 Shares           X                    2        0       0        0
ISHARES S&P GSCI
 COMMODITY - I         PREFERRED STOCK 46428R107      27       900 Shares           X                    1        0       0        0
ISIS PHARMACEUTICALS
 COM                   COMMON STOCK    464330109       3       350 Shares           X                    1      350       0        0
ITAU UNIBANCO HOLDING
 SA - PRE              COMMON STOCK    465562106       3       106 Shares           X                    1      106       0        0
ITAU UNIBANCO HOLDING
 SA - PRE              COMMON STOCK    465562106       1        50 Shares                    X           1       50       0        0
IVANHOE MINES LTD      COMMON STOCK    46579N103       5       200 Shares           X                    1      200       0        0
JDS UNIPHASE CORP      COMMON STOCK    46612J507       2       186 Shares           X                    2        0       0      186
JPMORGAN CHASE & CO    COMMON STOCK    46625H100   11308    297120 Shares           X                    1   294177       0     2943
JPMORGAN CHASE & CO    COMMON STOCK    46625H100    4692    123268 Shares                    X           1   111758       0    11510
JPMORGAN CHASE & CO    COMMON STOCK    46625H100    5675    149108 Shares           X                    2        0   49571    99537
JPMORGAN CHASE & CO    COMMON STOCK    46625H100     627     16474 Shares           X                    3    12090       0     4384
JABIL CIRCUIT INC      COMMON STOCK    466313103       2       105 Shares                    X           1      105       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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JP MORGAN CHASE -
 WTS 10                COMMON STOCK    46634E114    6003    514395 Shares           X                    2        0       0   514395
JACOBS ENGINEERING
 GROUP INC C           COMMON STOCK    469814107     376      9725 Shares           X                    1     8125       0     1600
JACOBS ENGINEERING
 GROUP INC C           COMMON STOCK    469814107      57      1460 Shares                    X           1     1460       0        0
JANUS CAPITAL GROUP
 INC                   COMMON STOCK    47102X105    1147    104752 Shares           X                    1   104752       0        0
JANUS CAPITAL GROUP
 INC                   COMMON STOCK    47102X105    3424    312660 Shares           X                    3   312660       0        0
JANUS CAPITAL GROUP
 INC                   COMMON STOCK    47102X105       2       170 Shares           X                    4      170       0        0
JETBLUE AIRWAYS
 CORPORATION           COMMON STOCK    477143101       1       100 Shares           X                    1      100       0        0
JETBLUE AIRWAYS
 CORPORATION           COMMON STOCK    477143101       6       843 Shares           X                    2        0       0      843
JO-ANN STORES INC      COMMON STOCK    47758P307      35       775 Shares           X                    1      775       0        0
JO-ANN STORES INC      COMMON STOCK    47758P307     936     21000 Shares           X                    3    21000       0        0
JOHNSON & JOHNSON      COMMON STOCK    478160104   24378    393452 Shares           X                    1   387063       0     6389
JOHNSON & JOHNSON      COMMON STOCK    478160104   21145    341275 Shares                    X           1   328425       0    12850
JOHNSON & JOHNSON      COMMON STOCK    478160104   10780    173982 Shares           X                    2        0   39114   134868
JOHNSON & JOHNSON      COMMON STOCK    478160104     288      4655 Shares           X                    3     4655       0        0
JOHNSON & JOHNSON      COMMON STOCK    478160104       3        49 Shares           X                    4       49       0        0
JOHNSON & JOHNSON      COMMON STOCK    478160104      62      1000 Shares                    X           4     1000       0        0
JOHNSON CONTROLS INC
 COM                   COMMON STOCK    478366107     521     17095 Shares           X                    1    17095       0        0
JOHNSON CONTROLS INC
 COM                   COMMON STOCK    478366107     233      7650 Shares                    X           1     7650       0        0
JOY GLOBAL
 INCORPORATED          COMMON STOCK    481165108    2460     34980 Shares           X                    1    34415       0      565
JOY GLOBAL
 INCORPORATED          COMMON STOCK    481165108     271      3850 Shares                    X           1     3500       0      350
JOY GLOBAL
 INCORPORATED          COMMON STOCK    481165108    2862     40700 Shares           X                    3    40700       0        0
JUNIPER NETWORKS INC   COMMON STOCK    48203R104    1124     37036 Shares           X                    1    37036       0        0
JUNIPER NETWORKS INC   COMMON STOCK    48203R104     193      6350 Shares                    X           1     6350       0        0
KLA TENCOR CORP COM    COMMON STOCK    482480100      18       501 Shares           X                    1      501       0        0
KKR FINANCIAL HOLDINGS
 LLC                   COMMON STOCK    48248A306    4700    535354 Shares           X                    2        0   59953   475401
KT CORPORATION SP ADR  COMMON STOCK    48268K101       5       235 Shares           X                    1      235       0        0
KANSAS CITY SOUTHERN   COMMON STOCK    485170302      35       926 Shares           X                    1      926       0        0
KANSAS CITY SOUTHERN   COMMON STOCK    485170302     898     24000 Shares           X                    3    24000       0        0
KAYNE ANDERSON MLP
 INVESTMENT            PREFERRED STOCK 486606106      19       714 Shares           X                    1        0       0        0
KAYNE ANDERSON ENERGY
 DEV CO                PREFERRED STOCK 48660Q102     482     30000 Shares           X                    2        0       0        0
KELLOGG CO COM         COMMON STOCK    487836108    1036     20510 Shares           X                    1    20510       0        0
KELLOGG CO COM         COMMON STOCK    487836108     732     14486 Shares                    X           1    14386       0      100
KELLOGG CO COM         COMMON STOCK    487836108      25       500 Shares           X                    2        0       0      500
KENNAMETAL INC         COMMON STOCK    489170100      73      2350 Shares           X                    1     2350       0        0
KENNAMETAL INC         COMMON STOCK    489170100    1732     56000 Shares           X                    3    56000       0        0
KIMBERLY CLARK CORP    COMMON STOCK    494368103    4813     73995 Shares           X                    1    73995       0        0
KIMBERLY CLARK CORP    COMMON STOCK    494368103    2686     41287 Shares                    X           1    38137       0     3150
KIMBERLY CLARK CORP    COMMON STOCK    494368103     497      7635 Shares           X                    2        0       0     7635
KIMBERLY CLARK CORP    COMMON STOCK    494368103       7       100 Shares           X                    3      100       0        0
KINDER MORGAN ENERGY
 PARTNERS              COMMON STOCK    494550106     276      4030 Shares           X                    1     4030       0        0
KINDER MORGAN ENERGY
 PARTNERS              COMMON STOCK    494550106      63       925 Shares                    X           1      925       0        0
KINDER MORGAN ENERGY
 PARTNERS              COMMON STOCK    494550106   14350    209488 Shares           X                    2        0   31570   177918
KINDER MORGAN
 MANAGEMENT LLC        COMMON STOCK    49455U100    1141     18940 Shares           X                    1    18940       0        0
KINDER MORGAN
 MANAGEMENT LLC        COMMON STOCK    49455U100      94      1555 Shares                    X           1     1555       0        0
KINDER MORGAN
 MANAGEMENT LLC        COMMON STOCK    49455U100    5585     92703 Shares           X                    2        0   22530    70173
KINROSS GOLD
 CORPORATION           COMMON STOCK    496902404       3       169 Shares           X                    1      169       0        0
KINROSS GOLD
 CORPORATION           COMMON STOCK    496902404       6       300 Shares           X                    2        0       0      300
KNOLOGY INC            COMMON STOCK    499183804     344     25642 Shares           X                    2        0       0    25642
KOHLS CORP COM         COMMON STOCK    500255104      77      1460 Shares           X                    1     1460       0        0
KOHLS CORP COM         COMMON STOCK    500255104     117      2230 Shares                    X           1     2230       0        0
KOHLS CORP COM         COMMON STOCK    500255104      18       335 Shares           X                    3      335       0        0
KONINKLIJKE PHILIPS
 ELEC N V N            COMMON STOCK    500472303      11       356 Shares           X                    1      356       0        0
KOREA ELECTRIC POWER
 CORP SP A             COMMON STOCK    500631106       8       655 Shares           X                    1      655       0        0
KRAFT FOODS INC CL A   COMMON STOCK    50075N104    6117    198212 Shares           X                    1   197105       0     1107
KRAFT FOODS INC CL A   COMMON STOCK    50075N104    3156    102281 Shares                    X           1    96411       0     5870
KRAFT FOODS INC CL A   COMMON STOCK    50075N104    6283    203609 Shares           X                    2        0   29263   174346
KRAFT FOODS INC CL A   COMMON STOCK    50075N104     282      9131 Shares           X                    3     5575       0     3556
KRAFT FOODS INC CL A   COMMON STOCK    50075N104      19       600 Shares                    X           4      600       0        0
KROGER CO              COMMON STOCK    501044101     100      4619 Shares           X                    1     4619       0        0
KROGER CO              COMMON STOCK    501044101      11       500 Shares                    X           1        0       0      500
LKQ CORPORATION        COMMON STOCK    501889208     249     11959 Shares           X                    1    11959       0        0
LKQ CORPORATION        COMMON STOCK    501889208    2172    104400 Shares           X                    3   104400       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
LSI CORPORATION        COMMON STOCK    502161102       1       129 Shares           X                    1      129       0        0
LSI CORPORATION        COMMON STOCK    502161102       0        22 Shares                    X           1       14       0        8
L 3 COMMUNICATIONS
 CORP COM              COMMON STOCK    502424104      11       150 Shares                    X           1      150       0        0
L 3 COMMUNICATIONS
 CORP COM              COMMON STOCK    502424104    1471     20350 Shares           X                    2        0       0    20350
LABORATORY CRP OF
 AMER HLDGS C          COMMON STOCK    50540R409      29       375 Shares           X                    1      375       0        0
LABORATORY CRP OF
 AMER HLDGS C          COMMON STOCK    50540R409       3        40 Shares                    X           1       40       0        0
LABORATORY CRP OF
 AMER HLDGS C          COMMON STOCK    50540R409    8973    114409 Shares           X                    2        0   25110    89299
LADISH CO INC          COMMON STOCK    505754200      44      1425 Shares           X                    1     1425       0        0
LADISH CO INC          COMMON STOCK    505754200    1186     38100 Shares           X                    3    38100       0        0
LAM RESH CORP          COMMON STOCK    512807108     310      7402 Shares           X                    1     7402       0        0
LAM RESH CORP          COMMON STOCK    512807108    2699     64500 Shares           X                    3    64500       0        0
LAS VEGAS SANDS CORP   COMMON STOCK    517834107      50      1448 Shares           X                    1     1448       0        0
LASERCARD CORP         COMMON STOCK    51807U101       2       500 Shares           X                    2        0       0      500
LAUDER ESTEE CO CL A   COMMON STOCK    518439104    1055     16682 Shares           X                    1    16682       0        0
LAUDER ESTEE CO CL A   COMMON STOCK    518439104     165      2615 Shares                    X           1     1665       0      950
LEGGETT & PLATT INC    COMMON STOCK    524660107     182      8000 Shares           X                    1     8000       0        0
LEGACY RESERVES LP     COMMON STOCK    524707304       3       130 Shares                    X           1      130       0        0
LEGG MASON INC         COMMON STOCK    524901105      99      3260 Shares           X                    1     3260       0        0
LEGG MASON INC         COMMON STOCK    524901105      11       365 Shares                    X           1      365       0        0
LEGG MASON INC         COMMON STOCK    524901105      30      1000 Shares           X                    2        0       0     1000
LEUCADIA NATL CORP
 COM                   COMMON STOCK    527288104      47      2000 Shares           X                    1     2000       0        0
LEVEL 3 COMMUNICATIONS
 INCORPORATED          COMMON          52729N100    3252     45000 Shares           X                    2        0   45000        0
LIBERTY GLOBAL INC -
 CL A                  COMMON STOCK    530555101       7       213 Shares           X                    1      213       0        0
LIBERTY GLOBAL INC -
 CL A                  COMMON STOCK    530555101      27       877 Shares                    X           1      877       0        0
LIBERTY GLOBAL INC -
 CL B                  COMMON STOCK    530555200      17       543 Shares                    X           1      543       0        0
LIBERTY GLOBAL INC
 CL C                  COMMON STOCK    530555309       7       216 Shares           X                    1      216       0        0
LIBERTY GLOBAL INC
 CL C                  COMMON STOCK    530555309      43      1420 Shares                    X           1     1420       0        0
LIBERTY MEDIA HLDG
 CORP - INTE           COMMON STOCK    53071M104      48      3500 Shares           X                    1     3500       0        0
LIBERTY MEDIA HLDG
 CORP - INTE           COMMON STOCK    53071M104      54      3967 Shares                    X           1     3967       0        0
LIBERTY MEDIA HLDG
 CORP - INTE           COMMON STOCK    53071M203      37      2714 Shares                    X           1     2714       0        0
LIBERTY MEDIA HLDG
 CORP - CAP            COMMON STOCK    53071M302      30       584 Shares           X                    1      584       0        0
LIBERTY MEDIA HLDG
 CORP - CAP            COMMON STOCK    53071M302      41       793 Shares                    X           1      793       0        0
LIBERTY MEDIA HLDG
 CORP - CAP            COMMON STOCK    53071M401      29       543 Shares                    X           1      543       0        0
LIBERTY MEDIA -
 STARZ SR A            COMMON STOCK    53071M708      23       353 Shares           X                    1      353       0        0
LIBERTY MEDIA - STARZ
 SR A                  COMMON STOCK    53071M708      18       278 Shares                    X           1      278       0        0
LIBERTY PROPERTY TRUST
 (REIT)                COMMON STOCK    531172104      26       800 Shares           X                    2        0       0        0
LIFE TIME FITNESS INC  COMMON STOCK    53217R207      51      1300 Shares           X                    1     1300       0        0
LIFE TIME FITNESS INC  COMMON STOCK    53217R207    1381     35000 Shares           X                    3    35000       0        0
LIFE TECHNOLOGIES CORP COMMON STOCK    53217V109     227      4856 Shares           X                    1     4856       0        0
LIFE TECHNOLOGIES CORP COMMON STOCK    53217V109      37       800 Shares                    X           1        0       0      800
LIFE TECHNOLOGIES CORP COMMON STOCK    53217V109    1752     37516 Shares           X                    3    37516       0        0
LILLY ELI & CO         COMMON STOCK    532457108    3733    102185 Shares           X                    1   100485       0     1700
LILLY ELI & CO         COMMON STOCK    532457108    3049     83471 Shares                    X           1    80610    1600     1261
LILLY ELI & CO         COMMON STOCK    532457108     373     10200 Shares           X                    2        0       0    10200
LILLY ELI & CO         COMMON STOCK    532457108     542     14824 Shares           X                    3     9978       0     4846
LIMELIGHT NETWORKS     COMMON          53261M104    1317    224000 Shares           X                    3   224000       0        0
LIMITED BRANDS, INC
 COM                   COMMON STOCK    532716107       7       270 Shares           X                    2        0       0      270
LINCOLN NATIONAL CORP  COMMON STOCK    534187109       9       390 Shares           X                    1      390       0        0
LINCOLN NATIONAL CORP  COMMON STOCK    534187109       3       122 Shares                    X           1      122       0        0
LINCOLN NATIONAL CORP  COMMON STOCK    534187109      98      4100 Shares           X                    2        0       0     4100
LINEAR TECHNOLOGY CORP
 COM                   COMMON STOCK    535678106     149      4860 Shares           X                    1     4110       0      750
LINEAR TECHNOLOGY CORP
 COM                   COMMON STOCK    535678106      46      1485 Shares                    X           1      525       0      960
LINN ENERGY LLC        COMMON STOCK    536020100      74      2300 Shares           X                    1     2300       0        0
LINN ENERGY LLC        COMMON STOCK    536020100       3       100 Shares                    X           1      100       0        0
LOCKHEED MARTIN
 CORPORATION CO        COMMON STOCK    539830109    3757     52711 Shares           X                    1    52711       0        0
LOCKHEED MARTIN
 CORPORATION CO        COMMON STOCK    539830109    1056     14817 Shares                    X           1    14517       0      300
LOCKHEED MARTIN
 CORPORATION CO        COMMON STOCK    539830109     891     12498 Shares           X                    2        0       0    12498
LOCKHEED MARTIN
 CORPORATION CO        COMMON STOCK    539830109      39       550 Shares                    X           4      550       0        0
LOEWS CORP             COMMON STOCK    540424108     202      5337 Shares           X                    1     5337       0        0
LOEWS CORP             COMMON STOCK    540424108     136      3600 Shares           X                    2        0       0     3600
LORILLARD INC          COMMON STOCK    544147101      17       215 Shares           X                    1      215       0        0
LOWES COMPANIES INC    COMMON STOCK    548661107    4186    187803 Shares           X                    1   185303       0     2500



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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LOWES COMPANIES INC    COMMON STOCK    548661107     491     22020 Shares                    X           1    19020       0     3000
LOWES COMPANIES INC    COMMON STOCK    548661107     134      6015 Shares           X                    3     2927       0     3088
LUBRIZOL CORP          COMMON STOCK    549271104      51       478 Shares           X                    1      478       0        0
LUBRIZOL CORP          COMMON STOCK    549271104     693      6536 Shares                    X           1     6536       0        0
LUFKIN INDUSTRIES INC  COMMON STOCK    549764108     159      3625 Shares           X                    1     3625       0        0
LUFKIN INDUSTRIES INC  COMMON STOCK    549764108    2450     55800 Shares           X                    3    55800       0        0
LULULEMON ATHLETICA
 INC-W/I               COMMON STOCK    550021109    1364     30504 Shares           X                    1    30504       0        0
LULULEMON ATHLETICA
 INC-W/I               COMMON STOCK    550021109    5490    122763 Shares           X                    3   122763       0        0
LULULEMON ATHLETICA
 INC-W/I               COMMON STOCK    550021109       2        48 Shares           X                    4       48       0        0
LUXOTTICA GROUP
 SPA-SPON ADR          COMMON STOCK    55068R202      95      3500 Shares           X                    1     3500       0        0
M & T BANK CORP        COMMON STOCK    55261F104  120000   1466813 Shares           X                    1  1432958       0    33855
M & T BANK CORP        COMMON STOCK    55261F104   11258    137609 Shares                    X           1    11644       0   125965
M & T BANK CORP        COMMON STOCK    55261F104      12       150 Shares           X                    2        0       0      150
M & T BANK CORP        COMMON STOCK    55261F104      12       150 Shares                    X           4      150       0        0
MDC HOLDINGS INC       COMMON STOCK    552676108       1        46 Shares           X                    1       46       0        0
MEMC ELECTRONIC
 MATERIALS INC         COMMON STOCK    552715104       9       755 Shares           X                    1      755       0        0
MFA FINANCIAL INC      COMMON STOCK    55272X102     397     52000 Shares           X                    2        0   19500        0
MFS MUN INCOME TR SH
 BEN INT               OTHER           552738106      19      2600 Shares           X                    2        0       0        0
MKS INSTRUMENTS INC    COMMON STOCK    55306N104     129      7148 Shares           X                    1     7148       0        0
MKS INSTRUMENTS INC    COMMON STOCK    55306N104    1127     62700 Shares           X                    3    62700       0        0
MSC INDUSTRIAL DIRECT
 CO, CL A              COMMON STOCK    553530106      45       840 Shares           X                    1      840       0        0
MSC INDUSTRIAL DIRECT
 CO, CL A              COMMON STOCK    553530106    1227     22700 Shares           X                    3    22700       0        0
MACY'S INC             COMMON STOCK    55616P104      66      2856 Shares           X                    1     2856       0        0
MACY'S INC             COMMON STOCK    55616P104      19       842 Shares                    X           1      842       0        0
MACY'S INC             COMMON STOCK    55616P104       1        42 Shares           X                    2        0       0       42
MAGELLAN MIDSTREAM
 PARTNERS L.           COMMON STOCK    559080106      26       500 Shares                    X           1      500       0        0
MAGELLAN MIDSTREAM
 PARTNERS L.           COMMON STOCK    559080106    8935    173650 Shares           X                    2        0   22250   151400
MAGNA INTERNATIONAL    COMMON STOCK    559222401      16       200 Shares           X                    1      200       0        0
MAGNUM HUNTER
 RESOURCES CORP        COMMON STOCK    55973B102      10      2500 Shares           X                    2        0       0     2500
MANITOWOC CO INC COM   COMMON STOCK    563571108    1018     84051 Shares           X                    1    84051       0        0
MANITOWOC CO INC COM   COMMON STOCK    563571108    1756    145004 Shares           X                    3   145004       0        0
MANITOWOC CO INC COM   COMMON STOCK    563571108       3       216 Shares           X                    4      216       0        0
MANPOWER INC WIS       COMMON STOCK    56418H100      78      1500 Shares           X                    1     1500       0        0
MANULIFE FINANCIAL
 CORP                  COMMON STOCK    56501R106     413     32696 Shares           X                    1    32696       0        0
MANULIFE FINANCIAL
 CORP                  COMMON STOCK    56501R106      24      1894 Shares                    X           1     1894       0        0
MANULIFE FINANCIAL
 CORP                  COMMON STOCK    56501R106     270     21378 Shares           X                    2        0       0    21378
MAP PHARMACEUTICALS
