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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2009

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

Institutional Investment Manager Filing this Report:

Name:    BancorpSouth Inc.
Address: One Mississippi Plaza
         201 South Spring Street
         Tupelo MS 38804

Form 13F File Number: 28-10453

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

Person Signing this Report on Behalf of Reporting Manager:

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

Signature Place and Date of Signing:


      /s/ Cathy S. Freeman             Tupelo Mississippi      November 13, 2009
--------------------------------   -------------------------   -----------------
           [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:           394
Form 13F Information Table Value Total:   $10,628,935
                                           (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                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
INGSOLL-RAND PUBLIC LIMITED            G47791101     40     1310 SH       SOLE              1    1310       0      0
TYCO INTL LTD W/I                      H89128104     14      415 SH       SOLE              1     415       0      0
ACCO BRANDS CORP                       00081T108      0       34 SH       SOLE              1      34       0      0
A F L A C INC                          001055102     78     1825 SH       SOLE              1    1825       0      0
AES CORPORATION                        00130H105      1       69 SH       SOLE              1      69       0      0
AT&T INC                      COM      00206R102    648    23992 SH       SOLE              1   22792       0   1200
AT&T INC                      COM      00206R102    161     5980 SH       DEFINED           1     848    5132      0
ABBOTT LAB                             002824100    203     4103 SH       SOLE              1    4103       0      0
ABBOTT LAB                             002824100    198     4000 SH       DEFINED           1       0    4000      0
ABERDEEN ASIA-PACIFIC FUND             003009107     26     4275 SH       SOLE              1    4275       0      0
ADVANCED AUTO PARTS INC                00751Y106     14      365 SH       SOLE              1     365       0      0
ADVANCED MICRO DEVICES INC             007903107      7     1250 SH       SOLE              1    1250       0      0
AGNICO EAGLE MINES                     008474108     34      500 SH       SOLE              1     500       0      0
AIR PRODS & CHEMS INC         COM      009158106     25      325 SH       SOLE              1     325       0      0
AIXTRON AKTIENGELELLSCHAFT    ADR      009606104     14      510 SH       SOLE              1     510       0      0
ALCOA INC                              013817101     18     1400 SH       SOLE              1       0       0   1400
                              SPONSOR
ALCATEL LUCENT                ED ADR   013904305      1      305 SH       SOLE              1     305       0      0
ALLEGHENY ENERGY INC                   017361106      2       66 SH       SOLE              1      66       0      0
ALLERGAN INC                           018490102     18      320 SH       SOLE              1     320       0      0
ALLIANCEBERNSTEIN MUN INCOME
FD                                     01864U106    135     9800          SOLE              1    9800       0      0
ALLIANCEBERNSTEIN INCOME FD            01881E101     15     1850 SH       SOLE              1    1850       0      0
ALLIANCEBERSTEIN HLDG LP               01881G106      5      166 SH       SOLE              1     166       0      0
ALLSTATE CORP                 COMMON   020002101     73     2382 SH       SOLE              1    2382       0      0
ALLSTATE CORP                 COMMON   020002101      9      310 SH       DEFINED           1     310       0      0
ALTRIA GROUP INC                       02209S103     98     5523 SH       SOLE              1    5523       0      0
AMEREN CORP                            023608102     11      434 SH       SOLE              1     434       0      0
                              SPON
                              ADR L
AMERICA MOVIL SAB DE CV       SHS      02364W105     29      660 SH       SOLE              1     660       0      0
AMERICAN ELECTRIC POWER                025537101    159     5130 SH       SOLE              1    3105       0   2025



                                        3





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
AMER EXPRESS CO                        025816109    100     2940 SH       SOLE              1    1640       0   1300
AMERICAN INTERNATIONAL GROUP
INC                                    026874784      1       20 SH       SOLE              1      20       0      0
AMERISOURCEBERGEN CORP                 03073E105      2       74 SH       SOLE              1      74       0      0
AMERIGAS PARTNERS L P                  030975106      9      250 SH       SOLE              1     250       0      0
AMGEN INC                              031162100      6      100 SH       SOLE              1     100       0      0
ANADARKO PETE CORP                     032511107     18      292 SH       SOLE              1     292       0      0
ANADARKO PETE CORP                     032511107    106     1696 SH       DEFINED           1       0    1696      0
APACHE CORP                            037411105     61      662 SH       SOLE              1     662       0      0
APPLE INC                     COM      037833100     19      100 SH       SOLE              1       0       0    100
APPLIED MATERIALS INC                  038222105     66     4960 SH       SOLE              1    4960       0      0
AQUA AMERICAN INC                      03836W103      8      439 SH       SOLE              1     439       0      0
ARCHER-DANIELS-MIDLAND
COMPANY                                039483102     20      679 SH       SOLE              1     679       0      0
ARTESIAN RESOURCES, INC       CL A     043113208      4      250 SH       SOLE              1     250       0      0
ATMOS ENERGY CORP                      049560105    101     3580 SH       SOLE              1    3580       0      0
AUTODESK INC                           052769106      2       65 SH       SOLE              1      65       0      0
AUTO DATA PROCESS                      053015103     83     2100 SH       SOLE              1    2100       0      0
AUTOZONE                               053332102     22      150 SH       DEFINED           1     150       0      0
AVALONBAY CMNTY INC                    053484101     26      361 SH       SOLE              1     361       0      0
AVON PRODUCTS INC COM                  054303102      3       92 SH       SOLE              1      92       0      0
                              SPONSOR
BP AMOCO PLC                  ED ADR   055622104    415     7795 SH       SOLE              1    7795       0      0
                              SPONSOR
BP AMOCO PLC                  ED ADR   055622104    165     3100 SH       DEFINED           1    3100       0      0
BAKER HUGHES INC              COM      057224107      2       51 SH       SOLE              1      51       0      0
BALDOR ELEC CO                COM      057741100   4720   172646 SH       SOLE              1  172646       0      0
BANCORPSOUTH INC                       059692103  25234  1034174 SH       SOLE              1  911865       0 122309
BANCORPSOUTH INC                       059692103    289    11840 SH       DEFINED           1    9248    2592      0
BANK OF AMERICA CORP          NEW COM  060505104     73     4299 SH       SOLE              1    2899       0   1400
BANK OF THE OZARKS, INC                063904106   2127    80200 SH       SOLE              1   80200       0      0
BANK NEW YORK MELLON CORP     COM      064058100     38     1320 SH       SOLE              1    1320       0      0
BARRICK GOLD CORP                      067901108     14      378 SH       SOLE              1     378       0      0



