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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: 6/30/12

CHECK HERE IF AMENDMENT           [_]; AMENDMENT NUMBER: 3/31/12
THIS AMENDMENT (CHECK ONLY ONE.): [_] IS A RESTATEMENT.
                                  [_] ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:    Peapack Gladstone Financial Corp
ADDRESS: 500 Hills Drive Suite 300
         P O Box 700
         Bedminster, NJ 07921

13F FILE NUMBER: 001-16197

THE INSTITUTIONAL  INVESTMENT MANAGER FILING THIS REPORT AND THE PERSON BY WHOM
IT IS SIGNED HEREBY REPRESENT THAT THE PERSON SIGNING THE REPORT IS AUTHORIZED
TO SUBMIT IT, THAT ALL INFORMATION CONTAINED HEREIN IS TRUE, CORRECT AND
COMPLETE, AND THAT IT IS UNDERSTOOD THAT ALL REQUIRED ITEMS, STATEMENTS
SCHEDULES, LISTS, AND TABLES, ARE CONSIDERED INTEGRAL PARTS OF THIS FORM.

PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

NAME:  Michael Pylypyshyn
TITLE: First VP & Senior Trust OPS Of
PHONE: (908)719-3306

SIGNATURE,PLACE,AND DATE OF SIGNING:

 Michael Pylypyshyn              Gladstone, NJ              6/30/12
----------------------          ----------------           ----------

REPORT TYPE (CHECK ONLY ONE.):

[X] 13F HOLDINGS REPORT

[_] 13F NOTICE

[_] 13F COMBINATION REPORT

LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:

  NONE

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.

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INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 1

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
ABBOTT LABS                            002824100     10084140  156416         X                     154766        0  1650
ABBOTT LABS                            002824100      3723271   57752               X                55322     1430  1000
ADOBE SYS INC                          00724F101      3137527   96927         X                      96127        0   800
ADOBE SYS INC                          00724F101      1623582   50157               X                47857      500  1800
AIR PRODUCTS & CHEMICALS INC           009158106      6058221   75043         X                      74443        0   600
AIR PRODUCTS & CHEMICALS INC           009158106      2495687   30914               X                29319     1080   515
ALEXION PHARMACEUTICALS INC            015351109       209027    2105         X                       2105        0     0
ALLSTATE CORP                          020002101        35230    1004         X                       1004        0     0
ALLSTATE CORP                          020002101       175450    5000               X                 5000        0     0
ALTERA CORP                            021441100       115902    3425         X                       2725        0   700
ALTERA CORP                            021441100       157525    4655               X                 3655        0  1000
ALTRIA GROUP INC                       02209S103       297925    8623         X                       7123        0  1500
ALTRIA GROUP INC                       02209S103        87066    2520               X                 2520        0     0
AMAZON.COM INC                         023135106       272422    1193         X                       1193        0     0
AMERICAN ELEC PWR INC                  025537101       128199    3213         X                       3213        0     0
AMERICAN ELEC PWR INC                  025537101       203690    5105               X                 5105        0     0
AMERICAN EXPRESS CO                    025816109       500024    8590         X                       8590        0     0
AMERICAN EXPRESS CO                    025816109       268639    4615               X                 4615        0     0
AMGEN INC                              031162100      1481458   20319         X                      19719        0   600
AMGEN INC                              031162100       357988    4910               X                 4410      500     0
ANADARKO PETROLEUM CORPORATION         032511107       213495    3225         X                       3225        0     0
ANADARKO PETROLEUM CORPORATION         032511107       593814    8970               X                 8970        0     0
APACHE CORP                            037411105       185184    2107         X                       2107        0     0
APACHE CORP                            037411105        35156     400               X                  400        0     0
APPLE INC                              037833100      6144848   10522         X                      10292        0   230
APPLE INC                              037833100      2911240    4985               X                 3185     1800     0
ASHLAND INC                            044209104       670921    9680         X                       9680        0     0
ASHLAND INC                            044209104       139105    2007               X                 2007        0     0
ASTEX PHARMACEUTICALS INC              04624B103       104500   50000               X                50000        0     0
AT&T INC                               00206R102      6723657  188549         X                     185175        0  3374
AT&T INC                               00206R102      3708890  104007               X                75074    27252  1681
AUTOMATIC DATA PROCESSING INC          053015103      5667858  101830         X                     101165        0   665
AUTOMATIC DATA PROCESSING INC          053015103      2552067   45851               X                43256     1795   800
AVI BIOPHARMA INC                      002346104         9390   15000               X                15000        0     0
BANK OF AMERICA CORP                   060505104       339797   41540         X                      39190        0  2350
BANK OF AMERICA CORP                   060505104       215600   26357               X                25707        0   650
BARD CR INC                            067383109       365296    3400         X                       3400        0     0
BAXTER INTL INC                        071813109       273669    5149         X                       5149        0     0
BAXTER INTL INC                        071813109        92481    1740               X                 1740        0     0
BECTON DICKINSON                       075887109       902606   12075         X                      11825        0   250
BECTON DICKINSON                       075887109      1027813   13750               X                13250        0   500
BERKSHIRE HATHAWAY INC CLASS A         084670108       249890       2         X                          2        0     0
BERKSHIRE HATHAWAY INC-CL B            084670702       872382   10469         X                       9948        0   521
BERKSHIRE HATHAWAY INC-CL B            084670702       249990    3000               X                 3000        0     0
                                                     -------- ------- ---- ------ -----           -------- -------- -----
SUBTOTALS FOR THIS PAGE                              65662622 1207101                              1151558    34357 21186





