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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 6/30/2009

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

Institutional Investment Manager Filing this Report:

Name:    M&T Bank Corporation
Address: One M&T Plaza
         Buffalo, NY 14240

Form 13-F File Number: 028-00267

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

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:


/s/ Mark Czarnecki, President       Buffalo, New York   7/22/2009
---------------------------------   -----------------   ---------
           [Signature]                [City, State]       [Date]

Report Type (Check only one.):

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

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

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





                             FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                  4
Form 13-F Information Table Entry Total:        2,812
Form 13-F Information Table Value Total:    2,435,524
                                          (thousands)

List of Other Included Managers:

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

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

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






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ABB LTD SPON ADR     COMMON STOCK 000375204         44      2790 Shares                         X         1      2790      0       0
ACCO BRANDS CORP     COMMON STOCK 00081T108          1       404 Shares                 X                 1       404      0       0
ADC
TELECOMMUNICATIONS
INC                  COMMON STOCK 000886309          1       114 Shares                 X                 1       114      0       0
AFLAC INCORPORATED   COMMON STOCK 001055102       1842     59244 Shares                 X                 1     59244      0       0
AFLAC INCORPORATED   COMMON STOCK 001055102        404     13000 Shares                         X         1     12600      0     400
AFLAC INCORPORATED   COMMON STOCK 001055102       3112    100085 Shares                 X                 2     25335      0   74750
AGL RESOURCES INC    COMMON STOCK 001204106        122      3826 Shares                 X                 1      1826      0    2000
AGL RESOURCES INC    COMMON STOCK 001204106         96      3032 Shares                         X         1      3032      0       0
AES CORP COM         COMMON STOCK 00130H105       1090     93854 Shares                 X                 1     93054      0     800
AES CORP COM         COMMON STOCK 00130H105         99      8533 Shares                         X         1      7133      0    1400
AES CORP COM         COMMON STOCK 00130H105       7066    608607 Shares                 X                 2    184272      0  424335
AES CORP COM         COMMON STOCK 00130H105         37      3154 Shares                 X                 3      3154      0       0
AK STEEL HOLDING
CORP COM             COMMON STOCK 001547108          1        66 Shares                 X                 1        66      0       0
AMAG
PHARMACEUTICALS INC  COMMON STOCK 00163U106         52       950 Shares                 X                 1       950      0       0
AMAG
PHARMACEUTICALS INC  COMMON STOCK 00163U106       1164     21275 Shares                 X                 3     21275      0       0
AT&T INC             COMMON STOCK 00206R102      17104    688581 Shares                 X                 1    677576      0   11005
AT&T INC             COMMON STOCK 00206R102      10045    404383 Shares                         X         1    357773      0   46610
AT&T INC             COMMON STOCK 00206R102       9371    379692 Shares                 X                 2     86575      0  293117
AT&T INC             COMMON STOCK 00206R102        462     18593 Shares                 X                 3     13013      0    5580
AT&T INC             COMMON STOCK 00206R102          7       265 Shares                 X                 4       265      0       0
AVI BIOPHARMA INC    COMMON STOCK 002346104         14      9000 Shares                 X                 1      9000      0       0
ABBOTT LABORATORIES  COMMON STOCK 002824100      12161    258529 Shares                 X                 1    255479      0    3050
ABBOTT LABORATORIES  COMMON STOCK 002824100       4768    101359 Shares                         X         1     94854      0    6505
ABBOTT LABORATORIES  COMMON STOCK 002824100        531     11300 Shares                 X                 2      5300      0    6000
ABBOTT LABORATORIES  COMMON STOCK 002824100       2278     48430 Shares                 X                 3     45202      0    3228
ABERCROMBIE & FITCH
CO CL A              COMMON STOCK 002896207        742     29232 Shares                 X                 1     28332      0     900
ABERCROMBIE & FITCH
CO CL A              COMMON STOCK 002896207         11       450 Shares                         X         1       450      0       0
ABERCROMBIE & FITCH
CO CL A              COMMON STOCK 002896207         67      2645 Shares                 X                 3      2439      0     206
ABERDEEN AUSTRALIA
EQUITY FUND          PREFERRED
                     STOCK        003011103          9      1000 Shares                         X         1         0      0       0
ABIGAIL ADAMS
NATIONAL BANCORP     COMMON STOCK 003390101          0       137 Shares                 X                 2         0      0     137
ABITIBIBOWATER INC   COMMON STOCK 003687100          0        31 Shares                 X                 1        31      0       0
ACUITY BRANDS
HOLDING
COMPANY              COMMON STOCK 00508Y102       1234     44000 Shares                 X                 2         0      0   44000
ADAPTEC INC          COMMON STOCK 00651F108          1       200 Shares                 X                 1       200      0       0
ADOBE SYS INC COM    COMMON STOCK 00724F101         95      3360 Shares                 X                 1      3360      0       0
ADOBE SYS INC COM    COMMON STOCK 00724F101         41      1450 Shares                         X         1      1450      0       0
ADOBE SYS INC COM    COMMON STOCK 00724F101        865     30565 Shares                 X                 2     18900      0   11665
ADTRAN INC COM       COMMON STOCK 00738A106        137      6375 Shares                 X                 1      6375      0       0



                                    1 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ADTRAN INC COM       COMMON STOCK 00738A106       1991     92750 Shares                 X                 3     92750      0       0
ADVANCE AUTO PARTS   COMMON STOCK 00751Y106         15       365 Shares                 X                 1       365      0       0
ADVANCE AUTO PARTS   COMMON STOCK 00751Y106         31       750 Shares                         X         1       750      0       0
ADVANTAGE ENERGY
INCOME FUND          COMMON STOCK 00762L101         36      8435 Shares                 X                 1      8435      0       0
AECOM TECHNOLOGY
CORP                 COMMON STOCK 00766T100          1        21 Shares                 X                 1        21      0       0
AECOM TECHNOLOGY
CORP                 COMMON STOCK 00766T100       1171     36600 Shares                 X                 2     11900      0   24700
AEROPOSTALE INC      COMMON STOCK 007865108         47      1375 Shares                 X                 1      1375      0       0
AEROPOSTALE INC      COMMON STOCK 007865108       1047     30550 Shares                 X                 3     30550      0       0
ADVANCED MICRO
DEVICES INC COM      COMMON STOCK 007903107        697    180039 Shares                 X                 1    180039      0       0
ADVANCED MICRO
DEVICES INC COM      COMMON STOCK 007903107          4      1125 Shares                         X         1      1125      0       0
ADVANCED MICRO
DEVICES INC COM      COMMON STOCK 007903107       2360    609985 Shares                 X                 3    609985      0       0
AEGON NV ORD AMER
REG
SHS                  COMMON STOCK 007924103         52      8406 Shares                 X                 1      8406      0       0
AES TRUST III PFD
CONV 6.75% 1         PREFERRED
                     STOCK        00808N202         17       400 Shares                 X                 1         0      0       0
AES TRUST III PFD
CONV 6.75% 1         PREFERRED
                     STOCK        00808N202       4057     94900 Shares                 X                 2     19400      0       0
AETNA INC NEW COM    COMMON STOCK 00817Y108       1141     45566 Shares                 X                 1     45566      0       0
AETNA INC NEW COM    COMMON STOCK 00817Y108       1475     58857 Shares                 X                 3     58857      0       0
AFFILIATED COMPUTER
SVCS INC C           COMMON STOCK 008190100          4       100 Shares                 X                 1       100      0       0
AFFILIATED MANAGERS
GROUP                COMMON STOCK 008252108         41       700 Shares                 X                 1       700      0       0
AFFILIATED MANAGERS
GROUP                COMMON STOCK 008252108       1033     17751 Shares                 X                 3     17751      0       0
AGFEED INDUSTRIES
INC                  COMMON STOCK 00846L101          2       415 Shares                 X                 1       415      0       0
AGILENT TECHNOLOGIES
INC COM              COMMON STOCK 00846U101         20       991 Shares                         X         1       381      0     610
AGILENT TECHNOLOGIES
INC COM              COMMON STOCK 00846U101         46      2288 Shares                 X                 2         0      0    2288
AGILENT TECHNOLOGIES
INC COM              COMMON STOCK 00846U101          1        30 Shares                 X                 3        30      0       0
AGNICO EAGLE MINES
LTD                  COMMON STOCK 008474108          3        50 Shares                 X                 1        50      0       0
AGRIUM INC           COMMON STOCK 008916108         30       750 Shares                 X                 1       750      0       0
AIR PRODUCTS &
CHEMICALS INC        COMMON STOCK 009158106        752     11650 Shares                 X                 1     11650      0       0
AIR PRODUCTS &
CHEMICALS INC        COMMON STOCK 009158106        862     13340 Shares                         X         1     13340      0       0
ALASKA
COMMUNICATIONS
SYSTEMS              COMMON STOCK 01167P101          5       750 Shares                 X                 1       750      0       0
ALBEMARLE CORP COM   COMMON STOCK 012653101        203      7948 Shares                 X                 1      7948      0       0
ALBEMARLE CORP COM   COMMON STOCK 012653101        568     22231 Shares                         X         1     22231      0       0
ALBERTO-CULVER
COMPANY              COMMON STOCK 013078100          3       100 Shares                 X                 1       100      0       0
ALCOA INC COM        COMMON STOCK 013817101        837     81022 Shares                 X                 1     80722      0     300
ALCOA INC COM        COMMON STOCK 013817101        409     39580 Shares                         X         1     36120      0    3460
ALCOA INC COM        COMMON STOCK 013817101          3       300 Shares                 X                 2         0      0     300
ALCOA INC COM        COMMON STOCK 013817101          2       200 Shares                 X                 4       200      0       0
ALCATEL-LUCENT -
SPON ADR             COMMON STOCK 013904305          6      2378 Shares                 X                 1      2378      0       0
ALCATEL-LUCENT -
SPON ADR             COMMON STOCK 013904305          1       575 Shares                         X         1       543      0      32



                                    2 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ALCATEL-LUCENT -
SPON ADR             COMMON STOCK 013904305          0       155 Shares                 X                 2         0      0     155
ALDILA INCORPORATED
NEW                  COMMON STOCK 014384200          0        66 Shares                 X                 1        66      0       0
ALEX & BALDWIN INC   COMMON STOCK 014482103         89      3810 Shares                 X                 1      3810      0       0
ALEX & BALDWIN INC   COMMON STOCK 014482103          9       381 Shares                         X         1       381      0       0
ALEXANDRIA REAL
ESTATE EQUITIE       COMMON STOCK 015271109          3        74 Shares                 X                 1         0      0       0
ALEXION
PHARMACEUTICALS INC
CO                   COMMON STOCK 015351109         50      1226 Shares                 X                 1      1226      0       0
ALEXION
PHARMACEUTICALS INC
CO                   COMMON STOCK 015351109         12       300 Shares                         X         1         0      0     300
ALEXION
PHARMACEUTICALS INC
CO                   COMMON STOCK 015351109        998     24250 Shares                 X                 3     24250      0       0
ALLEGHENY ENERGY INC COMMON STOCK 017361106         59      2298 Shares                 X                 1      2298      0       0
ALLEGHENY ENERGY INC COMMON STOCK 017361106         62      2400 Shares                         X         1      2100      0     300
ALLEGHENY
TECHNOLOGIES INC COM COMMON STOCK 01741R102         34       962 Shares                 X                 1       962      0       0
ALLEGHENY
TECHNOLOGIES INC COM COMMON STOCK 01741R102         28       800 Shares                 X                 2         0      0     800
ALLERGAN INC         COMMON STOCK 018490102       1296     27241 Shares                 X                 1     27241      0       0
ALLERGAN INC         COMMON STOCK 018490102         78      1646 Shares                         X         1      1646      0       0
ALLERGAN INC         COMMON STOCK 018490102       4455     93656 Shares                 X                 3     93656      0       0
ALLETE INC           COMMON STOCK 018522300         37      1300 Shares                         X         1      1300      0       0
ALLIANCE HOLDINGS GP
LP                   COMMON STOCK 01861G100         15       800 Shares                 X                 2         0      0     800
ALLIANCEBERNSTEIN
NATL MUNI IN         PREFERRED
                     STOCK        01864U106         12      1000 Shares                         X         1         0      0       0
ALLIANT TECHSYSTEMS
INC                  COMMON STOCK 018804104          7        81 Shares                 X                 1        81      0       0
ALLIANT TECHSYSTEMS
INC                  COMMON STOCK 018804104         33       405 Shares                         X         1       405      0       0
ALLIANCEBERNSTEIN
INCOME FUND          PREFERRED
                     STOCK        01881E101         15      1892 Shares                         X         1         0      0       0
ALLIANCEBERNSTEIN
HOLDING LP           COMMON STOCK 01881G106         51      2550 Shares                         X         1      2550      0       0
ALLIANCEBERNSTEIN
HOLDING LP           COMMON STOCK 01881G106        266     13250 Shares                 X                 2         0      0   13250
ALLIED CAPITAL CORP
NEW COM              COMMON STOCK 01903Q108          5      1472 Shares                 X                 1      1472      0       0
ALLIED CAPITAL CORP
NEW COM              COMMON STOCK 01903Q108         70     20212 Shares                         X         1     20212      0       0
ALLIED CAPITAL CORP
NEW COM              COMMON STOCK 01903Q108          2       700 Shares                 X                 3       700      0       0
ALLIANCE FINANCIAL
CORP                 COMMON STOCK 019205103         72      2527 Shares                 X                 2         0      0    2527
ALLIED IRISH BKS
PLC-SPON ADR         COMMON STOCK 019228402       4521    949725 Shares                 X                 1    754332   7143  188250
ALLIED IRISH BKS
PLC-SPON ADR         COMMON STOCK 019228402       1501    315348 Shares                         X         1    260948      0   54400
ALLSCRIPTS-MISYS
HEALTHCARE           COMMON STOCK 01988P108       2435    153555 Shares                 X                 1    153555      0       0
ALLSCRIPTS-MISYS
HEALTHCARE           COMMON STOCK 01988P108         65      4100 Shares                         X         1      4100      0       0
ALLSCRIPTS-MISYS
HEALTHCARE           COMMON STOCK 01988P108       2008    126633 Shares                 X                 3    123067      0    3566
ALLSTATE CORP        COMMON STOCK 020002101        437     17924 Shares                 X                 1     17924      0       0
ALLSTATE CORP        COMMON STOCK 020002101        264     10823 Shares                         X         1      9873      0     950
ALLSTATE CORP        COMMON STOCK 020002101        903     37000 Shares                 X                 2         0      0   37000
ALLSTATE CORP        COMMON STOCK 020002101         23       953 Shares                 X                 3       953      0       0
ALNYLAM
PHARMACEUTICALS INC  COMMON STOCK 02043Q107          2       100 Shares                 X                 1       100      0       0



                                    3 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ALNYLAM
PHARMACEUTICALS INC  COMMON STOCK 02043Q107         78      3500 Shares                 X                 2         0      0    3500
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED
                     STOCK        02083A103       5060   1081201 Shares                 X                 1         0      0       0
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED
                     STOCK        02083A103        945    201861 Shares                         X         1         0      0       0
ALPINE GLOBAL
PREMIER PPTYS        PREFERRED
                     STOCK        02083A103       1844    393998 Shares                 X                 3         0      0       0
ALPINE TOTAL DYNAMIC
DVD FD               PREFERRED
                     STOCK        021060108         55      7135 Shares                 X                 1         0      0       0
ALPINE TOTAL DYNAMIC
DVD FD               PREFERRED
                     STOCK        021060108          5       590 Shares                         X         1         0      0       0
ALTERA CORP COM      COMMON STOCK 021441100        175     10725 Shares                 X                 1     10725      0       0
ALTERA CORP COM      COMMON STOCK 021441100       1123     69000 Shares                 X                 3     69000      0       0
ALTRIA GROUP INC     COMMON STOCK 02209S103       3934    240037 Shares                 X                 1    236437      0    3600
ALTRIA GROUP INC     COMMON STOCK 02209S103       2394    146061 Shares                         X         1    139336      0    6725
ALTRIA GROUP INC     COMMON STOCK 02209S103        341     20800 Shares                 X                 2         0      0   20800
ALTRIA GROUP INC     COMMON STOCK 02209S103        108      6607 Shares                 X                 3      6607      0       0
AMAZON.COM INC       COMMON STOCK 023135106        897     10726 Shares                 X                 1     10726      0       0
AMAZON.COM INC       COMMON STOCK 023135106         14       171 Shares                         X         1       121      0      50
AMAZON.COM INC       COMMON STOCK 023135106         25       300 Shares                 X                 2         0      0     300
AMAZON.COM INC       COMMON STOCK 023135106       1437     17182 Shares                 X                 3     17182      0       0
AMBAC FINANCIAL
GROUP INC            COMMON STOCK 023139108          0       165 Shares                         X         1       165      0       0
AMBAC FINANCIAL
GROUP INC            COMMON STOCK 023139108          1       600 Shares                 X                 2         0      0     600
AMEDISYS INC         COMMON STOCK 023436108          2        57 Shares                 X                 1        57      0       0
AMEREN CORP          COMMON STOCK 023608102        109      4367 Shares                 X                 1      4367      0       0
AMEREN CORP          COMMON STOCK 023608102         12       500 Shares                         X         1       500      0       0
AMERICA MOVIL SA -
SPONS ADR S          COMMON STOCK 02364W105         59      1520 Shares                 X                 1      1520      0       0
AMERICA MOVIL SA -
SPONS ADR S          COMMON STOCK 02364W105        116      3000 Shares                         X         1         0      0    3000
AMERICA MOVIL SA -
SPONS ADR S          COMMON STOCK 02364W105         77      2000 Shares                 X                 2         0      0    2000
AMERICAN CAPITAL
STRATEGIES LTD       COMMON STOCK 024937104       1810     53000 Shares                 X                 2     53000      0       0
AMERICAN ELECTRIC
POWER CO INC         COMMON STOCK 025537101         92      3173 Shares                 X                 1      3173      0       0
AMERICAN ELECTRIC
POWER CO INC         COMMON STOCK 025537101        142      4914 Shares                         X         1      2084      0    2830
AMERICAN EAGLE
OUTFITTER INC        COMMON STOCK 02553E106        314     22157 Shares                 X                 1     22157      0       0
AMERICAN EAGLE
OUTFITTER INC        COMMON STOCK 02553E106        753     53150 Shares                 X                 3     53150      0       0
AMERICAN ELECTRIC
TECHNOLOGIES         COMMON STOCK 025576109          0       100 Shares                 X                 1       100      0       0
AMERICAN ELECTRIC
TECHNOLOGIES         COMMON STOCK 025576109          0       160 Shares                 X                 2         0      0     160
AM EX CO             COMMON STOCK 025816109        492     21186 Shares                 X                 1     20586      0     600
AM EX CO             COMMON STOCK 025816109        282     12133 Shares                         X         1      9655      0    2478
AM EX CO             COMMON STOCK 025816109        883     37988 Shares                 X                 2         0      0   37988
AM EX CO             COMMON STOCK 025816109          5       200 Shares                 X                 4       200      0       0
AMERICAN FINANCIAL
GROUP INC            COMMON STOCK 025932104         13       600 Shares                         X         1         0      0     600
AMERICAN
INTERNATIONAL
GROUP I              COMMON STOCK 026874107         21     18435 Shares                 X                 1     18435      0       0



                                    4 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
AMERICAN
INTERNATIONAL
GROUP I              COMMON STOCK 026874107         17     14402 Shares                         X         1      9557      0    4845
AMERICAN
INTERNATIONAL
GROUP I              COMMON STOCK 026874107         32     27856 Shares                 X                 2     15401      0   12455
AMERICAN
INTERNATIONAL
GROUP I              COMMON STOCK 026874107          0       140 Shares                 X                 3       140      0       0
AMERICAN INTL GROUP
PFD CV 8.5           PREFERRED
                     STOCK        026874115          5       500 Shares                 X                 1         0      0       0
AMERICAN INTL GROUP
PFD CV 8.5           PREFERRED
                     STOCK        026874115        399     41950 Shares                 X                 2         0      0       0
AMERICAN MEDICAL
SYSTEMS HOLDI        COMMON STOCK 02744M108         29      1850 Shares                 X                 1      1850      0       0
AMERICAN MEDICAL
SYSTEMS HOLDI        COMMON STOCK 02744M108        644     40750 Shares                 X                 3     40750      0       0
AMERICAN PUBLIC
EDUCATION INC        COMMON STOCK 02913V103         43      1075 Shares                 X                 1      1075      0       0
AMERICAN PUBLIC
EDUCATION INC        COMMON STOCK 02913V103       1150     29025 Shares                 X                 3     29025      0       0
AMERICAN SELECT
PORTFOLIO            PREFERRED
                     STOCK        029570108         11      1100 Shares                 X                 1         0      0       0
AMERICAN TOWER CORP
CL A                 COMMON STOCK 029912201         49      1550 Shares                 X                 1      1550      0       0
AMERICAN TOWER CORP
CL A                 COMMON STOCK 029912201        969     30750 Shares                 X                 3     30750      0       0
AMERICAN STRATEGIC
INCOME II            PREFERRED
                     STOCK        030099105         14      1500 Shares                 X                 1         0      0       0
AMERICAN STRATEGIC
INCOME III           PREFERRED
                     STOCK        03009T101         12      1400 Shares                 X                 1         0      0       0
AMERICAN WATER
WORKS CO INC         COMMON STOCK 030420103         11       550 Shares                 X                 1       550      0       0
AMERICAN WATER
WORKS CO INC         COMMON STOCK 030420103         38      2000 Shares                 X                 3      2000      0       0
AMERISTAR CASINOS
INCORPORATED         COMMON STOCK 03070Q101         20      1025 Shares                 X                 1      1025      0       0
AMERISTAR CASINOS
INCORPORATED         COMMON STOCK 03070Q101        427     22400 Shares                 X                 3     22400      0       0
AMERISOURCE BERGEN
CORP COM             COMMON STOCK 03073E105         15       822 Shares                 X                 1       822      0       0
AMERIGROUP
CORPORATION          COMMON STOCK 03073T102         32      1175 Shares                 X                 1      1175      0       0
AMERIGROUP
CORPORATION          COMMON STOCK 03073T102        698     25975 Shares                 X                 3     25975      0       0
AMERIPRISE FINANCIAL
INC                  COMMON STOCK 03076C106         54      2225 Shares                 X                 1      2105      0     120
AMERIPRISE FINANCIAL
INC                  COMMON STOCK 03076C106         38      1569 Shares                         X         1      1179      0     390
AMERIPRISE FINANCIAL
INC                  COMMON STOCK 03076C106         43      1790 Shares                 X                 2         0      0    1790
AMERIS BANCORP       COMMON STOCK 03076K108          1       123 Shares                 X                 1       123      0       0
AMERIGAS PARTNERS LP COMMON STOCK 030975106         44      1300 Shares                         X         1      1300      0       0
AMETEK AEROSPACE
PRODS INC COM        COMMON STOCK 031100100         36      1038 Shares                 X                 1      1038      0       0
AMGEN INC COM        COMMON STOCK 031162100       8487    160313 Shares                 X                 1    159213      0    1100
AMGEN INC COM        COMMON STOCK 031162100       2146     40544 Shares                         X         1     34229      0    6315
AMGEN INC COM        COMMON STOCK 031162100        518      9794 Shares                 X                 2         0      0    9794
AMGEN INC COM        COMMON STOCK 031162100       2302     43487 Shares                 X                 3     42504      0     983
AMGEN INC COM        COMMON STOCK 031162100         11       200 Shares                 X                 4       200      0       0
AMSURG CORP          COMMON STOCK 03232P405         17       800 Shares                 X                 1       800      0       0
ANADARKO PETROLEUM
CORP                 COMMON STOCK 032511107       1968     43364 Shares                 X                 1     43364      0       0
ANADARKO PETROLEUM
CORP                 COMMON STOCK 032511107        355      7816 Shares                         X         1      7816      0       0
ANADARKO PETROLEUM
CORP                 COMMON STOCK 032511107       1092     24054 Shares                 X                 2      8200      0   15854
ANADARKO PETROLEUM
CORP                 COMMON STOCK 032511107       1039     22912 Shares                 X                 3     22344      0     568



                                    5 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      

ANADIGICS INC        COMMON STOCK 032515108         49     11725 Shares                 X                 1     11725      0       0
ANADIGICS INC        COMMON STOCK 032515108       1088    259675 Shares                 X                 3    259675      0       0
ANALOG DEVICES INC   COMMON STOCK 032654105        528     21316 Shares                 X                 1     21316      0       0
ANALOG DEVICES INC   COMMON STOCK 032654105         24       960 Shares                         X         1       360      0     600
ANALOG DEVICES INC   COMMON STOCK 032654105        520     21000 Shares                 X                 2         0      0   21000
ANALOG DEVICES INC   COMMON STOCK 032654105       1153     46494 Shares                 X                 3     46494      0       0
ANCHOR BANCORP
WISCONSIN INC        COMMON STOCK 032839102          0       250 Shares                 X                 1       250      0       0
ANCHOR BANCORP
WISCONSIN INC        COMMON STOCK 032839102          0        35 Shares                 X                 3        35      0       0
ANGIODYNAMICS INC    COMMON STOCK 03475V101         18      1350 Shares                 X                 1      1350      0       0
ANGIODYNAMICS INC    COMMON STOCK 03475V101        405     30550 Shares                 X                 3     30550      0       0
ANGLO AMERICAN PLC-
UNSP ADR             COMMON STOCK 03485P201         16      1125 Shares                         X         1      1125      0       0
ANGLOGOLD ASHANTI
SPON ADR             COMMON STOCK 035128206          4       110 Shares                 X                 1       110      0       0
ANNALY CAPITAL
MANAGEMENT INC       COMMON STOCK 035710409         30      1951 Shares                 X                 1         0      0       0
ANNALY CAPITAL
MANAGEMENT INC       COMMON STOCK 035710409          8       500 Shares                         X         1         0      0       0
ANNALY CAPITAL
MANAGEMENT INC       COMMON STOCK 035710409       5992    395800 Shares                 X                 2     76300      0       0
ANNALY CAPITAL
MANAGEMENT INC       COMMON STOCK 035710409         67      4400 Shares                 X                 3      4400      0       0
ANNAPOLIS BANCORP
INCORPORATED         COMMON STOCK 035848100          5      1333 Shares                         X         1      1333      0       0
ANSYS INC            COMMON STOCK 03662Q105        305      9793 Shares                 X                 1      9793      0       0
ANSYS INC            COMMON STOCK 03662Q105       2615     83932 Shares                 X                 3     83932      0       0
ANTHRACITE CAPITAL
INC COM              COMMON STOCK 037023108          2      2869 Shares                 X                 1         0      0       0
ANTIGENICS INC       COMMON STOCK 037032109          0        11 Shares                 X                 1        11      0       0
AON CORP COM         COMMON STOCK 037389103        229      6060 Shares                 X                 1      6060      0       0
APACHE CORP COM      COMMON STOCK 037411105       2711     37573 Shares                 X                 1     37573      0       0
APACHE CORP COM      COMMON STOCK 037411105       1614     22366 Shares                         X         1     22156      0     210
APACHE CORP COM      COMMON STOCK 037411105        106      1470 Shares                 X                 3       853      0     617
APARTMENT INVT &
MGMT CL A            COMMON STOCK 03748R101          0        17 Shares                 X                 1         0      0       0
APARTMENT INVT &
MGMT CL A            COMMON STOCK 03748R101          3       295 Shares                         X         1         0      0       0
APARTMENT INVT &
MGMT CL A            COMMON STOCK 03748R101         33      3779 Shares                 X                 2         0      0       0
APOLLO GROUP INC
CL A                 COMMON STOCK 037604105        177      2489 Shares                 X                 1      2489      0       0
APOLLO GROUP INC
CL A                 COMMON STOCK 037604105         14       201 Shares                         X         1       201      0       0
APOLLO INVESTMENT
CORPORATION          PREFERRED
                     STOCK        03761U106          9      1500 Shares                 X                 1         0      0       0
APOLLO INVESTMENT
CORPORATION          PREFERRED
                     STOCK        03761U106          5       800 Shares                         X         1         0      0       0
APOLLO INVESTMENT
CORPORATION          PREFERRED
                     STOCK        03761U106         35      5785 Shares                 X                 2         0      0       0
APPLE INC            COMMON STOCK 037833100      12567     88230 Shares                 X                 1     86865      0    1365
APPLE INC            COMMON STOCK 037833100       1510     10600 Shares                         X         1      9020      0    1580
APPLE INC            COMMON STOCK 037833100      21633    151885 Shares                 X                 2     42295      0  109590
APPLE INC            COMMON STOCK 037833100       4484     31482 Shares                 X                 3     30600      0     882



                                    6 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
APPLIED MATERIALS
INC COM              COMMON STOCK 038222105        179     16290 Shares                 X                 1     15290      0    1000
APPLIED MATERIALS
INC COM              COMMON STOCK 038222105         35      3150 Shares                         X         1      2300      0     850
APPLIED MATERIALS
INC COM              COMMON STOCK 038222105        326     29600 Shares                 X                 2     18100      0   11500
AQUA AMERICA INC     COMMON STOCK 03836W103         60      3343 Shares                 X                 1      3343      0       0
AQUA AMERICA INC     COMMON STOCK 03836W103          4       200 Shares                         X         1       200      0       0
ARCH COAL INC        COMMON STOCK 039380100          4       233 Shares                 X                 1       233      0       0
ARCH COAL INC        COMMON STOCK 039380100          5       300 Shares                 X                 2         0      0     300
ARCH COAL INC        COMMON STOCK 039380100         61      4000 Shares                 X                 3      4000      0       0
ARCELORMITTAL-NY
REGISTERED           COMMON STOCK 03938L104         83      2500 Shares                 X                 1      2500      0       0
ARCHER DANIELS
MIDLAND CO COM       COMMON STOCK 039483102        196      7333 Shares                 X                 1      7333      0       0
ARCHER DANIELS
MIDLAND CO COM       COMMON STOCK 039483102        356     13300 Shares                         X         1      7800      0    5500
ARCSIGHT INC         COMMON STOCK 039666102         32      1800 Shares                 X                 1      1800      0       0
ARCSIGHT INC         COMMON STOCK 039666102        702     39525 Shares                 X                 3     39525      0       0
ARIBA INC            COMMON STOCK 04033V203         36      3700 Shares                 X                 1      3700      0       0
ARIBA INC            COMMON STOCK 04033V203        802     81475 Shares                 X                 3     81475      0       0
ARKANSAS BEST CORP
DEL COM              COMMON STOCK 040790107         28      1050 Shares                 X                 1      1050      0       0
ARKANSAS BEST CORP
DEL COM              COMMON STOCK 040790107        617     23425 Shares                 X                 3     23425      0       0
ARRIS GROUP          COMMON STOCK 04269Q100        414     34000 Shares                         X         1     34000      0       0
ART TECHNOLOGY GROUP COMMON STOCK 04289L107        492    129481 Shares           X                            129481      0       0
ARTESIAN RESOURCES
CORPORATION          COMMON STOCK 043113208         72      4491 Shares                 X                 1      4491      0       0
ARUBA NETWORKS INC   COMMON STOCK 043176106         30      3450 Shares                 X                 1      3450      0       0
ARUBA NETWORKS INC   COMMON STOCK 043176106        668     76375 Shares                 X                 3     76375      0       0
ARVINMERITOR INC COM COMMON STOCK 043353101          6      1282 Shares                 X                 1      1282      0       0
ASHLAND INC          COMMON STOCK 044209104         24       850 Shares                 X                 1       850      0       0
ASHLAND INC          COMMON STOCK 044209104         13       474 Shares                         X         1       474      0       0
ASIAINFO HOLDINGS
INC                  COMMON STOCK 04518A104         40      2350 Shares                 X                 1      2350      0       0
ASIAINFO HOLDINGS
INC                  COMMON STOCK 04518A104        899     52250 Shares                 X                 3     52250      0       0
ASTRAZENECA GROUP
PLC SPONSORE         COMMON STOCK 046353108         54      1228 Shares                 X                 1      1228      0       0
ASTRAZENECA GROUP
PLC SPONSORE         COMMON STOCK 046353108         13       300 Shares                         X         1       300      0       0
ASTRONICS CORP       COMMON STOCK 046433108          1       125 Shares                 X                 1       125      0       0
ATHENAHEALTH INC     COMMON STOCK 04685W103        175      4715 Shares                 X                 1      4715      0       0
ATHENAHEALTH INC     COMMON STOCK 04685W103          7       194 Shares                         X         1       194      0       0
ATHENAHEALTH INC     COMMON STOCK 04685W103        678     18325 Shares                 X                 3     18325      0       0
ATHEROS
COMMUNICATIONS       COMMON STOCK 04743P108         38      1975 Shares                 X                 1      1975      0       0
ATHEROS
COMMUNICATIONS       COMMON STOCK 04743P108       1039     53975 Shares                 X                 3     53975      0       0
ATLAS AIR WORLDWIDE
HOLDINGS             COMMON STOCK 049164205          6       250 Shares                 X                 1       250      0       0
ATLAS PIPELINE
PARTNERS LP          COMMON STOCK 049392103          0        60 Shares                         X         1        60      0       0



                                    7 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ATMEL CORP           COMMON STOCK 049513104        143     38375 Shares                 X                 1     38375      0       0
ATMEL CORP           COMMON STOCK 049513104       1222    327500 Shares                 X                 3    327500      0       0
ATMOS ENERGY CORP    COMMON STOCK 049560105         36      1450 Shares                 X                 1      1450      0       0
AUTODESK COM         COMMON STOCK 052769106        963     50732 Shares                 X                 1     50132      0     600
AUTODESK COM         COMMON STOCK 052769106         24      1250 Shares                         X         1      1250      0       0
AUTODESK COM         COMMON STOCK 052769106        734     38673 Shares                 X                 3     37041      0    1632
AUTOMATIC DATA
PROCESSING INC       COMMON STOCK 053015103       2102     59317 Shares                 X                 1     54417      0    4900
AUTOMATIC DATA
PROCESSING INC       COMMON STOCK 053015103       1732     48871 Shares                         X         1     44011      0    4860
AUTOMATIC DATA
PROCESSING INC       COMMON STOCK 053015103        598     16865 Shares                 X                 2         0      0   16865
AUTOZONE INC COM     COMMON STOCK 053332102          3        18 Shares                 X                 1        18      0       0
AUXILIUM
PHARMACEUTICALS INC  COMMON STOCK 05334D107        750     23889 Shares                 X                 1     23889      0       0
AUXILIUM
PHARMACEUTICALS INC  COMMON STOCK 05334D107       2894     92223 Shares                 X                 3     92223      0       0
AVALONBAY
COMMUNITIES INC      COMMON STOCK 053484101         17       298 Shares                 X                 1         0      0       0
AVALONBAY
COMMUNITIES INC      COMMON STOCK 053484101         23       412 Shares                 X                 2         0      0       0
AVERY DENNISON CORP
COM                  COMMON STOCK 053611109          1        58 Shares                 X                 1        58      0       0
AVERY DENNISON CORP
COM                  COMMON STOCK 053611109         44      1700 Shares                 X                 3      1700      0       0
AVIS BUDGET GROUP
INC                  COMMON STOCK 053774105          1       100 Shares                 X                 1       100      0       0
AVNET INC COM        COMMON STOCK 053807103         10       475 Shares                         X         1       475      0       0
AVON PRODUCTS INC    COMMON STOCK 054303102        951     36883 Shares                 X                 1     36883      0       0
AVON PRODUCTS INC    COMMON STOCK 054303102        237      9174 Shares                         X         1      8174      0    1000
AVON PRODUCTS INC    COMMON STOCK 054303102       1283     49769 Shares                 X                 3     49769      0       0
AXA SPONSORED ADR    COMMON STOCK 054536107          1        75 Shares                 X                 1        75      0       0
AXA SPONSORED ADR    COMMON STOCK 054536107          2       118 Shares                         X         1       118      0       0
AXCELIS TECHNOLOGIES
INC COM              COMMON STOCK 054540109          0       177 Shares                         X         1       177      0       0
BB&T CORP COM        COMMON STOCK 054937107        668     30403 Shares                 X                 1     28475      0    1928
BB&T CORP COM        COMMON STOCK 054937107        473     21528 Shares                         X         1     21528      0       0
BB&T CORP COM        COMMON STOCK 054937107       1544     70267 Shares                 X                 2     22840      0   47427
BB&T CORP COM        COMMON STOCK 054937107         72      3275 Shares                 X                 3      3275      0       0
B & G FOODS INC -
EIS                  COMMON STOCK 05508R205         11       750 Shares                 X                 1       750      0       0
B & G FOODS INC -
EIS                  COMMON STOCK 05508R205          9       645 Shares                         X         1       645      0       0
BCE INC              COMMON STOCK 05534B760          4       192 Shares                 X                 1       192      0       0
BJ SVCS CO COM       COMMON STOCK 055482103          3       215 Shares                 X                 1       215      0       0
BOK FINANCIAL
CORPORATION          COMMON STOCK 05561Q201          0        11 Shares                 X                 1        11      0       0
BP PLC SPONSORED ADR COMMON STOCK 055622104      10451    219194 Shares                 X                 1    219194      0       0
BP PLC SPONSORED ADR COMMON STOCK 055622104       8598    180323 Shares                         X         1    167087      0   13236
BP PLC SPONSORED ADR COMMON STOCK 055622104        863     18092 Shares                 X                 2         0      0   18092
BP PLC SPONSORED ADR COMMON STOCK 055622104        169      3544 Shares                 X                 3      3544      0       0



                                    8 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
BT GROUP PLC-SPON
ADR                  COMMON STOCK 05577E101          2       123 Shares                 X                 1       123      0       0
BT GROUP PLC-SPON
ADR                  COMMON STOCK 05577E101          4       250 Shares                         X         1       250      0       0
BAKER HUGHES INC COM COMMON STOCK 057224107        151      4150 Shares                 X                 1      3675      0     475
BAKER HUGHES INC COM COMMON STOCK 057224107         78      2135 Shares                         X         1      1300      0     835
BAKER HUGHES INC COM COMMON STOCK 057224107        660     18110 Shares                 X                 2      9600      0    8510
BALL CORPORATION     COMMON STOCK 058498106       1084     24000 Shares                 X                 1     24000      0       0
BALLY TECHNOLOGIES
INC                  COMMON STOCK 05874B107         40      1325 Shares                 X                 1      1325      0       0
BALLY TECHNOLOGIES
INC                  COMMON STOCK 05874B107        869     29025 Shares                 X                 3     29025      0       0
BANCO BILBAO VIZCAYA
ARGENTARI            COMMON STOCK 05946K101        231     18371 Shares                 X                 1     18371      0       0
BANCO SANTANDER SA -
SPONS ADR            COMMON STOCK 05964H105        343     28307 Shares                 X                 1     27434      0     873
BANCO SANTANDER SA -
SPONS ADR            COMMON STOCK 05964H105          2       134 Shares                         X         1         0      0     134
BANCORP RHODE ISLAND
INC                  COMMON STOCK 059690107          1        44 Shares                 X                 1        44      0       0
BANK AMER CORP       COMMON STOCK 060505104       6605    500401 Shares                 X                 1    491305      0    9096
BANK AMER CORP       COMMON STOCK 060505104       2518    190723 Shares                         X         1    183398      0    7325
BANK AMER CORP       COMMON STOCK 060505104       6947    526276 Shares                 X                 2     93912      0  432364
BANK AMER CORP       COMMON STOCK 060505104       2101    159196 Shares                 X                 3    149711      0    9485
BANK AMER CORP       COMMON STOCK 060505104          1        85 Shares                 X                 4        85      0       0
BANK OF FLORIDA
CORPORATION          COMMON STOCK 062128103          9      2782 Shares                 X                 2         0      0    2782
BANK OF HAWAII CORP  COMMON STOCK 062540109          4       100 Shares                         X         1       100      0       0
BANK NEW YORK MELLON
CORP                 COMMON STOCK 064058100       3602    122909 Shares                 X                 1    119584      0    3325
BANK NEW YORK MELLON
CORP                 COMMON STOCK 064058100        714     24350 Shares                         X         1     19318      0    5032
BANK NEW YORK MELLON
CORP                 COMMON STOCK 064058100       1377     46976 Shares                 X                 2         0      0   46976
BANK NEW YORK MELLON
CORP                 COMMON STOCK 064058100        114      3903 Shares                 X                 3      3903      0       0
BAR HARBOR
BANCSHARES           COMMON STOCK 066849100        130      4200 Shares                 X                 2         0      0    4200
BARD C R INC COM     COMMON STOCK 067383109         86      1150 Shares                 X                 1      1150      0       0
BARD C R INC COM     COMMON STOCK 067383109        279      3750 Shares                         X         1      3750      0       0
BARCLAYS PLC - SPONS
ADR                  COMMON STOCK 06738E204        166      9000 Shares                         X         1      9000      0       0
BARCLAYS BANK PFD
7.75% SER            PREFERRED
                     STOCK        06739H511         24      1200 Shares                 X                 1         0      0       0
BARE ESCENTUALS INC  COMMON STOCK 067511105         25      2750 Shares                 X                 1      2750      0       0
BARE ESCENTUALS INC  COMMON STOCK 067511105        573     64550 Shares                 X                 3     64550      0       0
BARRICK GOLD CORP    COMMON STOCK 067901108         30       896 Shares                 X                 1       896      0       0
BARRICK GOLD CORP    COMMON STOCK 067901108        158      4700 Shares                         X         1      4600      0     100
BASIN WATER INC      COMMON STOCK 07011T306          4     10000 Shares                 X                 2         0      0   10000
BAXTER INTL INC      COMMON STOCK 071813109        764     14434 Shares                 X                 1     14434      0       0
BAXTER INTL INC      COMMON STOCK 071813109        544     10266 Shares                         X         1     10266      0       0
BAYTEX ENERGY TRUST
- UNITS              COMMON STOCK 073176109         48      2875 Shares                 X                 2         0      0    2875
BECKMAN COULTER INC  COMMON STOCK 075811109        153      2680 Shares                         X         1      1680      0    1000