                                        4





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
BAXTER INTL INC                        071813109    106     1868 SH       SOLE              1    1868       0      0
BERKSHIRE HATHAWAY "A"                 084670108    101        1 SH       SOLE              1       1       0      0
BERKSHIRE HATHAWAY INC        DEL CL B 084670207      3        1 SH       SOLE              1       1       0      0
                              COMMON
BEST BUY INC                  STOCK    086516101     14      385 SH       SOLE              1     385       0      0
BIOGEN IDEC INC                        09062X103      5       90 SH       SOLE              1      90       0      0
BLACKROCK INSD MUNI INCOME
TRUST                                  092479104     25     1800          SOLE              1    1800       0      0
BLACKROCK MUNIYIELD INSURED
FD                                     09254E103     13     1055          SOLE              1    1055       0      0
BLACKROCK MUNIYIELD MICH INSD          09254V105     22     1690          SOLE              1    1690       0      0
BOEING INC                             097023105    199     3671 SH       SOLE              1    2146       0   1525
BRISTOL MYERS SQUIBB CO                110122108    142     6309 SH       SOLE              1    6309       0      0
BROADCOM CORP                          111320107     16      528 SH       SOLE              1     528       0      0
BURLINGTON NORTHERN/SANTA FE
CORP                                   12189T104      4       50 SH       SOLE              1      50       0      0
CBS CORP NEW                  CL B     124857202      3      265 SH       SOLE              1     265       0      0
C H ROBINSON WORLDWIDE INC             12541W209      2       31 SH       SOLE              1      31       0      0
CME GROUP INC                 COM      12572Q105      4       12 SH       SOLE              1      12       0      0
                              SPONSOR
CNOOC LTD                     ED ADR   126132109      4       30 SH       SOLE              1      30       0      0
CVS CAREMARK CORPORATION      COM      126650100     17      480 SH       SOLE              1     480       0      0
CADBURY PLC                   ADR      12721E102     36      704 SH       SOLE              1     704       0      0
CADENCE FINANCIAL CORP                 12738A101      2     1333 SH       SOLE              1    1333       0      0
CAMPBELL SOUP CO              COM      134429109      0       15 SH       SOLE              1      15       0      0
CAPITAL ONE FINL CORP         COM      14040H105     97     2722 SH       SOLE              1    2722       0      0
CATERPILLAR INC                        149123101     67     1301 SH       SOLE              1    1301       0      0
CENTERPOINT ENERGY INC                 15189T107     10      786 SH       SOLE              1     786       0      0
CENTURYTEL, INC                        156700106    140     4175 SH       SOLE              1    4175       0      0
CHESAPEAKE ENERGY CORP                 165167107     28     1000 SH       SOLE              1    1000       0      0
CHEVRON CORPORATION                    166764100    519     7376 SH       SOLE              1    6376       0   1000
CHEVRON CORPORATION                    166764100    155     2200 SH       DEFINED           1    2200       0      0
                              SPON
                              ADR H
CHINA PETE & CHEM CORP        SHS      16941R108      2       25 SH       SOLE              1      25       0      0
CHUBB CORPORATION                      171232101      4       78 SH       SOLE              1      78       0      0