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 2

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
BIOGEN IDEC INC                        09062X103       440215    3049         X                       3049        0     0
BLACKROCK INC CL A                     09247X101      4355543   25648         X                      25473        0   175
BLACKROCK INC CL A                     09247X101      2056520   12110               X                 7660     4450     0
BOEING CO                              097023105       348913    4696         X                       2896        0  1800
BOEING CO                              097023105        89160    1200               X                 1200        0     0
BRISTOL MYERS SQUIBB CO                110122108      2126083   59140         X                      59140        0     0
BRISTOL MYERS SQUIBB CO                110122108      1353697   37655               X                37415      240     0
BUCKEYE PARTNERS LP                    118230101       854284   16375         X                      16375        0     0
BUCKEYE PARTNERS LP                    118230101       602303   11545               X                10145     1000   400
CATERPILLAR INC                        149123101      2435643   28685         X                      27685        0  1000
CATERPILLAR INC                        149123101      1962355   23111               X                18611     4500     0
CBS CORPORATION CLASS B                124857202       303313    9253         X                       9253        0     0
CBS CORPORATION CLASS B                124857202       167998    5125               X                 5125        0     0
CELGENE CORP                           151020104       209162    3260         X                       3260        0     0
CENTER BANCORP INC                     151408101       176794   15715         X                      15715        0     0
CENTER BANCORP INC                     151408101        33750    3000               X                 3000        0     0
CHEVRON CORPORATION                    166764100     15608409  147947         X                     146064        0  1883
CHEVRON CORPORATION                    166764100      7478051   70882               X                61122     8690  1070
CHUBB CORP                             171232101      3610124   49576         X                      49576        0     0
CHUBB CORP                             171232101      2573823   35345               X                33040      455  1850
CHURCH & DWIGHT INC                    171340102       216610    3905         X                       3655        0   250
CHURCH & DWIGHT INC                    171340102        81541    1470               X                   70      700   700
CISCO SYSTEMS INC                      17275R102      1077778   62771         X                      62121        0   650
CISCO SYSTEMS INC                      17275R102      1087376   63330               X                62430        0   900
CITRIX SYSTEMS INC                     177376100      1410108   16799         X                      16699        0   100
CITRIX SYSTEMS INC                     177376100       352128    4195               X                 4095        0   100
COCA COLA CO                           191216100      2554076   32665         X                      32665        0     0
COCA COLA CO                           191216100       125104    1600               X                 1600        0     0
COLGATE PALMOLIVE CO                   194162103      3267074   31384         X                      30936        0   448
COLGATE PALMOLIVE CO                   194162103       860074    8262               X                 7912        0   350
COMCAST CORP-CL A                      20030N101       464684   14535         X                      14385        0   150
COMCAST CORP-CL A                      20030N101       105917    3313               X                 3313        0     0
COMCAST CORP-SPECIAL CL A              20030N200       744368   23706         X                      23706        0     0
CONOCOPHILLIPS                         20825C104      1092678   19554         X                      15899        0  3655
CONOCOPHILLIPS                         20825C104       729681   13058               X                13058        0     0
CONSOLIDATED EDISON INC                209115104      1025202   16485         X                      15435        0  1050
CONSOLIDATED EDISON INC                209115104        26431     425               X                  425        0     0
COSTCO WHOLESALE CORP NEW              22160K105      4484570   47206         X                      47206        0     0
COSTCO WHOLESALE CORP NEW              22160K105      3690750   38850               X                37650      300   900
CSX CORP                               126408103       234646   10494         X                       9594        0   900
CSX CORP                               126408103       134160    6000               X                 6000        0     0
CUMMINS INC                            231021106       565567    5836         X                       5836        0     0
CUMMINS INC                            231021106       290730    3000               X                 3000        0     0
                                                    --------- ------- ---- ------ -----           -------- -------- -----
SUBTOTALS FOR THIS PAGE                              71407393  992160                               953494    20335 18331





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 3

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
CVS CAREMARK CORP                      126650100      1046425   22393         X                      22204        0   189
CVS CAREMARK CORP                      126650100       743100   15902               X                14622        0  1280
DANAHER CORP                           235851102      4205929   80759         X                      80759        0     0
DANAHER CORP                           235851102      1691142   32472               X                32072        0   400
DARDEN RESTAURANTS INC                 237194105       283123    5592         X                       5592        0     0
DARDEN RESTAURANTS INC                 237194105        24049     475               X                  475        0     0
DEERE & CO                             244199105      1617400   20000         X                      20000        0     0
DEERE & CO                             244199105       739961    9150               X                 9150        0     0
DEVON ENERGY CORPORATION               25179M103      1401270   24164         X                      23724        0   440
DEVON ENERGY CORPORATION               25179M103       548006    9450               X                 9450        0     0
DISNEY WALT CO NEW                     254687106      7748263  159758         X                     158208        0  1550
DISNEY WALT CO NEW                     254687106      3506502   72299               X                69399     1075  1825
DOMINION RESOURCES INC                 25746U109      2427894   44961         X                      44661        0   300
DOMINION RESOURCES INC                 25746U109      2012472   37268               X                36266        0  1002
DOVER CORP                             260003108       302628    5645         X                       5645        0     0
DOVER CORP                             260003108       107220    2000               X                 2000        0     0
DOW CHEMICAL COMPANY                   260543103       134946    4284         X                       4284        0     0
DOW CHEMICAL COMPANY                   260543103       276098    8765               X                 8765        0     0
DU PONT E I DE NEMOURS & CO            263534109      7706919  152401         X                     148976        0  3425
DU PONT E I DE NEMOURS & CO            263534109      3645338   72085               X                52985    18950   150
DUKE ENERGY CORP                       26441C105      1398889   60663         X                      45384        0 15279
DUKE ENERGY CORP                       26441C105       788860   34209               X                32273        0  1936
ECOLAB INC                             278865100       559890    8170         X                       7870        0   300
ECOLAB INC                             278865100       958940   13993               X                 5493     8500     0
EMC CORP MASS                          268648102       846995   33047         X                      33047        0     0
EMC CORP MASS                          268648102       684321   26700               X                13700    13000     0
EMERSON ELEC CO                        291011104      1939358   41635         X                      41155        0   480
EMERSON ELEC CO                        291011104      1127050   24196               X                23076     1120     0
ENBRIDGE ENERGY PARTNERS LP            29250R106       539244   17525         X                      17525        0     0
ENBRIDGE ENERGY PARTNERS LP            29250R106       296931    9650               X                 9650        0     0
ENTERGY CORP                           29364G103       191110    2815         X                       2815        0     0
ENTERGY CORP                           29364G103       203670    3000               X                 3000        0     0
ENTERPRISE PRODS PARTNERS LP           293792107       368108    7184         X                       7184        0     0
ENTERPRISE PRODS PARTNERS LP           293792107        51240    1000               X                  700        0   300
EOG RES INC                            26875P101       243387    2701         X                       2201        0   500
EOG RES INC                            26875P101       179679    1994               X                 1714        0   280
ERIE INDEMNITY CO                      29530P102       214830    3000         X                       3000        0     0
EXELON CORP                            30161N101       843666   22426         X                      21766        0   660
EXELON CORP                            30161N101       334818    8900               X                 8900        0     0
EXPRESS SCRIPTS HLDG                   30219G108      2335425   41831         X                      41581        0   250
EXPRESS SCRIPTS HLDG                   30219G108      1410098   25257               X                14157    10000  1100
EXXONMOBIL CORP                        30231G102     34206950  399754         X                     383767        0 15987
EXXONMOBIL CORP                        30231G102     15296835  178764               X               162835    13550  2379
                                                    --------- ------- ---- ------ -----           -------- -------- -----
SUBTOTALS FOR THIS PAGE                             105188979 1748237                              1632030    66195 50012






