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

                                    FORM 13F

                               FORM 13F COVER PAGE

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

Check here if Amendment [ ]; Amendment Number: __________

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

Institutional Investment Manager Filing this Report:

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

Form 13F File Number: 28-10453

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

Person Signing this Report on Behalf of Reporting Manager:

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

Signature Place and Date of Signing:


/s/ Cathy S. Freeman                        Tupelo Mississippi   August 12, 2009
-----------------------------------------   ------------------   ---------------
[Signature]                                    [City State]          [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager: None.



                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:               1

Form 13F Information Table Entry Total:        459

Form 13F Information Table Value Total:   $495,615
                                        (thousands)

LIST OF OTHER INCLUDED MANAGERS:

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

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


                                       2



                           FORM 13F INFORMATION TABLE



                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
ALLIED WORLD                                G0219G203       1       25 SH       SOLE              1      25       0        0
COVIDIEN PLC             COM                G2554F105       2       43 SH       SOLE              1      43       0        0
FRONTLINE LDT F                             G3682E127      12      500 SH       SOLE              1     500       0        0
INGSOLL-RAND CO          CL A BERMUDA       G4776G101      27     1310 SH       SOLE              1    1310       0        0
KNIGHTS BRIDGE TANKERS                      G5299G106       7      500 SH       SOLE              1     500       0        0
SEAGATE TECHNOLOGY       SHS                G7945J104       2      149 SH       SOLE              1     149       0        0
SHIP FINANCE
   INTERNATIONAL LTD                        G81075106       6      503 SH       SOLE              1     503       0        0
WEATHERFORD
   INTERNATIONAL LTD     NEW                H27013103       4      200 SH       SOLE              1     200       0        0
TRANSOCEAN LTD                              H8817H100       1       14 SH       SOLE              1      14       0        0
TYCO INTL LTD W/I                           H89128104      14      550 SH       SOLE              1     550       0        0
DIANA SHIPPING INC                          Y2066G104       7      500 SH       SOLE              1     500       0        0
TEEKAY LNG PARTNERS L P                     Y8564M105      10      500 SH       SOLE              1     500       0        0
VERIGY, LTD                                 Y93691106       1       50 SH       SOLE              1      50       0        0
ACCO BRANDS CORP                            00081T108       0       34 SH       SOLE              1      34       0        0
A F L A C INC                               001055102      57     1825 SH       SOLE              1    1825       0        0
AES CORPORATION                             00130H105       1       69 SH       SOLE              1      69       0        0
AT&T INC                 COM                00206R102     536    21592 SH       SOLE              1   19192       0     2400
AT&T INC                 COM                00206R102     149     5980 SH       DEFINED           1     848    5132        0
AARON'S INC              COM                002535201       1       38 SH       SOLE              1      38       0        0
ABBOTT LAB                                  002824100     152     3227 SH       SOLE              1    3227       0        0
ABBOTT LAB                                  002824100     188     4000 SH       DEFINED           1       0    4000        0
ADVANCED AUTO PARTS INC                     00751Y106      10      242 SH       SOLE              1     242       0        0
ADVANCED MICRO DEVICES
   INC                                      007903107       5     1250 SH       SOLE              1    1250       0        0
AGNICO EAGLE MINES                          008474108      26      500 SH       SOLE              1     500       0        0
AIR PRODS & CHEMS INC    COM                009158106       8      125 SH       SOLE              1     125       0        0
AIXTRON
   AKTIENGELELLSCHAFT    ADR                009606104       6      510 SH       SOLE              1     510       0        0
ALCOA INC                                   013817101      29     2795 SH       SOLE              1      95       0     2700