                                        5





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
CISCO SYS INC                          17275R102    151     6413 SH       SOLE              1    6263       0    150
CITIGROUP, INC                         172967101     11     2241 SH       SOLE              1    2241       0      0
CITIGROUP, INC                         172967101     32     6632 SH       DEFINED           1    6632       0      0
CITIZENS RECUBLIC BANCORP INC COM      174420109      1     1427 SH       SOLE              1    1427       0      0
CITIZENS HOLDING COMPANY               174715102   4205   158987 SH       SOLE              1  158987       0      0
CITRIX SYSTEMS INC                     177376100     18      450 SH       SOLE              1     450       0      0
COCA COLA CO                           191216100    379     7060 SH       SOLE              1    5160       0   1900
COCA COLA CO                           191216100    263     4900 SH       DEFINED           1    4900       0      0
COCA COLA ENTERPRISES INC     COM      191219104     49     2300 SH       SOLE              1    2300       0      0
COLGATE-PALMOLIVE CO                   194162103    220     2881 SH       SOLE              1    2881       0      0
                              COM SH
COLONIAL PPTYS TR             BEN INT  195872106      5      500 SH       SOLE              1     500       0      0
                              NEW CL
COMCAST CORP                  A COM    20030N101     12      701 SH       SOLE              1     701       0      0
                              NEW CL
COMCAST CORP                  A COM    20030N101     10      601 SH       DEFINED           1       0     601      0
CONCURRENT COMPUTER CORP      NEW      206710402      2      395 SH       SOLE              1     395       0      0
CONOCO PHILLIPS                        20825C104    188     4175 SH       SOLE              1    4175       0      0
COOPER TIRE & RUBBER CO                216831107    106     6028 SH       SOLE              1    5653       0    375
COOPER TIRE & RUBBER CO                216831107      2      100 SH       DEFINED           1     100       0      0
CROWN CASTLE INTL CORP        COM      228227104      1       19 SH       SOLE              1      19       0      0
CROWN HLDGS INC                        228368106     42     1546 SH       SOLE              1       0       0   1546
DTE ENERGY CO                          233331107      4      100 SH       SOLE              1     100       0      0
DWS MUNICIPAL INCOME TRUST             23338M106    121    10425          SOLE              1   10425       0      0
DARDEN RESTAURANTS                     237194105     13      380 SH       SOLE              1     380       0      0
DEERE & CO                             244199105    131     3060 SH       SOLE              1    3060       0      0
DELL INC                               24702R101     60     3953 SH       SOLE              1    3953       0      0
DELTIC TIMBER INC                      247850100    289     6324 SH       SOLE              1    6324       0      0
DELTIC TIMBER INC                      247850100  19029   415743 SH       DEFINED           1       0  415743      0
DEVON ENERGY CORP             NEW COM  25179M103     13      200 SH       SOLE              1     200       0      0
DIRECTTV GROUP INC                     25459L106      9      325 SH       SOLE              1     325       0      0
WALT DISNEY CO                         254687106     87     3184 SH       SOLE              1    1884       0   1300
DISCOVER FINL SVCS            COM      254709108     21     1294 SH       SOLE              1    1294       0      0



                                        6





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
DISCOVER FINL SVCS            COM      254709108      2      130 SH       DEFINED           1     130       0      0
DOMINION RES INC VA           NEW      25746U109     42     1220 SH       SOLE              1    1220       0      0
DOW CHEMICAL CO                        260543103     39     1515 SH       SOLE              1     515       0   1000
DR PEPPER SNAPPLE GROUP INC   COM      26138E109     15      528 SH       SOLE              1     528       0      0
DREYFUS STRATEGIC MUNICIPALS
INC                                    261932107    127    16000 SH       SOLE              1   16000       0      0
DU PONT EI D NEMOURS & CO              263534109     76     2350 SH       SOLE              1     850       0   1500
DUFF & PHELPS UTIL & CORP
BOND FD                                26432K108     22     1720 SH       SOLE              1    1720       0      0
DUKE ENERGY CORP              COM      26441C105     49     3083 SH       SOLE              1    3083       0      0
EMC CORP                               268648102     36     2089 SH       SOLE              1    2089       0      0
EMC CORP                               268648102      2      100 SH       DEFINED           1     100       0      0
EASTGROUP PROPERTIES INC               277276101      2       60 SH       SOLE              1      60       0      0
EASTMAN CHEMICAL CO                    277432100      1       12 SH       SOLE              1      12       0      0
EATON CORP                    COM      278058102     16      280 SH       SOLE              1     280       0      0
EATON VANCE INSURED
MUNICIPAL BOND FUND II                 27827K109     10      768          SOLE              1       0       0    768
EATON VANCE TAX MANAGED GLOB           27829C105     14     1000 SH       SOLE              1    1000       0      0
EDISON INTL                   COM      281020107      3      100 SH       SOLE              1     100       0      0
EDWARDS LIFESCIENCES CORP              28176E108     17      240 SH       SOLE              1     240       0      0
EL PASO CORPORATION                    28336L109      2      166 SH       SOLE              1     166       0      0
ELECTRONIC ARTS INC                    285512109      3      161 SH       SOLE              1     161       0      0
EMERSON ELECTRIC CO                    291011104     90     2250 SH       SOLE              1    2250       0      0
ENCORE WIRE CORP              COM      292562105    468    20961 SH       SOLE              1    7711       0  13250
ENERPLUS RESOURCE FD                   29274D604     11      475 SH       SOLE              1     475       0      0
ENTEGRIS INC                           29362U104      0        8 SH       SOLE              1       8       0      0
ENTERGY CORP                           29364G103    243     3042 SH       SOLE              1    1667       0   1375
ENTERGY CORP                           29364G103     59      734 SH       DEFINED           1     734       0      0
EQUITY RESIDENTIAL PPTYS SBI           29476L107      1       34 SH       SOLE              1      34       0      0
EXELON CORP                            30161N101     23      469 SH       SOLE              1     469       0      0
EXPEDIA INC DEL                        30212P105      5      220 SH       SOLE              1     220       0      0
EXPRESS SCRIPTS INC                    302182100      8      100 SH       SOLE              1     100       0      0