                                    9 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
BECKMAN COULTER INC  COMMON STOCK 075811109        914     16000 Shares                 X                 2         0      0   16000
BECTON DICKINSON
& CO COM             COMMON STOCK 075887109       1098     15400 Shares                 X                 1     15400      0       0
BECTON DICKINSON
& CO COM             COMMON STOCK 075887109        601      8424 Shares                         X         1      8424      0       0
BED BATH & BEYOND
INC COM              COMMON STOCK 075896100        115      3735 Shares                 X                 1      3735      0       0
BED BATH & BEYOND
INC COM              COMMON STOCK 075896100          4       125 Shares                         X         1       125      0       0
BED BATH & BEYOND
INC COM              COMMON STOCK 075896100         37      1200 Shares                 X                 2         0      0    1200
BELDEN INC           COMMON STOCK 077454106          0        29 Shares                 X                 1        29      0       0
BEMIS INC            COMMON STOCK 081437105         20       800 Shares                         X         1       800      0       0
BERKSHIRE HATHAWAY
INC CLASS A          COMMON STOCK 084670108        270         3 Shares                         X         1         3      0       0
BERKSHIRE HATHAWAY
INC CLASS A          COMMON STOCK 084670108        900        10 Shares                 X                 2         0      0      10
BERKSHIRE HATHAWAY
INC CLASS B          COMMON STOCK 084670207        903       312 Shares                 X                 1       312      0       0
BERKSHIRE HATHAWAY
INC CLASS B          COMMON STOCK 084670207        513       177 Shares                         X         1       167      0      10
BERKSHIRE HATHAWAY
INC CLASS B          COMMON STOCK 084670207        510       176 Shares                 X                 2         0      0     176
BERRY PETROLEUM
COMPANY CLASS        COMMON STOCK 085789105          4       200 Shares                 X                 1       200      0       0
BEST BUY COMPANY INC COMMON STOCK 086516101         98      2936 Shares                 X                 1      2936      0       0
BEST BUY COMPANY INC COMMON STOCK 086516101         84      2512 Shares                         X         1      2512      0       0
BEST BUY COMPANY INC COMMON STOCK 086516101         64      1900 Shares                 X                 2         0      0    1900
BHP BILLITON LTD
SPONSORED ADR        COMMON STOCK 088606108        325      5935 Shares                 X                 1      5935      0       0
BHP BILLITON LTD
SPONSORED ADR        COMMON STOCK 088606108        285      5207 Shares                         X         1      4175      0    1032
BIOMARIN
PHARMACEUTICAL INC   COMMON STOCK 09061G101         38      2435 Shares                 X                 1      2435      0       0
BIOMARIN
PHARMACEUTICAL INC   COMMON STOCK 09061G101        748     47875 Shares                 X                 3     47875      0       0
BIOGEN IDEC INC      COMMON STOCK 09062X103        486     10767 Shares                 X                 1     10767      0       0
BIOGEN IDEC INC      COMMON STOCK 09062X103        102      2255 Shares                         X         1      2145      0     110
BIOGEN IDEC INC      COMMON STOCK 09062X103        751     16630 Shares                 X                 2         0      0   16630
BIOTECH HOLDRS TRUST COMMON STOCK 09067D201          6        60 Shares                 X                 1        60      0       0
BLACK & DECKER CORP
COM                  COMMON STOCK 091797100         55      1921 Shares                 X                 1      1921      0       0
BLACK & DECKER CORP
COM                  COMMON STOCK 091797100        471     16440 Shares                         X         1     16440      0       0
BLACK HILLS CORP     COMMON STOCK 092113109         41      1800 Shares                 X                 1      1800      0       0
BLACK HILLS CORP     COMMON STOCK 092113109          5       200 Shares                         X         1       200      0       0
BLACKROCK INC        COMMON STOCK 09247X101       2886     16453 Shares                 X                 1     16453      0       0
BLACKROCK INC        COMMON STOCK 09247X101        316      1800 Shares                         X         1      1800      0       0
BLACKROCK INC        COMMON STOCK 09247X101       3567     20332 Shares                 X                 3     20040      0     292
BLACKROCK MARYLAND
MUNI BD TR           PREFERRED
                     STOCK        09249L105        387     27000 Shares                         X         1         0      0       0
BLACKROCK MARYLAND
MUNI BD TR           PREFERRED
                     STOCK        09249L105         43      3000 Shares                 X                 2         0      0       0
BLACKROCK STRAT DVD
ACHV TRS             PREFERRED
                     STOCK        09249Y107          7      1000 Shares                 X                 1         0      0       0
BLACKROCK ENERGY &
RESOURCES T          PREFERRED
                     STOCK        09250U101         23      1200 Shares                 X                 1         0      0       0
BLACKROCK HEALTH
SCIENCES TRUS        PREFERRED
                     STOCK        09250W107        104      5000 Shares                         X         1         0      0       0



                                    10 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
BLACKROCK INTL
GROWTH & INCOME      PREFERRED
                     STOCK        092524107         51      5000 Shares                 X                 1         0      0       0
BLACKROCK
MUNIENHANCED FUND IN PREFERRED
                     STOCK        09253Y100         18      2032 Shares                         X         1         0      0       0
BLACKROCK MUNIYLD
QUALITY FUND         PREFERRED
                     STOCK        09254G108         71      6850 Shares                         X         1         0      0       0
BLACKROCK MUNIHLDGS
NJ INSURED           PREFERRED
                     STOCK        09254X101         38      3050 Shares                         X         1         0      0       0
BLACKROCK MUNIHLDGS
NY INSURED           PREFERRED
                     STOCK        09255C106         35      3050 Shares                         X         1         0      0       0
BLACKROCK MUNIYLD
NEW YORK INS         PREFERRED
                     STOCK        09255E102         17      1601 Shares                         X         1         0      0       0
BLACKROCK MUNIYLD
PENNSYLVANIA         PREFERRED
                     STOCK        09255G107         12       981 Shares                 X                 1         0      0       0
BLACKROCK MUNIYLD
PENNSYLVANIA         PREFERRED
                     STOCK        09255G107        101      8181 Shares                         X         1         0      0       0
BLACKROCK CORP HI
YLD FD V             PREFERRED
                     STOCK        09255N102        156     18980 Shares                 X                 1         0      0       0
BLACKROCK CORP HI
YLD FD VI            PREFERRED
                     STOCK        09255P107        135     16260 Shares                 X                 1         0      0       0
BLOCK H & R INC      COMMON STOCK 093671105         11       620 Shares                 X                 1       620      0       0
BLOCK H & R INC      COMMON STOCK 093671105         59      3400 Shares                         X         1      3400      0       0
BLUE CHIP VALUE FUND
INC                  PREFERRED
                     STOCK        095333100          5      1920 Shares                 X                 1         0      0       0
BOARDWALK PIPELINE
PARTNERS LP          COMMON STOCK 096627104         11       500 Shares                 X                 2         0      0     500
BOB EVANS FARMS      COMMON STOCK 096761101          6       200 Shares                 X                 1       200      0       0
BOEING CO COM        COMMON STOCK 097023105       1563     36780 Shares                 X                 1     36080      0     700
BOEING CO COM        COMMON STOCK 097023105        716     16842 Shares                         X         1     16717      0     125
BOEING CO COM        COMMON STOCK 097023105        552     12980 Shares                 X                 2         0      0   12980
BOEING CO COM        COMMON STOCK 097023105         26       617 Shares                 X                 3       617      0       0
BON-TON STORES
INCORPORATED         COMMON STOCK 09776J101         59     17320 Shares                 X                 1     17320      0       0
BORG WARNER INC COM  COMMON STOCK 099724106        871     25515 Shares                 X                 1     25515      0       0
BORG WARNER INC COM  COMMON STOCK 099724106       1897     55555 Shares                 X                 3     55555      0       0
BOSTON BEER
INCORPORATED CLASS   COMMON STOCK 100557107         21       700 Shares                 X                 1       700      0       0
BOSTON PROPERTIES
INC (REIT)           COMMON STOCK 101121101        144      3029 Shares                 X                 1         0      0       0
BOSTON PROPERTIES
INC (REIT)           COMMON STOCK 101121101        143      3000 Shares                         X         1         0      0       0
BOSTON SCIENTIFIC
CORP COM             COMMON STOCK 101137107          7       736 Shares                 X                 1       736      0       0
BOSTON SCIENTIFIC
CORP COM             COMMON STOCK 101137107         52      5109 Shares                         X         1      5109      0       0
BOULDER TOTAL RETURN
FUND INC             PREFERRED
                     STOCK        101541100         13      1400 Shares                 X                 1         0      0       0
BOYD GAMING
CORPORATION          COMMON STOCK 103304101         16      1825 Shares                 X                 1      1825      0       0
BOYD GAMING
CORPORATION          COMMON STOCK 103304101        414     48725 Shares                 X                 3     48725      0       0
BRANDYWINE REALTY
TRUST (REIT)         COMMON STOCK 105368203         55      7375 Shares                 X                 1         0      0       0
BRANDYWINE REALTY
TRUST (REIT)         COMMON STOCK 105368203        972    130350 Shares                 X                 3    130350      0       0
BRINKER INTL INC COM COMMON STOCK 109641100        305     17935 Shares                 X                 1     17935      0       0
BRINKER INTL INC COM COMMON STOCK 109641100        202     11850 Shares                         X         1     11850      0       0
BRINKER INTL INC COM COMMON STOCK 109641100       1340     78700 Shares                 X                 3     78700      0       0
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK 110122108       5593    275371 Shares                 X                 1    272155      0    3216
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK 110122108       5957    293296 Shares                         X         1    262286      0   31010



                                    11 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK 110122108       2440    120110 Shares                 X                 2     18700      0  101410
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK 110122108        155      7648 Shares                 X                 3      7648      0       0
BRISTOL-MYERS SQUIBB
CO                   COMMON STOCK 110122108          5       250 Shares                 X                 4       250      0       0
BRITISH AMERICAN
TOBACCO-SP AD        COMMON STOCK 110448107        101      1803 Shares                 X                 1      1803      0       0
BRITISH AMERICAN
TOBACCO-SP AD        COMMON STOCK 110448107         10       176 Shares                         X         1       176      0       0
BROADCOM CORP CL A   COMMON STOCK 111320107        237      9552 Shares                 X                 1      9552      0       0
BROADCOM CORP CL A   COMMON STOCK 111320107       1604     64700 Shares                 X                 3     64700      0       0
BROADRIDGE FINANCIAL
SOLUTIONS            COMMON STOCK 11133T103         25      1480 Shares                 X                 1      1480      0       0
BROADRIDGE FINANCIAL
SOLUTIONS            COMMON STOCK 11133T103         28      1715 Shares                         X         1      1715      0       0
BROADRIDGE FINANCIAL
SOLUTIONS            COMMON STOCK 11133T103         31      1850 Shares                 X                 2         0      0    1850
BROCADE
COMMUNICATIONS
SYSTEM               COMMON STOCK 111621306         33      4225 Shares                 X                 1      4225      0       0
BROCADE
COMMUNICATIONS
SYSTEM               COMMON STOCK 111621306        732     93675 Shares                 X                 3     93675      0       0
BROWN-FORMAN CORP CL
B                    COMMON STOCK 115637209         16       375 Shares                         X         1       375      0       0
BROWN-FORMAN CORP CL
B                    COMMON STOCK 115637209        290      6750 Shares                 X                 2         0      0    6750
BRYN MAWR BANK
CORPORATION          COMMON STOCK 117665109        139      7392 Shares                 X                 1      7392      0       0
BUCKEYE PARTNERS LP
UNIT LTD P           COMMON STOCK 118230101         41       950 Shares                         X         1       950      0       0
BUCKEYE PARTNERS LP
UNIT LTD P           COMMON STOCK 118230101        321      7500 Shares                 X                 2      7000      0     500
BUCKLE INCORPORATED  COMMON STOCK 118440106         15       475 Shares                 X                 1       475      0       0
BUCKLE INCORPORATED  COMMON STOCK 118440106        321     10075 Shares                 X                 3     10075      0       0
BUCYRUS
INTERNATIONAL INC    COMMON STOCK 118759109          4       150 Shares                 X                 1       150      0       0
BURGER KING HOLDINGS
INC                  COMMON STOCK 121208201        716     41439 Shares                 X                 1     41439      0       0
BURGER KING HOLDINGS
INC                  COMMON STOCK 121208201          2       100 Shares                         X         1       100      0       0
BURGER KING HOLDINGS
INC                  COMMON STOCK 121208201       1219     70597 Shares                 X                 3     70597      0       0
BURLINGTON NORTHERN
SANTA FE C           COMMON STOCK 12189T104       4792     65159 Shares                 X                 1     63663      0    1496
BURLINGTON NORTHERN
SANTA FE C           COMMON STOCK 12189T104        831     11306 Shares                         X         1      9186      0    2120
BURLINGTON NORTHERN
SANTA FE C           COMMON STOCK 12189T104       1614     21938 Shares                 X                 3     20539      0    1399
CBL & ASSOCIATES
PROPERTIES           COMMON STOCK 124830100          1       179 Shares                 X                 1         0      0       0
CBS CORP CL B        COMMON STOCK 124857202         30      4356 Shares                 X                 1      4356      0       0
CBS CORP CL B        COMMON STOCK 124857202         25      3630 Shares                         X         1      3305      0     325
CBS CORP CL B        COMMON STOCK 124857202         28      4100 Shares                 X                 3      4100      0       0
CB RICHARD ELLIS
GROUP INC-A          COMMON STOCK 12497T101         28      2950 Shares                 X                 1      2950      0       0
CB RICHARD ELLIS
GROUP INC-A          COMMON STOCK 12497T101        225     24100 Shares                 X                 2     10600      0   13500
CB RICHARD ELLIS
GROUP INC-A          COMMON STOCK 12497T101       1373    146675 Shares                 X                 3    146675      0       0
CF INDUSTRIES
HOLDINGS INC         COMMON STOCK 125269100         28       375 Shares                 X                 1       375      0       0
CH ENERGY GROUP INC
COM                  COMMON STOCK 12541M102         88      1875 Shares                 X                 1      1775      0     100
CH ENERGY GROUP INC
COM                  COMMON STOCK 12541M102        105      2250 Shares                         X         1      2250      0       0
CH ROBINSON
WORLDWIDE INC        COMMON STOCK 12541W209        391      7507 Shares                 X                 1      7507      0       0



                                    12 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
CH ROBINSON
WORLDWIDE INC        COMMON STOCK 12541W209          5       100 Shares                         X         1       100      0       0
CH ROBINSON
WORLDWIDE INC        COMMON STOCK 12541W209       1833     35142 Shares                 X                 3     35142      0       0
CIGNA CORP           COMMON STOCK 125509109         94      3900 Shares                 X                 1      3900      0       0
CIGNA CORP           COMMON STOCK 125509109        260     10805 Shares                         X         1     10805      0       0
CIT GROUP INC        COMMON STOCK 125581108        126     58752 Shares                 X                 1     58752      0       0
CIT GROUP INC        COMMON STOCK 125581108         19      9050 Shares                         X         1      9050      0       0
CIT GROUP INC        COMMON STOCK 125581108         35     16108 Shares                 X                 3      4608      0   11500
CIT GROUP INC        COMMON STOCK 125581108          1       250 Shares                 X                 4       250      0       0
CME GROUP INC        COMMON STOCK 12572Q105        213       685 Shares                 X                 1       685      0       0
CME GROUP INC        COMMON STOCK 12572Q105         44       141 Shares                         X         1       141      0       0
CNOOC LTD -ADR       COMMON STOCK 126132109         37       300 Shares                         X         1       300      0       0
CSX CORP             COMMON STOCK 126408103       1287     37159 Shares                 X                 1     37159      0       0
CSX CORP             COMMON STOCK 126408103       1195     34504 Shares                         X         1     30304      0    4200
CSX CORP             COMMON STOCK 126408103         18       512 Shares                 X                 2         0      0     512
CSX CORP             COMMON STOCK 126408103         69      2000 Shares                 X                 3      2000      0       0
CVS /CAREMARK CORP   COMMON STOCK 126650100       4718    148040 Shares                 X                 1    144740      0    3300
CVS /CAREMARK CORP   COMMON STOCK 126650100       1783     55960 Shares                         X         1     55176      0     784
CVS /CAREMARK CORP   COMMON STOCK 126650100        610     19140 Shares                 X                 2         0      0   19140
CA INC               COMMON STOCK 12673P105        129      7426 Shares                 X                 1      7426      0       0
CABOT CORP           COMMON STOCK 127055101         33      2600 Shares                 X                 3      2600      0       0
CABOT OIL & GAS CORP COMMON STOCK 127097103        101      3300 Shares                 X                 1      3300      0       0
CABOT OIL & GAS CORP COMMON STOCK 127097103        993     32400 Shares                 X                 3     32400      0       0
CADBURY PLC - SPONS
ADR                  COMMON STOCK 12721E102          3        78 Shares                 X                 1        78      0       0
CALAMOS STRATEGIC
TOT RET FD           PREFERRED
                     STOCK        128125101          4       500 Shares                         X         1         0      0       0
CALGON CARBON CORP   COMMON STOCK 129603106        170     12220 Shares                 X                 1     12220      0       0
CALGON CARBON CORP   COMMON STOCK 129603106       1430    102950 Shares                 X                 3    102950      0       0
CALLAWAY GOLF CO COM COMMON STOCK 131193104          0        23 Shares                 X                 1        23      0       0
CAMDEN PROPERTY
TRUST (REIT)         COMMON STOCK 133131102         35      1265 Shares                 X                 1         0      0       0
CAMECO CORPORATION   COMMON STOCK 13321L108         38      1500 Shares                 X                 1      1500      0       0
CAMERON
INTERNATIONAL CORP   COMMON STOCK 13342B105        312     11025 Shares                 X                 1     10525      0     500
CAMERON
INTERNATIONAL CORP   COMMON STOCK 13342B105         45      1600 Shares                         X         1       600      0    1000
CAMERON
INTERNATIONAL CORP   COMMON STOCK 13342B105       1282     45300 Shares                 X                 3     45300      0       0
CAMPBELL SOUP CO COM COMMON STOCK 134429109         57      1950 Shares                 X                 1      1950      0       0
CAMPBELL SOUP CO COM COMMON STOCK 134429109        153      5200 Shares                         X         1      5200      0       0
CAMPBELL SOUP CO COM COMMON STOCK 134429109         24       800 Shares                 X                 3       800      0       0
CANADIAN NATIONAL
RAILWAY COMP         COMMON STOCK 136375102        122      2850 Shares                 X                 1      2850      0       0
CANADIAN NATURAL
RESOURCES LTD        COMMON STOCK 136385101         10       200 Shares                 X                 1       200      0       0



                                    13 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
CANADIAN PACIFIC
RAILWAY LTD          COMMON STOCK 13645T100          0         8 Shares                 X                 1         8      0       0
CAPLEASE INC         COMMON STOCK 140288101         10      3500 Shares                 X                 2         0      0       0
CAPITAL ONE
FINANCIAL CORP       COMMON STOCK 14040H105        495     22628 Shares                 X                 1     22628      0       0
CAPITAL ONE
FINANCIAL CORP       COMMON STOCK 14040H105        373     17041 Shares                         X         1     15091      0    1950
CAPITAL ONE
FINANCIAL CORP       COMMON STOCK 14040H105       1495     68342 Shares                 X                 2     22142      0   46200
CAPITAL ONE
FINANCIAL CORP       COMMON STOCK 14040H105        119      5458 Shares                 X                 3      3406      0    2052
CAPITALSOURCE INC    COMMON STOCK 14055X102         20      4000 Shares                 X                 1      4000      0       0
CAPITALSOURCE INC    COMMON STOCK 14055X102         10      2000 Shares                         X         1      2000      0       0
CAPITALSOURCE INC    COMMON STOCK 14055X102       7088   1452544 Shares                 X                 2    317844      0 1134700
CAPSTEAD MORTGAGE
CV PFD $1.26         PREFERRED
                     STOCK        14067E308         66      4950 Shares                 X                 1         0      0       0
CARDINAL HEALTH INC  COMMON STOCK 14149Y108        121      3946 Shares                 X                 1      3946      0       0
CARDINAL HEALTH INC  COMMON STOCK 14149Y108         88      2873 Shares                         X         1      2873      0       0
CARDINAL HEALTH INC  COMMON STOCK 14149Y108        296      6000 Shares                 X                 2      6000      0       0
CARLISLE COMPANIES
INC                  COMMON STOCK 142339100         43      1800 Shares                 X                 1      1000      0     800
CARLISLE COMPANIES
INC                  COMMON STOCK 142339100         96      4000 Shares                         X         1      4000      0       0
CARMAX INC           COMMON STOCK 143130102         15      1000 Shares                 X                 1      1000      0       0
CARNIVAL CORPORATION COMMON STOCK 143658300       1887     73231 Shares                 X                 1     73231      0       0
CARNIVAL CORPORATION COMMON STOCK 143658300        301     11670 Shares                         X         1     10670      0    1000
CARNIVAL CORPORATION COMMON STOCK 143658300         89      3455 Shares                 X                 3      3455      0       0
CARPENTER TECHNOLOGY
CORP COM             COMMON STOCK 144285103         82      3952 Shares                         X         1      3952      0       0
CARROLLTON BANCORP   COMMON STOCK 145282109          2       462 Shares                 X                 1       462      0       0
CASEYS GENERAL
STORES INC           COMMON STOCK 147528103         30      1150 Shares                 X                 1      1150      0       0
CASEYS GENERAL
STORES INC           COMMON STOCK 147528103        662     25775 Shares                 X                 3     25775      0       0
CATERPILLAR INC      COMMON STOCK 149123101       2472     74804 Shares                 X                 1     70654      0    4150
CATERPILLAR INC      COMMON STOCK 149123101        464     14039 Shares                         X         1     10269      0    3770
CATERPILLAR INC      COMMON STOCK 149123101        117      3536 Shares                 X                 2         0      0    3536
CATERPILLAR INC      COMMON STOCK 149123101         10       300 Shares                 X                 3       300      0       0
CAVCO INDUSTRIES,
INC.                 COMMON STOCK 149568107          2        60 Shares                 X                 1        60      0       0
CEDAR FAIR LTD PTR   COMMON STOCK 150185106          8       750 Shares                 X                 1       750      0       0
CELGENE CORP COM     COMMON STOCK 151020104       3564     74489 Shares                 X                 1     73274      0    1215
CELGENE CORP COM     COMMON STOCK 151020104        247      5162 Shares                         X         1      3037      0    2125
CELGENE CORP COM     COMMON STOCK 151020104       2103     43958 Shares                 X                 3     43424      0     534
CEMEX SAB SPONS ADR
PART CER             COMMON STOCK 151290889         38      4122 Shares                         X         1      4122      0       0
CENTERPOINT ENERGY
INC                  COMMON STOCK 15189T107          4       332 Shares                 X                 1       332      0       0
CENTEX CORP          COMMON STOCK 152312104         15      1800 Shares                 X                 1      1800      0       0
CENTEX CORP          COMMON STOCK 152312104          3       400 Shares                         X         1       400      0       0
CENTRAL EUROPEAN
DISTRIBUTION         COMMON STOCK 153435102          6       218 Shares                 X                 1       218      0       0



                                    14 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
CENTRAL GARDEN & PET
COMPANY              COMMON STOCK 153527106          2       178 Shares                 X                 1       178      0       0
CENTURYTEL INC COM   COMMON STOCK 156700106         64      2074 Shares                 X                 1      2074      0       0
CEPHALON INC COM     COMMON STOCK 156708109         70      1237 Shares                 X                 1      1237      0       0
CEPHALON INC COM     COMMON STOCK 156708109        697     12293 Shares                 X                 3     12293      0       0
CEPHEID INC          COMMON STOCK 15670R107         33      3475 Shares                 X                 1      3475      0       0
CEPHEID INC          COMMON STOCK 15670R107        721     76575 Shares                 X                 3     76575      0       0
CERNER CORP          COMMON STOCK 156782104       5444     87393 Shares                 X                 1     86753      0     640
CERNER CORP          COMMON STOCK 156782104        713     11440 Shares                         X         1      8300      0    3140
CERNER CORP          COMMON STOCK 156782104       9170    147210 Shares                 X                 2     37150      0  110060
CERNER CORP          COMMON STOCK 156782104       1550     24877 Shares                 X                 3     23530      0    1347
CHATTEM INC          COMMON STOCK 162456107         34       500 Shares                 X                 1       500      0       0
CHATTEM INC          COMMON STOCK 162456107        763     11200 Shares                 X                 3     11200      0       0
THE CHEESECAKE
FACTORY              COMMON STOCK 163072101         35      2050 Shares                 X                 1      2050      0       0
THE CHEESECAKE
FACTORY              COMMON STOCK 163072101        703     40625 Shares                 X                 3     40625      0       0
CHENIERE ENERGY INC  COMMON STOCK 16411R208         29     10000 Shares                 X                 2         0      0   10000
CHESAPEAKE ENERGY
CORP COM             COMMON STOCK 165167107         38      1900 Shares                 X                 1      1900      0       0
CHESAPEAKE ENERGY
CORP COM             COMMON STOCK 165167107        254     12800 Shares                 X                 2         0      0   12800
CHESAPEAKE ENERGY
CONV PFD 4.5         PREFERRED
                     STOCK        165167842       1149     17950 Shares                 X                 2         0      0       0
CHESAPEAKE UTILITIES
CORPORATI            COMMON STOCK 165303108         16       500 Shares                         X         1       500      0       0
CHEVRON CORP         COMMON STOCK 166764100      25402    383433 Shares                 X                 1    378697      0    4736
CHEVRON CORP         COMMON STOCK 166764100      14869    224443 Shares                         X         1    211174      0   13269
CHEVRON CORP         COMMON STOCK 166764100       5859     88441 Shares                 X                 2     15954      0   72487
CHEVRON CORP         COMMON STOCK 166764100        754     11390 Shares                 X                 3      7819      0    3571
CHEVRON CORP         COMMON STOCK 166764100         10       150 Shares                 X                 4       150      0       0
CHICAGO BRIDGE &
IRON CO N V C        COMMON STOCK 167250109          5       400 Shares                 X                 1       400      0       0
CHICAGO BRIDGE &
IRON CO N V C        COMMON STOCK 167250109          0        25 Shares                         X         1        25      0       0
CHICAGO BRIDGE &
IRON CO N V C        COMMON STOCK 167250109        349     28185 Shares                 X                 2         0      0   28185
CHINA MOBILE LTD
SPON ADR             COMMON STOCK 16941M109         15       300 Shares                         X         1       300      0       0
CHINA TELECOM CORP
LTD-ADR              COMMON STOCK 169426103          1        13 Shares                 X                 1        13      0       0
CHINA UNICOM-(HONG
KONG) ADR            COMMON STOCK 16945R104         32      2420 Shares                 X                 1      2420      0       0
CHUBB CORP           COMMON STOCK 171232101        442     11095 Shares                 X                 1     11095      0       0
CHUBB CORP           COMMON STOCK 171232101         50      1250 Shares                         X         1      1250      0       0
CHUBB CORP           COMMON STOCK 171232101       1221     30620 Shares                 X                 2         0      0   30620
CHURCH & DWIGHT CO
INC                  COMMON STOCK 171340102        541      9967 Shares                 X                 1      9267      0     700
CHURCH & DWIGHT CO
INC                  COMMON STOCK 171340102       2579     47475 Shares                 X                 3     47475      0       0
CIENA CORP           COMMON STOCK 171779309          2       190 Shares                 X                 1       190      0       0
CINCINNATI FINL CORP
COM                  COMMON STOCK 172062101        725     32446 Shares                 X                 1     32446      0       0



                                    15 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
CINCINNATI FINL CORP
COM                  COMMON STOCK 172062101         78      3481 Shares                         X         1      3481      0       0
CINCINNATI FINL CORP
COM                  COMMON STOCK 172062101        109      4857 Shares                 X                 2         0      0    4857
CINCINNATI FINL CORP
COM                  COMMON STOCK 172062101        100      4484 Shares                 X                 3      2633      0    1851
CINEMARK HOLDINGS
INC                  COMMON STOCK 17243V102         29      2525 Shares                 X                 1      2525      0       0
CINEMARK HOLDINGS
INC                  COMMON STOCK 17243V102        841     74350 Shares                 X                 3     74350      0       0
CISCO SYSTEMS INC    COMMON STOCK 17275R102      13734    736411 Shares                 X                 1    720411      0   16000
CISCO SYSTEMS INC    COMMON STOCK 17275R102       4290    230008 Shares                         X         1    212448      0   17560
CISCO SYSTEMS INC    COMMON STOCK 17275R102       4312    231190 Shares                 X                 2     66320      0  164870
CISCO SYSTEMS INC    COMMON STOCK 17275R102       3231    173395 Shares                 X                 3    166067      0    7328
CISCO SYSTEMS INC    COMMON STOCK 17275R102         16       850 Shares                 X                 4       850      0       0
CITIGROUP INC COM    COMMON STOCK 172967101        479    161265 Shares                 X                 1    158432      0    2833
CITIGROUP INC COM    COMMON STOCK 172967101        216     72595 Shares                         X         1     67485      0    5110
CITIGROUP INC COM    COMMON STOCK 172967101        398    133861 Shares                 X                 2     41060      0   92801
CITIGROUP INC COM    COMMON STOCK 172967101          8      2615 Shares                 X                 3      2615      0       0
CITIGROUP INC COM    COMMON STOCK 172967101          1       400 Shares                 X                 4       400      0       0
CITRIX SYSTEMS INC
COM                  COMMON STOCK 177376100        546     17122 Shares                 X                 1     16472      0     650
CITRIX SYSTEMS INC
COM                  COMMON STOCK 177376100         54      1700 Shares                         X         1       920      0     780
CITRIX SYSTEMS INC
COM                  COMMON STOCK 177376100       1687     52900 Shares                 X                 3     52900      0       0
CITY HOLDING COMPANY COMMON STOCK 177835105       1169     38509 Shares                 X                 1     38509      0       0
CLARIENT INC         COMMON STOCK 180489106         37     10000 Shares                 X                 1     10000      0       0
CLAYMORE S&P GLOBAL
WATER ETF            PREFERRED
                     STOCK        18383Q507          2       100 Shares                         X         1         0      0       0
CLEAN HARBORS INC    COMMON STOCK 184496107         20       375 Shares                 X                 1       375      0       0
CLEAN HARBORS INC    COMMON STOCK 184496107        440      8150 Shares                 X                 3      8150      0       0
CLEAN ENERGY FUELS
CORPORATION          COMMON STOCK 184499101         52      6050 Shares                 X                 1      6050      0       0
CLEAN ENERGY FUELS
CORPORATION          COMMON STOCK 184499101       1140    132425 Shares                 X                 3    132425      0       0
CLOROX COMPANY       COMMON STOCK 189054109        482      8637 Shares                 X                 1      8637      0       0
CLOROX COMPANY       COMMON STOCK 189054109        213      3815 Shares                         X         1      3815      0       0
CLOROX COMPANY       COMMON STOCK 189054109        140      2500 Shares                 X                 2         0      0    2500
CLOUGH GLOBAL
OPPORTUNITIES        PREFERRED
                     STOCK        18914E106        337     31225 Shares                 X                 1         0      0       0
COACH INC            COMMON STOCK 189754104       2484     92408 Shares                 X                 1     88908      0    3500
COACH INC            COMMON STOCK 189754104        261      9702 Shares                         X         1      9402      0     300
COACH INC            COMMON STOCK 189754104       3327    123761 Shares                 X                 3    121623      0    2138
COCA COLA BOTTLING
CO CONSOLID          COMMON STOCK 191098102          7       125 Shares                 X                 1       125      0       0
COCA COLA CO COM     COMMON STOCK 191216100      14553    303258 Shares                 X                 1    299683      0    3575
COCA COLA CO COM     COMMON STOCK 191216100       5683    118430 Shares                         X         1    115820      0    2610
COCA COLA CO COM     COMMON STOCK 191216100        731     15228 Shares                 X                 2         0      0   15228
COCA COLA CO COM     COMMON STOCK 191216100       3306     68871 Shares                 X                 3     64634      0    4237



                                    16 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
COCA COLA CO COM     COMMON STOCK 191216100         12       250 Shares                 X                 4       250      0       0
COCA COLA
ENTERPRISES INC      COMMON STOCK 191219104         20      1177 Shares                 X                 1      1177      0       0
CODORUS VALLEY
BANCORP INC          COMMON STOCK 192025104        186     29599 Shares                 X                 1     26991      0    2608
CODORUS VALLEY
BANCORP INC          COMMON STOCK 192025104         59      9398 Shares                         X         1      9398      0       0
COGNIZANT TECH SOL
CORP                 COMMON STOCK 192446102        373     13961 Shares                 X                 1     13961      0       0
COGNIZANT TECH SOL
CORP                 COMMON STOCK 192446102         17       626 Shares                         X         1       626      0       0
COHEN & STEERS
QUALITY INC RLT      PREFERRED
                     STOCK        19247L106         12      3000 Shares                 X                 1         0      0       0
COHEN & STEERS
ADVANTAGE INC R      PREFERRED
                     STOCK        19247W102          4      1000 Shares                 X                 2         0      0       0
COHEN & STEERS REIT
& PFD INC            PREFERRED
                     STOCK        19247X100         12      1600 Shares                         X         1         0      0       0
COHEN & STEERS REIT
AND UTILIT           PREFERRED
                     STOCK        19247Y108          4       600 Shares                 X                 2         0      0       0
COHEN & STEERS
SELECT UTILITY       PREFERRED
                     STOCK        19248A109        293     24094 Shares                 X                 1         0      0       0
COHU INCORPORATED    COMMON STOCK 192576106          7       800 Shares                 X                 1       800      0       0
COLGATE PALMOLIVE CO
COM                  COMMON STOCK 194162103       6426     90841 Shares                 X                 1     90841      0       0
COLGATE PALMOLIVE CO
COM                  COMMON STOCK 194162103       4449     62886 Shares                         X         1     58736      0    4150
COLGATE PALMOLIVE CO
COM                  COMMON STOCK 194162103      11194    158251 Shares                 X                 2     41549      0  116702
COLGATE PALMOLIVE CO
COM                  COMMON STOCK 194162103       1097     15511 Shares                 X                 3     15511      0       0
COLGATE PALMOLIVE CO
COM                  COMMON STOCK 194162103          7       100 Shares                 X                 4       100      0       0
COLLECTORS UNIVERSE
INC                  COMMON STOCK 19421R200          0        55 Shares                 X                 1        55      0       0
COMCAST CORP NEW A   COMMON STOCK 20030N101       3966    274299 Shares                 X                 1    274299      0       0
COMCAST CORP NEW A   COMMON STOCK 20030N101        914     63195 Shares                         X         1     59851      0    3344
COMCAST CORP NEW A   COMMON STOCK 20030N101        228     15801 Shares                 X                 3     11064      0    4737
COMCAST CORP-SPECIAL
CL A                 COMMON STOCK 20030N200         98      6931 Shares                 X                 1      6931      0       0
COMCAST CORP-SPECIAL
CL A                 COMMON STOCK 20030N200         93      6598 Shares                         X         1      6298      0     300
COMCAST CORP-SPECIAL
CL A                 COMMON STOCK 20030N200          6       450 Shares                 X                 4       450      0       0
COMERICA INC         COMMON STOCK 200340107         87      4101 Shares                 X                 1      4101      0       0
COMERICA INC         COMMON STOCK 200340107         42      2000 Shares                 X                 2         0      0    2000
COMMERCIAL NATL
FINANCIAL CORP       COMMON STOCK 202217105         12       820 Shares                 X                 1       820      0       0
COMMSCOPE INC COM    COMMON STOCK 203372107         51      1950 Shares                 X                 1      1950      0       0
COMMSCOPE INC COM    COMMON STOCK 203372107       1136     43275 Shares                 X                 3     43275      0       0
COMMUNITY BANK
SYSTEM INC           COMMON STOCK 203607106        365     25100 Shares                 X                 1      2600      0   22500
COMMUNITY BANKERS
TRUST CORP           COMMON STOCK 203612106         42     11455 Shares                 X                 2         0      0   11455
COMMUNITY HEALTH
SYSTEMS INC          COMMON STOCK 203668108         36      1425 Shares                 X                 1      1425      0       0
COMMUNITY HEALTH
SYSTEMS INC          COMMON STOCK 203668108        785     31075 Shares                 X                 3     31075      0       0
COMMVAULT SYSTEMS
INC                  COMMON STOCK 204166102         18      1100 Shares                 X                 1      1100      0       0
COMMVAULT SYSTEMS
INC                  COMMON STOCK 204166102        397     23950 Shares                 X                 3     23950      0       0
COMPUTER TASK GROUP  COMMON STOCK 205477102        359     58750 Shares                 X                 1     58750      0       0
COMPUWARE CORP       COMMON STOCK 205638109          4       513 Shares                 X                 1       513      0       0



                                    17 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
COMPUWARE CORP       COMMON STOCK 205638109         10      1500 Shares                         X         1      1500      0       0
COMSTOCK RESOURCES
INC                  COMMON STOCK 205768203          1        22 Shares                 X                 1        22      0       0
CONAGRA FOODS INC    COMMON STOCK 205887102         53      2774 Shares                 X                 1      2774      0       0
CONAGRA FOODS INC    COMMON STOCK 205887102         91      4754 Shares                         X         1      4754      0       0
CON-WAY INC          COMMON STOCK 205944101         52      1475 Shares                 X                 1      1475      0       0
CON-WAY INC          COMMON STOCK 205944101         14       400 Shares                 X                 2         0      0     400
CON-WAY INC          COMMON STOCK 205944101        755     21375 Shares                 X                 3     21375      0       0
CONCUR TECHNOLOGIES
INCORPORAT           COMMON STOCK 206708109         29       925 Shares                 X                 1       925      0       0
CONCUR TECHNOLOGIES
INCORPORAT           COMMON STOCK 206708109        633     20350 Shares                 X                 3     20350      0       0
CONNECTICUT WATER
SERVICE INC          COMMON STOCK 207797101         14       624 Shares                 X                 1       624      0       0
CONOCOPHILLIPS       COMMON STOCK 20825C104      10294    244740 Shares                 X                 1    240985      0    3755
CONOCOPHILLIPS       COMMON STOCK 20825C104       3351     79679 Shares                         X         1     73092      0    6587
CONOCOPHILLIPS       COMMON STOCK 20825C104        174      4143 Shares                 X                 2         0      0    4143
CONOCOPHILLIPS       COMMON STOCK 20825C104        493     11719 Shares                 X                 3      8829      0    2890
CONOCOPHILLIPS       COMMON STOCK 20825C104         14       344 Shares                 X                 4       344      0       0
CONSOL ENERGY INC    COMMON STOCK 20854P109       1409     41483 Shares                 X                 1     41073      0     410
CONSOL ENERGY INC    COMMON STOCK 20854P109         46      1350 Shares                         X         1       500      0     850
CONSOL ENERGY INC    COMMON STOCK 20854P109       1181     34762 Shares                 X                 3     34762      0       0
CONSOLIDATED EDISON
INC COM              COMMON STOCK 209115104        158      4222 Shares                 X                 1      4222      0       0
CONSOLIDATED EDISON
INC COM              COMMON STOCK 209115104        129      3434 Shares                         X         1      3434      0       0
CONSOLIDATED-TOMOKA
LAND CO              COMMON STOCK 210226106         11       300 Shares                 X                 1       300      0       0
CONSTELLATION BRANDS
INC CL A             COMMON STOCK 21036P108          6       470 Shares                         X         1       470      0       0
CONSTELLATION BRANDS
INC CL A             COMMON STOCK 21036P108        299     11927 Shares                 X                 2     11927      0       0
CONSTELLATION ENERGY
GROUP INC            COMMON STOCK 210371100       1701     64004 Shares                 X                 1     61583      0    2421
CONSTELLATION ENERGY
GROUP INC            COMMON STOCK 210371100       1542     58028 Shares                         X         1     58028      0       0
CONSTELLATION ENERGY
GROUP INC            COMMON STOCK 210371100         38      1414 Shares                 X                 3      1414      0       0
CORN PRODS INTL INC
COM                  COMMON STOCK 219023108        110      4088 Shares                         X         1      4088      0       0
CORNING INC          COMMON STOCK 219350105       3526    219579 Shares                 X                 1    218529      0    1050
CORNING INC          COMMON STOCK 219350105        766     47680 Shares                         X         1     43110      0    4570
CORNING INC          COMMON STOCK 219350105        935     58200 Shares                 X                 2         0      0   58200
CORNING INC          COMMON STOCK 219350105       1576     98091 Shares                 X                 3     93950      0    4141
CORNING INC          COMMON STOCK 219350105          5       300 Shares                 X                 4       300      0       0
CORTEX
PHARMACEUTICALS INC  COMMON STOCK 220524300          0      1390 Shares                         X         1      1390      0       0
COSTCO WHOLESALE
CORP COM             COMMON STOCK 22160K105        389      8490 Shares                 X                 1      8490      0       0
COSTCO WHOLESALE
CORP COM             COMMON STOCK 22160K105        228      4975 Shares                         X         1      4975      0       0
COSTCO WHOLESALE
CORP COM             COMMON STOCK 22160K105        215      4700 Shares                 X                 2         0      0    4700
COVANCE INC COM      COMMON STOCK 222816100         69      1400 Shares                 X                 1      1400      0       0



                                    18 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
COVANCE INC COM      COMMON STOCK 222816100         63      1283 Shares                         X         1      1283      0       0
COVENTRY HEALTH CARE
INC                  COMMON STOCK 222862104         50      2675 Shares                 X                 1      2675      0       0
COVENTRY HEALTH CARE
INC                  COMMON STOCK 222862104       2566    137178 Shares                 X                 2     48983      0   88195
COVENTRY HEALTH CARE
INC                  COMMON STOCK 222862104        820     43775 Shares                 X                 3     43775      0       0
CRANE CO             COMMON STOCK 224399105        178      8000 Shares                         X         1      8000      0       0
CRAY INC             COMMON STOCK 225223304          1        75 Shares                 X                 1        75      0       0
CREDIT SUISSE GROUP
SPONSORED            COMMON STOCK 225401108         23       500 Shares                 X                 1       500      0       0
CREE RESEARCH INC
COM                  COMMON STOCK 225447101         22       750 Shares                         X         1         0      0     750
CROSS TIMBERS
ROYALTY TRUST        COMMON STOCK 22757R109          0         1 Shares                 X                 1         0      0       0
CROWN HOLDINGS INC   COMMON STOCK 228368106        322     13350 Shares                 X                 1     12350      0    1000
CROWN HOLDINGS INC   COMMON STOCK 228368106       1698     70300 Shares                 X                 3     70300      0       0
CUBIST
PHARMACEUTICALS INC  COMMON STOCK 229678107         39      2125 Shares                 X                 1      2125      0       0
CUBIST
PHARMACEUTICALS INC  COMMON STOCK 229678107        859     46850 Shares                 X                 3     46850      0       0
CULLEN FROST BANKERS
INC COM              COMMON STOCK 229899109          1        11 Shares                 X                 1        11      0       0
CUISINE SOLUTIONS
INC                  COMMON STOCK 229904107          4      4000 Shares                 X                 2         0      0    4000
CUMMINS INC COM      COMMON STOCK 231021106       2281     64776 Shares                 X                 1     63376      0    1400
CUMMINS INC COM      COMMON STOCK 231021106        138      3925 Shares                         X         1      2175      0    1750
CUMMINS INC COM      COMMON STOCK 231021106       3461     98304 Shares                 X                 3     96983      0    1321
CURTISS WRIGHT CORP  COMMON STOCK 231561101         48      1622 Shares                 X                 1      1622      0       0
CURTISS WRIGHT CORP  COMMON STOCK 231561101         22       728 Shares                 X                 2         0      0     728
CUTERA INC           COMMON STOCK 232109108          3       400 Shares                 X                 1       400      0       0
CYPRESS BIOSCIENCE
INC                  COMMON STOCK 232674507         27      2850 Shares                 X                 1      2850      0       0
CYPRESS BIOSCIENCE
INC                  COMMON STOCK 232674507        553     58650 Shares                 X                 3     58650      0       0
D&E COMMUNICATIONS
INC                  COMMON STOCK 232860106          3       300 Shares                 X                 1       300      0       0
DCP MIDSTREAM
PARTNERS LP          COMMON STOCK 23311P100         11       500 Shares                 X                 2         0      0     500
DNP SELECT INCOME
FUND INC             PREFERRED
                     STOCK        23325P104          7       928 Shares                 X                 1         0      0       0
DNP SELECT INCOME
FUND INC             PREFERRED
                     STOCK        23325P104          8      1000 Shares                         X         1         0      0       0
DPL INC              COMMON STOCK 233293109         92      3955 Shares                 X                 1      3955      0       0
DPL INC              COMMON STOCK 233293109         15       668 Shares                         X         1       668      0       0
DTE ENERGY CO        COMMON STOCK 233331107        200      6264 Shares                 X                 1      6264      0       0
DTE ENERGY CO        COMMON STOCK 233331107         58      1812 Shares                         X         1      1501      0     311
DTE ENERGY CO        COMMON STOCK 233331107         10       300 Shares                 X                 3       300      0       0
DWS MUNICIPAL INCOME
TRUST                PREFERRED
                     STOCK        23338M106         14      1400 Shares                         X         1         0      0       0
DWS STRATEGIC
MUNICIPAL INCOME     PREFERRED
                     STOCK        23338T101         16      1500 Shares                         X         1         0      0       0
DANAHER CORP COM     COMMON STOCK 235851102        731     11836 Shares                 X                 1     11836      0       0
DANAHER CORP COM     COMMON STOCK 235851102        127      2055 Shares                         X         1      1485      0     570
DANAHER CORP COM     COMMON STOCK 235851102       4935     79925 Shares                 X                 2     17765      0   62160