                                       3





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
ALCATEL LUCENT           SPONSORED ADR      013904305       0       71 SH       SOLE              1      71       0        0
ALKERMES INC             COM                01642T108       1       60 SH       SOLE              1      60       0        0
ALLEGHENY ENERGY INC                        017361106       2       66 SH       SOLE              1      66       0        0
ALLIANCEBERNSTEIN MUN
   INCOME FD                                01864U106     116     9800          SOLE              1    9800       0        0
ALLIANCEBERNSTEIN
   GLOBAL HIGH INCOME
   FUND INC                                 01879R106      26     2500 SH       SOLE              1    2500       0        0
ALLIANCEBERNSTEIN
   INCOME FD                                01881E101      14     1850 SH       SOLE              1    1850       0        0
ALLIANCEBERSTEIN HLDG
   LP                                       01881G106       3      166 SH       SOLE              1     166       0        0
ALLIED CAP CO FUND                          01903Q108       3     1000 SH       SOLE              1    1000       0        0
ALLSTATE CORP            COMMON             020002101      58     2382 SH       SOLE              1    2382       0        0
ALLSTATE CORP            COMMON             020002101       8      310 SH       DEFINED           1     310       0        0
ALTRIA GROUP INC                            02209S103      95     5773 SH       SOLE              1    5773       0        0
AMAZON COM INC           COM                023135106       8      100 SH       SOLE              1     100       0        0
AMEREN CORP                                 023608102      11      434 SH       SOLE              1     434       0        0
AMERICA MOVIL SAB DE CV  SPON ADR L SHS     02364W105      26      660 SH       SOLE              1     660       0        0
AMERICAN ELECTRIC POWER                     025537101     180     6230 SH       SOLE              1    3605       0     2625
AMER EXPRESS CO                             025816109      89     3831 SH       SOLE              1    1231       0     2600
AMERICAN INTERNATIONAL
   GROUP, INC                               026874107       0      400 SH       SOLE              1     400       0        0
AMERISOURCEBERGEN CORP                      03073E105       1       74 SH       SOLE              1      74       0        0
AMERIGAS PARTNERS L P                       030975106       8      250 SH       SOLE              1     250       0        0
AMGEN INC                                   031162100      19      360 SH       SOLE              1     360       0        0
ANADARKO PETE CORP                          032511107      13      282 SH       SOLE              1     282       0        0
ANADARKO PETE CORP                          032511107      77     1696 SH       DEFINED           1       0    1696        0
ANNALY CAPITAL MGMT INC                     035710409       4      240 SH       SOLE              1     240       0        0
APACHE CORP                                 037411105      87     1200 SH       SOLE              1    1200       0        0
APPLE INC                COM                037833100      14      100 SH       SOLE              1       0       0      100
APPLIED MATERIALS INC                       038222105      55     4960 SH       SOLE              1    4960       0        0
AQUA AMERICAN INC                           03836W103      24     1337 SH       SOLE              1    1337       0        0
ARCHER-DANIELS-MIDLAND
   COMPANY                                  039483102      18      679 SH       SOLE              1     679       0        0



                                       4





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
ATMOS ENERGY CORP                           049560105      60     2393 SH       SOLE              1    2393       0        0
AUBURN NATL BANCORP                         050473107      29     1000 SH       SOLE              1    1000       0        0
AUTODESK INC                                052769106       1       65 SH       SOLE              1      65       0        0
AUTO DATA PROCESS                           053015103      80     2250 SH       SOLE              1    2250       0        0
AUTOZONE                                    053332102      23      150 SH       DEFINED           1     150       0        0
AVALONBAY CMNTY INC                         053484101      20      361 SH       SOLE              1     361       0        0
AVON PRODUCTS INC        COM                054303102       2       92 SH       SOLE              1      92       0        0
BP AMOCO PLC             SPONSORED ADR      055622104     317     6645 SH       SOLE              1    6645       0        0
BP AMOCO PLC             SPONSORED ADR      055622104     148     3100 SH       DEFINED           1    3100       0        0
BAKER HUGHES INC         COM                057224107       2       51 SH       SOLE              1      51       0        0
BALDOR ELEC CO           COM                057741100    3693   155307 SH       SOLE              1  155307       0        0
BANCO BILBAO VIZCAYA     SP ADR             05946K101       0        2 SH       SOLE              1       2       0        0
BANCORPSOUTH INC                            059692103   21498  1047669 SH       SOLE              1  925360       0   122309
BANCORPSOUTH INC                            059692103     243    11840 SH       DEFINED           1    9248    2592        0
BANK OF AMERICA CORP     NEW COM            060505104      65     4904 SH       SOLE              1    2304       0     2600
BANK OF THE OZARKS, INC                     063904106    1734    80200 SH       SOLE              1   80200       0        0
BARRICK GOLD CORP                           067901108      10      295 SH       SOLE              1     295       0        0
BAXTER INTL INC                             071813109      97     1829 SH       SOLE              1    1829       0        0
BECTON DICKINSON                            075887109      10      136 SH       SOLE              1     136       0        0
BED BATH & BEYOND                           075896100       2       80 SH       SOLE              1      80       0        0
BERKSHIRE HATHAWAY "A"                      084670108      90        1 SH       SOLE              1       1       0        0
BERKSHIRE HATHAWAY INC   DEL CL B           084670207       6        2 SH       SOLE              1       2       0        0
BHP BILLITON LIMITED     ADR SPONSORED      088606108      14      250 SH       SOLE              1     250       0        0
BIOGEN IDEC INC                             09062X103      10      220 SH       SOLE              1     220       0        0
BLACKROCK MUNIYIELD
   INSURED FD                               09254E103      36     3150          SOLE              1    3150       0        0
BOEING INC                                  097023105     212     4992 SH       SOLE              1    2167       0     2825
BRISTOL MYERS SQUIBB CO                     110122108     128     6309 SH       SOLE              1    6309       0        0
BROADCOM CORP                               111320107      11      425 SH       SOLE              1     425       0        0