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 4

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
FIDELITY NATL INFORMATION SVCS         31620M106     15336000  450000         X                     450000        0     0
FIDELITY NATL INFORMATION SVCS         31620M106        15677     460               X                  460        0     0
FLOWERS FOODS INC                      343498101        17376     748         X                        748        0     0
FLOWERS FOODS INC                      343498101       248561   10700               X                10700        0     0
FORD MOTOR CO DEL                      345370860       109758   11445         X                      11445        0     0
FORD MOTOR CO DEL                      345370860       151043   15750               X                15250        0   500
FRANKLIN RESOURCES INC                 354613101      1022218    9210         X                       9210        0     0
GENERAL ELECTRIC CORP                  369604103     13323846  639340         X                     635226        0  4114
GENERAL ELECTRIC CORP                  369604103      7376381  353953               X               306903    44500  2550
GENERAL MLS INC                        370334104      1411759   36631         X                      35631        0  1000
GENERAL MLS INC                        370334104       466141   12095               X                10865      990   240
GLOWPOINT INC                          379887201        21944   10400         X                      10400        0     0
GOLDMAN SACHS GROUP INC                38141G104      1301395   13576         X                      13376        0   200
GOLDMAN SACHS GROUP INC                38141G104       537775    5610               X                 5510      100     0
GOOGLE INC CL A                        38259P508       738429    1273         X                       1273        0     0
GOOGLE INC CL A                        38259P508        96292     166               X                  166        0     0
HEINZ H J CO                           423074103       800474   14720         X                      14720        0     0
HEINZ H J CO                           423074103        46223     850               X                  450      400     0
HEWLETT PACKARD CO                     428236103       145053    7213         X                       6613        0   600
HEWLETT PACKARD CO                     428236103        76358    3797               X                 3797        0     0
HOME DEPOT INC                         437076102      4527360   85438         X                      83013        0  2425
HOME DEPOT INC                         437076102      3575076   67467               X                42427    24040  1000
HONEYWELL INTERNATIONAL INC            438516106       613012   10978         X                      10825        0   153
HONEYWELL INTERNATIONAL INC            438516106       111903    2004               X                 2004        0     0
HORMEL FOODS CORPORATION               440452100       316368   10400         X                      10400        0     0
HORMEL FOODS CORPORATION               440452100         5932     195               X                  195        0     0
ILLINOIS TOOL WKS INC                  452308109      3297321   62343         X                      61718        0   625
ILLINOIS TOOL WKS INC                  452308109      1562741   29547               X                21902     7145   500
INTEL CORP                             458140100      7140228  267926         X                     262401        0  5525
INTEL CORP                             458140100      3653982  137110               X                97025    37345  2740
INTERNATIONAL PAPER CO                 460146103      1412485   48858         X                      48078        0   780
INTERNATIONAL PAPER CO                 460146103       341138   11800               X                 9200     2300   300
INTL. BUSINESS MACHINES CORP           459200101     16037169   81998         X                      79123        0  2875
INTL. BUSINESS MACHINES CORP           459200101      7870922   40244               X                37774     1905   565
JM SMUCKER CO                          832696405       392931    5203         X                       5203        0     0
JM SMUCKER CO                          832696405        75369     998               X                  998        0     0
JOHNSON & JOHNSON                      478160104      9759380  144455         X                     141234        0  3221
JOHNSON & JOHNSON                      478160104      7702651  114012               X               100392    11120  2500
JOHNSON CONTROLS INC                   478366107      1718491   62017         X                      61842        0   175
JOHNSON CONTROLS INC                   478366107      1113942   40200               X                20200    20000     0
JP MORGAN CHASE & CO                   46625H100      6688656  187200         X                     183625        0  3575
JP MORGAN CHASE & CO                   46625H100      3849800  107747               X                84247    22075  1425
KANSAS CITY SOUTHERN                   485170302      1048269   15070         X                      15070        0     0
KANSAS CITY SOUTHERN                   485170302       149554    2150               X                 1750        0   400
                                                    --------- ------- ---- ------ -----           -------- -------- -----
SUBTOTALS FOR THIS PAGE                             126207383 3133297                              2923389   171920 37988