 INC                   COMMON STOCK    56509R108     210     13696 Shares           X                    1    13696       0        0
MAP PHARMACEUTICALS
 INC                   COMMON STOCK    56509R108    3006    196500 Shares           X                    3   196500       0        0
MARATHON OIL CORP      COMMON STOCK    565849106     471     14242 Shares           X                    1    14242       0        0
MARATHON OIL CORP      COMMON STOCK    565849106     110      3320 Shares                    X           1     3320       0        0
MARKEL CORP COM        COMMON STOCK    570535104      21        60 Shares           X                    1       60       0        0
MARKEL CORP COM        COMMON STOCK    570535104       9        26 Shares                    X           1       26       0        0
MARKEL CORP COM        COMMON STOCK    570535104    4243     12315 Shares           X                    2        0    2395     9920
MARKET VECTORS GOLD
 MINERS                PREFERRED STOCK 57060U100      27       475 Shares                    X           1        0       0        0
MARKET VECTORS
 AGRIBUSINESS ET       PREFERRED STOCK 57060U605      18       400 Shares           X                    2        0       0        0
MARKWEST ENERGY
 PARTNERS LP           COMMON STOCK    570759100       7       200 Shares                    X           1      200       0        0
MARKWEST ENERGY
 PARTNERS LP           COMMON STOCK    570759100      54      1500 Shares           X                    2        0       0     1500
MARSH & MCLENNAN COS
 INC COM               COMMON STOCK    571748102     193      8000 Shares                    X           1     8000       0        0
MARSHALL & ILSLEY CORP COMMON STOCK    571837103       1        86 Shares           X                    1       86       0        0
MARRIOTT INTL INC CL A COMMON STOCK    571903202      45      1258 Shares           X                    1     1258       0        0
MARRIOTT INTL INC CL A COMMON STOCK    571903202       9       250 Shares                    X           1      250       0        0
MARRIOTT INTL INC CL A COMMON STOCK    571903202    1066     29759 Shares           X                    2        0       0    29759
MARTIN MARIETTA
 MATERIALS INC         COMMON STOCK    573284106      17       215 Shares           X                    1      215       0        0
MASCO CORP             COMMON STOCK    574599106      39      3567 Shares           X                    1     3567       0        0
MASCO CORP             COMMON STOCK    574599106      35      3208 Shares                    X           1     3208       0        0
MASSEY ENERGY CO COM   COMMON STOCK    576206106      47      1500 Shares                    X           1     1500       0        0
MASTERCARD INC CL A    COMMON STOCK    57636Q104    2033      9075 Shares           X                    1     9075       0        0
MASTERCARD INC CL A    COMMON STOCK    57636Q104     191       853 Shares                    X           1      853       0        0
MASTERCARD INC CL A    COMMON STOCK    57636Q104     642      2865 Shares           X                    2        0     900     1965
MASTERCARD INC CL A    COMMON STOCK    57636Q104    1246      5560 Shares           X                    3     5560       0        0
MASTERCARD INC CL A    COMMON STOCK    57636Q104       2        10 Shares           X                    4       10       0        0
MATTEL INC             COMMON STOCK    577081102      19       796 Shares           X                    1      796       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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MATTSON TECHNOLOGY
 INCORPORATE           COMMON STOCK    577223100      33     11895 Shares           X                    1    11895       0        0
MATTSON TECHNOLOGY
 INCORPORATE           COMMON STOCK    577223100     871    316600 Shares           X                    3   316600       0        0
MAXIM INTEGRATED
 PRODS INC COM         COMMON STOCK    57772K101       5       260 Shares           X                    1      260       0        0
MCAFEE INC             COMMON STOCK    579064106      97      2045 Shares           X                    1     2045       0        0
MCCORMICK & CO INC     COMMON STOCK    579780107       2        50 Shares           X                    3       50       0        0
MCCORMICK & CO-NON
 VTG SHS               COMMON STOCK    579780206    2255     53650 Shares           X                    1    53650       0        0
MCCORMICK & CO-NON
 VTG SHS               COMMON STOCK    579780206     346      8225 Shares                    X           1     8225       0        0
MCDERMOTT INTL INC     COMMON STOCK    580037109     382     25862 Shares           X                    1    25412       0      450
MCDERMOTT INTL INC     COMMON STOCK    580037109      16      1075 Shares                    X           1      775       0      300
MCDERMOTT INTL INC     COMMON STOCK    580037109      49      3300 Shares           X                    2        0       0     3300
MCDERMOTT INTL INC     COMMON STOCK    580037109    1261     85306 Shares           X                    3    85306       0        0
MCDERMOTT INTL INC     COMMON STOCK    580037109       2       102 Shares           X                    4      102       0        0
MCDONALD'S CORPORATION COMMON STOCK    580135101   11326    152007 Shares           X                    1   150796       0     1211
MCDONALD'S CORPORATION COMMON STOCK    580135101    3702     49679 Shares                    X           1    46659       0     3020
MCDONALD'S CORPORATION COMMON STOCK    580135101    3286     44111 Shares           X                    2        0    6419    37692
MCDONALD'S CORPORATION COMMON STOCK    580135101    1952     26198 Shares           X                    3    24754       0     1444
MCDONALD'S CORPORATION COMMON STOCK    580135101       3        36 Shares           X                    4       36       0        0
MCDONALD'S CORPORATION COMMON STOCK    580135101     112      1500 Shares                    X           4     1500       0        0
MC GRAW HILL COMPANIES
 INC                   COMMON STOCK    580645109     323      9782 Shares           X                    1     9782       0        0
MC GRAW HILL COMPANIES
 INC                   COMMON STOCK    580645109     625     18895 Shares                    X           1    14895       0     4000
MCKESSON CORPORATION
 COM                   COMMON STOCK    58155Q103      31       508 Shares           X                    1      508       0        0
MCKESSON CORPORATION
 COM                   COMMON STOCK    58155Q103      26       428 Shares                    X           1      428       0        0
MCKESSON CORPORATION
 COM                   COMMON STOCK    58155Q103      70      1130 Shares           X                    2        0       0     1130
MCKESSON CORPORATION
 COM                   COMMON STOCK    58155Q103      72      1170 Shares           X                    3      550       0      620
MCMORAN EXPLORATION CO COMMON STOCK    582411104      58      3385 Shares           X                    1     3385       0        0
MCMORAN EXPLORATION CO COMMON STOCK    582411104    1566     91000 Shares           X                    3    91000       0        0
MEAD JOHNSON NUTRITION
 CO                    COMMON STOCK    582839106      42       734 Shares           X                    1      734       0        0
MEAD JOHNSON NUTRITION
 CO                    COMMON STOCK    582839106       2        30 Shares                    X           1       30       0        0
MEAD JOHNSON NUTRITION
 CO                    COMMON STOCK    582839106     973     17100 Shares           X                    2        0       0    17100
MEDCO HEALTH SOLUTIONS
 INC                   COMMON STOCK    58405U102    1398     26862 Shares           X                    1    26862       0        0
MEDCO HEALTH SOLUTIONS
 INC                   COMMON STOCK    58405U102    1930     37071 Shares                    X           1    32359       0     4712
MEDCO HEALTH SOLUTIONS
 INC                   COMMON STOCK    58405U102     126      2412 Shares           X                    2        0       0     2412
MEDCO HEALTH SOLUTIONS
 INC                   COMMON STOCK    58405U102       2        47 Shares           X                    4       47       0        0
MEDIA GEN INC CL A     COMMON STOCK    584404107       4       400 Shares           X                    2        0       0      400
MEDIDATA SOLUTIONS INC COMMON STOCK    58471A105       4       200 Shares           X                    1      200       0        0
MEDTRONIC INC          COMMON STOCK    585055106    2805     83541 Shares           X                    1    82527       0     1014
MEDTRONIC INC          COMMON STOCK    585055106    1831     54541 Shares                    X           1    51281       0     3260
MEDTRONIC INC          COMMON STOCK    585055106    5600    166765 Shares           X                    2        0   62722   104043
MEDTRONIC INC          COMMON STOCK    585055106     608     18119 Shares           X                    3    18119       0        0
MEDTRONIC INC          COMMON STOCK    585055106       1        34 Shares           X                    4       34       0        0
MERCK & CO INC         COMMON STOCK    58933Y105   13034    354091 Shares           X                    1   349454       0     4637
MERCK & CO INC         COMMON STOCK    58933Y105    6242    169576 Shares                    X           1   156552       0    13024
MERCK & CO INC         COMMON STOCK    58933Y105   12332    335044 Shares           X                    2        0   61518   273526
MERCK & CO INC         COMMON STOCK    58933Y105    1004     27292 Shares           X                    3    27292       0        0
MERCK & CO INC         COMMON STOCK    58933Y105       5       135 Shares           X                    4      135       0        0
METLIFE INC            COMMON STOCK    59156R108    4092    106433 Shares           X                    1   104127       0     2306
METLIFE INC            COMMON STOCK    59156R108     454     11813 Shares                    X           1     8525       0     3288
METLIFE INC            COMMON STOCK    59156R108     373      9688 Shares           X                    2        0       0     9688
METLIFE INC            COMMON STOCK    59156R108    1820     47343 Shares           X                    3    43632       0     3711
METLIFE INC            COMMON STOCK    59156R108       2        62 Shares           X                    4       62       0        0
METROPOLITAN HEALTH
 NETWORKS I            COMMON STOCK    592142103       2       500 Shares           X                    1      500       0        0
MICROSOFT CORP         COMMON STOCK    594918104   18854    769870 Shares           X                    1   758797       0    11073
MICROSOFT CORP         COMMON STOCK    594918104    6455    263569 Shares                    X           1   235770       0    27799
MICROSOFT CORP         COMMON STOCK    594918104    1293     52771 Shares           X                    2        0   27633    25138
MICROSOFT CORP         COMMON STOCK    594918104    2784    113680 Shares           X                    3   105691       0     7989
MICROSOFT CORP         COMMON STOCK    594918104       6       262 Shares           X                    4      262       0        0
MICROSOFT CORP         COMMON STOCK    594918104      37      1500 Shares                    X           4     1500       0        0
MICROSTRATEGY INC      COMMON STOCK    594972408       2        27 Shares           X                    2        0       0       27
MICROCHIP TECHNOLOGY
 INC COM               COMMON STOCK    595017104     186      5925 Shares           X                    1     5925       0        0
MICROCHIP TECHNOLOGY
 INC COM               COMMON STOCK    595017104      16       500 Shares                    X           1      500       0        0
MICROCHIP TECHNOLOGY
 INC COM               COMMON STOCK    595017104      16       500 Shares           X                    2        0       0      500
MID-AMERICA APARTMENT
 COMMUNIT              COMMON STOCK    59522J103      87      1500 Shares           X                    2        0       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
MID PENN BANCORP
 INCORPORATED          COMMON STOCK    59540G107      11      1597 Shares           X                    1     1597       0        0
MINDSPEED TECHNOLOGIES
 INC                   COMMON STOCK    602682205      38      4900 Shares           X                    1     4900       0        0
MINDSPEED TECHNOLOGIES
 INC                   COMMON STOCK    602682205    1018    131000 Shares           X                    3   131000       0        0
MIPS TECHNOLOGIES INC  COMMON STOCK    604567107      10      1000 Shares           X                    1     1000       0        0
MIRANT CORP-W/I-CW11 1 COMMON STOCK    60467R118       0        20 Shares           X                    1       20       0        0
MITSUBISHI UFJ
 FINANCIAL GRP-A       COMMON STOCK    606822104      15      3180 Shares           X                    1     3180       0        0
MIZUHO FINANCIAL
 GROUP INC             COMMON STOCK    60687Y109       4      1415 Shares           X                    1     1415       0        0
MOLEX INC              COMMON STOCK    608554101      63      3000 Shares           X                    1     3000       0        0
MOLSON COORS BREWING
 COMPANY               COMMON STOCK    60871R209      28       600 Shares                    X           1      600       0        0
MONRO MUFFLER BRAKE
 INC                   COMMON STOCK    610236101      58      1250 Shares           X                    1     1250       0        0
MONRO MUFFLER BRAKE
 INC                   COMMON STOCK    610236101    1545     33500 Shares           X                    3    33500       0        0
MONSANTO COMPANY       COMMON STOCK    61166W101     579     12073 Shares           X                    1    12073       0        0
MONSANTO COMPANY       COMMON STOCK    61166W101     533     11127 Shares                    X           1    10577       0      550
MONSANTO COMPANY       COMMON STOCK    61166W101    2454     51201 Shares           X                    2        0   10805    40396
MONSANTO COMPANY       COMMON STOCK    61166W101       1        20 Shares           X                    4       20       0        0
MOODYS CORP            COMMON STOCK    615369105      61      2442 Shares           X                    1     2442       0        0
MOODYS CORP            COMMON STOCK    615369105       5       200 Shares                    X           1      200       0        0
MOOG INC CL A          COMMON STOCK    615394202      11       300 Shares           X                    1      300       0        0
MORGAN STANLEY GROUP
 INC                   COMMON STOCK    617446448    1265     51250 Shares           X                    1    51250       0        0
MORGAN STANLEY GROUP
 INC                   COMMON STOCK    617446448     297     12043 Shares                    X           1     9748       0     2295
MORGAN STANLEY GROUP
 INC                   COMMON STOCK    617446448     165      6673 Shares           X                    3     3867       0     2806
MORGANS HOTEL GROUP CO COMMON STOCK    61748W108      30      4075 Shares           X                    1     4075       0        0
MORGANS HOTEL GROUP CO COMMON STOCK    61748W108     790    107900 Shares           X                    3   107900       0        0
THE MOSAIC COMPANY     COMMON STOCK    61945A107    1801     30655 Shares           X                    1    30655       0        0
THE MOSAIC COMPANY     COMMON STOCK    61945A107     114      1935 Shares                    X           1     1935       0        0
THE MOSAIC COMPANY     COMMON STOCK    61945A107    3635     61858 Shares           X                    2        0   15550    46308
THE MOSAIC COMPANY     COMMON STOCK    61945A107    2182     37142 Shares           X                    3    35658       0     1484
THE MOSAIC COMPANY     COMMON STOCK    61945A107      44       750 Shares                    X           4      750       0        0
MOTOROLA INC           COMMON STOCK    620076109     178     20881 Shares           X                    1    20881       0        0
MOTOROLA INC           COMMON STOCK    620076109     305     35785 Shares                    X           1    35785       0        0
MURPHY OIL CORP        COMMON STOCK    626717102      46       750 Shares           X                    1      750       0        0
MURPHY OIL CORP        COMMON STOCK    626717102      93      1500 Shares                    X           1     1500       0        0
MURPHY OIL CORP        COMMON STOCK    626717102      62      1000 Shares           X                    2        0       0     1000
MYLAN INC              COMMON STOCK    628530107      12       655 Shares           X                    1      655       0        0
MYLAN INC- PFD CONV
 6.5% 11/15            PREFERRED STOCK 628530206      56        50 Shares           X                    2        0       0        0
MYRIAD GENETICS INC    COMMON STOCK    62855J104      26      1612 Shares           X                    1     1612       0        0
MYREXIS INCORPORATED   COMMON STOCK    62856H107       0        75 Shares           X                    1       75       0        0
NBT BANCORP INC.  COM  COMMON STOCK    628778102     111      5011 Shares           X                    1     5011       0        0
NCR CORP               COMMON STOCK    62886E108       4       262 Shares           X                    1      262       0        0
NCR CORP               COMMON STOCK    62886E108       0        16 Shares                    X           1        0       0       16
NII HOLDINGS INC-CL B  COMMON STOCK    62913F201       8       200 Shares           X                    1      200       0        0
NVR INC                COMMON STOCK    62944T105      42        65 Shares           X                    1       65       0        0
NVR INC                COMMON STOCK    62944T105      42        65 Shares           X                    2        0       0       65
NATL FUEL GAS CO       COMMON STOCK    636180101      49       950 Shares                    X           1      950       0        0
NATIONAL GRID GROUP
 PLC-ADR               COMMON STOCK    636274300      13       313 Shares           X                    1      313       0        0
NATIONAL GRID GROUP
 PLC-ADR               COMMON STOCK    636274300       5       118 Shares                    X           1      118       0        0
NATIONAL-OILWELL
 VARCO INC             COMMON STOCK    637071101    3224     72509 Shares           X                    1    70410       0     2099
NATIONAL-OILWELL
 VARCO INC             COMMON STOCK    637071101     266      5983 Shares                    X           1     2467       0     3516
NATIONAL-OILWELL
 VARCO INC             COMMON STOCK    637071101    2123     47759 Shares           X                    2        0   18900    28859
NATIONAL-OILWELL
 VARCO INC             COMMON STOCK    637071101    1530     34397 Shares           X                    3    34397       0        0
NATIONAL-OILWELL
 VARCO INC             COMMON STOCK    637071101       2        44 Shares           X                    4       44       0        0
NATIONAL PENN
 BANCSHARES INC        COMMON STOCK    637138108      18      2815 Shares           X                    1     2815       0        0
NATIONAL PENN
 BANCSHARES INC        COMMON STOCK    637138108      50      8040 Shares                    X           1     8040       0        0
NATIONAL SEMICONDUCTOR
 CORP CO               COMMON STOCK    637640103      11       850 Shares           X                    1      850       0        0
NATIONAL SEMICONDUCTOR
 CORP CO               COMMON STOCK    637640103      31      2390 Shares                    X           1     2390       0        0
NATIONWIDE HEALTH
 PROPERTIES (          COMMON STOCK    638620104      21       540 Shares           X                    1        0       0        0
NAVISTAR INTERNATIONAL
 CORP                  COMMON STOCK    63934E108       4       100 Shares           X                    1      100       0        0
NEENAH PAPER INC       COMMON STOCK    640079109      15       964 Shares           X                    1      964       0        0
NETAPP INC             COMMON STOCK    64110D104     145      2907 Shares           X                    1     2907       0        0
NETAPP INC             COMMON STOCK    64110D104       3        56 Shares                    X           1       56       0        0
NETFLIX.COM INC        COMMON STOCK    64110L106    1151      7095 Shares           X                    1     7095       0        0
NETFLIX.COM INC        COMMON STOCK    64110L106     170      1048 Shares                    X           1     1048       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
NEUROCRINE BIOSCIENCES
 INC                   COMMON STOCK    64125C109       3       500 Shares                    X           1        0       0      500
NEW GOLD INC           COMMON STOCK    644535106       6       875 Shares           X                    2        0       0      875
NEW JERSEY RESOURCES
 CORP                  COMMON STOCK    646025106       6       148 Shares                    X           1      148       0        0
NEW ORIENTAL EDUCATION
 & TECH                COMMON STOCK    647581107       1        12 Shares           X                    1       12       0        0
NEW ORIENTAL EDUCATION
 & TECH                COMMON STOCK    647581107       1        10 Shares                    X           1       10       0        0
NEW YORK COMMUNITY
 BANCORP INC           COMMON STOCK    649445103       9       560 Shares           X                    1      560       0        0
NEW YORK COMMUNITY
 BANCORP INC           COMMON STOCK    649445103      50      3100 Shares           X                    2        0       0     3100
NEW YORK TIMES CO CL A COMMON STOCK    650111107       9      1220 Shares           X                    1     1220       0        0
NEW YORK TIMES CO CL A COMMON STOCK    650111107     163     21000 Shares           X                    2        0       0    21000
NEWELL RUBBERMAID INC
 COM                   COMMON STOCK    651229106       3       167 Shares           X                    1      167       0        0
NEWELL RUBBERMAID INC
 COM                   COMMON STOCK    651229106      86      4808 Shares                    X           1     4808       0        0
NEWFIELD EXPLORATION
 CO                    COMMON STOCK    651290108      36       620 Shares           X                    1      620       0        0
NEWFIELD EXPLORATION
 CO                    COMMON STOCK    651290108       7       125 Shares                    X           1      125       0        0
NEWMARKET CORPORATION  COMMON STOCK    651587107    1608     14142 Shares           X                    1    14142       0        0
NEWMARKET CORPORATION  COMMON STOCK    651587107    1071      9417 Shares                    X           1     9417       0        0
NEWMONT MINING         COMMON STOCK    651639106      65      1034 Shares           X                    1     1034       0        0
NEWMONT MINING         COMMON STOCK    651639106      58       922 Shares                    X           1       22       0      900
NEWS CORP INC-A        COMMON STOCK    65248E104      41      3152 Shares           X                    1     3152       0        0
NEWS CORP INC-A        COMMON STOCK    65248E104      11       822 Shares                    X           1      822       0        0
NEWS CORP-CLASS B      COMMON STOCK    65248E203       8       550 Shares           X                    2        0       0      550
NEXEN INC              COMMON STOCK    65334H102       3       160 Shares           X                    1      160       0        0
NEXTERA ENERGY INC     COMMON STOCK    65339F101    4263     78383 Shares           X                    1    78308       0       75
NEXTERA ENERGY INC     COMMON STOCK    65339F101    3038     55850 Shares                    X           1    49300       0     6550