                                       5





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
BURLINGTON
   NORTHERN/SANTA FE
   CORP                                     12189T104       4       50 SH       SOLE              1      50       0        0
CBS CORP                 NEW CL B           124857202       0       45 SH       SOLE              1      45       0        0
C H ROBINSON WORLDWIDE
   INC                                      12541W209       2       31 SH       SOLE              1      31       0        0
CNOOC LTD                SPONSORED ADR      126132109       4       30 SH       SOLE              1      30       0        0
CSX CORP                 COM                126408103       9      250 SH       SOLE              1     250       0        0
CVS CAREMARK
   CORPORATION           COM                126650100       2       60 SH       SOLE              1      60       0        0
CABLEVISION SYS CORP                        12686C109       3      145 SH       SOLE              1     145       0        0
CADBURY PLC              ADR                12721E102      24      704 SH       SOLE              1     704       0        0
CADENCE FINANCIAL CORP                      12738A101       6     2833 SH       SOLE              1    2833       0        0
CAMPBELL SOUP CO         COM                134429109       0       15 SH       SOLE              1      15       0        0
CAPITAL ONE FINL CORP    COM                14040H105      64     2922 SH       SOLE              1    2922       0        0
CAPSTEAD MTG CORP                           14067E308      13     1000 SH       SOLE              1    1000       0        0
CELGENE CORP                                151020104       1       25 SH       SOLE              1      25       0        0
CENTERPOINT ENERGY INC                      15189T107      20     1786 SH       SOLE              1    1286       0      500
CENTURYTEL, INC                             156700106      23      750 SH       SOLE              1     750       0        0
CHESAPEAKE ENERGY CORP                      165167107      20     1000 SH       SOLE              1    1000       0        0
CHEVRON CORPORATION                         166764100     497     7501 SH       SOLE              1    5301       0     2200
CHEVRON CORPORATION                         166764100     146     2200 SH       DEFINED           1    2200       0        0
CHINA PETE & CHEM CORP   SPON ADR H SHS     16941R108       2       25 SH       SOLE              1      25       0        0
CHUBB CORPORATION                           171232101       3       78 SH       SOLE              1      78       0        0
CISCO SYS INC                               17275R102     121     6497 SH       SOLE              1    6347       0      150
CITIGROUP, INC                              172967101       7     2241 SH       SOLE              1    2241       0        0
CITIGROUP, INC                              172967101      20     6632 SH       DEFINED           1    6632       0        0
CITIZENS HOLDING
   COMPANY                                  174715102    4960   158987 SH       SOLE              1  158987       0        0
CITRIX SYSTEMS INC                          177376100       0       15 SH       SOLE              1      15       0        0
COCA COLA CO                                191216100     461     9611 SH       SOLE              1    5111       0     4500
COCA COLA CO                                191216100     235     4900 SH       DEFINED           1    4900       0        0
COCA COLA ENTERPRISES
   INC                   COM                191219104      38     2300 SH       SOLE              1    2300       0        0
COLGATE-PALMOLIVE CO                        194162103     207     2931 SH       SOLE              1    2931       0        0



                                       6





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
COLONIAL PPTYS TR        COM SH BEN INT     195872106       4      500 SH       SOLE              1     500       0        0
COMCAST CORP             NEW CL A COM       20030N101      10      701 SH       SOLE              1     701       0        0
COMCAST CORP             NEW CL A COM       20030N101       9      601 SH       DEFINED           1       0     601        0
COMCAST CORP             NEW SPL CL A       20030N200       4      292 SH       SOLE              1     292       0        0
COMERICA INC                                200340107       0       15 SH       SOLE              1      15       0        0
CONCURRENT COMPUTER
   CORP                  NEW                206710402       2      395 SH       SOLE              1     395       0        0
CONOCO PHILLIPS                             20825C104     171     4075 SH       SOLE              1    4075       0        0
COOPER TIRE & RUBBER CO                     216831107      65     6528 SH       SOLE              1    6153       0      375
COOPER TIRE & RUBBER CO                     216831107       1      100 SH       DEFINED           1     100       0        0
CREE RESEARCH INC                           225447101       1       40 SH       SOLE              1      40       0        0
CROWN CASTLE INTL CORP   COM                228227104       0       19 SH       SOLE              1      19       0        0
DTE ENERGY CO                               233331107       3      100 SH       SOLE              1     100       0        0
DWS MUNICIPAL INCOME
   TRUST                                    23338M106     104    10425          SOLE              1   10425       0        0
DEERE & CO                                  244199105     122     3060 SH       SOLE              1    3060       0        0
DELL INC                                    24702R101      33     2413 SH       SOLE              1    2413       0        0
DELTIC TIMBER INC                           247850100     224     6324 SH       SOLE              1    6324       0        0
DELTIC TIMBER INC                           247850100   14746   415743 SH       DEFINED           1       0  415743        0
DEVON ENERGY CORP        NEW COM            25179M103      13      243 SH       SOLE              1     243       0        0
WALT DISNEY CO                              254687106      95     4088 SH       SOLE              1    1588       0     2500
DISCOVERY                COM INC CL A       25470F104       1       24 SH       SOLE              1      24       0        0
DISCOVERY                COM CL C           25470F302       0       24 SH       SOLE              1      24       0        0
DISCOVER FINL SVCS       COM                254709108      15     1484 SH       SOLE              1    1484       0        0
DISCOVER FINL SVCS       COM                254709108       1      130 SH       DEFINED           1     130       0        0
DOLBY LAB INC                               25659T107       1       34 SH       SOLE              1      34       0        0
DOMINION RES INC VA      NEW                25746U109       3      100 SH       SOLE              1     100       0        0
DOVER CORP               COM                260003108       1       20 SH       SOLE              1      20       0        0
DOW CHEMICAL CO                             260543103      24     1515 SH       SOLE              1     515       0     1000
DR PEPPER SNAPPLE
   GROUP INC COM                            26138E109      11      528 SH       SOLE              1     528       0        0