                                        7





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
EXTERRAN PARTNERS, L.P.                30225N105      4      200 SH       SOLE              1       0       0    200
EXXON MOBIL CORP                       30231G102   4090    59618 SH       SOLE              1   55473       0   4145
EXXON MOBIL CORP                       30231G102   1260    18370 SH       DEFINED           1    9770    8600      0
FEI CO                                 30241L109      2       80 SH       SOLE              1      80       0      0
FPL GROUP INC                          302571104     33      600 SH       SOLE              1     600       0      0
FAIRPOINT COMMUNICATIONS  INC COM      305560104      0       98 SH       SOLE              1      80       0     18
FAIRPOINT COMMUNICATIONS INC  COM      305560104      0       39 SH       DEFINED           1      24      15      0
FASTENAL CO                            311900104      6      150 SH       SOLE              1     150       0      0
FEDEX CORPORATION                      31428X106      1        9 SH       SOLE              1       9       0      0
FERRELLGAS PARTNERS L P                315293100     14      700 SH       SOLE              1     700       0      0
FIDELITY NATIONAL
INFORMATION SVCS              COM      31620M106      1       23 SH       SOLE              1      23       0      0
FIDELITY NATIONAL FINANCIAL
INC                                    31620R105      3      175 SH       SOLE              1     175       0      0
FIRST HORIZON NATIONAL                 320517105      3      228 SH       SOLE              1     228       0      0
FIRST M & F CORP                       320744105     12     4492 SH       SOLE              1    4492       0      0
FIRST ENERGY CORP             COMMON   337932107    226     4943 SH       SOLE              1    4943       0      0
FORD MOTOR COMPANY            COMMON   345370860      7      971 SH       SOLE              1     971       0      0
FORD MOTOR CO CAP TR II
CONVPRFD                               345395206     21      700 SH       SOLE              1     700       0      0
FORTUNE BRANDS INC                     349631101      7      156 SH       SOLE              1     156       0      0
FRANKLIN RES INC COM                   354613101      3       25 SH       SOLE              1      25       0      0
FREEPORT MCMORAN COPPER &
GOLD                          COM      35671D857      6       94 SH       SOLE              1      94       0      0
FRONTIER OIL CORP                      35914P105      1      100 SH       SOLE              1     100       0      0
GAP INC DEL                   COM      364760108      2       76 SH       SOLE              1      76       0      0
GAYLORD ENTMT CO              NEW COM  367905106      1       27 SH       SOLE              1      27       0      0
GENERAL ELECTRIC CO                    369604103    467    28469 SH       SOLE              1   26869       0   1600
GENERAL MLS INC               COM      370334104      1       22 SH       SOLE              1      22       0      0
GENWORTH FINL INC                      37247D106      9      742 SH       SOLE              1     742       0      0
GOLDMAN SACHS GROUP                    38141G104     18      100 SH       SOLE              1     100       0      0
B F GOODRICH                           382388106      3       50 SH       SOLE              1      50       0      0
GOODYEAR TIRE & RUBBER                 382550101     17     1000 SH       SOLE              1    1000       0      0
GOOGLE INC                             38259P508      1        2 SH       SOLE              1       2       0      0



                                        8





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
GREAT PLAINS ENERGY INC                391164100      0       13 SH       SOLE              1      13       0      0
GREENE BANKSHARES                      394361208      3      649 SH       SOLE              1     649       0      0
HCP INC                       COM      40414L109     53     1850 SH       SOLE              1    1850       0      0
HALLIBURTON CO                COM      406216101     18      675 SH       SOLE              1     675       0      0
JOHN HANCOCK BK & THRIFT               409735206      6      425 SH       SOLE              1     425       0      0
JOHN HANCOCK PFD INC II                41013X106      7      400 SH       SOLE              1     400       0      0
JOHN HANCOCK PREFERRED
INCOME FUND III                        41021P103      2      130 SH       SOLE              1     130       0      0
HEINZ H J CO                  COM      423074103     26      643 SH       SOLE              1     643       0      0
HELIOS HIGH INCOME FUND INC            42327X204      1      201 SH       SOLE              1     201       0      0
HESS CORP                              42809H107     11      215 SH       SOLE              1     215       0      0
HEWLETT PACKARD CO                     428236103    209     4437 SH       SOLE              1    3237       0   1200
HOME DEPOT                             437076102    124     4666 SH       SOLE              1    3466       0   1200
HOME DEPOT                             437076102     17      626 SH       DEFINED           1     626       0      0
HOSPIRA, INC                           441060100     18      400 SH       DEFINED           1       0     400      0
HOST HOTELS & RESORTS INC     COM      44107P104      4      306 SH       SOLE              1     306       0      0
HUBBELL INC                   CL B     443510201     21      500 SH       SOLE              1       0       0    500
HUNTINGTON BANCSHARE INC               446150104      0       23 SH       SOLE              1      23       0      0
ITT INDUSTRIES                         450911102      2       40 SH       SOLE              1      40       0      0
IDACORP INC                   COM      451107106      3      100 SH       SOLE              1     100       0      0
INTEL CORP CAP                         458140100    242    12390 SH       SOLE              1    8790       0   3600
INTEL CORP CAP                         458140100     31     1600 SH       DEFINED           1    1600       0      0
IBM CORP                               459200101    739     6182 SH       SOLE              1    3594       0   2588
IBM CORP                               459200101     36      300 SH       DEFINED           1     300       0      0
INTL PAPER CO                          460146103      9      400 SH       SOLE              1     400       0      0
INTL PAPER CO                          460146103     20      900 SH       DEFINED           1       0     900      0
INTUIT                                 461202103      1       24 SH       SOLE              1      24       0      0
INVESTMENT GRADE MUNICIPAL
INCOME FUND                            461368102    130     9055          SOLE              1    9055       0      0
ISHARES MSCI EMERGING MK      T INDX   464287234      8      200 SH       SOLE              1     200       0      0
ISHARES MSCI EAFE INDEX FUND           464287465     43      781 SH       SOLE              1     781       0      0
ISHARES TRUST RUSSELL 2000
INDEX                                  464287655     21      355 SH       SOLE              1     355       0      0