NEXTERA ENERGY INC     COMMON STOCK    65339F101      16       300 Shares           X                    2        0       0      300
NICOR INC              COMMON STOCK    654086107      23       500 Shares           X                    1      500       0        0
NICOR INC              COMMON STOCK    654086107       9       200 Shares                    X           1      200       0        0
NIKE INC CL B          COMMON STOCK    654106103    2449     30560 Shares           X                    1    30060       0      500
NIKE INC CL B          COMMON STOCK    654106103     390      4870 Shares                    X           1     3650       0     1220
NIKE INC CL B          COMMON STOCK    654106103     500      6235 Shares           X                    2        0       0     6235
NIKE INC CL B          COMMON STOCK    654106103       1        18 Shares           X                    4       18       0        0
NIPPON TELEGRAPH &
 TELE ADR              COMMON STOCK    654624105      27      1238 Shares           X                    1     1238       0        0
NISOURCE INC           COMMON STOCK    65473P105      53      3051 Shares           X                    1     3051       0        0
NISOURCE INC           COMMON STOCK    65473P105      34      1971 Shares                    X           1     1971       0        0
NOKIA CORP SPONSORED
 ADR                   COMMON STOCK    654902204     290     28921 Shares           X                    1    28921       0        0
NOKIA CORP SPONSORED
 ADR                   COMMON STOCK    654902204     166     16600 Shares                    X           1    16450       0      150
NOBLE ENERGY INC       COMMON STOCK    655044105     493      6559 Shares           X                    1     6559       0        0
NOBLE ENERGY INC       COMMON STOCK    655044105      15       200 Shares                    X           1      200       0        0
NOBLE ENERGY INC       COMMON STOCK    655044105    3066     40835 Shares           X                    3    40835       0        0
NOMURA HLDGS INC       COMMON STOCK    65535H208       4       875 Shares           X                    1      875       0        0
NORDSON CORPORATION    COMMON STOCK    655663102      50       675 Shares           X                    1      675       0        0
NORDSON CORPORATION    COMMON STOCK    655663102    1326     18000 Shares           X                    3    18000       0        0
NORDSTROM INC COM      COMMON STOCK    655664100    1090     29289 Shares           X                    1    29289       0        0
NORDSTROM INC COM      COMMON STOCK    655664100     329      8844 Shares           X                    3     6257       0     2587
NORDSTROM INC COM      COMMON STOCK    655664100       2        48 Shares           X                    4       48       0        0
NORFOLK SOUTHERN CORP  COMMON STOCK    655844108    1658     27859 Shares           X                    1    27659       0      200
NORFOLK SOUTHERN CORP  COMMON STOCK    655844108     530      8910 Shares                    X           1     6210       0     2700
NORFOLK SOUTHERN CORP  COMMON STOCK    655844108       5        80 Shares           X                    2        0       0       80
NORTHEAST UTILITIES
 COM                   COMMON STOCK    664397106       4       125 Shares           X                    1      125       0        0
NORTHERN OIL AND GAS
 INC                   COMMON STOCK    665531109      75      4431 Shares           X                    1     4431       0        0
NORTHERN OIL AND GAS
 INC                   COMMON STOCK    665531109    2041    120500 Shares           X                    3   120500       0        0
NORTHROP GRUMMAN CORP  COMMON STOCK    666807102     243      4012 Shares           X                    1     4012       0        0
NORTHROP GRUMMAN CORP  COMMON STOCK    666807102     127      2098 Shares                    X           1     2098       0        0
NORTHWEST NATURAL GAS
 COMPANY               COMMON STOCK    667655104      26       550 Shares           X                    1      550       0        0
NORTHWEST NATURAL GAS
 COMPANY               COMMON STOCK    667655104       9       200 Shares                    X           1      200       0        0
NORWOOD FINANCIAL CORP COMMON STOCK    669549107      14       500 Shares           X                    1      500       0        0
NOVARTIS AG ADR        COMMON STOCK    66987V109    2410     41784 Shares           X                    1    41647       0      137
NOVARTIS AG ADR        COMMON STOCK    66987V109     734     12735 Shares                    X           1    12650       0       85
NOVARTIS AG ADR        COMMON STOCK    66987V109     211      3657 Shares           X                    3     1779       0     1878
NOVAVAX INC            COMMON STOCK    670002104      22     10000 Shares           X                    1    10000       0        0
NOVELLUS SYS INC COM   COMMON STOCK    670008101      32      1200 Shares           X                    1     1200       0        0
NOVO-NORDISK A/S SPONS
 ADR                   COMMON STOCK    670100205       1        12 Shares           X                    1       12       0        0
NOVO-NORDISK A/S SPONS
 ADR                   COMMON STOCK    670100205       1         8 Shares                    X           1        8       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
NOVO-NORDISK A/S SPONS
 ADR                   COMMON STOCK    670100205     443      4500 Shares           X                    2        0       0     4500
NSTAR COM              COMMON STOCK    67019E107      12       305 Shares           X                    1      305       0        0
NUCOR CORP             COMMON STOCK    670346105     854     22350 Shares           X                    1    20150       0     2200
NUCOR CORP             COMMON STOCK    670346105     390     10220 Shares                    X           1     9050       0     1170
NUCOR CORP             COMMON STOCK    670346105     735     19236 Shares           X                    2        0       0    19236
NUSTAR ENERGY LP       COMMON STOCK    67058H102      12       200 Shares                    X           1      200       0        0
NUSTAR GP HOLDINGS
 LLC                   COMMON STOCK    67059L102      97      2850 Shares           X                    2        0       0     2850
NUVEEN PA PREM INCOME
 MUN FD 2              PREFERRED STOCK 67061F101      88      6216 Shares           X                    1        0       0        0
NUVEEN PA PREM INCOME
 MUN FD 2              PREFERRED STOCK 67061F101    1947    137176 Shares                    X           1        0       0        0
NUVEEN MARYLAND PREM
 INC MUN F             PREFERRED STOCK 67061Q107      31      2000 Shares           X                    2        0       0        0
NUVEEN SELECT
 MATURITIES            PREFERRED STOCK 67061T101      28      2550 Shares           X                    1        0       0        0
NUVEEN INVT QUALITY
 MUNI FD               PREFERRED STOCK 67062E103       5       333 Shares                    X           1        0       0        0
NUVEEN MUNICIPAL
 INCOME FD             PREFERRED STOCK 67062J102      26      2330 Shares           X                    1        0       0        0
NUVEEN INSD QUALITY
 MUN FD                PREFERRED STOCK 67062N103      17      1200 Shares           X                    1        0       0        0
NUVEEN PERFORMANCE
 PLUS MUNI F           PREFERRED STOCK 67062P108       6       390 Shares                    X           1        0       0        0
NUVEEN NY PERF PLUS
 MUNI FD               PREFERRED STOCK 67062R104      31      2000 Shares                    X           1        0       0        0
NUVEEN NY INVT QUALITY
 MUN FD                PREFERRED STOCK 67062X101      22      1500 Shares                    X           1        0       0        0
NUTRISYSTEM INC        COMMON STOCK    67069D108       2       125 Shares           X                    1      125       0        0
NUVEEN MARYLAND
 DIVIDEND ADV M        PREFERRED STOCK 67069R107      13       923 Shares           X                    1        0       0        0
NUVEEN CA DVD ADV
 MUNI FD 2             PREFERRED STOCK 67069X104      83      5650 Shares           X                    1        0       0        0
NUVEEN INSURED PREM
 INC MUNI F            PREFERRED STOCK 6706D8104      42      3100 Shares           X                    2        0       0        0
NUVEEN PA DIVIDEND
 ADV MUNI FD           PREFERRED STOCK 67070E103      15      1000 Shares                    X           1        0       0        0
NUVEEN MD DIV
 ADVANTAGE MUN FD      PREFERRED STOCK 67070V105      60      4059 Shares           X                    1        0       0        0
NUVEEN QUALITY
 PREFERRED INC F       PREFERRED STOCK 67071S101      40      5000 Shares           X                    2        0       0        0
NUVEEN QUALITY PFD
 INCOME FD 2           PREFERRED STOCK 67072C105      15      1735 Shares           X                    1        0       0        0
NUVEEN QUALITY PFD
 INCOME FD 2           PREFERRED STOCK 67072C105     129     15000 Shares           X                    2        0       0        0
NUVEEN QUALITY PFD
 INCOME FD 3           PREFERRED STOCK 67072W101       6       700 Shares                    X           1        0       0        0
NUVEEN MULTI STRATEGY
 INC & GR              PREFERRED STOCK 67073D102      16      1860 Shares           X                    1        0       0        0
NV ENERGY INC          COMMON STOCK    67073Y106       3       248 Shares           X                    1      248       0        0
NV ENERGY INC          COMMON STOCK    67073Y106       3       200 Shares                    X           1      200       0        0
OGE ENERGY CORP COM    COMMON STOCK    670837103      12       300 Shares           X                    1      300       0        0
OGE ENERGY CORP COM    COMMON STOCK    670837103      16       400 Shares                    X           1      400       0        0
NUVEEN MUNICIPAL
 VALUE FUND            PREFERRED STOCK 670928100      30      2975 Shares           X                    1        0       0        0
NUVEEN MUNICIPAL
 VALUE FUND            PREFERRED STOCK 670928100      74      7333 Shares                    X           1        0       0        0
NUVEEN PA INVT
 QUALITY MUN FD        PREFERRED STOCK 670972108      68      4584 Shares           X                    1        0       0        0
NUVEEN PA INVT
 QUALITY MUN FD        PREFERRED STOCK 670972108      53      3600 Shares                    X           1        0       0        0
NUVEEN SELECT QUALITY
 MUN FD                PREFERRED STOCK 670973106       6       406 Shares                    X           1        0       0        0
NUVEEN QUALITY INCOME
 MUNI FD               PREFERRED STOCK 670977107       8       500 Shares           X                    1        0       0        0
NUVEEN QUALITY INCOME
 MUNI FD               PREFERRED STOCK 670977107       3       210 Shares                    X           1        0       0        0
NUVEEN INSD MUNI
 OPPORTUNITY           PREFERRED STOCK 670984103       6       396 Shares                    X           1        0       0        0
NUVEEN INSD MUNI
 OPPORTUNITY           PREFERRED STOCK 670984103       7       500 Shares           X                    2        0       0        0
NUVEEN PREMIER INSD
 MUNI INC F            PREFERRED STOCK 670987106       6       410 Shares           X                    1        0       0        0
NUVEEN PREMIER INSD
 MUNI INC F            PREFERRED STOCK 670987106      16      1000 Shares                    X           1        0       0        0
NUVEEN PREMIER INSD
 MUNI INC F            PREFERRED STOCK 670987106      17      1050 Shares           X                    2        0       0        0
OCCIDENTAL PETE CORP
 COM                   COMMON STOCK    674599105     508      6489 Shares           X                    1     6489       0        0
OCCIDENTAL PETE CORP
 COM                   COMMON STOCK    674599105     236      3020 Shares                    X           1     3020       0        0
OCCIDENTAL PETE CORP
 COM                   COMMON STOCK    674599105    4192     53533 Shares           X                    2        0   14905    38628
OFFICE DEPOT INC       COMMON STOCK    676220106      39      8475 Shares           X                    1     8475       0        0
OFFICE DEPOT INC       COMMON STOCK    676220106    1035    225000 Shares           X                    3   225000       0        0
OLD NATIONAL BANCORP
 COM                   COMMON STOCK    680033107      42      4000 Shares           X                    1     4000       0        0
OLD REPUBLIC INTL
 CORP COM              COMMON STOCK    680223104      28      2000 Shares           X                    1     2000       0        0
OLIN CORP COM          COMMON STOCK    680665205      15       750 Shares           X                    1      750       0        0
OMNICOM GROUP INC COM  COMMON STOCK    681919106      61      1550 Shares           X                    1     1550       0        0
OMNICOM GROUP INC COM  COMMON STOCK    681919106      43      1100 Shares                    X           1     1100       0        0
OMNIVISION
 TECHNOLOGIES INC      COMMON STOCK    682128103      79      3450 Shares           X                    1     3450       0        0
OMNIVISION
 TECHNOLOGIES INC      COMMON STOCK    682128103    2131     92500 Shares           X                    3    92500       0        0
ONCOTHYREON INC        COMMON STOCK    682324108       3       933 Shares           X                    1      250       0      683
ONEOK INC              COMMON STOCK    682680103      77      1700 Shares           X                    1     1700       0        0
ONEOK PARTNERS LP      COMMON STOCK    68268N103      82      1100 Shares           X                    1     1100       0        0
ONEOK PARTNERS LP      COMMON STOCK    68268N103      30       400 Shares                    X           1      400       0        0
OPNET TECHNOLOGIES
 INCORPORATE           COMMON STOCK    683757108      50      2750 Shares           X                    1     2750       0        0
OPNET TECHNOLOGIES
 INCORPORATE           COMMON STOCK    683757108    1329     73200 Shares           X                    3    73200       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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ORACLE CORPORATION COM COMMON STOCK    68389X105    4244    158055 Shares           X                    1   157855       0      200
ORACLE CORPORATION COM COMMON STOCK    68389X105     699     26025 Shares                    X           1    24925       0     1100
ORACLE CORPORATION COM COMMON STOCK    68389X105    2198     81841 Shares           X                    2        0   30000    51841
ORACLE CORPORATION COM COMMON STOCK    68389X105    1906     70982 Shares           X                    3    66410       0     4572
ORACLE CORPORATION COM COMMON STOCK    68389X105       3        95 Shares           X                    4       95       0        0
ORRSTOWN FINL SVCS
 INC COM               COMMON STOCK    687380105     141      6075 Shares           X                    1     6075       0        0
OSHKOSH CORPORATION    COMMON STOCK    688239201       6       200 Shares           X                    1      200       0        0
OXIGENE INC            COMMON STOCK    691828107       1      5000 Shares           X                    1     5000       0        0
PAB BANKSHARES INC     COMMON STOCK    69313P101       1      1020 Shares           X                    2        0       0     1020
P G & E CORP           COMMON STOCK    69331C108     129      2845 Shares           X                    1     2845       0        0
P G & E CORP           COMMON STOCK    69331C108     118      2600 Shares                    X           1     1100       0     1500
PMI GROUP INC          COMMON STOCK    69344M101      75     20450 Shares           X                    1    20450       0        0
PMI GROUP INC          COMMON STOCK    69344M101    2004    546000 Shares           X                    3   546000       0        0
PNC FINANCIAL
 SERVICES GROUP I      COMMON STOCK    693475105    7164    138009 Shares           X                    1   134409       0     3600
PNC FINANCIAL
 SERVICES GROUP I      COMMON STOCK    693475105    2552     49157 Shares                    X           1    38974    3450     6733
PNC FINANCIAL
 SERVICES GROUP I      COMMON STOCK    693475105     802     15458 Shares           X                    2        0       0    15458
PNC FINANCIAL
 SERVICES GROUP I      COMMON STOCK    693475105       0         1 Shares           X                    3        1       0        0
PNC FINANCIAL SER
 WARRANTS  12          COMMON STOCK    693475121     159     15000 Shares           X                    2        0       0    15000
PPG INDS INC           COMMON STOCK    693506107     748     10268 Shares           X                    1     9468       0      800
PPG INDS INC           COMMON STOCK    693506107     548      7521 Shares                    X           1     6621       0      900
PPL CORP COM           COMMON STOCK    69351T106    3509    128850 Shares           X                    1   128050       0      800
PPL CORP COM           COMMON STOCK    69351T106     822     30186 Shares                    X           1    25281    2130     2775
PACCAR INC             COMMON STOCK    693718108      12       250 Shares           X                    1      250       0        0
PACCAR INC             COMMON STOCK    693718108     195      4050 Shares           X                    2        0       0     4050
PACTIV CORP COM        COMMON STOCK    695257105      20       600 Shares           X                    1      600       0        0
PAETEC HOLDING CORP    COMMON STOCK    695459107      41     10000 Shares           X                    1     5000       0     5000
PALL CORP COM          COMMON STOCK    696429307       8       200 Shares           X                    1      200       0        0
PALL CORP COM          COMMON STOCK    696429307      83      2000 Shares                    X           1     2000       0        0
PAN AMERICAN SILVER
 CORP                  COMMON STOCK    697900108       3       100 Shares           X                    1      100       0        0
PANASONIC CORP SPONS
 ADR                   COMMON STOCK    69832A205      12       875 Shares           X                    1      875       0        0
PANERA BREAD CO CL-A   COMMON STOCK    69840W108     341      3844 Shares           X                    1     3844       0        0
PANERA BREAD CO CL-A   COMMON STOCK    69840W108    3810     43000 Shares           X                    3    43000       0        0
PAPA JOHNS
 INTERNATIONAL INC     COMMON STOCK    698813102       5       200 Shares           X                    1      200       0        0
PARAMETRIC TECHNOLOGY
 CORP                  COMMON STOCK    699173209      68      3475 Shares           X                    1     3475       0        0
PARAMETRIC TECHNOLOGY
 CORP                  COMMON STOCK    699173209    1804     92300 Shares           X                    3    92300       0        0
PARKER HANNIFIN CORP   COMMON STOCK    701094104    1356     19348 Shares           X                    1    19348       0        0
PARKER HANNIFIN CORP   COMMON STOCK    701094104      85      1216 Shares                    X           1     1216       0        0
PARKER HANNIFIN CORP   COMMON STOCK    701094104    1734     24763 Shares           X                    3    24763       0        0
PARKER HANNIFIN CORP   COMMON STOCK    701094104       3        48 Shares           X                    4       48       0        0
PATRIOT COAL CORP      COMMON STOCK    70336T104       3       220 Shares           X                    1      220       0        0
PATRIOT COAL CORP      COMMON STOCK    70336T104       0        20 Shares                    X           1       20       0        0
PATTERSON COMPANIES
 INC                   COMMON STOCK    703395103       6       200 Shares                    X           1      200       0        0
PATTERSON COMPANIES
 INC                   COMMON STOCK    703395103     266      9294 Shares           X                    2        0       0     9294
PATTERSON-UTI ENERGY
 INC                   COMMON STOCK    703481101      30      1750 Shares           X                    1     1750       0        0
PATTERSON-UTI ENERGY
 INC                   COMMON STOCK    703481101     828     48500 Shares           X                    3    48500       0        0
PAYCHEX INC COM        COMMON STOCK    704326107    1005     36572 Shares           X                    1    36572       0        0
PAYCHEX INC COM        COMMON STOCK    704326107      47      1725 Shares                    X           1     1725       0        0
PEABODY ENERGY CORP    COMMON STOCK    704549104    1304     26608 Shares           X                    1    26608       0        0
PEABODY ENERGY CORP    COMMON STOCK    704549104     300      6125 Shares                    X           1     6125       0        0
PEABODY ENERGY CORP    COMMON STOCK    704549104    2534     51700 Shares           X                    3    51700       0        0
PEETS COFFEE & TEA
 INC COM               COMMON STOCK    705560100       7       200 Shares           X                    1      200       0        0
PENGROWTH ENERGY TRUST COMMON STOCK    706902509       2       200 Shares           X                    1      200       0        0
PENGROWTH ENERGY TRUST COMMON STOCK    706902509      64      5800 Shares           X                    2        0       0     5800
PENN MILLERS HOLDING
 CORP                  COMMON STOCK    707561106      74      5000 Shares           X                    1     5000       0        0
PENN VA RESOURCE
 PARTNERS LP           COMMON STOCK    707884102      25      1000 Shares                    X           1     1000       0        0
PENNWEST ENERGY TRUST  COMMON STOCK    707885109     100      4960 Shares                    X           1     4960       0        0
PENNWEST ENERGY TRUST  COMMON STOCK    707885109      73      3650 Shares           X                    2        0       0     3650
PENNEY JC CO INC       COMMON STOCK    708160106      67      2475 Shares           X                    1     2475       0        0
PENNEY JC CO INC       COMMON STOCK    708160106      25       908 Shares                    X           1      908       0        0
PENNICHUCK CORPORATION
 NEW                   COMMON STOCK    708254206       7       300 Shares           X                    1      300       0        0
PENNS WOODS BANCORP
 INC.                  COMMON STOCK    708430103      33      1000 Shares           X                    1     1000       0        0
PENNS WOODS BANCORP
 INC.                  COMMON STOCK    708430103     317      9598 Shares           X                    3     9598       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
PENN ESTATE INV TR
 (REIT)                COMMON STOCK    709102107      12      1000 Shares           X                    1        0       0        0
PENTAIR INC COM        COMMON STOCK    709631105     161      4800 Shares                    X           1     4800       0        0
PEPCO HOLDINGS INC     COMMON STOCK    713291102     437     23503 Shares           X                    1    21977       0     1526
PEPCO HOLDINGS INC     COMMON STOCK    713291102     202     10862 Shares                    X           1     8562       0     2300
PEPCO HOLDINGS INC     COMMON STOCK    713291102      69      3693 Shares           X                    2        0       0     3693
PEPSICO INC COM        COMMON STOCK    713448108   20840    313670 Shares           X                    1   311045       0     2625
PEPSICO INC COM        COMMON STOCK    713448108   12187    183427 Shares                    X           1   170204       0    13223
PEPSICO INC COM        COMMON STOCK    713448108    8625    129813 Shares           X                    2        0   33006    96807
PEPSICO INC COM        COMMON STOCK    713448108    1423     21414 Shares           X                    3    19340       0     2074