                                       7





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
DREYFUS STRATEGIC
   MUNICIPALS INC                           261932107     112    16000 SH       SOLE              1   16000       0        0
DU PONT EI D NEMOURS &
   CO                                       263534109      82     3211 SH       SOLE              1     511       0     2700
DUKE ENERGY CORP         COM                26441C105      30     2049 SH       SOLE              1    2049       0        0
EMC CORP                                    268648102      13      964 SH       SOLE              1     964       0        0
EMC CORP                                    268648102       1      100 SH       DEFINED           1     100       0        0
EAST WEST BANCORP INC                       27579R104       0       15 SH       SOLE              1      15       0        0
EASTGROUP PROPERTIES
   INC                                      277276101       2       60 SH       SOLE              1      60       0        0
EASTMAN CHEMICAL CO                         277432100       0       12 SH       SOLE              1      12       0        0
EATON CORP               COM                278058102     107     2400 SH       SOLE              1       0       0     2400
EATON VANCE INSURED
   MUNICIPAL BOND FUND
   II                                       27827K109       9      768          SOLE              1       0       0      768
EATON VANCE TAX
   MANAGED GLOB                             27829C105      12     1000 SH       SOLE              1    1000       0        0
EBAY INC                                    278642103       4      220 SH       SOLE              1     220       0        0
ECOLAB INC               COMMON             278865100       1       27 SH       SOLE              1      27       0        0
EDISON INTL              COM                281020107       3      100 SH       SOLE              1     100       0        0
EDWARDS LIFESCIENCES
   CORP                                     28176E108      16      240 SH       SOLE              1     240       0        0
EL PASO CORPORATION                         28336L109       2      166 SH       SOLE              1     166       0        0
ELECTRONIC ARTS INC                         285512109       3      161 SH       SOLE              1     161       0        0
EMBARQ CORP              COM                29078E105     105     2500 SH       SOLE              1    2500       0        0
EMERSON ELECTRIC CO                         291011104      78     2402 SH       SOLE              1    2402       0        0
ENCORE WIRE CORP         COM                292562105     539    25261 SH       SOLE              1    7711       0    17550
ENERGEN CORP                                29265N108      40     1006 SH       SOLE              1    1006       0        0
ENERPLUS RESOURCE FD                        29274D604      32     1475 SH       SOLE              1    1475       0        0
ENTEGRIS INC                                29362U104       0        8 SH       SOLE              1       8       0        0
ENTERGY CORP                                29364G103     236     3043 SH       SOLE              1     668       0     2375
ENTERGY CORP                                29364G103      57      734 SH       DEFINED           1     734       0        0
EQUITY RESIDENTIAL
   PPTYS SBI                                29476L107       1       34 SH       SOLE              1      34       0        0
ERICSSON (LM) TELE CO    ADR (NEW)          294821608       1       80 SH       SOLE              1      80       0        0
EXELON CORP                                 30161N101      36      699 SH       SOLE              1     699       0        0
EXPEDIA INC              DEL                30212P105       3      220 SH       SOLE              1     220       0        0