                                    19 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
DARDEN RESTAURANTS
INC COM              COMMON STOCK 237194105        562     17052 Shares                 X                 1     17052      0       0
DARDEN RESTAURANTS
INC COM              COMMON STOCK 237194105        208      6295 Shares                         X         1      6295      0       0
DATA DOMAIN INC      COMMON STOCK 23767P109         38      1125 Shares                 X                 1      1125      0       0
DATA DOMAIN INC      COMMON STOCK 23767P109        829     24850 Shares                 X                 3     24850      0       0
DAVITA INC WITH
ATTACHED RIGHT       COMMON STOCK 23918K108          7       150 Shares                         X         1         0      0     150
DEERE & CO           COMMON STOCK 244199105       1393     34877 Shares                 X                 1     34277      0     600
DEERE & CO           COMMON STOCK 244199105        266      6660 Shares                         X         1      5174      0    1486
DEERE & CO           COMMON STOCK 244199105        128      3200 Shares                 X                 3      3200      0       0
DEL MONTE FOODS CO   COMMON STOCK 24522P103          2       223 Shares                 X                 1       223      0       0
DEL MONTE FOODS CO   COMMON STOCK 24522P103         16      1736 Shares                         X         1      1736      0       0
DELL INC             COMMON STOCK 24702R101       1282     93339 Shares                 X                 1     93339      0       0
DELL INC             COMMON STOCK 24702R101        232     16890 Shares                         X         1     14690      0    2200
DELL INC             COMMON STOCK 24702R101          1       100 Shares                 X                 2         0      0     100
DELL INC             COMMON STOCK 24702R101       1542    112245 Shares                 X                 3    112245      0       0
DELTA AIR LINES INC  COMMON STOCK 247361702         12      2000 Shares                 X                 1      2000      0       0
DELTA PETROLEUM CORP COMMON STOCK 247907207         30     15500 Shares                         X         1     15500      0       0
DENBURY RESOURCES
INCORPORATED         COMMON STOCK 247916208        138      9391 Shares                 X                 1      9391      0       0
DENBURY RESOURCES
INCORPORATED         COMMON STOCK 247916208       1189     80734 Shares                 X                 3     80734      0       0
DELUXE CORPORATION   COMMON STOCK 248019101        391     30550 Shares                 X                 3     30550      0       0
DENDREON CORPORATION COMMON STOCK 24823Q107         52      2075 Shares                 X                 1      2075      0       0
DENDREON CORPORATION COMMON STOCK 24823Q107       1139     45825 Shares                 X                 3     45825      0       0
DENTSPLY
INTERNATIONAL INC
COM                  COMMON STOCK 249030107       1334     43646 Shares                 X                 1     43446      0     200
DENTSPLY
INTERNATIONAL INC
COM                  COMMON STOCK 249030107        289      9450 Shares                         X         1      9450      0       0
DENTSPLY
INTERNATIONAL INC
COM                  COMMON STOCK 249030107       1362     44614 Shares                 X                 3     44614      0       0
DEUTSCHE TELEKOM AG
SPONSORED            COMMON STOCK 251566105         12      1029 Shares                 X                 1      1029      0       0
DEV DIVERSIFIED RLTY
CORP                 COMMON STOCK 251591103         13      2680 Shares                 X                 1         0      0       0
DEV DIVERSIFIED RLTY
CORP                 COMMON STOCK 251591103          1       212 Shares                         X         1         0      0       0
DEVON ENERGY CORP    COMMON STOCK 25179M103        979     17963 Shares                 X                 1     17537      0     426
DEVON ENERGY CORP    COMMON STOCK 25179M103        136      2489 Shares                         X         1      2489      0       0
DEVON ENERGY CORP    COMMON STOCK 25179M103         71      1300 Shares                 X                 2         0      0    1300
DEVON ENERGY CORP    COMMON STOCK 25179M103         24       438 Shares                 X                 3       438      0       0
DEVRY INC            COMMON STOCK 251893103         30       600 Shares                 X                 1       600      0       0
DIAGEO PLC SPONSORED
ADR                  COMMON STOCK 25243Q205        279      4872 Shares                 X                 1      4872      0       0
DIAGEO PLC SPONSORED
ADR                  COMMON STOCK 25243Q205         23       400 Shares                         X         1       400      0       0
DIAGEO PLC SPONSORED
ADR                  COMMON STOCK 25243Q205         29       500 Shares                 X                 3       500      0       0
DIAMOND OFFSHORE
DRILLING COM         COMMON STOCK 25271C102          5        65 Shares                 X                 1        65      0       0
DIAMONDS TR UNIT
SER 1                COMMON STOCK 252787106        197      2330 Shares                 X                 1      2330      0       0



                                    20 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
DIAMONDS TR UNIT
SER 1                COMMON STOCK 252787106        380      4485 Shares                 X                 2         0      0    4485
DIEBOLD INC          COMMON STOCK 253651103          2        90 Shares                 X                 1        90      0       0
DIEBOLD INC          COMMON STOCK 253651103          9       350 Shares                         X         1       350      0       0
DIGITAL RIVER INC    COMMON STOCK 25388B104         25       700 Shares                 X                 1       700      0       0
DIGITAL RIVER INC    COMMON STOCK 25388B104        554     15250 Shares                 X                 3     15250      0       0
DIME BANCORP INC     COMMON STOCK 25429Q110          0      9300 Shares                 X                 3      9300      0       0
DINEEQUITY INC       COMMON STOCK 254423106        172      5525 Shares                 X                 1      5525      0       0
DINEEQUITY INC       COMMON STOCK 254423106       2040     65400 Shares                 X                 3     65400      0       0
DIONEX CORP          COMMON STOCK 254546104        848     13900 Shares                 X                 2         0      0   13900
THE DIRECTV GROUP
INC                  COMMON STOCK 25459L106         61      2469 Shares                 X                 1      2420      0      49
THE DIRECTV GROUP
INC                  COMMON STOCK 25459L106         36      1448 Shares                         X         1      1448      0       0
DISNEY WALT CO       COMMON STOCK 254687106       5168    221511 Shares                 X                 1    219161      0    2350
DISNEY WALT CO       COMMON STOCK 254687106       1935     82920 Shares                         X         1     76995      0    5925
DISNEY WALT CO       COMMON STOCK 254687106        397     17000 Shares                 X                 2         0      0   17000
DISNEY WALT CO       COMMON STOCK 254687106        131      5607 Shares                 X                 3      3251      0    2356
DISNEY WALT CO       COMMON STOCK 254687106         10       425 Shares                 X                 4       425      0       0
DISCOVER FINANCIAL
SERVICES             COMMON STOCK 254709108         18      1742 Shares                 X                 1      1742      0       0
DISCOVER FINANCIAL
SERVICES             COMMON STOCK 254709108          5       521 Shares                         X         1       365      0     156
DISH NETWORK CORP    COMMON STOCK 25470M109        352     21700 Shares                 X                 3     21700      0       0
DOLAN MEDIA COMPANY  COMMON STOCK 25659P402         15      1150 Shares                 X                 1      1150      0       0
DOLAN MEDIA COMPANY  COMMON STOCK 25659P402        326     25450 Shares                 X                 3     25450      0       0
DOLBY LABORATORIES
INC CL A             COMMON STOCK 25659T107        940     25205 Shares                 X                 1     25205      0       0
DOLBY LABORATORIES
INC CL A             COMMON STOCK 25659T107        127      3400 Shares                 X                 2         0      0    3400
DOLBY LABORATORIES
INC CL A             COMMON STOCK 25659T107       2924     78439 Shares                 X                 3     78439      0       0
DOLLAR FINANCIAL
CORP                 COMMON STOCK 256664103        179     13000 Shares                 X                 1     13000      0       0
DOLLAR FINANCIAL
CORP                 COMMON STOCK 256664103       1772    128525 Shares                 X                 3    128525      0       0
DOLLAR TREE INC      COMMON STOCK 256746108          3        64 Shares                 X                 1        64      0       0
DOLLAR TREE INC      COMMON STOCK 256746108         13       307 Shares                         X         1       307      0       0
DOMINION RESOURCES
BLACK WARRI          COMMON STOCK 25746Q108         35      2200 Shares                 X                 1      2200      0       0
DOMINION RESOURCES
INC                  COMMON STOCK 25746U109       3427    102550 Shares                 X                 1    100975      0    1575
DOMINION RESOURCES
INC                  COMMON STOCK 25746U109       2336     69907 Shares                         X         1     60321      0    9586
DOMINION RESOURCES
INC                  COMMON STOCK 25746U109        100      3000 Shares                 X                 2         0      0    3000
DONNELLEY R R & SONS
CO                   COMMON STOCK 257867101         25      2180 Shares                 X                 1      2180      0       0
DONNELLEY R R & SONS
CO                   COMMON STOCK 257867101         30      2600 Shares                         X         1      2600      0       0
DONNELLEY R R & SONS
CO                   COMMON STOCK 257867101         59      5080 Shares                 X                 2         0      0    5080
DONNELLEY R R & SONS
CO                   COMMON STOCK 257867101         43      3700 Shares                 X                 3      3700      0       0
DOVER CORP           COMMON STOCK 260003108        670     20250 Shares                 X                 1     20250      0       0



                                    21 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
DOVER CORP           COMMON STOCK 260003108        463     14007 Shares                         X         1     14007      0       0
DOW CHEMICAL CO      COMMON STOCK 260543103       2519    156085 Shares                 X                 1    150835      0    5250
DOW CHEMICAL CO      COMMON STOCK 260543103       1049     64978 Shares                         X         1     64703      0     275
DOW CHEMICAL CO      COMMON STOCK 260543103       1115     69075 Shares                 X                 2     17725      0   51350
DOW CHEMICAL CO      COMMON STOCK 260543103        814     50457 Shares                 X                 3     50457      0       0
DOW 30 PREMIUM & DVD
INC FD IN            PREFERRED
                     STOCK        260582101         71      5000 Shares                 X                 1         0      0       0
DR PEPPER SNAPPLE
GROUP INC            COMMON STOCK 26138E109          1        48 Shares                 X                 1        48      0       0
DREAMWORKS ANIMATION
SKG INC-A            COMMON STOCK 26153C103          1        27 Shares                 X                 1        27      0       0
DREYFUS MUNICIPAL
INCOME FUND          PREFERRED
                     STOCK        26201R102         56      7200 Shares                         X         1         0      0       0
DREYFUS STRATEGIC
MUN BD FD            PREFERRED
                     STOCK        26202F107        185     27602 Shares                 X                 1         0      0       0
DREYFUS STRATEGIC
MUN BD FD            PREFERRED
                     STOCK        26202F107         47      7000 Shares                         X         1         0      0       0
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK 263534109       3268    127540 Shares                 X                 1    126290      0    1250
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK 263534109       3967    154825 Shares                         X         1    150525      0    4300
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK 263534109        966     37734 Shares                 X                 2     11136      0   26598
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK 263534109         41      1600 Shares                 X                 3      1600      0       0
DUPONT EI DE NEMOURS
& CO COM             COMMON STOCK 263534109          3       100 Shares                 X                 4       100      0       0
DUKE REALTY CORP     COMMON STOCK 264411505         13      1475 Shares                 X                 1         0      0       0
DUKE REALTY CORP     COMMON STOCK 264411505         68      7747 Shares                 X                 2         0      0       0
DUKE ENERGY CORP     COMMON STOCK 26441C105        730     50005 Shares                 X                 1     43005      0    7000
DUKE ENERGY CORP     COMMON STOCK 26441C105        549     37637 Shares                         X         1     34337      0    3300
DUKE ENERGY CORP     COMMON STOCK 26441C105         76      5184 Shares                 X                 3      5184      0       0
DUN & BRADSTREET
CORP                 COMMON STOCK 26483E100         55       681 Shares                 X                 1       581      0     100
DUN & BRADSTREET
CORP                 COMMON STOCK 26483E100         32       399 Shares                         X         1       399      0       0
EMC CORP MASS COM    COMMON STOCK 268648102       4297    327994 Shares                 X                 1    325594      0    2400
EMC CORP MASS COM    COMMON STOCK 268648102        823     62854 Shares                         X         1     56709      0    6145
EMC CORP MASS COM    COMMON STOCK 268648102       4626    353141 Shares                 X                 2     97016      0  256125
EMC CORP MASS COM    COMMON STOCK 268648102        201     15326 Shares                 X                 3     11421      0    3905
ENSCO INTERNATIONAL
INC COM              COMMON STOCK 26874Q100       3814    109392 Shares                 X                 1    108192      0    1200
ENSCO INTERNATIONAL
INC COM              COMMON STOCK 26874Q100        443     12695 Shares                         X         1     10150      0    2545
ENSCO INTERNATIONAL
INC COM              COMMON STOCK 26874Q100        193      5526 Shares                 X                 3      3292      0    2234
ENI SPA-SPONS ADR    COMMON STOCK 26874R108          9       186 Shares                 X                 1       186      0       0
ENI SPA-SPONS ADR    COMMON STOCK 26874R108         10       212 Shares                 X                 2         0      0     212
EOG RESOURCES INC
COM                  COMMON STOCK 26875P101       2703     39791 Shares                 X                 1     39191      0     600
EOG RESOURCES INC
COM                  COMMON STOCK 26875P101        330      4860 Shares                         X         1      2045      0    2815
EOG RESOURCES INC
COM                  COMMON STOCK 26875P101         34       500 Shares                 X                 2         0      0     500
EOG RESOURCES INC
COM                  COMMON STOCK 26875P101        216      3179 Shares                 X                 3      1943      0    1236
EPIQ SYSTEMS INC     COMMON STOCK 26882D109         59      3813 Shares                 X                 1      3813      0       0



                                    22 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
EPIQ SYSTEMS INC     COMMON STOCK 26882D109        980     63850 Shares                 X                 3     63850      0       0
EAGLE BANCORP
INCORPORATED
MARYLAND             COMMON STOCK 268948106        887    101078 Shares                 X                 2     16750      0   84328
EV ENERGY PARTNER LP COMMON STOCK 26926V107         11       600 Shares                 X                 2         0      0     600
EAGLE MATERIALS INC
COM W RIGH           COMMON STOCK 26969P108          9       345 Shares                 X                 1       345      0       0
EASTGROUP PROPERTIES
INCORPORA            COMMON STOCK 277276101       2422     73350 Shares                 X                 2         0      0       0
EASTMAN CHEMICAL
COMPANY COM          COMMON STOCK 277432100         43      1127 Shares                 X                 1      1127      0       0
EASTMAN CHEMICAL
COMPANY COM          COMMON STOCK 277432100         33       872 Shares                         X         1       372      0     500
EASTMAN KODAK CO COM COMMON STOCK 277461109          4      1195 Shares                 X                 1      1195      0       0
EASTMAN KODAK CO COM COMMON STOCK 277461109          8      2697 Shares                         X         1      2697      0       0
EATON CORP COM       COMMON STOCK 278058102        847     18978 Shares                 X                 1     18978      0       0
EATON CORP COM       COMMON STOCK 278058102         13       300 Shares                         X         1       300      0       0
EATON VANCE CORP     COMMON STOCK 278265103          6       230 Shares                 X                 1       230      0       0
EATON VANCE PA MUNI
INC TR               PREFERRED
                     STOCK        27826T101         57      5000 Shares                         X         1         0      0       0
EATON VANCE
MUNICIPAL INCOME T   PREFERRED
                     STOCK        27826U108         48      5000 Shares                         X         1         0      0       0
EATON VANCE
FLOATING- RATE INC   PREFERRED
                     STOCK        278279104         38      3633 Shares                 X                 1         0      0       0
EATON VANCE TAX-
ADVANTAGED DVD       PREFERRED
                     STOCK        27828G107         15      1250 Shares                 X                 1         0      0       0
EATON VANCE TAX-
ADVANTAGED DVD       PREFERRED
                     STOCK        27828G107         47      3900 Shares                         X         1         0      0       0
EATON VANCE SR
FLOATING RATE F      PREFERRED
                     STOCK        27828Q105         44      4200 Shares                 X                 1         0      0       0
EATON VANCE TAX-
MANAGED GLOBAL       PREFERRED
                     STOCK        27829F108        318     29511 Shares                 X                 2         0      0       0
EBAY INC COM         COMMON STOCK 278642103        396     23113 Shares                 X                 1     23113      0       0
EBAY INC COM         COMMON STOCK 278642103         62      3645 Shares                         X         1      3645      0       0
EBAY INC COM         COMMON STOCK 278642103         26      1500 Shares                 X                 2         0      0    1500
ECLIPSYS CORP COM    COMMON STOCK 278856109         25      1425 Shares                 X                 1      1425      0       0
ECLIPSYS CORP COM    COMMON STOCK 278856109        552     31075 Shares                 X                 3     31075      0       0
ECOLAB INC COM       COMMON STOCK 278865100        949     24350 Shares                 X                 1     24350      0       0
ECOLAB INC COM       COMMON STOCK 278865100         86      2200 Shares                         X         1      2200      0       0
EDISON
INTERNATIONAL COM    COMMON STOCK 281020107         23       727 Shares                 X                 1       727      0       0
EDISON
INTERNATIONAL COM    COMMON STOCK 281020107         13       400 Shares                         X         1       400      0       0
EDWARDS LIFESCIENCES
CORP COM             COMMON STOCK 28176E108        100      1464 Shares                 X                 1      1464      0       0
EDWARDS LIFESCIENCES
CORP COM             COMMON STOCK 28176E108         68      1000 Shares                         X         1      1000      0       0
EL PASO CORP COM     COMMON STOCK 28336L109         26      2787 Shares                 X                 1      2787      0       0
EL PASO CORP COM     COMMON STOCK 28336L109         43      4648 Shares                         X         1      2648      0    2000
EL PASO CORP COM     COMMON STOCK 28336L109        138     15000 Shares                 X                 2         0      0   15000
ELECTRONICS ARTS COM COMMON STOCK 285512109       1019     46906 Shares                 X                 1     46806      0     100
ELECTRONICS ARTS COM COMMON STOCK 285512109        122      5600 Shares                         X         1      4400      0    1200
ELECTRONICS ARTS COM COMMON STOCK 285512109         77      3566 Shares                 X                 3      2112      0    1454
EMBARQ CORP          COMMON STOCK 29078E905          3        82 Shares                 X                 1        17      0      65



                                    23 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
EMBARQ CORP          COMMON STOCK 29078E905         10       248 Shares                         X         1       248      0       0
EMBRAER-EMPRESA
BRASILEIRA SPO       COMMON STOCK 29081M102          0        10 Shares                 X                 1        10      0       0
EMERGENT
BIOSOLUTIONS INC     COMMON STOCK 29089Q105          1       100 Shares                 X                 2         0      0     100
EMERSON ELECTRIC CO  COMMON STOCK 291011104       6259    193166 Shares                 X                 1    191766      0    1400
EMERSON ELECTRIC CO  COMMON STOCK 291011104       4007    123685 Shares                         X         1    110255      0   13430
EMERSON ELECTRIC CO  COMMON STOCK 291011104       2913     89880 Shares                 X                 2     11900      0   77980
EMERSON ELECTRIC CO  COMMON STOCK 291011104        183      5633 Shares                 X                 3      3442      0    2191
EMPIRE DISTRICT
ELECTRIC CO          COMMON STOCK 291641108          8       500 Shares                 X                 1       500      0       0
ENCANA CORP          COMMON STOCK 292505104         35       700 Shares                 X                 1       700      0       0
ENCANA CORP          COMMON STOCK 292505104         25       500 Shares                         X         1       500      0       0
ENDEAVOUR
INTERNATIONAL CORP   COMMON STOCK 29259G101          1      1000 Shares                         X         1      1000      0       0
ENERGY CONVERSION
DEVICES INC          COMMON STOCK 292659109          6       390 Shares                 X                 1       390      0       0
ENERGY CONVERSION
DEVICES INC          COMMON STOCK 292659109          3       200 Shares                         X         1       200      0       0
ENERGIZER HLDGS INC
COM                  COMMON STOCK 29266R108         57      1100 Shares                 X                 1      1100      0       0
ENERGIZER HLDGS INC
COM                  COMMON STOCK 29266R108          5       100 Shares                         X         1       100      0       0
ENERGY TRANSFER
PARTNERS LP          COMMON STOCK 29273R109         40      1000 Shares                         X         1      1000      0       0
ENERGY TRANSFER
PARTNERS LP          COMMON STOCK 29273R109         14       350 Shares                 X                 2         0      0     350
ENERGY TRANSFER
EQUITY LP            COMMON STOCK 29273V100         14       550 Shares                 X                 2         0      0     550
ENERPLUS RESOURCES
FUND                 COMMON STOCK 29274D604         13       600 Shares                 X                 1       600      0       0
ENERPLUS RESOURCES
FUND                 COMMON STOCK 29274D604         68      3155 Shares                         X         1      3155      0       0
ENERPLUS RESOURCES
FUND                 COMMON STOCK 29274D604         45      2080 Shares                 X                 2         0      0    2080
ENTERGY CORP COM NEW COMMON STOCK 29364G103        935     12065 Shares                 X                 1     12065      0       0
ENTERGY CORP COM NEW COMMON STOCK 29364G103        140      1809 Shares                         X         1      1809      0       0
ENTERPRISE GP
HOLDINGS LP          COMMON STOCK 293716106         13       500 Shares                 X                 2         0      0     500
ENTERPRISE PRODUCTS
PARTNERS L           COMMON STOCK 293792107         54      2150 Shares                 X                 1      2150      0       0
ENTERPRISE PRODUCTS
PARTNERS L           COMMON STOCK 293792107         78      3132 Shares                         X         1      3132      0       0
ENTERPRISE PRODUCTS
PARTNERS L           COMMON STOCK 293792107       4684    187800 Shares                 X                 2     19200      0  168600
ENTROPIC
COMMUNICATIONS INC   COMMON STOCK 29384R105         17      7725 Shares                 X                 1      7725      0       0
ENTROPIC
COMMUNICATIONS INC   COMMON STOCK 29384R105        474    210575 Shares                 X                 3    210575      0       0
ENVIRONMENTAL POWER
CORP                 COMMON STOCK 29406L201          0       100 Shares                 X                 1       100      0       0
EQUIFAX INC COM      COMMON STOCK 294429105         71      2716 Shares                         X         1      2716      0       0
EQUITY ONE
INCORPORATED         COMMON STOCK 294752100          8       600 Shares                 X                 1         0      0       0
EQUITY RESIDENTIAL
(REIT)               COMMON STOCK 29476L107          6       250 Shares                 X                 1         0      0       0
EQUITY RESIDENTIAL
(REIT)               COMMON STOCK 29476L107         80      3600 Shares                         X         1         0      0       0
EQUITY RESIDENTIAL
(REIT)               COMMON STOCK 29476L107          6       250 Shares                 X                 2         0      0       0
TELEFONAKTIEBOLAGET
LM ERICSSO           COMMON STOCK 294821608         10       986 Shares                 X                 1       986      0       0
TELEFONAKTIEBOLAGET
LM ERICSSO           COMMON STOCK 294821608         23      2400 Shares                         X         1      2400      0       0



                                    24 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ERIE INDEMNITY CO CL
A                    COMMON STOCK 29530P102       2560     71576 Shares                 X                 1     71576      0       0
DELHAIZE GROUP
SPONSORED ADR        COMMON STOCK 29759W101          7       100 Shares                 X                 1       100      0       0
EVERGREEN INCOME ADV
FD                   PREFERRED
                     STOCK        30023Y105         16      2000 Shares                 X                 1         0      0       0
EVERGREEN ENERGY INC COMMON STOCK 30024B104         20     20000 Shares                 X                 2         0      0   20000
EVERGREEN SOLAR INC  COMMON STOCK 30033R108          0       200 Shares                 X                 1       200      0       0
EVERGREEN SOLAR INC  COMMON STOCK 30033R108         22     10000 Shares                 X                 2         0      0   10000
EXELON CORP          COMMON STOCK 30161N101       4201     82043 Shares                 X                 1     81193      0     850
EXELON CORP          COMMON STOCK 30161N101       1153     22517 Shares                         X         1     21167      0    1350
EXPEDIA INC          COMMON STOCK 30212P105          5       300 Shares                         X         1       300      0       0
EXPEDITORS INTL WASH
INC COM              COMMON STOCK 302130109        539     16164 Shares                 X                 1     16164      0       0
EXPEDITORS INTL WASH
INC COM              COMMON STOCK 302130109          9       264 Shares                         X         1       264      0       0
EXPEDITORS INTL WASH
INC COM              COMMON STOCK 302130109       1915     57438 Shares                 X                 3     57438      0       0
EXPRESS-1 EXPEDITED
SOLUTIONS            COMMON STOCK 30217Q108          1       800 Shares                 X                 1       800      0       0
EXPRESS SCRIPTS INC  COMMON STOCK 302182100      12719    184998 Shares                 X                 1    180973      0    4025
EXPRESS SCRIPTS INC  COMMON STOCK 302182100       3324     48353 Shares                         X         1     45063      0    3290
EXPRESS SCRIPTS INC  COMMON STOCK 302182100       2316     33691 Shares                 X                 3     31506      0    2185
EZCORP INC CLASS A   COMMON STOCK 302301106         29      2650 Shares                 X                 1      2650      0       0
EZCORP INC CLASS A   COMMON STOCK 302301106        625     58050 Shares                 X                 3     58050      0       0
EXXON MOBIL CORP     COMMON STOCK 30231G102      68741    983276 Shares                 X                 1    964696      0   18580
EXXON MOBIL CORP     COMMON STOCK 30231G102      57407    821150 Shares                         X         1    743588      0   77562
EXXON MOBIL CORP     COMMON STOCK 30231G102       5866     83902 Shares                 X                 2     11051      0   72851
EXXON MOBIL CORP     COMMON STOCK 30231G102       3154     45116 Shares                 X                 3     40000      0    5116
EXXON MOBIL CORP     COMMON STOCK 30231G102         21       300 Shares                 X                 4       300      0       0
FLIR SYSTEMS INC     COMMON STOCK 302445101        148      6550 Shares                 X                 1      6550      0       0
FLIR SYSTEMS INC     COMMON STOCK 302445101       1268     56200 Shares                 X                 3     56200      0       0
FMC TECHNOLOGIES INC
COM                  COMMON STOCK 30249U101        189      5025 Shares                 X                 1      5025      0       0
FMC TECHNOLOGIES INC
COM                  COMMON STOCK 30249U101       1300     34600 Shares                 X                 3     34600      0       0
FNB CORP PA          COMMON STOCK 302520101         44      7034 Shares                 X                 1      7034      0       0
FNB CORP PA          COMMON STOCK 302520101        130     20921 Shares                         X         1     16014      0    4907
FPL GROUP INC COM    COMMON STOCK 302571104       4946     86989 Shares                 X                 1     86914      0      75
FPL GROUP INC COM    COMMON STOCK 302571104       3307     58158 Shares                         X         1     49416      0    8742
FPL GROUP INC COM    COMMON STOCK 302571104         17       300 Shares                 X                 4       300      0       0
FACTSET RESEARCH
SYSTEMS INC          COMMON STOCK 303075105          0        10 Shares                 X                 1        10      0       0
FACTSET RESEARCH
SYSTEMS INC          COMMON STOCK 303075105         25       500 Shares                         X         1       500      0       0
FAIRPOINT
COMMUNICATIONS INC   COMMON STOCK 305560104          0       688 Shares                 X                 1       688      0       0
FAIRPOINT
COMMUNICATIONS INC   COMMON STOCK 305560104          0       459 Shares                         X         1       459      0       0
FALCONSTOR SOFTWARE
INC                  COMMON STOCK 306137100         15      3164 Shares                 X                 1      3164      0       0



                                    25 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
FALCONSTOR SOFTWARE
INC                  COMMON STOCK 306137100        333     70100 Shares                 X                 3     70100      0       0
FAMILY DOLLAR STORES COMMON STOCK 307000109         11       400 Shares                 X                 1       400      0       0
FAMILY DOLLAR STORES COMMON STOCK 307000109          2        75 Shares                         X         1        75      0       0
FASTENAL CO          COMMON STOCK 311900104        196      5917 Shares                 X                 1      5917      0       0
FASTENAL CO          COMMON STOCK 311900104         33      1000 Shares                         X         1      1000      0       0
FASTENAL CO          COMMON STOCK 311900104       1054     31800 Shares                 X                 3     31800      0       0
FREDDIE MAC          COMMON STOCK 313400301          0       140 Shares                 X                 1       140      0       0
FREDDIE MAC          COMMON STOCK 313400301         16     26095 Shares                 X                 2         0      0   26095
FED NATL MTG ASSN    COMMON STOCK 313586109          1      1615 Shares                 X                 1      1615      0       0
FED NATL MTG ASSN    COMMON STOCK 313586109          5      9092 Shares                         X         1      7092      0    2000
FED NATL MTG ASSN    COMMON STOCK 313586109         18     31083 Shares                 X                 2     10500      0   20583
FEDERAL REALTY INV
TR (REIT)            COMMON STOCK 313747206         86      1660 Shares                         X         1         0      0       0
FEDERAL REALTY INV
TR (REIT)            COMMON STOCK 313747206        350      6800 Shares                 X                 2         0      0       0
FEDEX CORP COM       COMMON STOCK 31428X106       1219     21915 Shares                 X                 1     19665      0    2250
FEDEX CORP COM       COMMON STOCK 31428X106        230      4136 Shares                         X         1      3361      0     775
FEDEX CORP COM       COMMON STOCK 31428X106        114      2050 Shares                 X                 2         0      0    2050
FEDEX CORP COM       COMMON STOCK 31428X106        631     11357 Shares                 X                 3     11357      0       0
FERRELLGAS PARTNERS
LP                   COMMON STOCK 315293100         32      2000 Shares                 X                 1      2000      0       0
F5 NETWORKS INC      COMMON STOCK 315616102        459     13259 Shares                 X                 1     13259      0       0
F5 NETWORKS INC      COMMON STOCK 315616102         71      2065 Shares                         X         1      2065      0       0
F5 NETWORKS INC      COMMON STOCK 315616102       1397     40400 Shares                 X                 3     40400      0       0
FIDELITY NATL
INFORMATION SERV     COMMON STOCK 31620M106          2       107 Shares                 X                 1       107      0       0
FIDELITY NATIONAL
FINANCIAL -          COMMON STOCK 31620R105         19      1441 Shares                 X                 2         0      0    1441
FIFTH THIRD BANCORP
COM                  COMMON STOCK 316773100         76     10736 Shares                 X                 1     10736      0       0
FIFTH THIRD BANCORP
COM                  COMMON STOCK 316773100         14      2037 Shares                         X         1      2037      0       0
FIFTH THIRD BANCORP
COM                  COMMON STOCK 316773100        506     71281 Shares                 X                 2         0      0   71281
FIRST COMMUNITY BANK
CORP OF A            COMMON STOCK 31985E202         25      6615 Shares                 X                 2         0      0    6615
FIRST HORIZON
NATIONAL CORP        COMMON STOCK 320517105          1       106 Shares                         X         1       106      0       0
FIRST INDUSTRIAL
REALTY TR (RE        COMMON STOCK 32054K103          8      1817 Shares                 X                 1         0      0       0
FIRST MARBLEHEAD
CORP                 COMMON STOCK 320771108        102     50575 Shares                 X                 2     23825      0   26750
FIRST MARINER
BANCORP INCORPOR     COMMON STOCK 320795107          4      3000 Shares                         X         1      3000      0       0
FIRST NIAGARA
FINANCIAL GROUP      COMMON STOCK 33582V108          3       292 Shares                 X                 1       292      0       0
FIRST NIAGARA
FINANCIAL GROUP      COMMON STOCK 33582V108          3       225 Shares                         X         1       225      0       0
FIRST SOLAR INC      COMMON STOCK 336433107        454      2799 Shares                 X                 1      2799      0       0
FIRST SOLAR INC      COMMON STOCK 336433107        130       800 Shares                         X         1       475      0     325
FIRST SOLAR INC      COMMON STOCK 336433107         16       100 Shares                 X                 2         0      0     100
FIRST STATE
FINANCIAL CORP FLO   COMMON STOCK 33708M206          2      3253 Shares                 X                 1      3253      0       0



                                    26 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
FIRST TRUST ABERDEEN
GLOBAL               PREFERRED
                     STOCK        337319107          7       500 Shares                 X                 1         0      0       0
FISERV INC           COMMON STOCK 337738108         71      1550 Shares                 X                 1      1550      0       0
FISERV INC           COMMON STOCK 337738108         11       250 Shares                         X         1        50      0     200
FISERV INC           COMMON STOCK 337738108       1248     27300 Shares                 X                 2      6000      0   21300
FIRSTENERGY CORP COM COMMON STOCK 337932107        266      6863 Shares                 X                 1      6863      0       0
FIRSTENERGY CORP COM COMMON STOCK 337932107         79      2026 Shares                         X         1      2026      0       0
FIRSTENERGY CORP COM COMMON STOCK 337932107         37       960 Shares                 X                 2         0      0     960
FIVE STAR QUALITY
CARE INC             COMMON STOCK 33832D106          0        10 Shares                         X         1         0      0      10
FLANDERS CORPORATION COMMON STOCK 338494107       2856    467406 Shares                 X                 2    166206      0  301200
FLEXIBLE SOLUTIONS
INTERNATION          COMMON STOCK 33938T104          0       250 Shares                 X                 1       250      0       0
FLUOR CORP           COMMON STOCK 343412102        335      6534 Shares                 X                 1      6534      0       0
FLUOR CORP           COMMON STOCK 343412102        169      3300 Shares                         X         1      3300      0       0
FLOWERS FOODS INC
COM                  COMMON STOCK 343498101         11       500 Shares                 X                 1       500      0       0
FLOWERS FOODS INC
COM                  COMMON STOCK 343498101         99      4530 Shares                 X                 2         0      0    4530
FLOWSERVE CORP COM   COMMON STOCK 34354P105         45       646 Shares                 X                 1       646      0       0
FOOT LOCKER INC      COMMON STOCK 344849104          2       150 Shares                 X                 1       150      0       0
FORD MOTOR CO        COMMON STOCK 345370860         51      8356 Shares                 X                 1      8356      0       0
FORD MOTOR CO        COMMON STOCK 345370860         26      4229 Shares                         X         1      3766      0     463
FORD MOTOR CO        COMMON STOCK 345370860        136     12000 Shares                 X                 2     12000      0       0
FOREST CITY
ENTERPRISES INC      COMMON STOCK 345550107          7      1000 Shares                 X                 2         0      0    1000
FOREST LABS INC COM  COMMON STOCK 345838106        948     37752 Shares                 X                 1     37752      0       0
FOREST LABS INC COM  COMMON STOCK 345838106         59      2360 Shares                         X         1      2360      0       0
FOREST LABS INC COM  COMMON STOCK 345838106       1756     69923 Shares                 X                 3     68245      0    1678
FOREST OIL CORP      COMMON STOCK 346091705          7       500 Shares                 X                 1       500      0       0
FORESTAR GROUP INC   COMMON STOCK 346233109          0        42 Shares                 X                 1        42      0       0
FORTUNE BRANDS INC   COMMON STOCK 349631101        401     11555 Shares                 X                 1     11555      0       0
FORTUNE BRANDS INC   COMMON STOCK 349631101        257      7389 Shares                         X         1      7282      0     107
FORTUNE BRANDS INC   COMMON STOCK 349631101          9       250 Shares                 X                 2         0      0     250
FORTUNE BRANDS INC   COMMON STOCK 349631101         28       800 Shares                 X                 3       800      0       0
FOSSIL INC           COMMON STOCK 349882100         25      1050 Shares                 X                 1      1050      0       0
FOSSIL INC           COMMON STOCK 349882100        564     23425 Shares                 X                 3     23425      0       0
FOUNDATION COAL
HOLDINGS INC         COMMON STOCK 35039W100          1        25 Shares                 X                 1        25      0       0
FRANCE TELECOM SA-
SPONS ADR            COMMON STOCK 35177Q105         23       997 Shares                 X                 1       997      0       0
FRANKLIN RESOURCES
INC                  COMMON STOCK 354613101         31       425 Shares                 X                 1       425      0       0
FRANKLIN RESOURCES
INC                  COMMON STOCK 354613101         18       250 Shares                         X         1       250      0       0
FREEPORT-MCMORAN CPR
& GLD INC            COMMON STOCK 35671D857       1104     22034 Shares                 X                 1     21934      0     100
FREEPORT-MCMORAN CPR
& GLD INC            COMMON STOCK 35671D857        179      3575 Shares                         X         1      3575      0       0



                                    27 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
FREEPORT-MCMORAN CPR
& GLD INC            COMMON STOCK 35671D857       1153     23009 Shares                 X                 3     23009      0       0
FRONTEER DEVELOPMENT
GROUP INC            COMMON STOCK 35903Q106          2       500 Shares                 X                 1       500      0       0
FUELCELL ENERGY INC  COMMON STOCK 35952H106         44     10525 Shares                 X                 1     10525      0       0
FUELCELL ENERGY INC  COMMON STOCK 35952H106       1063    254225 Shares                 X                 3    254225      0       0
FUEL SYSTEMS
SOLUTIONS INC        COMMON STOCK 35952W103          5       250 Shares                 X                 1       250      0       0
FULL HOUSE RESORTS
INC                  COMMON STOCK 359678109          1       500 Shares                 X                 1       500      0       0
FULTON FINANCIAL
CORP                 COMMON STOCK 360271100        805    155154 Shares                 X                 1    155154      0       0
FULTON FINANCIAL
CORP                 COMMON STOCK 360271100        274     52884 Shares                         X         1     50742   1800     342
FULTON FINANCIAL
CORP                 COMMON STOCK 360271100         52     10000 Shares                 X                 3     10000      0       0
FULTON FINANCIAL
CORP                 COMMON STOCK 360271100       2036    392282 Shares           X                            392282      0       0
THE GEO GROUP INC    COMMON STOCK 36159R103         26      1400 Shares                 X                 1      1400      0       0
THE GEO GROUP INC    COMMON STOCK 36159R103        567     30550 Shares                 X                 3     30550      0       0
GABELLI EQUITY TRUST PREFERRED
                     STOCK        362397101          7      1509 Shares                 X                 1         0      0       0
GALLAGHER ARTHUR J.
& CO                 COMMON STOCK 363576109         21      1000 Shares                 X                 1      1000      0       0
GAMESTOP CORP -
CLASS A              COMMON STOCK 36467W109       1622     73676 Shares                 X                 1     72616      0    1060
GAMESTOP CORP -
CLASS A              COMMON STOCK 36467W109       3274    148784 Shares                 X                 3    148784      0       0
GANNETT CO INC       COMMON STOCK 364730101         21      5911 Shares                 X                 1      5911      0       0
GANNETT CO INC       COMMON STOCK 364730101         17      4700 Shares                         X         1      4700      0       0
GAP INC COM          COMMON STOCK 364760108         29      1750 Shares                 X                 1      1750      0       0
GAP INC COM          COMMON STOCK 364760108         90      5500 Shares                         X         1      5500      0       0
GEN-PROBE INC        COMMON STOCK 36866T103        120      2800 Shares                 X                 1      2800      0       0
GEN-PROBE INC        COMMON STOCK 36866T103        894     20800 Shares                 X                 3     20800      0       0
GENERAL AMERICAN
INVESTORS CO         PREFERRED
                     STOCK        368802104         34      1829 Shares                 X                 2         0      0       0
GENERAL
COMMUNICATIONS INC
CLA                  COMMON STOCK 369385109          1       200 Shares                 X                 2         0      0     200
GENERAL DYNAMICS
CORP COM             COMMON STOCK 369550108       2453     44286 Shares                 X                 1     44286      0       0
GENERAL DYNAMICS
CORP COM             COMMON STOCK 369550108        713     12875 Shares                         X         1     12875      0       0
GENERAL DYNAMICS
CORP COM             COMMON STOCK 369550108         20       357 Shares                 X                 2         0      0     357
GENERAL DYNAMICS
CORP COM             COMMON STOCK 369550108         28       500 Shares                 X                 3       500      0       0
GENERAL ELECTRIC
COMPANY              COMMON STOCK 369604103      20798   1774601 Shares                 X                 1   1747009      0   27592
GENERAL ELECTRIC
COMPANY              COMMON STOCK 369604103      17807   1519382 Shares                         X         1   1447080      0   72302
GENERAL ELECTRIC
COMPANY              COMMON STOCK 369604103       8678    740427 Shares                 X                 2    121087      0  619340
GENERAL ELECTRIC
COMPANY              COMMON STOCK 369604103       1439    122765 Shares                 X                 3    111515      0   11250
GENERAL ELECTRIC
COMPANY              COMMON STOCK 369604103          6       550 Shares                 X                 4       550      0       0
GENERAL GROWTH PPTYS
INC                  COMMON STOCK 370021107         19     10191 Shares                 X                 2         0      0       0
GENERAL MILLS INC    COMMON STOCK 370334104       3741     66781 Shares                 X                 1     66781      0       0
GENERAL MILLS INC    COMMON STOCK 370334104       1588     28345 Shares                         X         1     27745      0     600
GENERAL MILLS INC    COMMON STOCK 370334104        112      2000 Shares                 X                 2         0      0    2000



                                    28 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
GENERAL MILLS INC    COMMON STOCK 370334104        106      1900 Shares                 X                 3      1900      0       0
GENERAL MILLS INC    COMMON STOCK 370334104          8       150 Shares                 X                 4       150      0       0
GENERAL MOTORS CORP
COM                  COMMON STOCK 370442105          2      1530 Shares                 X                 1      1130      0     400
GENERAL MOTORS CORP
COM                  COMMON STOCK 370442105          2      2136 Shares                         X         1      2136      0       0
GENERAL MOTORS CORP
COM                  COMMON STOCK 370442105          1      1000 Shares                 X                 2         0      0    1000
GENERAL MOTORS CORP
PFD 5.25%            PREFERRED
                     STOCK        370442733          1       200 Shares                 X                 1         0      0       0
GENESCO INC COM      COMMON STOCK 371532102         23      1250 Shares                 X                 1      1250      0       0
GENESCO INC COM      COMMON STOCK 371532102        518     27600 Shares                 X                 3     27600      0       0
GENESIS LEASE
LTD-ADS              COMMON STOCK 37183T107          2       500 Shares                 X                 1       500      0       0
GENESIS ENERGY LP    COMMON STOCK 371927104         13      1000 Shares                 X                 2         0      0    1000
GENUINE PARTS INC    COMMON STOCK 372460105        126      3750 Shares                 X                 1      3750      0       0
GENUINE PARTS INC    COMMON STOCK 372460105        210      6250 Shares                         X         1      6250      0       0
GENWORTH FINANCIAL
INC - CL A           COMMON STOCK 37247D106          1        85 Shares                 X                 1        85      0       0
GENZYME CORP COM     COMMON STOCK 372917104       1280     22986 Shares                 X                 1     22186      0     800
GENZYME CORP COM     COMMON STOCK 372917104        120      2160 Shares                         X         1      1860      0     300
GERON CORP           COMMON STOCK 374163103          2       300 Shares                 X                 1       300      0       0
GIBRALTAR INDUSTRIES
INC                  COMMON STOCK 374689107         17      2500 Shares                 X                 1         0      0    2500
GILEAD SCIENCES INC
COM                  COMMON STOCK 375558103       5724    122202 Shares                 X                 1    121152      0    1050
GILEAD SCIENCES INC
COM                  COMMON STOCK 375558103        823     17561 Shares                         X         1     14966      0    2595
GILEAD SCIENCES INC
COM                  COMMON STOCK 375558103       1996     42601 Shares                 X                 3     40244      0    2357
GLADSTONE CAPITAL
CORP                 COMMON STOCK 376535100         38      5000 Shares                 X                 1      5000      0       0
GLADSTONE CAPITAL
CORP                 COMMON STOCK 376535100       3144    417515 Shares                 X                 2     86505      0  331010
GLADSTONE COMMERCIAL
CORP                 COMMON STOCK 376536108         52      4000 Shares                 X                 1         0      0       0
GLADSTONE COMMERCIAL
CORP                 COMMON STOCK 376536108       4849    374160 Shares                 X                 2         0      0       0
GLATFELTER           COMMON STOCK 377316104        263     29565 Shares                 X                 1     29565      0       0
GLATFELTER           COMMON STOCK 377316104         12      1350 Shares                         X         1      1350      0       0
GLAXOSMITHKLINE PLC
ADR                  COMMON STOCK 37733W105        719     20332 Shares                 X                 1     19422      0     910
GLAXOSMITHKLINE PLC
ADR                  COMMON STOCK 37733W105       1195     33806 Shares                         X         1     27306      0    6500
GLAXOSMITHKLINE PLC
ADR                  COMMON STOCK 37733W105         79      2227 Shares                 X                 2         0      0    2227
GLOBAL PAYMENTS INC  COMMON STOCK 37940X102        184      4900 Shares                 X                 1      4900      0       0
GLOBAL PAYMENTS INC  COMMON STOCK 37940X102       1565     41800 Shares                 X                 3     41800      0       0
GOLD FIELDS LIMITED
ADR                  COMMON STOCK 38059T106          3       250 Shares                 X                 1       250      0       0
GOLDMAN SACHS GROUP
INC COM              COMMON STOCK 38141G104       5406     36667 Shares                 X                 1     35407      0    1260
GOLDMAN SACHS GROUP
INC COM              COMMON STOCK 38141G104       1208      8190 Shares                         X         1      7435      0     755
GOLDMAN SACHS GROUP
INC COM              COMMON STOCK 38141G104         97       660 Shares                 X                 2         0      0     660
GOLDMAN SACHS GROUP
INC COM              COMMON STOCK 38141G104       3778     25625 Shares                 X                 3     24898      0     727
GOODRICH CORP        COMMON STOCK 382388106         20       400 Shares                 X                 1       400      0       0



