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

                                    FORM 13F

                               FORM 13F COVER PAGE

      Report for the Calendar Year or Quarter Ended: December 31, 2005

      Check here if Amendment [ ]; Amendment Number
                                                    --------------

      This Amendment (Check only one): [ ] is a restatement

                                                [ ] adds new holdings entries.

      Institutional Investment Manager Filing this Report:

      Name:                      BancorpSouth, Inc.

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

      Form 13F File Number:      28-10453

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

      Person Signing this Report on Behalf of Reporting Manager:

      Name: Cathy S. Freeman

      Title: Senior Vice President and Corporate Secretary

      Phone: (662) 680-2084

      Signature, Place, and Date of Signing:

      /s/ Cathy S. Freeman      Tupelo, Mississippi      February 7, 2006
      --------------------      -------------------      ----------------
      [Signature]                [City, State]             [Date]

      Report Type (Check only one.):

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

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

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

      List of Other Managers Reporting for this Manager: None.



                             FORM 13F SUMMARY PAGE

      Report Summary:

      Number of Other Included Managers: 1

      Form 13F Information Table Entry Total: 773

      Form 13F Information Table Value Total: $1,073,174
                                               (thousands)

LIST OF OTHER INCLUDED MANAGERS:

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



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


                                       2


                           FORM 13F INFORMATION TABLE



                                                                                                            ** VOTING AUTHORITY **
                                                                                                           ------------------------
                                                   MKT
                         TITLE OF                 VAL x               SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER        CLASS        CUSIP      1000      QTY       PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  ----------   ---------   ------    -----      ---   ----  ----------   --------    -----   ------     -----
                                                                                             
DEUTSCHE BANK-EUR                    D18190898       27      281       SH            SOLE          1           0        0       281
ACE LIMITED                          G0070K103       60     1128       SH            SOLE          1         147        0       981
AMERICAN SAFETY                      G02995101        6      390       SH            SOLE          1           0        0       390
INSURANCE HOLDINGS LTD
ARLINGTON TANKERS LTD                G04899103       59     2750       SH            SOLE          1         791        0      1959
GLOBAL SANTAFE CORP                  G3930E101      314     6525       SH            SOLE          1         250        0      6275
INGSOLL-RAND CO         CL A         G4776G101      209     5200       SH            SOLE          1        5200        0         0
                        BERMUDA
MARVELL TECHNOLOGY                   G5876H105      134     2400       SH            SOLE          1           0        0      2400
GROUP
MONTPELIER RE HLD LTDF               G62185106      177     9400       SH            SOLE          1        9400        0         0
NABORS INDUSTRIES                    G6359F103       13      180       SH            SOLE          1           0        0       180
SEAGATE TECHNOLOGY      SHS          G7945J104       17      860       SH            SOLE          1           0        0       860
ALCON INC                            H01301102      129     1000       SH            SOLE          1           0        0      1000
MIND C.T.I. LTD COM                  M70240102        5     2000       SH            SOLE          1        2000        0         0
M SYS FLASH DISK                     M7061C100       14      450       SH            SOLE          1           0        0       450
PIONEERS LTORD
A F L A C INC                        001055102       92     2000       SH            SOLE          1        2000        0         0
AGL RESOURCES, INC                   001204106       15      450       SH            SOLE          1         450        0         0
AT&T INC                COM          00206R102      854    34901       SH            SOLE          1       24893        0     10008
AT&T INC                COM          00206R102       71     2908       SH           DEFINED        1         818     2090         0
ATMI INC                             00207R101       22      793       SH            SOLE          1         116        0       677
ABBOTT LAB                           002824100      367     9321       SH            SOLE          1        7321        0      2000
ABBOTT LAB                           002824100      165     4200       SH           DEFINED        1         200     4000         0
ACE CASH EXPRESS INC    COM          004403101       28     1240       SH            SOLE          1         185        0      1055
ACTUANT CORP CLASS A                 00508X203       22      405       SH            SOLE          1           0        0       405
ACXIOM CORP             COM          005125109       11      490       SH            SOLE          1         490        0         0
ADAMS EXPRESS CO        COM          006212104      104     8365       SH            SOLE          1        8365        0         0
ADOBE SYSTEMS                        00724F101      151     4100       SH            SOLE          1           0        0      4100
INCORPORATED DELAWARE
AEGON N V ORD                        007924103       52     3215       SH            SOLE          1           0        0      3215
AETNA INC COM                        00817Y108       18      200       SH           DEFINED        1           0        0       200
AGILENT TECHNOLOGIES,                00846U101        1       59       SH            SOLE          1          59        0         0
INC.
AGNICO EAGLE MINES                   008474108        9      500       SH            SOLE          1         500        0         0
AIR PRODS & CHEMS INC   COM          009158106        6      104       SH            SOLE          1           0        0       104
AIRTRAN HLDGS INC COM                00949P108        7      455       SH            SOLE          1           0        0       455
AIXTRON                 ADR          009606104        1      510       SH            SOLE          1         510        0         0
AKTIENGELELLSCHAFT
ALCOA INC                            013817101      143     4856       SH            SOLE          1        2830        0      2026
ALCATEL                 SPONSORED    013904305      374    30235       SH            SOLE          1        1080        0     29155
                        ADR
ALLIANCE CAP MGMT                    01855A101      112     2000       SH           DEFINED        1        2000        0         0
HLDG L P
ALLIANT TECHSYSTEMS,                 018804104       56      747       SH            SOLE          1         114        0       633
INC
ALLIED CAP CO FUND                   01903Q108        9      315       SH            SOLE          1         315        0         0
ALLSTATE CORP           COMMON       020002101      670    12407       SH            SOLE          1        8226        0      4181
ALLSTATE CORP           COMMON       020002101       16      310       SH           DEFINED        1         310        0         0
ALLTEL CORP                          020039103       77     1228       SH            SOLE          1        1008        0       220
ALLTEL CORP                          020039103      492     7800       SH           DEFINED        1        7800        0         0
ALTERA CORP                          021441100        3      200       SH            SOLE          1         200        0         0
ALTRIA GROUP INC                     02209S103     1160    15529       SH            SOLE          1       10623        0      4906
AMBAC FINANCIAL GROUP                023139108        3       50       SH            SOLE          1          50        0         0
AMERCO                               023586100       57      793       SH            SOLE          1         120        0       673
AMERICAN ELECTRIC                    025537101      178     4800       SH            SOLE          1        1300        0      3500
POWER
AMER EXPRESS CO                      025816109      243     4735       SH            SOLE          1        1935        0      2800
AMERICAN                             026874107      657     9644       SH            SOLE          1        4755        0      4889
INTERNATIONAL GROUP,
INC
AMERICAN                             026874107       11      175       SH           DEFINED        1         175        0         0
INTERNATIONAL GROUP,
INC
AMERISAFE INC           CL A         03071H100        6      690       SH            SOLE          1           0        0       690
AMERUS LIFE HOLDINGS                 03072M108      107     1889       SH            SOLE          1        1889        0         0
AMERIPRISE FINL INC                  03076C106       15      387       SH            SOLE          1         387        0         0
AMGEN INC                            031162100      364     4618       SH            SOLE          1        1008        0      3610
AMGEN INC                            031162100       15      200       SH           DEFINED        1         200        0         0
AMSOUTH BANCORPORATION               032165102      707    26989       SH            SOLE          1       26989        0         0
ANADARKO PETE CORP                   032511107       16      172       SH            SOLE          1          27        0       145
ANADARKO PETE CORP                   032511107      138     1464       SH           DEFINED        1           0     1464         0
ANGIODYNAMICS INC       COM          03475V101       16      630       SH            SOLE          1           0        0       630
ANGLO AMERICAN PLC SP   ADR          03485P102       39     1124       SH            SOLE          1           0        0      1124
ANHEUSER-BUSCH                       035229103      353     8221       SH            SOLE          1        7126        0      1095
COMPANIES
ANHEUSER-BUSCH                       035229103      154     3600       SH           DEFINED        1        3600        0         0






                                                                                                            ** VOTING AUTHORITY **
                                                                                                           ------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000      QTY       PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  ----------   ---------   ------    -----      ---   ----  ----------   --------    -----   ------     -----
                                                                                             