                                       8





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
EXPRESS SCRIPTS INC                         302182100       7      100 SH       SOLE              1     100       0        0
EXTERRAN PARTNERS, L.P.                     30225N105       3      200 SH       SOLE              1       0       0      200
EXXON MOBIL CORP                            30231G102    4350    62238 SH       SOLE              1   55793       0     6445
EXXON MOBIL CORP                            30231G102    1293    18495 SH       DEFINED           1    9895    8600        0
FEI CO                                      30241L109       2       80 SH       SOLE              1      80       0        0
FPL GROUP INC                               302571104      68     1200 SH       SOLE              1    1200       0        0
FACTSET RESH SYS INC     COM                303075105       1       19 SH       SOLE              1      19       0        0
FAIRPOINT
   COMMUNICATIONS INC    COM                305560104       0      156 SH       SOLE              1      69       0       87
FAIRPOINT
   COMMUNICATIONS INC    COM                305560104       0       39 SH       DEFINED           1      24      15        0
FASTENAL CO                                 311900104       5      150 SH       SOLE              1     150       0        0
FEDERATED INVS INC PA    CL B               314211103       1       29 SH       SOLE              1      29       0        0
FEDEX CORPORATION                           31428X106       1        9 SH       SOLE              1       9       0        0
FERRELLGAS PARTNERS L P                     315293100      11      700 SH       SOLE              1     700       0        0
FIDELITY NATIONAL
   INFORMATION SVCS      COM                31620M106       0       23 SH       SOLE              1      23       0        0
FIDELITY NATIONAL
   FINANCIAL INC                            31620R105       2      175 SH       SOLE              1     175       0        0
FIRST HORIZON NATIONAL                      320517105       3      225 SH       SOLE              1     225       0        0
FIRST M & F CORP                            320744105      18     4492 SH       SOLE              1    4492       0        0
FIRST SOLAR INC          COM                336433107       3       20 SH       SOLE              1      20       0        0
FIRST ENERGY CORP        COMMON             337932107     179     4613 SH       SOLE              1    4613       0        0
FLUOR CORP                                  343412102       3       55 SH       SOLE              1      55       0        0
FOCUS MEDIA HLDG LTD                        34415V109       1      128 SH       SOLE              1     128       0        0
FORD MOTOR COMPANY       COMMON             345370860       9     1471 SH       SOLE              1     971       0      500
FOREST LABS                                 345838106       3      105 SH       SOLE              1     105       0        0
FORTUNE BRANDS INC                          349631101       5      156 SH       SOLE              1     156       0        0
FRANKLIN RES INC         COM                354613101       4       56 SH       SOLE              1      56       0        0
FREEPORT MCMORAN
   COPPER & GOLD         COM                35671D857       5       94 SH       SOLE              1      94       0        0
FRONTIER OIL CORP                           35914P105       3      200 SH       SOLE              1     200       0        0
GALLAGHER ARTHUR J & CO                     363576109       1       32 SH       SOLE              1      32       0        0



                                       9





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
GAP INC                  DEL COM            364760108       3      167 SH       SOLE              1     167       0        0
GAYLORD ENTMT CO         NEW COM            367905106       0       27 SH       SOLE              1      27       0        0
GENERAL ELECTRIC CO                         369604103     323    27592 SH       SOLE              1   24892       0     2700
GENERAL MLS INC          COM                370334104       6      108 SH       SOLE              1     108       0        0
GENZYME CORP                                372917104       4       70 SH       SOLE              1      70       0        0
B F GOODRICH                                382388106       2       50 SH       SOLE              1      50       0        0
GOOGLE INC                                  38259P508       3        6 SH       SOLE              1       6       0        0
GREAT PLAINS ENERGY INC                     391164100       0       13 SH       SOLE              1      13       0        0
GREENE BANKSHARES                           394361208       3      649 SH       SOLE              1     649       0        0
HCC INSURANCE
   HOLDINGS, INC                            404132102       1       50 SH       SOLE              1      50       0        0
HCP INC                  COM                40414L109       6      300 SH       SOLE              1     300       0        0
HALLIBURTON CO           COM                406216101       3      130 SH       SOLE              1     130       0        0
JOHN HANCOCK BK &
   THRIFT                                   409735206       5      425 SH       SOLE              1     425       0        0
JOHN HANCOCK PFD INC II                     41013X106       6      400 SH       SOLE              1     400       0        0
JOHN HANCOCK PREFERRED
   INCOME FUND III                          41021P103       2      130 SH       SOLE              1     130       0        0
HANESBRANDS INC          COM                410345102       1       37 SH       SOLE              1      37       0        0
HEINZ H J CO             COM                423074103      23      643 SH       SOLE              1     643       0        0
HELIOS HIGH INCOME FUND                     42327X105       1     1008 SH       SOLE              1    1008       0        0
HEWLETT PACKARD CO                          428236103     234     6053 SH       SOLE              1    3237       0     2816
HOME DEPOT                                  437076102     126     5349 SH       SOLE              1    2749       0     2600
HOME DEPOT                                  437076102      15      626 SH       DEFINED           1     626       0        0
HONEYWELL INTL INC                          438516106       2       67 SH       SOLE              1      67       0        0
HOSPIRA, INC                                441060100      15      400 SH       DEFINED           1       0     400        0
HOST HOTELS & RESORTS
   INC                   COM                44107P104       3      306 SH       SOLE              1     306       0        0
HUBBELL INC              CL B               443510201      32     1000 SH       SOLE              1       0       0     1000
HUNTINGTON BANCSHARE
   INC                                      446150104       0       23 SH       SOLE              1      23       0        0
ITT INDUSTRIES                              450911102       2       40 SH       SOLE              1      40       0        0
IDACORP INC              COM                451107106       3      100 SH       SOLE              1     100       0        0
ING GLOBAL EQUITY DIV                       45684E107      12     1038 SH       SOLE              1    1038       0        0
INTEL CORP CAP                              458140100     223    13506 SH       SOLE              1    7506       0     6000