PEPSICO INC COM        COMMON STOCK    713448108       4        59 Shares           X                    4       59       0        0
PEPSICO INC COM        COMMON STOCK    713448108     113      1700 Shares                    X           4     1700       0        0
PERKINELMER INC COM    COMMON STOCK    714046109      93      4000 Shares                    X           1     4000       0        0
PERMA-FIX
 ENVIRONMENTAL SVCS    COMMON STOCK    714157104     632    378441 Shares           X                    2        0       0   378441
PERRIGO COMPANY        COMMON STOCK    714290103    1169     18206 Shares           X                    1    18206       0        0
PERRIGO COMPANY        COMMON STOCK    714290103      74      1146 Shares                    X           1     1146       0        0
PERRIGO COMPANY        COMMON STOCK    714290103    2570     40024 Shares           X                    3    40024       0        0
PETMED EXPRESS INC     COMMON STOCK    716382106      14       800 Shares           X                    1      800       0        0
PETROCHINA CO LTD ADR  COMMON STOCK    71646E100       1         8 Shares           X                    1        8       0        0
PETROCHINA CO LTD ADR  COMMON STOCK    71646E100      15       131 Shares                    X           1      131       0        0
PETROLEO BRASILEIRO
 SA ADR                COMMON STOCK    71654V101      29       880 Shares           X                    2        0       0      880
PETROLEO BRASILEIRO
 SA SPNS AD            COMMON STOCK    71654V408      99      2734 Shares           X                    1     2734       0        0
PETROLEO BRASILEIRO
 SA SPNS AD            COMMON STOCK    71654V408       9       238 Shares                    X           1      238       0        0
PETROLEO BRASILEIRO
 SA SPNS AD            COMMON STOCK    71654V408      40      1100 Shares           X                    2        0       0     1100
PETSMART INC           COMMON STOCK    716768106     155      4440 Shares           X                    1     4440       0        0
PETSMART INC           COMMON STOCK    716768106      22       630 Shares                    X           1      630       0        0
PFIZER INC             COMMON STOCK    717081103   12472    726369 Shares           X                    1   724823       0     1546
PFIZER INC             COMMON STOCK    717081103    8671    504992 Shares                    X           1   455860     600    48532
PFIZER INC             COMMON STOCK    717081103    3393    197643 Shares           X                    2        0   41661   155982
PFIZER INC             COMMON STOCK    717081103     127      7405 Shares           X                    3     7405       0        0
PHILIP MORRIS INTL INC COMMON STOCK    718172109   15533    277280 Shares           X                    1   274770       0     2510
PHILIP MORRIS INTL INC COMMON STOCK    718172109    6849    122260 Shares                    X           1   116140       0     6120
PHILIP MORRIS INTL INC COMMON STOCK    718172109    4949     88350 Shares           X                    2        0    8981    79369
PHILIP MORRIS INTL INC COMMON STOCK    718172109    2104     37554 Shares           X                    3    37554       0        0
PHILIP MORRIS INTL INC COMMON STOCK    718172109       4        64 Shares           X                    4       64       0        0
PHILIP MORRIS INTL INC COMMON STOCK    718172109      70      1250 Shares                    X           4     1250       0        0
PHILLIPS VAN HEUSEN
 CORP COM              COMMON STOCK    718592108    1424     23667 Shares           X                    1    23667       0        0
PHILLIPS VAN HEUSEN
 CORP COM              COMMON STOCK    718592108    7622    126704 Shares           X                    3   126704       0        0
PHOENIX COS INC COM    COMMON STOCK    71902E109       2      1086 Shares           X                    1     1086       0        0
PHOENIX COS INC COM    COMMON STOCK    71902E109       3      1256 Shares                    X           1     1256       0        0
PHOENIX COS INC COM    COMMON STOCK    71902E109       5      2574 Shares           X                    2        0       0     2574
PIEDMONT NAT GAS INC   COMMON STOCK    720186105      63      2180 Shares           X                    1     2180       0        0
PIEDMONT NAT GAS INC   COMMON STOCK    720186105      12       400 Shares                    X           1      400       0        0
PIEDMONT OFFICE REALTY
 TRUST-A               COMMON STOCK    720190206      54      2860 Shares           X                    1        0       0        0
PIER 1 INC COM         COMMON STOCK    720279108      43      5250 Shares           X                    1     5250       0        0
PIER 1 INC COM         COMMON STOCK    720279108    1143    139500 Shares           X                    3   139500       0        0
PIMCO MUNICIPAL
 INCOME FUND           PREFERRED STOCK 72200R107      14      1000 Shares           X                    2        0       0        0
PIMCO RCM STRAT
 GLOBAL GOVT           PREFERRED STOCK 72200X104      43      4133 Shares           X                    1        0       0        0
PIMCO MUNICIPAL INCOME
 FUND II               PREFERRED STOCK 72201A103      15      1335 Shares                    X           1        0       0        0
PINNACLE DATA SYSTEMS
 INC                   COMMON STOCK    723454104       0       300 Shares           X                    1      300       0        0
PINNACLE WEST CAPITAL
 CORP                  COMMON STOCK    723484101       4       100 Shares                    X           1      100       0        0
PIONEER MUNICIPAL HI
 INC ADV T             PREFERRED STOCK 723762100      21      1500 Shares           X                    1        0       0        0
PIPER JAFFRAY
 COMPANIES INC         COMMON STOCK    724078100       5       169 Shares           X                    1      169       0        0
PITNEY BOWES INC COM   COMMON STOCK    724479100      89      4140 Shares           X                    1     4140       0        0
PIZZA INN INC          COMMON STOCK    725848105       1       325 Shares           X                    1      325       0        0
PLAINS ALL AMERICAN
 PIPELINE L            COMMON STOCK    726503105      31       500 Shares           X                    1      500       0        0
PLAINS ALL AMERICAN
 PIPELINE L            COMMON STOCK    726503105   14478    230147 Shares           X                    2        0   34800   195347
PLUM CREEK TIMBER
 CO INC                COMMON STOCK    729251108     116      3280 Shares           X                    1        0       0        0
PLUM CREEK TIMBER
 CO INC                COMMON STOCK    729251108      53      1500 Shares                    X           1        0       0        0
PLUM CREEK TIMBER
 CO INC                COMMON STOCK    729251108      62      1750 Shares           X                    2        0       0        0
POLARIS INDUSTRIES INC COMMON STOCK    731068102      75      1150 Shares           X                    1     1150       0        0
POLARIS INDUSTRIES INC COMMON STOCK    731068102    1986     30500 Shares           X                    3    30500       0        0
POLO RALPH LAUREN
 CORPORATION           COMMON STOCK    731572103       8        85 Shares           X                    1       85       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
PORTUGAL TELECOM SGPS
 S A SPON              COMMON STOCK    737273102     193     14614 Shares           X                    1    14614       0        0
POST PROPERTIES INC    COMMON STOCK    737464107     209      7500 Shares           X                    2        0       0        0
POTASH CORP OF
 SASKATCHEWAN IN       COMMON STOCK    73755L107     582      4044 Shares           X                    1     4044       0        0
POTASH CORP OF
 SASKATCHEWAN IN       COMMON STOCK    73755L107     151      1048 Shares                    X           1     1048       0        0
POWERSHARES QQQ        PREFERRED STOCK 73935A104     157      3200 Shares           X                    1        0       0        0
POWERSHARES QQQ        PREFERRED STOCK 73935A104     193      3936 Shares                    X           1        0       0        0
POWERSHARES QQQ        PREFERRED STOCK 73935A104     113      2300 Shares           X                    2        0       0        0
POWERSHARES FINANCIAL
 PREFERRE              PREFERRED STOCK 73935X229     109      6000 Shares           X                    2        0       0        0
POWERSHARES GLOBAL
 WATER PORTF           COMMON STOCK    73935X575      22      1300 Shares           X                    1     1300       0        0
POWERSHARES DB
 ENERGY FUND           PREFERRED STOCK 73936B101     565     23380 Shares           X                    2        0       0        0
POWERSHARES DB
 AGRICULTURE FD        COMMON STOCK    73936B408      23       825 Shares                    X           1      825       0        0
POWERSHARES DB
 AGRICULTURE FD        COMMON STOCK    73936B408     642     23380 Shares           X                    2        0       0    23380
POWERSHARES DB OIL
 FUND                  PREFERRED STOCK 73936B507      35      1375 Shares                    X           1        0       0        0
POWERSHARES DB BASE
 METALS FD             PREFERRED STOCK 73936B705     640     29225 Shares           X                    2        0       0        0
POWERSHARES DB US $
 INDEX BEAR            PREFERRED STOCK 73936D206      54      2000 Shares           X                    1        0       0        0
POWERSHARES DB US $
 INDEX BEAR            PREFERRED STOCK 73936D206      14       500 Shares                    X           1        0       0        0
POWERSHARES GLOBAL
 WATER PORTF           PREFERRED STOCK 73936T623     117      6500 Shares           X                    2        0       0        0
POWERSHARES GLOBAL
 WIND ENERGY           PREFERRED STOCK 73937B308       3       340 Shares           X                    1        0       0        0
PRAXAIR INC COM        COMMON STOCK    74005P104     283      3131 Shares           X                    1     3131       0        0
PRAXAIR INC COM        COMMON STOCK    74005P104     259      2871 Shares                    X           1     2671       0      200
PRAXAIR INC COM        COMMON STOCK    74005P104    5223     57864 Shares           X                    2        0   17447    40417
PRAXAIR INC COM        COMMON STOCK    74005P104      99      1100 Shares           X                    3     1100       0        0
PRECISION CASTPARTS
 CORP COM              COMMON STOCK    740189105    3740     29369 Shares           X                    1    29369       0        0
PRECISION CASTPARTS
 CORP COM              COMMON STOCK    740189105       7        56 Shares                    X           1       56       0        0
PRECISION CASTPARTS
 CORP COM              COMMON STOCK    740189105    5792     45477 Shares           X                    3    44117       0     1360
PRECISION CASTPARTS
 CORP COM              COMMON STOCK    740189105       2        16 Shares           X                    4       16       0        0
PRECISION DRILLING
 TRUST                 COMMON STOCK    74022D308      27      4000 Shares                    X           1     4000       0        0
PREMIER FINANCIAL
 BANCORP INC           COMMON STOCK    74050M105       0        61 Shares           X                    2        0       0       61
PRICE T ROWE GROUP
 INC COM               COMMON STOCK    74144T108    7035    140512 Shares           X                    1   139102       0     1410
PRICE T ROWE GROUP
 INC COM               COMMON STOCK    74144T108    1605     32053 Shares                    X           1    29993       0     2060
PRICE T ROWE GROUP
 INC COM               COMMON STOCK    74144T108      90      1800 Shares           X                    2        0       0     1800
PRICE T ROWE GROUP
 INC COM               COMMON STOCK    74144T108    3849     76875 Shares           X                    3    74606       0     2269
PRICE T ROWE GROUP
 INC COM               COMMON STOCK    74144T108       2        42 Shares           X                    4       42       0        0
PRICE T ROWE GROUP
 INC COM               COMMON STOCK    74144T108      25       500 Shares                    X           4      500       0        0
PRICELINE.COM
 INCORPORATED          COMMON STOCK    741503403     853      2449 Shares           X                    1     2449       0        0
PRICELINE.COM
 INCORPORATED          COMMON STOCK    741503403      52       150 Shares                    X           1      150       0        0
PROCTER & GAMBLE CO
 COM                   COMMON STOCK    742718109   28149    469391 Shares           X                    1   465740       0     3651
PROCTER & GAMBLE CO
 COM                   COMMON STOCK    742718109   27174    453130 Shares                    X           1   362340       0    90790
PROCTER & GAMBLE CO
 COM                   COMMON STOCK    742718109   20119    335484 Shares           X                    2        0   49469   286015
PROCTER & GAMBLE CO
 COM                   COMMON STOCK    742718109     671     11197 Shares           X                    3     8083       0     3114
PROCTER & GAMBLE CO
 COM                   COMMON STOCK    742718109       5        76 Shares           X                    4       76       0        0
PROCTER & GAMBLE CO
 COM                   COMMON STOCK    742718109     210      3500 Shares                    X           4     3500       0        0
PROGRESS ENERGY INC
 COM                   COMMON STOCK    743263105     324      7288 Shares           X                    1     6688       0      600
PROGRESS ENERGY INC
 COM                   COMMON STOCK    743263105      95      2135 Shares                    X           1     2135       0        0
PROGRESSIVE CORP COM   COMMON STOCK    743315103      98      4711 Shares           X                    1     4711       0        0
PROGRESSIVE CORP COM   COMMON STOCK    743315103      50      2400 Shares           X                    2        0       0     2400
PROLOGIS (REIT)        COMMON STOCK    743410102       1        87 Shares           X                    1        0       0        0
PROLOGIS (REIT)        COMMON STOCK    743410102      12      1039 Shares           X                    2        0       0        0
ULTRASHORT FINANCIALS
 PROSHARE              PREFERRED STOCK 74347R628      28      1400 Shares                    X           1        0       0        0
ULTRASHORT QQQ
 PROSHARES             PREFERRED STOCK 74347R875      21      1400 Shares                    X           1        0       0        0
ULTRASHORT S&P500
 PROSHARES             PREFERRED STOCK 74347R883      24       800 Shares                    X           1        0       0        0
PROSHARES ULTRA GOLD   PREFERRED STOCK 74347W601      20       330 Shares                    X           1        0       0        0
PROVIDENT ENERGY
 TRUST UNITS           COMMON STOCK    74386K104       1       200 Shares           X                    1      200       0        0
PROVIDENT ENERGY TRUST
 UNITS                 COMMON STOCK    74386K104      12      1700 Shares                    X           1     1700       0        0
PROVIDENT NEW YORK
 BANCORP               COMMON STOCK    744028101      19      2225 Shares           X                    1     2225       0        0
PRUDENTIAL FINANCIAL
 INC                   COMMON STOCK    744320102     231      4262 Shares           X                    1     4262       0        0
PRUDENTIAL FINANCIAL
 INC                   COMMON STOCK    744320102      37       682 Shares                    X           1      682       0        0
PRUDENTIAL PLC-ADR     COMMON STOCK    74435K204       3       130 Shares           X                    1      130       0        0
PRUDENTIAL PLC-ADR     COMMON STOCK    74435K204       2        98 Shares                    X           1       98       0        0
PSYCHIATRIC SOLUTIONS
 INC                   COMMON STOCK    74439H108     134      4004 Shares           X                    1     4004       0        0
PSYCHIATRIC SOLUTIONS
 INC                   COMMON STOCK    74439H108      74      2200 Shares                    X           1     2200       0        0
PUBLIC SVC ENTERPRISE
 GROUP IN              COMMON STOCK    744573106      96      2894 Shares           X                    1     2894       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
PUBLIC SVC ENTERPRISE
 GROUP IN              COMMON STOCK    744573106     193      5838 Shares                    X           1     5838       0        0
PUBLIC SVC ENTERPRISE
 GROUP IN              COMMON STOCK    744573106       5       140 Shares           X                    2        0       0      140
PULTE GROUP INC        COMMON STOCK    745867101      49      5600 Shares           X                    2        0       0     5600
QLT INC                COMMON STOCK    746927102      13      2000 Shares           X                    1     2000       0        0
QEP RESOURCES INC      COMMON STOCK    74733V100      36      1200 Shares           X                    1     1200       0        0
QEP RESOURCES INC      COMMON STOCK    74733V100     115      3800 Shares                    X           1     3800       0        0
QUALCOMM INC COM       COMMON STOCK    747525103    6281    139178 Shares           X                    1   139178       0        0
QUALCOMM INC COM       COMMON STOCK    747525103    1264     28000 Shares                    X           1    26625       0     1375
QUALCOMM INC COM       COMMON STOCK    747525103      34       750 Shares           X                    2        0       0      750
QUALCOMM INC COM       COMMON STOCK    747525103    2884     63905 Shares           X                    3    60950       0     2955
QUALCOMM INC COM       COMMON STOCK    747525103       4        92 Shares           X                    4       92       0        0
QUANTA SERVICES INC
 COM                   COMMON STOCK    74762E102    1028     53888 Shares           X                    1    51953       0     1935
QUANTA SERVICES INC
 COM                   COMMON STOCK    74762E102      13       675 Shares                    X           1        0       0      675
QUANTA SERVICES INC
 COM                   COMMON STOCK    74762E102    1488     78000 Shares           X                    3    78000       0        0
QUEST DIAGNOSTICS INC  COMMON STOCK    74834L100      45       900 Shares           X                    1      900       0        0
QUEST DIAGNOSTICS INC  COMMON STOCK    74834L100     159      3148 Shares                    X           1     2848       0      300
QUEST DIAGNOSTICS INC  COMMON STOCK    74834L100     101      2000 Shares           X                    2        0       0     2000
QUESTAR CORP           COMMON STOCK    748356102      21      1200 Shares           X                    1     1200       0        0
QUESTAR CORP           COMMON STOCK    748356102      67      3800 Shares                    X           1     3800       0        0
QUESTCOR
 PHARMACEUTICALS INC   COMMON STOCK    74835Y101      20      2000 Shares           X                    1     2000       0        0
QWEST COMMUNICATIONS
 INTL INC              COMMON STOCK    749121109      21      3281 Shares           X                    1     3281       0        0
QWEST COMMUNICATIONS
 INTL INC              COMMON STOCK    749121109      10      1564 Shares                    X           1     1354       0      210
QWEST COMMUNICATIONS
 INTL INC              COMMON STOCK    749121109    1015    161955 Shares           X                    2        0   86955    75000
RGC RESOURCES INC      COMMON STOCK    74955L103      18       600 Shares           X                    1      600       0        0
RGC RESOURCES INC      COMMON STOCK    74955L103       6       200 Shares                    X           1      200       0        0
RPC INC                COMMON STOCK    749660106      30      1400 Shares           X                    1     1400       0        0
RPC INC                COMMON STOCK    749660106     804     38000 Shares           X                    3    38000       0        0
RPM INTL INC           COMMON STOCK    749685103     496     24880 Shares           X                    2        0   11300    13580
RSC HOLDINGS INC       COMMON STOCK    74972L102      49      6625 Shares           X                    1     6625       0        0
RSC HOLDINGS INC       COMMON STOCK    74972L102    1320    177000 Shares           X                    3   177000       0        0
RF MICRO DEVICES INC
 COM                   COMMON STOCK    749941100     372     60517 Shares           X                    1    60517       0        0
RF MICRO DEVICES INC
 COM                   COMMON STOCK    749941100    4567    743800 Shares           X                    3   743800       0        0
RACKSPACE HOSTING INC  COMMON STOCK    750086100      82      3175 Shares           X                    1     3175       0        0
RACKSPACE HOSTING INC  COMMON STOCK    750086100    2195     84500 Shares           X                    3    84500       0        0
RADIANT SYSTEMS INC    COMMON STOCK    75025N102      44      2575 Shares           X                    1     2575       0        0
RADIANT SYSTEMS INC    COMMON STOCK    75025N102    1163     68000 Shares           X                    3    68000       0        0
RALCORP HOLDINGS INC   COMMON STOCK    751028101       5        78 Shares           X                    1       78       0        0
RALCORP HOLDINGS INC   COMMON STOCK    751028101       3        56 Shares                    X           1       56       0        0
RAMCO-GERSHENSON
 PROPERTIES TR         COMMON STOCK    751452202       4       358 Shares           X                    1        0       0        0
RANGE RESOURCES
 CORPORATION           COMMON STOCK    75281A109       6       158 Shares           X                    1      158       0        0
RAYMOND JAMES
 FINANCIAL INC         COMMON STOCK    754730109     334     13204 Shares           X                    1    13204       0        0
RAYMOND JAMES
 FINANCIAL INC         COMMON STOCK    754730109    2926    115500 Shares           X                    3   115500       0        0
RAYONIER INC COM       COMMON STOCK    754907103      23       464 Shares           X                    1      464       0        0
RAYONIER INC COM       COMMON STOCK    754907103      19       375 Shares                    X           1      375       0        0
RAYONIER INC COM       COMMON STOCK    754907103    1403     28000 Shares           X                    2        0       0    28000
RAYTHEON CO COM NEW    COMMON STOCK    755111507     166      3634 Shares           X                    1     3634       0        0
RAYTHEON CO COM NEW    COMMON STOCK    755111507     395      8648 Shares                    X           1     8648       0        0
RAYTHEON CO COM NEW    COMMON STOCK    755111507     476     10403 Shares           X                    2        0       0    10403
REALTY INCOME CORP     COMMON STOCK    756109104      31       925 Shares                    X           1        0       0        0
REALTY INCOME CORP     COMMON STOCK    756109104     202      6000 Shares           X                    2        0       0        0
REAVES UTILITY INCOME
 TRUST                 PREFERRED STOCK 756158101     514     24136 Shares           X                    1        0       0        0
RED HAT INC COM        COMMON STOCK    756577102       8       200 Shares           X                    1      200       0        0
REDWOOD TRUST INC-REIT COMMON STOCK    758075402       2       160 Shares           X                    1        0       0        0
REDWOOD TRUST INC-REIT COMMON STOCK    758075402       4       300 Shares                    X           1        0       0        0
REED ELSEVIER NV
 SPONSORED ADR         COMMON STOCK    758204200       8       324 Shares           X                    1      324       0        0
REED ELSEVIER NV