                                    29 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      

GOODRICH CORP        COMMON STOCK 382388106        570     11400 Shares                 X                 3     11400      0       0
GOOGLE INC CL A      COMMON STOCK 38259P508       8598     20394 Shares                 X                 1     20104      0     290
GOOGLE INC CL A      COMMON STOCK 38259P508        740      1756 Shares                         X         1      1341      0     415
GOOGLE INC CL A      COMMON STOCK 38259P508      13046     30944 Shares                 X                 2      8664      0   22280
GOOGLE INC CL A      COMMON STOCK 38259P508       4551     10797 Shares                 X                 3     10439      0     358
GRACO INC COM        COMMON STOCK 384109104        127      5789 Shares                 X                 1      5789      0       0
GRACO INC COM        COMMON STOCK 384109104         17       750 Shares                         X         1       750      0       0
GRACO INC COM        COMMON STOCK 384109104        862     39161 Shares                 X                 3     39161      0       0
GRAFTECH
INTERNATIONAL LTD    COMMON STOCK 384313102         13      1180 Shares                 X                 1      1180      0       0
GRAFTECH
INTERNATIONAL LTD    COMMON STOCK 384313102        201     17800 Shares                 X                 3     17800      0       0
W W GRAINGER INC COM COMMON STOCK 384802104        475      5800 Shares                 X                 1      5800      0       0
W W GRAINGER INC COM COMMON STOCK 384802104        213      2600 Shares                         X         1      2600      0       0
W W GRAINGER INC COM COMMON STOCK 384802104         82      1000 Shares                 X                 2         0      0    1000
GRANITE CONSTRUCTION
INCORPORA            COMMON STOCK 387328107         22       675 Shares                 X                 1       675      0       0
GREAT PLAINS ENERGY
INC                  COMMON STOCK 391164100         12       770 Shares                 X                 1       770      0       0
GREAT PLAINS ENERGY
INC                  COMMON STOCK 391164100         13       850 Shares                         X         1       850      0       0
GREATER CHINA FUND
INC                  PREFERRED
                     STOCK        39167B102          7       631 Shares                 X                 1         0      0       0
GREATER CHINA FUND
INC                  PREFERRED
                     STOCK        39167B102          2       150 Shares                         X         1         0      0       0
GREENBRIER COMPANIES
INC                  COMMON STOCK 393657101         43      6000 Shares                 X                 2         0      0    6000
GREENBRIER COS CONV
2.375%  5            OTHER        393657AD3        273    500000 Shares                 X                 2         0      0       0
GUARANTY FINANCIAL
GROUP                COMMON STOCK 40108N106          0        42 Shares                 X                 1        42      0       0
HCC INS HLDGS INC
COM                  COMMON STOCK 404132102        224      9309 Shares                 X                 1      9309      0       0
HCC INS HLDGS INC
COM                  COMMON STOCK 404132102          2       100 Shares                         X         1       100      0       0
HCC INS HLDGS INC
COM                  COMMON STOCK 404132102       1419     59116 Shares                 X                 3     59116      0       0
HCP INCORPORATED
REITS                COMMON STOCK 40414L109         30      1400 Shares                 X                 1         0      0       0
HCP INCORPORATED
REITS                COMMON STOCK 40414L109         70      3316 Shares                 X                 2         0      0       0
HRPT PROPERTIES
TRUST (REIT)         COMMON STOCK 40426W101          1       148 Shares                 X                 1         0      0       0
HRPT PROPERTIES
TRUST (REIT)         COMMON STOCK 40426W101          5      1200 Shares                         X         1         0      0       0
HSBC HOLDINGS PLC
SPON ADR             COMMON STOCK 404280406         38       916 Shares                 X                 1       916      0       0
HSBC HOLDINGS PLC
SPON ADR             COMMON STOCK 404280406         10       250 Shares                         X         1       250      0       0
HSBC HOLDINGS PLC
PFD 6.2SER A         PREFERRED
                     STOCK        404280604         18      1000 Shares                 X                 1         0      0       0
HAEMONETICS CORP
MASS                 COMMON STOCK 405024100         44       775 Shares                 X                 1       775      0       0
HAEMONETICS CORP
MASS                 COMMON STOCK 405024100        988     17325 Shares                 X                 3     17325      0       0
HALLIBURTON HLDG CO
COM                  COMMON STOCK 406216101        211     10214 Shares                 X                 1      9114      0    1100
HALLIBURTON HLDG CO
COM                  COMMON STOCK 406216101        154      7425 Shares                         X         1      7425      0       0
HAMPTON ROADS
BANKSHARES INC       COMMON STOCK 409321106          6       670 Shares                 X                 2         0      0     670
JOHN HANCOCK PATR
PREM DIV FD          PREFERRED
                     STOCK        41013T105          9      1123 Shares                         X         1         0      0       0



                                    30 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
JOHN HANCOCK PFD INC
FD II                PREFERRED
                     STOCK        41013X106         16      1050 Shares                 X                 1         0      0       0
HANESBRANDS INC      COMMON STOCK 410345102          4       237 Shares                 X                 1       237      0       0
HANESBRANDS INC      COMMON STOCK 410345102         13       850 Shares                         X         1       450      0     400
HANSEN MEDICAL INC   COMMON STOCK 411307101         10      2000 Shares                 X                 1      2000      0       0
HARLEY-DAVIDSON INC  COMMON STOCK 412822108        102      6274 Shares                 X                 1      6274      0       0
HARLEY-DAVIDSON INC  COMMON STOCK 412822108         58      3600 Shares                         X         1       400      0    3200
HARLEYSVILLE
NATIONAL CORP        COMMON STOCK 412850109          2       500 Shares                 X                 1       500      0       0
HARMAN INTERNATIONAL
INDUSTRIE            COMMON STOCK 413086109         26      1400 Shares                 X                 2         0      0    1400
HARMONY GOLD MINING-
SPON ADR             COMMON STOCK 413216300          1       116 Shares                 X                 1       116      0       0
HARRIS & HARRIS
GROUP INC            COMMON STOCK 413833104          1       100 Shares                 X                 1       100      0       0
HARRIS CORP          COMMON STOCK 413875105       2788     98319 Shares                 X                 1     98319      0       0
HARRIS CORP          COMMON STOCK 413875105        327     11530 Shares                         X         1     11530      0       0
HARRIS CORP          COMMON STOCK 413875105       1928     67998 Shares                 X                 3     66029      0    1969
HARRIS STRATEX
NETWORKS INC         COMMON STOCK 41457P106         28      4396 Shares                 X                 1      4396      0       0
HARRIS STRATEX
NETWORKS INC         COMMON STOCK 41457P106         17      2602 Shares                         X         1      2602      0       0
HARSCO CORP          COMMON STOCK 415864107      11540    407781 Shares                 X                 1    335937      0   71844
HARSCO CORP          COMMON STOCK 415864107       3125    110421 Shares                         X         1    105751      0    4670
HARSCO CORP          COMMON STOCK 415864107       3631    128295 Shares                 X                 3    126160      0    2135
HARTFORD FINANCIAL
SVCS GRP IN          COMMON STOCK 416515104        152     12776 Shares                 X                 1     11116      0    1660
HARTFORD FINANCIAL
SVCS GRP IN          COMMON STOCK 416515104         89      7477 Shares                         X         1      6437      0    1040
HARTFORD FINANCIAL
SVCS GRP IN          COMMON STOCK 416515104         14      1140 Shares                 X                 2         0      0    1140
HARTFORD FINANCIAL
SVCS GRP IN          COMMON STOCK 416515104          1       100 Shares                 X                 4       100      0       0
HARVEST ENERGY TRUST
- UNITS              COMMON STOCK 41752X101          1       100 Shares                 X                 1       100      0       0
HARVEST ENERGY TRUST
- UNITS              COMMON STOCK 41752X101          1       100 Shares                         X         1       100      0       0
HATTERAS FINANCIAL
CORP                 COMMON STOCK 41902R103         72      2529 Shares                 X                 1         0      0       0
HATTERAS FINANCIAL
CORP                 COMMON STOCK 41902R103          7       254 Shares                         X         1         0      0       0
HEALTHCARE SVCS
GROUP INC            COMMON STOCK 421906108         12       650 Shares                 X                 1       650      0       0
HEALTHCARE SVCS
GROUP INC            COMMON STOCK 421906108        254     14250 Shares                 X                 3     14250      0       0
HEALTH MANAGEMENT-
CLASS A              COMMON STOCK 421933102         34      6840 Shares                 X                 1      6840      0       0
HEALTH MANAGEMENT-
CLASS A              COMMON STOCK 421933102          6      1145 Shares                         X         1      1145      0       0
HEALTH MANAGEMENT-
CLASS A              COMMON STOCK 421933102        705    142575 Shares                 X                 3    142575      0       0
HEALTHCARE REALTY
TRUST INC (R         COMMON STOCK 421946104          6       350 Shares                 X                 1         0      0       0
HEALTHCARE REALTY
TRUST INC (R         COMMON STOCK 421946104        111      6600 Shares                 X                 2         0      0       0
HEALTH CARE REIT INC COMMON STOCK 42217K106         15       450 Shares                         X         1         0      0       0
HEALTH CARE REIT INC COMMON STOCK 42217K106        102      3000 Shares                 X                 2         0      0       0
HECLA MNG CO COM     COMMON STOCK 422704106          1       350 Shares                 X                 1       350      0       0
HEINZ H J CO COM     COMMON STOCK 423074103        880     24645 Shares                 X                 1     24645      0       0



                                    31 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
HEINZ H J CO COM     COMMON STOCK 423074103        487     13641 Shares                         X         1     13641      0       0
HEINZ H J CO COM     COMMON STOCK 423074103        100      2800 Shares                 X                 2         0      0    2800
HELIX ENERGY
SOLUTIONS GRP        COMMON STOCK 42330P107          2       218 Shares                 X                 1       218      0       0
HERCULES TECHNOLOGY
GROWTH               COMMON STOCK 427096508          7       812 Shares                 X                 1       812      0       0
HERITAGE FINANCIAL
GROUP                COMMON STOCK 42725U109         26      3000 Shares                 X                 2         0      0    3000
THE HERSHEY COMPANY  COMMON STOCK 427866108       2908     80769 Shares                 X                 1     77894      0    2875
THE HERSHEY COMPANY  COMMON STOCK 427866108       1220     33894 Shares                         X         1     28194      0    5700
THE HERSHEY COMPANY  COMMON STOCK 427866108         29       800 Shares                 X                 2         0      0     800
THE HERSHEY COMPANY  COMMON STOCK 427866108        207      5760 Shares                 X                 3      3739      0    2021
HEWITT ASSOCIATES
INC                  COMMON STOCK 42822Q100          0        16 Shares                 X                 1        16      0       0
HEWLETT-PACKARD CO   COMMON STOCK 428236103       9727    251662 Shares                 X                 1    250030      0    1632
HEWLETT-PACKARD CO   COMMON STOCK 428236103       2699     69823 Shares                         X         1     66123      0    3700
HEWLETT-PACKARD CO   COMMON STOCK 428236103       2005     51882 Shares                 X                 2     14500      0   37382
HEWLETT-PACKARD CO   COMMON STOCK 428236103       2615     67674 Shares                 X                 3     63865      0    3809
HEWLETT-PACKARD CO   COMMON STOCK 428236103          9       237 Shares                 X                 4       237      0       0
HEXCEL CORP          COMMON STOCK 428291108         15      1600 Shares                 X                 1      1600      0       0
HEXCEL CORP          COMMON STOCK 428291108        340     35625 Shares                 X                 3     35625      0       0
HHGREGG INC          COMMON STOCK 42833L108         17      1100 Shares                 X                 1      1100      0       0
HHGREGG INC          COMMON STOCK 42833L108        371     24450 Shares                 X                 3     24450      0       0
HILAND HOLDINGS GP
LP                   COMMON STOCK 43129M107        304    132300 Shares                 X                 2         0      0  132300
HOKU SCIENTIFIC INC  COMMON STOCK 434712105          1       500 Shares                 X                 1       500      0       0
HOLOGIC INC COM      COMMON STOCK 436440101       1893    132863 Shares                 X                 1    132193      0     670
HOLOGIC INC COM      COMMON STOCK 436440101        237     16609 Shares                         X         1      9509      0    7100
HOLOGIC INC COM      COMMON STOCK 436440101       1640    115291 Shares                 X                 3    109574      0    5717
HOME DEPOT INC COM   COMMON STOCK 437076102       5275    223231 Shares                 X                 1    219681      0    3550
HOME DEPOT INC COM   COMMON STOCK 437076102       2149     90942 Shares                         X         1     84417      0    6525
HOME DEPOT INC COM   COMMON STOCK 437076102        976     41300 Shares                 X                 2     21700      0   19600
HOME DEPOT INC COM   COMMON STOCK 437076102        173      7305 Shares                 X                 3      4393      0    2912
HOME DEPOT INC COM   COMMON STOCK 437076102          5       200 Shares                 X                 4       200      0       0
HOME PROPERTIES INC
(REIT)               COMMON STOCK 437306103         46      1338 Shares                 X                 1         0      0       0
HOME PROPERTIES INC
(REIT)               COMMON STOCK 437306103         85      2500 Shares                         X         1         0      0       0
HOME PROPERTIES INC
(REIT)               COMMON STOCK 437306103       6332    185691 Shares                 X                 2     10050      0       0
HONDA MTR LTD AMERN
SHS                  COMMON STOCK 438128308          5       200 Shares                 X                 1       200      0       0
HONEYWELL INTL INC
COM                  COMMON STOCK 438516106        521     16579 Shares                 X                 1     16579      0       0
HONEYWELL INTL INC
COM                  COMMON STOCK 438516106        992     31578 Shares                         X         1     31578      0       0
HONEYWELL INTL INC
COM                  COMMON STOCK 438516106        579     18430 Shares                 X                 2         0      0   18430
HONEYWELL INTL INC
COM                  COMMON STOCK 438516106         66      2100 Shares                 X                 3      2100      0       0



                                    32 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
HONEYWELL INTL INC
COM                  COMMON STOCK 438516106          9       300 Shares                 X                 4       300      0       0
HOSPIRA INC          COMMON STOCK 441060100        132      3439 Shares                 X                 1      3439      0       0
HOSPIRA INC          COMMON STOCK 441060100         89      2320 Shares                         X         1      1950      0     370
HOSPITALITY
PROPERTIES TRUST (   COMMON STOCK 44106M102          4       309 Shares                 X                 1         0      0       0
HOSPITALITY
PROPERTIES TRUST (   COMMON STOCK 44106M102          4       300 Shares                         X         1         0      0       0
HOSPITALITY
PROPERTIES TRUST (   COMMON STOCK 44106M102         24      2000 Shares                 X                 2         0      0       0
HOST HOTELS &
RESORTS INC          COMMON STOCK 44107P104          1        61 Shares                 X                 1         0      0       0
HOST HOTELS &
RESORTS INC          COMMON STOCK 44107P104          2       275 Shares                         X         1         0      0       0
HOST HOTELS &
RESORTS INC          COMMON STOCK 44107P104        100     11978 Shares                 X                 2         0      0       0
HUANENG POWER INTL-
SPONS ADR            COMMON STOCK 443304100         74      2620 Shares                         X         1      2620      0       0
HUDSON CITY BANCORP
INC                  COMMON STOCK 443683107         29      2150 Shares                 X                 1      2150      0       0
HUDSON CITY BANCORP
INC                  COMMON STOCK 443683107        636     47850 Shares                 X                 3     47850      0       0
HUDSON TECHNOLOGIES
INC                  COMMON STOCK 444144109          1       500 Shares                 X                 1       500      0       0
HUGOTON ROYALTY
TRUST                COMMON STOCK 444717102          1       100 Shares                         X         1       100      0       0
HUMANA INC COM       COMMON STOCK 444859102          9       269 Shares                 X                 1       269      0       0
HUMANA INC COM       COMMON STOCK 444859102         39      1200 Shares                 X                 2         0      0    1200
HUMAN GENOME
SCIENCES INC         COMMON STOCK 444903108         16      5725 Shares                 X                 1      5725      0       0
HUMAN GENOME
SCIENCES INC         COMMON STOCK 444903108          1       200 Shares                         X         1       200      0       0
HUMAN GENOME
SCIENCES INC         COMMON STOCK 444903108          2       600 Shares                 X                 2         0      0     600
HUMAN GENOME
SCIENCES INC         COMMON STOCK 444903108        365    127275 Shares                 X                 3    127275      0       0
J B HUNT TRANSPORT
SERVICES IN          COMMON STOCK 445658107        907     29698 Shares                 X                 1     29698      0       0
J B HUNT TRANSPORT
SERVICES IN          COMMON STOCK 445658107       2261     74060 Shares                 X                 3     74060      0       0
HUNTINGTON
BANCSHARES INC COM   COMMON STOCK 446150104          1       209 Shares                 X                 1       209      0       0
HURON CONSULTING
GROUP INC            COMMON STOCK 447462102         12       250 Shares                 X                 1       250      0       0
HURON CONSULTING
GROUP INC            COMMON STOCK 447462102        259      5600 Shares                 X                 3      5600      0       0
ING PRIME RATE TR    PREFERRED
                     STOCK        44977W106          8      2000 Shares                         X         1         0      0       0
ING RISK MANAGED
NATURAL RES          PREFERRED
                     STOCK        449810100         80      5000 Shares                         X         1         0      0       0
ING CLARION GLOBAL
R/E INCOME           PREFERRED
                     STOCK        44982G104       4166    859056 Shares                 X                 1         0      0       0
ING CLARION GLOBAL
R/E INCOME           PREFERRED
                     STOCK        44982G104        619    127643 Shares                         X         1         0      0       0
ING CLARION GLOBAL
R/E INCOME           PREFERRED
                     STOCK        44982G104       1702    350866 Shares                 X                 3         0      0       0
IMS HEALTH INC COM   COMMON STOCK 449934108        121      9522 Shares                 X                 1      8770      0     752
IMS HEALTH INC COM   COMMON STOCK 449934108          4       300 Shares                         X         1         0      0     300
ISTAR FINANCIAL INC  COMMON STOCK 45031U101          7      2500 Shares                 X                 1         0      0       0
ISTAR FINANCIAL INC  COMMON STOCK 45031U101        527    185370 Shares                 X                 2     37295      0       0
ITT EDUCATIONAL
SERVICES INC C       COMMON STOCK 45068B109        184      1825 Shares                 X                 1      1825      0       0
ITT EDUCATIONAL
SERVICES INC C       COMMON STOCK 45068B109       1580     15700 Shares                 X                 3     15700      0       0
ITT CORP             COMMON STOCK 450911102        166      3734 Shares                 X                 1      3074      0     660



                                    33 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ITT CORP             COMMON STOCK 450911102        162      3645 Shares                         X         1      2720      0     925
ITT CORP             COMMON STOCK 450911102         37       840 Shares                 X                 2         0      0     840
ICON PLC SPONSORED
ADR                  COMMON STOCK 45103T107          4       174 Shares                 X                 1       174      0       0
ILLINOIS TOOL WKS
INC COM              COMMON STOCK 452308109        534     14310 Shares                 X                 1     14310      0       0
ILLINOIS TOOL WKS
INC COM              COMMON STOCK 452308109        605     16200 Shares                         X         1     16200      0       0
ILLINOIS TOOL WKS
INC COM              COMMON STOCK 452308109       1637     43840 Shares                 X                 2      9600      0   34240
IMAX CORPORATION     COMMON STOCK 45245E109         20      2425 Shares                 X                 1      2425      0       0
IMAX CORP            COMMON STOCK 45245E109C       532     65500 Shares                 X                 3     65500      0       0
IMAX CORP            COMMON STOCK 45245E909         10      1200 Shares                 X                 3      1200      0       0
IMPERIAL OIL LTD     COMMON STOCK 453038408        192      5000 Shares                         X         1      5000      0       0
IMPERIAL OIL LTD     COMMON STOCK 453038408        104      2700 Shares                 X                 2         0      0    2700
IMPLANT SCIENCES
CORP                 COMMON STOCK 45320R108          0      2500 Shares                 X                 1      2500      0       0
INCYTE GENOMICS INC
COM                  COMMON STOCK 45337C102          1       400 Shares                 X                 1       400      0       0
INERGY LP            COMMON STOCK 456615103         23       910 Shares                 X                 1       910      0       0
INERGY HOLDINGS LP   COMMON STOCK 45661Q107         18       450 Shares                 X                 2         0      0     450
INFORMATICA CORP COM COMMON STOCK 45666Q102         31      1800 Shares                 X                 1      1800      0       0
INFORMATICA CORP COM COMMON STOCK 45666Q102        682     39725 Shares                 X                 3     39725      0       0
INFOSYS TECHNOLOGIES
LTDSPON A            COMMON STOCK 456788108          7       200 Shares                 X                 1       200      0       0
ING GROEP NV
SPONSORED ADR        COMMON STOCK 456837103          2       209 Shares                 X                 1       209      0       0
ING GROEP NV
SPONSORED ADR        COMMON STOCK 456837103          7       700 Shares                         X         1       700      0       0
ING GROEP NV
SPONSORED ADR        COMMON STOCK 456837103          5       525 Shares                 X                 2         0      0     525
ING GLOBAL EQUITY
DIV & PREM O         PREFERRED
                     STOCK        45684E107         72      6150 Shares                         X         1         0      0       0
INOVIO BIOMEDICAL
CORP                 COMMON STOCK 45773H102          0       250 Shares                 X                 1       250      0       0
INSURED MUNICIPAL
INCOME FD            PREFERRED
                     STOCK        45809F104         36      2964 Shares                 X                 2         0      0       0
INTEL CORP COM       COMMON STOCK 458140100      10002    604351 Shares                 X                 1    600351      0    4000
INTEL CORP COM       COMMON STOCK 458140100       4144    250410 Shares                         X         1    224880      0   25530
INTEL CORP COM       COMMON STOCK 458140100        346     20938 Shares                 X                 2     16566      0    4372
INTEL CORP COM       COMMON STOCK 458140100       2011    121475 Shares                 X                 3    115670      0    5805
INTEL CORP COM       COMMON STOCK 458140100          7       400 Shares                 X                 4       400      0       0
INTEGRYS ENERGY
GROUP INC            COMMON STOCK 45822P105         15       500 Shares                 X                 1       500      0       0
INTEGRYS ENERGY
GROUP INC            COMMON STOCK 45822P105         23       766 Shares                         X         1       766      0       0
INTERCONTINENTAL
EXCHANGE INC         COMMON STOCK 45865V100       1530     13390 Shares                 X                 1     13280      0     110
INTERCONTINENTAL
EXCHANGE INC         COMMON STOCK 45865V100         72       630 Shares                         X         1       125      0     505
INTERCONTINENTAL
EXCHANGE INC         COMMON STOCK 45865V100       2890     25295 Shares                 X                 3     25295      0       0
INTERDIGITAL INC     COMMON STOCK 45867G101         24      1000 Shares                 X                 1      1000      0       0
INTERDIGITAL INC     COMMON STOCK 45867G101        244     10000 Shares                 X                 2         0      0   10000
IBM CORPORATION      COMMON STOCK 459200101      35398    339000 Shares                 X                 1    331536      0    7464



                                    34 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
IBM CORPORATION      COMMON STOCK 459200101      13562    129877 Shares                         X         1    120702      0    9175
IBM CORPORATION      COMMON STOCK 459200101      13528    129559 Shares                 X                 2     11285      0  118274
IBM CORPORATION      COMMON STOCK 459200101       3314     31738 Shares                 X                 3     29857      0    1881
IBM CORPORATION      COMMON STOCK 459200101         21       200 Shares                 X                 4       200      0       0
INTL FLAVORS &
FRAGRANCES INC       COMMON STOCK 459506101         23       700 Shares                 X                 1       700      0       0
INTERNATIONAL
GAME TECH COM        COMMON STOCK 459902102          8       500 Shares                 X                 1       500      0       0
INTERNATIONAL
GAME TECH COM        COMMON STOCK 459902102         48      3000 Shares                         X         1      3000      0       0
INTERNATIONAL
PAPER CO COM         COMMON STOCK 460146103        202     13340 Shares                 X                 1     13340      0       0
INTERNATIONAL
PAPER CO COM         COMMON STOCK 460146103         87      5763 Shares                         X         1      3527      0    2236
INTERNATIONAL
RECTIFIER CORP       COMMON STOCK 460254105          1       100 Shares                         X         1       100      0       0
INTERNATIONAL
SPEEDWAY CORP CL     COMMON STOCK 460335201          1        50 Shares                 X                 1        50      0       0
INTUIT INC COM       COMMON STOCK 461202103         34      1200 Shares                 X                 1      1200      0       0
INTUIT INC COM       COMMON STOCK 461202103         87      3100 Shares                         X         1      3100      0       0
INVACARE CORP COM    COMMON STOCK 461203101          4       200 Shares                 X                 1       200      0       0
INTUITIVE SURGICAL
INC                  COMMON STOCK 46120E602       3329     20338 Shares                 X                 1     20148      0     190
INTUITIVE SURGICAL
INC                  COMMON STOCK 46120E602        267      1632 Shares                         X         1      1587      0      45
INTUITIVE SURGICAL
INC                  COMMON STOCK 46120E602         25       150 Shares                 X                 2         0      0     150
INTUITIVE SURGICAL
INC                  COMMON STOCK 46120E602       1607      9817 Shares                 X                 3      9423      0     394
INVERNESS MEDICAL
INNOVATIONS          COMMON STOCK 46126P106         53      1500 Shares                 X                 1      1500      0       0
INVERNESS MEDICAL
INNOVATIONS          COMMON STOCK 46126P106         71      2000 Shares                 X                 2         0      0    2000
INVERNESS MEDICAL
INNOVATIONS          COMMON STOCK 46126P106       1790     50300 Shares                 X                 3     50300      0       0
INVESTORS TITLE
COMPANY              COMMON STOCK 461804106         54      2000 Shares                 X                 2         0      0    2000
IOWA
TELECOMMUNICATIONS
SERVIC               COMMON STOCK 462594201         27      2150 Shares                 X                 2         0      0    2150
BANK OF IRELAND
SPONSORED ADR        COMMON STOCK 46267Q103          1       100 Shares                 X                 1       100      0       0
ISHARES COMEX GOLD
TRUST                PREFERRED
                     STOCK        464285105         54       590 Shares                 X                 1         0      0       0
ISHARES MSCI
AUSTRALIA INDEX F    PREFERRED
                     STOCK        464286103          7       415 Shares                         X         1         0      0       0
ISHARES MSCI BRAZIL
INDEX FUND           PREFERRED
                     STOCK        464286400         11       200 Shares                 X                 2         0      0       0
ISHARES MSCI CANADA
INDEX FD             PREFERRED
                     STOCK        464286509          8       365 Shares                         X         1         0      0       0
ISHARES MSCI PACIFIC
EX-JAPAN             PREFERRED
                     STOCK        464286665        138      4360 Shares                 X                 2         0      0       0
ISHARES MSCI GERMANY
INDEX FD             PREFERRED
                     STOCK        464286806         10       560 Shares                         X         1         0      0       0
ISHARES MSCI JAPAN
INDEX FD             PREFERRED
                     STOCK        464286848         90      9500 Shares                 X                 1         0      0       0
ISHARES MSCI JAPAN
INDEX FD             PREFERRED
                     STOCK        464286848         31      3300 Shares                         X         1         0      0       0
ISHARES S&P 100
INDEX FUND           COMMON STOCK 464287101         88      2048 Shares                 X                 2         0      0    2048
ISHARES DJ SELECT
DIVIDEND IND         PREFERRED
                     STOCK        464287168         22       620 Shares                 X                 1         0      0       0
ISHARES DJ SELECT
DIVIDEND IND         PREFERRED
                     STOCK        464287168          9       250 Shares                         X         1         0      0       0
ISHARES BARCLAYS
TIPS BOND FD         PREFERRED
                     STOCK        464287176         54       534 Shares                 X                 1         0      0       0
ISHARES BARCLAYS
TIPS BOND FD         PREFERRED
                     STOCK        464287176         51       500 Shares                         X         1         0      0       0



                                    35 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ISHARES FTSE/XINHUA
CHINA 25             PREFERRED
                     STOCK        464287184          4       100 Shares                         X         1         0      0       0
ISHARES FTSE/XINHUA
CHINA 25             PREFERRED
                     STOCK        464287184        115      3000 Shares                 X                 2         0      0       0
ISHARES DOW JONES US
TRANS IND            PREFERRED
                     STOCK        464287192          3        60 Shares                 X                 1         0      0       0
ISHARES S&P 500
INDEX FD             PREFERRED
                     STOCK        464287200       4435     48026 Shares                 X                 1         0      0       0
ISHARES S&P 500
INDEX FD             PREFERRED
                     STOCK        464287200        892      9654 Shares                         X         1         0      0       0
ISHARES S&P 500
INDEX FD             PREFERRED
                     STOCK        464287200         14       150 Shares                 X                 2         0      0       0
ISHARES MSCI
EMERGING MARKETS     PREFERRED
                     STOCK        464287234        395     12247 Shares                 X                 1         0      0       0
ISHARES MSCI
EMERGING MARKETS     PREFERRED
                     STOCK        464287234         91      2825 Shares                 X                 2         0      0       0
ISHARES S&P
500/BARRA GRWTH IN   PREFERRED
                     STOCK        464287309        615     12870 Shares                 X                 1         0      0       0
ISHARES S&P
500/BARRA GRWTH IN   PREFERRED
                     STOCK        464287309         67      1400 Shares                         X         1         0      0       0
ISHARES S&P GLOBAL
ENERGY SECT          PREFERRED
                     STOCK        464287341        135      4390 Shares                 X                 2         0      0       0
ISHARES S&P NA NAT
RES SIF              PREFERRED
                     STOCK        464287374        346     12500 Shares                 X                 2         0      0       0
ISHARES S&P 500
BARRA VALUE IN       COMMON STOCK 464287408        141      3225 Shares                 X                 1      3225      0       0
ISHARES S&P 500
BARRA VALUE IN       COMMON STOCK 464287408         31       700 Shares                         X         1       700      0       0
ISHARES BARCLAYS
7-10 YRS TREA        PREFERRED
                     STOCK        464287440         27       297 Shares                         X         1         0      0       0
ISHARES BARCLAYS
1-3 YR TREAS         PREFERRED
                     STOCK        464287457         70       842 Shares                 X                 1         0      0       0
ISHARES MSCI EAFE
INDEX FD             PREFERRED
                     STOCK        464287465      11160    243612 Shares                 X                 1         0      0       0
ISHARES MSCI EAFE
INDEX FD             PREFERRED
                     STOCK        464287465       3713     81055 Shares                         X         1         0      0       0
ISHARES MSCI EAFE
INDEX FD             PREFERRED
                     STOCK        464287465       1652     36071 Shares                 X                 2         0      0       0
ISHARES MSCI EAFE
INDEX FD             PREFERRED
                     STOCK        464287465       2832     61816 Shares                 X                 3         0      0       0
I SHARES RUSSELL
MIDCAP VAL IN        PREFERRED
                     STOCK        464287473         52      1785 Shares                         X         1         0      0       0
ISHARES RUSSELL MID
CAP GROWTH           PREFERRED
                     STOCK        464287481         53      1450 Shares                         X         1         0      0       0
ISHARES RUSSELL MID
CAP GROWTH           PREFERRED
                     STOCK        464287481         87      2380 Shares                 X                 2         0      0       0
ISHARES RUSSELL
MIDCAP INDEX F       COMMON STOCK 464287499        167      2548 Shares                 X                 1      2548      0       0
ISHARES S&P MIDCAP
400 INDEX F          PREFERRED
                     STOCK        464287507        524      9063 Shares                 X                 1         0      0       0
ISHARES S&P MIDCAP
400 INDEX F          PREFERRED
                     STOCK        464287507        103      1782 Shares                 X                 2         0      0       0
ISHARES S&P NA
TECHNOLOGY SFI       PREFERRED
                     STOCK        464287549         15       350 Shares                 X                 1         0      0       0
ISHARES S&P NA
TECHNOLOGY SFI       PREFERRED
                     STOCK        464287549          4        85 Shares                 X                 2         0      0       0
ISHARES NASDAQ
BIOTECHNOLOGY I      PREFERRED
                     STOCK        464287556         36       500 Shares                 X                 2         0      0       0
ISHARES S&P GLOBAL
100 INDEX F          PREFERRED
                     STOCK        464287572         53      1075 Shares                 X                 2         0      0       0
ISHARES RUSSELL 1000
VALUE IND            PREFERRED
                     STOCK        464287598       2912     61195 Shares                 X                 1         0      0       0
ISHARES RUSSELL 1000
VALUE IND            PREFERRED
                     STOCK        464287598         46       974 Shares                         X         1         0      0       0
ISHARES RUSSELL 1000
VALUE IND            PREFERRED
                     STOCK        464287598       1143     24020 Shares                 X                 3         0      0       0
ISHARES S&P MIDCAP
400 BARRA G          PREFERRED
                     STOCK        464287606        406      6505 Shares                 X                 1         0      0       0
ISHARES S&P MIDCAP
400 BARRA G          PREFERRED
                     STOCK        464287606        527      8450 Shares                 X                 2         0      0       0
ISHARES RUSSELL 1000
GROWTH IN            PREFERRED
                     STOCK        464287614      10369    252706 Shares                 X                 1         0      0       0
ISHARES RUSSELL 1000
GROWTH IN            PREFERRED
                     STOCK        464287614        386      9413 Shares                         X         1         0      0       0



                                    36 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ISHARES RUSSELL 1000
GROWTH IN            PREFERRED
                     STOCK        464287614       3349     81629 Shares                 X                 3         0      0       0
ISHARES RUSSELL 1000
INDEX FD             PREFERRED
                     STOCK        464287622        297      5859 Shares                 X                 1         0      0       0
ISHARES RUSSELL 1000
INDEX FD             PREFERRED
                     STOCK        464287622       2543     50190 Shares                         X         1         0      0       0
ISHARES RUSSELL 2000
VALUE                PREFERRED
                     STOCK        464287630         55      1180 Shares                 X                 2         0      0       0
ISHARES RUSSELL 2000
GRWTH FD             PREFERRED
                     STOCK        464287648         34       600 Shares                 X                 1         0      0       0
ISHARES RUSSELL 2000
GRWTH FD             PREFERRED
                     STOCK        464287648         60      1050 Shares                 X                 3      1050      0       0
ISHARES RUSSELL 2000
INDEX FD             PREFERRED
                     STOCK        464287655        542     10608 Shares                 X                 1         0      0       0
ISHARES RUSSELL 2000
INDEX FD             PREFERRED
                     STOCK        464287655         13       260 Shares                         X         1         0      0       0
ISHARES DOW JONES US
UTIL SECT            PREFERRED
                     STOCK        464287697         26       385 Shares                 X                 1         0      0       0
ISHARES S&P MIDCAP
400/BARRA V          PREFERRED
                     STOCK        464287705        265      5090 Shares                 X                 1         0      0       0
ISHARES S&P MIDCAP
400/BARRA V          PREFERRED
                     STOCK        464287705        104      2000 Shares                 X                 2         0      0       0
ISHARES TRUST DOW
JONES                COMMON STOCK 464287721       3774     84823 Shares                 X                 2     12902      0   71921
ISHARES DJ US REAL
ESTATE INDE          COMMON STOCK 464287739         10       300 Shares                 X                 1       300      0       0
ISHARES DJ US REAL
ESTATE INDE          COMMON STOCK 464287739          3       100 Shares                 X                 2         0      0     100
ISHARES DJ US
INDUSTRIAL SEC I     PREFERRED
                     STOCK        464287754          8       200 Shares                 X                 2         0      0       0
ISHARES DJ US
HEALTHCARE SECTO     COMMON STOCK 464287762          5       100 Shares                 X                 2         0      0     100
ISHARES DOW JONES US
FINL SECT            PREFERRED
                     STOCK        464287788         14       340 Shares                 X                 1         0      0       0
ISHARES DOW JONES US
FINL SECT            PREFERRED
                     STOCK        464287788         30       705 Shares                         X         1         0      0       0
ISHARES DOW JONES US
FINL SECT            PREFERRED
                     STOCK        464287788         12       275 Shares                 X                 2         0      0       0
ISHARES DJ US ENERGY
SECTOR ID            COMMON STOCK 464287796         10       336 Shares                 X                 2         0      0     336
ISHARES S&P SMALLCAP
600 INDEX            PREFERRED
                     STOCK        464287804        856     19275 Shares                 X                 1         0      0       0
ISHARES S&P SMALLCAP
600 INDEX            PREFERRED
                     STOCK        464287804        261      5875 Shares                         X         1         0      0       0
ISHARES S&P SMALLCAP
600 INDEX            PREFERRED
                     STOCK        464287804         63      1426 Shares                 X                 2         0      0       0
ISHARES DJ US BASIC
MATERIALS            PREFERRED
                     STOCK        464287838         76      1750 Shares                 X                 1         0      0       0
ISHARES DJ US BASIC
MATERIALS            PREFERRED
                     STOCK        464287838         33       750 Shares                         X         1         0      0       0
ISHARES S&P EUROPE
350 INDEX F          PREFERRED
                     STOCK        464287861        107      3409 Shares                         X         1         0      0       0
ISHARES S&P EUROPE
350 INDEX F          PREFERRED
                     STOCK        464287861        113      3610 Shares                 X                 2         0      0       0
ISHARES S&P SMALLCAP
600 BARRA            PREFERRED
                     STOCK        464287887         39       848 Shares                 X                 1         0      0       0
ISHARES MORNINGSTAR
MID GR IND           PREFERRED
                     STOCK        464288307        135      2238 Shares                 X                 1         0      0       0
ISHARES IBOXX HI YLD
CORP BD F            PREFERRED
                     STOCK        464288513         30       374 Shares                         X         1         0      0       0
ISHARES BARCLAYS
CREDIT BOND F        PREFERRED
                     STOCK        464288620        488      4980 Shares                 X                 1         0      0       0
ISHARES DJ US HOME
CONSTRUCT F          COMMON STOCK 464288752        171     17400 Shares                 X                 2         0      0   17400
ISHARES DOW JONES US
HEALTHCAR            PREFERRED
                     STOCK        464288828         50      1300 Shares                 X                 2         0      0       0
ISHARES DJ US OIL
EQUIP & SV           PREFERRED
                     STOCK        464288844        148      4450 Shares                 X                 2         0      0       0
ISHARES MSCI EAFE
GRWTH INDEX          PREFERRED
                     STOCK        464288885         95      2064 Shares                         X         1         0      0       0
ISHARES S&P GSCI
COMMODITY - I        PREFERRED
                     STOCK        46428R107        155      5150 Shares                 X                 1         0      0       0
ISIS PHARMACEUTICALS
COM                  COMMON STOCK 464330109          6       350 Shares                 X                 1       350      0       0



                                    37 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
IVANHOE MINES LTD    COMMON STOCK 46579N103          3       550 Shares                 X                 1       550      0       0
JDS UNIPHASE CORP    COMMON STOCK 46612J507          1       125 Shares                 X                 1       125      0       0
JDS UNIPHASE CORP    COMMON STOCK 46612J507          1       186 Shares                 X                 2         0      0     186
JDA SOFTWARE GROUP
INC                  COMMON STOCK 46612K108         24      1625 Shares                 X                 1      1625      0       0
JDA SOFTWARE GROUP
INC                  COMMON STOCK 46612K108        533     35600 Shares                 X                 3     35600      0       0
JPMORGAN CHASE & CO  COMMON STOCK 46625H100       8940    262093 Shares                 X                 1    258801      0    3292
JPMORGAN CHASE & CO  COMMON STOCK 46625H100       4625    135603 Shares                         X         1    124097      0   11506
JPMORGAN CHASE & CO  COMMON STOCK 46625H100       8975    263132 Shares                 X                 2     45300      0  217832
JPMORGAN CHASE & CO  COMMON STOCK 46625H100        572     16772 Shares                 X                 3     12704      0    4068
JABIL CIRCUIT INC    COMMON STOCK 466313103          7      1000 Shares                 X                 1      1000      0       0
JABIL CIRCUIT INC    COMMON STOCK 466313103          1       105 Shares                         X         1       105      0       0
JABIL CIRCUIT INC    COMMON STOCK 466313103         49      6600 Shares                 X                 3      6600      0       0
JACOBS ENGINEERING
GROUP INC C          COMMON STOCK 469814107       1182     28075 Shares                 X                 1     26475      0    1600
JACOBS ENGINEERING
GROUP INC C          COMMON STOCK 469814107        163      3875 Shares                         X         1      3875      0       0
JETBLUE AIRWAYS
CORPORATION          COMMON STOCK 477143101          0       100 Shares                 X                 1       100      0       0
JETBLUE AIRWAYS
CORPORATION          COMMON STOCK 477143101          4       843 Shares                 X                 2         0      0     843
JOHNSON & JOHNSON    COMMON STOCK 478160104      25393    447063 Shares                 X                 1    440163      0    6900
JOHNSON & JOHNSON    COMMON STOCK 478160104      26348    463879 Shares                         X         1    447879      0   16000
JOHNSON & JOHNSON    COMMON STOCK 478160104       7103    125056 Shares                 X                 2     21145      0  103911
JOHNSON & JOHNSON    COMMON STOCK 478160104       2586     45532 Shares                 X                 3     45532      0       0
JOHNSON & JOHNSON    COMMON STOCK 478160104         11       200 Shares                 X                 4       200      0       0
JOHNSON CONTROLS INC
COM                  COMMON STOCK 478366107        520     23945 Shares                 X                 1     23945      0       0
JOHNSON CONTROLS INC
COM                  COMMON STOCK 478366107        153      7025 Shares                         X         1      7025      0       0
JOY GLOBAL
INCORPORATED         COMMON STOCK 481165108       2003     56084 Shares                 X                 1     55339      0     745
JOY GLOBAL
INCORPORATED         COMMON STOCK 481165108        360     10065 Shares                         X         1      9715      0     350
JOY GLOBAL
INCORPORATED         COMMON STOCK 481165108       1591     44550 Shares                 X                 3     44550      0       0
JUNIPER NETWORKS INC COMMON STOCK 48203R104        247     10460 Shares                 X                 1     10460      0       0
JUNIPER NETWORKS INC COMMON STOCK 48203R104         20       855 Shares                         X         1       855      0       0
KKR FINANCIAL
HOLDINGS LLC         COMMON STOCK 48248A306          6      6000 Shares                 X                 1      6000      0       0
KKR FINANCIAL
HOLDINGS LLC         COMMON STOCK 48248A306        565    606893 Shares                 X                 2     73871      0  533022
KT CORPORATION SP
ADR                  COMMON STOCK 48268K101          1        41 Shares                 X                 1        41      0       0
KADANT INC COM       COMMON STOCK 48282T104         11      1000 Shares                         X         1      1000      0       0
KANSAS LIFE INS CO
COM                  COMMON STOCK 484836101         35      1300 Shares                 X                 1      1300      0       0
KAYDON CORP          COMMON STOCK 486587108         37      1125 Shares                 X                 1      1125      0       0
KAYDON CORP          COMMON STOCK 486587108        829     25450 Shares                 X                 3     25450      0       0
KAYNE ANDERSON MLP
INVESTMENT           PREFERRED
                     STOCK        486606106         16       714 Shares                 X                 1         0      0       0
KELLOGG CO COM       COMMON STOCK 487836108        991     21272 Shares                 X                 1     21272      0       0