COMPANIES
ANTEON INTERNATIONAL                 03674E108       12      235       SH            SOLE          1           0        0       235
CORP
AON CORP                             037389103       14      407       SH            SOLE          1           0        0       407
APPLE COMP INC                       037833100      143     2000       SH            SOLE          1           0        0      2000
APPLE COMP INC                       037833100      100     1400       SH           DEFINED        1        1400        0         0
APPLIED MATERIALS INC                038222105      806    44966       SH            SOLE          1       24843        0     20123
ARCHER-DANIELS-MIDLAND               039483102        6      279       SH            SOLE          1         279        0         0
COMPANY
ARGONAUT GROUP INC                   040157109       16      505       SH            SOLE          1           0        0       505
ARTHROCARE CORP         COM          043136100       14      335       SH            SOLE          1           0        0       335
ARVINMERITOR                         043353101        0       44       SH            SOLE          1          44        0         0
ASHFORD HOSPITALITY                  044103109       55     5315       SH            SOLE          1         805        0      4510
TRUST INC
AUGUST TECHNOLOGY CORP               05106U105        3      350       SH            SOLE          1           0        0       350
AUTOLIV INC COM                      052800109       15      334       SH            SOLE          1         334        0         0
AUTO DATA PROCESS                    053015103      208     4550       SH            SOLE          1        4550        0         0
AUTO DATA PROCESS                    053015103      100     2200       SH           DEFINED        1        2200        0         0
AUTOZONE                             053332102       18      200       SH            SOLE          1         200        0         0
AUTOZONE                             053332102       43      472       SH           DEFINED        1         472        0         0
AVAYA INC                            053499109        1      172       SH            SOLE          1         172        0         0
AVON PRODUCTS INC COM                054303102       39     1400       SH            SOLE          1        1400        0         0
BB&T CORP                            054937107       19      464       SH            SOLE          1         464        0         0
BASF AG                 ADR          055262505       41      547       SH            SOLE          1           0        0       547
BCE INC                              05534B109       23      977       SH            SOLE          1           0        0       977
BKF CAP GROUP INC       COM          05548G102        7      410       SH            SOLE          1          60        0       350
BJ SERVICES CO                       055482103      304     8297       SH            SOLE          1         302        0      7995
BP AMOCO PLC            SPONSORED    055622104      520     8098       SH            SOLE          1        7586        0       512
                        ADR
BP AMOCO PLC            SPONSORED    055622104      244     3810       SH           DEFINED        1           0        0      3800
                        ADR
BALDOR ELEC CO          COM          057741100    35527  1385627       SH           DEFINED        1     1385627        0         0
BANCORPSOUTH INC                     059692103    27033  1225475       SH            SOLE          1     1224475        0      1000
BANCORPSOUTH INC                     059692103     1598    72474       SH           DEFINED        1       69545     2592       337
BANK OF AMERICA CORP    NEW COM      060505104      911    19741       SH            SOLE          1       11354        0      8387
BANK OF AMERICA CORP    NEW COM      060505104       27      600       SH           DEFINED        1         600        0         0
BANK OF THE OZARKS,                  063904106     3401    92200       SH           DEFINED        1       92200        0         0
INC
BAXTER INTL INC                      071813109       75     2000       SH            SOLE          1        2000        0         0
BAXTER INTL INC PFD                  071813406       10      200       SH            SOLE          1         200        0         0
BEAR STEARNS COS INC                 073902108       99      857       SH            SOLE          1         857        0         0
BELLSOUTH CORP                       079860102      761    28114       SH            SOLE          1       22274        0      5840
BELLSOUTH CORP                       079860102       73     2696       SH           DEFINED        1         400     2296         0
BERKSHIRE HATHAWAY "A"               084670108       88        1       SH            SOLE          1           1        0         0
BERKSHIRE HATHAWAY      CL B         084670207        8        3       SH           DEFINED        1           3        0         0
INC DEL
BLACKROCK INVT                       09247D105       53     3000                     SOLE          1        3000        0         0
QUALITY MUNI TR INC
BLOCK H & R INC         COM          093671105        5      204       SH            SOLE          1           0        0       204
BOEING INC                           097023105       77     1100       SH            SOLE          1         500        0       600
BOSTON SCIENTIFIC                    101137107       64     2635       SH            SOLE          1         110        0      2525
BRIGGS & STRATTON CORP               109043109       55     1440       SH            SOLE          1         215        0      1225
BRISTOL MYERS SQUIBB                 110122108      263    11480       SH            SOLE          1       11480        0         0
CO
BRISTOL MYERS SQUIBB                 110122108       13      600       SH           DEFINED        1         600        0         0
CO
BROADCOM CORP                        111320107        9      200       SH            SOLE          1         200        0         0
BUILD-A-BEAR WORKSHOP                120076104        7      260       SH            SOLE          1           0        0       260
INC
BUILDERS FIRSTSOURCE    COM          12008R107       14      700       SH            SOLE          1           0        0       700
INC
BURLINGTON                           12189T104       21      310       SH            SOLE          1         310        0         0
NORTHERN/SANTA FE CORP
CB RICHARD ELLIS                     12497T101       37      645       SH            SOLE          1          95        0       550
GROUP CLASS A
CIGNA CORPORATION                    125509109      165     1478       SH            SOLE          1         101        0      1377
CVS CORP DELAWARE                    126650100       93     3537       SH            SOLE          1         675        0      2862
CADBURY SCHWEPPES PLC   ADR          127209302      155     4074       SH            SOLE          1        1200        0      2874
CADENCE DESIGN                       127387108       72     4308       SH            SOLE          1         181        0      4127
SYSTEMS INC
CALIFORNIA PIZZA                     13054D109       22      695       SH            SOLE          1           0        0       695
KITCHEN INCCOM
CANON INC               ADR REPSTG   138006309       57      982       SH            SOLE          1           0        0       982
                        5 SHRS
CAPITAL ONE FINL CORP   COM          14040H105     1342    15537       SH            SOLE          1       15537        0         0
CAREMARK RX INC                      141705103       93     1800       SH            SOLE          1           0        0      1800
CARNIVAL CORP                        143658300       85     1605       SH            SOLE          1         212        0      1393
CARTERS INC                          146229109       57      980       SH            SOLE          1           0        0       980
CATERPILLAR INC                      149123101       20      350       SH            SOLE          1         350        0         0
CELADON GROUP INC                    150838100       17      610       SH            SOLE          1           0        0       610
CENDANT CORP            COM          151313103      690    40001       SH            SOLE          1       39620        0       381
CENTERPOINT ENERGY INC               15189T107        9      724       SH            SOLE          1         224        0       500
CENTURY ALUMINUM CO                  156431108       20      770       SH            SOLE          1         120        0       650
CENTURYTEL, INC                      156700106       66     2000       SH            SOLE          1        2000        0         0
CERNER CORP COM                      156782104        2       24       SH            SOLE          1          24        0         0






                                                                                                            ** VOTING AUTHORITY **
                                                                                                           ------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000      QTY       PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  ----------   ---------   ------    -----      ---   ----  ----------   --------    -----   ------     -----
                                                                                             
CHEMTURA CORP COM                    163893100       67     5335       SH            SOLE          1           0     5335         0
CHEVRON CORPORATION                  166764100     1214    21395       SH            SOLE          1        9636        0     11759
CHEVRON CORPORATION                  166764100      127     2254       SH           DEFINED        1        2254        0         0
CHICO'S FAS INC                      168615102      118     2700       SH            SOLE          1           0        0      2700
CINERGY                              172474108        3       75       SH            SOLE          1          75        0         0
CISCO SYS INC                        17275R102      768    44908       SH            SOLE          1       26868        0     18040
CITIGROUP, INC                       172967101      673    13879       SH            SOLE          1        9944        0      3935
CITIGROUP, INC                       172967101      354     7307       SH           DEFINED        1        7307        0         0
CITIZENS HOLDING                     174715102     3583   158987       SH            SOLE          1      158987        0         0
COMPANY
COACH INC                            189754104       90     2700       SH            SOLE          1           0        0      2700
COCA COLA CO                         191216100      902    22397       SH            SOLE          1       16445        0      5952
COCA COLA CO                         191216100      226     5625       SH           DEFINED        1        5225        0       400
COCA COLA ENTERPRISES                191219104       38     2000       SH            SOLE          1        2000        0         0
INC COM
COLGATE-PALMOLIVE CO                 194162103      186     3407       SH            SOLE          1        3312        0        95
COLONIAL PPTYS TR       COM SH BEN   195872106        1       26       SH            SOLE          1           0        0        26
                        INT
COMCAST CORP            NEW CL A     20030N101        4      175       SH            SOLE          1         175        0         0
                        COM
COMCAST CORP            NEW CL A     20030N101       10      401       SH           DEFINED        1           0      401         0
                        COM
COMPUTER ASSOC INTL     COM          204912109     1087    38600       SH            SOLE          1       38600        0         0
INC
COMPUTER SCIENCES       COMMON       205363104        5       99       SH           DEFINED        1           0        0        99
CORPORATION
COMSTOCK HOMEBUILDING                205684103        7      525       SH            SOLE          1           0        0       525
COS
CONAGRA FOODS INC       COM          205887102        9      485       SH            SOLE          1           0        0       485
CONEXANT SYS INC COM                 207142100        0      176       SH            SOLE          1         176        0         0
CONNETICS CORPORATION                208192104       13      900       SH            SOLE          1           0        0       900
CONN'S INC                           208242107       21      590       SH            SOLE          1           0        0       590
CONN'S INC                           208242107       29      800       SH           DEFINED        1         800        0         0
CONOCO PHILLIPS                      20825C104      650    11183       SH            SOLE          1        8732        0      2451
CONSECO INC             NEW          208464883      105     4543       SH            SOLE          1        1033        0      3510
CONSOLIDATED EDISON                  209115104        1       34       SH            SOLE          1           0        0        34
INC COM
CONSOLIDATED GRAPHICS                209341106       38      810       SH            SOLE          1         115        0       695
INC
COOPER TIRE & RUBBER                 216831107      244    15953       SH            SOLE          1       14953        0      1000
CO
COOPER TIRE & RUBBER                 216831107        1      100       SH           DEFINED        1         100        0         0
CO
CORN PRODUCTS                        219023108       49     2060       SH            SOLE          1         305        0      1755
INTERNATIONAL INC
COSI INC                COM          22122P101        6      820       SH            SOLE          1           0        0       820
COSTCO WHOLESALE CORP                22160K105      173     3515       SH            SOLE          1         795        0      2720
COVENTRY HEALTH CARE                 222862104       10      185       SH            SOLE          1         185        0         0
INC
CREDIT SUISSE GROUP     ADR          225401108       47      928       SH            SOLE          1          94        0       834
CYBERSOURCE CORP        COM          23251J106       12     1830       SH            SOLE          1           0        0      1830
DNP SELECT INCOME FD                 23325P104       11     1100       SH            SOLE          1        1100        0         0
INC
DRS TECHNOLOGIES INC                 23330X100       45      876       SH            SOLE          1         134        0       742
DTE ENERGY CO                        233331107       11      270       SH            SOLE          1           0        0       270
DEERE & CO                           244199105      129     1895       SH            SOLE          1        1895        0         0
DELL INC                             24702R101      687    22940       SH            SOLE          1       15490        0      7450
DELTIC TIMBER INC                    247850100      363     7000       SH            SOLE          1        6752        0       248
DELTIC TIMBER INC                    247850100    33451   645043       SH           DEFINED        1           0   645043         0
DELUXE CORP                          248019101        8      285       SH            SOLE          1           0        0       285
DIAGEO P L C            SPON ADR     25243Q205       53      917       SH            SOLE          1          92        0       825
                        NEW
DIAMONDS TRUST FUND                  252787106       10      100       SH            SOLE          1         100        0         0
DIODES INC              COM          254543101       23      770       SH            SOLE          1           0        0       770
DIRECTTV GROUP INC                   25459L106       86     6099       SH            SOLE          1         350        0      5749
WALT DISNEY CO                       254687106      384    16052       SH            SOLE          1        9590        0      6462
DOLLAR THRIFTY AUTO                  256743105       49     1366       SH            SOLE          1         208        0      1158
GROUP INC
DOW CHEMICAL CO                      260543103       50     1155       SH            SOLE          1         900        0       255
DOW CHEMICAL CO                      260543103       21      483       SH           DEFINED        1         483        0         0
DREYFUS STRATEGIC                    261932107        0        9                     SOLE          1           9        0         0
MUNICIPALS INC
DU PONT EI D NEMOURS                 263534109      169     3995       SH            SOLE          1        2665        0      1330
& CO
DUKE ENERGY CORP COM                 264399106       60     2200       SH            SOLE          1        2200        0         0
DUKE REALTY CORP                     264411505       13      405       SH            SOLE          1           0        0       405
DYCOM INDUSTRIES INC                 267475101       23     1085       SH            SOLE          1         125        0       960
EMC CORP                             268648102      110     8100       SH            SOLE          1        3800        0      4300
EMC CORP                             268648102       50     3700       SH           DEFINED        1        3700        0         0
ENI S P A               SPONSORED    26874R108       42      304       SH            SOLE          1           0        0       304
                        ADR
EASTGROUP PROPERTIES                 277276101        2       60       SH            SOLE          1          60        0         0
INC
EATON CORP              COM          278058102      490     7314       SH            SOLE          1         173        0      7141
EBAY INC                             278642103      377     8741       SH            SOLE          1        1431        0      7310
ECOLAB INC              COMMON       278865100       42     1170       SH            SOLE          1        1170        0         0
EDO CORP                COM          281347104       40     1499       SH            SOLE          1         225        0      1274







                                                                                                            ** VOTING AUTHORITY **
                                                                                                          -------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000      QTY       PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  ----------   ---------   ------   ------      ---   ----  ----------   --------   ------   ------     -----
                                                                                             