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 5

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
KELLOGG CO                             487836108       236784    4800         X                       4400        0   400
KELLOGG CO                             487836108        14799     300               X                  300        0     0
KIMBERLY CLARK CORP                    494368103       616128    7355         X                       6955        0   400
KIMBERLY CLARK CORP                    494368103       249216    2975               X                 2325      300   350
KINDER MORGAN ENERGY PARTNERS LP       494550106       259314    3300         X                       3300        0     0
KINDER MORGAN ENERGY PARTNERS LP       494550106       428261    5450               X                 5450        0     0
KOHLS CORP                             500255104       427606    9400         X                       9400        0     0
KOHLS CORP                             500255104        43216     950               X                  950        0     0
KRAFT FOODS INC CL A                   50075N104       659977   17089         X                      16964        0   125
KRAFT FOODS INC CL A                   50075N104        79712    2064               X                 1839      225     0
LILLY ELI & CO                         532457108      1394360   32495         X                      31795        0   700
LILLY ELI & CO                         532457108       737408   17185               X                17005      180     0
LOWES COS INC                          548661107       900695   31670         X                      31670        0     0
LOWES COS INC                          548661107       453760   15955               X                15955        0     0
L3 COMMUNICATIONS HOLDINGS INC         502424104        85112    1150         X                       1150        0     0
L3 COMMUNICATIONS HOLDINGS INC         502424104       149130    2015               X                 2015        0     0
MARATHON OIL CORP                      565849106        39122    1530         X                       1530        0     0
MARATHON OIL CORP                      565849106       161091    6300               X                 6300        0     0
MARRIOTT INTERNATIONAL INC             571903202        29635     756         X                        403        0   353
MARRIOTT INTERNATIONAL INC             571903202       382200    9750               X                 9749        0     1
MATTEL INC                             577081102       353920   10910         X                      10910        0     0
MCCORMICK & CO INC                     579780206      1444440   23816         X                      23541        0   275
MCCORMICK & CO INC                     579780206      1214638   20027               X                19917      110     0
MCDONALDS CORP                         580135101      7212362   81468         X                      79668        0  1800
MCDONALDS CORP                         580135101      3318016   37479               X                36849      355   275
MCKESSON CORP                          58155Q103       294375    3140         X                       3140        0     0
MCKESSON CORP                          58155Q103        21094     225               X                  225        0     0
MEAD JOHNSON NUTRITION CO              582839106         8051     100         X                        100        0     0
MEAD JOHNSON NUTRITION CO              582839106       417847    5190               X                 5190        0     0
MEDTRONIC INC                          585055106       219599    5670         X                       5670        0     0
MEDTRONIC INC                          585055106        30984     800               X                  800        0     0
MERCK & CO INC                         58933Y105      5669441  135795         X                     134635        0  1160
MERCK & CO INC                         58933Y105      4069790   97480               X                72904    22000  2576
MERRIMACK PHARMACEUTICALS INC          590328100       109200   15000         X                      15000        0     0
MERRIMACK PHARMACEUTICALS INC          590328100        72815   10002               X                10002        0     0
METLIFE INC                            59156R108      2501195   81076         X                      81076        0     0
METLIFE INC                            59156R108      1409999   45705               X                27305    18000   400
MICROSOFT CORP                         594918104      4606548  150590         X                     148540        0  2050
MICROSOFT CORP                         594918104      2195414   71769               X                50169    17400  4200
MONSANTO CO                            61166W101       396351    4788         X                       4618        0   170
MONSANTO CO                            61166W101       402725    4865               X                 4865        0     0
NATIONAL FUEL GAS CO                   636180101       244296    5200         X                       5200        0     0
NATIONAL-OILWELL INC                   637071101       882699   13698         X                      12973        0   725
NATIONAL-OILWELL INC                   637071101      1002042   15550               X                 9800     5750     0
                                                     -------- ------- ---- ------ -----           -------- -------- -----
SUBTOTALS FOR THIS PAGE                              45445367 1012832                               932552    64320 15960





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 6

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
NEW JERSEY RES CORP                    646025106       214561    4920         X                       4320        0   600
NEXTERA ENERGY INC                     65339F101      1340281   19478         X                      19478        0     0
NEXTERA ENERGY INC                     65339F101      1090639   15850               X                15475        0   375
NIKE INC-CLASS B                       654106103       686176    7817         X                       7817        0     0
NIKE INC-CLASS B                       654106103       276507    3150               X                 3150        0     0
NORDSTROM INC                          655664100       292525    5887         X                       5887        0     0
NORFOLK SOUTHERN CORP                  655844108       338467    4716         X                       4716        0     0
NORFOLK SOUTHERN CORP                  655844108       372630    5192               X                 5192        0     0
NORTHERN TR CORP                       665859104       555922   12080         X                      12080        0     0
NORTHERN TR CORP                       665859104       253340    5505               X                 5205      300     0
NUCOR CORP                             670346105       866963   22875         X                      22675        0   200
NUCOR CORP                             670346105       285198    7525               X                 5775     1510   240
OCCIDENTAL PETE CORP                   674599105       825193    9621         X                       9621        0     0
OCCIDENTAL PETE CORP                   674599105        99493    1160               X                 1160        0     0
ORACLE CORPORATION                     68389X105       374398   12606         X                      12606        0     0
ORACLE CORPORATION                     68389X105       151797    5111               X                 5111        0     0
PEABODY ENERGY CORP                    704549104        85207    3475         X                       3475        0     0
PEABODY ENERGY CORP                    704549104       336782   13735               X                13735        0     0
PEAPACK-GLADSTONE FINL CORP            704699107      7713542  497327         X                     493802        0  3525
PEAPACK-GLADSTONE FINL CORP            704699107      6301620  406294               X               406294        0     0
PENN VIRGINIA RESOURCE PARTNERS LP     707884102       824425   33650         X                      33650        0     0
PENN VIRGINIA RESOURCE PARTNERS LP     707884102       550025   22450               X                19900     2550     0
PEPSICO INC                            713448108     12751657  180465         X                     175382        0  5083
PEPSICO INC                            713448108      5625455   79613               X                64043    14520  1050
PFIZER INC                             717081103      1532996   66652         X                      62583        0  4069
PFIZER INC                             717081103      1221507   53109               X                34909    18200     0
PHILIP MORRIS INTERNATIONAL            718172109       829057    9501         X                       7101        0  2400
PHILIP MORRIS INTERNATIONAL            718172109       349040    4000               X                 4000        0     0
PHILLIPS 66                            718546104       257111    7735         X                       6908        0   827
PHILLIPS 66                            718546104       185512    5581               X                 5581        0     0
PITNEY BOWES INC                       724479100       796329   53195         X                      52695        0   500
PITNEY BOWES INC                       724479100       280538   18740               X                14740     2750  1250
PNC FINANCIAL SERVICES GROUP           693475105      1237478   20250         X                      20250        0     0
PNC FINANCIAL SERVICES GROUP           693475105       564656    9240               X                 8395        0   845
PPG INDUSTRIES INC                     693506107       472234    4450         X                       4450        0     0
PPG INDUSTRIES INC                     693506107       387338    3650               X                 3650        0     0
PPL CORPORATION                        69351T106      1771636   63705         X                      60080        0  3625
PPL CORPORATION                        69351T106       448019   16110               X                16110        0     0
PRAXAIR INC                            74005P104       400779    3686         X                       3686        0     0
PRAXAIR INC                            74005P104        54365     500               X                  500        0     0
PROCTER & GAMBLE CO                    742718109      9149341  149377         X                     145957        0  3420
PROCTER & GAMBLE CO                    742718109      6525698  106542               X                89732    15820   990
PROVIDENT FINL SVCS INC                74386T105       245600   16000               X                16000        0     0
                                                    --------- ------- ---- ------ -----           -------- -------- -----
SUBTOTALS FOR THIS PAGE                              68922037 1992525                              1907876    55650 28999