                                    38 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
KELLOGG CO COM       COMMON STOCK 487836108       1124     24127 Shares                         X         1     22930      0    1197
KENNAMETAL INC       COMMON STOCK 489170100         20      1025 Shares                 X                 1      1025      0       0
KENNAMETAL INC       COMMON STOCK 489170100          5       250 Shares                         X         1       250      0       0
KEYCORP NEW COM      COMMON STOCK 493267108         19      3698 Shares                 X                 1      3698      0       0
KEYCORP NEW COM      COMMON STOCK 493267108         12      2200 Shares                         X         1      2200      0       0
KEYCORP NEW COM      COMMON STOCK 493267108         24      4500 Shares                 X                 2         0      0    4500
KEYCORP NEW COM      COMMON STOCK 493267108         42      8000 Shares                 X                 3      8000      0       0
KIMBERLY CLARK CORP  COMMON STOCK 494368103       3776     72018 Shares                 X                 1     72018      0       0
KIMBERLY CLARK CORP  COMMON STOCK 494368103       2602     49632 Shares                         X         1     45832      0    3800
KIMBERLY CLARK CORP  COMMON STOCK 494368103        226      4312 Shares                 X                 2         0      0    4312
KIMBERLY CLARK CORP  COMMON STOCK 494368103          5       100 Shares                 X                 4       100      0       0
KIMCO REALTY CORP
(REIT)               COMMON STOCK 49446R109         12      1200 Shares                 X                 2         0      0       0
KINDER MORGAN ENERGY
PARTNERS             COMMON STOCK 494550106        224      4380 Shares                 X                 1      4380      0       0
KINDER MORGAN ENERGY
PARTNERS             COMMON STOCK 494550106         47       925 Shares                         X         1       925      0       0
KINDER MORGAN ENERGY
PARTNERS             COMMON STOCK 494550106      11488    224720 Shares                 X                 2     31770      0  192950
KINDER MORGAN
MANAGEMENT LLC       COMMON STOCK 49455U100        182      4020 Shares                 X                 1      4020      0       0
KINDER MORGAN
MANAGEMENT LLC       COMMON STOCK 49455U100         10       215 Shares                         X         1       215      0       0
KINDER MORGAN
MANAGEMENT LLC       COMMON STOCK 49455U100       4327     95801 Shares                 X                 2     19930      0   75871
KINETIC CONCEPTS INC COMMON STOCK 49460W208          4       150 Shares                 X                 1       150      0       0
KINROSS GOLD
CORPORATION          COMMON STOCK 496902404         12       669 Shares                 X                 1       669      0       0
KNOLOGY INC          COMMON STOCK 499183804        221     25642 Shares                 X                 2         0      0   25642
KOHLS CORP COM       COMMON STOCK 500255104        105      2449 Shares                 X                 1      2449      0       0
KOHLS CORP COM       COMMON STOCK 500255104        107      2510 Shares                         X         1      2510      0       0
KOHLS CORP COM       COMMON STOCK 500255104         64      1500 Shares                 X                 2         0      0    1500
KOHLS CORP COM       COMMON STOCK 500255104         14       335 Shares                 X                 3       335      0       0
KONINKLIJKE PHILIPS
ELEC N V N           COMMON STOCK 500472303          7       356 Shares                 X                 1       356      0       0
KONINKLIJKE PHILIPS
ELEC N V N           COMMON STOCK 500472303        239     13000 Shares                         X         1     13000      0       0
KOREA ELECTRIC POWER
CORP SP A            COMMON STOCK 500631106          0        24 Shares                 X                 1        24      0       0
KRAFT FOODS INC CL A COMMON STOCK 50075N104       6261    247094 Shares                 X                 1    245987      0    1107
KRAFT FOODS INC CL A COMMON STOCK 50075N104       2863    112977 Shares                         X         1    105056      0    7921
KRAFT FOODS INC CL A COMMON STOCK 50075N104        417     16463 Shares                 X                 2         0      0   16463
KRAFT FOODS INC CL A COMMON STOCK 50075N104        333     13129 Shares                 X                 3      9173      0    3956
KRAFT FOODS INC CL A COMMON STOCK 50075N104          3       100 Shares                 X                 4       100      0       0
KROGER CO            COMMON STOCK 501044101        175      7919 Shares                 X                 1      7919      0       0
KROGER CO            COMMON STOCK 501044101         15       675 Shares                         X         1       175      0     500
KROGER CO            COMMON STOCK 501044101          9       400 Shares                 X                 4       400      0       0
KUBOTA CORP-SPONS
ADR                  COMMON STOCK 501173207          2        46 Shares                 X                 1        46      0       0



                                    39 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
LKQ CORPORATION      COMMON STOCK 501889208        206     12525 Shares                 X                 1     12525      0       0
LKQ CORPORATION      COMMON STOCK 501889208       1764    107200 Shares                 X                 3    107200      0       0
LSI CORPORATION      COMMON STOCK 502161102          1       258 Shares                 X                 1       258      0       0
LSI CORPORATION      COMMON STOCK 502161102          0        22 Shares                         X         1        14      0       8
L 3 COMMUNICATIONS
CORP COM             COMMON STOCK 502424104          7       100 Shares                 X                 1       100      0       0
L 3 COMMUNICATIONS
CORP COM             COMMON STOCK 502424104         47       680 Shares                         X         1       680      0       0
L 3 COMMUNICATIONS
CORP COM             COMMON STOCK 502424104        257      3700 Shares                 X                 2         0      0    3700
LABORATORY CRP OF
AMER HLDGS C         COMMON STOCK 50540R409         32       474 Shares                 X                 1       474      0       0
LABORATORY CRP OF
AMER HLDGS C         COMMON STOCK 50540R409          3        40 Shares                         X         1        40      0       0
LABORATORY CRP OF
AMER HLDGS C         COMMON STOCK 50540R409       9044    133405 Shares                 X                 2     20960      0  112445
LADISH CO INC        COMMON STOCK 505754200          5       358 Shares                 X                 1       358      0       0
LADISH CO INC        COMMON STOCK 505754200         46      3539 Shares                 X                 3      3539      0       0
LAM RESH CORP        COMMON STOCK 512807108         63      2425 Shares                 X                 1      2425      0       0
LAM RESH CORP        COMMON STOCK 512807108        686     26400 Shares                 X                 3     26400      0       0
LAS VEGAS SANDS CORP COMMON STOCK 517834107          2       300 Shares                 X                 1       300      0       0
LASERCARD CORP       COMMON STOCK 51807U101          2       500 Shares                 X                 2         0      0     500
LAUDER ESTEE CO CL A COMMON STOCK 518439104       2619     80176 Shares                 X                 1     75976      0    4200
LAUDER ESTEE CO CL A COMMON STOCK 518439104        201      6165 Shares                         X         1      4965      0    1200
LAUDER ESTEE CO CL A COMMON STOCK 518439104        155      4750 Shares                 X                 3      2845      0    1905
LEAR CORP            COMMON STOCK 521865105          0        33 Shares                 X                 1        33      0       0
LEGGETT & PLATT INC  COMMON STOCK 524660107        141      9250 Shares                 X                 1      9250      0       0
LEGG MASON INC       COMMON STOCK 524901105        114      4680 Shares                 X                 1      4680      0       0
LEGG MASON INC       COMMON STOCK 524901105         56      2315 Shares                         X         1      2315      0       0
LEGG MASON INC       COMMON STOCK 524901105         14       560 Shares                 X                 2         0      0     560
LEVEL 3
COMMUNICATIONS INC   COMMON STOCK 52729N100          8      5000 Shares                 X                 1      5000      0       0
LEVEL 3
COMMUNICATIONS INC   COMMON STOCK 52729N100         72     35000 Shares                 X                 2     35000      0       0
LIBERTY ALL STAR
EQUITY FD            PREFERRED
                     STOCK        530158104        151     43633 Shares                         X         1         0      0       0
LIBERTY GLOBAL INC -
CL A                 COMMON STOCK 530555101          3       213 Shares                 X                 1       213      0       0
LIBERTY GLOBAL INC -
CL A                 COMMON STOCK 530555101         24      1512 Shares                         X         1      1512      0       0
LIBERTY GLOBAL
INC-CL B             COMMON STOCK 530555200         14       936 Shares                         X         1       936      0       0
LIBERTY GLOBAL INC
CL C                 COMMON STOCK 530555309          3       216 Shares                 X                 1       216      0       0
LIBERTY GLOBAL INC
CL C                 COMMON STOCK 530555309         39      2448 Shares                         X         1      2448      0       0
LIBERTY MEDIA HLDG
CORP - INTE          COMMON STOCK 53071M104         20      4000 Shares                 X                 1      4000      0       0
LIBERTY MEDIA HLDG
CORP - INTE          COMMON STOCK 53071M104         59     11840 Shares                         X         1     11840      0       0
LIBERTY MEDIA HLDG
CORP - INTE          COMMON STOCK 53071M203         23      4680 Shares                         X         1      4680      0       0
LIBERTY MEDIA HLDG
CORP - CAP           COMMON STOCK 53071M302          9       684 Shares                 X                 1       684      0       0
LIBERTY MEDIA HLDG
CORP - CAP           COMMON STOCK 53071M302         19      1368 Shares                         X         1      1368      0       0



                                    40 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
LIBERTY MEDIA HLDG
CORP - CAP           COMMON STOCK 53071M401         12       936 Shares                         X         1       936      0       0
LIBERTY MEDIA CORP -
ENT SER A            COMMON STOCK 53071M500        126      4736 Shares                 X                 1      4736      0       0
LIBERTY MEDIA CORP -
ENT SER A            COMMON STOCK 53071M500        226      8472 Shares                         X         1      8472      0       0
LIBERTY MEDIA CORP -
CL B                 COMMON STOCK 53071M609        101      3744 Shares                         X         1      3744      0       0
LIBERTY PROPERTY
TRUST (REIT)         COMMON STOCK 531172104         18       800 Shares                 X                 2         0      0       0
LIFEPOINT HOSPS INC
COM                  COMMON STOCK 53219L109         32      1200 Shares                 X                 1      1200      0       0
LIFEPOINT HOSPS INC
COM                  COMMON STOCK 53219L109        695     26475 Shares                 X                 3     26475      0       0
LILLY ELI & CO       COMMON STOCK 532457108       2485     71741 Shares                 X                 1     71741      0       0
LILLY ELI & CO       COMMON STOCK 532457108       3209     92631 Shares                         X         1     90386   1600     645
LILLY ELI & CO       COMMON STOCK 532457108        249      7200 Shares                 X                 2         0      0    7200
LILLY ELI & CO       COMMON STOCK 532457108        132      3821 Shares                 X                 3      2443      0    1378
LILLY ELI & CO       COMMON STOCK 532457108          3       100 Shares                 X                 4       100      0       0
LIMELIGHT NETWORKS
INC                  COMMON STOCK 53261M104         25      5630 Shares                 X                 1      5630      0       0
LIMELIGHT NETWORKS
INC                  COMMON STOCK 53261M104        615    139773 Shares                 X                 3    139773      0       0
LIMITED BRANDS INC   COMMON STOCK 532716107         55      4600 Shares                 X                 3      4600      0       0
LINCOLN NATIONAL
CORP                 COMMON STOCK 534187109        526     30545 Shares                 X                 1     27988      0    2557
LINCOLN NATIONAL
CORP                 COMMON STOCK 534187109        109      6359 Shares                         X         1      6359      0       0
LINCOLN NATIONAL
CORP                 COMMON STOCK 534187109        162      9400 Shares                 X                 2         0      0    9400
LINEAR TECHNOLOGY
CORP COM             COMMON STOCK 535678106        185      7905 Shares                 X                 1      7155      0     750
LINEAR TECHNOLOGY
CORP COM             COMMON STOCK 535678106         73      3140 Shares                         X         1      1500      0    1640
LINN ENERGY LLC      COMMON STOCK 536020100         45      2300 Shares                 X                 1      2300      0       0
LIZ CLAIBORNE INC    COMMON STOCK 539320101          1       400 Shares                         X         1       400      0       0
LLOYDS BANKING GROUP
PLC                  COMMON STOCK 539439109          0        16 Shares                 X                 1        16      0       0
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK 539830109       7974     98873 Shares                 X                 1     98673      0     200
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK 539830109       1942     24085 Shares                         X         1     23785      0     300
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK 539830109        992     12298 Shares                 X                 2         0      0   12298
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK 539830109        133      1655 Shares                 X                 3      1655      0       0
LOCKHEED MARTIN
CORPORATION CO       COMMON STOCK 539830109          8       100 Shares                 X                 4       100      0       0
LOEWS CORP           COMMON STOCK 540424108         74      2700 Shares                 X                 1      2700      0       0
LOEWS CORP           COMMON STOCK 540424108         99      3600 Shares                 X                 2         0      0    3600
LORILLARD INC        COMMON STOCK 544147101         47       700 Shares                 X                 3       700      0       0
LOWES COMPANIES INC  COMMON STOCK 548661107       3385    174371 Shares                 X                 1    169271      0    5100
LOWES COMPANIES INC  COMMON STOCK 548661107        319     16431 Shares                         X         1     13181      0    3250
LOWES COMPANIES INC  COMMON STOCK 548661107       1722     88695 Shares                 X                 3     85357      0    3338
LUBRIZOL CORP        COMMON STOCK 549271104        751     15876 Shares                         X         1     15876      0       0
LULULEMON ATHLETICA
INC-W/I              COMMON STOCK 550021109        241     18500 Shares                 X                 1     18500      0       0
LULULEMON ATHLETICA
INC-W/I              COMMON STOCK 550021109       2504    192200 Shares                 X                 3    192200      0       0



                                    41 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
M & T BANK CORP      COMMON STOCK 55261F104      77881   1529169 Shares                 X                 1   1517086      0   12083
M & T BANK CORP      COMMON STOCK 55261F104       7389    145087 Shares                         X         1     19995      0  125092
M & T BANK CORP      COMMON STOCK 55261F104          8       150 Shares                 X                 2         0      0     150
M & T BANK CORP      COMMON STOCK 55261F104          9       180 Shares                 X                 3       180      0       0
MBIA INC COM         COMMON STOCK 55262C100          0       100 Shares                 X                 1       100      0       0
MDU RES GROUP INC    COMMON STOCK 552690109         14       750 Shares                 X                 1       750      0       0
MEMC ELECTRONIC
MATERIALS INC        COMMON STOCK 552715104       1214     68172 Shares                 X                 1     68172      0       0
MEMC ELECTRONIC
MATERIALS INC        COMMON STOCK 552715104         12       675 Shares                         X         1       600      0      75
MEMC ELECTRONIC
MATERIALS INC        COMMON STOCK 552715104         11       620 Shares                 X                 3       620      0       0
MFA FINANCIAL INC    COMMON STOCK 55272X102         90     13000 Shares                 X                 2         0      0       0
MFS MULTIMARKET
INCOME TRUST         PREFERRED
                     STOCK        552737108         21      3600 Shares                 X                 1         0      0       0
MFS MUN INCOME TR SH
BEN INT              OTHER        552738106         15      2600 Shares                 X                 2         0      0       0
MFS GOVT MARKETS
INCOME TRUST         PREFERRED
                     STOCK        552939100         23      3200 Shares                 X                 1         0      0       0
MACY'S INC           COMMON STOCK 55616P104        144     12231 Shares                 X                 1     12231      0       0
MACY'S INC           COMMON STOCK 55616P104         23      1985 Shares                         X         1      1510      0     475
MACY'S INC           COMMON STOCK 55616P104          0        42 Shares                 X                 2         0      0      42
MACY'S INC           COMMON STOCK 55616P104         58      4900 Shares                 X                 3      4900      0       0
MAGELLAN MIDSTREAM
HOLDINGS             COMMON STOCK 55907R108         16       750 Shares                 X                 2         0      0     750
MAGELLAN MIDSTREAM
PARTNERS L.          COMMON STOCK 559080106         17       500 Shares                         X         1       500      0       0
MAGELLAN MIDSTREAM
PARTNERS L.          COMMON STOCK 559080106       5452    156850 Shares                 X                 2     18150      0  138700
MAGNA INTL INC CL A  COMMON STOCK 559222401          0         8 Shares                 X                 1         8      0       0
MAGNA INTL INC CL A  COMMON STOCK 559222401         21       500 Shares                         X         1       500      0       0
MANHATTAN ASSOCS INC COMMON STOCK 562750109         31      1675 Shares                 X                 1      1675      0       0
MANHATTAN ASSOCS INC COMMON STOCK 562750109        667     36625 Shares                 X                 3     36625      0       0
MANPOWER INC WIS     COMMON STOCK 56418H100         64      1500 Shares                 X                 1      1500      0       0
MANTECH
INTERNATIONAL CORP   COMMON STOCK 564563104         52      1200 Shares                 X                 1      1200      0       0
MANTECH
INTERNATIONAL CORP   COMMON STOCK 564563104       1271     29525 Shares                 X                 3     29525      0       0
MANULIFE FINANCIAL
CORP                 COMMON STOCK 56501R106        603     34739 Shares                 X                 1     34739      0       0
MANULIFE FINANCIAL
CORP                 COMMON STOCK 56501R106        444     25600 Shares                 X                 2         0      0   25600
MARATHON OIL CORP    COMMON STOCK 565849106        464     15408 Shares                 X                 1     15408      0       0
MARATHON OIL CORP    COMMON STOCK 565849106        177      5860 Shares                         X         1      5635      0     225
MARATHON OIL CORP    COMMON STOCK 565849106         87      2900 Shares                 X                 3      2900      0       0
MARATHON OIL CORP    COMMON STOCK 565849106         22       725 Shares                 X                 4       725      0       0
MARINER ENERGY INC   COMMON STOCK 56845T305          5       404 Shares                 X                 1       404      0       0
MARKEL CORP COM      COMMON STOCK 570535104         63       225 Shares                 X                 1       225      0       0
MARKEL CORP COM      COMMON STOCK 570535104          7        26 Shares                         X         1        26      0       0
MARKEL CORP COM      COMMON STOCK 570535104       2601      9235 Shares                 X                 2      2110      0    7125



                                    42 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
MARKET VECTORS GOLD
MINERS               PREFERRED
                     STOCK        57060U100         18       475 Shares                         X         1         0      0       0
MARKET VECTORS
AGRIBUSINESS ET      PREFERRED
                     STOCK        57060U605         14       400 Shares                 X                 2         0      0       0
MARKWEST ENERGY
PARTNERS LP          COMMON STOCK 570759100          4       200 Shares                         X         1       200      0       0
MARKWEST ENERGY
PARTNERS LP          COMMON STOCK 570759100         10       550 Shares                 X                 2         0      0     550
MARSH & MCLENNAN COS
INC COM              COMMON STOCK 571748102         44      2200 Shares                 X                 1      2200      0       0
MARSH & MCLENNAN COS
INC COM              COMMON STOCK 571748102         46      2275 Shares                         X         1      2275      0       0
MARSH & MCLENNAN COS
INC COM              COMMON STOCK 571748102         66      3300 Shares                 X                 3      3300      0       0
MARSHALL & ILSLEY
CORP                 COMMON STOCK 571837103         13      2617 Shares                 X                 1      2617      0       0
MARSHALL & ILSLEY
CORP                 COMMON STOCK 571837103         17      3600 Shares                 X                 3      3600      0       0
MARRIOTT INTL INC CL
A                    COMMON STOCK 571903202         35      1600 Shares                 X                 1      1600      0       0
MARRIOTT INTL INC CL
A                    COMMON STOCK 571903202         44      2006 Shares                         X         1      2006      0       0
MARRIOTT INTL INC CL
A                    COMMON STOCK 571903202        677     30689 Shares                 X                 2         0      0   30689
MARTIN MARIETTA
MATERIALS INC        COMMON STOCK 573284106         90      1147 Shares                 X                 1      1147      0       0
MARTIN MARIETTA
MATERIALS INC        COMMON STOCK 573284106          9       120 Shares                         X         1       120      0       0
MARVEL ENTERTAINMENT
INC                  COMMON STOCK 57383T103         41      1149 Shares                 X                 1      1149      0       0
MASCO CORP           COMMON STOCK 574599106         90      9442 Shares                 X                 1      9442      0       0
MASCO CORP           COMMON STOCK 574599106         71      7443 Shares                         X         1      7443      0       0
MASCO CORP           COMMON STOCK 574599106         32      3300 Shares                 X                 3      3300      0       0
MASSEY ENERGY CO COM COMMON STOCK 576206106         10       523 Shares                 X                 1       523      0       0
MASSEY ENERGY CO COM COMMON STOCK 576206106         29      1500 Shares                         X         1      1500      0       0
MASTEC INC           COMMON STOCK 576323109         57      4850 Shares                 X                 1      4850      0       0
MASTEC INC           COMMON STOCK 576323109       1254    106950 Shares                 X                 3    106950      0       0
MASTERCARD INC CL A  COMMON STOCK 57636Q104        885      5292 Shares                 X                 1      5292      0       0
MASTERCARD INC CL A  COMMON STOCK 57636Q104         12        71 Shares                         X         1        71      0       0
MASTERCARD INC CL A  COMMON STOCK 57636Q104       1047      6256 Shares                 X                 3      6256      0       0
MATRIX SERVICE
COMPANY              COMMON STOCK 576853105         12      1025 Shares                 X                 1      1025      0       0
MATRIX SERVICE
COMPANY              COMMON STOCK 576853105        263     22900 Shares                 X                 3     22900      0       0
MATTEL INC           COMMON STOCK 577081102         26      1650 Shares                 X                 1      1650      0       0
MATTEL INC           COMMON STOCK 577081102         64      3969 Shares                         X         1      3969      0       0
MAXIMUS INC COM      COMMON STOCK 577933104          8       200 Shares                 X                 1       200      0       0
MCAFEE INC           COMMON STOCK 579064106        330      7830 Shares                 X                 1      7830      0       0
MCAFEE INC           COMMON STOCK 579064106       2671     63300 Shares                 X                 3     63300      0       0
MCCORMICK & CO-NON
VTG SHS              COMMON STOCK 579780206       1716     52765 Shares                 X                 1     52765      0       0
MCCORMICK & CO-NON
VTG SHS              COMMON STOCK 579780206        314      9650 Shares                         X         1      9650      0       0
MCCORMICK & CO-NON
VTG SHS              COMMON STOCK 579780206         33      1000 Shares                 X                 3      1000      0       0
MCDERMOTT INTL INC   COMMON STOCK 580037109       2326    114549 Shares                 X                 1    114549      0       0
MCDERMOTT INTL INC   COMMON STOCK 580037109         29      1450 Shares                         X         1      1150      0     300



                                    43 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
MCDERMOTT INTL INC   COMMON STOCK 580037109         45      2200 Shares                 X                 2         0      0    2200
MCDERMOTT INTL INC   COMMON STOCK 580037109       3237    159355 Shares                 X                 3    157447      0    1908
MCDONALD'S
CORPORATION          COMMON STOCK 580135101       7883    137117 Shares                 X                 1    136292      0     825
MCDONALD'S
CORPORATION          COMMON STOCK 580135101       2286     39765 Shares                         X         1     36195      0    3570
MCDONALD'S
CORPORATION          COMMON STOCK 580135101        491      8535 Shares                 X                 2         0      0    8535
MCDONALD'S
CORPORATION          COMMON STOCK 580135101       1858     32319 Shares                 X                 3     30862      0    1457
MCDONALD'S
CORPORATION          COMMON STOCK 580135101         17       300 Shares                 X                 4       300      0       0
MC GRAW HILL
COMPANIES INC        COMMON STOCK 580645109        312     10352 Shares                 X                 1     10352      0       0
MC GRAW HILL
COMPANIES INC        COMMON STOCK 580645109        697     23145 Shares                         X         1     18745      0    4400
MCKESSON CORPORATION
COM                  COMMON STOCK 58155Q103        603     13700 Shares                 X                 1     13700      0       0
MCKESSON CORPORATION
COM                  COMMON STOCK 58155Q103         26       600 Shares                         X         1       450      0     150
MCKESSON CORPORATION
COM                  COMMON STOCK 58155Q103         82      1873 Shares                 X                 3       700      0    1173
MCMORAN EXPLORATION
CO                   COMMON STOCK 582411104          1       125 Shares                 X                 1       125      0       0
MEADWESTVACO CORP    COMMON STOCK 583334107          8       489 Shares                 X                 1       489      0       0
MEDAREX INC          COMMON STOCK 583916101         60      7175 Shares                 X                 1      7175      0       0
MEDAREX INC          COMMON STOCK 583916101       1318    157875 Shares                 X                 3    157875      0       0
MEDASSETS INC        COMMON STOCK 584045108         48      2475 Shares                 X                 1      2475      0       0
MEDASSETS INC        COMMON STOCK 584045108       1063     54700 Shares                 X                 3     54700      0       0
MEDCO HEALTH
SOLUTIONS INC        COMMON STOCK 58405U102       1170     25642 Shares                 X                 1     25642      0       0
MEDCO HEALTH
SOLUTIONS INC        COMMON STOCK 58405U102       1993     43703 Shares                         X         1     38751      0    4952
MEDCO HEALTH
SOLUTIONS INC        COMMON STOCK 58405U102        110      2412 Shares                 X                 2         0      0    2412
MEDCO HEALTH
SOLUTIONS INC        COMMON STOCK 58405U102          2        48 Shares                 X                 4        48      0       0
MEDIA GEN INC CL A   COMMON STOCK 584404107          1       400 Shares                 X                 2         0      0     400
MEDTRONIC INC        COMMON STOCK 585055106       2103     60282 Shares                 X                 1     59482      0     800
MEDTRONIC INC        COMMON STOCK 585055106       2787     79874 Shares                         X         1     75209      0    4665
MEDTRONIC INC        COMMON STOCK 585055106      11030    316120 Shares                 X                 2     71927      0  244193
MERCADOLIBRE INC     COMMON STOCK 58733R102         15       575 Shares                 X                 1       575      0       0
MERCK & CO INC COM   COMMON STOCK 589331107       5495    196542 Shares                 X                 1    196542      0       0
MERCK & CO INC COM   COMMON STOCK 589331107       3983    142467 Shares                         X         1    133837      0    8630
MERCK & CO INC COM   COMMON STOCK 589331107       2785     99600 Shares                 X                 2         0      0   99600
MERCK & CO INC COM   COMMON STOCK 589331107        146      5211 Shares                 X                 3      3357      0    1854
MERCK & CO INC COM   COMMON STOCK 589331107          6       200 Shares                 X                 4       200      0       0
MERCURY GENERAL CORP COMMON STOCK 589400100         53      1600 Shares                 X                 3      1600      0       0
MERIDIAN BIOSCIENCE
INC                  COMMON STOCK 589584101         25      1125 Shares                 X                 1      1125      0       0
MERIDIAN BIOSCIENCE
INC                  COMMON STOCK 589584101        552     24450 Shares                 X                 3     24450      0       0
METAVANTE
TECHNOLOGIES INC     COMMON STOCK 591407101         31      1200 Shares                 X                 3      1200      0       0
METLIFE CAP TR I     COMMON STOCK 59156R108       1436     47862 Shares                 X                 1     47862      0       0



                                    44 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
METLIFE CAP TR I     COMMON STOCK 59156R108         58      1921 Shares                         X         1      1921      0       0
METLIFE CAP TR I     COMMON STOCK 59156R108       1585     52820 Shares                 X                 3     51108      0    1712
METROPOLITAN HEALTH
NETWORKS I           COMMON STOCK 592142103          1       500 Shares                 X                 1       500      0       0
MICROSOFT CORP       COMMON STOCK 594918104      19395    815950 Shares                 X                 1    798095      0   17855
MICROSOFT CORP       COMMON STOCK 594918104       6576    276656 Shares                         X         1    247935      0   28721
MICROSOFT CORP       COMMON STOCK 594918104        689     29000 Shares                 X                 2     26800      0    2200
MICROSOFT CORP       COMMON STOCK 594918104       5560    233901 Shares                 X                 3    225142      0    8759
MICROSOFT CORP       COMMON STOCK 594918104         26      1100 Shares                 X                 4      1100      0       0
MICROSTRATEGY INC    COMMON STOCK 594972408          1        27 Shares                 X                 2         0      0      27
MICROCHIP TECHNOLOGY
INC COM              COMMON STOCK 595017104        227     10050 Shares                 X                 1     10050      0       0
MICROCHIP TECHNOLOGY
INC COM              COMMON STOCK 595017104         11       500 Shares                         X         1       500      0       0
MICROSEMI CORP       COMMON STOCK 595137100         53      3850 Shares                 X                 1      3850      0       0
MICROSEMI CORP       COMMON STOCK 595137100       1153     83525 Shares                 X                 3     83525      0       0
MID-AMERICA
APARTMENT COMMUNIT   COMMON STOCK 59522J103         55      1500 Shares                 X                 2         0      0       0
MID PENN BANCORP
INCORPORATED         COMMON STOCK 59540G107         25      1597 Shares                 X                 1      1597      0       0
MIDCAP SPDR TRUST
SERIES 1 S&P         PREFERRED
                     STOCK        595635103       1034      9832 Shares                 X                 1         0      0       0
MIDCAP SPDR TRUST
SERIES 1 S&P         PREFERRED
                     STOCK        595635103       1756     16695 Shares                         X         1         0      0       0
MIDCAP SPDR TRUST
SERIES 1 S&P         PREFERRED
                     STOCK        595635103        139      1325 Shares                 X                 2         0      0       0
MIDCAP SPDR TRUST
SERIES 1 S&P         PREFERRED
                     STOCK        595635103         48       455 Shares                 X                 3         0      0       0
MINE SAFETY
APPLIANCES CO        COMMON STOCK 602720104         16       650 Shares                 X                 1       650      0       0
MITSUBISHI UFJ
FINANCIAL GRP-A      COMMON STOCK 606822104          1       200 Shares                 X                 1       200      0       0
MITSUI & CO
LTD-SPONS ADR        COMMON STOCK 606827202          1         4 Shares                 X                 1         4      0       0
MOLEX INC            COMMON STOCK 608554101         53      3400 Shares                 X                 1      3400      0       0
MOLSON COORS BREWING
COMPANY              COMMON STOCK 60871R209         25       600 Shares                         X         1       600      0       0
MONOLITHIC POWER
SYSTEMS INC          COMMON STOCK 609839105         42      1875 Shares                 X                 1      1875      0       0
MONOLITHIC POWER
SYSTEMS INC          COMMON STOCK 609839105        925     41250 Shares                 X                 3     41250      0       0
MONSANTO COMPANY     COMMON STOCK 61166W101       3533     47521 Shares                 X                 1     47136      0     385
MONSANTO COMPANY     COMMON STOCK 61166W101       1040     13993 Shares                         X         1     12598      0    1395
MONSANTO COMPANY     COMMON STOCK 61166W101       2510     33755 Shares                 X                 3     32962      0     793
MONTGOMERY ST INCOME
SECS INC             PREFERRED
                     STOCK        614115103         67      4653 Shares                 X                 1         0      0       0
MOODYS CORP          COMMON STOCK 615369105        294     11152 Shares                 X                 1     10400      0     752
MOODYS CORP          COMMON STOCK 615369105        211      8025 Shares                         X         1      7800      0     225
MOODYS CORP          COMMON STOCK 615369105       1247     47300 Shares                 X                 3     47300      0       0
MOOG INC CL A        COMMON STOCK 615394202          2        75 Shares                 X                 1        75      0       0
MORGAN STANLEY GROUP
INC                  COMMON STOCK 617446448        915     32108 Shares                 X                 1     32108      0       0
MORGAN STANLEY GROUP
INC                  COMMON STOCK 617446448        442     15520 Shares                         X         1     15008      0     512
MORGAN STANLEY GROUP
INC                  COMMON STOCK 617446448        294     10304 Shares                 X                 3      7248      0    3056



                                    45 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
MORGAN STANLEY
EMERGING MKTS D      PREFERRED
                     STOCK        61744H105          4       500 Shares                 X                 1         0      0       0
MORGAN STANLEY HIGH
YLD FD INC           PREFERRED
                     STOCK        61744M104          1       300 Shares                 X                 1         0      0       0
MORGAN STANLEY
QUALITY MUNI IN      PREFERRED
                     STOCK        61745P668         19      1708 Shares                         X         1         0      0       0
MORGAN STAN DEAN
QUALITY MUN I        PREFERRED
                     STOCK        61745P734         15      1413 Shares                         X         1         0      0       0
MORGAN STANLEY INSD
MUNI INCOM           PREFERRED
                     STOCK        61745P791         36      2814 Shares                         X         1         0      0       0
THE MOSAIC COMPANY   COMMON STOCK 61945A107       3110     70200 Shares                 X                 1     70200      0       0
THE MOSAIC COMPANY   COMMON STOCK 61945A107        259      5840 Shares                         X         1      5365      0     475
THE MOSAIC COMPANY   COMMON STOCK 61945A107       2540     57347 Shares                 X                 3     55582      0    1765
MOTOROLA INC         COMMON STOCK 620076109        195     29466 Shares                 X                 1     29466      0       0
MOTOROLA INC         COMMON STOCK 620076109        258     38875 Shares                         X         1     38875      0       0
MOTOROLA INC         COMMON STOCK 620076109         29      4300 Shares                 X                 2         0      0    4300
MOTOROLA INC         COMMON STOCK 620076109          1       150 Shares                 X                 4       150      0       0
MURPHY OIL CORP      COMMON STOCK 626717102         43       800 Shares                 X                 1       800      0       0
MURPHY OIL CORP      COMMON STOCK 626717102         81      1500 Shares                         X         1      1500      0       0
MURPHY OIL CORP      COMMON STOCK 626717102         54      1000 Shares                 X                 2         0      0    1000
MYLAN INC            COMMON STOCK 628530107          7       533 Shares                 X                 1       533      0       0
MYLAN INC- PFD CONV
6.5% 11/15           PREFERRED
                     STOCK        628530206         43        50 Shares                 X                 2         0      0       0
MYRIAD GENETICS INC  COMMON STOCK 62855J104        716     20091 Shares                 X                 1     20091      0       0
MYRIAD GENETICS INC  COMMON STOCK 62855J104       3563     99958 Shares                 X                 3     99958      0       0
NBT BANCORP INC.
COM                  COMMON STOCK 628778102        103      4748 Shares                 X                 1      4748      0       0
NCR CORP             COMMON STOCK 62886E108          3       212 Shares                 X                 1       212      0       0
NCR CORP             COMMON STOCK 62886E108          9       724 Shares                         X         1       708      0      16
NCI INCORPORATED -
CLASS A              COMMON STOCK 62886K104         30       984 Shares                 X                 1       984      0       0
NCI INCORPORATED -
CLASS A              COMMON STOCK 62886K104        665     21875 Shares                 X                 3     21875      0       0
NII HOLDINGS
INC-CL B             COMMON STOCK 62913F201          6       300 Shares                 X                 1       300      0       0
NTT DOCOMO INC
SPONSORED ADR        COMMON STOCK 62942M201          1        81 Shares                 X                 1        81      0       0
NYSE EURONEXT        COMMON STOCK 629491101          1        50 Shares                 X                 1        50      0       0
NYSE EURONEXT        COMMON STOCK 629491101         22       800 Shares                         X         1       800      0       0
NASDAQ OMX GROUP     COMMON STOCK 631103108          4       200 Shares                 X                 1       200      0       0
NASDAQ PREMIUM
INCOME & GROWTH      PREFERRED
                     STOCK        63110R105        299     24400 Shares                 X                 2         0      0       0
NATL FUEL GAS CO     COMMON STOCK 636180101         32       900 Shares                         X         1       900      0       0
NATIONAL GRID GROUP
PLC-ADR              COMMON STOCK 636274300         19       415 Shares                 X                 1       415      0       0
NATIONAL GRID GROUP
PLC-ADR              COMMON STOCK 636274300          5       118 Shares                         X         1       118      0       0
NATIONAL-OILWELL
VARCO INC            COMMON STOCK 637071101       2393     73277 Shares                 X                 1     71202      0    2075
NATIONAL-OILWELL
VARCO INC            COMMON STOCK 637071101        288      8819 Shares                         X         1      5154      0    3665
NATIONAL-OILWELL
VARCO INC            COMMON STOCK 637071101       1404     42975 Shares                 X                 2     14325      0   28650
NATIONAL-OILWELL
VARCO INC            COMMON STOCK 637071101       2990     91578 Shares                 X                 3     91578      0       0



                                    46 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
NATIONAL PENN
BANCSHARES INC       COMMON STOCK 637138108         39      8356 Shares                 X                 1      8356      0       0
NATIONAL PENN
BANCSHARES INC       COMMON STOCK 637138108         37      8041 Shares                         X         1      8041      0       0
NATIONAL
SEMICONDUCTOR CORP
CO                   COMMON STOCK 637640103         11       850 Shares                 X                 1       850      0       0
NATIONAL
SEMICONDUCTOR CORP
CO                   COMMON STOCK 637640103         30      2390 Shares                         X         1      2390      0       0
NATIONWIDE HEALTH
PROPERTIES (         COMMON STOCK 638620104         26      1000 Shares                 X                 1         0      0       0
NATURAL RESOURCE
PARTNERS L P         COMMON STOCK 63900P103        525     25000 Shares                 X                 2         0      0   25000
NEENAH PAPER INC     COMMON STOCK 640079109          9      1020 Shares                 X                 1      1020      0       0
NEENAH PAPER INC     COMMON STOCK 640079109          0        18 Shares                         X         1        18      0       0
NETAPP INC           COMMON STOCK 64110D104         26      1341 Shares                 X                 1       641      0     700
NETAPP INC           COMMON STOCK 64110D104          5       275 Shares                         X         1       275      0       0
NETFLIX.COM INC      COMMON STOCK 64110L106         55      1325 Shares                 X                 1      1325      0       0
NETFLIX.COM INC      COMMON STOCK 64110L106        841     20350 Shares                 X                 3     20350      0       0
NEUROCRINE
BIOSCIENCES INC      COMMON STOCK 64125C109          2       500 Shares                         X         1         0      0     500
NEW JERSEY RESOURCES
CORP                 COMMON STOCK 646025106          5       148 Shares                         X         1       148      0       0
NEW YORK CMNTY BANCO COMMON STOCK 649445103         51      4800 Shares                 X                 3      4800      0       0
NEW YORK TIMES CO CL
A                    COMMON STOCK 650111107          7      1220 Shares                 X                 1      1220      0       0
NEWELL RUBBERMAID
INC COM              COMMON STOCK 651229106         22      2081 Shares                 X                 1      2081      0       0
NEWELL RUBBERMAID
INC COM              COMMON STOCK 651229106         95      9105 Shares                         X         1      9105      0       0
NEWELL RUBBERMAID
INC COM              COMMON STOCK 651229106         33      3200 Shares                 X                 3      3200      0       0
NEWFIELD EXPLORATION
CO                   COMMON STOCK 651290108         94      2879 Shares                 X                 1      2879      0       0
NEWFIELD EXPLORATION
CO                   COMMON STOCK 651290108          4       125 Shares                         X         1       125      0       0
NEWFIELD EXPLORATION
CO                   COMMON STOCK 651290108        634     19401 Shares                 X                 3     19401      0       0
NEWMARKET
CORPORATION          COMMON STOCK 651587107         94      1394 Shares                 X                 1      1394      0       0
NEWMARKET
CORPORATION          COMMON STOCK 651587107        523      7766 Shares                         X         1      7766      0       0
NEWMONT MINING       COMMON STOCK 651639106         24       591 Shares                 X                 1       540      0      51
NEWMONT MINING       COMMON STOCK 651639106         61      1500 Shares                         X         1       600      0     900
NEWS CORP INC-A      COMMON STOCK 65248E104       1179    129366 Shares                 X                 1    129356      0      10
NEWS CORP INC-A      COMMON STOCK 65248E104         21      2279 Shares                         X         1      2279      0       0
NEWS CORP INC-A      COMMON STOCK 65248E104        124     13571 Shares                 X                 3      8323      0    5248
NEWS CORP-CLASS B    COMMON STOCK 65248E203          8       765 Shares                 X                 1       765      0       0
NEWS CORP-CLASS B    COMMON STOCK 65248E203          5       450 Shares                         X         1       450      0       0
NEXEN INC            COMMON STOCK 65334H102          3       160 Shares                 X                 1       160      0       0
NICHOLAS-APPLEGATE
INTL & PREM          PREFERRED
                     STOCK        65370C108          7       600 Shares                         X         1         0      0       0
NICOR INC            COMMON STOCK 654086107         31       888 Shares                 X                 1       888      0       0
NICOR INC            COMMON STOCK 654086107          7       200 Shares                         X         1       200      0       0
NIKE INC CL B        COMMON STOCK 654106103       2258     43613 Shares                 X                 1     42618      0     995
NIKE INC CL B        COMMON STOCK 654106103        310      5980 Shares                         X         1      4730      0    1250



                                    47 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
NIKE INC CL B        COMMON STOCK 654106103         40       765 Shares                 X                 2         0      0     765
NIKE INC CL B        COMMON STOCK 654106103        684     13203 Shares                 X                 3     13203      0       0
NISOURCE INC         COMMON STOCK 65473P105         54      4621 Shares                 X                 1      4621      0       0
NISOURCE INC         COMMON STOCK 65473P105         23      1971 Shares                         X         1      1971      0       0
NISSAN MOTOR LTD
SPONS ADR            COMMON STOCK 654744408          1       115 Shares                 X                 1       115      0       0
NOKIA CORP SPONSORED
ADR                  COMMON STOCK 654902204        574     39378 Shares                 X                 1     39378      0       0
NOKIA CORP SPONSORED
ADR                  COMMON STOCK 654902204        367     25195 Shares                         X         1     24745      0     450
NOKIA CORP SPONSORED
ADR                  COMMON STOCK 654902204         54      3700 Shares                 X                 3      3700      0       0
NOBLE ENERGY INC     COMMON STOCK 655044105        309      5240 Shares                 X                 1      5240      0       0
NOBLE ENERGY INC     COMMON STOCK 655044105         24       400 Shares                         X         1       400      0       0
NOBLE ENERGY INC     COMMON STOCK 655044105       1653     28035 Shares                 X                 3     28035      0       0
NOMURA HLDGS INC     COMMON STOCK 65535H208          1       147 Shares                 X                 1       147      0       0
NORDSTROM INC COM    COMMON STOCK 655664100        832     41830 Shares                 X                 1     41830      0       0
NORDSTROM INC COM    COMMON STOCK 655664100          2       100 Shares                         X         1       100      0       0
NORDSTROM INC COM    COMMON STOCK 655664100       1687     84806 Shares                 X                 3     84806      0       0
NORFOLK SOUTHERN
CORP                 COMMON STOCK 655844108        953     25291 Shares                 X                 1     25091      0     200
NORFOLK SOUTHERN
CORP                 COMMON STOCK 655844108        667     17710 Shares                         X         1     15010      0    2700
NORFOLK SOUTHERN
CORP                 COMMON STOCK 655844108         17       450 Shares                 X                 3       450      0       0
NORTH AMERICAN
ENERGY               COMMON STOCK 656844107         33      5415 Shares                 X                 1      5415      0       0
NORTH AMERICAN
ENERGY               COMMON STOCK 656844107        729    119750 Shares                 X                 3    119750      0       0
NORTHEAST UTILITIES
COM                  COMMON STOCK 664397106         21       930 Shares                 X                 1       930      0       0
NORTHERN TRUST CORP
COM                  COMMON STOCK 665859104          1        16 Shares                 X                 1        16      0       0
NORTHROP GRUMMAN
CORP                 COMMON STOCK 666807102        240      5243 Shares                 X                 1      5243      0       0
NORTHROP GRUMMAN
CORP                 COMMON STOCK 666807102        102      2223 Shares                         X         1      2223      0       0
NORTHROP GRUMMAN
CORP                 COMMON STOCK 666807102        133      2900 Shares                 X                 3      2900      0       0
NORTHWEST NATURAL
GAS COMPANY          COMMON STOCK 667655104         49      1100 Shares                 X                 1      1100      0       0
NORTHWEST NATURAL
GAS COMPANY          COMMON STOCK 667655104         22       500 Shares                         X         1       500      0       0
NORTHWEST PIPE
COMPANY              COMMON STOCK 667746101         23       670 Shares                 X                 1       670      0       0
NORTHWESTERN CORP    COMMON STOCK 668074305          0         1 Shares                         X         1         1      0       0
NOVARTIS AG ADR      COMMON STOCK 66987V109       4177    102402 Shares                 X                 1    101315      0    1087
NOVARTIS AG ADR      COMMON STOCK 66987V109        624     15308 Shares                         X         1     12898      0    2410
NOVARTIS AG ADR      COMMON STOCK 66987V109        312      7637 Shares                 X                 3      5254      0    2383
NOVAVAX INC          COMMON STOCK 670002104         33     10000 Shares                 X                 1     10000      0       0
NOVELL INC           COMMON STOCK 670006105          3       650 Shares                 X                 1       650      0       0
NOVELL INC           COMMON STOCK 670006105         18      4000 Shares                         X         1      4000      0       0
NOVO-NORDISK A/S
SPONS ADR            COMMON STOCK 670100205        272      5000 Shares                 X                 2         0      0    5000
NU SKIN ENTERPRISES
INC                  COMMON STOCK 67018T105         12       800 Shares                 X                 2         0      0     800