                                        9





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
ISHARES TR DOW JONES REAL
ESTATE INDEX FUND                      464287739     22      520 SH       SOLE              1     520       0      0
ISHARES S&P SMALL CAP 600
INDEX FUND                             464287804     80     1531 SH       SOLE              1    1531       0      0
JPMORGAN CHASE & CO           COM      46625H100    286     6532 SH       SOLE              1    5132       0   1400
JPMORGAN CHASE & CO           COM      46625H100     86     1956 SH       DEFINED           1       0    1956      0
JOHNSON & JOHNSON                      478160104   1242    20408 SH       SOLE              1   19208       0   1200
JOHNSON & JOHNSON                      478160104    365     6000 SH       DEFINED           1    4800    1200      0
JOHNSON CONTROLS INC                   478366107     42     1650 SH       SOLE              1    1650       0      0
JUNIPER NETWORKS                       48203R104     18      670 SH       SOLE              1     670       0      0
KELLOGG CO                             487836108     18      375 SH       SOLE              1     375       0      0
KIMBERLY-CLARK CORP                    494368103     18      312 SH       SOLE              1     312       0      0
KINDER MORGAN ENERGY
PARTNERS, L.P                          494550106     22      400 SH       SOLE              1     400       0      0
KRAFT FOODS                            50075N104    129     4917 SH       SOLE              1    4117       0    800
KROGER CO                              501044101      2       75 SH       SOLE              1      75       0      0
LSI CORPORATION               COM      502161102      0       10 SH       SOLE              1      10       0      0
LAS VEGAS SANDS CORP                   517834107      0       11 SH       SOLE              1      11       0      0
LENDER PROCESSING SERVICES    COM      52602E102      0       11 SH       SOLE              1      11       0      0
LEVEL 3 COMMUNICATIONS INC             52729N100      6     4685 SH       SOLE              1    4685       0      0
LIBERTY ALL STAR EQUITY FD             530158104     20     4613 SH       SOLE              1    4613       0      0
ELI LILLY & CO                         532457108     12      350 SH       SOLE              1     350       0      0
ELI LILLY & CO                         532457108     36     1100 SH       DEFINED           1    1100       0      0
LIMITED BRANDS, INC                    532716107      1       81 SH       SOLE              1      81       0      0
LOCKHEED MARTIN CORP                   539830109     63      811 SH       SOLE              1     811       0      0
LOWES CO INC                           548661107    210    10024 SH       SOLE              1   10024       0      0
MFA FINANCIAL INC             COM      55272X102      1      119 SH       SOLE              1     119       0      0
MACYS INC                              55616P104      1       80 SH       SOLE              1      80       0      0
MANULIFE FINANCIAL CORP                56501R106    435    20800 SH       SOLE              1   20800       0      0
MARATHON OIL CORP                      565849106      2       76 SH       SOLE              1      76       0      0
MASCO CORPORATION                      574599106      1       75 SH       SOLE              1      75       0      0
MCDONALD'S CORP                        580135101     74     1300 SH       SOLE              1     200       0   1100
MCKESSON CORP                          58155Q103      4       59 SH       SOLE              1      59       0      0



                                       10





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
MEADWESTVACO CORP                      583334107     34     1547 SH       SOLE              1    1547       0      0
MEDCO HEALTH SOLUTIONS INC             58405U102      4       64 SH       SOLE              1      64       0      0
MEDICAL ACTION INDUSTRIES INC          58449L100      1       75 SH       SOLE              1      75       0      0
MERCK & CO INC                         589331107     81     2556 SH       SOLE              1    1356       0   1200
METLIFE INC                   COM      59156R108      2       53 SH       SOLE              1      53       0      0
MICROSOFT CORP                         594918104    231     8976 SH       SOLE              1    7376       0   1600
MILLIPORE CORP                         601073109      1       10 SH       SOLE              1      10       0      0
MIRANT CORPNEW                COM      60467R100      0       27 SH       SOLE              1      27       0      0
                              NEW WT
MIRANT CORP                   SER A    60467R118      0       88 SH       SOLE              1      88       0      0
MONSANTO CO. (NEW)                     61166W101     21      274 SH       SOLE              1     274       0      0
MORGAN STANLEY DEAN WITTER
DISCOVER & CO                          617446448     58     1869 SH       SOLE              1    1869       0      0
MORGAN STANLEY DEAN WITTER
DISCOVER & CO                          617446448      8      260 SH       DEFINED           1     260       0      0
MOTOROLA INC                           620076109      3      300 SH       DEFINED           1     300       0      0
MURPHY OIL CORP               COM      626717102   8105   140806 SH       SOLE              1  134806       0   6000
MURPHY OIL CORP               COM      626717102 432263  7509784 SH       DEFINED           1       0 7509784      0
MYLAN INC                     COM      628530107     24     1500 SH       SOLE              1    1500       0      0
NASDAQ OMX GROUP INC          COM      631103108      1       70 SH       SOLE              1      70       0      0
NATIONAL OILWELL VARCO INC             637071101      2       35 SH       SOLE              1      35       0      0
NEWS CORP                              65248E104      1       72 SH       SOLE              1      72       0      0
NICHOLAS-APPLEGATE CONV &
INCOME FD II                           65370G109      0        3 SH       SOLE              1       3       0      0
NIKE INC CLASS B                       654106103      6      100 SH       SOLE              1     100       0      0
NISOURCE INC                           65473P105      3      200 SH       SOLE              1     200       0      0
NOKIA CORP SPND               ADR      654902204      7      500 SH       SOLE              1     500       0      0
NOBLE ENERGY INC                       655044105     65      990 SH       SOLE              1     990       0      0
NORFOLK SO CORP                        655844108     77     1781 SH       SOLE              1    1781       0      0
NORTHERN TRUST COMPANY NTRS            665859104     74     1280 SH       SOLE              1    1280       0      0
NORTHERN TRUST COMPANY NTRS            665859104    128     2200 SH       DEFINED           1    2200       0      0
NORTHRUP GRUMMAN                       666807102     13      254 SH       SOLE              1     254       0      0