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 7

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
PUBLIC SVC ENTERPRISE GROUP INC        744573106      1908530   58724         X                      57074        0  1650
PUBLIC SVC ENTERPRISE GROUP INC        744573106       940225   28930               X                27255      175  1500
QUALCOMM INC                           747525103      6150970  110470         X                     108945        0  1525
QUALCOMM INC                           747525103      2992188   53739               X                39744    13295   700
QUEST DIAGNOSTICS INC                  74834L100       639732   10680         X                      10680        0     0
QUEST DIAGNOSTICS INC                  74834L100       705323   11775               X                11575        0   200
ROCKWELL AUTOMATION INC                773903109       365840    5538         X                       4538        0  1000
ROCKWELL AUTOMATION INC                773903109        87067    1318               X                  518      550   250
RUTH'S HOSPITALITY GROUP INC           783332109        66964   10146         X                      10146        0     0
SCANA CORP                             80589M102        28704     600         X                        600        0     0
SCANA CORP                             80589M102       172224    3600               X                 3600        0     0
SELECTIVE INS GROUP INC                816300107       261150   15000         X                      15000        0     0
SEMPRA ENERGY                          816851109        36851     535         X                        535        0     0
SEMPRA ENERGY                          816851109       247968    3600               X                 3600        0     0
SOUTHERN COMPANY                       842587107      2991443   64610         X                      63617        0   993
SOUTHERN COMPANY                       842587107      2202723   47575               X                34275    12000  1300
SPECTRA ENERGY CORP                    847560109       636646   21908         X                      21908        0     0
SPECTRA ENERGY CORP                    847560109        88749    3054               X                 2454        0   600
STARBUCKS CORP                         855244109        30926     580         X                        580        0     0
STARBUCKS CORP                         855244109       407898    7650               X                 7650        0     0
STRYKER CORPORATION                    863667101       462840    8400         X                       8400        0     0
STRYKER CORPORATION                    863667101        18459     335               X                  335        0     0
SUBURBAN PROPANE PARTNERS LP           864482104        94921    2300         X                       2300        0     0
SUBURBAN PROPANE PARTNERS LP           864482104       165080    4000               X                 4000        0     0
SYSCO CORP                             871829107      3868086  129758         X                     127958        0  1800
SYSCO CORP                             871829107      1551611   52050               X                48925     2110  1015
TARGET CORP                            87612E106      3677724   63202         X                      62752        0   450
TARGET CORP                            87612E106      2150470   36956               X                31956     5000     0
TEXAS INSTRUMENTS INC                  882508104       632901   22060         X                      22060        0     0
TEXAS INSTRUMENTS INC                  882508104       285896    9965               X                 9965        0     0
THE HERSHEY COMPANY                    427866108       276235    3835         X                       3435        0   400
TJX COS INC                            872540109        88007    2050         X                       2050        0     0
TJX COS INC                            872540109       220660    5140               X                 5140        0     0
TRAVELERS COMPANIES INC                89417E109      1786690   27987         X                      27987        0     0
TRAVELERS COMPANIES INC                89417E109       310773    4868               X                 4460        0   408
UGI CORP                               902681105       262663    8925         X                       6125        0  2800
UGI CORP                               902681105       549458   18670               X                 4350    13820   500
UNION PAC CORP                         907818108      4831339   40494         X                      40044        0   450
UNION PAC CORP                         907818108      2628399   22030               X                14330     7000   700
UNITED PARCEL SERVICE CL B             911312106      3340448   42413         X                      42413        0     0
UNITED PARCEL SERVICE CL B             911312106       149644    1900               X                 1900        0     0
UNITED TECHNOLOGIES CORP               913017109      6677683   88411         X                      87606        0   805
UNITED TECHNOLOGIES CORP               913017109      4633690   61349               X                58421      200  2728
                                                    --------- ------- ---- ------ -----           -------- -------- -----
SUBTOTALS FOR THIS PAGE                              59625798 1117130                              1041206    54150 21774





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 8

                                                        SEC USE ONLY ___________



                                                                             ITEM 6
                                                                          INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5        SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV    SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                    
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
US BANCORP NEW                         902973304      3727987   115920         X                     112892        0   3028
US BANCORP NEW                         902973304      1943075    60419               X                59619        0    800
V.F. CORP                              918204108      2095298    15701         X                      15551        0    150
V.F. CORP                              918204108      2252769    16881               X                14881     1800    200
VECTREN CORP                           92240G101      1921014    65075         X                      65075        0      0
VECTREN CORP                           92240G101      1531940    51895               X                32355    18540   1000
VERIZON COMMUNICATIONS                 92343V104      6068238   136549         X                     102993        0  33556
VERIZON COMMUNICATIONS                 92343V104      2172672    48890               X                47250     1140    500
VISA INC CL A                          92826C839      1764818    14275         X                      14275        0      0
VISA INC CL A                          92826C839       633604     5125               X                 4825      300      0
WAL MART STORES INC                    931142103      1986881    28498         X                      28498        0      0
WAL MART STORES INC                    931142103       322106     4620               X                 4620        0      0
WASTE MANAGEMENT INC                   94106L109      4046143   121142         X                     118722        0   2420
WASTE MANAGEMENT INC                   94106L109      2149624    64360               X                42305    21455    600
WELLS FARGO & CO                       949746101      2837484    84853         X                      82666        0   2187
WELLS FARGO & CO                       949746101      2051979    61363               X                40363    21000      0
WISCONSIN ENERGY CORP                  976657106       322416     8148               X                 7348        0    800
YUM! BRANDS INC                        988498101       823739    12787         X                      12787        0      0
YUM! BRANDS INC                        988498101        16427      255               X                  255        0      0
ZIMMER HLDGS INC                       98956P102       112759     1752         X                       1752        0      0
ZIMMER HLDGS INC                       98956P102        90104     1400               X                 1400        0      0
3M CO                                  88579Y101      2719181    30348         X                      30098        0    250
3M CO                                  88579Y101       728627     8132               X                 8132        0      0
                                                    --------- -------  ---- ------ -----           -------- -------- ------
SUBTOTALS FOR DOMESTIC COMMON STOCKS                584778464 12161670                             11390767   531162 239741