EDWARDS LIFESCIENCES                 28176E108        9      240       SH            SOLE          1         240        0         0
CORP
EL PASO CORPORATION                  28336L109        2      166       SH            SOLE          1         166        0         0
ELECTRONIC ARTS INC                  285512109      669    12804       SH            SOLE          1         822        0     11982
EMERSON ELECTRIC CO                  291011104      104     1400       SH            SOLE          1        1400        0         0
ENCANA CORP-CAD                      292505104       34      764       SH            SOLE          1           0        0       764
ENCORE WIRE CORP        COM          292562105      726    31948       SH            SOLE          1        1348        0     30600
ENTERGY PARTNERS LTD                 29270U105       27     1256       SH            SOLE          1         187        0      1069
ENTERGY CORP                         29364G103      318     4638       SH            SOLE          1        1638        0      3000
ENTERGY CORP                         29364G103       40      593       SH           DEFINED        1         593        0         0
EQUITY INNS, INC                     294703103       10      775       SH            SOLE          1           0        0       775
EQUITY INNS, INC                     294703103       20     1500       SH           DEFINED        1        1500        0         0
EQUITY OFFICE PPTYS                  294741103       30     1000       SH            SOLE          1        1000        0         0
TRUST
ERICSSON (LM) TELE CO   ADR (NEW)    294821608        3       90       SH            SOLE          1          90        0         0
ESCO TECHNOLOGIES INC                296315104       11      250       SH            SOLE          1           0        0       250
ESSEX CORP                           296744105       12      715       SH            SOLE          1           0        0       715
ESTERLINE                            297425100       41     1110       SH            SOLE          1         165        0       945
TECHNOLOGIES CORP
EXCEL TECHNOLOGY INC    COM          30067T103       11      475       SH            SOLE          1           0        0       475
EXELON CORP                          30161N101       31      600       SH           DEFINED        1         600        0         0
EXPEDITORS INTL WASH    COM          302130109      197     2924       SH            SOLE          1         669        0      2255
INC
EXXON MOBIL CORP                     30231G102     6540   116434       SH            SOLE          1      110722        0      5712
EXXON MOBIL CORP                     30231G102     1450    25826       SH           DEFINED        1       16426     8600       800
FPL GROUP INC                        302571104       36      882       SH            SOLE          1         600        0       282
FAIR ISAAC & CO INC                  303250104       19      435       SH            SOLE          1         435        0         0
FEDERATED DEPT STORES                31410H101       79     1200       SH            SOLE          1           0        0      1200
INC
FEDEX CORPORATION                    31428X106       10      100       SH            SOLE          1         100        0         0
F5 NETWORKS INC         COM          315616102       47      839       SH            SOLE          1          48        0       791
FINANCIAL FED CORP COM               317492106       41      925       SH            SOLE          1         145        0       780
FIRST CASH FINANCIAL                 31942D107       19      680       SH            SOLE          1           0        0       680
SVC INC
FIRST DATA CORP         COM          319963104      610    14202       SH            SOLE          1         528        0     13674
FIRST HORIZON NATIONAL               320517105       13      364       SH            SOLE          1         277        0        87
FIRSTMERIT CORP                      337915102      204     7884       SH            SOLE          1        7884        0         0
FIRST ENERGY CORP       COMMON       337932107      195     4000       SH            SOLE          1        4000        0         0
FORD MOTOR COMPANY      COMMON       345370860        8     1160       SH            SOLE          1         660        0       500
FOREST LABS                          345838106       18      445       SH            SOLE          1         445        0         0
FREESCALE                            35687M206        1       73       SH            SOLE          1          73        0         0
SEMICONDUCTOR
FREESCALE                            35687M206        0       33       SH           DEFINED        1          33        0         0
SEMICONDUCTOR
FUJI PHOTO              NEW ADR      359586302       53     1600       SH            SOLE          1           0        0      1600
GALLAHER GROUP PLC      COM  ADR     363595109       12      200       SH            SOLE          1         200        0         0
GAP INC DEL             COM          364760108        4      238       SH            SOLE          1           0        0       238
GARDNER DENVER                       365558105       19      405       SH            SOLE          1           0        0       405
GENENTECH INC                        368710406      157     1700       SH            SOLE          1           0        0      1700
GENERAL ELECTRIC CO                  369604103     2131    60837       SH            SOLE          1       56637        0      4200
GENERAL ELECTRIC CO                  369604103       28      800       SH           DEFINED        1         800        0         0
GENERAL MLS INC         COM          370334104        9      200       SH            SOLE          1         200        0         0
GEN MTR CORP                         370442105        5      263       SH            SOLE          1         263        0         0
GENESEE & WYOMING                    371559105       77     2065       SH            SOLE          1         308        0      1757
CLASS A
GENLYTE GROUP INC                    372302109       19      365       SH            SOLE          1           0        0       365
GIBRALTAR INDUSTRIES                 374689107       46     2012       SH            SOLE          1         302        0      1710
INC
GILEAD SCIENCES INC                  375558103      105     2000       SH            SOLE          1           0        0      2000
GLAXOSMITHKLINE PLC     ADR          37733W105      189     3748       SH            SOLE          1         402        0      3346
GMX RESOURCES INC                    38011M108       38     1065       SH            SOLE          1         105        0       960
GOLDMAN SACHS GROUP                  38141G104      114      895       SH            SOLE          1         295        0       600
GOOGLE INC                           38259P508      248      600       SH            SOLE          1           0        0       600
GRANITE CONSTR INC      COM          387328107       22      630       SH            SOLE          1           0        0       630
GUIDANT CORP            COM          401698105       77     1200       SH            SOLE          1        1200        0         0
HCA INC.                             404119109       86     1703       SH            SOLE          1         263        0      1440
HCC INSURANCE                        404132102       29      986       SH            SOLE          1         327        0       659
HOLDINGS, INC
HSBC HLDGS PLC          SPONSORED    404280406       36      453       SH            SOLE          1           0        0       453
                        ADR
HAEMONETICS CORP                     405024100       21      450       SH            SOLE          1           0        0       450
HALLIBURTON CO          COM          406216101      340     5502       SH            SOLE          1        2583        0      2919
HANCOCK FABRICS                      409900107        6     1600       SH            SOLE          1        1600        0         0
JOHN HANCOCK PFD INC                 41013X106        8      400       SH            SOLE          1         400        0         0
II
JOHN HANCOCK                         41021P103        2      130       SH            SOLE          1         130        0         0
PREFERRED INCOME FUND
III
HARLEY DAVIDSON INC     COM          412822108      139     2716       SH            SOLE          1         646        0      2070
HARRIS CORP                          413875105      120     2800       SH            SOLE          1        2800        0         0
HARTFORD FNCL SV GRP                 416515104       16      187       SH            SOLE          1           0        0       187
INC COM
HAWAIIAN ELEC INDS INC               419870100       29     1130       SH           DEFINED        1        1130        0         0
HEALTH CARE SERVICES                 421906108       44     2140       SH            SOLE          1         320        0      1820
GROUP INC
HEALTHCARE REALTY TR                 421946104       48     1450       SH            SOLE          1         215        0      1235






                                                                                                            ** VOTING AUTHORITY **
                                                                                                           ------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000      QTY       PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  ----------   ---------   ------    -----      ---   ----  ----------   --------    -----   ------     -----
                                                                                             
HEADWATERS INC                       42210P102       12      345       SH            SOLE          1           0        0       345
HEALTH CARE REIT INC                 42217K106        1       32       SH            SOLE          1           0        0        32
HEINZ H J CO            COM          423074103       12      367       SH            SOLE          1         273        0        94
HEWLETT PACKARD CO                   428236103       65     2293       SH            SOLE          1        1977        0       316
HIGH INCOME                          42967Q105       15     2500       SH            SOLE          1        2500        0         0
OPPORTUNITY FD
HIGHLAND HOSPITALITY                 430141101       34     3138       SH            SOLE          1         478        0      2660
CORP
HILB ROGAL & HOBBS                   431294107       20      528       SH            SOLE          1         177        0       351
COMPANY
HOLLYWOOD MEDIA CORP                 436233100        5     1395       SH            SOLE          1           0        0      1395
HOLOGIC INC             COM          436440101       19      505       SH            SOLE          1           0        0       505
HOME DEPOT                           437076102      971    24006       SH            SOLE          1       15718        0      8288
HOME DEPOT                           437076102       61     1532       SH           DEFINED        1        1532        0         0
HOSPITALITY PROPERTIES               44106M102        1       26       SH            SOLE          1           0        0        26
HOSPIRA, INC                         441060100       19      450       SH           DEFINED        1          50      400         0
HUBBELL INC             CL B         443510201       45     1000       SH            SOLE          1           0        0      1000
HUMANA INC                           444859102       72     1341       SH            SOLE          1         175        0      1166
JB HUNT TRANSPORT SVC                445658107       14      635       SH            SOLE          1           0        0       635
INC
ING PRIME RATE TR       SH BEN INT   44977W106       46     6907       SH            SOLE          1        6907        0         0
ILLINOIS TOOL WORKS                  452308109       92     1055       SH            SOLE          1         205        0       850
INC
ING GROEP N V                        456837103      131     3771       SH            SOLE          1         360        0      3411
INTEL CORP CAP                       458140100     1086    43557       SH            SOLE          1       25287        0     18270
INTEL CORP CAP                       458140100       69     2800       SH           DEFINED        1        2800        0         0
IBM CORP                             459200101      748     9103       SH            SOLE          1        5740        0      3363
IBM CORP                             459200101       36      450       SH           DEFINED        1         450        0         0
INTERNATIONAL                        459412102        3      660       SH            SOLE          1           0        0       660
DISPLAYWORKS
INTL PAPER CO                        460146103       10      300       SH            SOLE          1         300        0         0
INTL PAPER CO                        460146103       30      900       SH           DEFINED        1           0      900         0
INVACARE CORP           COM          461203101       39     1265       SH            SOLE          1         195        0      1070
ISHARES MSCI EAFE                    464287465       14      243       SH            SOLE          1         243        0         0
INDEX FUND
ISHARES GOLDMAN SACHS                464287523       15      255       SH            SOLE          1         255        0         0
SEMICONDUCTOR IDX FD
IXYS CORP                            46600W106       15     1360       SH            SOLE          1           0        0      1360
JLG INDUSTRIES INC                   466210101       15      350       SH            SOLE          1           0        0       350
JPMORGAN CHASE & CO                  46625H100      693    17482       SH            SOLE          1       10746        0      6736
COM
JPMORGAN CHASE & CO                  46625H100      137     3456       SH           DEFINED        1        1500     1956         0
COM
JACUZZI BRANDS INC                   469865109       56     6725       SH            SOLE          1         980        0      5745
JEFFERSON PILOT                      475070108       13      230       SH            SOLE          1           0        0       230
CORPORATION
JOHNSON & JOHNSON                    478160104     2335    38866       SH            SOLE          1       33740        0      5126
JOHNSON & JOHNSON                    478160104      488     8125       SH           DEFINED        1        5800     1200      1125
JOHNSON CONTROLS INC                 478366107       53      731       SH            SOLE          1         600        0       131
JONES APPAREL GROUP                  480074103      262     8545       SH            SOLE          1         304        0      8241
INC
JONES LANG LASALLE INC  COM          48020Q107       17      355       SH            SOLE          1           0        0       355
KT CORP                 SPONSORED    48268K101       29     1392       SH            SOLE          1           0        0      1392
                        ADR
K2 INC                               482732104       30     3024       SH            SOLE          1         455        0      2569
KEYCORP                 NEW          493267108       66     2014       SH            SOLE          1        1100        0       914
KEYSPAN CORP COM                     49337W100       10      285       SH            SOLE          1           0        0       285
KIMBERLY-CLARK CORP                  494368103       11      195       SH            SOLE          1           0        0       195
KIMBERLY-CLARK CORP                  494368103       14      250       SH           DEFINED        1         250        0         0
KINDER MORGAN ENERGY                 494550106       39      832       SH            SOLE          1         832        0         0
PARTNERS, L.P
KONINKLIJKE PHLPS       ADR NEW      500472303       21      697       SH            SOLE          1           0        0       697
ELECTRS N V SP
KOREA ELECTRIC POWER    ADR          500631106       21     1091       SH            SOLE          1           0        0      1091
LTX CORP                             502392103        8     1815       SH            SOLE          1           0        0      1815
LANDSTAR SYSTEM INC                  515098101       38      915       SH            SOLE          1         137        0       778
ESTEE LAUDER CO                      518439104       53     1600       SH            SOLE          1           0        0      1600
ESTEE LAUDER CO                      518439104       20      600       SH           DEFINED        1         600        0         0
LEVEL 3                              52729N100       13     4685       SH            SOLE          1        4685        0         0
COMMUNICATIONS INC
THE LIBERTY                          530370105       65     1400       SH            SOLE          1        1400        0         0
CORPORATION
ELI LILLY & CO                       532457108      390     6900       SH            SOLE          1        6400        0       500
ELI LILLY & CO                       532457108       73     1300       SH           DEFINED        1        1300        0         0
LIMITED BRANDS, INC                  532716107      130     5821       SH            SOLE          1         666        0      5155
LINCOLN NATIONAL CORP                534187109       14      265       SH            SOLE          1           0        0       265
IND
LLOYDS TSB GROUP PLC    ADR          539439109      101     2994       SH            SOLE          1         390        0      2604
LOCKHEED MARTIN CORP                 539830109      318     5000       SH            SOLE          1        3320        0      1680
LOWES CO INC                         548661107      533     8005       SH            SOLE          1        4685        0      3320
LUCENT TECHNOLOGIES                  549463107        9     3388       SH            SOLE          1        2338        0      1050
LUCENT TECHNOLOGIES                  549463107        2     1000       SH           DEFINED        1        1000        0         0
LYONDELL CHEMICAL CO                 552078107       12      520       SH            SOLE          1           0        0       520
M & T BANK CORP                      55261F104      218     2000       SH            SOLE          1        2000        0         0
MBIA INC                             55262C100      381     6338       SH            SOLE          1         229        0      6109