                                       11





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
                              SPONSOR
NOVARTIS AG                   ED ADR   66987V109      4       82 SH       SOLE              1      82       0      0
NOVELLUS SYSTEMS                       670008101      2      100 SH       SOLE              1     100       0      0
NUCOR CORP                             670346105      2       50 SH       SOLE              1      50       0      0
NUSTAR ENERGY LP              COMUNIT  67058H102      6      122 SH       SOLE              1     122       0      0
NUVEEN INSD PREMIUM INCOME
MUNI FD                                6706D8104     78     6274 SH       SOLE              1    6274       0      0
NUVEEN PERFORMANCE PLUS
MUNICIPAL FD                           67062P108    131     9285 SH       SOLE              1    9285       0      0
NUVEEN DIVID ADVANTAGE MUN FD          67066V101     14     1000          DEFINED           1    1000       0      0
NUVEEN MUN VALUE FD INC                670928100    319    32043          SOLE              1   32043       0      0
NUVEEN QUALITY INCOME MUNI             670977107    139    10000 SH       SOLE              1   10000       0      0
NUVEEN MICH QUALITY INCOME
MUNI FD                                670979103     44     3436          SOLE              1    3436       0      0
NUVEEN INSURED MUNICIPAL
OPPORTUNITY FUND INC                   670984103     49     3534          SOLE              1    3534       0      0
OCCIDENTAL PETE COR           DEL      674599105     48      612 SH       SOLE              1     612       0      0
ORACLE SYSTEMS CORP                    68389X105     25     1213 SH       SOLE              1    1213       0      0
PG&E CORP                              69331C108     13      318 SH       SOLE              1     318       0      0
PNC BANK CORP                          693475105      0        1 SH       SOLE              1       1       0      0
PACTIV COPR                            695257105     23      897 SH       SOLE              1     897       0      0
PENN WEST ENERGY TRUST                 707885109      8      534 SH       SOLE              1     534       0      0
PEPSI BOTTLING GROUP INC               713409100      1       33 SH       SOLE              1      33       0      0
PEPSIAMERICAS INC                      71343P200    114     4000 SH       SOLE              1    4000       0      0
PEPSICO INC                   COM      713448108    602    10259 SH       SOLE              1   10259       0      0
PEPSICO INC                   COM      713448108     65     1100 SH       DEFINED           1       0    1100      0
PETROCHINA CO LTD                      71646E100      2       20 SH       SOLE              1      20       0      0
PFIZER INC                             717081103    294    17799 SH       SOLE              1   16599       0   1200
PFIZER INC                             717081103     12      700 SH       DEFINED           1       0     700      0
PHILLIP MORRIS INTL INC       COM      718172109    273     5595 SH       SOLE              1    5595       0      0
PIMCO MUNI INCOME FUND III             72201A103     15     1333          SOLE              1    1333       0      0
PITNEY BOWES INC              COM      724479100      0       13 SH       SOLE              1      13       0      0
POWERSHARES ETF GLOBAL WATER
PORTFOLIO                              73935X575      4      250 SH       SOLE              1     250       0      0