                                       10





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
INTEL CORP CAP                              458140100      26     1600 SH       DEFINED           1    1600       0        0
IBM CORP                                    459200101     792     7583 SH       SOLE              1    3035       0     4548
IBM CORP                                    459200101      31      300 SH       DEFINED           1     300       0        0
INTL PAPER CO                               460146103       6      400 SH       SOLE              1     400       0        0
INTL PAPER CO                               460146103      14      900 SH       DEFINED           1       0     900        0
INTUIT                                      461202103       1       24 SH       SOLE              1      24       0        0
INVESTMENT GRADE
   MUNICIPAL INCOME
   FUND                                     461368102     112     9055          SOLE              1    9055       0        0
ISHARES MSCI EAFE
   INDEX FUND                               464287465      36      781 SH       SOLE              1     781       0        0
ISHARES TR RUSSELL
   2000 VALUE INDEX FD                      464287630       2       39 SH       SOLE              1      39       0        0
ISHARES TR DOW JONES
   REAL ESTATE INDEX
   FUND                                     464287739      17      520 SH       SOLE              1     520       0        0
JPMORGAN CHASE & CO      COM                46625H100     245     7183 SH       SOLE              1    4483       0     2700
JPMORGAN CHASE & CO      COM                46625H100      67     1956 SH       DEFINED           1       0    1956        0
JACOBS ENGINEERING
   GROUP INC                                469814107       0        6 SH       SOLE              1       6       0        0
JOHNSON & JOHNSON                           478160104    1246    21948 SH       SOLE              1   19648       0     2300
JOHNSON & JOHNSON                           478160104     341     6000 SH       DEFINED           1    4800    1200        0
JOHNSON CONTROLS INC                        478366107      36     1650 SH       SOLE              1    1650       0        0
JUNIPER NETWORKS                            48203R104       3      115 SH       SOLE              1     115       0        0
KELLOGG CO                                  487836108      16      351 SH       SOLE              1     351       0        0
KIMBERLY-CLARK CORP                         494368103      20      387 SH       SOLE              1     387       0        0
KINDER MORGAN ENERGY
   PARTNERS, L.P                            494550106      20      400 SH       SOLE              1     400       0        0
KONINKLIJKE PHLPS
   ELECTRS N V SP        ADR NEW            500472303       2       94 SH       SOLE              1      94       0        0
KRAFT FOODS                                 50075N104     159     6290 SH       SOLE              1    4390       0     1900
KROGER CO                                   501044101       2       75 SH       SOLE              1      75       0        0
LSI CORPORATION          COM                502161102       0       10 SH       SOLE              1      10       0        0
L 3 COMMUNICATIONS                          502424104       3       41 SH       SOLE              1      41       0        0
LAS VEGAS SANDS CORP                        517834107       0       11 SH       SOLE              1      11       0        0
LASALLE HOTEL PPTYS                         517942108       0       30 SH       SOLE              1      30       0        0
LAWSON SOFTWARE INC                         52078P102       1      130 SH       SOLE              1     130       0        0



                                       11





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
LEGG MASON INC                              524901105      12      507 SH       SOLE              1     507       0        0
LENDER PROCESSING
   SERVICES              COM                52602E102       0       11 SH       SOLE              1      11       0        0
LEVEL 3 COMMUNICATIONS
   INC                                      52729N100       7     4685 SH       SOLE              1    4685       0        0
LIBERTY ALL STAR
   EQUITY FD                                530158104      26     7608 SH       SOLE              1    7608       0        0
LIBERTY MEDIA GLOBAL
   INC                   COM SER A          530555101       0       25 SH       SOLE              1      25       0        0
LIBERTY GLOBAL SERIES C  COMMON STOCK       530555309       0       14 SH       SOLE              1      14       0        0
LIBERTY MEDIA HLDG                          53071M104       1      203 SH       SOLE              1     203       0        0
LIBERTY MEDIA HLDG
   CORCAP                                   53071M302       1       38 SH       SOLE              1      38       0        0
LIBERTY MEDIA
   ENTERTAINMENT GROUP
   SERIES A              COM                53071M500       3       96 SH       SOLE              1      96       0        0
ELI LILLY & CO                              532457108      12      350 SH       SOLE              1     350       0        0
ELI LILLY & CO                              532457108      38     1100 SH       DEFINED           1    1100       0        0
LIMITED BRANDS, INC                         532716107       1       81 SH       SOLE              1      81       0        0
LINCOLN ELECTRIC CO
   HOLDINGS                                 533900106       1       14 SH       SOLE              1      14       0        0
LOCKHEED MARTIN CORP                        539830109      70      873 SH       SOLE              1     873       0        0
LOWES CO INC                                548661107     179     9212 SH       SOLE              1    9212       0        0
MFA FINANCIAL INC        COM                55272X102       1      119 SH       SOLE              1     119       0        0
MGIC INVESTMENT CORP                        552848103       0       85 SH       SOLE              1      85       0        0
MACYS INC                                   55616P104       1       80 SH       SOLE              1      80       0        0
MAGELLAN MIDSTREAM
   PARTNERS LP                              559080106       9      250 SH       SOLE              1     250       0        0
MANULIFE FINANCIAL CORP                     56501R106     361    20800 SH       SOLE              1   20800       0        0
MARATHON OIL CORP                           565849106       2       76 SH       SOLE              1      76       0        0
MARSH & MCLENNAN                            571748102       0       20 SH       SOLE              1      20       0        0
MARRIOTT INTL INC        NEW CL A           571903202       1       47 SH       SOLE              1      47       0        0
MASCO CORPORATION                           574599106       1       75 SH       SOLE              1      75       0        0
MCDERMOTT INTL INC       COM                580037109       3      160 SH       SOLE              1     160       0        0
MCDONALD'S CORP                             580135101     144     2500 SH       SOLE              1     200       0     2300
MCKESSON CORP                               58155Q103       3       74 SH       SOLE              1      74       0        0
MEADWESTVACO CORP                           583334107      25     1547 SH       SOLE              1    1547       0        0