                                                                                                            ** VOTING AUTHORITY **
                                                                                                          -------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000     QTY        PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  ----------   ---------   ------  -------      ---   ----  ----------   --------   ------  -------     -----
                                                                                             
MBNA CORP                            55262L100       16      590       SH            SOLE          1           0        0       590
MB FINANCIAL INC        NEW          55264U108       39     1120       SH            SOLE          1         175        0       945
MFA MTG INVTS INC       COM          55272X102       20     3609       SH            SOLE          1         544        0      3065
MANULIFE FINANCIAL                   56501R106     2021    34386       SH            SOLE          1       34386        0         0
CORP
MAPINFO CORP                         565105103        5      475       SH            SOLE          1           0        0       475
MARATHON OIL CORP                    565849106       22      375       SH            SOLE          1           0        0       375
MARRIOTT INTL INC       NEW CL A     571903202       60      900       SH            SOLE          1           0        0       900
MARTEN TRANSPORT LTD                 573075108       17      967       SH            SOLE          1           0        0       967
MASCO CORPORATION                    574599106       12      430       SH            SOLE          1           0        0       430
MATRIXX INITIATIVES                  57685L105        8      405       SH            SOLE          1           0        0       405
INC
MATTELL INC                          577081102       51     3278       SH            SOLE          1         313        0      2965
MAXIM INTEGRATED                     57772K101      256     7086       SH            SOLE          1         686        0      6400
PRODUCTS INC
MCCORMICK & SCHMICKS                 579793100        5      265       SH            SOLE          1           0        0       265
SEAFOOD
MCDERMOTT INTL INC      COM          580037109       45     1010       SH            SOLE          1           0        0      1010
MCDONALD'S CORP                      580135101      546    16201       SH            SOLE          1       10922        0      5279
MCGRATH RENTCORP                     580589109       47     1720       SH            SOLE          1         255        0      1465
MCKESSON CORP                        58155Q103      312     6059       SH            SOLE          1        3575        0      2484
MEADWESTVACO CORP                    583334107       43     1547       SH            SOLE          1        1547        0         0
MEDCO HEALTH                         58405U102       20      361       SH            SOLE          1         361        0         0
SOLUTIONS INC
MEDICAL ACTION                       58449L100        1       50       SH            SOLE          1          50        0         0
INDUSTRIES INC
MEDTRONIC INC           COM          585055106       51      900       SH            SOLE          1         900        0         0
MELLON FINL CORP                     58551A108       40     1188       SH            SOLE          1         800        0       388
MERCK & CO INC                       589331107      159     5027       SH            SOLE          1        4062        0       965
MERIT MED SYS INC                    589889104        7      645       SH            SOLE          1           0        0       645
MERRILL LYNCH & CO,                  590188108      408     6030       SH            SOLE          1        2705        0      3325
INC
METLIFE INC             COM          59156R108       27      557       SH            SOLE          1         557        0         0
MICROS SYSTEMS INC                   594901100       12      260       SH            SOLE          1           0        0       260
MICROSOFT CORP                       594918104     1168    44683       SH            SOLE          1       19117        0     25566
MICROSEMI CORP                       595137100       39     1420       SH            SOLE          1           0        0      1420
MID-AMERICA APARTMENT                59522J103       44      920       SH           DEFINED        1         920        0         0
CMNTYS
MIDAS GROUP INC                      595626102       12      666       SH            SOLE          1         666        0         0
MILLEA HLDGS INC        ADR          60032R106       24      284       SH            SOLE          1           0        0       284
MILLER HERMAN INC       COM          600544100       16      600       SH            SOLE          1         600        0         0
MINDSPEED TECNOLOGIES                602682106        0       58       SH            SOLE          1          58        0         0
MOBILE MINI INC         COM          60740F105       21      460       SH            SOLE          1           0        0       460
MONEYGRAM                            60935Y109        9      348       SH            SOLE          1         348        0         0
INTERNATIONAL INC
MONRO MUFFLER BRAKE     COM          610236101       38     1255       SH            SOLE          1         195        0      1060
INC
MONSANTO CO. (NEW)                   61166W101       14      187       SH            SOLE          1         187        0         0
MOODYS CORP                          615369105      287     4683       SH            SOLE          1        1518        0      3165
MOOG INC                CL A         615394202       33     1179       SH            SOLE          1         178        0      1001
MORGAN STANLEY DEAN                  617446448      726    12811       SH            SOLE          1        8029        0      4782
WITTER DISCOVER & CO
MORGAN STANLEY DEAN                  617446448       14      260       SH           DEFINED        1         260        0         0
WITTER DISCOVER & CO
MOTOROLA INC                         620076109       49     2172       SH            SOLE          1        1768        0       404
MOTOROLA INC                         620076109        6      300       SH           DEFINED        1         300        0         0
MUNICIPAL MORTGAGE &    SH           62624B101      103     4000       SH            SOLE          1        4000        0         0
EQUITY LLC - GROWTH
MUNIVEST FD INC         COM          626295109       48     5000                     SOLE          1        5000        0         0
MUNIYIELD INSURED                    62630E107      112     7500                    DEFINED        1        7500        0         0
MURPHY OIL CORP         COM          626717102     7916   146625       SH            SOLE          1      139826        0      6799
MURPHY OIL CORP         COM          626717102   501816  9294612       SH           DEFINED        1           0  9294612         0
MYLAN LABORATORIES INC               628530107       38     1908       SH            SOLE          1        1908        0         0
NBC CAP CORP                         628729105      103     4333       SH            SOLE          1        4333        0         0
NCI BUILDING SYS INC    COM          628852105       20      490       SH            SOLE          1           0        0       490
NMS COMMUNICATIONS                   629248105        3      960       SH            SOLE          1           0        0       960
CORP
NASDAQ 100 TRUST                     631100104       24      600       SH            SOLE          1         600        0         0
NATIONAL AUSTRALIA BK   ADR          632525408       40      338       SH            SOLE          1           0        0       338
LTD
NATIONAL CITY CORP      COM          635405103        2       79       SH            SOLE          1           0        0        79
NAVARRE CORP                         639208107        6     1150       SH            SOLE          1           0        0      1150
NAVTEQ CORP             COM          63936L100       70     1600       SH            SOLE          1           0        0      1600
NETGEAR INC             COM          64111Q104       11      582       SH            SOLE          1          88        0       494
NEUSTAR INC             CL A         64126X201       29      980       SH            SOLE          1           0        0       980
NEWPARK RESOURCES, INC               651718504        0        8       SH            SOLE          1           8        0         0
NEWS CORP                            65248E104      422    27177       SH            SOLE          1        1209        0     25968
NEWS CORP               CL B NEW     65248E203        5      337       SH            SOLE          1           0        0       337
IKE INC CLASS B                      654106103      156     1800       SH            SOLE          1         700        0      1100
NIPPON TEL & TEL SPON   ADR          654624105       37     1624       SH            SOLE          1         160        0      1464
NISOURCE INC                         65473P105      300    14406       SH            SOLE          1        8145        0      6261
NOKIA CORP SPND         ADR          654902204      136     7480       SH            SOLE          1         400        0      7080
NOMURA HOLDINGS INC     ADR          65535H208       59     3093       SH            SOLE          1         309        0      2784
NORDSON CORP COM                     655663102       52     1285       SH            SOLE          1         195        0      1090
NORFOLK SO CORP                      655844108       64     1434       SH            SOLE          1        1434        0         0
NORTEL NETWORK CORP     NEW          656568102       15     5000       SH            SOLE          1        5000        0         0
NORTHERN TRUST                       665859104      102     1980       SH            SOLE          1        1980        0         0







                                                                                                            ** VOTING AUTHORITY **
                                                                                                          -------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000     QTY        PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  ----------   ---------   ------  -------      ---   ----  ----------   --------   ------  -------     -----
                                                                                             