                                       12





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
PRAXAIR INC                   COM      74005P104     33      410 SH       SOLE              1     410       0      0
T ROWE PRICE & ASSOC                   74144T108      9      200 SH       SOLE              1     200       0      0
PRINCIPAL FINANCIAL GROUP              74251V102     35     1283 SH       SOLE              1    1283       0      0
PROCTER & GAMBLE CO           COM      742718109    954    16464 SH       SOLE              1   15267       0   1197
PROCTER & GAMBLE CO           COM      742718109    348     6000 SH       DEFINED           1    6000       0      0
PROGRESS ENERGY INC COM                743263105     71     1825 SH       SOLE              1    1825       0      0
PROLOGIS SH BEN INT           COM      743410102      0       12 SH       SOLE              1      12       0      0
PRUDENTIAL FINANCIAL                   744320102     21      422 SH       SOLE              1     422       0      0
PUBLIC SVC ENTERPRISE GROUP
INC                                    744573106     21      660 SH       SOLE              1     660       0      0
PUBLIC STORAGE, INC REIT               74460D109     34      450 SH       SOLE              1     450       0      0
                              INCOME
PUTNAM MANAGED MUNICIPAL      TRUST    746823103     13     1862          SOLE              1    1862       0      0
QUALCOMM INC                           747525103     32      710 SH       SOLE              1     710       0      0
QUANTUM FUEL SYS TECHNOLOGIES COM      74765E109      0      142 SH       SOLE              1     142       0      0
RRI ENERGY INC                         74971X107      6      873 SH       SOLE              1     873       0      0
RAYTHEON CO                   NEW      755111507     21      438 SH       SOLE              1     438       0      0
REGIONS FINANCIAL CORP        NEW      7591EP100    293    47210 SH       SOLE              1   47210       0      0
REGIONS FINANCIAL CORP        NEW      7591EP100     14     2205 SH       DEFINED           1       0    2205      0
RENASANT CORP                 COM      75970E107    122     8224 SH       SOLE              1    8224       0      0
RITE-AID INC                           767754104      0        7 SH       SOLE              1       7       0      0
ROBERT HALF INTL INC                   770323103     15      580 SH       SOLE              1     580       0      0
                              ADR
                              PREF
                              SHS SER
ROYAL BK SCOTLAND GROUP       Q        780097754     13     1200 SH       SOLE              1    1200       0      0
                              SPON
ROYAL DUTCH SHELL PLC         ADR B    780259107     31      550 SH       SOLE              1     550       0      0
                              SPON
ROYAL DUTCH SHELL PLC         ADR B    780259107     86     1551 SH       DEFINED           1    1551       0      0
ROYAL DUTCH SHELL PLC                  780259206     86     1500 SH       SOLE              1    1500       0      0
ROYAL DUTCH SHELL PLC                  780259206    183     3200 SH       DEFINED           1    3200       0      0
STANDARD & POORS DEP          RECEIPTS 78462F103     59      563 SH       SOLE              1     150       0    413
SATYAM COMPUTER SVCS LTD      ADR      804098101      1       80 SH       SOLE              1      80       0      0
SCANA CORP                    NEW      80589M102      4      115 SH       SOLE              1     115       0      0



                                       13





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
SCHERING PLOUGH CORP          COM      806605101    311    11025 SH       SOLE              1   11025       0      0
SCHLUMBERGER LTD              COM      806857108     96     1619 SH       SOLE              1    1619       0      0
SEMPRA ENERGY                 COM      816851109     15      300 SH       SOLE              1     300       0      0
SERVICE CORP INTL W/RIGHTS    COMMON
TO PURC                       STOCK    817565104      1      107 SH       SOLE              1     107       0      0
SIGMA ALDRICH CORP                     826552101     16      300 SH       SOLE              1     300       0      0
                              CL A $1
SIMMONS 1ST NATL CORP         PAR      828730200    290    10066 SH       SOLE              1   10066       0      0
                              CL A $1
SIMMONS 1ST NATL CORP         PAR      828730200     14      500 SH       DEFINED           1     500       0      0
SIMON PROPERTY GROUP INC               828806109      2       31 SH       SOLE              1      31       0      0
SINOPEC SHANGHAI
PETROCHEMICAL CO LTD          ADR      82935M109      1       25 SH       SOLE              1      25       0      0
SIRIUS XM RADIO INC                    82967N108      4     5800 SH       SOLE              1    5800       0      0
SMUCKER J M CO                         832696405      1       13 SH       SOLE              1      13       0      0
SOUTHERN CO                   COM      842587107    191     6021 SH       SOLE              1    6021       0      0
SOUTHERN CO                   COM      842587107    111     3521 SH       DEFINED           1    3521       0      0
SPECTRA ENERGY                         847560109     18      961 SH       SOLE              1     961       0      0
SPRINT NEXTEL CORP            COMSER 1 852061100    198    50000 SH       SOLE              1   50000       0      0
STARBUCKS CORP                         855244109      2       81 SH       SOLE              1      81       0      0
STARWOOD HOTELS & RESORTS
WORLDWIDE INC                 COM      85590A401     19      587 SH       SOLE              1     587       0      0
STONE ENERGY CORP                      861642106      8      500 SH       SOLE              1     500       0      0
STRYKER CORP                           863667101     25      550 SH       SOLE              1     550       0      0
SUN MICROSYSTEMS INC          COM      866810203      5      500 SH       SOLE              1     500       0      0
SUNCOR ENERGY INC             NEW      867224107     36     1034 SH       SOLE              1    1034       0      0
SUNTRUST BANKS INC            COM      867914103     30     1343 SH       SOLE              1    1343       0      0
SYSCO CORP                             871829107     21      863 SH       SOLE              1     863       0      0
TARGET CORP                            87612E106     84     1796 SH       SOLE              1    1796       0      0
                              CV
                              SPONS
TELEFONOS DE MEXICO SA DE     ADR      879403780      5      314 SH       SOLE              1     314       0      0
TELMEX INTERNATIONAL SAB DE   CV L ADR 879690105      4      314 SH       SOLE              1     314       0      0
TEVA PHARMACEUTICAL IND       ADR'S    881624209     24      470 SH       SOLE              1     470       0      0
TEXAS INSTRUMENTS                      882508104     18      781 SH       SOLE              1     781       0      0
THERMO FISHER SCIENTIFIC INC           883556102     16      375 SH       SOLE              1     375       0      0