                                    48 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
NSTAR COM            COMMON STOCK 67019E107         20       610 Shares                 X                 1       610      0       0
NUCOR CORP           COMMON STOCK 670346105        272      6120 Shares                 X                 1      4620      0    1500
NUCOR CORP           COMMON STOCK 670346105         87      1969 Shares                         X         1      1969      0       0
NUCRYST
PHARMACEUTICALS CORP COMMON STOCK 67035Q100          0       200 Shares                 X                 1       200      0       0
NUSTAR ENERGY LP     COMMON STOCK 67058H102         11       200 Shares                         X         1       200      0       0
NUSTAR GP HOLDINGS
LLC                  COMMON STOCK 67059L102         17       750 Shares                 X                 2         0      0     750
NUVEEN PA PREM
INCOME MUN FD 2      PREFERRED
                     STOCK        67061F101         35      3215 Shares                 X                 1         0      0       0
NUVEEN PA PREM
INCOME MUN FD 2      PREFERRED
                     STOCK        67061F101       1512    137734 Shares                         X         1         0      0       0
NUVEEN MARYLAND PREM
INC MUN F            PREFERRED
                     STOCK        67061Q107         27      2000 Shares                 X                 2         0      0       0
NUVEEN INVT QUALITY
MUNI FD              PREFERRED
                     STOCK        67062E103          4       333 Shares                         X         1         0      0       0
NUVEEN MUNICIPAL
ADVANTAGE FD         PREFERRED
                     STOCK        67062H106         13      1000 Shares                         X         1         0      0       0
NUVEEN INSD QUALITY
MUN FD               PREFERRED
                     STOCK        67062N103         17      1400 Shares                 X                 1         0      0       0
NUVEEN INSD QUALITY
MUN FD               PREFERRED
                     STOCK        67062N103          9       760 Shares                 X                 2         0      0       0
NUVEEN PERFORMANCE
PLUS MUNI F          PREFERRED
                     STOCK        67062P108         38      3000 Shares                 X                 1         0      0       0
NUVEEN PERFORMANCE
PLUS MUNI F          PREFERRED
                     STOCK        67062P108          5       390 Shares                         X         1         0      0       0
NUVEEN SELECT TAX-
FREE INC 2           PREFERRED
                     STOCK        67063C106        528     40000 Shares                         X         1         0      0       0
NVIDIA CORP COM      COMMON STOCK 67066G104          7       600 Shares                 X                 1       600      0       0
NUVEEN MARYLAND
DIVIDEND ADV M       PREFERRED
                     STOCK        67069R107         12       923 Shares                 X                 1         0      0       0
NUVEEN CA DVD ADV
MUNI FD 2            PREFERRED
                     STOCK        67069X104         34      2975 Shares                 X                 1         0      0       0
NUVEEN INSURED PREM
INC MUNI F           PREFERRED
                     STOCK        6706D8104         35      3100 Shares                 X                 2         0      0       0
NUVASIVE INC         COMMON STOCK 670704105         65      1451 Shares                 X                 1      1451      0       0
NUVASIVE INC         COMMON STOCK 670704105       1264     28356 Shares                 X                 3     28356      0       0
NUVEEN PA DIVIDEND
ADV MUNI FD          PREFERRED
                     STOCK        67070E103         11      1000 Shares                         X         1         0      0       0
NUVEEN MD DIV
ADVANTAGE MUN FD     PREFERRED
                     STOCK        67070V105         52      4059 Shares                 X                 1         0      0       0
NUVEEN MD DIV
ADVANTAGE MUN FD     PREFERRED
                     STOCK        67070V105         13      1000 Shares                 X                 2         0      0       0
NUVEEN QUALITY
PREFERRED INC F      PREFERRED
                     STOCK        67071S101         28      5000 Shares                 X                 2         0      0       0
NUVEEN QUALITY PFD
INCOME FD 2          PREFERRED
                     STOCK        67072C105         11      1735 Shares                 X                 1         0      0       0
NUVEEN QUALITY PFD
INCOME FD 2          PREFERRED
                     STOCK        67072C105         94     15000 Shares                 X                 2         0      0       0
NUVEEN QUALITY PFD
INCOME FD 3          PREFERRED
                     STOCK        67072W101          4       700 Shares                         X         1         0      0       0
NUVEEN PFD & CVRT
INCOME FUND          PREFERRED
                     STOCK        67073B106          6      1000 Shares                 X                 1         0      0       0
NUVEEN MULTI
STRATEGY INC & GR    PREFERRED
                     STOCK        67073D102         11      1860 Shares                 X                 1         0      0       0
NUVEEN MULTI
STRATEGY INC & GR    PREFERRED
                     STOCK        67073D102          3       500 Shares                         X         1         0      0       0
OGE ENERGY CORP COM  COMMON STOCK 670837103          8       300 Shares                 X                 1       300      0       0
OGE ENERGY CORP COM  COMMON STOCK 670837103         51      1810 Shares                         X         1      1810      0       0
NUVEEN MUNICIPAL
VALUE FUND           PREFERRED
                     STOCK        670928100         27      2963 Shares                 X                 1         0      0       0
NUVEEN MUNICIPAL
VALUE FUND           PREFERRED
                     STOCK        670928100         24      2594 Shares                         X         1         0      0       0
NUVEEN PA INVT
QUALITY MUN FD       PREFERRED
                     STOCK        670972108        106      9066 Shares                 X                 1         0      0       0



                                    49 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
NUVEEN PA INVT
QUALITY MUN FD       PREFERRED
                     STOCK        670972108         42      3600 Shares                         X         1         0      0       0
NUVEEN SELECT
QUALITY MUN FD       PREFERRED
                     STOCK        670973106          5       406 Shares                         X         1         0      0       0
NUVEEN QUALITY
INCOME MUNI FD       PREFERRED
                     STOCK        670977107          6       500 Shares                 X                 1         0      0       0
NUVEEN QUALITY
INCOME MUNI FD       PREFERRED
                     STOCK        670977107          3       210 Shares                         X         1         0      0       0
NUVEEN INSD MUNI
OPPORTUNITY          PREFERRED
                     STOCK        670984103          5       396 Shares                         X         1         0      0       0
NUVEEN INSD MUNI
OPPORTUNITY          PREFERRED
                     STOCK        670984103          6       500 Shares                 X                 2         0      0       0
NUVEEN PREMIER INSD
MUNI INC F           PREFERRED
                     STOCK        670987106          5       410 Shares                 X                 1         0      0       0
NUVEEN PREMIER INSD
MUNI INC F           PREFERRED
                     STOCK        670987106         13      1000 Shares                         X         1         0      0       0
NUVEEN PREMIER INSD
MUNI INC F           PREFERRED
                     STOCK        670987106         13      1050 Shares                 X                 2         0      0       0
OCCIDENTAL PETE CORP
COM                  COMMON STOCK 674599105       1038     15767 Shares                 X                 1     15767      0       0
OCCIDENTAL PETE CORP
COM                  COMMON STOCK 674599105        234      3551 Shares                         X         1      3551      0       0
OCCIDENTAL PETE CORP
COM                  COMMON STOCK 674599105       1790     27200 Shares                 X                 2      6450      0   20750
OCCIDENTAL PETE CORP
COM                  COMMON STOCK 674599105         33       500 Shares                 X                 3       500      0       0
OCEANEERING INTL INC
COM                  COMMON STOCK 675232102         36       800 Shares                 X                 1       800      0       0
OCH-ZIFF CAPITAL
MANAGEMENT GR        COMMON STOCK 67551U105         26      2900 Shares                 X                 1      2900      0       0
OCH-ZIFF CAPITAL
MANAGEMENT GR        COMMON STOCK 67551U105        564     63350 Shares                 X                 3     63350      0       0
OFFICEMAX INC        COMMON STOCK 67622P101          2       280 Shares                 X                 1       280      0       0
OLD DOMINION FREIGHT
LINE INC             COMMON STOCK 679580100         33       975 Shares                 X                 1       975      0       0
OLD DOMINION FREIGHT
LINE INC             COMMON STOCK 679580100        735     21875 Shares                 X                 3     21875      0       0
OLD NATIONAL BANCORP
COM                  COMMON STOCK 680033107         49      5000 Shares                 X                 1      5000      0       0
OLD REPUBLIC INTL
CORP COM             COMMON STOCK 680223104         25      2500 Shares                 X                 1      2500      0       0
OLIN CORP COM        COMMON STOCK 680665205         12      1050 Shares                 X                 1      1050      0       0
OLIN CORP COM        COMMON STOCK 680665205         12      1000 Shares                         X         1      1000      0       0
OMNICARE INC COM     COMMON STOCK 681904108          0        17 Shares                 X                 1        17      0       0
OMNICOM GROUP INC
COM                  COMMON STOCK 681919106        104      3290 Shares                 X                 1      3290      0       0
OMNICOM GROUP INC
COM                  COMMON STOCK 681919106         71      2250 Shares                         X         1      2250      0       0
OMNITURE INC         COMMON STOCK 68212S109         29      2325 Shares                 X                 1      2325      0       0
OMNITURE INC         COMMON STOCK 68212S109        774     61625 Shares                 X                 3     61625      0       0
ONCOTHYREON INC      COMMON STOCK 682324108          3       933 Shares                 X                 1       250      0     683
ONEOK INC            COMMON STOCK 682680103         24       800 Shares                 X                 1       800      0       0
ONEOK PARTNERS LP    COMMON STOCK 68268N103         69      1500 Shares                 X                 1      1500      0       0
ONEOK PARTNERS LP    COMMON STOCK 68268N103         41       900 Shares                         X         1       900      0       0
ONEOK PARTNERS LP    COMMON STOCK 68268N103         14       300 Shares                 X                 2         0      0     300
ONYX PHARMACEUTICALS
INC                  COMMON STOCK 683399109         25       875 Shares                 X                 1       875      0       0
ONYX PHARMACEUTICALS
INC                  COMMON STOCK 683399109        547     19350 Shares                 X                 3     19350      0       0
OPTIMAL GROUP INC -
CL A                 COMMON STOCK 68388R208          0       300 Shares                 X                 1       300      0       0
ORACLE CORPORATION
COM                  COMMON STOCK 68389X105       2697    125893 Shares                 X                 1    125893      0       0



                                    50 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ORACLE CORPORATION
COM                  COMMON STOCK 68389X105        553     25825 Shares                         X         1     24725      0    1100
ORACLE CORPORATION
COM                  COMMON STOCK 68389X105       1211     56500 Shares                 X                 2     31500      0   25000
ORACLE CORPORATION
COM                  COMMON STOCK 68389X105       1577     73585 Shares                 X                 3     73585      0       0
ORACLE CORPORATION
COM                  COMMON STOCK 68389X105         18       850 Shares                 X                 4       850      0       0
OPTIONSXPRESS
HOLDINGS INC         COMMON STOCK 684010101         17      1075 Shares                 X                 1      1075      0       0
OPTIONSXPRESS
HOLDINGS INC         COMMON STOCK 684010101        267     17225 Shares                 X                 3     17225      0       0
OPTIMER
PHARMACEUTICALS INC  COMMON STOCK 68401H104         26      1750 Shares                 X                 1      1750      0       0
OPTIMER
PHARMACEUTICALS INC  COMMON STOCK 68401H104        579     38700 Shares                 X                 3     38700      0       0
O'REILLY AUTOMOTIVE
INC COM              COMMON STOCK 686091109          1        23 Shares                 X                 1        23      0       0
OREXIGEN THERAP      COMMON STOCK 686164104        200     39125 Shares                 X                 3     39125      0       0
ORION MARINE GROUP
INC                  COMMON STOCK 68628V308         41      2155 Shares                 X                 1      2155      0       0
ORION MARINE GROUP
INC                  COMMON STOCK 68628V308        903     47500 Shares                 X                 3     47500      0       0
OSHKOSH CORPORATION  COMMON STOCK 688239201          3       200 Shares                 X                 1       200      0       0
OSIRIS THERAPEUTICS
INC                  COMMON STOCK 68827R108         21      1550 Shares                 X                 1      1550      0       0
OSIRIS THERAPEUTICS
INC                  COMMON STOCK 68827R108        451     33625 Shares                 X                 3     33625      0       0
OTELCO INC           COMMON STOCK 688823202          1        55 Shares                 X                 1        55      0       0
OXIGENE INC          COMMON STOCK 691828107         11      5000 Shares                 X                 1      5000      0       0
PAB BANKSHARES INC   COMMON STOCK 69313P101          5      2040 Shares                 X                 2         0      0    2040
P G & E CORP         COMMON STOCK 69331C108        109      2833 Shares                 X                 1      2833      0       0
P G & E CORP         COMMON STOCK 69331C108         81      2100 Shares                         X         1       600      0    1500
PHH CORPORATION      COMMON STOCK 693320202         14       750 Shares                 X                 1       750      0       0
P F CHANG'S CHINA
BISTRO INC           COMMON STOCK 69333Y108         30       950 Shares                 X                 1       950      0       0
P F CHANG'S CHINA
BISTRO INC           COMMON STOCK 69333Y108        668     20823 Shares                 X                 3     20823      0       0
PNC FINANCIAL
SERVICES GROUP I     COMMON STOCK 693475105       6493    167299 Shares                 X                 1    157503      0    9796
PNC FINANCIAL
SERVICES GROUP I     COMMON STOCK 693475105       2102     54160 Shares                         X         1     44456   4450    5254
PNC FINANCIAL
SERVICES GROUP I     COMMON STOCK 693475105        697     17968 Shares                 X                 2         0      0   17968
PNC FINANCIAL
SERVICES GROUP I     COMMON STOCK 693475105        124      3206 Shares                 X                 3      3206      0       0
PNC BANK CORP PFD
CONV 1.80 SE         PREFERRED
                     STOCK        693475501         12       194 Shares                 X                 1         0      0       0
PPG INDS INC         COMMON STOCK 693506107        410      9335 Shares                 X                 1      8535      0     800
PPG INDS INC         COMMON STOCK 693506107        581     13233 Shares                         X         1     12233      0    1000
PPG INDS INC         COMMON STOCK 693506107         53      1200 Shares                 X                 3      1200      0       0
PPL CORP COM         COMMON STOCK 69351T106       4413    133901 Shares                 X                 1    132601      0    1300
PPL CORP COM         COMMON STOCK 69351T106       1237     37523 Shares                         X         1     31656   2130    3737
PACCAR INC           COMMON STOCK 693718108        131      4050 Shares                 X                 2         0      0    4050
PACIFIC ETHANOL INC  COMMON STOCK 69423U107          0       500 Shares                 X                 1       500      0       0
PACKAGING CORP AMER  COMMON STOCK 695156109         19      1200 Shares                 X                 3      1200      0       0
PACTIV CORP COM      COMMON STOCK 695257105          2       100 Shares                 X                 1       100      0       0



                                    51 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
PAETEC HOLDING CORP  COMMON STOCK 695459107         27     10000 Shares                 X                 1      5000      0    5000
PALL CORP COM        COMMON STOCK 696429307         53      2000 Shares                         X         1      2000      0       0
PALL CORP COM        COMMON STOCK 696429307         40      1500 Shares                 X                 3      1500      0       0
PALM INC             COMMON STOCK 696643105         48      2875 Shares                 X                 1      2875      0       0
PALM INC             COMMON STOCK 696643105       1041     62850 Shares                 X                 3     62850      0       0
PAN AMERICAN SILVER
CORP                 COMMON STOCK 697900108          2       100 Shares                 X                 1       100      0       0
PANERA BREAD CO CL-A COMMON STOCK 69840W108        147      2955 Shares                 X                 1      2955      0       0
PANERA BREAD CO CL-A COMMON STOCK 69840W108       1871     37525 Shares                 X                 3     37525      0       0
PAPA JOHNS
INTERNATIONAL INC    COMMON STOCK 698813102          5       200 Shares                 X                 1       200      0       0
PARAMETRIC
TECHNOLOGY CORP      COMMON STOCK 699173209         37      3200 Shares                 X                 1      3200      0       0
PARAMETRIC
TECHNOLOGY CORP      COMMON STOCK 699173209        833     71275 Shares                 X                 3     71275      0       0
PAREXEL
INTERNATIONAL CORP   COMMON STOCK 699462107         26      1775 Shares                 X                 1      1775      0       0
PAREXEL
INTERNATIONAL CORP   COMMON STOCK 699462107        585     40725 Shares                 X                 3     40725      0       0
PARKER HANNIFIN CORP COMMON STOCK 701094104        155      3607 Shares                 X                 1      3607      0       0
PARKER HANNIFIN CORP COMMON STOCK 701094104         85      1982 Shares                         X         1      1982      0       0
PARTNER
COMMUNICATIONS CO
LTD-                 COMMON STOCK 70211M109          3       172 Shares                 X                 1       172      0       0
PATRIOT COAL CORP    COMMON STOCK 70336T104          1       220 Shares                 X                 1       220      0       0
PATRIOT COAL CORP    COMMON STOCK 70336T104          0        20 Shares                         X         1        20      0       0
PATTERSON COMPANIES
INC                  COMMON STOCK 703395103          5       210 Shares                         X         1       210      0       0
PATTERSON-UTI ENERGY
INC                  COMMON STOCK 703481101         12       950 Shares                 X                 1       950      0       0
PATTERSON-UTI ENERGY
INC                  COMMON STOCK 703481101         26      2000 Shares                 X                 3      2000      0       0
PAYCHEX INC COM      COMMON STOCK 704326107        877     34794 Shares                 X                 1     34794      0       0
PAYCHEX INC COM      COMMON STOCK 704326107         67      2650 Shares                         X         1      2650      0       0
PEABODY ENERGY CORP  COMMON STOCK 704549104       1761     58382 Shares                 X                 1     57932      0     450
PEABODY ENERGY CORP  COMMON STOCK 704549104        252      8370 Shares                         X         1      6425      0    1945
PEABODY ENERGY CORP  COMMON STOCK 704549104       1435     47600 Shares                 X                 3     47600      0       0
PEARSON PLC
SPONSORED ADR        COMMON STOCK 705015105          0        20 Shares                 X                 1        20      0       0
PEETS COFFEE & TEA
INC COM              COMMON STOCK 705560100          5       200 Shares                 X                 1       200      0       0
PENGROWTH ENERGY
TRUST                COMMON STOCK 706902509          2       200 Shares                 X                 1       200      0       0
PENGROWTH ENERGY
TRUST                COMMON STOCK 706902509         46      5800 Shares                 X                 2         0      0    5800
PENN NATL GAMING INC COMMON STOCK 707569109         23       775 Shares                 X                 1       775      0       0
PENN NATL GAMING INC COMMON STOCK 707569109        489     16800 Shares                 X                 3     16800      0       0
PENN VA RESOURCE
PARTNERS LP          COMMON STOCK 707884102         14      1000 Shares                         X         1      1000      0       0
PENNWEST ENERGY
TRUST                COMMON STOCK 707885109         79      6210 Shares                         X         1      6210      0       0
PENNWEST ENERGY
TRUST                COMMON STOCK 707885109         46      3650 Shares                 X                 2         0      0    3650
PENN VIRGINIA GP
HOLDINGS LP          COMMON STOCK 70788P105         11       850 Shares                 X                 2         0      0     850
PENNEY JC CO INC     COMMON STOCK 708160106         76      2649 Shares                 X                 1      2649      0       0



                                    52 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
PENNEY JC CO INC     COMMON STOCK 708160106         40      1408 Shares                         X         1      1408      0       0
PENNEY JC CO INC     COMMON STOCK 708160106         66      2302 Shares                 X                 3      2302      0       0
PENNICHUCK
CORPORATION NEW      COMMON STOCK 708254206         14       600 Shares                 X                 1       600      0       0
PENNS WOODS BANCORP
INC.                 COMMON STOCK 708430103         29      1000 Shares                 X                 1         0      0    1000
PENNS WOODS BANCORP
INC.                 COMMON STOCK 708430103        257      8817 Shares                 X                 3      8817      0       0
PENN ESTATE INV TR
(REIT)               COMMON STOCK 709102107         11      2200 Shares                 X                 1         0      0       0
PENTAIR INC COM      COMMON STOCK 709631105         20       800 Shares                 X                 1       800      0       0
PENTAIR INC COM      COMMON STOCK 709631105        200      7800 Shares                         X         1      7800      0       0
PEPCO HOLDINGS INC   COMMON STOCK 713291102        917     68222 Shares                 X                 1     66696      0    1526
PEPCO HOLDINGS INC   COMMON STOCK 713291102        190     14114 Shares                         X         1     11814      0    2300
PEPCO HOLDINGS INC   COMMON STOCK 713291102         24      1793 Shares                 X                 2         0      0    1793
PEPSI BOTTLING GRP   COMMON STOCK 713409100         20       600 Shares                 X                 3       600      0       0
PEPSIAMERICAS INC
COM                  COMMON STOCK 71343P200          0         4 Shares                 X                 1         4      0       0
PEPSIAMERICAS INC
COM                  COMMON STOCK 71343P200          8       300 Shares                         X         1       300      0       0
PEPSICO INC COM      COMMON STOCK 713448108      22074    401630 Shares                 X                 1    397680      0    3950
PEPSICO INC COM      COMMON STOCK 713448108      12787    232654 Shares                         X         1    211451      0   21203
PEPSICO INC COM      COMMON STOCK 713448108       5908    107502 Shares                 X                 2     17975      0   89527
PEPSICO INC COM      COMMON STOCK 713448108       3987     72553 Shares                 X                 3     70254      0    2299
PEPSICO INC COM      COMMON STOCK 713448108          8       150 Shares                 X                 4       150      0       0
PERKINELMER INC COM  COMMON STOCK 714046109          9       505 Shares                 X                 1       505      0       0
PERKINELMER INC COM  COMMON STOCK 714046109         70      4000 Shares                         X         1      4000      0       0
PERMA-FIX
ENVIRONMENTAL SVCS   COMMON STOCK 714157104        702    290000 Shares                 X                 2         0      0  290000
PERRIGO COMPANY      COMMON STOCK 714290103        187      6726 Shares                 X                 1      6726      0       0
PERRIGO COMPANY      COMMON STOCK 714290103       1595     57424 Shares                 X                 3     57424      0       0
PETMED EXPRESS INC   COMMON STOCK 716382106         12       800 Shares                 X                 1       800      0       0
PETRO-CANADA         COMMON STOCK 71644E102          1        34 Shares                 X                 1        34      0       0
PETRO-CANADA         COMMON STOCK 71644E102         61      1600 Shares                         X         1      1600      0       0
PETROCHINA CO LTD
ADR                  COMMON STOCK 71646E100         14       125 Shares                         X         1       125      0       0
PETROHAWK ENERGY
CORP                 COMMON STOCK 716495106        108      4850 Shares                 X                 1      4850      0       0
PETE & RES CORP COM  COMMON STOCK 716549100         13       625 Shares                 X                 1       625      0       0
PETROLEO BRASILEIRO
SA ADR               COMMON STOCK 71654V101          1        17 Shares                 X                 1        17      0       0
PETROLEO BRASILEIRO
SA ADR               COMMON STOCK 71654V101         29       880 Shares                 X                 2         0      0     880
PETROLEO BRASILEIRO
SA SPNS AD           COMMON STOCK 71654V408          2        58 Shares                 X                 1        58      0       0
PETSMART INC         COMMON STOCK 716768106        263     12260 Shares                 X                 1     12260      0       0
PETSMART INC         COMMON STOCK 716768106         57      2640 Shares                         X         1      2640      0       0
PETSMART INC         COMMON STOCK 716768106        431     20075 Shares                 X                 3     20075      0       0
PFIZER INC           COMMON STOCK 717081103       9749    649954 Shares                 X                 1    641266      0    8688



                                    53 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
PFIZER INC           COMMON STOCK 717081103       6347    423144 Shares                         X         1    409729    600   12815
PFIZER INC           COMMON STOCK 717081103       2984    198932 Shares                 X                 2     31061      0  167871
PFIZER INC           COMMON STOCK 717081103        187     12461 Shares                 X                 3     12461      0       0
PFIZER INC           COMMON STOCK 717081103         11       750 Shares                 X                 4       750      0       0
PHARMACEUTICAL
HOLDERS TRUST        PREFERRED
                     STOCK        71712A206         30       500 Shares                         X         1         0      0       0
PHILIP MORRIS INTL
INC                  COMMON STOCK 718172109      12657    290158 Shares                 X                 1    287233      0    2925
PHILIP MORRIS INTL
INC                  COMMON STOCK 718172109       6159    141204 Shares                         X         1    134629      0    6575
PHILIP MORRIS INTL
INC                  COMMON STOCK 718172109       2104     48240 Shares                 X                 2         0      0   48240
PHILIP MORRIS INTL
INC                  COMMON STOCK 718172109       2591     59421 Shares                 X                 3     59421      0       0
PHOENIX COS INC COM  COMMON STOCK 71902E109          3      1745 Shares                 X                 1      1745      0       0
PHOENIX COS INC COM  COMMON STOCK 71902E109          2      1256 Shares                         X         1      1256      0       0
PHOENIX COS INC COM  COMMON STOCK 71902E109          4      2574 Shares                 X                 2         0      0    2574
PIEDMONT NAT GAS INC COMMON STOCK 720186105         53      2180 Shares                 X                 1      2180      0       0
PIEDMONT NAT GAS INC COMMON STOCK 720186105         10       400 Shares                         X         1       400      0       0
PIMCO MUNICIPAL
INCOME FUND          PREFERRED
                     STOCK        72200R107          1        71 Shares                 X                 1         0      0       0
PIMCO MUNICIPAL
INCOME FUND          PREFERRED
                     STOCK        72200R107         11      1000 Shares                 X                 2         0      0       0
PIMCO MUNICIPAL
INCOME FUND II       PREFERRED
                     STOCK        72201A103         13      1335 Shares                         X         1         0      0       0
PINNACLE DATA
SYSTEMS INC          COMMON STOCK 723454104          0       300 Shares                 X                 1       300      0       0
PINNACLE WEST
CAPITAL CORP         COMMON STOCK 723484101          6       200 Shares                 X                 1       200      0       0
PINNACLE WEST
CAPITAL CORP         COMMON STOCK 723484101          3       100 Shares                         X         1       100      0       0
PIONEER HIGH INCOME
TRUST                PREFERRED
                     STOCK        72369H106         38      3392 Shares                         X         1         0      0       0
PIONEER MUNICIPAL HI
INC ADV T            PREFERRED
                     STOCK        723762100         20      2000 Shares                 X                 1         0      0       0
PIONEER NATURAL
RESOURCES CO         COMMON STOCK 723787107          1        55 Shares                 X                 1        55      0       0
PIPER JAFFRAY
COMPANIES INC        COMMON STOCK 724078100          7       169 Shares                 X                 1       169      0       0
PIPER JAFFRAY
COMPANIES INC        COMMON STOCK 724078100          1        16 Shares                         X         1        16      0       0
PITNEY BOWES INC COM COMMON STOCK 724479100        144      6550 Shares                 X                 1      6550      0       0
PITNEY BOWES INC COM COMMON STOCK 724479100         79      3600 Shares                         X         1      3600      0       0
PITNEY BOWES INC COM COMMON STOCK 724479100         92      4225 Shares                 X                 3      4225      0       0
PITTSBURGH & WEST
VIRGINIA RR          COMMON STOCK 724819107          3       250 Shares                         X         1         0      0       0
PIZZA INN INC        COMMON STOCK 725848105          1       325 Shares                 X                 1       325      0       0
PLAINS ALL AMERICAN
PIPELINE L P         COMMON STOCK 726503105       9376    220347 Shares                 X                 2     26200      0  194147
PLAINS EXPLORATION &
PRODUCT C            COMMON STOCK 726505100          1        22 Shares                 X                 1        22      0       0
PLANTRONICS INC COM
NEW                  COMMON STOCK 727493108         24      1250 Shares                 X                 1      1250      0       0
PLANTRONICS INC COM
NEW                  COMMON STOCK 727493108        713     37675 Shares                 X                 3     37675      0       0
PLUG POWER INC COM   COMMON STOCK 72919P103          0       500 Shares                 X                 1       500      0       0
PLUM CREEK TIMBER CO
INC                  COMMON STOCK 729251108        142      4780 Shares                 X                 1         0      0       0
PLUM CREEK TIMBER CO
INC                  COMMON STOCK 729251108         52      1750 Shares                 X                 2         0      0       0



                                    54 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
POLO RALPH LAUREN
CORPORATION          COMMON STOCK 731572103          5        85 Shares                 X                 1        85      0       0
PONIARD
PHARMACEUTICALS INC  COMMON STOCK 732449301         20      3275 Shares                 X                 1      3275      0       0
PONIARD
PHARMACEUTICALS INC  COMMON STOCK 732449301        432     72300 Shares                 X                 3     72300      0       0
PORTUGAL TELECOM
SGPS S A SPON        COMMON STOCK 737273102        134     13765 Shares                 X                 1     13765      0       0
POTASH CORP OF
SASKATCHEWAN IN      COMMON STOCK 73755L107       1879     20193 Shares                 X                 1     20193      0       0
POTASH CORP OF
SASKATCHEWAN IN      COMMON STOCK 73755L107         37       396 Shares                         X         1       396      0       0
POTASH CORP OF
SASKATCHEWAN IN      COMMON STOCK 73755L107        156      1672 Shares                 X                 3      1027      0     645
POWERSHARES QQQ      PREFERRED
                     STOCK        73935A104        980     26950 Shares                 X                 1         0      0       0
POWERSHARES QQQ      PREFERRED
                     STOCK        73935A104       1957     53804 Shares                         X         1         0      0       0
POWERSHARES QQQ      PREFERRED
                     STOCK        73935A104        113      3100 Shares                 X                 2         0      0       0
POWERSHARES DB
COMMODITY INDEX      PREFERRED
                     STOCK        73935S105        226      9973 Shares                 X                 1         0      0       0
POWERSHARES DWA
TECHNICAL LDRS       PREFERRED
                     STOCK        73935X153         86      5916 Shares                 X                 1         0      0       0
POWERSHARES
FINANCIAL PREFERRE   PREFERRED
                     STOCK        73935X229        218     15000 Shares                 X                 2         0      0       0
POWERSHARES GLOBAL
WATER PORTF          COMMON STOCK 73935X575         19      1300 Shares                 X                 1      1300      0       0
POWERSHARES DYNAMIC
MID CAP GR           PREFERRED
                     STOCK        73935X807        122      8625 Shares                 X                 1         0      0       0
POWERSHARES DYN
BIOTECH & GENO       PREFERRED
                     STOCK        73935X856         84      6000 Shares                         X         1         0      0       0
POWERSHARES DB OIL
FUND                 PREFERRED
                     STOCK        73936B507         17       675 Shares                         X         1         0      0       0
POWERSHARES GLOBAL
WATER PORTF          PREFERRED
                     STOCK        73936T623         97      6500 Shares                 X                 2         0      0       0
PRAXAIR INC COM      COMMON STOCK 74005P104        531      7466 Shares                 X                 1      7466      0       0
PRAXAIR INC COM      COMMON STOCK 74005P104        199      2806 Shares                         X         1      2806      0       0
PRAXAIR INC COM      COMMON STOCK 74005P104       1530     21525 Shares                 X                 2         0      0   21525
PRAXAIR INC COM      COMMON STOCK 74005P104        708      9970 Shares                 X                 3      9970      0       0
PRECISION CASTPARTS
CORP COM             COMMON STOCK 740189105       2775     37995 Shares                 X                 1     37995      0       0
PRECISION CASTPARTS
CORP COM             COMMON STOCK 740189105         14       185 Shares                         X         1       185      0       0
PRECISION CASTPARTS
CORP COM             COMMON STOCK 740189105       2812     38485 Shares                 X                 3     37163      0    1322
PRECISION DRILLING
TRUST                COMMON STOCK 740215108          9      1828 Shares                         X         1      1828      0       0
PRICE T ROWE GROUP
INC COM              COMMON STOCK 74144T108       3414     81931 Shares                 X                 1     81931      0       0
PRICE T ROWE GROUP
INC COM              COMMON STOCK 74144T108       1268     30435 Shares                         X         1     29045      0    1390
PRICE T ROWE GROUP
INC COM              COMMON STOCK 74144T108         83      2000 Shares                 X                 2         0      0    2000
PRICE T ROWE GROUP
INC COM              COMMON STOCK 74144T108       2512     60270 Shares                 X                 3     60270      0       0
PROCTER & GAMBLE CO
COM                  COMMON STOCK 742718109      29743    582045 Shares                 X                 1    578983      0    3062
PROCTER & GAMBLE CO
COM                  COMMON STOCK 742718109      26719    522879 Shares                         X         1    422241      0  100638
PROCTER & GAMBLE CO
COM                  COMMON STOCK 742718109      16536    323600 Shares                 X                 2     32184      0  291416
PROCTER & GAMBLE CO
COM                  COMMON STOCK 742718109       3928     76850 Shares                 X                 3     73409      0    3441
PROCTER & GAMBLE CO
COM                  COMMON STOCK 742718109         15       295 Shares                 X                 4       295      0       0
PROGRESS ENERGY INC
COM                  COMMON STOCK 743263105        267      7060 Shares                 X                 1      6460      0     600
PROGRESS ENERGY INC
COM                  COMMON STOCK 743263105        115      3035 Shares                         X         1      3035      0       0



                                    55 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
PROGRESSIVE CORP COM COMMON STOCK 743315103         60      4000 Shares                 X                 1      4000      0       0
PROLOGIS (REIT)      COMMON STOCK 743410102          5       669 Shares                 X                 1         0      0       0
PROLOGIS (REIT)      COMMON STOCK 743410102          8      1039 Shares                 X                 2         0      0       0
ULTRASHORT
FINANCIALS PROSHARE  PREFERRED
                     STOCK        74347R628         46      1100 Shares                 X                 1         0      0       0
ULTRASHORT
FINANCIALS PROSHARE  PREFERRED
                     STOCK        74347R628         44      1060 Shares                         X         1         0      0       0
ULTRA FINANCIALS
PROSHARES            PREFERRED
                     STOCK        74347R743          8      2000 Shares                 X                 1         0      0       0
ULTRASHORT S&P500
PROSHARES            PREFERRED
                     STOCK        74347R883         67      1215 Shares                         X         1         0      0       0
PROVIDENCE &
WORCESTER RR CO      COMMON STOCK 743737108          1       125 Shares                 X                 1       125      0       0
PROVIDENT ENERGY
TRUST UNITS          COMMON STOCK 74386K104          1       200 Shares                 X                 1       200      0       0
PROVIDENT ENERGY
TRUST UNITS          COMMON STOCK 74386K104          8      1700 Shares                         X         1      1700      0       0
PROVIDENT FINANCIAL
SERVICES I           COMMON STOCK 74386T105          5       600 Shares                 X                 1       600      0       0
PROVIDENT NEW YORK
BANCORP              COMMON STOCK 744028101         18      2225 Shares                 X                 1      2225      0       0
PRUDENTIAL FINANCIAL
INC                  COMMON STOCK 744320102        240      6449 Shares                 X                 1      6105      0     344
PRUDENTIAL FINANCIAL
INC                  COMMON STOCK 744320102         41      1113 Shares                         X         1      1113      0       0
PSYCHIATRIC
SOLUTIONS INC        COMMON STOCK 74439H108       2176     95690 Shares                 X                 1     95690      0       0
PSYCHIATRIC
SOLUTIONS INC        COMMON STOCK 74439H108        183      8050 Shares                         X         1      6875      0    1175
PSYCHIATRIC
SOLUTIONS INC        COMMON STOCK 74439H108        220      9686 Shares                 X                 3      5625      0    4061
PUBLIC SVC
ENTERPRISE GROUP IN  COMMON STOCK 744573106        173      5316 Shares                 X                 1      5316      0       0
PUBLIC SVC
ENTERPRISE GROUP IN  COMMON STOCK 744573106        258      7904 Shares                         X         1      7904      0       0
PUBLIC STORAGE INC
COM                  COMMON STOCK 74460D109          4        56 Shares                 X                 1         0      0       0
PUBLIC STORAGE-DEP
SHARES A             COMMON STOCK 74460D729         35      1400 Shares                 X                 2         0      0       0
PULTE HOMES INC COM  COMMON STOCK 745867101         53      6000 Shares                 X                 2         0      0    6000
PUTNAM PREMIER
INCOME TRUST         PREFERRED
                     STOCK        746853100          1       114 Shares                 X                 1         0      0       0
QLT INC              COMMON STOCK 746927102          4      2000 Shares                 X                 1      2000      0       0
QLOGIC CORP          COMMON STOCK 747277101          4       306 Shares                 X                 1       306      0       0
QUALCOMM INC COM     COMMON STOCK 747525103       8212    181692 Shares                 X                 1    181692      0       0
QUALCOMM INC COM     COMMON STOCK 747525103       1384     30623 Shares                         X         1     30223      0     400
QUALCOMM INC COM     COMMON STOCK 747525103         27       600 Shares                 X                 2         0      0     600
QUALCOMM INC COM     COMMON STOCK 747525103       4011     88729 Shares                 X                 3     85474      0    3255
QUALITY SYSTEMS
INCORPORATED         COMMON STOCK 747582104         28       500 Shares                 X                 1       500      0       0
QUALITY SYSTEMS
INCORPORATED         COMMON STOCK 747582104        638     11200 Shares                 X                 3     11200      0       0
QUANTA SERVICES INC
COM                  COMMON STOCK 74762E102       1083     46818 Shares                 X                 1     46103      0     715
QUANTA SERVICES INC
COM                  COMMON STOCK 74762E102          9       375 Shares                         X         1         0      0     375
QUANTA SVCS INC      COMMON STOCK 74762EAC6         60      2600 Shares                 X                 3      2600      0       0
QUEST DIAGNOSTICS
INC                  COMMON STOCK 74834L100        342      6060 Shares                 X                 1      6060      0       0
QUEST DIAGNOSTICS
INC                  COMMON STOCK 74834L100        285      5048 Shares                         X         1      4748      0     300
QUEST DIAGNOSTICS
INC                  COMMON STOCK 74834L100        113      2000 Shares                 X                 2         0      0    2000



                                    56 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
QUESTAR CORP COM     COMMON STOCK 748356102         37      1200 Shares                 X                 1      1200      0       0
QUESTAR CORP COM     COMMON STOCK 748356102        118      3800 Shares                         X         1      3800      0       0
QUESTAR CORP COM     COMMON STOCK 748356102         62      2000 Shares                 X                 2         0      0    2000
QUEST CAPITAL CORP   COMMON STOCK 74835U109          1      1000 Shares                 X                 1      1000      0       0
QUESTCOR
PHARMACEUTICALS INC  COMMON STOCK 74835Y101         10      2000 Shares                 X                 1      2000      0       0
QUIXOTE CORP         COMMON STOCK 749056107          1       300 Shares                 X                 1       300      0       0
QWEST COMMUNICATIONS
INTL INC             COMMON STOCK 749121109         13      3224 Shares                 X                 1      3224      0       0
QWEST COMMUNICATIONS
INTL INC             COMMON STOCK 749121109          6      1564 Shares                         X         1      1354      0     210
QWEST COMMUNICATIONS
INTL INC             COMMON STOCK 749121109        788    189664 Shares                 X                 2     97955      0   91709
RAIT FINANCIAL TRUST COMMON STOCK 749227104          1       500 Shares                         X         1         0      0       0
RPM INTL INC         COMMON STOCK 749685103         22      1600 Shares                         X         1      1600      0       0
RPM INTL INC         COMMON STOCK 749685103        313     22300 Shares                 X                 2     11300      0   11000
RPM INTL INC         COMMON STOCK 749685103         35      2500 Shares                 X                 3      2500      0       0
RTI BIOLOGICS INC    COMMON STOCK 74975N105         29      6800 Shares                 X                 1      6800      0       0
RTI BIOLOGICS INC    COMMON STOCK 74975N105        645    150225 Shares                 X                 3    150225      0       0
RF MICRO DEVICES INC
COM                  COMMON STOCK 749941100        308     81828 Shares                 X                 1     81828      0       0
RF MICRO DEVICES INC
COM                  COMMON STOCK 749941100       3721    989640 Shares                 X                 3    989640      0       0
RAINIER PACIFIC
FINANCIAL GROU       COMMON STOCK 75087U101          1      1000 Shares                 X                 2         0      0    1000
RALCORP HOLDINGS INC COMMON STOCK 751028101          5        85 Shares                 X                 1        85      0       0
RALCORP HOLDINGS INC COMMON STOCK 751028101         12       203 Shares                         X         1       203      0       0
RANGE RESOURCES
CORPORATION          COMMON STOCK 75281A109          7       158 Shares                 X                 1       158      0       0
RAYONIER INC COM     COMMON STOCK 754907103         17       464 Shares                 X                 1       464      0       0
RAYONIER INC COM     COMMON STOCK 754907103        111      3050 Shares                         X         1      3050      0       0
RAYONIER INC COM     COMMON STOCK 754907103       1221     33600 Shares                 X                 2         0      0   33600
RAYTHEON CO COM NEW  COMMON STOCK 755111507        232      5212 Shares                 X                 1      5188      0      24
RAYTHEON CO COM NEW  COMMON STOCK 755111507        690     15526 Shares                         X         1     15526      0       0
RAYTHEON CO COM NEW  COMMON STOCK 755111507         18       400 Shares                 X                 2         0      0     400
RAYTHEON CO COM NEW  COMMON STOCK 755111507          9       200 Shares                 X                 4       200      0       0
REALTY INCOME CORP   COMMON STOCK 756109104        175      8000 Shares                 X                 2         0      0       0
REAVES UTILITY
INCOME TRUST         PREFERRED
                     STOCK        756158101        320     24136 Shares                 X                 1         0      0       0
REDWOOD TRUST INC-
REIT                 COMMON STOCK 758075402          4       290 Shares                 X                 1         0      0       0
REED ELSEVIER PLC
SPONS ADR            COMMON STOCK 758205207          1        24 Shares                 X                 1        24      0       0
REGAL ENTERTAINMENT
GROUP-A              COMMON STOCK 758766109         29      2150 Shares                 X                 1      2150      0       0
REGAL ENTERTAINMENT
GROUP-A              COMMON STOCK 758766109        819     61625 Shares                 X                 3     61625      0       0
REGENERON
PHARMACEUTICALS      COMMON STOCK 75886F107         27      1500 Shares                 X                 1      1500      0       0
REGENERON
PHARMACEUTICALS      COMMON STOCK 75886F107        584     32600 Shares                 X                 3     32600      0       0
REGIS CORP MINN      COMMON STOCK 758932107          2       100 Shares                 X                 1       100      0       0