COMPANY NTRS
NORTHERN TRUST                       665859104      186     3600       SH           DEFINED        1        3600        0         0
COMPANY NTRS
NORTHRUP GRUMMAN                     666807102       13      225       SH            SOLE          1           0        0       225
NOVARTIS AG  SPONSORED  ADR          66987V109      193     3685       SH            SOLE          1         158        0      3527
NUVEEN INSD PREMIUM                  6706D8104        4      338                     SOLE          1         338        0         0
INCOME MUNI FD
NUVEEN PREMIUM INCOME                6706K4105       24     2000                    DEFINED        1        2000        0         0
MUN FUND 4
NUVEEN PREMIER                       670987106       14     1000                    DEFINED        1        1000        0         0
INSURED MUN INCOME
FUND INC
NUVEEN PREMIER                       670988104       20     1565                     SOLE          1        1565        0         0
MUNICIPAL INC
OCCIDENTAL PETE COR                  674599105      117     1475       SH            SOLE          1         500        0       975
DEL
OCTEL CORP              COM          675727101        9      600       SH            SOLE          1           0      600         0
OIL STATES                           678026105       21      685       SH            SOLE          1         105        0       580
INTERNATIONAL INC
OLIN CORP                            680665205        7      400       SH            SOLE          1         400        0         0
OLIN CORP                            680665205        3      166       SH           DEFINED        1         166        0         0
OMNIVISION                           682128103       16      820       SH            SOLE          1           0        0       820
TECHNOLOGIES
OPENWAVE SYS INC        COM NEW      683718308       20     1180       SH            SOLE          1           0        0      1180
ORACLE SYSTEMS CORP                  68389X105      168    13775       SH            SOLE          1        8585        0      5190
ORANGE                               685317109        4     1130       SH            SOLE          1           0        0      1130
PNC BANK CORP                        693475105        4       67       SH            SOLE          1           0        0        67
PPG INDUSTRIES INC                   693506107        5       99       SH            SOLE          1           0        0        99
PACKAGING CORP AMER                  695156109        3      141       SH            SOLE          1           0        0       141
PACTIV COPR                          695257105       19      897       SH            SOLE          1         897        0         0
PAR TECHNOLOGY CORP     COM          698884103       10      395       SH            SOLE          1           0        0       395
PATTERSON COMPANIES                  703395103      284     8529       SH            SOLE          1         619        0      7910
INC
PCCW LTD SONSORED       ADR          70454G207        2      494       SH           DEFINED        1         494        0         0
PEDIATRIX MEDICAL                    705324101       70      793       SH            SOLE          1         120        0       673
GROUP INC
 PEOPLES ENERGY CORP    COM          711030106        1       57       SH            SOLE          1           0        0        57
PEPSIAMERICAS INC                    71343P200       93     4000       SH            SOLE          1        4000        0         0
PEPSICO INC             COM          713448108     1384    23434       SH            SOLE          1       22134        0      1300
PEPSICO INC             COM          713448108       90     1530       SH           DEFINED        1         430     1100         0
PERFICIENT INC          COM          71375U101        6      695       SH            SOLE          1           0        0       695
PETROCHINA CO LTD                    71646E100       15      195       SH            SOLE          1           0        0       195
PETROHAWK ENERGY CORP                716495106       32     2460       SH            SOLE          1         386        0      2074
PETROBRAS                            71654V408       12      180       SH            SOLE          1           0        0       180
PFIZER INC                           717081103     1313    56329       SH            SOLE          1       30409        0     25920
PFIZER INC                           717081103       67     2900       SH           DEFINED        1        2200      700         0
PIKE ELEC CORP          COM          721283109       36     2237       SH            SOLE          1         335        0      1902
PILGRIMS PRIDE CORP                  721467108       22      680       SH            SOLE          1         680        0         0
COM
PIMCO MUNI INCOME                    72201A103       21     1333                     SOLE          1        1333        0         0
FUND III
PINNACLE WEST CAP CORP               723484101      294     7115       SH            SOLE          1        4335        0      2780
PIONEER DRILLING CO     COM          723655106       26     1460       SH            SOLE          1           0        0      1460
PLUM CREEK TIMBER CO                 729251108      251     6987       SH            SOLE          1        6987        0         0
INC
POWER-ONE INC                        739308104       13     2215       SH            SOLE          1           0        0      2215
POWER TECHNOLOGIES                   739363109       22     1790       SH            SOLE          1           0        0      1790
PRESSTEK INC            COM          741113104       13     1490       SH            SOLE          1           0        0      1490
PRINCIPAL FINANCIAL                  74251V102       27      572       SH            SOLE          1         572        0         0
GROUP
PROCTER & GAMBLE CO     COM          742718109     1882    32529       SH            SOLE          1       26644        0      5885
PROCTER & GAMBLE CO     COM          742718109      444     7676       SH           DEFINED        1        7676        0         0
PROGRESS SOFTWARE CORP  COM          743312100       19      670       SH            SOLE          1           0        0       670
PROVIDENCE SYC CORP                  743815102       18      645       SH            SOLE          1           0        0       645
PSYCHIATRIC SOLUTIONS                74439H108       30      520       SH            SOLE          1           0        0       520
PUBLIC SVC ENTERPRISE                744573106       12      185       SH            SOLE          1           0        0       185
GROUP INC
PUTNAM MANAGED                       746823103        1      250                     SOLE          1         250        0         0
MUNICIPAL INCOME TRUST
QLOGIC CORP             COM          747277101       16      500       SH            SOLE          1         500        0         0
QUALCOMM INC                         747525103       81     1900       SH            SOLE          1           0        0      1900
QWEST COMMUNICATIONS                 749121109        4      714       SH            SOLE          1         714        0         0
INTL INC COM
CEF RMK HIGH INCOME                  74963B105       17     1008       SH            SOLE          1        1008        0         0
FUND
RAYMOND JAMES                        754730109       76     2039       SH            SOLE          1         302        0      1737
FINANCIAL CORP
REDWOOD TR INC          COM          758075402       20      485       SH            SOLE          1          75        0       410
REED ELSEVIER PLC SPON  ADR          758205108       49     1329       SH            SOLE          1           0        0      1329
REGIS CORPORATION-MN                 758932107       52     1365       SH            SOLE          1         207        0      1158
REGIONS FINANCIAL CORP  NEW          7591EP100     1528    44747       SH            SOLE          1       43892        0       855






                                                                                                            ** VOTING AUTHORITY **
                                                                                                          -------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000     QTY        PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  -----------  ---------   ------  -------      ---   ----  ----------   --------   ------  -------     -----
                                                                                             
REGIONS FINANCIAL CORP  NEW          7591EP100       75     2205       SH           DEFINED        1           0     2205         0
RELIANT ENERGY INC                   75952B105        4      394       SH            SOLE          1           0        0       394
RELIANT ENERGY INC                   75952B105       17     1712       SH           DEFINED        1        1712        0         0
RENASANT CORP           COM          75970E107       23      750       SH            SOLE          1         750        0         0
REPSOL YPF              ADR          76026T205       31     1074       SH            SOLE          1           0        0      1074
REPUBLIC BANCORP INC                 760282103       45     3847       SH            SOLE          1         582        0      3265
REYNOLDS & REYNOLDS CO  CL A         761695105       39     1413       SH            SOLE          1         214        0      1199
REYNOLDS AMERICAN INC                761713106       15      165       SH            SOLE          1           0        0       165
ROCKWELL AUTOMATION,                 773903109       10      177       SH            SOLE          1         177        0         0
INC
ROCKWELL COLLINS INC                 774341101        8      177       SH            SOLE          1         177        0         0
ROHM & HAAS CO          COM          775371107       17      361       SH            SOLE          1         361        0         0
ROYAL DUTCH SHELL PLC   SPON ADR B   780259107       58      906       SH            SOLE          1          30        0       876
ROYAL DUTCH SHELL PLC   SPON ADR B   780259107      100     1551       SH           DEFINED        1        1551        0         0
ROYAL DUTCH SHELL PLC                780259206      196     3200       SH           DEFINED        1        3200        0         0
RUBIO'S RESTAURANTS                  78116B102        6      695       SH            SOLE          1           0        0       695
INC
RUBY TUESDAY INC                     781182100       16      630       SH           DEFINED        1           0        0       630
RUSH ENTERPRISES INC                 781846209       15     1045       SH            SOLE          1           0        0      1045
SVB FINL GROUP          COM          78486Q101       24      515       SH            SOLE          1           0        0       515
ST JUDE MEDICAL                      790849103       95     1900       SH            SOLE          1           0        0      1900
ST PAUL TRAVELERS                    792860108      100     2247       SH            SOLE          1         252        0      1995
CO.'S INC
SANOFI-AVENTIS          ADR          80105N105       79     1800       SH            SOLE          1           0        0      1800
SAP                                  803054204       90     2000       SH            SOLE          1           0        0      2000
AKTIENGESELLSCHAFT
SPNSDADRS
SCANA CORP              NEW          80589M102        8      222       SH            SOLE          1         222        0         0
SCHERING PLOUGH CORP    COM          806605101      300    14434       SH            SOLE          1       14434        0         0
SCHLUMBERGER LTD        COM          806857108      275     2840       SH            SOLE          1        1140        0      1700
THE CHARLES SCHWAB                   808513105      121     8300       SH            SOLE          1           0        0      8300
CORP
SCRIPPS EW INC          NEW CL A     811054204       28      600       SH            SOLE          1         600        0         0
SELECT SECTOR SPDR                   81369Y209       27      880       SH            SOLE          1         880        0         0
HEALTH CARE
SELECT COMFORT CORP                  81616X103       15      565       SH            SOLE          1           0        0       565
SEMPRA ENERGY           COM          816851109       13      310       SH            SOLE          1           0        0       310
SERACARE LIFE                        81747Q100        2      315       SH            SOLE          1           0        0       315
SCIENCES INC
SEROLOGICALS CORP                    817523103       30     1555       SH            SOLE          1         235        0      1320
SERVICEMASTER COMPANY   COM          81760N109       71     6023       SH            SOLE          1        6023        0         0
SIGMA ALDRICH CORP                   826552101        8      135       SH            SOLE          1         135        0         0
SIGNATURE BK NEW YORK   COM          82669G104       13      480       SH            SOLE          1           0        0       480
N Y
SIMMONS 1ST NATL CORP   CL A $1 PAR  828730200      365    13200       SH            SOLE          1       13200        0         0
SIMMONS 1ST NATL CORP   CL A $1 PAR  828730200       13      500       SH           DEFINED        1         500        0         0
SIMON PROPERTY GROUP                 828806109      153     2000       SH            SOLE          1        2000        0         0
INC
SKYWORKS SOLUTIONS                   83088M102        0      166       SH            SOLE          1         166        0         0
SMUCKER J M CO                       832696405        0        3       SH            SOLE          1           3        0         0
SONY CORP                            835699307       47     1173       SH            SOLE          1           0        0      1173
SONY CORP                            835699307       40     1000       SH           DEFINED        1        1000        0         0
SOTHEBYS HLDGS INC      CL A         835898107       19     1075       SH            SOLE          1           0        0      1075
SONUS NETWORKS INC                   835916107        8     2360       SH            SOLE          1         353        0      2007
SOUTHERN CO             COM          842587107      281     8144       SH            SOLE          1        8087        0        57
SOUTHERN CO             COM          842587107      152     4426       SH           DEFINED        1        4426        0         0
SOUTHWEST AIRLS CO      COM          844741108       40     2450       SH            SOLE          1        2450        0         0
SOUTHWESTERN ENERGY CO               845467109       73     2049       SH            SOLE          1        1009        0      1040
SPRINT NEXTEL CORP      COM          852061100     1479    63325       SH            SOLE          1       59725        0      3600
STANLEY WORKS                        854616109       13      290       SH            SOLE          1           0        0       290
STARBUCKS CORP                       855244109      184     6144       SH            SOLE          1        1151        0      4993
STATOIL ASA SPON        ADR          85771P102       31     1368       SH            SOLE          1           0        0      1368
STORA ENSO OYJ          ADR          86210M106       34     2580       SH            SOLE          1           0        0      2580
STRATASYS INC                        862685104       11      465       SH            SOLE          1           0        0       465
STRAYED ED INC COM                   863236105       39      419       SH            SOLE          1          64        0       355
STRYKER CORP                         863667101       11      260       SH            SOLE          1         260        0         0
SUNCOR ENERGY                        867229106       63     1000       SH            SOLE          1           0        0      1000
SUNOCO INC                           86764P109       23      300       SH            SOLE          1         300        0         0
SUNRISE SENIOR LIVING                86768K106       19      590       SH            SOLE          1           0        0       590
INC COM
SUNTRUST BANKS INC      COM          867914103       74     1030       SH            SOLE          1        1030        0         0
SYMYX TECHNOLOGIES      COM          87155S108       15      585       SH            SOLE          1           0        0       585
SYNAPTICS INC                        87157D109       31     1258       SH            SOLE          1         190        0      1068
SYSCO CORP                           871829107       30      983       SH            SOLE          1         983        0         0
TEPPCO PARTNERS LP                   872384102       31     1100       SH            SOLE          1        1100        0         0
TNT N V SPONSORED       ADR          87260W101       57     1850       SH            SOLE          1           0        0      1850
TNS INC                 COM          872960109        9      505       SH            SOLE          1           0        0       505
TXU CORP                             873168108      170     3400       SH            SOLE          1         400        0      3000
TAIWAN SEMICONDUCTOR    ADR'S        874039100       25     2579       SH            SOLE          1           0        0      2579
MFG