                                       14





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
3M CO                                  88579Y101    286     3879 SH       SOLE              1    1679       0   2200
TIFFANY & CO                  NEW      886547108     41     1064 SH       SOLE              1    1064       0      0
TIME WARNER INC               COM NEW  887317303     12      404 SH       SOLE              1     404       0      0
TIME WARNER CABLE, INC                 88732J207      6      141 SH       SOLE              1     141       0      0
TORONTO-DOMINION BANK         ADR      891160509      6       94 SH       SOLE              1      94       0      0
TRAVELERS COMPANIES INC       COM      89417E109     15      310 SH       SOLE              1     310       0      0
TRI-CONTINENTAL CORPORATION            895436103     39     3550 SH       SOLE              1    3550       0      0
TRUSTMARK CORP COM                     898402102    457    23997 SH       SOLE              1   23997       0      0
TYSON FOODS INC               CL A     902494103     25     2000 SH       SOLE              1    2000       0      0
USA TRUCK INC                 COM      902925106    230    18113 SH       SOLE              1   18113       0      0
US BANCORP DEL                NEW      902973304     11      522 SH       SOLE              1     522       0      0
                              SPONS
                              ADR NEW
UNILEVER PLC                  COM      904767704      3      120 SH       SOLE              1     120       0      0
UNION PACIFIC CORP                     907818108     23      400 SH       SOLE              1     400       0      0
UNION PACIFIC CORP                     907818108    257     4400 SH       DEFINED           1       0    4400      0
UNITED PARCEL SERVICE - CLB            911312106      6      110 SH       SOLE              1     110       0      0
UNITED TECHNOLOGIES CORP               913017109     89     1465 SH       SOLE              1     365       0   1100
UNITEDHEALTH GROUP                     91324P102      9      349 SH       SOLE              1     349       0      0
VAALCO ENERGY INC COM                  91851C201     11     2365 SH       SOLE              1    2365       0      0
VALERO ENERGY                          91913Y100      7      375 SH       SOLE              1     375       0      0
                              (LARGE
                              CAP 300
VANGUARD MEGA CAP 300 ETF     INDEX)   921910873   1484    40608 SH       SOLE              1   40608       0      0
VANGUARD SHORT TERM BOND ETF           921937827     21      264 SH       SOLE              1     264       0      0
VANGUARD TOTAL BOND MARKET
ETF                                    921937835    165     2076 SH       SOLE              1    2076       0      0
VANGUARD EUROPE PACIFIC ETF            921943858    415    12099 SH       SOLE              1   12099       0      0
VANGUARD FTSE INT'L EQUITY             922042775     13      302 SH       SOLE              1     302       0      0
VANGUARD MID CAP ETF                   922908629    814    14312 SH       SOLE              1   14312       0      0
VANGUARD LARGE CAP ETF                 922908637    147     3063 SH       SOLE              1    3063       0      0
VANGUARD SMALL CAP ETF                 922908751    585    10539 SH       SOLE              1   10539       0      0
VERIZON COMMUNICATIONS                 92343V104    299     9863 SH       SOLE              1    7664       0   2199
VERIZON COMMUNICATIONS                 92343V104     65     2142 SH       DEFINED           1    1344     798      0



                                       15





                                                                                              ** VOTING AUTHORITY **
                                                                                              ----------------------
                                                   MKT                                                  NAME   TITLE
                                TITLE              VAL           SH/ PUT/ INVESTMENT   OTHER             OF     OF
NAME OF ISSUER                OF CLASS   CUSIP   x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER  CLASS
--------------                -------- --------- ------ -------  --- ---- ---------- -------- ------- ------- ------
                                                                             
VIAD CORPORATION                       92552R406      2       87 SH       SOLE              1      87       0      0
VIACOM INC NEW                CL B     92553P201      6      216 SH       SOLE              1     216       0      0
                              SPONS
VODAFONE GROUP PLC NEW        ADR NEW  92857W209     31     1386 SH       SOLE              1    1386       0      0
                              SPONS
VODAFONE GROUP PLC NEW        ADR NEW  92857W209     11      494 SH       DEFINED           1       0     494      0
WAL MART STORES INC           COM      931142103   1379    28090 SH       SOLE              1   25590       0   2500
WAL MART STORES INC           COM      931142103     43      886 SH       DEFINED           1     886       0      0
WALGREEN CO                   COM      931422109     76     2040 SH       SOLE              1    2040       0      0
WASHINGTON REAL ESTATE SH
BEN INT REITS                          939653101     56     1950 SH       SOLE              1    1950       0      0
WASTE MANAGEMENT INC          NEW      94106L109      4      130 SH       SOLE              1     130       0      0
WELLS FARGO & CO.             NEW      949746101     56     1994 SH       SOLE              1    1994       0      0
WESTAR ENERGY INC                      95709T100     14      700 SH       SOLE              1     700       0      0
WILLIAMS COMPANY              COMMON   969457100      2      123 SH       SOLE              1     123       0      0
WISDOM TREE TR DIV TOP 100 FD          97717W406    286     7565 SH       SOLE              1    7565       0      0
WYETH                                  983024100     80     1649 SH       SOLE              1    1649       0      0
XT0 ENERGY INC                         98385X106     13      310 SH       SOLE              1     310       0      0
XCEL ENERGY INC                        98389B100      9      477 SH       SOLE              1     477       0      0
YUM BRANDS INC                         988498101    426    12614 SH       SOLE              1   12614       0      0
ZIMMER HLDGS INC                       98956P102      7      140 SH       SOLE              1     140       0      0
GRAND TOTALS                                     531203 10628935                              2472036 7962316 194583



                                       16