 SPONSORED ADR         COMMON STOCK    758204200       1        44 Shares                    X           1       44       0        0
REGIONS FINANCIAL
 CORP                  COMMON STOCK    7591EP100      31      4271 Shares                    X           1     4271       0        0
RELIANCE STEEL &
 ALUMINUM COMP         COMMON STOCK    759509102       4       100 Shares           X                    1        0       0      100
RENASANT CORP          COMMON STOCK    75970E107       3       179 Shares           X                    1      179       0        0
REPSOL YPF SA SPON ADR COMMON STOCK    76026T205      15       600 Shares           X                    1      600       0        0
REPUBLIC SVCS INC COM  COMMON STOCK    760759100       6       200 Shares           X                    1      200       0        0
RESEARCH IN MOTION
 LIMITED               COMMON STOCK    760975102    1320     27119 Shares           X                    1    27119       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
RESEARCH IN MOTION
 LIMITED               COMMON STOCK    760975102      41       850 Shares                    X           1      625       0      225
RESEARCH IN MOTION
 LIMITED               COMMON STOCK    760975102    2044     41974 Shares           X                    2        0       0    41974
RESEARCH IN MOTION
 LIMITED               COMMON STOCK    760975102     871     17882 Shares           X                    3    17174       0      708
RESEARCH IN MOTION
 LIMITED               COMMON STOCK    760975102       2        34 Shares           X                    4       34       0        0
RESMED INC             COMMON STOCK    761152107     244      7450 Shares           X                    1     7450       0        0
RESMED INC             COMMON STOCK    761152107    2070     63100 Shares           X                    3    63100       0        0
REYNOLDS AMERICAN INC  COMMON STOCK    761713106      66      1104 Shares           X                    1     1104       0        0
REYNOLDS AMERICAN INC  COMMON STOCK    761713106      59      1000 Shares                    X           1     1000       0        0
RIO TINTO PLC
 SPONSORED ADR         COMMON STOCK    767204100      26       444 Shares           X                    1      444       0        0
RIO TINTO PLC
 SPONSORED ADR         COMMON STOCK    767204100       1        24 Shares                    X           1       24       0        0
RIO TINTO PLC
 SPONSORED ADR         COMMON STOCK    767204100      35       600 Shares           X                    2        0       0      600
RITCHIE BROS
 AUCTIONEERS           COMMON STOCK    767744105     130      6277 Shares           X                    1     6277       0        0
RITCHIE BROS
 AUCTIONEERS           COMMON STOCK    767744105     999     48100 Shares           X                    3    48100       0        0
RITE AID CORP COM      COMMON STOCK    767754104      12     12300 Shares           X                    1     1000       0    11300
RITE AID CORP COM      COMMON STOCK    767754104       1       600 Shares                    X           1      600       0        0
RIVERBED TECHNOLOGY
 INC                   COMMON STOCK    768573107      31       675 Shares           X                    1      675       0        0
RIVERBED TECHNOLOGY
 INC                   COMMON STOCK    768573107     820     18000 Shares           X                    3    18000       0        0
ROBERT HALF INTL INC
 COM                   COMMON STOCK    770323103      16       605 Shares                    X           1      500       0      105
ROCKWELL AUTOMATION
 INC.                  COMMON STOCK    773903109    2650     42932 Shares           X                    1    41932       0     1000
ROCKWELL AUTOMATION
 INC.                  COMMON STOCK    773903109     324      5245 Shares                    X           1     5095       0      150
ROCKWELL AUTOMATION
 INC.                  COMMON STOCK    773903109     101      1632 Shares           X                    2        0       0     1632
ROCKWELL AUTOMATION
 INC.                  COMMON STOCK    773903109    3145     50948 Shares           X                    3    48487       0     2461
ROCKWELL COLLINS COM   COMMON STOCK    774341101     994     17068 Shares           X                    1    17068       0        0
ROCKWELL COLLINS COM   COMMON STOCK    774341101     254      4361 Shares                    X           1     4281       0       80
ROCKWELL COLLINS COM   COMMON STOCK    774341101      95      1632 Shares           X                    2        0       0     1632
ROCKWOOD HOLDINGS INC  COMMON STOCK    774415103      42      1350 Shares           X                    1     1350       0        0
ROCKWOOD HOLDINGS INC  COMMON STOCK    774415103    1133     36000 Shares           X                    3    36000       0        0
RODMAN & RENSHAW
 CAPITAL CORP          COMMON STOCK    77487R100      43     20000 Shares           X                    2        0       0    20000
ROPER INDUSTRIES INC   COMMON STOCK    776696106       7       111 Shares           X                    1      111       0        0
ROSS STORES INC COM    COMMON STOCK    778296103     486      8898 Shares           X                    1     8448       0      450
ROSS STORES INC COM    COMMON STOCK    778296103     174      3185 Shares                    X           1     2735       0      450
ROSS STORES INC COM    COMMON STOCK    778296103    2403     44000 Shares           X                    3    44000       0        0
ROYAL BK CANADA        COMMON STOCK    780087102      10       200 Shares           X                    1      200       0        0
ROYAL BK CANADA        COMMON STOCK    780087102      52      1000 Shares                    X           1     1000       0        0
ROYAL BK CANADA        COMMON STOCK    780087102      42       800 Shares           X                    2        0       0      800
ROYAL BANK SCOTLAND
 -SPON ADR             COMMON STOCK    780097689       4       281 Shares           X                    1      281       0        0
ROYAL DUTCH SHELL
 PLC-ADR B             COMMON STOCK    780259107      74      1257 Shares           X                    1     1257       0        0
ROYAL DUTCH SHELL
 PLC-ADR B             COMMON STOCK    780259107      47       800 Shares           X                    2        0       0      800
ROYAL DUTCH SHELL
 PLC-ADR A             COMMON STOCK    780259206    2562     42495 Shares           X                    1    42495       0        0
ROYAL DUTCH SHELL
 PLC-ADR A             COMMON STOCK    780259206    2661     44124 Shares                    X           1    39674       0     4450
ROYAL DUTCH SHELL
 PLC-ADR A             COMMON STOCK    780259206     278      4614 Shares           X                    2        0       0     4614
ROYAL GOLD
 INCORPORATED          COMMON STOCK    780287108      10       200 Shares                    X           1      200       0        0
RYLAND GROUP INC       COMMON STOCK    783764103      27      1500 Shares           X                    2        0       0     1500
S & T BANCORP INC      COMMON STOCK    783859101       7       400 Shares                    X           1      400       0        0
SCOLR PHARMA INC       COMMON STOCK    78402X107      11     20000 Shares           X                    2        0       0    20000
SEI CORP COM           COMMON STOCK    784117103       6       275 Shares           X                    1      275       0        0
SK TELECOM CO LTD -
 ADR                   COMMON STOCK    78440P108      18      1020 Shares           X                    1     1020       0        0
SLM CORP COM           COMMON STOCK    78442P106      15      1312 Shares           X                    1     1312       0        0
SLM CORP COM           COMMON STOCK    78442P106    1758    152269 Shares           X                    2        0   59769    92500
SPDR S&P 500 ETF TRUST PREFERRED STOCK 78462F103    8098     70958 Shares           X                    1        0       0        0
SPDR S&P 500 ETF TRUST PREFERRED STOCK 78462F103    7841     68706 Shares                    X           1        0       0        0
SPDR S&P 500 ETF TRUST PREFERRED STOCK 78462F103     275      2412 Shares           X                    2        0       0        0
SPDR S&P 500 ETF TRUST PREFERRED STOCK 78462F103    1417     12420 Shares           X                    3        0       0        0
SPDR S&P 500 ETF TRUST PREFERRED STOCK 78462F103     942      8250 Shares                    X           4        0       0        0
SPX CORP COM           COMMON STOCK    784635104     190      3000 Shares           X                    1     3000       0        0
SPX CORP COM           COMMON STOCK    784635104      55       873 Shares                    X           1      873       0        0
SPDR GOLD TRUST        PREFERRED STOCK 78463V107    2721     21275 Shares           X                    1        0       0        0
SPDR GOLD TRUST        PREFERRED STOCK 78463V107      89       696 Shares                    X           1        0       0        0
SPDR GOLD TRUST        PREFERRED STOCK 78463V107     264      2064 Shares           X                    2        0       0        0
SPDR S&P EMERGING
 ASIA PACIFIC          PREFERRED STOCK 78463X301     539      6500 Shares                    X           1        0       0        0
SPDR S&P EMERGING
 MARKETS ETF           PREFERRED STOCK 78463X509     648      9273 Shares           X                    2        0       0        0
SPDR DJ WILSHIRE
 SMALL CAP VAL         PREFERRED STOCK 78464A300      23       380 Shares                    X           1        0       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
SPDR BARCLAYS CAP HI
 YLD BD ET             PREFERRED STOCK 78464A417       8       200 Shares           X                    1        0       0        0
SPDR BARCLAYS CAP HI
 YLD BD ET             PREFERRED STOCK 78464A417     100      2500 Shares           X                    2        0       0        0
SPDR DJ REIT ETF       PREFERRED STOCK 78464A607     134      2335 Shares           X                    1        0       0        0
SPDR BARCLAYS CAPITAL
 TIPS ETF              PREFERRED STOCK 78464A656      81      1500 Shares           X                    1        0       0        0
KBW REGIONAL BANKING
 ETF                   PREFERRED STOCK 78464A698     519     22650 Shares           X                    1        0       0        0
KBW REGIONAL BANKING
 ETF                   PREFERRED STOCK 78464A698       5       200 Shares                    X           1        0       0        0
SPDR S&P OIL & GAS
 EXPLORATION           PREFERRED STOCK 78464A730      30       720 Shares                    X           1        0       0        0
SPDR S&P DIVIDEND ETF  PREFERRED STOCK 78464A763   16638    331574 Shares           X                    1        0       0        0
SPDR S&P DIVIDEND ETF  PREFERRED STOCK 78464A763    2604     51887 Shares                    X           1        0       0        0
SPDR S&P DIVIDEND ETF  PREFERRED STOCK 78464A763    5057    100779 Shares           X                    3    43962       0        0
SPDR KBW BANK ETF      PREFERRED STOCK 78464A797       9       386 Shares           X                    1        0       0        0
SPDR DJ MID CAP VALUE
 - E                   PREFERRED STOCK 78464A839      23       460 Shares                    X           1        0       0        0
SPDR S&P BIOTECH ETF   PREFERRED STOCK 78464A870     297      5000 Shares                    X           1        0       0        0
SPDR S&P HOMEBUILDERS
 ETF                   PREFERRED STOCK 78464A888     112      7100 Shares           X                    2        0       0        0
SPDR DJ INDUSTRIAL AVG
 ETF FD                PREFERRED STOCK 78467X109      57       525 Shares           X                    1        0       0        0
SPDR DJ INDUSTRIAL AVG
 ETF FD                PREFERRED STOCK 78467X109     326      3019 Shares           X                    2        0       0        0
SPDR S&P MIDCAP        PREFERRED STOCK 78467Y107     653      4487 Shares           X                    1        0       0        0
SPDR S&P MIDCAP        PREFERRED STOCK 78467Y107    2391     16420 Shares                    X           1        0       0        0
SPDR S&P MIDCAP        PREFERRED STOCK 78467Y107     274      1885 Shares           X                    2        0       0        0
STEC INC               COMMON STOCK    784774101     272     21879 Shares           X                    1    21879       0        0
STEC INC               COMMON STOCK    784774101       1       108 Shares           X                    4      108       0        0
SWS GROUP INC          COMMON STOCK    78503N107       1       134 Shares           X                    1      134       0        0
SXC HEALTH SOLUTIONS
 CORP                  COMMON STOCK    78505P100      39      1075 Shares           X                    1     1075       0        0
SXC HEALTH SOLUTIONS
 CORP                  COMMON STOCK    78505P100    1054     28900 Shares           X                    3    28900       0        0
SAFETY INSURANCE GRP   COMMON STOCK    78648T100       5       108 Shares           X                    1      108       0        0
SAFEWAY INC COM        COMMON STOCK    786514208      39      1860 Shares           X                    1     1860       0        0
SAFEWAY INC COM        COMMON STOCK    786514208      32      1500 Shares                    X           1        0       0     1500
ST JOE CORP            COMMON STOCK    790148100       2        75 Shares           X                    1       75       0        0
ST JOE CORP            COMMON STOCK    790148100       5       200 Shares                    X           1      200       0        0
ST JOE CORP            COMMON STOCK    790148100    2290     92070 Shares           X                    2        0   24335    67735
ST JUDE MEDICAL INC
 COM                   COMMON STOCK    790849103      95      2411 Shares           X                    1     2411       0        0
ST JUDE MEDICAL INC
 COM                   COMMON STOCK    790849103      39      1000 Shares                    X           1     1000       0        0
ST JUDE MEDICAL INC
 COM                   COMMON STOCK    790849103     153      3900 Shares           X                    3     1885       0     2015
SALESFORCE.COM INC     COMMON STOCK    79466L302     291      2606 Shares           X                    1     2606       0        0
SALESFORCE.COM INC     COMMON STOCK    79466L302      14       122 Shares                    X           1      122       0        0
SALESFORCE.COM INC     COMMON STOCK    79466L302    1688     15100 Shares           X                    3    15100       0        0
SALISBURY BANCOPR INC  COMMON          795226109     131      5700 Shares      X                               5700       0        0
SALIX PHARMACEUTICALS
 LTD                   COMMON STOCK    795435106     113      2850 Shares           X                    1     2850       0        0
SALIX PHARMACEUTICALS
 LTD                   COMMON STOCK    795435106    3047     76700 Shares           X                    3    76700       0        0
SALLY BEAUTY COMPANY
 INC                   COMMON STOCK    79546E104       1       100 Shares           X                    1      100       0        0
SAN JUAN BASIN
 ROYALTY TR            COMMON STOCK    798241105      25      1000 Shares           X                    1     1000       0        0
SANDISK CORP COM       COMMON STOCK    80004C101      46      1268 Shares           X                    1     1268       0        0
SANDY SPRING BANCORP
 INC                   COMMON STOCK    800363103       5       300 Shares           X                    1      300       0        0
SANDY SPRING BANCORP
 INC                   COMMON STOCK    800363103     775     50029 Shares                    X           1    50029       0        0
SANDY SPRING BANCORP
 INC                   COMMON STOCK    800363103       1        36 Shares           X                    2        0       0       36
SANOFI-AVENTIS ADR     COMMON STOCK    80105N105      58      1750 Shares           X                    1     1750       0        0
SANOFI-AVENTIS ADR     COMMON STOCK    80105N105      18       536 Shares                    X           1      536       0        0
SAP AG SPONS ADR       COMMON STOCK    803054204      25       500 Shares           X                    1      500       0        0
SAP AG SPONS ADR       COMMON STOCK    803054204       1        22 Shares                    X           1       22       0        0
SARA LEE CORP          COMMON STOCK    803111103      79      5861 Shares           X                    1     5861       0        0
SARA LEE CORP          COMMON STOCK    803111103     130      9649 Shares                    X           1     6449       0     3200
SAVIENT
 PHARMACEUTICALS INC   COMMON STOCK    80517Q100      31      1350 Shares           X                    1     1350       0        0
SAVIENT
 PHARMACEUTICALS INC   COMMON STOCK    80517Q100     823     36000 Shares           X                    3    36000       0        0
SAVVIS INC             COMMON STOCK    805423308      70      3305 Shares           X                    1     3305       0        0
SAVVIS INC             COMMON STOCK    805423308    1847     87600 Shares           X                    3    87600       0        0
SCANA CORP NEW COM     COMMON STOCK    80589M102     123      3042 Shares           X                    1     3042       0        0
SCANA CORP NEW COM     COMMON STOCK    80589M102     130      3225 Shares                    X           1     3225       0        0
HENRY SCHEIN INC COM   COMMON STOCK    806407102      81      1385 Shares           X                    1     1385       0        0
SCHLUMBERGER LTD       COMMON STOCK    806857108   15621    253551 Shares           X                    1   252108       0     1443
SCHLUMBERGER LTD       COMMON STOCK    806857108    5034     81706 Shares                    X           1    75549       0     6157
SCHLUMBERGER LTD       COMMON STOCK    806857108    2977     48322 Shares           X                    2        0       0    48322
SCHLUMBERGER LTD       COMMON STOCK    806857108    2247     36481 Shares           X                    3    32423       0     4058



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
SCHLUMBERGER LTD       COMMON STOCK    806857108       1        21 Shares           X                    4       21       0        0
SCHLUMBERGER LTD       COMMON STOCK    806857108     108      1750 Shares                    X           4     1750       0        0
SCHWAB CHARLES CORP
 NEW COM               COMMON STOCK    808513105     837     60234 Shares           X                    1    60234       0        0
SCHWAB CHARLES CORP
 NEW COM               COMMON STOCK    808513105     109      7872 Shares                    X           1     7872       0        0
SCHWAB CHARLES CORP
 NEW COM               COMMON STOCK    808513105       2       150 Shares           X                    2        0       0      150
THE SCOTTS MIRACLE-
 GRO COMPANY           COMMON STOCK    810186106     569     11000 Shares           X                    1    11000       0        0
THE SCOTTS MIRACLE-
 GRO COMPANY           COMMON STOCK    810186106     103      2000 Shares           X                    2        0       0     2000
SEALED AIR CORP NEW
 COM                   COMMON STOCK    81211K100      11       498 Shares           X                    1      498       0        0
SEARS HOLDINGS CORP    COMMON STOCK    812350106      61       850 Shares           X                    1      850       0        0
SEARS HOLDINGS CORP    COMMON STOCK    812350106      34       472 Shares                    X           1      472       0        0
HEALTH CARE SELECT
 SECTOR SPDR           COMMON STOCK    81369Y209     133      4350 Shares           X                    2        0       0     4350
ENERGY SELECT SECTOR
 SPDR FD               PREFERRED STOCK 81369Y506      53       950 Shares           X                    1        0       0        0
ENERGY SELECT SECTOR
 SPDR FD               PREFERRED STOCK 81369Y506     191      3400 Shares           X                    2        0       0        0
FINANCIAL SELECT
 SECTOR SPDR F         PREFERRED STOCK 81369Y605    1241     86489 Shares           X                    1        0       0        0
FINANCIAL SELECT
 SECTOR SPDR F         PREFERRED STOCK 81369Y605     650     45279 Shares                    X           1        0       0        0
FINANCIAL SELECT
 SECTOR SPDR F         PREFERRED STOCK 81369Y605       4       300 Shares           X                    4        0       0        0
SELECT SECTOR
 SPDRTECHNOLOGY        COMMON STOCK    81369Y803      41      1800 Shares           X                    1     1800       0        0
SELECT SECTOR SPDR
 UTILITIES             COMMON STOCK    81369Y886      12       370 Shares           X                    1      370       0        0
SELECT SECTOR SPDR
 UTILITIES             COMMON STOCK    81369Y886      32      1030 Shares                    X           1     1030       0        0
SELECTIVE INS GROUP
 INC                   COMMON STOCK    816300107      60      3712 Shares           X                    1     3712       0        0
SEMICONDUCTOR HOLDRS
 TRUST                 PREFERRED STOCK 816636203      50      1800 Shares           X                    1        0       0        0
SEMPRA ENERGY COM      COMMON STOCK    816851109      11       200 Shares           X                    1      200       0        0
SEMPRA ENERGY COM      COMMON STOCK    816851109      29       532 Shares                    X           1      532       0        0
SENIOR HOUSING
 PROPERTIES TR (       COMMON STOCK    81721M109       2        70 Shares           X                    1        0       0        0
SENIOR HOUSING
 PROPERTIES TR (       COMMON STOCK    81721M109       2       100 Shares                    X           1        0       0        0
SERVICE CORPORATION
 INTL                  COMMON STOCK    817565104    1537    178309 Shares           X                    1   178309       0        0
SERVICE CORPORATION
 INTL                  COMMON STOCK    817565104     166     19294 Shares                    X           1    19294       0        0
SERVICE CORPORATION
 INTL                  COMMON STOCK    817565104      41      4800 Shares           X                    2        0       0     4800
SEVERN BANCORP INC     COMMON STOCK    81811M100       3       726 Shares                    X           1      726       0        0
SEVERN BANCORP INC     COMMON STOCK    81811M100      36     10000 Shares           X                    2        0       0    10000
SHERWIN WILLIAMS CO
 COM                   COMMON STOCK    824348106      15       200 Shares           X                    1      200       0        0
SHERWIN WILLIAMS CO
 COM                   COMMON STOCK    824348106     376      5000 Shares                    X           1        0       0     5000
SIEMENS A G SPONSORED
 ADR                   COMMON STOCK    826197501      42       403 Shares           X                    1      403       0        0
SIGMA ALDRICH CORP     COMMON STOCK    826552101      16       270 Shares           X                    1      270       0        0
SILICON GRAPHICS INTL
 CORP                  COMMON STOCK    82706L108      47      5995 Shares           X                    1     5995       0        0
SILICON GRAPHICS INTL
 CORP                  COMMON STOCK    82706L108    1242    160000 Shares           X                    3   160000       0        0
SILVER STANDARD
 RESOURCES INC         COMMON STOCK    82823L106       2       125 Shares           X                    1      125       0        0
SILVER WHEATON
 CORPORATION           COMMON STOCK    828336107      11       405 Shares                    X           1      405       0        0
SILVERCORP METALS INC  COMMON STOCK    82835P103       5       600 Shares           X                    1      600       0        0
SIMON PROPERTY GRP INC
 (REIT)                COMMON STOCK    828806109     887      9566 Shares           X                    1        0       0        0
SIMON PROPERTY GRP INC