                                                                                                            ** VOTING AUTHORITY **
                                                                                                          -------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT    OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000     QTY        PRN   CALL  DISCRETION   MANAGERS    SOLE    SHARED      NONE
----------------------  ----------   ---------   ------  -------      ---   ----  ----------   --------   ------  -------     -----
                                                                                             
CO LTD
TARGET CORP                          87612E106      225     4107       SH            SOLE          1        1148        0      2959
TARGET CORP                          87612E106       21      400       SH           DEFINED        1         400        0         0
TEAM INC                             878155100       40     1940       SH            SOLE          1         295        0      1645
TELECOM CORP OF NEW                  879278208        3      111       SH            SOLE          1           0        0       111
ZEALAND
TELEFONOS DE MEXICO     ADR          879403780       44     1796       SH            SOLE          1           0        0      1796
SA DE CV SPONS
TELLABS INC DELAWARE                 879664100        2      200       SH           DEFINED        1         200        0         0
TEMPLE INLAND INC       COM          879868107       80     1800       SH            SOLE          1        1800        0         0
TERRA INDUSTRIES INC                 880915103        0       15       SH            SOLE          1          15        0         0
TEVA PHARMACEUTICAL     ADR'S        881624209      195     4540       SH            SOLE          1        1025        0      3515
IND
TESSERA TECHNOLOGIES                 88164L100        5      230       SH            SOLE          1           0        0       230
INC
TEXAS INSTRUMENTS                    882508104      134     4210       SH            SOLE          1        1410        0      2800
THORNBURG MORTGAGE INC               885218107       13      500       SH            SOLE          1         500        0         0
3M CO                                88579Y101      575     7431       SH            SOLE          1        4746        0      2685
TIDEWATER INC                        886423102       13      300       SH            SOLE          1           0        0       300
TIFFANY & CO            NEW          886547108       84     2200       SH            SOLE          1        2200        0         0
TIME WARNER INC                      887317105      308    17725       SH            SOLE          1       17725        0         0
TOTAL FINA ELF S.A.     ADR          89151E109       42      340       SH            SOLE          1          34        0       306
TOYOTA MOTOR CORP       ADR NEW      892331307       42      402       SH            SOLE          1          40        0       362
TRADESTATION GROUP INC               89267P105       11      950       SH            SOLE          1           0        0       950
TRANSACTION SYS                      893416107       26      935       SH            SOLE          1           0        0       935
ARCHITECTS COM
TRIAD HOSPS INC                      89579K109       12      323       SH            SOLE          1         100        0       223
TRIARC COMPANIES "B"                 895927309       46     3120       SH            SOLE          1         470        0      2650
SR1
TRIBUNE COMPANY                      896047107       36     1200       SH            SOLE          1        1200        0         0
TRUSTMARK CORP COM                   898402102      429    15659       SH            SOLE          1       15659        0         0
TYCO INTL LTD           NEW COM      902124106        9      330       SH            SOLE          1           0        0       330
TYLER TECHNOLOGIES INC  COM          902252105       23     2675       SH            SOLE          1         400        0      2275
TYSON FOODS INC         CL A         902494103      355    20831       SH            SOLE          1         721        0     20110
UCBH HOLDINGS INC                    90262T308       44     2471       SH            SOLE          1         374        0      2097
USA TRUCK INC                        902925106     1208    41498       SH            SOLE          1       41498        0         0
-RESTRICTED
US BANCORP              DEL NEW      902973304      114     3837       SH            SOLE          1         462        0      3375
US CONCRETE INC                      90333L102       26     2815       SH            SOLE          1         420        0      2395
U S HOME SYS INC                     90335C100        3      605       SH            SOLE          1           0        0       605
UNION PACIFIC CORP                   907818108       16      200       SH            SOLE          1         200        0         0
UNION PACIFIC CORP                   907818108      305     3800       SH           DEFINED        1           0     3800         0
UNITED AUTO GROUP                    909440109       29      762       SH            SOLE          1         116        0       646
UNITED UTILITIES PLC                 91311Q105        2      111       SH            SOLE          1           0        0       111
SP
UNITED HEALTHCARE CORP               91324P102      105     1700       SH            SOLE          1           0        0      1700
UNITED COMPRESSION                   913431102       77     1896       SH            SOLE          1         282        0      1614
HOLDINGS
UNIVERSAL TRUCKLOAD                  91388P105       21      915       SH            SOLE          1           0        0       915
SVCS INC
UPM KYMMENE CORP SPN    ADR          915436109       19     1016       SH            SOLE          1           0        0      1016
VF CORPORATION                       918204108       11      215       SH            SOLE          1           0        0       215
VALUECLICK INC          COM          92046N102       18     1010       SH            SOLE          1           0        0      1010
VARIAN MEDICAL SYSTEMS               92220P105      169     3375       SH            SOLE          1         795        0      2580
VARIAN SEMICONDUCTOR                 922207105       30      700       SH            SOLE          1           0        0       700
EQUIP
VERIZON COMMUNICATIONS               92343V104      477    15865       SH            SOLE          1        9255        0      6610
VERIZON COMMUNICATIONS               92343V104       75     2517       SH           DEFINED        1        1719      798         0
VIAD CORPORATION                     92552R406        2       87       SH            SOLE          1          87        0         0
VIACOM INC              CL B         925524308      389    11944       SH            SOLE          1       11730        0       214
VIACOM INC              CL B         925524308       10      325       SH           DEFINED        1         325        0         0
VIGNETTE CORP           COM NEW      926734401       33     2085       SH            SOLE          1         315        0      1770
VISTEON CORP                         92839U107        0       10       SH            SOLE          1          10        0         0
VITRAN CORP                          92850E107       12      630       SH            SOLE          1           0        0       630
VODAFONE GROUP PLC      NEW          92857W100      205     9586       SH            SOLE          1        3409        0      6177
VODAFONE GROUP PLC      NEW          92857W100       12      565       SH           DEFINED        1           0      565         0
W H ENERGY SERVICES                  92925E108       19      575       SH            SOLE          1           0        0       575
WPP GROUP PLC SPON      ADR 0905     929309409      380     7052       SH            SOLE          1         260        0      6792
WACHOVIA CORP 2ND       NEW          929903102      481     9116       SH            SOLE          1        5504        0      3612
WACHOVIA CORP 2ND       NEW          929903102       26      500       SH           DEFINED        1         500        0         0
WAL MART STORES INC     COM          931142103     1675    35802       SH            SOLE          1       30867        0      4935
WAL MART STORES INC     COM          931142103      188     4036       SH           DEFINED        1        1036     3000         0
WALGREEN CO             COM          931422109      243     5503       SH            SOLE          1        2383        0      3120
WASHINGTON MUTUAL INC                939322103      374     8619       SH            SOLE          1         290        0      8329
WASTE CONNECTIONS INC                941053100       51     1496       SH            SOLE          1         221        0      1275
WASTE MANAGEMENT INC    NEW          94106L109      106     3510       SH            SOLE          1        1250        0      2260
WATSCO INC                           942622200       64     1080       SH            SOLE          1         155        0       925
WEBEX COMMUNICATIONS    COM          94767L109       16      785       SH            SOLE          1           0        0       785
INC
WELLPOINT INC COM                    94973V107      119     1500       SH            SOLE          1           0        0      1500
WELLS FARGO & CO.       NEW          949746101      121     1931       SH            SOLE          1        1660        0       271






                                                                                                          ** VOTING AUTHORITY **
                                                                                                        ---------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT  OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000       QTY      PRN   CALL  DISCRETION MANAGERS    SOLE    SHARED   NONE
----------------------  ----------   ---------   ------  ------------ ---   ----  ---------- --------   ------  -------  ----------
                                                                                        