                                    57 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
REGIONS FINANCIAL
CORP                 COMMON STOCK 7591EP100          6      1427 Shares                 X                 1      1427      0       0
REGIONS FINANCIAL
CORP                 COMMON STOCK 7591EP100         19      4771 Shares                         X         1      4771      0       0
RELIANCE STEEL &
ALUMINUM COMP        COMMON STOCK 759509102          4       100 Shares                 X                 1         0      0     100
REPSOL YPF SA SPON
ADR                  COMMON STOCK 76026T205         18       818 Shares                 X                 1       818      0       0
REPUBLIC SVCS INC
COM                  COMMON STOCK 760759100          0        18 Shares                 X                 1        18      0       0
REPUBLIC SVCS INC
COM                  COMMON STOCK 760759100         54      2200 Shares                 X                 3      2200      0       0
RESEARCH IN MOTION
LIMITED              COMMON STOCK 760975102       2322     32658 Shares                 X                 1     32658      0       0
RESEARCH IN MOTION
LIMITED              COMMON STOCK 760975102         73      1025 Shares                         X         1      1025      0       0
RESEARCH IN MOTION
LIMITED              COMMON STOCK 760975102      11334    159433 Shares                 X                 2         0      0  159433
RESEARCH IN MOTION
LIMITED              COMMON STOCK 760975102       2562     36060 Shares                 X                 3     36060      0       0
RESMED INC           COMMON STOCK 761152107        131      3225 Shares                 X                 1      3225      0       0
RESMED INC           COMMON STOCK 761152107        925     22700 Shares                 X                 3     22700      0       0
RESOURCES GLOBAL
PROFESSIONALS        COMMON STOCK 76122Q105         17      1000 Shares                 X                 1      1000      0       0
RESOURCES GLOBAL
PROFESSIONALS        COMMON STOCK 76122Q105        380     22100 Shares                 X                 3     22100      0       0
REYNOLDS AMERICAN
INC                  COMMON STOCK 761713106         84      2167 Shares                 X                 1      2167      0       0
REYNOLDS AMERICAN
INC                  COMMON STOCK 761713106         39      1000 Shares                         X         1      1000      0       0
RIGEL PHARMACEUTICL  COMMON STOCK 766559603        371     30550 Shares                 X                 3     30550      0       0
RIO TINTO PLC
SPONSORED ADR        COMMON STOCK 767204100         41       250 Shares                 X                 2         0      0     250
RITCHIE BROS
AUCTIONEERS          COMMON STOCK 767744105        247     10540 Shares                 X                 1     10540      0       0
RITCHIE BROS
AUCTIONEERS          COMMON STOCK 767744105       1787     76200 Shares                 X                 3     76200      0       0
RITE AID CORP COM    COMMON STOCK 767754104         22     14800 Shares                 X                 1      2500      0   12300
RITE AID CORP COM    COMMON STOCK 767754104          1       600 Shares                         X         1       600      0       0
RIVERBED TECHNOLOGY
INC                  COMMON STOCK 768573107         21       925 Shares                 X                 1       925      0       0
RIVERBED TECHNOLOGY
INC                  COMMON STOCK 768573107        473     20375 Shares                 X                 3     20375      0       0
ROBBINS & MEYERS INC COMMON STOCK 770196103          2        87 Shares                 X                 1        87      0       0
ROBERT HALF INTL INC
COM                  COMMON STOCK 770323103         25      1070 Shares                 X                 1      1070      0       0
ROBERT HALF INTL INC
COM                  COMMON STOCK 770323103         28      1205 Shares                         X         1      1100      0     105
ROCKWELL AUTOMATION
INC.                 COMMON STOCK 773903109       2659     82797 Shares                 X                 1     81797      0    1000
ROCKWELL AUTOMATION
INC.                 COMMON STOCK 773903109        432     13435 Shares                         X         1     12185      0    1250
ROCKWELL AUTOMATION
INC.                 COMMON STOCK 773903109         52      1632 Shares                 X                 2         0      0    1632
ROCKWELL AUTOMATION
INC.                 COMMON STOCK 773903109       1127     35108 Shares                 X                 3     32327      0    2781
ROCKWELL AUTOMATION
INC.                 COMMON STOCK 773903109          6       175 Shares                 X                 4       175      0       0
ROCKWELL COLLINS COM COMMON STOCK 774341101        202      4840 Shares                 X                 1      4840      0       0
ROCKWELL COLLINS COM COMMON STOCK 774341101        122      2925 Shares                         X         1      2845      0      80
ROCKWELL COLLINS COM COMMON STOCK 774341101         68      1632 Shares                 X                 2         0      0    1632
ROCKWOOD HOLDINGS
INC                  COMMON STOCK 774415103         49      3350 Shares                 X                 1      3350      0       0
ROCKWOOD HOLDINGS
INC                  COMMON STOCK 774415103       1148     78425 Shares                 X                 3     78425      0       0



                                    58 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ROSS STORES INC COM  COMMON STOCK 778296103        495     12832 Shares                 X                 1     12132      0     700
ROSS STORES INC COM  COMMON STOCK 778296103        171      4425 Shares                         X         1      3050      0    1375
ROSS STORES INC COM  COMMON STOCK 778296103       1689     43750 Shares                 X                 3     43750      0       0
ROYAL BK CANADA      COMMON STOCK 780087102         41      1000 Shares                         X         1      1000      0       0
ROYAL BK CANADA      COMMON STOCK 780087102         33       800 Shares                 X                 2         0      0     800
ROYAL BANK SCOTLAND
PFD 6.125%           PREFERRED
                     STOCK        780097747          2       200 Shares                 X                 1         0      0       0
ROYAL BANK SCOTLAND
PFD 6.40%            PREFERRED
                     STOCK        780097796          9       800 Shares                 X                 1         0      0       0
ROYAL DUTCH SHELL
PLC-ADR B            COMMON STOCK 780259107          7       128 Shares                 X                 1       128      0       0
ROYAL DUTCH SHELL
PLC-ADR B            COMMON STOCK 780259107         41       800 Shares                 X                 2         0      0     800
ROYAL DUTCH SHELL
PLC-ADR A            COMMON STOCK 780259206       2271     45240 Shares                 X                 1     45240      0       0
ROYAL DUTCH SHELL
PLC-ADR A            COMMON STOCK 780259206       2594     51683 Shares                         X         1     47083      0    4600
ROYAL DUTCH SHELL
PLC-ADR A            COMMON STOCK 780259206        262      5214 Shares                 X                 2         0      0    5214
ROYCE VALUE TRUST
(CE)                 COMMON STOCK 780910105         70      8291 Shares                         X         1      8291      0       0
RYDEX S&P EQUAL
WEIGHT ETF           PREFERRED
                     STOCK        78355W106        144      4677 Shares                 X                 1         0      0       0
RYDEX RUSSELL TOP 50
ETF                  PREFERRED
                     STOCK        78355W205        440      6201 Shares                         X         1         0      0       0
RYLAND GROUP INC     COMMON STOCK 783764103         18      1100 Shares                 X                 2         0      0    1100
S & T BANCORP INC    COMMON STOCK 783859101          5       400 Shares                         X         1       400      0       0
SBA COMMUNICATIONS
CORP                 COMMON STOCK 78388J106         62      2525 Shares                 X                 1      2525      0       0
SBA COMMUNICATIONS
CORP                 COMMON STOCK 78388J106       1362     55500 Shares                 X                 3     55500      0       0
SCOLR PHARMA INC     COMMON STOCK 78402X107          7     20000 Shares                 X                 2         0      0   20000
SEI CORP COM         COMMON STOCK 784117103         45      2495 Shares                 X                 1      2495      0       0
SK TELECOM CO LTD -
ADR                  COMMON STOCK 78440P108          0        24 Shares                 X                 1        24      0       0
SLM CORP COM         COMMON STOCK 78442P106         55      5342 Shares                 X                 1      5342      0       0
SLM CORP COM         COMMON STOCK 78442P106       4027    392069 Shares                 X                 2    103169      0  288900
SLM CORP COM         COMMON STOCK 78442P106        973     94725 Shares                 X                 3     94725      0       0
SPDR TRUST SERIES 1
S&P 500 IN           PREFERRED
                     STOCK        78462F103       6353     69088 Shares                 X                 1         0      0       0
SPDR TRUST SERIES 1
S&P 500 IN           PREFERRED
                     STOCK        78462F103       7244     78787 Shares                         X         1         0      0       0
SPDR TRUST SERIES 1
S&P 500 IN           PREFERRED
                     STOCK        78462F103        302      3281 Shares                 X                 2         0      0       0
SPX CORP COM         COMMON STOCK 784635104        154      3150 Shares                 X                 1      3150      0       0
SPX CORP COM         COMMON STOCK 784635104         12       249 Shares                         X         1       249      0       0
SPX CORP COM         COMMON STOCK 784635104         34       700 Shares                 X                 3       700      0       0
SPDR GOLD TRUST      PREFERRED
                     STOCK        78463V107       1776     19473 Shares                 X                 1         0      0       0
SPDR GOLD TRUST      PREFERRED
                     STOCK        78463V107         54       596 Shares                         X         1         0      0       0
SPDR GOLD TRUST      PREFERRED
                     STOCK        78463V107        119      1300 Shares                 X                 2         0      0       0
SPDR S&P EMERGING
MARKETS ETF          PREFERRED
                     STOCK        78463X509         90      1800 Shares                 X                 2         0      0       0
SPDR DJ WILSHIRE
SMALL CAP VAL        PREFERRED
                     STOCK        78464A300         17       380 Shares                         X         1         0      0       0
SPDR BARCALYS CAP HI
YLD BD ET            PREFERRED
                     STOCK        78464A417         12       334 Shares                 X                 1         0      0       0



                                    59 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
SPDR BARCALYS CAP HI
YLD BD ET            PREFERRED
                     STOCK        78464A417        211      6000 Shares                 X                 2         0      0       0
KBW REGIONAL BANKING
ETF                  PREFERRED
                     STOCK        78464A698        454     24870 Shares                 X                 1         0      0       0
SPDR S&P DIVIDEND
ETF                  PREFERRED
                     STOCK        78464A763         57      1500 Shares                 X                 2         0      0       0
KBW INSURANCE ETF    PREFERRED
                     STOCK        78464A789         32      1200 Shares                         X         1         0      0       0
SPDR DJ MID CAP
VALUE- E             PREFERRED
                     STOCK        78464A839         16       460 Shares                         X         1         0      0       0
SPDR S&P
HOMEBUILDERS ETF     PREFERRED
                     STOCK        78464A888         83      7100 Shares                 X                 2         0      0       0
SRA INTERNATIONAL
INCORPORATED         COMMON STOCK 78464R105         41      2325 Shares                 X                 1      2325      0       0
SRA INTERNATIONAL
INCORPORATED         COMMON STOCK 78464R105        894     50925 Shares                 X                 3     50925      0       0
STEC INC             COMMON STOCK 784774101        359     15498 Shares                 X                 1     15498      0       0
STEC INC             COMMON STOCK 784774101       1148     49492 Shares                 X                 3     49492      0       0
SAFETY INSURANCE GRP COMMON STOCK 78648T100          3       108 Shares                 X                 1       108      0       0
SAFEWAY INC COM      COMMON STOCK 786514208        563     27615 Shares                 X                 1     27615      0       0
SAFEWAY INC COM      COMMON STOCK 786514208         31      1500 Shares                         X         1         0      0    1500
SAFEWAY INC COM      COMMON STOCK 786514208        108      5296 Shares                 X                 3      3046      0    2250
ST JOE CORP          COMMON STOCK 790148100         29      1110 Shares                 X                 1      1110      0       0
ST JOE CORP          COMMON STOCK 790148100          5       200 Shares                         X         1       200      0       0
ST JOE CORP          COMMON STOCK 790148100       2828    106765 Shares                 X                 2     21030      0   85735
ST JUDE MEDICAL INC
COM                  COMMON STOCK 790849103        805     19580 Shares                 X                 1     19580      0       0
ST JUDE MEDICAL INC
COM                  COMMON STOCK 790849103       1795     43667 Shares                 X                 3     41788      0    1879
SALESFORCE.COM INC   COMMON STOCK 79466L302        127      3325 Shares                 X                 1      3325      0       0
SALESFORCE.COM INC   COMMON STOCK 79466L302          4       100 Shares                         X         1       100      0       0
SALESFORCE.COM INC   COMMON STOCK 79466L302       1042     27300 Shares                 X                 3     27300      0       0
SALISBURY BANKCORP
INC                  COMMON STOCK 795226109        139      5700 Shares           X                              5700      0       0
SALLY BEAUTY COMPANY
INC                  COMMON STOCK 79546E104          1       100 Shares                 X                 1       100      0       0
SAN JUAN BASIN
ROYALTY TR           COMMON STOCK 798241105         14      1000 Shares                 X                 1      1000      0       0
SANDERSON FARMS INC  COMMON STOCK 800013104         30       675 Shares                 X                 1       675      0       0
SANDERSON FARMS INC  COMMON STOCK 800013104        674     14975 Shares                 X                 3     14975      0       0
SANDISK CORP COM     COMMON STOCK 80004C101        464     31564 Shares                 X                 1     31564      0       0
SANDISK CORP COM     COMMON STOCK 80004C101       1005     68420 Shares                 X                 3     68420      0       0
SANDRIDGE ENERGY INC COMMON STOCK 80007P307         19      2200 Shares                 X                 1      2200      0       0
SANDRIDGE ENERGY INC COMMON STOCK 80007P307        412     48375 Shares                 X                 3     48375      0       0
SANDY SPRING BANCORP
INC                  COMMON STOCK 800363103          7       500 Shares                 X                 1       500      0       0
SANDY SPRING BANCORP
INC                  COMMON STOCK 800363103        741     50429 Shares                         X         1     50429      0       0
SANOFI-AVENTIS ADR   COMMON STOCK 80105N105         53      1789 Shares                 X                 1      1789      0       0
SANOFI-AVENTIS ADR   COMMON STOCK 80105N105         15       500 Shares                         X         1       500      0       0
SAP AG SPONS ADR     COMMON STOCK 803054204          1        28 Shares                 X                 1        28      0       0
SAP AG SPONS ADR     COMMON STOCK 803054204         48      1200 Shares                         X         1      1200      0       0



                                    60 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
SAP AG SPONS ADR     COMMON STOCK 803054204         10       250 Shares                 X                 2         0      0     250
SAPIENT CORPORATION  COMMON STOCK 803062108         20      3125 Shares                 X                 1      3125      0       0
SAPIENT CORPORATION  COMMON STOCK 803062108        436     69250 Shares                 X                 3     69250      0       0
SARA LEE CORP        COMMON STOCK 803111103        246     25255 Shares                 X                 1     25255      0       0
SARA LEE CORP        COMMON STOCK 803111103        232     23790 Shares                         X         1     18990      0    4800
SARA LEE CORP        COMMON STOCK 803111103         20      2000 Shares                 X                 3      2000      0       0
SASOL LTD SPONS-ADR  COMMON STOCK 803866300         35      1000 Shares                         X         1      1000      0       0
SAUL CENTERS
INCORPORATED         COMMON STOCK 804395101         35      1200 Shares                         X         1         0      0       0
SAUL CENTERS
INCORPORATED         COMMON STOCK 804395101         74      2500 Shares                 X                 2         0      0       0
SAVIENT
PHARMACEUTICALS INC  COMMON STOCK 80517Q100         62      4475 Shares                 X                 1      4475      0       0
SAVIENT
PHARMACEUTICALS INC  COMMON STOCK 80517Q100       1369     98775 Shares                 X                 3     98775      0       0
SCANA CORP NEW COM   COMMON STOCK 80589M102        112      3445 Shares                 X                 1      3445      0       0
SCANA CORP NEW COM   COMMON STOCK 80589M102        205      6303 Shares                         X         1      6303      0       0
HENRY SCHEIN INC COM COMMON STOCK 806407102         10       200 Shares                 X                 1       200      0       0
SCHERING PLOUGH CORP COMMON STOCK 806605101       1426     56773 Shares                 X                 1     56773      0       0
SCHERING PLOUGH CORP COMMON STOCK 806605101        820     32625 Shares                         X         1     28025      0    4600
SCHERING PLOUGH CORP COMMON STOCK 806605101        683     27200 Shares                 X                 2         0      0   27200
SCHERING PLOUGH CORP COMMON STOCK 806605101         12       480 Shares                 X                 3       480      0       0
SCHERING PLOUGH PFD
CV 6.0% 08/13/10     CONV PFD
                     STOCK        806605705       7012     30930 Shares                 X                 2      5930      0       0
SCHLUMBERGER LTD     COMMON STOCK 806857108      12048    222653 Shares                 X                 1    221598      0    1055
SCHLUMBERGER LTD     COMMON STOCK 806857108       4097     75710 Shares                         X         1     69775      0    5935
SCHLUMBERGER LTD     COMMON STOCK 806857108       2406     44465 Shares                 X                 2         0      0   44465
SCHLUMBERGER LTD     COMMON STOCK 806857108       1916     35404 Shares                 X                 3     33719      0    1685
SCHLUMBERGER LTD     COMMON STOCK 806857108         22       400 Shares                 X                 4       400      0       0
SCHWAB CHARLES CORP
NEW COM              COMMON STOCK 808513105        556     31702 Shares                 X                 1     31702      0       0
SCHWAB CHARLES CORP
NEW COM              COMMON STOCK 808513105         13       745 Shares                         X         1       745      0       0
THE SCOTTS MIRACLE-
GRO COMPANY          COMMON STOCK 810186106        447     12750 Shares                 X                 1     12750      0       0
THE SCOTTS MIRACLE-
GRO COMPANY          COMMON STOCK 810186106         88      2500 Shares                 X                 2         0      0    2500
SEARS HOLDINGS CORP  COMMON STOCK 812350106         59       881 Shares                 X                 1       881      0       0
SEARS HOLDINGS CORP  COMMON STOCK 812350106         31       472 Shares                         X         1       472      0       0
SEATTLE GENETICS INC COMMON STOCK 812578102         29      3000 Shares                 X                 1      3000      0       0
SEATTLE GENETICS INC COMMON STOCK 812578102        649     66700 Shares                 X                 3     66700      0       0
HEALTH CARE SELECT
SECTOR SPDR          COMMON STOCK 81369Y209          4       145 Shares                 X                 1       145      0       0
HEALTH CARE SELECT
SECTOR SPDR          COMMON STOCK 81369Y209        167      6350 Shares                 X                 2         0      0    6350
ENERGY SELECT SECTOR
SPDR FD              PREFERRED
                     STOCK        81369Y506         10       200 Shares                 X                 1         0      0       0
ENERGY SELECT SECTOR
SPDR FD              PREFERRED
                     STOCK        81369Y506          5       110 Shares                         X         1         0      0       0
ENERGY SELECT SECTOR
SPDR FD              PREFERRED
                     STOCK        81369Y506        163      3400 Shares                 X                 2         0      0       0



                                    61 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED
                     STOCK        81369Y605       1456    121868 Shares                 X                 1         0      0       0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED
                     STOCK        81369Y605        390     32599 Shares                         X         1         0      0       0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED
                     STOCK        81369Y605         60      5000 Shares                 X                 2         0      0       0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED
                     STOCK        81369Y605         21      1720 Shares                 X                 3         0      0       0
FINANCIAL SELECT
SECTOR SPDR F        PREFERRED
                     STOCK        81369Y605          4       300 Shares                 X                 4         0      0       0
SELECT SECTOR
SPDRTECHNOLOGY       COMMON STOCK 81369Y803         10       550 Shares                 X                 1       550      0       0
SELECT SECTOR
SPDRTECHNOLOGY       COMMON STOCK 81369Y803          6       356 Shares                         X         1       356      0       0
SELECT SECTOR SPDR
UTILITIES            COMMON STOCK 81369Y886         10       370 Shares                 X                 1       370      0       0
SELECT SECTOR SPDR
UTILITIES            COMMON STOCK 81369Y886         15       550 Shares                         X         1       550      0       0
SELECTIVE INS GROUP
INC                  COMMON STOCK 816300107         47      3712 Shares                 X                 1      3712      0       0
SEMPRA ENERGY COM    COMMON STOCK 816851109         20       400 Shares                 X                 1       400      0       0
SEMPRA ENERGY COM    COMMON STOCK 816851109         26       532 Shares                         X         1       532      0       0
SENIOR HOUSING
PROPERTIES TR (      COMMON STOCK 81721M109          2       100 Shares                         X         1         0      0       0
SERVICE CORPORATION
INTL                 COMMON STOCK 817565104         68     12325 Shares                 X                 1     12325      0       0
SERVICE CORPORATION
INTL                 COMMON STOCK 817565104          6      1133 Shares                         X         1      1133      0       0
SERVICE CORPORATION
INTL                 COMMON STOCK 817565104         26      4800 Shares                 X                 2         0      0    4800
SEVERN BANCORP INC   COMMON STOCK 81811M100          2       484 Shares                 X                 1       484      0       0
SEVERN BANCORP INC   COMMON STOCK 81811M100          2       726 Shares                         X         1       726      0       0
SEVERN BANCORP INC   COMMON STOCK 81811M100         31     10000 Shares                 X                 2         0      0   10000
SHERWIN WILLIAMS CO
COM                  COMMON STOCK 824348106        280      5200 Shares                         X         1       200      0    5000
SIGMA ALDRICH CORP   COMMON STOCK 826552101         13       270 Shares                 X                 1       270      0       0
SIGNATURE BANK       COMMON STOCK 82669G104         22       825 Shares                 X                 1       825      0       0
SIGNATURE BANK       COMMON STOCK 82669G104        497     18325 Shares                 X                 3     18325      0       0
SILVER STANDARD
RESOURCES INC        COMMON STOCK 82823L106          2       125 Shares                 X                 1       125      0       0
SIMON PROPERTY GRP
INC (REIT)           COMMON STOCK 828806109        632     12285 Shares                 X                 1         0      0       0
SIMON PROPERTY GRP
INC (REIT)           COMMON STOCK 828806109        552     10738 Shares                         X         1         0      0       0
SIMON PROPERTY GRP
INC (REIT)           COMMON STOCK 828806109        805     15656 Shares                 X                 2         0      0       0
SIRONA DENTAL
SYSTEMS INC          COMMON STOCK 82966C103          2       100 Shares                 X                 1       100      0       0
SIX FLAGS INC        COMMON STOCK 83001P109          3     20000 Shares                 X                 2         0      0   20000
SKYWORKS SOLUTIONS
INC                  COMMON STOCK 83088M102          1       101 Shares                 X                 1       101      0       0
SMITH INTL INC       COMMON STOCK 832110100        708     27500 Shares                 X                 1     27500      0       0
SMITH INTL INC       COMMON STOCK 832110100        306     11900 Shares                         X         1     11900      0       0
SMITHFIELD FOODS INC COMMON STOCK 832248108         14      1000 Shares                         X         1      1000      0       0
SMITHFIELD FOODS INC COMMON STOCK 832248108         13       900 Shares                 X                 2         0      0     900
JM SMUCKER CO        COMMON STOCK 832696405        136      2792 Shares                 X                 1      2792      0       0
JM SMUCKER CO        COMMON STOCK 832696405        284      5832 Shares                         X         1      5234      0     598
SNAP ON INC          COMMON STOCK 833034101          1        21 Shares                         X         1        21      0       0



                                    62 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
SOHU.COM INC         COMMON STOCK 83408W103          9       138 Shares                 X                 1       138      0       0
SOLERA HOLDINGS INC  COMMON STOCK 83421A104         46      1825 Shares                 X                 1      1825      0       0
SOLERA HOLDINGS INC  COMMON STOCK 83421A104       1034     40725 Shares                 X                 3     40725      0       0
SOLUTIA INC          COMMON STOCK 834376501         22      3825 Shares                 X                 1      3825      0       0
SOLUTIA INC          COMMON STOCK 834376501          0        10 Shares                         X         1        10      0       0
SOLUTIA INC          COMMON STOCK 834376501        481     83525 Shares                 X                 3     83525      0       0
SONOCO PRODUCTS CO
COM                  COMMON STOCK 835495102         14       600 Shares                 X                 1       600      0       0
SONY CORP -
SPONSORED ADR        COMMON STOCK 835699307          5       200 Shares                 X                 1       200      0       0
SONY CORP -
SPONSORED ADR        COMMON STOCK 835699307         31      1200 Shares                         X         1      1200      0       0
SOURCEFIRE INC       COMMON STOCK 83616T108         93      7475 Shares                 X                 1      7475      0       0
SOURCEFIRE INC       COMMON STOCK 83616T108       2029    163750 Shares                 X                 3    163750      0       0
SOUTHERN CO COM      COMMON STOCK 842587107        705     22625 Shares                 X                 1     21575      0    1050
SOUTHERN CO COM      COMMON STOCK 842587107       1045     33536 Shares                         X         1     33136      0     400
SOUTHERN CO COM      COMMON STOCK 842587107         62      2003 Shares                 X                 2         0      0    2003
SOUTHERN COPPER CORP COMMON STOCK 84265V105         12       600 Shares                 X                 1         0      0     600
SOUTHERN UNION CO
NEW COM              COMMON STOCK 844030106          4       200 Shares                 X                 1       200      0       0
SOUTHWEST AIRLINES
CO COM               COMMON STOCK 844741108         43      6336 Shares                 X                 1      6336      0       0
SOUTHWEST AIRLINES
CO COM               COMMON STOCK 844741108          9      1350 Shares                         X         1      1350      0       0
SOUTHWEST GAS CORP
COM                  COMMON STOCK 844895102         22      1000 Shares                         X         1      1000      0       0
SOUTHWESTERN ENERGY
COMPANY              COMMON STOCK 845467109       1964     50559 Shares                 X                 1     50559      0       0
SOUTHWESTERN ENERGY
COMPANY              COMMON STOCK 845467109         34       875 Shares                         X         1       875      0       0
SOUTHWESTERN ENERGY
COMPANY              COMMON STOCK 845467109       3949    101678 Shares                 X                 3    101678      0       0
SPAIN FUND INC       PREFERRED
                     STOCK        846330108          8      1500 Shares                 X                 1         0      0       0
SPECTRA ENERGY CORP  COMMON STOCK 847560109        187     11057 Shares                 X                 1     11057      0       0
SPECTRA ENERGY CORP  COMMON STOCK 847560109        236     13920 Shares                         X         1     13670      0     250
SPRINT NEXTEL CORP   COMMON STOCK 852061100          8      1702 Shares                 X                 1      1702      0       0
SPRINT NEXTEL CORP   COMMON STOCK 852061100         29      6020 Shares                         X         1      6020      0       0
SPRINT NEXTEL CORP   COMMON STOCK 852061100         57     11925 Shares                 X                 2         0      0   11925
STAGE STORES INC     COMMON STOCK 85254C305         21      1925 Shares                 X                 1      1925      0       0
STAGE STORES INC     COMMON STOCK 85254C305        475     42775 Shares                 X                 3     42775      0       0
STANDARD MOTOR
PRODUCTS INCORP      COMMON STOCK 853666105          1       100 Shares                 X                 1       100      0       0
STANLEY WORKS COM    COMMON STOCK 854616109        181      5350 Shares                 X                 1      5350      0       0
STANLEY WORKS COM    COMMON STOCK 854616109        125      3700 Shares                         X         1      3700      0       0
STAPLES INC COM      COMMON STOCK 855030102       3717    184177 Shares                 X                 1    181077      0    3100
STAPLES INC COM      COMMON STOCK 855030102        936     46370 Shares                         X         1     45995      0     375
STAPLES INC COM      COMMON STOCK 855030102        559     27700 Shares                 X                 2         0      0   27700
STAPLES INC COM      COMMON STOCK 855030102        190      9404 Shares                 X                 3      5603      0    3801



                                    63 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
STARBUCKS CORP COM   COMMON STOCK 855244109        213     15307 Shares                 X                 1     15307      0       0
STARBUCKS CORP COM   COMMON STOCK 855244109        762     54892 Shares                 X                 2     21475      0   33417
STARENT NETWORKS
CORP                 COMMON STOCK 85528P108         34      1400 Shares                 X                 1      1400      0       0
STARENT NETWORKS
CORP                 COMMON STOCK 85528P108        745     30550 Shares                 X                 3     30550      0       0
STARWOOD HOTELS &
RESORTS WORL         COMMON STOCK 85590A401        320     14397 Shares                 X                 1     14397      0       0
STARWOOD HOTELS &
RESORTS WORL         COMMON STOCK 85590A401        743     33430 Shares                 X                 3     33430      0       0
STATE STREET CORP    COMMON STOCK 857477103        116      2465 Shares                 X                 1      2465      0       0
STATE STREET CORP    COMMON STOCK 857477103       3955     83800 Shares                         X         1     83800      0       0
STATE STREET CORP    COMMON STOCK 857477103        255      5406 Shares                 X                 2         0      0    5406
STATOILHYDRO ASA
SPONSORED ADR        COMMON STOCK 85771P102          4       211 Shares                 X                 1       211      0       0
STEEL DYNAMICS INC   COMMON STOCK 858119100        239     16175 Shares                 X                 1     16175      0       0
STEEL DYNAMICS INC   COMMON STOCK 858119100       1997    135600 Shares                 X                 3    135600      0       0
STELLARONE CORP      COMMON STOCK 85856G100         22      1731 Shares                 X                 1      1731      0       0
STEMCELLS
INCORPORATED         COMMON STOCK 85857R105          2      1000 Shares                 X                 2         0      0    1000
STERICYCLE INC COM   COMMON STOCK 858912108         25       489 Shares                 X                 2         0      0     489
STERLING
CONSTRUCTION COMPANY COMMON STOCK 859241101         72      4750 Shares                 X                 1      4750      0       0
STERLING
CONSTRUCTION COMPANY COMMON STOCK 859241101       1601    104900 Shares                 X                 3    104900      0       0
STERLITE INDUSTRIES
(INDIA) LT           COMMON STOCK 859737207          2       200 Shares                 X                 1       200      0       0
STIFEL FINANCIAL
CORPORATION          COMMON STOCK 860630102         57      1175 Shares                 X                 1      1175      0       0
STIFEL FINANCIAL
CORPORATION          COMMON STOCK 860630102         13       264 Shares                 X                 2         0      0     264
STIFEL FINANCIAL
CORPORATION          COMMON STOCK 860630102       1396     29025 Shares                 X                 3     29025      0       0
STRYKER CORP COM     COMMON STOCK 863667101        319      8030 Shares                 X                 1      8030      0       0
STRYKER CORP COM     COMMON STOCK 863667101        265      6675 Shares                         X         1      5975      0     700
STRYKER CORP COM     COMMON STOCK 863667101       2298     57825 Shares                 X                 2         0      0   57825
STURM RUGER & CO INC
COM                  COMMON STOCK 864159108          3       250 Shares                 X                 1       250      0       0
STURM RUGER & CO INC
COM                  COMMON STOCK 864159108          1       100 Shares                         X         1       100      0       0
SUBURBAN PROPANE
PARTNERS LP L        COMMON STOCK 864482104         11       250 Shares                 X                 1       250      0       0
SUBURBAN PROPANE
PARTNERS LP L        COMMON STOCK 864482104         42      1000 Shares                         X         1      1000      0       0
SUBURBAN PROPANE
PARTNERS LP L        COMMON STOCK 864482104         21       500 Shares                 X                 2         0      0     500
SUCCESSFACTORS INC   COMMON STOCK 864596101         17      1900 Shares                 X                 1      1900      0       0
SUCCESSFACTORS INC   COMMON STOCK 864596101        467     50925 Shares                 X                 3     50925      0       0
SUN LIFE FINL INC    COMMON STOCK 866796105         70      2592 Shares                 X                 1      2592      0       0
SUN MICROSYSTEMS INC COMMON STOCK 866810203         17      1851 Shares                 X                 1      1851      0       0
SUN MICROSYSTEMS INC COMMON STOCK 866810203         12      1250 Shares                         X         1      1250      0       0
SUN MICROSYSTEMS INC COMMON STOCK 866810203         12      1250 Shares                 X                 2         0      0    1250
SUNCOR ENERGY INC    COMMON STOCK 867229106        775     25542 Shares                 X                 1     25542      0       0
SUNCOR ENERGY INC    COMMON STOCK 867229106         49      1600 Shares                         X         1      1600      0       0



                                    64 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
SUNOCO LOGISTICS
PARTNERS LP          COMMON STOCK 86764L108         49       900 Shares                         X         1       900      0       0
SUNOCO LOGISTICS
PARTNERS LP          COMMON STOCK 86764L108       1394     25700 Shares                 X                 2      4700      0   21000
SUNOCO INC COM       COMMON STOCK 86764P109         19       800 Shares                 X                 1       800      0       0
SUNOCO INC COM       COMMON STOCK 86764P109         28      1200 Shares                 X                 3      1200      0       0
SUNPOWER CORP CL A   COMMON STOCK 867652109        102      3821 Shares                 X                 1      3821      0       0
SUNPOWER CORP CL A   COMMON STOCK 867652109          5       179 Shares                         X         1       179      0       0
SUNRISE SENIOR
LIVING INC           COMMON STOCK 86768K106          0       200 Shares                 X                 1       200      0       0
SUNRISE SENIOR
LIVING INC           COMMON STOCK 86768K106        473    286575 Shares                 X                 2     67675      0  218900
SUNTRUST BANKS INC   COMMON STOCK 867914103         84      5089 Shares                 X                 1      5089      0       0
SUNTRUST BANKS INC   COMMON STOCK 867914103        314     19109 Shares                         X         1     17409      0    1700
SUNTRUST BANKS INC   COMMON STOCK 867914103        306     18591 Shares                 X                 2         0      0   18591
SUNTRUST BANKS INC   COMMON STOCK 867914103         95      5803 Shares                 X                 3      5803      0       0
SUPERCONDUCTOR
TECHNOLOGIES IN      COMMON STOCK 867931305          0        12 Shares                 X                 1        12      0       0
SUPERVALU INC        COMMON STOCK 868536103         32      2480 Shares                 X                 1      2480      0       0
SUSQUEHANNA
BANCSHARES INC PA    COMMON STOCK 869099101        361     73912 Shares                 X                 1     71766      0    2146
SUSQUEHANNA
BANCSHARES INC PA    COMMON STOCK 869099101        189     38649 Shares                         X         1     37649   1000       0
SUSQUEHANNA
BANCSHARES INC PA    COMMON STOCK 869099101        108     22111 Shares           X                             22111      0       0
SYMANTEC CORP COM    COMMON STOCK 871503108        126      8097 Shares                 X                 1      8097      0       0
SYMANTEC CORP COM    COMMON STOCK 871503108         56      3600 Shares                         X         1      3600      0       0
SYNAPTICS
INCORPORATED         COMMON STOCK 87157D109        206      5330 Shares                 X                 1      5330      0       0
SYNAPTICS
INCORPORATED         COMMON STOCK 87157D109       2276     58875 Shares                 X                 3     58875      0       0
SYNGENTA AG ADR      COMMON STOCK 87160A100          2        43 Shares                 X                 1        43      0       0
SYNIVERSE HOLDINGS
INC                  COMMON STOCK 87163F106         40      2500 Shares                 X                 1      2500      0       0
SYNIVERSE HOLDINGS
INC                  COMMON STOCK 87163F106       1012     63150 Shares                 X                 3     63150      0       0
SYSCO CORP           COMMON STOCK 871829107       3234    143864 Shares                 X                 1    143764      0     100
SYSCO CORP           COMMON STOCK 871829107       5171    230031 Shares                         X         1    227931      0    2100
SYSCO CORP           COMMON STOCK 871829107        873     38800 Shares                 X                 2      9100      0   29700
SYSCO CORP           COMMON STOCK 871829107        207      9210 Shares                 X                 3      5560      0    3650
SYSCO CORP           COMMON STOCK 871829107          6       250 Shares                 X                 4       250      0       0
TCW STRATEGIC INCOME
FD                   PREFERRED
                     STOCK        872340104          4      1000 Shares                 X                 1         0      0       0
TECO ENERGY INC      COMMON STOCK 872375100         33      2756 Shares                 X                 1      2756      0       0
TECO ENERGY INC      COMMON STOCK 872375100        246     20622 Shares                         X         1     20622      0       0
TEPPCO PARTNERS LTD
PARTNERS             COMMON STOCK 872384102         63      2100 Shares                 X                 1      2100      0       0
TEPPCO PARTNERS LTD
PARTNERS             COMMON STOCK 872384102       3409    114150 Shares                 X                 2     19150      0   95000
TF FINANCIAL CORP    COMMON STOCK 872391107         89      5000 Shares                 X                 1      5000      0       0
TJX COMPANIES COM    COMMON STOCK 872540109        217      6905 Shares                 X                 1      6905      0       0
TJX COMPANIES COM    COMMON STOCK 872540109          8       250 Shares                         X         1       250      0       0



                                    65 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
TJX COMPANIES COM    COMMON STOCK 872540109       1252     39800 Shares                 X                 3     39800      0       0
TS&W/CLAYMORE TAX
ADV BAL              PREFERRED
                     STOCK        87280R108        115     14550 Shares                 X                 1         0      0       0
TNS INC              COMMON STOCK 872960109          4       191 Shares                 X                 1       191      0       0
TAIWAN SEMICONDUCTOR
SPON ADR             COMMON STOCK 874039100          9      1009 Shares                         X         1         0      0    1009
TALISMAN ENERGY INC  COMMON STOCK 87425E903        231     16200 Shares                 X                 1      4365      0   11835
TALISMAN ENERGY INC  COMMON STOCK 87425E903          3       210 Shares                         X         1         0      0     210
TARGET CORP COM      COMMON STOCK 87612E106       4711    119361 Shares                 X                 1    119361      0       0
TARGET CORP COM      COMMON STOCK 87612E106        649     16444 Shares                         X         1     16269      0     175
TARGET CORP COM      COMMON STOCK 87612E106         95      2400 Shares                 X                 2         0      0    2400
TARGET CORP COM      COMMON STOCK 87612E106        206      5210 Shares                 X                 3      3917      0    1293
TARGET CORP          COMMON STOCK 87612E906        491     12450 Shares                 X                 2     12450      0       0
TASTY BAKING CO      COMMON STOCK 876553306         35      5070 Shares                 X                 3      5070      0       0
TECH DATA CORP COM   COMMON STOCK 878237106         16       500 Shares                         X         1       500      0       0
TECK RESOURCES LTD-
CL B                 COMMON STOCK 878742204          4       281 Shares                 X                 1       281      0       0
TECK RESOURCES LTD-
CL B                 COMMON STOCK 878742204         33      2071 Shares                         X         1      2071      0       0
TEKELEC COM          COMMON STOCK 879101103         10       600 Shares                 X                 1       600      0       0
TELE NORTE LESTE
PART ADR             COMMON STOCK 879246106          7       500 Shares                 X                 1       500      0       0
TELECOM ARGENTINA
SA-SP ADR            COMMON STOCK 879273209          2       190 Shares                 X                 1       190      0       0
TELECOM NEW ZEALAND
SPON ADR             COMMON STOCK 879278208          2       284 Shares                 X                 1       284      0       0
TELECOM ITALIA SPA   COMMON STOCK 87927Y102          1        54 Shares                 X                 1        54      0       0
TELEDYNE
TECHNOLOGIES INC COM COMMON STOCK 879360105          9       275 Shares                 X                 1       275      0       0
TELEFLEX INC         COMMON STOCK 879369106         58      1300 Shares                 X                 3      1300      0       0
TELEFONICA S A
SPONSORED ADR        COMMON STOCK 879382208         81      1200 Shares                 X                 1      1200      0       0
TELEFONOS DE MEXICO
SP ADR L             COMMON STOCK 879403780         24      1480 Shares                 X                 1      1480      0       0
TELEFONOS DE MEXICO
SP ADR L             COMMON STOCK 879403780         32      2000 Shares                         X         1         0      0    2000
TELMEX INTERNACIONAL
SAB DE CV            COMMON STOCK 879690105          8       600 Shares                 X                 1       600      0       0
TELMEX INTERNACIONAL
SAB DE CV            COMMON STOCK 879690105         25      2000 Shares                         X         1         0      0    2000
TELULAR CORP         COMMON STOCK 87970T208          1       500 Shares                 X                 2         0      0     500
TEMPLE INLAND INC    COMMON STOCK 879868107          2       128 Shares                 X                 1       128      0       0
TEMPLE INLAND INC    COMMON STOCK 879868107          1       100 Shares                         X         1       100      0       0
TEMPLE INLAND INC    COMMON STOCK 879868107          7       513 Shares                 X                 2         0      0     513
TEMPLETON DRAGON
FUND INC             PREFERRED
                     STOCK        88018T101          2       100 Shares                 X                 1         0      0       0
TEMPLETON GLOBAL
INCOME FUND-D        PREFERRED
                     STOCK        880198106        323     37500 Shares                 X                 1         0      0       0
TENET HEALTHCARE
CORP                 COMMON STOCK 88033G100         28     10050 Shares                 X                 1     10050      0       0
TENET HEALTHCARE
CORP                 COMMON STOCK 88033G100        625    221625 Shares                 X                 3    221625      0       0
TERADATA CORP        COMMON STOCK 88076W103          5       212 Shares                 X                 1       212      0       0
TERADATA CORP        COMMON STOCK 88076W103         17       724 Shares                         X         1       708      0      16



                                    66 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
TEREX CORP           COMMON STOCK 880779103        528     43717 Shares                 X                 1     43717      0       0
TEREX CORP           COMMON STOCK 880779103          6       475 Shares                         X         1       475      0       0
TEREX CORP           COMMON STOCK 880779103        788     65300 Shares                 X                 3     65300      0       0
TERRA INDUSTRIES INC COMMON STOCK 880915103         16       650 Shares                 X                 1       650      0       0
TEVA PHARMACEUTICAL
SPONS ADR            COMMON STOCK 881624209       1078     21853 Shares                 X                 1     21453      0     400
TEVA PHARMACEUTICAL
SPONS ADR            COMMON STOCK 881624209        734     14883 Shares                         X         1     12708      0    2175
TEVA PHARMACEUTICAL
SPONS ADR            COMMON STOCK 881624209        257      5200 Shares                 X                 2         0      0    5200
TETRA TECH INC       COMMON STOCK 88162G103         61      2125 Shares                 X                 1      2125      0       0
TETRA TECH INC       COMMON STOCK 88162G103          3       100 Shares                         X         1       100      0       0
TETRA TECH INC       COMMON STOCK 88162G103       1339     46725 Shares                 X                 3     46725      0       0
TESSERA TECHNOLOGIES
INC                  COMMON STOCK 88164L100         22       875 Shares                 X                 1       875      0       0
TESSERA TECHNOLOGIES
INC                  COMMON STOCK 88164L100        490     19350 Shares                 X                 3     19350      0       0
TEXAS INSTRUMENTS
INC                  COMMON STOCK 882508104       3062    143771 Shares                 X                 1    142671      0    1100
TEXAS INSTRUMENTS
INC                  COMMON STOCK 882508104       1373     64481 Shares                         X         1     55981      0    8500
TEXAS INSTRUMENTS
INC                  COMMON STOCK 882508104       1588     74578 Shares                 X                 2     70478      0    4100
TEXAS INSTRUMENTS
INC                  COMMON STOCK 882508104        155      7259 Shares                 X                 3      5712      0    1547
TEXAS INSTRUMENTS
INC                  COMMON STOCK 882508104          2       100 Shares                 X                 4       100      0       0
TEXAS ROADHOUSE INC-
CL A                 COMMON STOCK 882681109         17      1575 Shares                 X                 1      1575      0       0
TEXAS ROADHOUSE INC-
CL A                 COMMON STOCK 882681109        383     35130 Shares                 X                 3     35130      0       0
TEXTRON INC COM      COMMON STOCK 883203101         85      8786 Shares                 X                 1      8786      0       0
THERMO FISHER
SCIENTIFIC INC       COMMON STOCK 883556102         52      1265 Shares                 X                 1      1265      0       0
THERMO FISHER
SCIENTIFIC INC       COMMON STOCK 883556102        124      3050 Shares                         X         1      3050      0       0
THERMO FISHER
SCIENTIFIC INC       COMMON STOCK 883556102        966     23686 Shares                 X                 2      6700      0   16986
THOMSON REUTERS PLC
ADR                  COMMON STOCK 885141101         45       260 Shares                 X                 1       260      0       0
3 COM CORP COM       COMMON STOCK 885535104         22      4575 Shares                 X                 1      4575      0       0
3 COM CORP COM       COMMON STOCK 885535104          1       300 Shares                         X         1         0      0     300
3 COM CORP COM       COMMON STOCK 885535104        480    101825 Shares                 X                 3    101825      0       0
3M CO                COMMON STOCK 88579Y101      10420    173386 Shares                 X                 1    169122      0    4264
3M CO                COMMON STOCK 88579Y101       8036    133705 Shares                         X         1    120900      0   12805
3M CO                COMMON STOCK 88579Y101       3336     55510 Shares                 X                 2      9750      0   45760
3M CO                COMMON STOCK 88579Y101        390      6497 Shares                 X                 3      4788      0    1709
3M CO                COMMON STOCK 88579Y101          9       150 Shares                 X                 4       150      0       0
3PAR INC             COMMON STOCK 88580F109         37      2975 Shares                 X                 1      2975      0       0
3PAR INC             COMMON STOCK 88580F109        828     66775 Shares                 X                 3     66775      0       0
TIDEWATER INC        COMMON STOCK 886423102         43      1000 Shares                 X                 1      1000      0       0
TIFFANY & CO         COMMON STOCK 886547108        164      6454 Shares                 X                 1      6454      0       0
TIFFANY & CO         COMMON STOCK 886547108         46      1800 Shares                         X         1      1800      0       0