 (REIT)                COMMON STOCK    828806109     628      6775 Shares                    X           1        0       0        0
SIMON PROPERTY GRP INC
 (REIT)                COMMON STOCK    828806109    1605     17305 Shares           X                    2        0    3231        0
SIRONA DENTAL SYSTEMS
 INC                   COMMON STOCK    82966C103      70      1950 Shares           X                    1     1950       0        0
SIRONA DENTAL SYSTEMS
 INC                   COMMON STOCK    82966C103    1856     51500 Shares           X                    3    51500       0        0
SIRIUS XM RADIO INC    COMMON STOCK    82967N108      16     13588 Shares           X                    1     3588       0    10000
SIRIUS XM RADIO INC    COMMON STOCK    82967N108      18     14644 Shares           X                    2        0    9644     5000
SMITH & NEPHEW PLC -
 SPONS ADR             COMMON STOCK    83175M205       1        26 Shares           X                    1       26       0        0
SMITH & NEPHEW PLC -
 SPONS ADR             COMMON STOCK    83175M205       1        14 Shares                    X           1       14       0        0
SMITHFIELD FOODS INC   COMMON STOCK    832248108      15       900 Shares           X                    2        0       0      900
JM SMUCKER CO          COMMON STOCK    832696405     157      2601 Shares           X                    1     2601       0        0
JM SMUCKER CO          COMMON STOCK    832696405     208      3432 Shares                    X           1     2834       0      598
SNAP ON INC            COMMON STOCK    833034101       9       195 Shares           X                    1      195       0        0
SOCIEDAD QUIMICA Y
 MINERS DE C           COMMON STOCK    833635105       2        46 Shares           X                    1       46       0        0
SOLARWINDS INC         COMMON STOCK    83416B109     175     10125 Shares           X                    1    10125       0        0
SOLARWINDS INC         COMMON STOCK    83416B109    1446     83800 Shares           X                    3    83800       0        0
SOLUTIA INC            COMMON STOCK    834376501     267     16641 Shares           X                    1    16641       0        0
SOLUTIA INC            COMMON STOCK    834376501       0         8 Shares                    X           1        8       0        0
SOLUTIA INC            COMMON STOCK    834376501    3396    212000 Shares           X                    3   212000       0        0
SONOCO PRODUCTS CO COM COMMON STOCK    835495102      18       525 Shares           X                    1      525       0        0
SONOSITE INC COM       COMMON STOCK    83568G104      53      1575 Shares           X                    1     1575       0        0
SONOSITE INC COM       COMMON STOCK    83568G104    1407     42000 Shares           X                    3    42000       0        0
SOTHEBY'S              COMMON STOCK    835898107      69      1875 Shares           X                    1     1875       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
SOTHEBY'S              COMMON STOCK    835898107    1841     50000 Shares           X                    3    50000       0        0
SOURCEFIRE INC         COMMON STOCK    83616T108     314     10887 Shares           X                    1    10887       0        0
SOURCEFIRE INC         COMMON STOCK    83616T108    3952    137025 Shares           X                    3   137025       0        0
SOUTHERN CO COM        COMMON STOCK    842587107     897     24087 Shares           X                    1    23037       0     1050
SOUTHERN CO COM        COMMON STOCK    842587107    1150     30886 Shares                    X           1    30486       0      400
SOUTHERN CO COM        COMMON STOCK    842587107      50      1353 Shares           X                    2        0       0     1353
SOUTHERN COPPER CORP   COMMON STOCK    84265V105      21       600 Shares           X                    1        0       0      600
SOUTHERN UNION CO
 NEW COM               COMMON STOCK    844030106       5       200 Shares           X                    1      200       0        0
SOUTHWEST AIRLINES
 CO COM                COMMON STOCK    844741108      15      1150 Shares           X                    1     1150       0        0
SOUTHWEST AIRLINES
 CO COM                COMMON STOCK    844741108       7       500 Shares                    X           1      500       0        0
SOUTHWEST GAS CORP
 COM                   COMMON STOCK    844895102      34      1000 Shares                    X           1     1000       0        0
SOUTHWESTERN ENERGY
 COMPANY               COMMON STOCK    845467109    1296     38746 Shares           X                    1    38746       0        0
SOUTHWESTERN ENERGY
 COMPANY               COMMON STOCK    845467109      36      1085 Shares                    X           1     1085       0        0
SOUTHWESTERN ENERGY
 COMPANY               COMMON STOCK    845467109    3061     91511 Shares           X                    3    91511       0        0
SOUTHWESTERN ENERGY
 COMPANY               COMMON STOCK    845467109       2        74 Shares           X                    4       74       0        0
SPARTECH CORP COM      COMMON STOCK    847220209       3       325 Shares           X                    1      325       0        0
SPECTRA ENERGY CORP    COMMON STOCK    847560109     257     11379 Shares           X                    1    11379       0        0
SPECTRA ENERGY CORP    COMMON STOCK    847560109     233     10319 Shares                    X           1    10069       0      250
SPECTRA ENERGY CORP    COMMON STOCK    847560109      17       750 Shares           X                    2        0       0      750
SPECTRA ENERGY
 PARTNERS LP           COMMON STOCK    84756N109       2        50 Shares                    X           1       50       0        0
SPRINT NEXTEL CORP     COMMON STOCK    852061100       5      1055 Shares                    X           1     1055       0        0
SPRINT NEXTEL CORP     COMMON STOCK    852061100      55     11925 Shares           X                    2        0       0    11925
SPROTT RESOURCE
 LENDING CORP          COMMON STOCK    85207J100       1       500 Shares                    X           1      500       0        0
STANLEY BLACK &
 DECKER INC            COMMON STOCK    854502101     266      4341 Shares           X                    1     4341       0        0
STANLEY BLACK &
 DECKER INC            COMMON STOCK    854502101     704     11493 Shares                    X           1    11493       0        0
STAPLES INC COM        COMMON STOCK    855030102    1444     69018 Shares           X                    1    68018       0     1000
STAPLES INC COM        COMMON STOCK    855030102     641     30648 Shares                    X           1    30548       0      100
STAPLES INC COM        COMMON STOCK    855030102     105      5000 Shares           X                    2        0       0     5000
STAR SCIENTIFIC INC    COMMON STOCK    85517P101     121     57500 Shares           X                    2        0       0    57500
STARBUCKS CORP COM     COMMON STOCK    855244109     337     13190 Shares           X                    1    13190       0        0
STARBUCKS CORP COM     COMMON STOCK    855244109    1175     45976 Shares           X                    2        0   31697    14279
STARWOOD HOTELS &
 RESORTS WORL          COMMON STOCK    85590A401    2957     56276 Shares           X                    1    56276       0        0
STARWOOD HOTELS &
 RESORTS WORL          COMMON STOCK    85590A401     205      3906 Shares                    X           1     3906       0        0
STARWOOD HOTELS &
 RESORTS WORL          COMMON STOCK    85590A401      14       264 Shares           X                    2        0       0      264
STARWOOD HOTELS &
 RESORTS WORL          COMMON STOCK    85590A401    2831     53881 Shares           X                    3    53881       0        0
STARWOOD HOTELS &
 RESORTS WORL          COMMON STOCK    85590A401       5        88 Shares           X                    4       88       0        0
STATE STREET CORP      COMMON STOCK    857477103      51      1365 Shares           X                    1     1365       0        0
STATE STREET CORP      COMMON STOCK    857477103    2535     67300 Shares                    X           1    67300       0        0
STATE STREET CORP      COMMON STOCK    857477103      51      1356 Shares           X                    2        0       0     1356
STATOIL ASA SPONSORED
 ADR                   COMMON STOCK    85771P102       1        38 Shares                    X           1       38       0        0
STEEL DYNAMICS INC     COMMON STOCK    858119100       4       300 Shares           X                    1      300       0        0
STELLARONE CORP        COMMON STOCK    85856G100      22      1731 Shares           X                    1     1731       0        0
STEMCELLS INCORPORATED COMMON STOCK    85857R105       1      1000 Shares           X                    2        0       0     1000
STERICYCLE INC COM     COMMON STOCK    858912108      34       489 Shares           X                    2        0       0      489
STERLITE INDUSTRIES
 (INDIA) LT            COMMON STOCK    859737207      13       840 Shares           X                    1      840       0        0
STIFEL FINANCIAL
 CORPORATION           COMMON STOCK    860630102      12       264 Shares           X                    2        0       0      264
STILLWATER MINING
 COMPANY               COMMON STOCK    86074Q102      32      1875 Shares           X                    1     1875       0        0
STILLWATER MINING
 COMPANY               COMMON STOCK    86074Q102     842     50000 Shares           X                    3    50000       0        0
STRATASYS INCORPORATED COMMON STOCK    862685104     226      8143 Shares           X                    1     8143       0        0
STRATASYS INCORPORATED COMMON STOCK    862685104    1807     65200 Shares           X                    3    65200       0        0
STRYKER CORP COM       COMMON STOCK    863667101     390      7786 Shares           X                    1     7786       0        0
STRYKER CORP COM       COMMON STOCK    863667101     275      5500 Shares                    X           1     4800       0      700
STRYKER CORP COM       COMMON STOCK    863667101    1768     35331 Shares           X                    2        0       0    35331
STURM RUGER & CO INC
 COM                   COMMON STOCK    864159108       3       250 Shares           X                    1      250       0        0
STURM RUGER & CO INC
 COM                   COMMON STOCK    864159108      14      1000 Shares                    X           1     1000       0        0
SUBURBAN PROPANE
 PARTNERS LP L         COMMON STOCK    864482104      46       850 Shares           X                    1      850       0        0
SUBURBAN PROPANE
 PARTNERS LP L         COMMON STOCK    864482104     120      2200 Shares                    X           1     2200       0        0
SUCCESSFACTORS INC     COMMON STOCK    864596101      76      3025 Shares           X                    1     3025       0        0
SUCCESSFACTORS INC     COMMON STOCK    864596101    2021     80500 Shares           X                    3    80500       0        0
SUN LIFE FINL INC      COMMON STOCK    866796105      67      2592 Shares           X                    1     2592       0        0
SUN HYDRAULICS
 CORPORATION           COMMON STOCK    866942105      47      1675 Shares           X                    1     1675       0        0
SUN HYDRAULICS
 CORPORATION           COMMON STOCK    866942105    1269     45000 Shares           X                    3    45000       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
SUNCOR ENERGY INC      COMMON STOCK    867224107      25       757 Shares           X                    1      757       0        0
SUNCOR ENERGY INC      COMMON STOCK    867224107      14       426 Shares                    X           1      426       0        0
SUNESIS
 PHARMACEUTICALS INC   COMMON STOCK    867328502       0      1000 Shares           X                    1     1000       0        0
SUNOCO LOGISTICS
 PARTNERS LP           COMMON STOCK    86764L108      47       600 Shares           X                    1      600       0        0
SUNOCO LOGISTICS
 PARTNERS LP           COMMON STOCK    86764L108      16       200 Shares                    X           1      200       0        0
SUNOCO LOGISTICS
 PARTNERS LP           COMMON STOCK    86764L108    2096     26650 Shares           X                    2        0    4850    21800
SUNOCO INC COM         COMMON STOCK    86764P109      11       300 Shares           X                    1      300       0        0
SUNPOWER CORP CL A     COMMON STOCK    867652109       3       231 Shares           X                    1      231       0        0
SUNRISE SENIOR LIVING
 INC                   COMMON STOCK    86768K106       1       200 Shares           X                    1      200       0        0
SUNRISE SENIOR LIVING
 INC                   COMMON STOCK    86768K106     550    160275 Shares           X                    2        0   54225   106050
SUNTRUST BANKS INC     COMMON STOCK    867914103     193      7460 Shares           X                    1     7460       0        0
SUNTRUST BANKS INC     COMMON STOCK    867914103     468     18109 Shares                    X           1    16409       0     1700
SUNTRUST BANKS INC     COMMON STOCK    867914103     230      8902 Shares           X                    2        0       0     8902
SUPERCONDUCTOR
 TECHNOLOGIES IN       COMMON STOCK    867931305       0        12 Shares           X                    1       12       0        0
SUPERVALU INC          COMMON STOCK    868536103      31      2700 Shares           X                    1     2700       0        0
SUSQUEHANNA BANCSHARES
 INC PA                COMMON STOCK    869099101     759     89936 Shares           X                    1    87790       0     2146
SUSQUEHANNA BANCSHARES
 INC PA                COMMON STOCK    869099101     129     15250 Shares                    X           1    14250    1000        0
SUSQUEHANNA BANCSHARES
 INC PA                COMMON STOCK    869099101     187     22111 Shares      X                              22111       0        0
SYMANTEC CORP COM      COMMON STOCK    871503108     111      7352 Shares           X                    1     7352       0        0
SYMANTEC CORP COM      COMMON STOCK    871503108      48      3200 Shares                    X           1     3200       0        0
SYMETRA FINANCIAL CORP COMMON STOCK    87151Q106      10       950 Shares           X                    1      950       0        0
SYMMETRICOM
 INCORPORATED          COMMON STOCK    871543104       3       525 Shares           X                    1      525       0        0
SYNIVERSE HOLDINGS INC COMMON STOCK    87163F106      70      3075 Shares           X                    1     3075       0        0
SYNIVERSE HOLDINGS INC COMMON STOCK    87163F106    1859     82000 Shares           X                    3    82000       0        0
SYSCO CORP             COMMON STOCK    871829107    1984     69581 Shares           X                    1    69481       0      100
SYSCO CORP             COMMON STOCK    871829107    5249    184050 Shares                    X           1   181950       0     2100
SYSCO CORP             COMMON STOCK    871829107     508     17800 Shares           X                    2        0    9100     8700
TECO ENERGY INC        COMMON STOCK    872375100      31      1800 Shares           X                    1     1800       0        0
TECO ENERGY INC        COMMON STOCK    872375100      66      3814 Shares                    X           1     3814       0        0
TF FINANCIAL CORP      COMMON STOCK    872391107     101      5000 Shares           X                    1     5000       0        0
TJX COMPANIES COM      COMMON STOCK    872540109     395      8857 Shares           X                    1     8857       0        0
TJX COMPANIES COM      COMMON STOCK    872540109     114      2561 Shares                    X           1     2561       0        0
TJX COMPANIES COM      COMMON STOCK    872540109    2142     48000 Shares           X                    3    48000       0        0
TS&W/CLAYMORE TAX ADV
 BAL                   PREFERRED STOCK 87280R108     160     14550 Shares           X                    1        0       0        0
TAIWAN SEMICONDUCTOR
 SPON ADR              COMMON STOCK    874039100       3       300 Shares           X                    1      300       0        0
TAIWAN SEMICONDUCTOR
 SPON ADR              COMMON STOCK    874039100      11      1114 Shares                    X           1      100       0     1014
TALEO CORP CL A        COMMON STOCK    87424N104      68      2350 Shares           X                    1     2350       0        0
TALEO CORP CL A        COMMON STOCK    87424N104    1826     63000 Shares           X                    3    63000       0        0
TALISMAN ENERGY INC    COMMON STOCK    87425E103     197     11255 Shares           X                    1     1755       0     9500
TALISMAN ENERGY INC    COMMON STOCK    87425E103       5       278 Shares                    X           1       68       0      210
TANGER FACTORY OUTLET
 CENTERS               COMMON STOCK    875465106      15       325 Shares           X                    1        0       0        0
TANGER FACTORY OUTLET
 CENTERS               COMMON STOCK    875465106     405      8600 Shares           X                    3     8600       0        0
TARGET CORP COM        COMMON STOCK    87612E106    7597    142168 Shares           X                    1   141818       0      350
TARGET CORP COM        COMMON STOCK    87612E106     962     18004 Shares                    X           1    16959       0     1045
TARGET CORP COM        COMMON STOCK    87612E106     526      9848 Shares           X                    2        0       0     9848
TARGET CORP COM        COMMON STOCK    87612E106     240      4489 Shares           X                    3     2869       0     1620
TECH DATA CORP COM     COMMON STOCK    878237106      20       500 Shares                    X           1      500       0        0
TECK RESOURCES LTD-
 CL B                  COMMON STOCK    878742204      59      1430 Shares           X                    1     1430       0        0
TECK RESOURCES LTD-
 CL B                  COMMON STOCK    878742204      48      1158 Shares                    X           1     1158       0        0
TELE NORTE LESTE PART
 ADR                   COMMON STOCK    879246106      12       865 Shares           X                    1      865       0        0
TELECOM NEW ZEALAND
 SPON ADR              COMMON STOCK    879278208       7       979 Shares           X                    1      979       0        0
TELECOM ITALIA SPA     COMMON STOCK    87927Y102      21      1519 Shares           X                    1     1519       0        0
TELECOMICACOES
 BRASILEIRAS-SP        COMMON STOCK    879287308       0        65 Shares           X                    1       65       0        0
TELEDYNE TECHNOLOGIES
 INC COM               COMMON STOCK    879360105      11       275 Shares           X                    1      275       0        0
TELEFONICA S A
 SPONSORED ADR         COMMON STOCK    879382208     133      1795 Shares           X                    1     1795       0        0
TELEFONICA S A
 SPONSORED ADR         COMMON STOCK    879382208       2        24 Shares                    X           1       24       0        0
TELEFONOS DE MEXICO
 SP ADR L              COMMON STOCK    879403780      14       970 Shares           X                    1      970       0        0
TELEFONOS DE MEXICO
 SP ADR L              COMMON STOCK    879403780      30      2000 Shares                    X           1        0       0     2000
TELULAR CORP           COMMON STOCK    87970T208       2       500 Shares           X                    2        0       0      500
TEMPLE INLAND INC      COMMON STOCK    879868107       2       128 Shares           X                    1      128       0        0
TEMPLE INLAND INC      COMMON STOCK    879868107       2       100 Shares                    X           1      100       0        0
TEMPLE INLAND INC      COMMON STOCK    879868107       3       151 Shares           X                    2        0       0      151



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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TEMPLETON DRAGON FUND
 INC                   PREFERRED STOCK 88018T101       3       100 Shares           X                    1        0       0        0
TEMPLETON GLOBAL
 INCOME FUND-D         PREFERRED STOCK 880198106     404     37500 Shares           X                    1        0       0        0
TERADATA CORP          COMMON STOCK    88076W103       4       112 Shares           X                    1      112       0        0
TERADATA CORP          COMMON STOCK    88076W103       1        16 Shares                    X           1        0       0       16
TEREX CORP             COMMON STOCK    880779103      13       583 Shares           X                    1      583       0        0
TEVA PHARMACEUTICAL
 SPONS ADR             COMMON STOCK    881624209    2027     38425 Shares           X                    1    37825       0      600
TEVA PHARMACEUTICAL
 SPONS ADR             COMMON STOCK    881624209    1235     23419 Shares                    X           1    20929       0     2490
TEVA PHARMACEUTICAL
 SPONS ADR             COMMON STOCK    881624209    4582     86861 Shares           X                    2        0       0    86861
TEXAS CAPITAL
 BANCSHARES INC        COMMON STOCK    88224Q107     219     12662 Shares           X                    1    12662       0        0
TEXAS CAPITAL
 BANCSHARES INC        COMMON STOCK    88224Q107    1908    110500 Shares           X                    3   110500       0        0
TEX INDS INC COM       COMMON STOCK    882491103      19       604 Shares           X                    1      604       0        0
TEXAS INSTRUMENTS INC  COMMON STOCK    882508104    2247     82800 Shares           X                    1    81550       0     1250
TEXAS INSTRUMENTS INC  COMMON STOCK    882508104    1529     56325 Shares                    X           1    48375       0     7950
TEXAS INSTRUMENTS INC  COMMON STOCK    882508104    1698     62578 Shares           X                    2        0   60478     2100
TEXAS INSTRUMENTS INC  COMMON STOCK    882508104      50      1845 Shares           X                    3     1845       0        0
TEXTRON INC COM        COMMON STOCK    883203101     151      7362 Shares           X                    1     7362       0        0
THERMO FISHER
 SCIENTIFIC INC        COMMON STOCK    883556102      75      1566 Shares           X                    1     1566       0        0
THERMO FISHER
 SCIENTIFIC INC        COMMON STOCK    883556102      48      1000 Shares                    X           1      400       0      600
THERMO FISHER
 SCIENTIFIC INC        COMMON STOCK    883556102    2610     54512 Shares           X                    2        0   18500    36012
THOMSON REUTERS PLC    COMMON STOCK    884903105      59      1560 Shares           X                    1     1560       0        0
THORATEC CORP          COMMON STOCK    885175307      55      1475 Shares           X                    1     1475       0        0
THORATEC CORP          COMMON STOCK    885175307    1442     39000 Shares           X                    3    39000       0        0
3M CO                  COMMON STOCK    88579Y101   12814    147781 Shares           X                    1   146881       0      900
3M CO                  COMMON STOCK    88579Y101    9275    106966 Shares                    X           1    96113       0    10853
3M CO                  COMMON STOCK    88579Y101    4783     55158 Shares           X                    2        0   11880    43278
3M CO                  COMMON STOCK    88579Y101     505      5827 Shares           X                    3     4334       0     1493
3M CO                  COMMON STOCK    88579Y101      35       400 Shares                    X           4      400       0        0