                                       12





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
MEDCO HEALTH SOLUTIONS
   INC                                      58405U102      36      786 SH       SOLE              1     786       0        0
MEDICAL ACTION
   INDUSTRIES INC                           58449L100       1       75 SH       SOLE              1      75       0        0
MEDTRONIC INC            COM                585055106       3       74 SH       SOLE              1      74       0        0
MERCK & CO INC                              589331107     106     3776 SH       SOLE              1    1376       0     2400
METLIFE INC              COM                59156R108       2       53 SH       SOLE              1      53       0        0
MICROSOFT CORP                              594918104     235     9866 SH       SOLE              1    6966       0     2900
MIDAS GROUP INC                             595626102       7      666 SH       SOLE              1     666       0        0
MILLIPORE CORP                              601073109       1       10 SH       SOLE              1      10       0        0
MIRANT CORP              NEW COM            60467R100       0       27 SH       SOLE              1      27       0        0
MIRANT CORP              NEW WT SER A       60467R118       0       88 SH       SOLE              1      88       0        0
MONSANTO CO.             (NEW)              61166W101      32      434 SH       SOLE              1     434       0        0
MORGAN STANLEY DEAN
   WITTER DISCOVER & CO                     617446448      53     1869 SH       SOLE              1    1869       0        0
MORGAN STANLEY DEAN
   WITTER DISCOVER & CO                     617446448       7      260 SH       DEFINED           1     260       0        0
MOTOROLA INC                                620076109       2      300 SH       DEFINED           1     300       0        0
MURPHY OIL CORP          COM                626717102    7648   140813 SH       SOLE              1  134813       0     6000
MURPHY OIL CORP          COM                626717102  407856  7509784 SH       DEFINED           1       0 7509784        0
MYLAN INC                COM                628530107      20     1500 SH       SOLE              1    1500       0        0
NASDAQ OMX GROUP INC     COM                631103108       1       70 SH       SOLE              1      70       0        0
NATIONAL OILWELL VARCO
   INC                                      637071101       1       35 SH       SOLE              1      35       0        0
NIKE INC                 CLASS B            654106103       5      100 SH       SOLE              1     100       0        0
NISOURCE INC                                65473P105       2      200 SH       SOLE              1     200       0        0
NOKIA CORP               SPND ADR           654902204      19     1282 SH       SOLE              1    1282       0        0
NOBLE ENERGY INC                            655044105      58      990 SH       SOLE              1     990       0        0
NORFOLK SO CORP                             655844108      64     1712 SH       SOLE              1    1712       0        0
NORTHERN TRUST COMPANY
   NTRS                                     665859104      69     1280 SH       SOLE              1    1280       0        0
NORTHERN TRUST COMPANY
   NTRS                                     665859104     118     2200 SH       DEFINED           1    2200       0        0
NOVARTIS AG              SPONSORED ADR      66987V109       5      114 SH       SOLE              1     114       0        0