                                    67 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
TIFFANY & CO         COMMON STOCK 886547108         13       500 Shares                 X                 2         0      0     500
TIFFANY & CO         COMMON STOCK 886547108        997     39300 Shares                 X                 3     39300      0       0
TIGERLOGIC CORP      COMMON STOCK 8867EQ101        148     60000 Shares                 X                 2         0      0   60000
TIM HORTONS INC      COMMON STOCK 88706M103        117      4768 Shares                 X                 1      4768      0       0
TIME WARNER
INCORPORATED         COMMON STOCK 887317105        481     29875 Shares                 X                 2     29875      0       0
TIMKEN CO COM        COMMON STOCK 887389104          3       200 Shares                 X                 1       200      0       0
TIMKEN CO COM        COMMON STOCK 887389104         16       947 Shares                         X         1       947      0       0
TIMKEN CO COM        COMMON STOCK 887389104         36      2100 Shares                 X                 3      2100      0       0
TOLL BROS INC        COMMON STOCK 889478103        927     54654 Shares                 X                 1     54654      0       0
TOLL BROS INC        COMMON STOCK 889478103        183     10800 Shares                         X         1     10300      0     500
TOLL BROS INC        COMMON STOCK 889478103        226     13325 Shares                 X                 2         0      0   13325
TOLL BROS INC        COMMON STOCK 889478103        959     56536 Shares                 X                 3     56536      0       0
TOMPKINS FINANCIAL
CORP                 COMMON STOCK 890110109          7       150 Shares                 X                 1       150      0       0
TOMPKINS FINANCIAL
CORP                 COMMON STOCK 890110109        250      5213 Shares                 X                 2         0      0    5213
TONGJITANG CHINESE
MEDICINES-A          COMMON STOCK 89025E103          1       200 Shares                         X         1       200      0       0
TOOTSIE ROLL
INDUSTRIES           COMMON STOCK 890516107         68      2998 Shares                 X                 1      2998      0       0
TOOTSIE ROLL
INDUSTRIES           COMMON STOCK 890516107          7       305 Shares                         X         1       305      0       0
TORO CO COM          COMMON STOCK 891092108         48      1600 Shares                 X                 1      1600      0       0
TORONTO-DOMINION
BANK                 COMMON STOCK 891160509         15       293 Shares                 X                 1       293      0       0
TORONTO-DOMINION
BANK                 COMMON STOCK 891160509        111      2152 Shares                         X         1      2070      0      82
TORTOISE ENERGY
INFRASTRUCTURE       PREFERRED
                     STOCK        89147L100         25      1000 Shares                 X                 1         0      0       0
TORTOISE ENERGY
CAPITAL CORP         COMMON STOCK 89147U100         18      1000 Shares                         X         1      1000      0       0
TOTAL SA SPONSORED
ADR                  COMMON STOCK 89151E109        109      2014 Shares                 X                 1      2014      0       0
TOTAL SYSTEMS
SERVICES INC         COMMON STOCK 891906109          6       435 Shares                 X                 1       435      0       0
TOYOTA MOTOR CORP
SPON ADR             COMMON STOCK 892331307         16       207 Shares                 X                 1       207      0       0
TOYOTA MOTOR CORP
SPON ADR             COMMON STOCK 892331307         15       200 Shares                         X         1       200      0       0
TRADESTATION GROUP
INC                  COMMON STOCK 89267P105          8       900 Shares                 X                 1       900      0       0
TRANSACT
TECHNOLOGIES INC COM COMMON STOCK 892918103          5      1000 Shares                 X                 1      1000      0       0
TRANSCANADA CORP     COMMON STOCK 89353D107         42      1573 Shares                 X                 1      1573      0       0
TRANSCANADA CORP     COMMON STOCK 89353D107          8       300 Shares                         X         1       300      0       0
TRANSMONTAIGNE
PARTNERS LP          COMMON STOCK 89376V100         13       600 Shares                 X                 2         0      0     600
TRANS1 INCORPORATED  COMMON STOCK 89385X105         25      4025 Shares                 X                 1      4025      0       0
TRANS1 INCORPORATED  COMMON STOCK 89385X105        552     88600 Shares                 X                 3     88600      0       0
TRAVELCENTERS OF
AMERICA LLC          COMMON STOCK 894174101          0        30 Shares                         X         1        30      0       0
THE TRAVELERS
COMPANIES INC        COMMON STOCK 89417E109        402      9792 Shares                 X                 1      9635      0     157
THE TRAVELERS
COMPANIES INC        COMMON STOCK 89417E109        325      7910 Shares                         X         1      7910      0       0
THE TRAVELERS
COMPANIES INC        COMMON STOCK 89417E109        236      5744 Shares                 X                 2         0      0    5744



                                    68 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
THE TRAVELERS
COMPANIES INC        COMMON STOCK 89417E109          7       160 Shares                 X                 4       160      0       0
TREDEGAR CORP        COMMON STOCK 894650100         27      2000 Shares                 X                 1      2000      0       0
TREEHOUSE FOODS INC  COMMON STOCK 89469A104         28       975 Shares                 X                 1       975      0       0
TREEHOUSE FOODS INC  COMMON STOCK 89469A104        586     20375 Shares                 X                 3     20375      0       0
TRI-CONTINENTAL CORP PREFERRED
                     STOCK        895436103         48      5236 Shares                 X                 1         0      0       0
TRIPLE-S MANAGEMENT
CORP                 COMMON STOCK 896749108         30      1925 Shares                 X                 1      1925      0       0
TRIPLE-S MANAGEMENT
CORP                 COMMON STOCK 896749108        665     42675 Shares                 X                 3     42675      0       0
TRIQUINT
SEMICONDUCTOR INC
COM                  COMMON STOCK 89674K103         49      9225 Shares                 X                 1      9225      0       0
TRIQUINT
SEMICONDUCTOR INC
COM                  COMMON STOCK 89674K103       1081    203475 Shares                 X                 3    203475      0       0
TRUSTCO BANK CORP NY
COM                  COMMON STOCK 898349105         13      2250 Shares                 X                 1      2250      0       0
TUPPERWARE BRANDS
CORP                 COMMON STOCK 899896104         13       500 Shares                 X                 1       500      0       0
TUPPERWARE BRANDS
CORP                 COMMON STOCK 899896104         12       450 Shares                         X         1       450      0       0
TYLER TECHNOLOGIES
INC                  COMMON STOCK 902252105       3286    210400 Shares                 X                 2     45400      0  165000
UDR INC REIT         COMMON STOCK 902653104        104     10042 Shares                 X                 1         0      0       0
UDR INC REIT         COMMON STOCK 902653104          9       856 Shares                         X         1         0      0       0
UGI CORP             COMMON STOCK 902681105        168      6596 Shares                 X                 1      6596      0       0
UGI CORP             COMMON STOCK 902681105        134      5250 Shares                         X         1      5250      0       0
UIL HOLDINGS
CORPORATION          COMMON STOCK 902748102          2        83 Shares                 X                 1        83      0       0
U S BANCORP DEL COM
NEW                  COMMON STOCK 902973304       1283     71581 Shares                 X                 1     71581      0       0
U S BANCORP DEL COM
NEW                  COMMON STOCK 902973304        354     19736 Shares                         X         1     14836      0    4900
U S BANCORP DEL COM
NEW                  COMMON STOCK 902973304        299     16700 Shares                 X                 2         0      0   16700
U S BANCORP DEL COM
NEW                  COMMON STOCK 902973304         52      2900 Shares                 X                 3      2900      0       0
U S BANCORP DEL COM
NEW                  COMMON STOCK 902973304          5       253 Shares                 X                 4       253      0       0
ULTRA PETROLEUM CORP COMMON STOCK 903914109          0         7 Shares                 X                 1         7      0       0
UNDER ARMOUR INC-
CLASS A              COMMON STOCK 904311107         49      2175 Shares                 X                 1      2175      0       0
UNDER ARMOUR INC-
CLASS A              COMMON STOCK 904311107         45      2000 Shares                 X                 2         0      0    2000
UNDER ARMOUR INC-
CLASS A              COMMON STOCK 904311107        639     28525 Shares                 X                 3     28525      0       0
UNILEVER PLC
SPONSORED ADR        COMMON STOCK 904767704         14       575 Shares                 X                 1       575      0       0
UNILEVER PLC
SPONSORED ADR        COMMON STOCK 904767704        109      4640 Shares                         X         1      1640      0    3000
UNILEVER NV NY
SHARES               COMMON STOCK 904784709        302     12486 Shares                 X                 1     12486      0       0
UNILEVER NV NY
SHARES               COMMON STOCK 904784709        101      4190 Shares                         X         1      4190      0       0
UNION BANKSHARES
CORPORATION          COMMON STOCK 905399101          4       300 Shares                         X         1       300      0       0
UNION PACIFIC CORP
COM                  COMMON STOCK 907818108       2460     47255 Shares                 X                 1     47255      0       0
UNION PACIFIC CORP
COM                  COMMON STOCK 907818108        518      9958 Shares                         X         1      9958      0       0
UNION PACIFIC CORP
COM                  COMMON STOCK 907818108        907     17414 Shares                 X                 2         0      0   17414
UNION PACIFIC CORP
COM                  COMMON STOCK 907818108       1469     28223 Shares                 X                 3     28223      0       0
UNITED BANKSHARES
INC                  COMMON STOCK 909907107        407     20824 Shares                 X                 2         0      0   20824



                                    69 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
UNITED NATURAL FOODS
INC COM              COMMON STOCK 911163103         31      1175 Shares                 X                 1      1175      0       0
UNITED NATURAL FOODS
INC COM              COMMON STOCK 911163103        681     25975 Shares                 X                 3     25975      0       0
UNITED PARCEL
SERVICE CL B         COMMON STOCK 911312106       2480     49601 Shares                 X                 1     48126      0    1475
UNITED PARCEL
SERVICE CL B         COMMON STOCK 911312106        760     15195 Shares                         X         1     13365      0    1830
UNITED PARCEL
SERVICE CL B         COMMON STOCK 911312106       7385    147734 Shares                 X                 2         0      0  147734
UNITED PARCEL
SERVICE CL B         COMMON STOCK 911312106        146      2922 Shares                 X                 3      2220      0     702
UNITED PARCEL
SERVICE CL B         COMMON STOCK 911312106          7       150 Shares                 X                 4       150      0       0
UNITED RENTALS INC
COM                  COMMON STOCK 911363109         26      4000 Shares                 X                 2         0      0    4000
UNITED STATES
NATURAL GAS FD L     PREFERRED
                     STOCK        912318102        139     10000 Shares                 X                 1         0      0       0
UNITED STATES OIL FD
LP                   PREFERRED
                     STOCK        91232N108         19       500 Shares                 X                 1         0      0       0
UNITED STS STL CORP
NEW                  COMMON STOCK 912909108         14       404 Shares                 X                 1       404      0       0
UNITED STS STL CORP
NEW                  COMMON STOCK 912909108          5       153 Shares                         X         1       153      0       0
UNITED TECHNOLOGIES
CORP COM             COMMON STOCK 913017109       6219    119689 Shares                 X                 1    114739      0    4950
UNITED TECHNOLOGIES
CORP COM             COMMON STOCK 913017109       2709     52139 Shares                         X         1     50269      0    1870
UNITED TECHNOLOGIES
CORP COM             COMMON STOCK 913017109       2208     42490 Shares                 X                 2         0      0   42490
UNITED TECHNOLOGIES
CORP COM             COMMON STOCK 913017109         34       656 Shares                 X                 3       656      0       0
UNITED THERAPEUTICS
CORP                 COMMON STOCK 91307C102         48       575 Shares                 X                 1       575      0       0
UNITED THERAPEUTICS
CORP                 COMMON STOCK 91307C102       1036     12425 Shares                 X                 3     12425      0       0
UNITEDHEALTH GROUP
INC                  COMMON STOCK 91324P102       2017     80755 Shares                 X                 1     80755      0       0
UNITEDHEALTH GROUP
INC                  COMMON STOCK 91324P102        172      6894 Shares                         X         1      5494      0    1400
UNITEDHEALTH GROUP
INC                  COMMON STOCK 91324P102       5588    223670 Shares                 X                 2     65755      0  157915
UNITEDHEALTH GROUP
INC                  COMMON STOCK 91324P102        838     33550 Shares                 X                 3     31084      0    2466
UNITRIN INC COM      COMMON STOCK 913275103         23      1883 Shares                 X                 1      1883      0       0
UNIVERSAL DISPLAY
CORP                 COMMON STOCK 91347P105         13      1300 Shares                 X                 1      1300      0       0
UNIVEST CORP OF PA   COMMON STOCK 915271100         50      2454 Shares                 X                 1      2454      0       0
UNUMPROVIDENT
CORPORATION          COMMON STOCK 91529Y106        633     39910 Shares                 X                 2     12000      0   27910
URBAN OUTFITTERS INC COMMON STOCK 917047102        849     40644 Shares                 X                 1     40644      0       0
URBAN OUTFITTERS INC COMMON STOCK 917047102          1        50 Shares                         X         1        50      0       0
URBAN OUTFITTERS INC COMMON STOCK 917047102       3336    159800 Shares                 X                 3    159800      0       0
URSTADT BIDDLE PPTYS
INC CL A             COMMON STOCK 917286205         42      3000 Shares                         X         1         0      0       0
V F CORP             COMMON STOCK 918204108        153      2760 Shares                 X                 1      2760      0       0
V F CORP             COMMON STOCK 918204108          9       160 Shares                         X         1       160      0       0
V F CORP             COMMON STOCK 918204108        166      3000 Shares                 X                 2         0      0    3000
VIST FINANCIAL CORP  COMMON STOCK 918255100          7      1000 Shares                 X                 1      1000      0       0
VALERO ENERGY CORP
COM                  COMMON STOCK 91913Y100         84      5000 Shares                 X                 1      5000      0       0
VALERO ENERGY CORP
COM                  COMMON STOCK 91913Y100         68      4000 Shares                         X         1      4000      0       0
VALUECLICK INC       COMMON STOCK 92046N102         21      2000 Shares                         X         1      2000      0       0



                                    70 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
VAN KAMPEN TRUST
INSURED MUNIC        PREFERRED
                     STOCK        920928108          6       505 Shares                         X         1         0      0       0
VAN KAMPEN TR FOR
INV GR MUNIC         PREFERRED
                     STOCK        920929106         68      5851 Shares                         X         1         0      0       0
VAN KAMPEN MUNICIPAL
OPPORTUNI            PREFERRED
                     STOCK        920935103         87      7385 Shares                         X         1         0      0       0
VAN KAMPEN SENIOR
INCOME TRUST         PREFERRED
                     STOCK        920961109         13      4000 Shares                 X                 1         0      0       0
VAN KAMPEN PENN
VALUE MUNI INC       PREFERRED
                     STOCK        92112T108        217     19696 Shares                 X                 1         0      0       0
VAN KAMPEN PENN
VALUE MUNI INC       PREFERRED
                     STOCK        92112T108        513     46571 Shares                         X         1         0      0       0
VANGUARD TOTAL BOND
MKT ETF              PREFERRED
                     STOCK        921937835         51       660 Shares                 X                 1         0      0       0
VANGUARD EUROPE
PACIFIC ETF          PREFERRED
                     STOCK        921943858        136      4755 Shares                 X                 1         0      0       0
VANGUARD HIGH
DIVIDEND YIELD E     PREFERRED
                     STOCK        921946406         52      1645 Shares                 X                 1         0      0       0
VANGUARD FTSE ALL-
WORLD EX-US          PREFERRED
                     STOCK        922042775        136      3791 Shares                 X                 1         0      0       0
VANGUARD EMERGING
MKTS ETF             PREFERRED
                     STOCK        922042858         70      2205 Shares                 X                 1         0      0       0
VANGUARD EMERGING
MKTS ETF             PREFERRED
                     STOCK        922042858         60      1895 Shares                         X         1         0      0       0
VANGUARD EMERGING
MKTS ETF             PREFERRED
                     STOCK        922042858        246      7725 Shares                 X                 3         0      0       0
VANGUARD ENERGY ETF  PREFERRED
                     STOCK        92204A306          8       112 Shares                         X         1         0      0       0
VANGUARD MATERIALS
ETF                  PREFERRED
                     STOCK        92204A801         13       250 Shares                 X                 1         0      0       0
VARIAN INC           COMMON STOCK 922206107          5       120 Shares                 X                 1       120      0       0
VARIAN SEMICONDUCTOR
EQUIP ASS            COMMON STOCK 922207105          6       270 Shares                 X                 1       270      0       0
VARIAN MEDICAL SYS
INC COM              COMMON STOCK 92220P105          8       225 Shares                 X                 1       225      0       0
VARIAN MEDICAL SYS
INC COM              COMMON STOCK 92220P105          4       100 Shares                         X         1       100      0       0
VECTREN CORP COM     COMMON STOCK 92240G101          7       281 Shares                 X                 1       281      0       0
VANGUARD SMALL-CAP
GROWTH ETF           PREFERRED
                     STOCK        922908595         50      1036 Shares                 X                 1         0      0       0
VANGUARD EXTENDED
MKT ETF              PREFERRED
                     STOCK        922908652          2        60 Shares                         X         1         0      0       0
VANGUARD GROWTH ETF  PREFERRED
                     STOCK        922908736         70      1617 Shares                 X                 1         0      0       0
VANGUARD TOTAL STOCK
MARKET ET            PREFERRED
                     STOCK        922908769        258      5580 Shares                         X         1         0      0       0
VEOLIA ENVIRONNEMENT COMMON STOCK 92334N103         38      1300 Shares                 X                 3      1300      0       0
VERENIUM CORP        COMMON STOCK 92340P100          0       150 Shares                 X                 1       150      0       0
VERIFONE HOLDINGS
INC                  COMMON STOCK 92342Y109          8      1000 Shares                 X                 2         0      0    1000
VERISIGN INC COM     COMMON STOCK 92343E102         21      1150 Shares                 X                 1      1150      0       0
VERIZON
COMMUNICATIONS COM   COMMON STOCK 92343V104      15154    493142 Shares                 X                 1    485292      0    7850
VERIZON
COMMUNICATIONS COM   COMMON STOCK 92343V104       7015    228273 Shares                         X         1    219022      0    9251
VERIZON
COMMUNICATIONS COM   COMMON STOCK 92343V104       8245    268292 Shares                 X                 2     46624      0  221668
VERIZON
COMMUNICATIONS COM   COMMON STOCK 92343V104        441     14353 Shares                 X                 3     10715      0    3638
VIACOM INC-CLASS B   COMMON STOCK 92553P201        176      7760 Shares                 X                 1      7760      0       0
VIACOM INC-CLASS B   COMMON STOCK 92553P201        127      5583 Shares                         X         1      3183      0    2400
VISA INC             COMMON STOCK 92826C839          9       145 Shares                 X                 1       145      0       0
VISA INC             COMMON STOCK 92826C839         19       300 Shares                         X         1       300      0       0
VISA INC             COMMON STOCK 92826C839       1289     20700 Shares                 X                 2         0      0   20700



                                    71 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
VISHAY
INTERTECHNOLOGY INC
COM                  COMMON STOCK 928298108          7      1000 Shares                 X                 1      1000      0       0
VISIONCHINA MEDIA
INC                  COMMON STOCK 92833U103          1       203 Shares                 X                 1       203      0       0
VIVUS INC            COMMON STOCK 928551100         14      2350 Shares                 X                 1      2350      0       0
VIVUS INC            COMMON STOCK 928551100        310     50950 Shares                 X                 3     50950      0       0
VMWARE INC           COMMON STOCK 928563402       1156     42381 Shares                 X                 1     42381      0       0
VMWARE INC           COMMON STOCK 928563402       1052     38567 Shares                 X                 3     38567      0       0
VODAFONE GROUP PLC -
SP ADR               COMMON STOCK 92857W209        590     30249 Shares                 X                 1     30249      0       0
VODAFONE GROUP PLC -
SP ADR               COMMON STOCK 92857W209        201     10329 Shares                         X         1     10168      0     161
VODAFONE GROUP PLC -
SP ADR               COMMON STOCK 92857W209         66      3372 Shares                 X                 2         0      0    3372
VOLCANO CORP         COMMON STOCK 928645100          3       200 Shares                         X         1       200      0       0
VORNADO REALTY TRUST
(REIT)               COMMON STOCK 929042109        142      3146 Shares                 X                 2         0      0       0
VORNADO REALTY TRUST
3.625% 11            OTHER        929043AE7       4819   5325000 Shares                 X                 2         0      0       0
VULCAN MATERIAL COM  COMMON STOCK 929160109         62      1440 Shares                 X                 1      1440      0       0
VULCAN MATERIAL COM  COMMON STOCK 929160109          6       145 Shares                         X         1       145      0       0
VULCAN MATERIAL COM  COMMON STOCK 929160109         65      1500 Shares                 X                 3      1500      0       0
WD 40 CO COM         COMMON STOCK 929236107         12       400 Shares                 X                 1       400      0       0
WD 40 CO COM         COMMON STOCK 929236107          6       200 Shares                         X         1       200      0       0
WGL HLDGS INC COM    COMMON STOCK 92924F106         22       700 Shares                 X                 1       700      0       0
WGL HLDGS INC COM    COMMON STOCK 92924F106         61      1893 Shares                         X         1      1893      0       0
WGL HLDGS INC COM    COMMON STOCK 92924F106         58      1796 Shares                 X                 2         0      0    1796
WGL HLDGS INC COM    COMMON STOCK 92924F106         59      1828 Shares                 X                 3      1828      0       0
WMS INDUSTRIES INC   COMMON STOCK 929297109         24       775 Shares                 X                 1       775      0       0
WMS INDUSTRIES INC   COMMON STOCK 929297109        545     17300 Shares                 X                 3     17300      0       0
W P CAREY & CO LLC   COMMON STOCK 92930Y107          5       200 Shares                 X                 1         0      0       0
W P CAREY & CO LLC   COMMON STOCK 92930Y107        125      5019 Shares                         X         1         0      0       0
WABTEC CORP COM      COMMON STOCK 929740108         74      2300 Shares                 X                 1      2300      0       0
WABTEC CORP COM      COMMON STOCK 929740108       1634     50782 Shares                 X                 3     50782      0       0
WAL MART STORES INC
COM                  COMMON STOCK 931142103      11566    238765 Shares                 X                 1    237065      0    1700
WAL MART STORES INC
COM                  COMMON STOCK 931142103       3775     77938 Shares                         X         1     69998      0    7940
WAL MART STORES INC
COM                  COMMON STOCK 931142103        616     12716 Shares                 X                 2         0      0   12716
WAL MART STORES INC
COM                  COMMON STOCK 931142103       2626     54205 Shares                 X                 3     51874      0    2331
WAL MART STORES INC
COM                  COMMON STOCK 931142103         15       300 Shares                 X                 4       300      0       0
WALGREEN CO          COMMON STOCK 931422109        525     17868 Shares                 X                 1     17818      0      50
WALGREEN CO          COMMON STOCK 931422109        526     17905 Shares                         X         1     12235      0    5670
THE WARNACO GROUP
INC                  COMMON STOCK 934390402         45      1400 Shares                 X                 1      1400      0       0
THE WARNACO GROUP
INC                  COMMON STOCK 934390402       1004     30969 Shares                 X                 3     30969      0       0
WASHINGTON MUTUAL
INCORPORATED         COMMON STOCK 939322103          1     13100 Shares                 X                 2     13100      0       0



                                    72 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
WASHINGTON POST CO
CL B                 COMMON STOCK 939640108        194       550 Shares                 X                 2         0      0     550
WASHINGTON REAL
ESTATE INVT (R       COMMON STOCK 939653101        225     10051 Shares                 X                 1         0      0       0
WASHINGTON REAL
ESTATE INVT (R       COMMON STOCK 939653101         42      1865 Shares                         X         1         0      0       0
WASHINGTON REAL
ESTATE INVT (R       COMMON STOCK 939653101        408     18236 Shares                 X                 2         0      0       0
WASTE CONNECTIONS
INC                  COMMON STOCK 941053100        182      7027 Shares                 X                 1      7027      0       0
WASTE CONNECTIONS
INC                  COMMON STOCK 941053100       1555     59997 Shares                 X                 3     59997      0       0
WASTE MANAGEMENT INC
COM                  COMMON STOCK 94106L109         81      2868 Shares                 X                 1      2868      0       0
WASTE MANAGEMENT INC
COM                  COMMON STOCK 94106L109        393     13942 Shares                         X         1      9642      0    4300
WATERS CORP COM      COMMON STOCK 941848103        139      2700 Shares                 X                 1      2700      0       0
WATSON
PHARMACEUTICALS INC
COM                  COMMON STOCK 942683103         51      1526 Shares                         X         1       763    763       0
WEBSENSE INC         COMMON STOCK 947684106         48      2675 Shares                 X                 1      2675      0       0
WEBSENSE INC         COMMON STOCK 947684106       1063     59575 Shares                 X                 3     59575      0       0
WEBSTER FINANCIAL
CORP                 COMMON STOCK 947890109         91     11356 Shares           X                             11356      0       0
WEINGARTEN REALTY
INVESTORS            COMMON STOCK 948741103       1973    135954 Shares                 X                 2     12623      0       0
WEIS MARKETS INC     COMMON STOCK 948849104        108      3230 Shares                 X                 1      2780      0     450
WEIS MARKETS INC     COMMON STOCK 948849104         17       500 Shares                         X         1       500      0       0
WELLPOINT INC        COMMON STOCK 94973V107         41       800 Shares                 X                 1       800      0       0
WELLS FARGO & CO     COMMON STOCK 949746101       9327    384458 Shares                 X                 1    373735      0   10723
WELLS FARGO & CO     COMMON STOCK 949746101       3923    161719 Shares                         X         1    154154      0    7565
WELLS FARGO & CO     COMMON STOCK 949746101       6034    248726 Shares                 X                 2     44300      0  204426
WELLS FARGO & CO     COMMON STOCK 949746101        337     13902 Shares                 X                 3      8885      0    5017
WELLS FARGO & CO     COMMON STOCK 949746101          5       219 Shares                 X                 4       219      0       0
WERNER ENTERPRISES
INC                  COMMON STOCK 950755108         15       847 Shares                 X                 1       847      0       0
WESTAR ENERGY INC    COMMON STOCK 95709T100          3       150 Shares                         X         1       150      0       0
WESTERN ASSET GLOBAL
HIGH INC             PREFERRED
                     STOCK        95766B109         16      1800 Shares                 X                 1         0      0       0
WESTERN ASSET
MANAGED MUNICIPA     PREFERRED
                     STOCK        95766M105         11      1016 Shares                         X         1         0      0       0
WESTERN ASSET
MANAGED MUNICIPA     PREFERRED
                     STOCK        95766M105         56      5000 Shares                 X                 2         0      0       0
WESTERN ASSET
MUNICIPAL HIGH I     PREFERRED
                     STOCK        95766N103          7      1050 Shares                         X         1         0      0       0
WESTN DIGITAL CORP   COMMON STOCK 958102105       1463     55202 Shares                 X                 1     55202      0       0
WESTN DIGITAL CORP   COMMON STOCK 958102105       3965    149610 Shares                 X                 3    149610      0       0
WESTERN UNION
COMPANY              COMMON STOCK 959802109        236     14385 Shares                 X                 1     14385      0       0
WESTERN UNION
COMPANY              COMMON STOCK 959802109        218     13302 Shares                         X         1     12977      0     325
WESTERN UNION
COMPANY              COMMON STOCK 959802109          3       200 Shares                 X                 4       200      0       0
WEYERHAEUSER CO COM  COMMON STOCK 962166104        116      3823 Shares                 X                 1      3823      0       0
WEYERHAEUSER CO COM  COMMON STOCK 962166104        107      3517 Shares                         X         1      2719      0     798
WEYERHAEUSER CO COM  COMMON STOCK 962166104        390     12805 Shares                 X                 2         0      0   12805
WHIRLPOOL CORP COM   COMMON STOCK 963320106          9       200 Shares                 X                 1       200      0       0



                                    73 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
WHIRLPOOL CORP COM   COMMON STOCK 963320106         22       524 Shares                         X         1       524      0       0
WHITNEY HOLDING CORP
COM                  COMMON STOCK 966612103         22      2375 Shares                 X                 1      2375      0       0
WHITNEY HOLDING CORP
COM                  COMMON STOCK 966612103        219     23950 Shares                 X                 3     23950      0       0
WHOLE FOODS MKT INC
COM                  COMMON STOCK 966837106          4       200 Shares                 X                 1       200      0       0
WHOLE FOODS MKT INC
COM                  COMMON STOCK 966837106         81      4245 Shares                 X                 2         0      0    4245
WILBER CORP COM      COMMON STOCK 967797101          8       750 Shares                 X                 1       750      0       0
WILLIAMS COMPANY INC
(THE)                COMMON STOCK 969457100          8       526 Shares                 X                 1       526      0       0
WILLIAMS COMPANY INC
(THE)                COMMON STOCK 969457100         25      1600 Shares                         X         1       400      0    1200
WILLIAMS COMPANY INC
(THE)                COMMON STOCK 969457100         72      4600 Shares                 X                 3      4600      0       0
WILLIAMS PARTNERS LP COMMON STOCK 96950F104          8       450 Shares                 X                 2         0      0     450
WILLIAMS SONOMA INC  COMMON STOCK 969904101         49      4100 Shares                 X                 3      4100      0       0
WILMINGTON TRUST CRP COMMON STOCK 971807102         36      2650 Shares                 X                 3      2650      0       0
WINDSTREAM CORP      COMMON STOCK 97381W104         66      7880 Shares                 X                 1      7880      0       0
WINDSTREAM CORP      COMMON STOCK 97381W104        316     37761 Shares                         X         1     37761      0       0
WISCONSIN ENERGY
CORP COM             COMMON STOCK 976657106        136      3352 Shares                 X                 1      3352      0       0
WISCONSIN ENERGY
CORP COM             COMMON STOCK 976657106         89      2175 Shares                         X         1      2175      0       0
WISDOMTREE INTL REAL
ES FD                PREFERRED
                     STOCK        97717W331         46      2000 Shares                 X                 1         0      0       0
WOLVERINES WORLD
WIDE INC COM         COMMON STOCK 978097103         14       625 Shares                 X                 1       625      0       0
WOODWARD GOVERNOR CO
COM                  COMMON STOCK 980745103         56      2825 Shares                 X                 1      2825      0       0
WOODWARD GOVERNOR CO
COM                  COMMON STOCK 980745103       1230     62125 Shares                 X                 3     62125      0       0
WORLD FUEL SERVICES
CORPORATIO           COMMON STOCK 981475106         95      2297 Shares                 X                 1      2297      0       0
WORTHINGTON INDS INC
COM                  COMMON STOCK 981811102          6       500 Shares                 X                 1       500      0       0
WORTHINGTON INDS INC
COM                  COMMON STOCK 981811102        166     13000 Shares                         X         1         0      0   13000
WYETH                COMMON STOCK 983024100      11077    244042 Shares                 X                 1    242980      0    1062
WYETH                COMMON STOCK 983024100      11773    259384 Shares                         X         1    219034      0   40350
WYETH                COMMON STOCK 983024100        744     16400 Shares                 X                 2      6400      0   10000
WYETH                COMMON STOCK 983024100        256      5637 Shares                 X                 3      5637      0       0
WYETH                COMMON STOCK 983024100         14       300 Shares                 X                 4       300      0       0
WYNDHAM WORLDWIDE
CORP                 COMMON STOCK 98310W108          2       200 Shares                 X                 1       200      0       0
WYNDHAM WORLDWIDE
CORP                 COMMON STOCK 98310W108          4       333 Shares                         X         1       333      0       0
WYNN RESORTS LIMITED COMMON STOCK 983134107          4       100 Shares                 X                 1       100      0       0
XTO ENERGY INC COM   COMMON STOCK 98385X106        750     19676 Shares                 X                 1     19676      0       0
XTO ENERGY INC COM   COMMON STOCK 98385X106        218      5710 Shares                         X         1      5710      0       0
XTO ENERGY INC COM   COMMON STOCK 98385X106       1606     42100 Shares                 X                 2         0      0   42100
XCEL ENERGY INC COM  COMMON STOCK 98389B100         27      1465 Shares                 X                 1      1465      0       0
XCEL ENERGY INC COM  COMMON STOCK 98389B100        100      5439 Shares                         X         1      5439      0       0
XENOPORT INC         COMMON STOCK 98411C100        425     18325 Shares                 X                 3     18325      0       0



                                    74 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
XEROX CORP           COMMON STOCK 984121103         32      5009 Shares                 X                 1      5009      0       0
XEROX CORP           COMMON STOCK 984121103         48      7444 Shares                         X         1      7444      0       0
XEROX CORP           COMMON STOCK 984121103         58      8900 Shares                 X                 3      8900      0       0
XFONE INC            COMMON STOCK 98414Y109          0       275 Shares                 X                 1       275      0       0
YAHOO INC COM        COMMON STOCK 984332106       1301     83070 Shares                 X                 1     83070      0       0
YAHOO INC COM        COMMON STOCK 984332106          5       320 Shares                         X         1       320      0       0
YAHOO INC COM        COMMON STOCK 984332106         94      6000 Shares                 X                 2         0      0    6000
YAHOO INC COM        COMMON STOCK 984332106       2714    173320 Shares                 X                 3    173320      0       0
YAMANA GOLD INC      COMMON STOCK 98462Y100         18      2025 Shares                 X                 1      2025      0       0
YAMANA GOLD INC      COMMON STOCK 98462Y100          1       100 Shares                         X         1       100      0       0
YAMANA GOLD INC      COMMON STOCK 98462Y100        207     23400 Shares                 X                 3     23400      0       0
YORK WATER COMPANY   COMMON STOCK 987184108       1507     98268 Shares                 X                 1     91232      0    7036
YORK WATER COMPANY   COMMON STOCK 987184108       1235     80501 Shares                         X         1     80501      0       0
YUM! BRANDS INC      COMMON STOCK 988498101        424     12730 Shares                 X                 1     12730      0       0
YUM! BRANDS INC      COMMON STOCK 988498101        359     10755 Shares                         X         1      7115      0    3640
YUM! BRANDS INC      COMMON STOCK 988498101       2737     82080 Shares                 X                 2         0      0   82080
ZEBRA TECHNOLOGIES
CORP CL A            COMMON STOCK 989207105          4       150 Shares                 X                 1       150      0       0
ZEBRA TECHNOLOGIES
CORP CL A            COMMON STOCK 989207105         53      2250 Shares                         X         1      2250      0       0
ZENITH NATIONAL
INSURANCE CORP       COMMON STOCK 989390109         30      1400 Shares                 X                 2         0      0    1400
ZEP INC              COMMON STOCK 98944B108        265     22000 Shares                 X                 2         0      0   22000
ZIMMER HLDGS INC COM COMMON STOCK 98956P102       4198     98536 Shares                 X                 1     96486      0    2050
ZIMMER HLDGS INC COM COMMON STOCK 98956P102        886     20804 Shares                         X         1     18664      0    2140
ZIMMER HLDGS INC COM COMMON STOCK 98956P102       2760     64774 Shares                 X                 2     12290      0   52484
ZIMMER HLDGS INC COM COMMON STOCK 98956P102       1296     30407 Shares                 X                 3     28802      0    1605
ZIONS BANCORPORATION
COM                  COMMON STOCK 989701107        241     20810 Shares                 X                 1     20810      0       0
ZIONS BANCORPORATION
COM                  COMMON STOCK 989701107         39      3335 Shares                         X         1      3335      0       0
ZIONS BANCORPORATION
COM                  COMMON STOCK 989701107        630     54499 Shares                 X                 3     53073      0    1426
ZORAN CORP           COMMON STOCK 98975F101         22      2050 Shares                 X                 1      2050      0       0
ZORAN CORP           COMMON STOCK 98975F101        489     44800 Shares                 X                 3     44800      0       0
DAIMLER AG           COMMON STOCK D1668R123         14       386 Shares                 X                 1       386      0       0
DAIMLER AG           COMMON STOCK D1668R123          4       124 Shares                         X         1       124      0       0
DAIMLER AG           COMMON STOCK D1668R123          4       124 Shares                 X                 2         0      0     124
DEUTSCHE BANK AG-REG COMMON STOCK D18190898         61      1000 Shares                 X                 2         0      0    1000
AMDOCS LIMITED       COMMON STOCK G02602103         44      2050 Shares                 X                 1      2050      0       0
A-POWER ENERGY
GENERATION SYST      COMMON STOCK G04136100          3       334 Shares                 X                 1       334      0       0
AXIS CAPITAL
HOLDINGS LIMITED     COMMON STOCK G0692U109          2        85 Shares                 X                 1        85      0       0
ACCENTURE LTD-CL A   COMMON STOCK G1150G111        559     16704 Shares                 X                 1     16604      0     100



                                    75 of 76






                                                                        SEC USE ____________________________

                                                                                      COLUMN 6                       COLUMN 8
                                                               COLUMN 5         INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                       ------------------------ --------------------          ---------------------
                       COLUMN 2              COLUMN 4  SHARES OR            PUT       SHARED SHARED  COLUMN 7
                       TITLE OF    COLUMN 3   VALUE    PRINCIPAL SHARES OR  OR          -       -     OTHER
NAME OF ISSUER          CLASS       CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS   SOLE  SHARED OTHER
-------------------- ------------ --------- ---------- --------- --------- ---- ---- ------- ------- -------- ------- ------ ------
                                                                                      
ACCENTURE LTD-CL A   COMMON STOCK G1150G111        425     12710 Shares                         X         1     12575      0     135
COOPER INDUSTRIES
LTD CL A             COMMON STOCK G24182100         43      1400 Shares                 X                 1      1400      0       0
COOPER INDUSTRIES
LTD CL A             COMMON STOCK G24182100         65      2100 Shares                         X         1      2100      0       0
FRONTLINE LTD        COMMON STOCK G3682E127         26      1075 Shares                 X                 1      1075      0       0
GARMIN LIMITED ORD   COMMON STOCK G37260109          1        40 Shares                 X                 1        40      0       0
GARMIN LIMITED ORD   COMMON STOCK G37260109         68      2850 Shares                 X                 3      2850      0       0
HERBALIFE LTD        COMMON STOCK G4412G101        140      4450 Shares                 X                 1      4450      0       0
HERBALIFE LTD        COMMON STOCK G4412G101       1431     45375 Shares                 X                 3     45375      0       0
INGERSOLL-RAND
COMPANY LTD-A        COMMON STOCK G4776G101         65      3118 Shares                 X                 1      3118      0       0
INGERSOLL-RAND
COMPANY LTD-A        COMMON STOCK G4776G101        148      7070 Shares                         X         1      7070      0       0
INGERSOLL-RAND
COMPANY LTD-A        COMMON STOCK G4776G101       3332    178442 Shares                 X                 2     56022      0  122420
LJ INTERNATIONAL INC COMMON STOCK G55312105          1       400 Shares                 X                 1       400      0       0
NABORS INDUSTRIES
LTD                  COMMON STOCK G6359F103        386     24750 Shares                 X                 1     24750      0       0
NABORS INDUSTRIES
LTD                  COMMON STOCK G6359F103        333     21375 Shares                         X         1     21375      0       0
NORDIC AMERICAN
TANKER SHIPPIN       COMMON STOCK G65773106         21       650 Shares                 X                 1       650      0       0
RENAISSANCERE
HOLDINGS LTD         COMMON STOCK G7496G103          1        27 Shares                 X                 1        27      0       0
SEAGATE TECHNOLOGY   COMMON STOCK G7945J104         64      6100 Shares                 X                 1      6100      0       0
SEAGATE TECHNOLOGY   COMMON STOCK G7945J104         28      2715 Shares                         X         1      2715      0       0
SHIP FINANCE INTL
LTD                  COMMON STOCK G81075106          4       381 Shares                 X                 1       381      0       0
VISTAPRINT LIMITED   COMMON STOCK G93762204         32       750 Shares                 X                 1       750      0       0
VISTAPRINT LIMITED   COMMON STOCK G93762204        699     16375 Shares                 X                 3     16375      0       0
WHITE MOUNTAINS
INSURANCE GROU       COMMON STOCK G9618E107         23       100 Shares                 X                 1       100      0       0
WHITE MOUNTAINS
INSURANCE GROU       COMMON STOCK G9618E107        663      2895 Shares                 X                 2         0      0    2895
WILLIS GROUP HLDGS
LTD                  COMMON STOCK G96655108          5       200 Shares                 X                 1       200      0       0
ALCON INC            COMMON STOCK H01301102         46       400 Shares                 X                 1       400      0       0
UBS AG               COMMON STOCK H89231338         40      3243 Shares                 X                 1      3243      0       0
UBS AG               COMMON STOCK H89231338         61      5000 Shares                 X                 2         0      0    5000
MILLICOM
INTERNATIONAL
CELLULA              COMMON STOCK L6388F110          1        24 Shares                 X                 1        24      0       0
CHECK POINT SOFTWARE
TECH COM             COMMON STOCK M22465104        371     15800 Shares                 X                 2         0      0   15800
ON TRACK INNOVATION  COMMON STOCK M8791A109          1       900 Shares                 X                 3       900      0       0
DRYSHIPS INC         COMMON STOCK Y2109Q101          0        50 Shares                 X                 1        50      0       0
EAGLE BULK SHIPPING
INC                  COMMON STOCK Y2187A101          5      1000 Shares                 X                 1      1000      0       0
FLEXTRONICS INTL LTD COMMON STOCK Y2573F102        468    112802 Shares                 X                 1    112802      0       0
FLEXTRONICS INTL LTD COMMON STOCK Y2573F102          1       300 Shares                         X         1       300      0       0
FLEXTRONICS INTL LTD COMMON STOCK Y2573F102        961    233630 Shares                 X                 3    233630      0       0
SEASPAN CORP         COMMON STOCK Y75638109         34      5500 Shares                         X         1      5500      0       0
VERIGY LTD           COMMON STOCK Y93691106          1        46 Shares                         X         1        46      0       0

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