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 9

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       ADR SECURITIES
       --------------
ANHEUSER-BUSCH INBEV SPONS ADR         03524A108      1194750   15000         X                      15000        0    0
BHP BILLITON LTD SPONS ADR             088606108      1124009   17213         X                      16938        0  275
BHP BILLITON LTD SPONS ADR             088606108       174351    2670               X                 2670        0    0
BP PLC SPONS ADR                       055622104       801638   19774         X                      19174        0  600
BP PLC SPONS ADR                       055622104       186160    4592               X                 3792        0  800
GLAXO SMITHKLINE SPONS ADR             37733W105       282899    6208         X                       5583        0  625
GLAXO SMITHKLINE SPONS ADR             37733W105       402338    8829               X                 8829        0    0
NOVARTIS AG SPONS ADR                  66987V109       905580   16200         X                      16200        0    0
NOVARTIS AG SPONS ADR                  66987V109       593658   10620               X                10295        0  325
PETROLEO BRASILEIRO SA SPONS ADR       71654V408       132910    7081         X                       6581        0  500
PETROLEO BRASILEIRO SA SPONS ADR       71654V408        76019    4050               X                 3550        0  500
ROYAL DUTCH SHELL PLC SPONS ADR        780259107       475384    6798         X                       6798        0    0
ROYAL DUTCH SHELL SPONS ADR            780259206       596553    8847         X                       8847        0    0
ROYAL DUTCH SHELL SPONS ADR            780259206       418201    6202               X                 6202        0    0
TEVA PHARMACEUTICAL INDS SPONS ADR     881624209       609900   15464         X                      15464        0    0
TEVA PHARMACEUTICAL INDS SPONS ADR     881624209       453757   11505               X                11005        0  500
TOTAL S.A. SPONS ADR                   89151E109      1286109   28612         X                      28087        0  525
TOTAL S.A. SPONS ADR                   89151E109       672902   14970               X                 1850    13120    0
UNILEVER NV NY SHARES ADR              904784709       217609    6525         X                       6525        0    0
UNILEVER NV NY SHARES ADR              904784709        63365    1900               X                 1900        0    0
UNILEVER PLC SPONS ADR                 904767704       143926    4267         X                       4267        0    0
UNILEVER PLC SPONS ADR                 904767704        67460    2000               X                 2000        0    0
VODAFONE GROUP SPONS ADR               92857W209       605842   21499         X                      21499        0    0
VODAFONE GROUP SPONS ADR               92857W209       131911    4681               X                 4681        0    0
                                                    --------- ------- ---- ------ -----           -------- -------- ----
SUBTOTALS FOR ADR SECURITIES                         11617231  245507                               227737    13120 4650





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 10

*SUMMARY PAGE FOR A. COMMON STOCK *




MINOR ASSET TYPE                          MARKET    SH/PV     INVEST  AUTH    MNGR      VOTING AUTH(SHARES)
---------------------------------       --------- --------- ---- ------ -----       ---------- ------- -------
                                                                            
43 DOMESTIC COMMON STOCKS               584778464  12161670                           11390767  531162  239741
44 ADR SECURITIES                        11617231    245507                             227737   13120    4650
                                        --------- --------- ---- ------ -----       ---------- ------- -------
*SUBTOTALS*                             596395695  12407177                           11618504  544282  244391





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 11

*SUMMARY PAGE FOR B. PREFERRED STOCK *




MINOR ASSET TYPE                          MARKET    SH/PV     INVEST  AUTH    MNGR      VOTING AUTH(SHARES)
---------------------------------       --------- --------- ---- ------ -----       ---------- ------- -------
                                                                            
            **NONE**





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 12

                                                        SEC USE ONLY ___________




                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
    REAL ESTATE INVESTMENT TRUSTS
    -----------------------------
ANNALY CAPITAL MANAGEMENT REIT      * 035710409     437958     26100        X                    N.A.      N.A.    N.A.
ANNALY CAPITAL MANAGEMENT REIT      * 035710409     159410      9500               X             N.A.      N.A.    N.A.
CYS INVESTMENTS INC REIT            * 12673A108     275400     20000        X                    N.A.      N.A.    N.A.
SIMON PROPERTY GROUP INC REIT       * 828806109      81877       526        X                    N.A.      N.A.    N.A.
SIMON PROPERTY GROUP INC REIT       * 828806109     389617      2503               X             N.A.      N.A.    N.A.
                                                 --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR REAL ESTATE INVESTMENT TRUSTS        1344262     58629                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 13

                                                        SEC USE ONLY ___________




                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
         FOREIGN SECURITIES
         ------------------
BCE INC                             * 05534B760     253792      6160        X                       6160       0       0
BCE INC                             * 05534B760     358893      8711               X                 591    7900     220
COVIDIEN PLC                        * G2554F113     689669     12891        X                      12491       0     400
COVIDIEN PLC                        * G2554F113     391085      7310               X                7310       0       0
INGERSOLL-RAND PLC                  * G47791101     144256      3420        X                       3420       0       0
INGERSOLL-RAND PLC                  * G47791101     345159      8183               X                8183       0       0
INVESCO LIMITED                     * G491BT108     476634     21090        X                      20460       0     630
NOBLE CORP                          * H5833N103     194204      5970        X                       5970       0       0
NOBLE CORP                          * H5833N103      84578      2600               X                2600       0       0
SCHLUMBERGER LTD                    * 806857108    6090440     93829        X                      91904       0    1925
SCHLUMBERGER LTD                    * 806857108    3016887     46478               X               45028     750     700
TE CONNECTIVITY LIMITED             * H84989104     209042      6551        X                       6551       0       0
TRANSOCEAN LTD                      * H8817H100     128017      2862        X                       1062       0    1800
TRANSOCEAN LTD                      * H8817H100     167827      3752               X                3548       0     204
WEATHERFORD INTNTL LTD              * H27013103    1088959     86220        X                      84220       0    2000
WEATHERFORD INTNTL LTD              * H27013103     239970     19000               X               15600    2000    1400
                                                 --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR FOREIGN SECURITIES                  13879412    335027                              315098   10650    9279