TIBCO SOFTWARE INC COM COMMON STOCK    88632Q103      45      2525 Shares           X                    1     2525       0        0
TIBCO SOFTWARE INC COM COMMON STOCK    88632Q103    1197     67500 Shares           X                    3    67500       0        0
TIDEWATER INC          COMMON STOCK    886423102      45      1000 Shares           X                    1     1000       0        0
TIFFANY & CO           COMMON STOCK    886547108     238      5055 Shares           X                    1     5055       0        0
TIFFANY & CO           COMMON STOCK    886547108      47      1000 Shares                    X           1     1000       0        0
TIFFANY & CO           COMMON STOCK    886547108    1494     31800 Shares           X                    3    31800       0        0
TIM HORTONS INC        COMMON STOCK    88706M103     158      4333 Shares           X                    1     4333       0        0
TIME WARNER INC        COMMON STOCK    887317303     255      8311 Shares           X                    1     8311       0        0
TIME WARNER INC        COMMON STOCK    887317303      80      2607 Shares                    X           1     2507       0      100
TIME WARNER INC        COMMON STOCK    887317303      91      2970 Shares           X                    2        0       0     2970
TIME WARNER INC        COMMON STOCK    887317303       8       251 Shares           X                    3      251       0        0
TIME WARNER CABLE INC  COMMON STOCK    88732J207      41       760 Shares           X                    1      760       0        0
TIME WARNER CABLE INC  COMMON STOCK    88732J207      20       365 Shares                    X           1      365       0        0
TIME WARNER CABLE INC  COMMON STOCK    88732J207      45       842 Shares           X                    2        0       0      842
TOLL BROS INC          COMMON STOCK    889478103     111      5850 Shares           X                    1     5850       0        0
TOLL BROS INC          COMMON STOCK    889478103      21      1100 Shares                    X           1      600       0      500
TOLL BROS INC          COMMON STOCK    889478103     176      9275 Shares           X                    2        0       0     9275
TOMKINS PLC-SPONS ADR  COMMON STOCK    890030208      13       800 Shares           X                    1      800       0        0
TOMPKINS FINANCIAL
 CORP                  COMMON STOCK    890110109      14       365 Shares           X                    1      365       0        0
TOMPKINS FINANCIAL
 CORP                  COMMON STOCK    890110109     227      5733 Shares           X                    2        0       0     5733
TONGJITANG CHINESE
 MEDICINES-A           COMMON STOCK    89025E103       1       200 Shares                    X           1      200       0        0
TOOTSIE ROLL
 INDUSTRIES            COMMON STOCK    890516107      77      3087 Shares           X                    1     3087       0        0
TOOTSIE ROLL
 INDUSTRIES            COMMON STOCK    890516107       8       314 Shares                    X           1      314       0        0
TOREADOR RESOURCES
 5.000% 10             OTHER           891050AB2      48     50000 Shares           X                    2        0       0        0
TORO CO COM            COMMON STOCK    891092108      90      1600 Shares           X                    1     1600       0        0
TORONTO-DOMINION BANK  COMMON STOCK    891160509      21       293 Shares           X                    1      293       0        0
TORONTO-DOMINION BANK  COMMON STOCK    891160509      57       782 Shares                    X           1      700       0       82
TORTOISE ENERGY
 INFRASTRUCTURE        PREFERRED STOCK 89147L100      34      1000 Shares                    X           1        0       0        0
TORTOISE ENERGY
 CAPITAL CORP          COMMON STOCK    89147U100      26      1000 Shares                    X           1     1000       0        0
TOTAL SA SPONSORED ADR COMMON STOCK    89151E109     223      4320 Shares           X                    1     4320       0        0
TOTAL SA SPONSORED ADR COMMON STOCK    89151E109       1        28 Shares                    X           1       28       0        0
TOWER BANCORP INC      COMMON STOCK    891709107      21      1050 Shares           X                    1     1050       0        0
TOYOTA MOTOR CORP
 SPON ADR              COMMON STOCK    892331307      29       406 Shares           X                    1      406       0        0
TOYOTA MOTOR CORP
 SPON ADR              COMMON STOCK    892331307      15       212 Shares                    X           1      212       0        0
TRACTOR SUPPLY COMPANY COMMON STOCK    892356106      48      1200 Shares           X                    1     1200       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
TRACTOR SUPPLY COMPANY COMMON STOCK    892356106    1249     31500 Shares           X                    3    31500       0        0
TRADESTATION GROUP INC COMMON STOCK    89267P105       6       900 Shares           X                    1      900       0        0
TRANSACT TECHNOLOGIES
 INC COM               COMMON STOCK    892918103       8      1000 Shares           X                    1     1000       0        0
TRANSATLANTIC HLDGS
 INC                   COMMON STOCK    893521104       6       118 Shares           X                    1      118       0        0
TRANSMONTAIGNE
 PARTNERS LP           COMMON STOCK    89376V100      20       570 Shares           X                    1      570       0        0
THE TRAVELERS
 COMPANIES INC         COMMON STOCK    89417E109     304      5844 Shares           X                    1     5844       0        0
THE TRAVELERS
 COMPANIES INC         COMMON STOCK    89417E109     525     10076 Shares                    X           1    10076       0        0
THE TRAVELERS
 COMPANIES INC         COMMON STOCK    89417E109     299      5744 Shares           X                    2        0       0     5744
TREDEGAR CORP          COMMON STOCK    894650100      40      2091 Shares           X                    1     2091       0        0
TRI-CONTINENTAL CORP   PREFERRED STOCK 895436103       6       487 Shares           X                    1        0       0        0
TRIMBLE NAV LTD COM    COMMON STOCK    896239100       4       114 Shares           X                    1      114       0        0
TRIQUINT SEMICONDUCTOR
 INC COM               COMMON STOCK    89674K103      65      6750 Shares           X                    1     6750       0        0
TRIQUINT SEMICONDUCTOR
 INC COM               COMMON STOCK    89674K103    1728    180000 Shares           X                    3   180000       0        0
TRIUMPH GROUP INC      COMMON STOCK    896818101      58       775 Shares           X                    1      775       0        0
TRIUMPH GROUP INC      COMMON STOCK    896818101    1529     20500 Shares           X                    3    20500       0        0
TUPPERWARE BRANDS CORP COMMON STOCK    899896104      23       500 Shares           X                    1      500       0        0
TUPPERWARE BRANDS CORP COMMON STOCK    899896104      21       450 Shares                    X           1      450       0        0
TYLER TECHNOLOGIES INC COMMON STOCK    902252105    4206    208631 Shares           X                    2        0   55100   153531
UDR INC REIT           COMMON STOCK    902653104    1180     55891 Shares           X                    1        0       0        0
UDR INC REIT           COMMON STOCK    902653104     153      7232 Shares                    X           1        0       0        0
UGI CORP               COMMON STOCK    902681105     246      8596 Shares           X                    1     8596       0        0
UGI CORP               COMMON STOCK    902681105      86      3000 Shares                    X           1     3000       0        0
UIL HOLDINGS
 CORPORATION           COMMON STOCK    902748102      33      1180 Shares           X                    1     1180       0        0
U S BANCORP DEL COM
 NEW                   COMMON STOCK    902973304    1305     60344 Shares           X                    1    60344       0        0
U S BANCORP DEL COM
 NEW                   COMMON STOCK    902973304     269     12430 Shares                    X           1    12130       0      300
U S BANCORP DEL COM
 NEW                   COMMON STOCK    902973304     108      5000 Shares           X                    2        0       0     5000
U S BANCORP DEL COM
 NEW                   COMMON STOCK    902973304      17       800 Shares           X                    3      800       0        0
ULTA SALON COSMETICS
 & FRAGRAN             COMMON STOCK    90384S303      75      2575 Shares           X                    1     2575       0        0
ULTA SALON COSMETICS
 & FRAGRAN             COMMON STOCK    90384S303    2015     69000 Shares           X                    3    69000       0        0
UNDER ARMOUR INC-
 CLASS A               COMMON STOCK    904311107      18       400 Shares           X                    1      400       0        0
UNDER ARMOUR INC-
 CLASS A               COMMON STOCK    904311107      90      2000 Shares           X                    2        0       0     2000
UNILEVER PLC SPONSORED
 ADR                   COMMON STOCK    904767704      44      1521 Shares           X                    1     1521       0        0
UNILEVER PLC SPONSORED
 ADR                   COMMON STOCK    904767704     135      4640 Shares                    X           1     1640       0     3000
UNILEVER PLC SPONSORED
 ADR                   COMMON STOCK    904767704       9       300 Shares           X                    2        0       0      300
UNILEVER NV NY SHARES  COMMON STOCK    904784709     253      8451 Shares           X                    1     8451       0        0
UNILEVER NV NY SHARES  COMMON STOCK    904784709      50      1690 Shares                    X           1     1690       0        0
UNION PACIFIC CORP COM COMMON STOCK    907818108    2767     33821 Shares           X                    1    33821       0        0
UNION PACIFIC CORP COM COMMON STOCK    907818108     949     11601 Shares                    X           1    11601       0        0
UNION PACIFIC CORP COM COMMON STOCK    907818108    1490     18214 Shares           X                    2        0       0    18214
UNITED BANKSHARES INC  COMMON STOCK    909907107    4817    193526 Shares           X                    2        0   21500   172026
UNITED PARCEL SERVICE
 CL B                  COMMON STOCK    911312106    4674     70078 Shares           X                    1    68207       0     1871
UNITED PARCEL SERVICE
 CL B                  COMMON STOCK    911312106     841     12614 Shares                    X           1    12021       0      593
UNITED PARCEL SERVICE
 CL B                  COMMON STOCK    911312106    8550    128205 Shares           X                    2        0       0   128205
UNITED PARCEL SERVICE
 CL B                  COMMON STOCK    911312106     490      7347 Shares           X                    3     5223       0     2124
UNITED STATES NATURAL
 GAS FD L              PREFERRED STOCK 912318102      71     11500 Shares           X                    1        0       0        0
UNITED STATES OIL FD
 LP                    PREFERRED STOCK 91232N108      17       500 Shares           X                    1        0       0        0
UNITED STS STL CORP
 NEW                   COMMON STOCK    912909108    4215     96143 Shares           X                    1    94601       0     1542
UNITED STS STL CORP
 NEW                   COMMON STOCK    912909108     215      4894 Shares                    X           1     2452       0     2442
UNITED STS STL CORP
 NEW                   COMMON STOCK    912909108    1974     45035 Shares           X                    3    42434       0     2601
UNITED STS STL CORP
 NEW                   COMMON STOCK    912909108       2        46 Shares           X                    4       46       0        0
UNITED STS STL CORP
 NEW                   COMMON STOCK    912909108      26       600 Shares                    X           4      600       0        0
UNITED TECHNOLOGIES
 CORP COM              COMMON STOCK    913017109    7789    109347 Shares           X                    1   107547       0     1800
UNITED TECHNOLOGIES
 CORP COM              COMMON STOCK    913017109    3348     46996 Shares                    X           1    45126       0     1870
UNITED TECHNOLOGIES
 CORP COM              COMMON STOCK    913017109    4419     62041 Shares           X                    2        0    7200    54841
UNITED TECHNOLOGIES
 CORP COM              COMMON STOCK    913017109    1008     14155 Shares           X                    3    14155       0        0
UNITEDHEALTH GROUP INC COMMON STOCK    91324P102    2814     80146 Shares           X                    1    80146       0        0
UNITEDHEALTH GROUP INC COMMON STOCK    91324P102     214      6107 Shares                    X           1     4707       0     1400
UNITEDHEALTH GROUP INC COMMON STOCK    91324P102    1491     42465 Shares           X                    2        0       0    42465
UNITEDHEALTH GROUP INC COMMON STOCK    91324P102    1928     54903 Shares           X                    3    51368       0     3535
UNITEDHEALTH GROUP INC COMMON STOCK    91324P102       3        82 Shares           X                    4       82       0        0
UNITRIN INC COM        COMMON STOCK    913275103      34      1400 Shares           X                    1     1400       0        0
UNIVERSAL DISPLAY CORP COMMON STOCK    91347P105      31      1300 Shares           X                    1     1300       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
UNIVEST CORP OF PA     COMMON STOCK    915271100      43      2454 Shares           X                    1     2454       0        0
UNUM GROUP             COMMON STOCK    91529Y106      13       600 Shares           X                    1      600       0        0
UNUM GROUP             COMMON STOCK    91529Y106      66      3000 Shares           X                    2        0       0     3000
URBAN OUTFITTERS INC   COMMON STOCK    917047102     316     10050 Shares           X                    1    10050       0        0
URBAN OUTFITTERS INC   COMMON STOCK    917047102    2705     86025 Shares           X                    3    86025       0        0
URSTADT BIDDLE PPTYS
 INC CL A              COMMON STOCK    917286205      54      3000 Shares                    X           1        0       0        0
V F CORP               COMMON STOCK    918204108     145      1790 Shares           X                    1     1790       0        0
V F CORP               COMMON STOCK    918204108      13       160 Shares                    X           1      160       0        0
V F CORP               COMMON STOCK    918204108     162      2000 Shares           X                    2        0       0     2000
VIST FINANCIAL CORP    COMMON STOCK    918255100       4       500 Shares           X                    1      500       0        0
VIST FINANCIAL CORP    COMMON STOCK    918255100       7      1000 Shares                    X           1     1000       0        0
VALE SA                COMMON STOCK    91912E105     218      6957 Shares           X                    1     6957       0        0
VALE SA                COMMON STOCK    91912E105       2        50 Shares                    X           1       50       0        0
VALE SA                COMMON STOCK    91912E105       6       200 Shares           X                    2        0       0      200
VALE SA - SP PREF ADR  COMMON STOCK    91912E204      56      2000 Shares           X                    1     2000       0        0
VALERO ENERGY CORP COM COMMON STOCK    91913Y100       7       400 Shares           X                    1      400       0        0
VALERO ENERGY CORP COM COMMON STOCK    91913Y100      18      1000 Shares                    X           1     1000       0        0
VANGUARD DVD
 APPRECIATION INDE     PREFERRED STOCK 921908844      41       850 Shares           X                    1        0       0        0
VANGUARD SHORT-TERM
 BD ETF                PREFERRED STOCK 921937827      13       155 Shares                    X           1        0       0        0
VANGUARD SHORT-TERM
 BD ETF                PREFERRED STOCK 921937827     706      8635 Shares           X                    3        0       0        0
VANGUARD TOTAL BOND
 MKT ETF               PREFERRED STOCK 921937835     747      9034 Shares           X                    1        0       0        0
VANGUARD TOTAL BOND
 MKT ETF               PREFERRED STOCK 921937835     217      2628 Shares                    X           1        0       0        0
VANGUARD HIGH DIVIDEND
 YIELD E               PREFERRED STOCK 921946406    4803    123284 Shares           X                    1        0       0        0
VANGUARD HIGH DIVIDEND
 YIELD E               PREFERRED STOCK 921946406      94      2406 Shares                    X           1        0       0        0
VANGUARD HIGH DIVIDEND
 YIELD E               PREFERRED STOCK 921946406    5468    140355 Shares           X                    3        0       0        0
VANGUARD EMERGING MKTS
 ETF                   PREFERRED STOCK 922042858      82      1802 Shares                    X           1        0       0        0
VANGUARD EMERGING MKTS
 ETF                   PREFERRED STOCK 922042858     123      2700 Shares           X                    2        0       0        0
VANGUARD EMERGING MKTS
 ETF                   PREFERRED STOCK 922042858     370      8140 Shares           X                    3        0       0        0
VANGUARD INFO TECH ETF COMMON STOCK    92204A702     145      2600 Shares           X                    2        0       0     2600
VEECO INSTRUMENTS INC  COMMON STOCK    922417100     919     26348 Shares           X                    1    26348       0        0
VEECO INSTRUMENTS INC  COMMON STOCK    922417100      16       450 Shares                    X           1        0       0      450
VEECO INSTRUMENTS INC  COMMON STOCK    922417100    1461     41924 Shares           X                    3    41924       0        0
VEECO INSTRUMENTS INC  COMMON STOCK    922417100       3        76 Shares           X                    4       76       0        0
VANGUARD SMALL-CAP
 VALUE ETF             PREFERRED STOCK 922908611       7       124 Shares                    X           1        0       0        0
VANGUARD SMALL-CAP ETF PREFERRED STOCK 922908751       2        38 Shares           X                    1        0       0        0
VANGUARD TOTAL STOCK
 MARKET ET             PREFERRED STOCK 922908769       9       162 Shares           X                    1        0       0        0
VERIFONE SYSTEMS INC   COMMON STOCK    92342Y109      77      2475 Shares           X                    1     2475       0        0
VERIFONE SYSTEMS INC   COMMON STOCK    92342Y109    2051     66000 Shares           X                    3    66000       0        0
VERIZON COMMUNICATIONS
 COM                   COMMON STOCK    92343V104   14540    446140 Shares           X                    1   438505       0     7635
VERIZON COMMUNICATIONS
 COM                   COMMON STOCK    92343V104    7275    223240 Shares                    X           1   214521       0     8719
VERIZON COMMUNICATIONS
 COM                   COMMON STOCK    92343V104   10798    331333 Shares           X                    2        0   66935   264398
VERIZON COMMUNICATIONS
 COM                   COMMON STOCK    92343V104     305      9355 Shares           X                    3     6107       0     3248
VERISK ANALYTICS -
 CL A                  COMMON STOCK    92345Y106       3       101 Shares           X                    1      101       0        0
VIACOM INC-CLASS B     COMMON STOCK    92553P201     219      6058 Shares           X                    1     6058       0        0
VIACOM INC-CLASS B     COMMON STOCK    92553P201     188      5196 Shares                    X           1     2796       0     2400
VIROPHARMA INC         COMMON STOCK    928241108      22      1500 Shares           X                    1     1500       0        0
VISA INC               COMMON STOCK    92826C839       6        75 Shares           X                    1       75       0        0
VISA INC               COMMON STOCK    92826C839    3008     40510 Shares           X                    2        0       0    40510
VIRTUS INVESTMENT
 PARTNERS INC          COMMON STOCK    92828Q109       3        89 Shares           X                    2        0       0       89
VIVUS INC              COMMON STOCK    928551100       2       300 Shares           X                    2        0       0      300
VIVO PARTICIPACOES
 SA-ADR                COMMON STOCK    92855S200       3       118 Shares           X                    1      118       0        0
VMWARE INC             COMMON STOCK    928563402      25       300 Shares           X                    1      300       0        0
VODAFONE GROUP PLC -
 SP ADR                COMMON STOCK    92857W209     811     32692 Shares           X                    1    32692       0        0
VODAFONE GROUP PLC -
 SP ADR                COMMON STOCK    92857W209     206      8297 Shares                    X           1     8136       0      161
VODAFONE GROUP PLC -
 SP ADR                COMMON STOCK    92857W209      84      3372 Shares           X                    2        0       0     3372
VODAFONE GROUP PLC -
 SP ADR                COMMON STOCK    92857W209      30      1200 Shares                    X           4     1200       0        0
VOLCANO CORP           COMMON STOCK    928645100      55      2125 Shares           X                    1     2125       0        0
VOLCANO CORP           COMMON STOCK    928645100    1481     57000 Shares           X                    3    57000       0        0
VORNADO REALTY TRUST
 (REIT)                COMMON STOCK    929042109     273      3194 Shares           X                    2        0       0        0
VULCAN MATERIAL COM    COMMON STOCK    929160109    1411     38213 Shares           X                    1    38213       0        0
VULCAN MATERIAL COM    COMMON STOCK    929160109      85      2291 Shares                    X           1     2291       0        0
WD 40 CO COM           COMMON STOCK    929236107      15       400 Shares           X                    1      400       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                     
WD 40 CO COM           COMMON STOCK    929236107       8       200 Shares                    X           1      200       0        0
WGL HLDGS INC COM      COMMON STOCK    92924F106      26       700 Shares           X                    1      700       0        0
WGL HLDGS INC COM      COMMON STOCK    92924F106      68      1796 Shares           X                    2        0       0     1796
WGL HLDGS INC COM      COMMON STOCK    92924F106      58      1530 Shares           X                    3     1530       0        0
WABCO HOLDINGS INC     COMMON STOCK    92927K102      49      1175 Shares           X                    1     1175       0        0
WABCO HOLDINGS INC     COMMON STOCK    92927K102    1300     31000 Shares           X                    3    31000       0        0
W P CAREY & CO LLC     COMMON STOCK    92930Y107       6       200 Shares           X                    1        0       0        0
WABASH NATIONAL
 CORPORATION           COMMON STOCK    929566107     105     13005 Shares           X                    1    13005       0        0
WABASH NATIONAL
 CORPORATION           COMMON STOCK    929566107    2808    347100 Shares           X                    3   347100       0        0
WAL MART STORES INC
 COM                   COMMON STOCK    931142103   12428    232213 Shares           X                    1   230017       0     2196
WAL MART STORES INC
 COM                   COMMON STOCK    931142103    3809     71163 Shares                    X           1    65133       0     6030
WAL MART STORES INC
 COM                   COMMON STOCK    931142103    1153     21536 Shares           X                    2        0       0    21536