WELLS FARGO & CO.       NEW          949746101       12      200       SH           DEFINED      1         200        0      0
WESTAR ENERGY INC                    95709T100       58     2730       SH            SOLE        1         580        0   2150
WEYERHAEUSER CO         COM          962166104       33      500       SH            SOLE        1           0        0    500
WHIRLPOOL CORP                       963320106       31      380       SH            SOLE        1           0        0    380
WHITING PETE CORP       NEW COM      966387102       44     1109       SH            SOLE        1         164        0    945
WHITNEY HOLDING CORP    COMMON       966612103       58     2125       SH            SOLE        1        2125        0      0
WHOLE FOODS MARKET INC               966837106      201     2600       SH            SOLE        1           0        0   2600
WILLIAMS SONOMA INC                  969904101       64     1500       SH            SOLE        1           0        0   1500
WITNESS SYSTEM INC                   977424100       21     1100       SH            SOLE        1           0        0   1100
WYETH                                983024100      832    18072       SH            SOLE        1       11077        0   6995
XM SATELLITE                         983759101      681    25000       SH            SOLE        1       25000        0      0
XCEL ENERGY INC                      98389B100        2      154       SH            SOLE        1         154        0      0
YAHOO INC                            984332106      348     8891       SH            SOLE        1         429        0   8462
YUM BRANDS INC                       988498101       63     1346       SH            SOLE        1        1346        0      0
ZIMMER HLDGS INC                     98956P102      116     1722       SH            SOLE        1         409        0   1313
AMERICAN CAP            COM          024937104     1807     1230                     SOLE      NONE          0        0   1230
STRATEGIES LTD
AUTOMATIC DATA          COM          053015103     2115      100                     SOLE      NONE          0        0    100
PROCESSING INC
AFLAC INC                            001055102      527      500                     SOLE      NONE          0        0    500
AK STL HLDG CORP        COM          001547108      252     2000                     SOLE      NONE          0        0   2000
ALLSTATE CORP                        020002101     2549      350                     SOLE      NONE          0        0    350
AMGEN INC                            031162100     1387      390                     SOLE      NONE          0        0    390
AMSURG CORP             COM          03232P405      728      500                     SOLE      NONE          0        0    500
AMSOUTH                 COM          032165102     2269    13724                     SOLE      NONE          0        0  13724
BANCORPORATION
ALLTEL CORP                          020039103     2300      225                     SOLE      NONE          0        0    225
ACTIVISION INC          (NEW)        004930202      116     1000                     SOLE      NONE          0        0   1000
BOEING CO               COM          097023105      728      500                     SOLE      NONE          0        0    500
BANK OF AMERICA         COM          060505104     6558     2190                     SOLE      NONE          0        0   2190
BEST BUY COMPANY INC                 086516101      134       97                     SOLE      NONE          0        0     97
BARCLAYS PLC            ADRS         06738E204      351       75                     SOLE      NONE          0        0     75
BHP BILLITON LTD        SPONSORED    088606108      527      500                     SOLE      NONE          0        0    500
                        ADR
                        ISIN#US08860
                        61086
BIOMET INC                           090613100      527      500                     SOLE      NONE          0        0    500
BROWN & BROWN INC                    115236101      434      400                     SOLE      NONE          0        0    400
BONANZA RES CORP        COM          09784P107      728      122                     SOLE      NONE          0        0    122
                        ISIN#CA09784
                        P1071
BOSTON SCIENTIFIC CORP               101137107      134      120                     SOLE      NONE          0        0    120
ANHEUSER-BUSCH COS INC               035229103      485      175                     SOLE      NONE          0        0    175
BANCORPSOUTH INC                     059692103     2385    13123                     SOLE      NONE          0        0  13123
BACKYARD BURGERS INC    COM          05635W101      270     2000                     SOLE      NONE          0        0   2000
CITIGROUP INC           COM          172967101     9116     4955                     SOLE      NONE          0        0   4955
CINERGY CORP            COM          172474108     2992     1050                     SOLE      NONE          0        0   1050
PUT 100 CHIRON CORP                  1700409PH      728       50                     SOLE      NONE          0        0     50
EXP 04-22-06 @ 40
PUT 100 CHIRON CORP                  1700409PI      527        7             PUT     SOLE      NONE          0        0      7
EXP 04-22-06 @ 45
COLGATE-PALMOLIVE CO                 194162103      601      500             PUT     SOLE      NONE          0        0    500
CLEVELAND CLIFFS INC                 185896107     1255      550                     SOLE      NONE          0        0    550
CAPITAL ONE FINL CORP   COM          14040H105      185      100                     SOLE      NONE          0        0    100
CREE INC                COM          225447101      116      500                     SOLE      NONE          0        0    500
CISCO SYSTEMS INC                    17275R102     3209     5900                     SOLE      NONE          0        0   5900
COVENTRY HEALTH CARE    COM          222862104      455      650                     SOLE      NONE          0        0    650
INC
CVS CORP                COM          126650100      270      500                     SOLE      NONE          0        0    500
CHEVRON CORP            COM          166764100      810      596                     SOLE      NONE          0        0    596
DELL INC                COM          24702R101     2252     1650                     SOLE      NONE          0        0   1650
DELUXE CORP                          248019101      533      310                     SOLE      NONE          0        0    310
DOW CHEM CO                          260543103     5248     2965                     SOLE      NONE          0        0   2965
DIRECTV GROUP INC       COM          25459L106      657                              SOLE      NONE          0        0
DUKE ENERGY CORP        COM          264399106     6056     3175                     SOLE      NONE          0        0   3175
ISHARES TR DOW JONES                 464287168      601      300                     SOLE      NONE          0        0    300
SELECT DIVID INDEX
FD
ISHARES TR MSCI EAFE                 464287465     1607     1194                     SOLE      NONE          0        0   1194
INDEX FD
EMULEX CORP             COM NEW      292475209      270      500                     SOLE      NONE          0        0    500
ISHARES INC MSCI                     464286665     9069     4872                     SOLE      NONE          0        0   4872
PACIFIC EX JAPAN
INDEX FD
ISHARES INC MSCI                     464286848     2115     1500                     SOLE      NONE          0        0   1500
JAPAN INDEX FD
ISHARES INC MSCI                     464286830     5696    20491                     SOLE      NONE          0        0  20491
MALAYSIA FREE INDEX
FD
FEDEX CORP              COM          31428X106      910      470                     SOLE      NONE          0        0    470
FEDERAL SIGNAL CORP                  313855108      116     1000                     SOLE      NONE          0        0   1000
FOSTER WHEELER LTD      SHS NEW      G36535139      728      500                     SOLE      NONE          0        0    500
                        ISIN#BMG3653
                        51391
GENERAL AMERN INVS CO   COM          368802104     9069    11800                     SOLE      NONE          0        0  11800
INC
GENERAL ELECTRIC CO     COM          369604103     5160    10035                     SOLE      NONE          0        0  10035
GROWTH FUND OF          CLASS F      399874403     1320     3239.7290                SOLE      NONE          0        0   3239.7290
AMERICA
GENERAL MTRS CORP       COM          370442105      657                              SOLE      NONE          0        0






                                                                                                          ** VOTING AUTHORITY **
                                                                                                        ---------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT  OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000       QTY      PRN   CALL  DISCRETION MANAGERS    SOLE    SHARED     NONE
----------------------  ------------ ---------   ------  ------------ ---   ----  ---------- --------   ------  -------  ----------
                                                                                        
GAMESTOP CORP           NEW CL B     36467W208      728      500                    SOLE       NONE          0        0    500
CALL 100 GOOGLE INC     CL A EXP     3825929BD      728       10            CALL    SOLE       NONE          0        0     10
                        02-18-06 @
                        420
GOLDMAN SACHS GROUP     COM          38141G104      315      100                    SOLE       NONE          0        0    100
INC
HCA INC                 COM          404119109      320      100                    SOLE       NONE          0        0    100
HOME DEPOT INC          COM          437076102      270      500                    SOLE       NONE          0        0    500
HOME SOLUTIONS AMER     COM          437355100      527     7000                    SOLE       NONE          0        0   7000
INC
ISHARES TR NASDAQ                    464287556      136      500                    SOLE       NONE          0        0    500
BIOTECHNOLOGY INDEX
FD
INTERNATIONAL           COM          459200101     1431      390                    SOLE       NONE          0        0    390
BUSINESS MACHS CORP
ISHARES TR S&P MIDCAP                464287507     1607     2610                    SOLE       NONE          0        0   2610
400 INDEX FD
ISHARES TR S&P LATIN                 464287390     2115      160                    SOLE       NONE          0        0    160
AMER 40 INDEX FD
INTEL CORP              COM          458140100     2355     1410                    SOLE       NONE          0        0   1410
ISHARES TR DOW JONES                 464287788     9069     4014                    SOLE       NONE          0        0   4014
US FINL SECTOR INDEX
FD
JOHNSON & JOHNSON       COM          478160104     4410     2400                    SOLE       NONE          0        0   2400
JUNIPER NETWORKS INC    COM          48203R104      527     2000                    SOLE       NONE          0        0   2000
JP MORGAN CHASE & CO    COM          46625H100      657      200                    SOLE       NONE          0        0    200
                        ISIN#US46625
                        H1005
KRAFT FOODS INC         CL A         50075N104     1254      375                    SOLE       NONE          0        0    375
LILLY ELI & CO          COM          532457108      600      500                    SOLE       NONE          0        0    500
LG PHILIPS LCD CO LTD   SPON ADR     50186V102      270      500                    SOLE       NONE          0        0    500
                        REPSTG
                        COM
LANDSTAR SYSTEMS INC    COM          515098101      185      200                    SOLE       NONE          0        0    200
LUCENT TECHNOLOGIES     COM          549463107     2165     6500.1780               SOLE       NONE          0        0   6500.1780
INC
MCAFEE INC              COM          579064106      270      500                    SOLE       NONE          0        0    500
MKS INSTRS INC          COM          55306N104      185      200                    SOLE       NONE          0        0    200
MILLENNIUM              COM          599902103      136     2000                    SOLE       NONE          0        0   2000
PHARMACEUTICALS INC
ALTRIA GROUP INC        COM          02209S103     2393     1390                    SOLE       NONE          0        0   1390
MOTOROLA INC                         620076109      527      500                    SOLE       NONE          0        0    500
MICROSOFT CORP          COM          594918104     7834     6120                    SOLE       NONE          0        0   6120
MSGI SEC SOLUTIONS      COM          553570102      434       42                    SOLE       NONE          0        0     42
INC
MERITOR SAVINGS BK                   590007100     1255    27600                    SOLE       NONE          0        0  27600
MYLAN LABORATORIES                   628530107      351      270                    SOLE       NONE          0        0    270
INC
NOVASTAR FINCL INC      COM          669947400      728     1000                    SOLE       NONE          0        0   1000
NEWS CORP               CL A         65248E104      657                             SOLE       NONE          0        0
OCCIDENTAL PETROLEUM                 674599105      728      300                    SOLE       NONE          0        0    300
CORP
PEPSICO INC                          713448108     3581     1040                    SOLE       NONE          0        0   1040
PFIZER INC              COM          717081103     1810     1580                    SOLE       NONE          0        0   1580
PROCTER & GAMBLE CO                  742718109     6992     5637                    SOLE       NONE          0        0   5637
PHARMION CORP           COM          71715B409      270      500                    SOLE       NONE          0        0    500
PPG INDUSTRIES INC                   693506107      728      500                    SOLE       NONE          0        0    500
QUALCOMM INC                         747525103      527      500                    SOLE       NONE          0        0    500
NASDAQ                  100 TR       631100104     1656     1620                    SOLE       NONE          0        0   1620
                        UNIT SER
                        1
REYNOLDS AMERN INC      COM          761713106      527      600                    SOLE       NONE          0        0    600
REGIONS FINL CORP       NEW COM      7591EP100      657      800                    SOLE       NONE          0        0    800
RESNASANT CORP          COM          75970E107     2115     2158                    SOLE       NONE          0        0   2158
RAYTHEON CO             COM NEW      755111507      657                             SOLE       NONE          0        0
SANMINA SCI CORP        COM          800907107      136     1000                    SOLE       NONE          0        0   1000
SCHERING-PLOUGH CORP    COM          806605101      728     1500                    SOLE       NONE          0        0   1500
SIRIUS SATELLITE        COM          82966U103      320     2600                    SOLE       NONE          0        0   2600
RADIO INC
SMUCKER J M CO          COM NEW      832696405      171        4                    SOLE       NONE          0        0      4
SANOFI-AVENTIS          SPONS ADR    80105N105      182       50                    SOLE       NONE          0        0     50
                        ISIN#US80105
                        N1054
SOLUTIA INC             COM          834376105      657                             SOLE       NONE          0        0
SONUS NETWORKS INC      COM          835916107      116     4175                    SOLE       NONE          0        0   4175
STANDARD & POORS        DEPOSITARY   78462F103     6830     6250                    SOLE       NONE          0        0   6250
                        RECEIPTS
                        (SPDR'S)
                        UNITS OF
                        UNDIVIDED
                        BENEFICIAL
                        INTEREST
CONSTELLATION BRANDS    CL A         21036P108      182      300                    SOLE       NONE          0        0    300
INC
SEVEN SEAS PETROLEUM    ORD SHS      G80550109      728     5000                    SOLE       NONE          0        0   5000
INC                     ISIN#KYG8055
                        01098
SYSCO CORP                           871829107     2730     1130                    SOLE       NONE          0        0   1130
AT&T INC                COM          00206R102     2300      466                    SOLE       NONE          0        0    466
TEVA PHARMACEUTICAL     ADR          881624209      728      500                    SOLE       NONE          0        0    500
INDUSTRIES LTD          ISIN#US88162
                        42098
HOUSTON EXPLORATION     COM          442120101      533      300                    SOLE       NONE          0        0    300
CO
TRIAD HOSPS INC         COM          89579K109      270      500                    SOLE       NONE          0        0    500
TRUSTMARK CORP                       898402102      296     1000                    SOLE       NONE          0        0   1000
TAIWAN                  SPONSORED    874039100     1254     1810                    SOLE       NONE          0        0   1810