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 14

                                                        SEC USE ONLY ___________




                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
    CLOSED END EQUITY MUTUAL FUND
    -----------------------------
ALERIAN MLP ETF                      * 00162Q866     445602     27885        X                    N.A.      N.A.    N.A.
ALERIAN MLP ETF                      * 00162Q866     116255      7275               X             N.A.      N.A.    N.A.
FIRST TR SMALL CAP CORE ALPHADEX-A   * 33734Y109     283500      9000               X             N.A.      N.A.    N.A.
FIRST TRUST LARGE CAP CORE A         * 33734K109     227832      8000        X                    N.A.      N.A.    N.A.
FIRST TRUST LARGE CAP CORE A         * 33734K109     249191      8750               X             N.A.      N.A.    N.A.
GUGGENHEIM S&P 500 EQUAL WEIGHT ETF  * 78355W106     776375     15678        X                    N.A.      N.A.    N.A.
GUGGENHEIM S&P 500 EQUAL WEIGHT ETF  * 78355W106     224078      4525               X             N.A.      N.A.    N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD  * 464287168    1268321     22572        X                    N.A.      N.A.    N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD  * 464287168     104176      1854               X             N.A.      N.A.    N.A.
ISHARES MSCI CANADA INDEX FUND       * 464286509     232948      9015        X                    N.A.      N.A.    N.A.
ISHARES MSCI EAFE INDEX FUND         * 464287465    2571541     51472        X                    N.A.      N.A.    N.A.
ISHARES MSCI EAFE INDEX FUND         * 464287465     389888      7804               X             N.A.      N.A.    N.A.
ISHARES MSCI EMERGING MKT IN         * 464287234    3244135     82896        X                    N.A.      N.A.    N.A.
ISHARES MSCI EMERGING MKT IN         * 464287234     615789     15735               X             N.A.      N.A.    N.A.
ISHARES MSCI UNITED KINGDOM          * 464286699     236205     14500        X                    N.A.      N.A.    N.A.
ISHARES NASDAQ BIOTECH INDX          * 464287556    2066025     15898        X                    N.A.      N.A.    N.A.
ISHARES NASDAQ BIOTECH INDX          * 464287556     979081      7534               X             N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP GRWTH         * 464287481    2300360     38864        X                    N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP GRWTH         * 464287481    1256308     21225               X             N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP INDEX FUND    * 464287499    1943892     18450        X                    N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP INDEX FUND    * 464287499     176478      1675               X             N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP VALUE         * 464287473    2429299     52446        X                    N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP VALUE         * 464287473    1247861     26940               X             N.A.      N.A.    N.A.
ISHARES RUSSELL 1000 GROWTH INDEX    * 464287614     560344      8862        X                    N.A.      N.A.    N.A.
ISHARES RUSSELL 1000 GROWTH INDEX    * 464287614       4426        70               X             N.A.      N.A.    N.A.
ISHARES RUSSELL 1000 VALUE           * 464287598     285296      4182        X                    N.A.      N.A.    N.A.
ISHARES S&P SMALLCAP 600             * 464287804     940933     12842        X                    N.A.      N.A.    N.A.
ISHARES S&P SMALLCAP 600             * 464287804      42350       578               X             N.A.      N.A.    N.A.
ISHARES S&P SMALLCAP 600/VAL         * 464287879     428066      5759        X                    N.A.      N.A.    N.A.
ISHARES S&P SMALLCAP 600/VAL         * 464287879      14866       200               X             N.A.      N.A.    N.A.
ISHARES S&P 500 GROWTH INDEX FD      * 464287309    2720385     37007        X                    N.A.      N.A.    N.A.
ISHARES S&P 500 GROWTH INDEX FD      * 464287309     506484      6890               X             N.A.      N.A.    N.A.
ISHARES S&P 500 VALUE INDEX FUND     * 464287408    2381712     38242        X                    N.A.      N.A.    N.A.
ISHARES S&P 500 VALUE INDEX FUND     * 464287408     498551      8005               X             N.A.      N.A.    N.A.
ISHARES TR S&P SMALLCAP/600 GROWTH   * 464287887     434166      5378        X                    N.A.      N.A.    N.A.
ISHARES TR S&P 500 INDEX FUND        * 464287200     184339      1348        X                    N.A.      N.A.    N.A.
ISHARES TR S&P 500 INDEX FUND        * 464287200      31453       230               X             N.A.      N.A.    N.A.
ISHARES TRUST-S&P 400 MIDCAP         * 464287507     146623      1557        X                    N.A.      N.A.    N.A.
ISHARES TRUST-S&P 400 MIDCAP         * 464287507      64506       685               X             N.A.      N.A.    N.A.
POWERSHARES QQQ TRUST                * 73935A104    4411513     68758        X                    N.A.      N.A.    N.A.
POWERSHARES QQQ TRUST                * 73935A104    1501344     23400               X             N.A.      N.A.    N.A.
SPDR GOLD TRUST                      * 78463V107     245976      1585        X                    N.A.      N.A.    N.A.
SPDR GOLD TRUST                      * 78463V107     133463       860               X             N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR THIS PAGE                            38921936    696431                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 15

                                                        SEC USE ONLY ___________




                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
    CLOSED END EQUITY MUTUAL FUND
    -----------------------------
SPDR S&P DIVIDEND ETF                * 78464A763    5874692    105565        X                    N.A.      N.A.    N.A.
SPDR S&P DIVIDEND ETF                * 78464A763    2458617     44180               X             N.A.      N.A.    N.A.
SPDR S&P MIDCAP 400 ETF TRUST        * 78467Y107    7734538     45152        X                    N.A.      N.A.    N.A.
SPDR S&P MIDCAP 400 ETF TRUST        * 78467Y107    1508468      8806               X             N.A.      N.A.    N.A.
SPDR S&P 500 ETF TRUST               * 78462F103   10242446     75254        X                    N.A.      N.A.    N.A.
SPDR S&P 500 ETF TRUST               * 78462F103    1114019      8185               X             N.A.      N.A.    N.A.
UTILITIES SELECT SECTOR SPDR         * 81369Y886     761809     20595        X                    N.A.      N.A.    N.A.
UTILITIES SELECT SECTOR SPDR         * 81369Y886      49012      1325               X             N.A.      N.A.    N.A.
VANGUARD IND FD MID-CAP              * 922908629    2213556     28673        X                    N.A.      N.A.    N.A.
VANGUARD IND FD MID-CAP              * 922908629     267730      3468               X             N.A.      N.A.    N.A.
VANGUARD INFO TECH ETF               * 92204A702     206190      3000        X                    N.A.      N.A.    N.A.
VANGUARD INFO TECH ETF               * 92204A702       6873       100               X             N.A.      N.A.    N.A.
VANGUARD LARGE-CAP ETF               * 922908637     498663      8030        X                    N.A.      N.A.    N.A.
VANGUARD MSCI EAFE ETF               * 921943858     799542     25326        X                    N.A.      N.A.    N.A.
VANGUARD MSCI EAFE ETF               * 921943858     374736     11870               X             N.A.      N.A.    N.A.
VANGUARD MSCI EMERGING MARKETS ETF   * 922042858    6688994    167518        X                    N.A.      N.A.    N.A.
VANGUARD MSCI EMERGING MARKETS ETF   * 922042858    2050725     51358               X             N.A.      N.A.    N.A.
VANGUARD S&P 500 ETF                 * 922908413     290225      4660        X                    N.A.      N.A.    N.A.
VANGUARD S&P 500 ETF                 * 922908413     205524      3300               X             N.A.      N.A.    N.A.
VANGUARD SMALL CAP GROWTH ETF        * 922908595    3427366     40914        X                    N.A.      N.A.    N.A.
VANGUARD SMALL CAP GROWTH ETF        * 922908595    1608049     19196               X             N.A.      N.A.    N.A.
VANGUARD SMALL CAP VALUE ETF         * 922908611    2968200     43522        X                    N.A.      N.A.    N.A.
VANGUARD SMALL CAP VALUE ETF         * 922908611    1513358     22190               X             N.A.      N.A.    N.A.
VANGUARD SMALL-CAP ETF               * 922908751    6857059     90177        X                    N.A.      N.A.    N.A.
VANGUARD SMALL-CAP ETF               * 922908751    1520344     19994               X             N.A.      N.A.    N.A.
WISDOM TREE INTL DIVIDEND EX-FIN FD  * 97717W786     372339      9765        X                    N.A.      N.A.    N.A.
WISDOM TREE INTL DIVIDEND EX-FIN FD  * 97717W786     480438     12600               X             N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUND       101015448   1571154                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 16