WAL MART STORES INC
 COM                   COMMON STOCK    931142103    1644     30710 Shares           X                    3    27474       0     3236
WAL MART STORES INC
 COM                   COMMON STOCK    931142103       3        60 Shares           X                    4       60       0        0
WALGREEN CO            COMMON STOCK    931422109     455     13582 Shares           X                    1    13532       0       50
WALGREEN CO            COMMON STOCK    931422109     332      9905 Shares                    X           1     9835       0       70
WALGREEN CO            COMMON STOCK    931422109     429     12800 Shares           X                    2        0       0    12800
WALGREEN CO            COMMON STOCK    931422109       2        68 Shares           X                    4       68       0        0
WALTER ENERGY INC      COMMON STOCK    93317Q105     221      2723 Shares           X                    1     2723       0        0
WALTER ENERGY INC      COMMON STOCK    93317Q105    2763     34000 Shares           X                    3    34000       0        0
THE WARNACO GROUP INC  COMMON STOCK    934390402      89      1750 Shares           X                    1     1750       0        0
THE WARNACO GROUP INC  COMMON STOCK    934390402    2403     47000 Shares           X                    3    47000       0        0
WASHINGTON POST CO
 CL B                  COMMON STOCK    939640108     220       550 Shares           X                    2        0       0      550
WASHINGTON REAL
 ESTATE INVT (R        COMMON STOCK    939653101      95      3000 Shares           X                    1        0       0        0
WASHINGTON REAL
 ESTATE INVT (R        COMMON STOCK    939653101      16       500 Shares                    X           1        0       0        0
WASHINGTON REAL
 ESTATE INVT (R        COMMON STOCK    939653101     393     12398 Shares           X                    2        0       0        0
WASTE CONNECTIONS INC  COMMON STOCK    941053100     275      6942 Shares           X                    1     6942       0        0
WASTE CONNECTIONS INC  COMMON STOCK    941053100    2312     58297 Shares           X                    3    58297       0        0
WASTE MANAGEMENT INC   COMMON STOCK    94106L109     159      4462 Shares           X                    1     4462       0        0
WASTE MANAGEMENT INC   COMMON STOCK    94106L109     207      5787 Shares                    X           1     2487       0     3300
WASTE MANAGEMENT INC   COMMON STOCK    94106L109     251      7018 Shares           X                    2        0       0     7018
WATERS CORP COM        COMMON STOCK    941848103     193      2732 Shares           X                    1     2732       0        0
WATSON PHARMACEUTICALS
 INC COM               COMMON STOCK    942683103      13       300 Shares           X                    1      300       0        0
WATSON PHARMACEUTICALS
 INC COM               COMMON STOCK    942683103      65      1526 Shares                    X           1      763     763        0
WEBSTER FINANCIAL CORP COMMON          947890109     199     11356 Shares      X                              11356       0        0
WEINGARTEN REALTY
 INVESTORS (R          COMMON STOCK    948741103     566     25944 Shares           X                    2        0       0        0
WEIS MARKETS INC       COMMON STOCK    948849104      45      1150 Shares           X                    1      900       0      250
WEIS MARKETS INC       COMMON STOCK    948849104      20       500 Shares                    X           1      500       0        0
WELLPOINT INC          COMMON STOCK    94973V107      40       700 Shares           X                    1      700       0        0
WELLS FARGO & CO       COMMON STOCK    949746101   10247    407988 Shares           X                    1   403144       0     4844
WELLS FARGO & CO       COMMON STOCK    949746101    2880    114661 Shares                    X           1   106935       0     7726
WELLS FARGO & CO       COMMON STOCK    949746101    2430     96760 Shares           X                    2        0   50601    46159
WELLS FARGO & CO       COMMON STOCK    949746101     327     13014 Shares           X                    3     7680       0     5334
WELLS FARGO & CO       COMMON STOCK    949746101      50      2000 Shares                    X           4     2000       0        0
WELLS FARGO & CO
 WARRANTS   10         COMMON STOCK    949746119    4194    532258 Shares           X                    2        0       0   532258
WELLS FARGO PFD
 CONV 7.50% SER        PREFERRED STOCK 949746804      50        50 Shares                    X           1        0       0        0
WELLS FARGO PFD CONV
 7.50% SER             PREFERRED STOCK 949746804     453       450 Shares           X                    2        0       0        0
WELLS FARGO ADVANTAGE
 INCOME                PREFERRED STOCK 94987B105      14      1400 Shares           X                    1        0       0        0
WENDYS/ARBYS GROUP
 INC - CL A            COMMON STOCK    950587105      62     13600 Shares           X                    1    13600       0        0
WERNER ENTERPRISES INC COMMON STOCK    950755108       9       427 Shares           X                    1      427       0        0
WESTAR ENERGY INC      COMMON STOCK    95709T100       4       150 Shares                    X           1      150       0        0
WESTERN ASSET GLOBAL
 HIGH INC              PREFERRED STOCK 95766B109      14      1100 Shares           X                    1        0       0        0
WESTERN ASSET MANAGED
 MUNICIPA              PREFERRED STOCK 95766M105      65      5000 Shares           X                    2        0       0        0
WESTERN ASSET
 MUNICIPAL HIGH I      PREFERRED STOCK 95766N103       8      1050 Shares                    X           1        0       0        0
WESTN DIGITAL CORP     COMMON STOCK    958102105     969     34141 Shares           X                    1    34141       0        0
WESTN DIGITAL CORP     COMMON STOCK    958102105       1        52 Shares                    X           1       52       0        0
WESTN DIGITAL CORP     COMMON STOCK    958102105    3389    119382 Shares           X                    3   119382       0        0
WESTN DIGITAL CORP     COMMON STOCK    958102105       1        40 Shares           X                    4       40       0        0
WESTERN UNION COMPANY  COMMON STOCK    959802109     168      9520 Shares           X                    1     9520       0        0
WESTERN UNION COMPANY  COMMON STOCK    959802109     153      8652 Shares                    X           1     8652       0        0
WESTPORT INNOVATIONS
 INC                   COMMON STOCK    960908309      47      2675 Shares           X                    1     2675       0        0
WESTPORT INNOVATIONS
 INC                   COMMON STOCK    960908309    1267     72000 Shares           X                    3    72000       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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WEYERHAEUSER CO COM    COMMON STOCK    962166104     112      7075 Shares           X                    1     7075       0        0
WEYERHAEUSER CO COM    COMMON STOCK    962166104     126      7964 Shares                    X           1     6015       0     1949
WEYERHAEUSER CO COM    COMMON STOCK    962166104     181     11494 Shares           X                    2        0       0    11494
WHIRLPOOL CORP COM     COMMON STOCK    963320106      26       324 Shares                    X           1      324       0        0
WHIRLPOOL CORP COM     COMMON STOCK    963320106       4        50 Shares           X                    2        0       0       50
WHOLE FOODS MKT INC
 COM                   COMMON STOCK    966837106     120      3245 Shares           X                    2        0       0     3245
WILLIAMS COMPANY INC
 (THE)                 COMMON STOCK    969457100      14       720 Shares           X                    1      720       0        0
WILLIAMS COMPANY INC
 (THE)                 COMMON STOCK    969457100      23      1200 Shares                    X           1        0       0     1200
WILLIAMS COMPANY INC
 (THE)                 COMMON STOCK    969457100     231     12062 Shares           X                    2        0       0    12062
WINDSTREAM CORP        COMMON STOCK    97381W104     110      8963 Shares           X                    1     8963       0        0
WINDSTREAM CORP        COMMON STOCK    97381W104      62      5048 Shares                    X           1     5048       0        0
WISCONSIN ENERGY CORP
 COM                   COMMON STOCK    976657106     182      3152 Shares           X                    1     3152       0        0
WISCONSIN ENERGY CORP
 COM                   COMMON STOCK    976657106     101      1750 Shares                    X           1     1750       0        0
WISDOMTREE INTL REAL
 ES FD                 PREFERRED STOCK 97717W331     173      6015 Shares           X                    1        0       0        0
WOODWARD GOVERNOR
 CO COM                COMMON STOCK    980745103      48      1475 Shares           X                    1     1475       0        0
WOODWARD GOVERNOR
 CO COM                COMMON STOCK    980745103    1313     40475 Shares           X                    3    40475       0        0
WORLD FUEL SERVICES
 CORPORATIO            COMMON STOCK    981475106      94      3600 Shares           X                    1     3600       0        0
WORTHINGTON INDS INC
 COM                   COMMON STOCK    981811102       8       500 Shares           X                    1      500       0        0
WORTHINGTON INDS INC
 COM                   COMMON STOCK    981811102     195     13000 Shares                    X           1        0       0    13000
WYNDHAM WORLDWIDE
 CORP                  COMMON STOCK    98310W108      12       437 Shares           X                    1      437       0        0
WYNDHAM WORLDWIDE
 CORP                  COMMON STOCK    98310W108      18       650 Shares                    X           1      650       0        0
WYNN RESORTS LIMITED   COMMON STOCK    983134107       9       100 Shares           X                    1      100       0        0
XCEL ENERGY INC COM    COMMON STOCK    98389B100      54      2355 Shares           X                    1     2355       0        0
XCEL ENERGY INC COM    COMMON STOCK    98389B100     121      5264 Shares                    X           1     5264       0        0
XEROX CORP             COMMON STOCK    984121103      43      4168 Shares           X                    1     4168       0        0
XEROX CORP             COMMON STOCK    984121103      52      5000 Shares                    X           1     5000       0        0
XFONE INC              COMMON STOCK    98414Y109       0       275 Shares           X                    1      275       0        0
YAHOO INC COM          COMMON STOCK    984332106      37      2625 Shares           X                    1     2625       0        0
YAHOO INC COM          COMMON STOCK    984332106      14      1000 Shares                    X           1     1000       0        0
YAHOO INC COM          COMMON STOCK    984332106      85      6000 Shares           X                    2        0       0     6000
YAHOO INC COM          COMMON STOCK    984332106       2       152 Shares           X                    4      152       0        0
YAMANA GOLD INC        COMMON STOCK    98462Y100       1       100 Shares                    X           1      100       0        0
YORK WATER COMPANY     COMMON STOCK    987184108    1097     68436 Shares           X                    1    68436       0        0
YORK WATER COMPANY     COMMON STOCK    987184108    1276     79626 Shares                    X           1    79626       0        0
YUM! BRANDS INC        COMMON STOCK    988498101     544     11804 Shares           X                    1    11804       0        0
YUM! BRANDS INC        COMMON STOCK    988498101     450      9770 Shares                    X           1     7570       0     2200
YUM! BRANDS INC        COMMON STOCK    988498101    4235     91956 Shares           X                    2        0       0    91956
ZEP INC                COMMON STOCK    98944B108     364     20863 Shares           X                    2        0       0    20863
ZIMMER HLDGS INC COM   COMMON STOCK    98956P102    1100     21011 Shares           X                    1    20111       0      900
ZIMMER HLDGS INC COM   COMMON STOCK    98956P102     476      9098 Shares                    X           1     7898       0     1200
ZIMMER HLDGS INC COM   COMMON STOCK    98956P102    2332     44555 Shares           X                    2        0   11787    32768
ZIMMER HLDGS INC COM   COMMON STOCK    98956P102      16       309 Shares           X                    3      309       0        0
ZIONS BANCORPORATION
 COM                   COMMON STOCK    989701107      67      3145 Shares           X                    1     3145       0        0
ZIONS BANCORPORATION
 COM                   COMMON STOCK    989701107      33      1525 Shares                    X           1     1525       0        0
AMDOCS LIMITED         COMMON STOCK    G02602103      59      2050 Shares           X                    1     2050       0        0
ARCH CAPITAL GROUP LTD COMMON STOCK    G0450A105     237      2830 Shares           X                    1     2830       0        0
ENERGY XXI BERMUDA LTD COMMON STOCK    G10082140      35      1525 Shares           X                    1     1525       0        0
ENERGY XXI BERMUDA LTD COMMON STOCK    G10082140     948     41000 Shares           X                    3    41000       0        0
ACCENTURE PLC- CL A    COMMON STOCK    G1151C101     543     12779 Shares           X                    1    12679       0      100
ACCENTURE PLC- CL A    COMMON STOCK    G1151C101     515     12110 Shares                    X           1    11975       0      135
COOPER INDUSTRIES PLC
 CL A                  COMMON STOCK    G24140108      49      1000 Shares           X                    1     1000       0        0
COOPER INDUSTRIES PLC
 CL A                  COMMON STOCK    G24140108      15       300 Shares                    X           1      300       0        0
COVIDIEN PLC           COMMON STOCK    G2554F105     109      2700 Shares           X                    1     2625       0       75
COVIDIEN PLC           COMMON STOCK    G2554F105     125      3119 Shares                    X           1     2316       0      803
COVIDIEN PLC           COMMON STOCK    G2554F105     560     13928 Shares           X                    2        0       0    13928
FRONTLINE LTD          COMMON STOCK    G3682E127      14       500 Shares           X                    1      500       0        0
HERBALIFE LTD          COMMON STOCK    G4412G101     282      4670 Shares           X                    1     4670       0        0
HERBALIFE LTD          COMMON STOCK    G4412G101    2456     40700 Shares           X                    3    40700       0        0
INGERSOLL-RAND PUBLIC
 LTD CO                COMMON STOCK    G47791101      21       588 Shares           X                    1      588       0        0
INGERSOLL-RAND PUBLIC
 LTD CO                COMMON STOCK    G47791101     170      4770 Shares                    X           1     4770       0        0
INGERSOLL-RAND PUBLIC
 LTD CO                COMMON STOCK    G47791101    1130     31650 Shares           X                    2        0       0    31650
LJ INTERNATIONAL INC   COMMON STOCK    G55312105       2       400 Shares           X                    1      400       0        0



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                          COLUMN        COLUMN   COLUMN            COLUMN            COLUMN         COLUMN       COLUMN
                             2             3        4                5                  6              7            8
                                                                               INVESTMENT AUTHORITY
                                                  VALUE    SHARES  SHARES      --------------------
                                                 -------     OR      OR    PUT      SHARED  SHARED   OTHER     VOTING AUTHORITY
                                                   (X     PRINCIAL PRINCI  OR         -       -      MANA- -------------------------
NAME OF ISSUER         TITLE OF CLASS    CUSIP   $1,000)   AMOUNT  -PAL   CALL SOLE DEFINED  OTHER   GERS   SOLE    SHARED  OTHER
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MARVEL TECHNOLOGY
 GROUP LTD             COMMON STOCK    G5876H105    1021     58298 Shares           X                    1    58298       0        0
MARVEL TECHNOLOGY
 GROUP LTD             COMMON STOCK    G5876H105       2        94 Shares                    X           1       94       0        0
MARVEL TECHNOLOGY
 GROUP LTD             COMMON STOCK    G5876H105    1588     90681 Shares           X                    3    90681       0        0
MARVEL TECHNOLOGY
 GROUP LTD             COMMON STOCK    G5876H105       2       118 Shares           X                    4      118       0        0
NABORS INDUSTRIES LTD  COMMON STOCK    G6359F103     246     13610 Shares           X                    1    13610       0        0
NABORS INDUSTRIES LTD  COMMON STOCK    G6359F103     191     10570 Shares                    X           1    10570       0        0
ONEBEACON INSURANCE
 GROUP LTD             COMMON STOCK    G67742109       8       535 Shares           X                    1      535       0        0
SEAGATE TECHNOLOGY     COMMON STOCK    G7945M107      12      1035 Shares           X                    1     1035       0        0
SHIP FINANCE INTL LTD  COMMON STOCK    G81075106       6       300 Shares           X                    1      300       0        0
SIGNET JEWELERS LTD    COMMON STOCK    G81276100       0        10 Shares                    X           1       10       0        0
WHITE MOUNTAINS
 INSURANCE GROU        COMMON STOCK    G9618E107    1104      3578 Shares           X                    1     3578       0        0
WHITE MOUNTAINS
 INSURANCE GROU        COMMON STOCK    G9618E107     120       390 Shares                    X           1      390       0        0
WHITE MOUNTAINS
 INSURANCE GROU        COMMON STOCK    G9618E107     572      1855 Shares           X                    2        0       0     1855
XL GROUP PLC           COMMON STOCK    G98290102       6       300 Shares           X                    1      300       0        0
XL GROUP PLC           COMMON STOCK    G98290102      22      1000 Shares           X                    2        0       0     1000
ACE LTD                COMMON STOCK    H0023R105    2956     50741 Shares           X                    1    49791       0      950
ACE LTD                COMMON STOCK    H0023R105     344      5902 Shares                    X           1     5820       0       82
ACE LTD                COMMON STOCK    H0023R105     502      8614 Shares           X                    3     5939       0     2675
ALCON INC              COMMON STOCK    H01301102      79       474 Shares           X                    1      474       0        0
ALCON INC              COMMON STOCK    H01301102      35       208 Shares                    X           1      208       0        0
WEATHERFORD INTL LTD
 SWITZERLA             COMMON STOCK    H27013103    1891    110571 Shares           X                    1   109586       0      985
WEATHERFORD INTL LTD
 SWITZERLA             COMMON STOCK    H27013103     115      6704 Shares                    X           1     6704       0        0
WEATHERFORD INTL LTD
 SWITZERLA             COMMON STOCK    H27013103    2088    122096 Shares           X                    3   122096       0        0
WEATHERFORD INTL LTD
 SWITZERLA             COMMON STOCK    H27013103       3       184 Shares           X                    4      184       0        0
FOSTER WHEELER AG      COMMON STOCK    H27178104     741     30312 Shares           X                    1    30312       0        0
FOSTER WHEELER AG      COMMON STOCK    H27178104      78      3170 Shares                    X           1     3170       0        0
FOSTER WHEELER AG      COMMON STOCK    H27178104    1375     56225 Shares           X                    3    56225       0        0
LOGITECH INTERNATIONAL
 SA - RE               COMMON STOCK    H50430232       2        88 Shares           X                    1       88       0        0
LOGITECH INTERNATIONAL
 SA - RE               COMMON STOCK    H50430232       1        38 Shares                    X           1       38       0        0
NOBLE CORPORATION      COMMON STOCK    H5833N103     226      6675 Shares           X                    1     6675       0        0
NOBLE CORPORATION      COMMON STOCK    H5833N103      22       650 Shares                    X           1      650       0        0
TRANSOCEAN LIMITED     COMMON STOCK    H8817H100    1019     15857 Shares           X                    1    14857       0     1000
TRANSOCEAN LIMITED     COMMON STOCK    H8817H100     346      5383 Shares                    X           1     3424       0     1959
TRANSOCEAN LIMITED     COMMON STOCK    H8817H100     180      2800 Shares           X                    2        0       0     2800
TYCO INTERNATIONAL LTD COMMON STOCK    H89128104      80      2167 Shares           X                    1     2167       0        0
TYCO INTERNATIONAL LTD COMMON STOCK    H89128104     119      3244 Shares                    X           1     2441       0      803
TYCO INTERNATIONAL LTD COMMON STOCK    H89128104    1008     27437 Shares           X                    2        0       0    27437
TYCO ELECTRONICS LTD   COMMON STOCK    H8912P106      65      2240 Shares           X                    1     2240       0        0
TYCO ELECTRONICS LTD   COMMON STOCK    H8912P106      60      2037 Shares                    X           1     2037       0        0
TYCO ELECTRONICS LTD   COMMON STOCK    H8912P106     183      6250 Shares           X                    2        0       0     6250
UBS AG                 COMMON STOCK    H89231338      63      3693 Shares           X                    1     3693       0        0
MILLICOM INTERNATIONAL
 CELLULA               COMMON STOCK    L6388F110       2        20 Shares           X                    1       20       0        0
MILLICOM INTERNATIONAL
 CELLULA               COMMON STOCK    L6388F110       1        14 Shares                    X           1       14       0        0
CHECK POINT SOFTWARE
 TECH COM              COMMON STOCK    M22465104     572     15500 Shares           X                    2        0       0    15500
RADWARE LTD            COMMON STOCK    M81873107      47      1375 Shares           X                    1     1375       0        0
AERCAP HOLDINGS NV     COMMON STOCK    N00985106       6       500 Shares           X                    1      500       0        0
BALTIC TRADING LTD     COMMON STOCK    Y0553W103      11      1000 Shares           X                    2        0       0     1000
DRYSHIPS INC           COMMON STOCK    Y2109Q101       5      1050 Shares           X                    1     1050       0        0
FLEXTRONICS INTL LTD   COMMON STOCK    Y2573F102      24      4008 Shares           X                    1     4008       0        0
FLEXTRONICS INTL LTD   COMMON STOCK    Y2573F102       2       300 Shares                    X           1      300       0        0
FLEXTRONICS INTL LTD   COMMON STOCK    Y2573F102       1       162 Shares           X                    4      162       0        0
GENERAL MARITIME CORP  COMMON STOCK    Y2693R101       4       800 Shares           X                    1      800       0        0
GENERAL MARITIME CORP  COMMON STOCK    Y2693R101     294     59950 Shares           X                    2        0   25950    34000
SEASPAN CORP           COMMON STOCK    Y75638109      68      5500 Shares                    X           1     5500       0        0
                                                 2909716  88913730                                         56380678 4259344 16977065



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