                                                                                                          ** VOTING AUTHORITY **
                                                                                                        ---------------------------
                                                  MKT
                         TITLE OF                VAL x                SH/   PUT/  INVESTMENT  OTHER
    NAME OF ISSUER         CLASS       CUSIP      1000       QTY      PRN   CALL  DISCRETION MANAGERS    SOLE    SHARED     NONE
----------------------  ------------ ---------   ------  ------------ ---   ----  ---------- --------   ------  -------  ----------
                                                                                        
SEMICONDUCTOR MFG CO    ADR
                        ISIN#US87403
                        91003
TEXAS INDUSTRIES INC                 882491103      116      300                    SOLE       NONE          0        0    300
UNITEDHEALTH GROUP      COM          91324P102      527     1984                    SOLE       NONE          0        0   1984
INC
UNITED PARCEL SVC INC   CL B         911312106      270      500                    SOLE       NONE          0        0    500
US BANCORP DEL          COM NEW      902973304     2115      500                    SOLE       NONE          0        0    500
UNITED TECHNOLOGIES     DEL COM      913017109      728      800                    SOLE       NONE          0        0    800
CORP
WALGREEN CO                          931422109      270     1500                    SOLE       NONE          0        0   1500
CAPITAL WORLD BOND      CLASS F      140541400      434      743.8280               SOLE       NONE          0        0    743.8280
FUND
WELLS FARGO & CO        NEW COM      949746101      728      500                    SOLE       NONE          0        0    500
WAL MART STORES INC                  931142103     1560     1100                    SOLE       NONE          0        0   1100
CALL 100 WALMART                     9311429CH      728       10            CALL    SOLE       NONE          0        0     10
STORES INC EXP
03-18-06 @ 40
WASHINGTON MUTUAL       CLASS F      939330403     4563    10353.5050               SOLE       NONE          0        0  10353.5050
INVESTORS FUND
AQUA AMERICA INC        COM          03836W103      728      666                    SOLE       NONE          0        0    666
SELECT SECTOR SPDR FD                81369Y100    20071     8153.7400               SOLE       NONE          0        0   8153.7400
MATERIALS
SECTOR SPDR TR SHS                   81369Y605    14375    13833                    SOLE       NONE          0        0  13833
BEN INT FINANCIAL
EXXON MOBIL CORP        COM          30231G102      626     1300                    SOLE       NONE          0        0   1300
ZIMMER HLDGS INC        COM          98956P102      171      100                    SOLE       NONE          0        0    100
FT UNIT 1042 DOW                     30269Y793      351     2567                    SOLE       NONE          0        0   2567
TARGET DIVIDEND PORT
DEC 2005 SER SEMI
ANNU FEE ACCT CASH
FT UNIT 950 DOW                      30268L321      351     1675                    SOLE       NONE          0        0   1675
TARGET DIV PORT 2ND
QTR 2005 SER SEMI
ANNUAL FEE ACCTS
CASH
FT UNIT 950 VALUE                    30268L685      351     1770                    SOLE       NONE          0        0   1770
LINE TARGET 25 PORT
2ND QTR 2005 SER SEMI
ANNUAL FEE ACCTS
CASH
NUVEEN PFD & CONV       COM PFD      67073D607     3373        7                    SOLE       NONE          0        0      7
INCOME FD 2             SER W
NUVEEN PFD & CONV       RT           67073B601     3373       22                    SOLE       NONE          0        0     22
INCOME FD AUCTION       PREFERRED
                        SHS SER F
                        CALLABLE
NUVEEN PFD & CONV       PREFERRED    67073B205     3373        6                    SOLE       NONE          0        0      6
INCOME FD FUND          SHS SER M
NUVEEN QUALITY PFD      2 PFD SHS    67072C204     3373        5                    SOLE       NONE          0        0      5
INCOME FD               SER M
                        CALLABLE
NUVEEN QUALITY PFD      PFD SHS      67071S606     3373        8                    SOLE       NONE          0        0      8
INCOME FD               SER
                        CALLABLE
FT UNIT 913 VALUE                    30268H791     2115     5535.9378               SOLE       NONE          0        0   5535.9378
LINE TARGET 25
PORTFOLIO 1ST QUARTER
2005 SER SEMI ANNUAL
FEE ACCTS
REINVESTMENT
FT UNIT 942 NYSE INTL                30268K638     2115     5215.0164               SOLE       NONE          0        0   5215.0164
TARGET 25 PORTFOLIO
1ST QUARTER 2005 SER
B SEMI ANNUAL FEE
ACCTS REINVESTMENT
FT UNIT 946 VALUE                    30268L693      208     1541.8250               SOLE       NONE          0        0   1541.8250
LINE TARGET 25 PORT
APRIL 2005 SER SEMI
ANNUAL FEE ACCTS
REINVEST
FT UNIT 950 DOW                      30268L339      208     1573.6441               SOLE       NONE          0        0   1573.6441
TARGET DIV PORT 2ND
QTR 2005 SER SEMI
ANNUAL FEE ACCTS
REINVEST
FT UNIT 1042 DOW                     30269Y793      267     2574                    SOLE       NONE          0        0   2574
TARGET DIVIDEND PORT
DEC 2005 SER SEMI
ANNU FEE ACCT CASH
FT UNIT 1042 VALUE                   30269X837      267     2500                    SOLE       NONE          0        0   2500
LINE TARGET 25 PORT
DEC 2005 SER SEMI
ANNU FEE ACCT CASH
FT UNIT 913 VALUE                    30268H791       81     1521.7789               SOLE       NONE          0        0   1521.7789
LINE TARGET 25
PORTFOLIO 1ST QUARTER
2005 SER SEMI ANNUAL
FEE ACCTS
REINVESTMENT
FT UNIT 970 TARGET                   30269B850       81     1506.0922               SOLE       NONE          0        0   1506.0922
VIP PORT JULY 2005
SER SEMI ANNU FEE
ACCOUNTS
REINVESTMENT
FT UNIT 1042 DOW                     30269Y793      255     2574                    SOLE       NONE          0        0   2574
TARGET DIVIDEND PORT
DEC 2005 SER SEMI
ANNU FEE ACCT CASH






                                                                                                          ** VOTING AUTHORITY **
                                                                                                       ----------------------------
                                                 MKT
                         TITLE OF               VAL x                 SH/  PUT/  INVESTMENT  OTHER
    NAME OF ISSUER         CLASS      CUSIP     1000        QTY       PRN  CALL  DISCRETION MANAGERS    SOLE    SHARED    NONE
----------------------  ----------- ---------  ------- -------------- ---  ----  ---------- --------   ------  ------- ------------
                                                                                      
FT UNIT 1042 VALUE                  30269X837     255      2500                    SOLE       NONE         0        0     2500
LINE TARGET 25 PORT
DEC 2005 SER SEMI
ANNU FEE ACCT CASH
NUVEEN FLOATING RATE    PFD SHS     67072T207   14375         5                    SOLE       NONE         0        0        5
INCOME FD FD            SER M
NUVEEN FLOATING RATE    PFD SHS     6706EN209   14375         1                    SOLE       NONE         0        0        1
INCOME OPPORTUNITY FD   SER M
                        AUCTION
                        RATE PRFD
NUVEEN PFD & CONV       PFD SER M   67073D201   14375         2                    SOLE       NONE         0        0        2
INCOME FD 2             CALLABLE
                        AUCTION
                        RATE PFD
NUVEEN PFD & CONV       PFD SER TH  67073D805   14375        40                    SOLE       NONE         0        0       40
INCOME FD 2             0%
                        CALLABLE
NUVEEN PFD & CONV                   67073B502   14375        20                    SOLE       NONE         0        0       20
INCOME FD FUND
NUVEEN QUALITY PFD      PREFERRED   67072C204   14375        35                    SOLE       NONE         0        0       35
INCOME FD 2 PFD SHS     SHS SER
SER M CALLABLE          TH
NUVEEN QUALITY PFD      PFD SHS     67071S309   14375         2                    SOLE       NONE         0        0        2
INCOME FD               SER T 0.0%
                        CALLABLE
FT UNIT 1028 TARGET                 30269Y231    1110      7474                    SOLE       NONE         0        0     7474
VIP PORTFOLIO NOV
2005 SER SEMI ANNUAL
FEE ACCT
REINVESTMENT
FT UNIT 970 TARGET                  30269B850     182      1434.8038               SOLE       NONE         0        0     1434.8038
VIP PORT JULY 2005
SER SEMI ANNU FEE
ACCOUNTS
REINVESTMENT
AMERITRADE HLDG N/C                 03074K100     728       500                    SOLE       NONE         0        0      500
EFF 1/24/06 1 OLD=1
CU#87236Y108 TD
AMERITRADE INC
FT UNIT 964 THE DOW                 30269B249     516      2569                    SOLE       NONE         0        0     2569
TARGET DIVIDEND PORT
MAY 2005 SER SEMI
ANNUAL FEE ACCT CASH
FT UNIT 964 VALUE                   30269B322     516      2590                    SOLE       NONE         0        0     2590
LINE TARGET 25 PORT
MAY 2005 SEMI ANNUAL
FEE ACCT CASH
FT UNIT 1014 TARGET                 30269U221    2024     16646                    SOLE       NONE         0        0    16646
VIP PORT OCT 2005 SER
SEMI ANNU FEE ACCT
CASH
FT UNIT 1042 DOW                    30269Y793    2024      7722                    SOLE       NONE         0        0     7722
TARGET DIVIDEND PORT
DEC 2005 SER SEMI
ANNU FEE ACCT CASH
NUVEEN QUALITY PFD      PFD SHS     67071S408    1607         2                    SOLE       NONE         0        0        2
INCOME FD               SER W 0%
                        CALLABLE
GRAND TOTALS                                   1073174 15853355.0782                                 4607090  9983657  1262608.0782