                                                        SEC USE ONLY ___________




                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
    CLOSED-END FIXED INCOME (TAX)
    -----------------------------
ISHARES BARCLAYS TIPS BOND FUND      * 464287176     105336       880        X                    N.A.      N.A.    N.A.
ISHARES BARCLAYS TIPS BOND FUND      * 464287176     119700      1000               X             N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3 YEAR CR         * 464288646     715693      6835        X                    N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3 YEAR CR         * 464288646      15707       150               X             N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3 YEAR TREASURY   * 464287457    1607249     19050        X                    N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3 YEAR TREASURY   * 464287457     167896      1990               X             N.A.      N.A.    N.A.
ISHARES IBOXX INV GRD CORP BOND FD   * 464287242     333368      2835        X                    N.A.      N.A.    N.A.
ISHARES S&P PREF STK                 * 464288687     158072      4050        X                    N.A.      N.A.    N.A.
ISHARES S&P PREF STK                 * 464288687     182075      4665               X             N.A.      N.A.    N.A.
VANGUARD INTERMEDIATE-TERM BOND ETF  * 921937819    1001534     11276        X                    N.A.      N.A.    N.A.
VANGUARD INTERMEDIATE-TERM BOND ETF  * 921937819     245143      2760               X             N.A.      N.A.    N.A.
VANGUARD SHORT TERM BOND ETF         * 921937827    4214136     51943        X                    N.A.      N.A.    N.A.
VANGUARD SHORT TERM BOND ETF         * 921937827    1519159     18725               X             N.A.      N.A.    N.A.
VANGUARD TOTAL BOND MARKET ETF       * 921937835     413293      4898        X                    N.A.      N.A.    N.A.
VANGUARD TOTAL BOND MARKET ETF       * 921937835      21095       250               X             N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR CLOSED-END FIXED INCOME (TAX)        10819456    131307                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 17

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
    CLOSED END FIXED INC-NON-TAX
    -----------------------------
BLACKROCK MUNIYIELD NEW JERSEY FUND  * 09254Y109      49170      3000        X                    N.A.      N.A.    N.A.
BLACKROCK MUNIYIELD NEW JERSEY FUND  * 09254Y109     124285      7583               X             N.A.      N.A.    N.A.
ISHARES S&P S/T NATION MUNI          * 464288158     801984      7505        X                    N.A.      N.A.    N.A.
ISHARES TR S&P NAT MUNI BOND FUND    * 464288414     545617      4957        X                    N.A.      N.A.    N.A.
NUVEEN NJ DVD ADV MUNI FD            * 67069Y102     209622     13800        X                    N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR CLOSED END FIXED INC-NON-TAX          1730678     36845                             N.A.      N.A.    N.A.







INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 18

*SUMMARY PAGE FOR C. OTHER *




MINOR ASSET TYPE                          MARKET    SH/PV     INVEST  AUTH    MNGR      VOTING AUTH(SHARES)
---------------------------------       --------- --------- ---- ------ -----       ---------- ------- -------
                                                                            
97 CLOSED END FIXED INC-NON-TAX           1730678     36845                               N.A.    N.A.    N.A.
68 CLOSED-END FIXED INCOME (TAX)         10819456    131307                               N.A.    N.A.    N.A.
63 CLOSED END EQUITY MUTUAL FUND        101015448   1571154                               N.A.    N.A.    N.A.
54 FOREIGN SECURITIES                    13879412    335027                             315098   10650    9279
47 REAL ESTATE INVESTMENT TRUSTS          1344262     58629                               N.A.    N.A.    N.A.
                                        --------- --------- ---- ------ -----       ---------- ------- -------
*SUBTOTALS*                             128789256   2132962                             315098   10650    9279
*SUBTOTALS*                             128789256   2132962                               N.A.    N.A.    N.A.


     *    THESE ASSETS ARE CODED 13(F) ELIGIBLE,  HOWEVER,  THE MINOR ASSET TYPE
          IS NOT INCLUDED IN THE MAPPING




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 19

**SUMMARY PAGE FOR: PEAPACK-GLADSTONE TRUST & INV **




CATEGORY                                  MARKET    SH/PV     INVEST  AUTH    MNGR      VOTING AUTH(SHARES)
---------------------------------       --------- --------- ---- ------ -----       ---------- ------- -------
                                                                            
A. COMMON STOCK                         596395695  12407177                           11618504  544282  244391
C. OTHER                                128789256   2132962                             315098   10650    9279
                                        --------- --------- ---- ------ -----       ---------- ------- -------
**GRAND TOTALS**                        725184951  14540139                           11933602  554932  253670





13F EXCEPTION REPORT *** INTERNAL USE ONLY *** PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 1




                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK

         DOMESTIC COMMON STOCKS
         ----------------------





13F EXCEPTION REPORT *** INTERNAL USE ONLY *** PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 2




                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
B. PREFERRED STOCK

         FOREIGN PREFERRED STOCKS
         ------------------------





13F EXCEPTION REPORT *** INTERNAL USE ONLY *** PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 7/2/12 AS OF 6/29/12 DEPT ID# 233 PAGE 3




                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
             RIGHTS AND WARRANTS
             -------------------