                                       13





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
NOVELLUS SYSTEMS                            670008101       2      100 SH       SOLE              1     100       0        0
NUCOR CORP                                  670346105       4       90 SH       SOLE              1      90       0        0
NUSTAR ENERGY LP
   COMUNIT                                  67058H102       7      122 SH       SOLE              1     122       0        0
NUVEEN INSD PREMIUM
   INCOME MUNI FD                           6706D8104      75     6612 SH       SOLE              1    6612       0        0
NUVEEN PERFORMANCE
   PLUS MUNICIPAL FD                        67062P108     119     9285 SH       SOLE              1    9285       0        0
NVIDIA CORPORATION                          67066G104       2      175 SH       SOLE              1     175       0        0
NUVEEN MUN VALUE FD INC                     670928100     294    32043          SOLE              1   32043       0        0
NUVEEN QUALITY INCOME
   MUNI                                     670977107     127    10000 SH       SOLE              1   10000       0        0
NUVEEN INSURED
   MUNICIPAL
   OPPORTUNITY FUND INC                     670984103      67     5529          SOLE              1    5529       0        0
OCCIDENTAL PETE COR      DEL                674599105      40      612 SH       SOLE              1     612       0        0
OMNICOM GROUP                               681919106       2       77 SH       SOLE              1      77       0        0
ORACLE SYSTEMS CORP                         68389X105      15      698 SH       SOLE              1     698       0        0
PG&E CORP                                   69331C108      12      318 SH       SOLE              1     318       0        0
PNC BANK CORP                               693475105       0        1 SH       SOLE              1       1       0        0
PPG INDUSTRIES INC                          693506107       2       45 SH       SOLE              1      45       0        0
PACCAR INC                                  693718108       1       30 SH       SOLE              1      30       0        0
PACTIV COPR                                 695257105      19      897 SH       SOLE              1     897       0        0
PALL CORPORATION         COM                696429307       2       67 SH       SOLE              1      67       0        0
PENSKE AUTOMOTIVE GRP
   INC                   COM                70959W103       1       35 SH       SOLE              1      35       0        0
PEPSI BOTTLING GROUP
   INC                                      713409100       1       33 SH       SOLE              1      33       0        0
PEPSIAMERICAS INC                           71343P200     107     4000 SH       SOLE              1    4000       0        0
PEPSICO INC              COM                713448108     566    10297 SH       SOLE              1   10297       0        0
PEPSICO INC              COM                713448108      60     1100 SH       DEFINED           1       0    1100        0
PETROCHINA CO LTD                           71646E100       2       20 SH       SOLE              1      20       0        0
PETROBRAS                                   71654V408       8      192 SH       SOLE              1     192       0        0
PFIZER INC                                  717081103     273    18201 SH       SOLE              1   15601       0     2600
PFIZER INC                                  717081103      11      700 SH       DEFINED           1       0     700        0
PHILLIP MORRIS INTL INC  COM                718172109     241     5525 SH       SOLE              1    5525       0        0
PIMCO MUNI INCOME FUND
   III                                      72201A103      13     1333          SOLE              1    1333       0        0



                                       14





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
PITNEY BOWES INC         COM                724479100       2      108 SH       SOLE              1     108       0        0
PRAXAIR INC              COM                74005P104      31      432 SH       SOLE              1     432       0        0
T ROWE PRICE & ASSOC                        74144T108       9      228 SH       SOLE              1     228       0        0
PRINCIPAL FINANCIAL
   GROUP                                    74251V102      24     1283 SH       SOLE              1    1283       0        0
PROCTER & GAMBLE CO      COM                742718109     901    17644 SH       SOLE              1   15347       0     2297
PROCTER & GAMBLE CO      COM                742718109     307     6000 SH       DEFINED           1    6000       0        0
PROLOGIS                 SH BEN INT COM     743410102       0       12 SH       SOLE              1      12       0        0
PROSHARES TR             PSHS ULSHT SP500   74347R883     193     3497 SH       SOLE              1       0       0     3497
PUBLIC SVC ENTERPRISE
   GROUP INC                                744573106      22      660 SH       SOLE              1     660       0        0
PUBLIC STORAGE, INC
   REIT                                     74460D109      29      450 SH       SOLE              1     450       0        0
PUTNAM MANAGED
   MUNICIPAL INCOME
   TRUST                                    746823103       1      250          SOLE              1     250       0        0
QUALCOMM INC                                747525103      21      457 SH       SOLE              1     457       0        0
QUANTUM FUEL SYS
   TECHNOLOGIES          COM                74765E109       0      285 SH       SOLE              1     285       0        0
RRI ENERGY INC                              74971X107       6     1267 SH       SOLE              1     873       0      394
RAYTHEON CO              NEW                755111507      19      427 SH       SOLE              1     427       0        0
REGIONS FINANCIAL CORP   NEW                7591EP100     163    40337 SH       SOLE              1   40337       0        0
REGIONS FINANCIAL CORP   NEW                7591EP100       9     2205 SH       DEFINED           1       0    2205        0
RENASANT CORP            COM                75970E107     124     8224 SH       SOLE              1    8224       0        0
RIO TINTO PLC            SPONSORED ADR      767204100      10       63 SH       SOLE              1      63       0        0
ROBERT HALF INTL INC                        770323103       0       20 SH       SOLE              1      20       0        0
ROYAL BK SCOTLAND GROUP  ADR PREF SHS SER Q 780097754      14     1200 SH       SOLE              1    1200       0        0
ROYAL DUTCH SHELL PLC    SPON ADR B         780259107      79     1551 SH       DEFINED           1    1551       0        0
ROYAL DUTCH SHELL PLC                       780259206      75     1500 SH       SOLE              1    1500       0        0
ROYAL DUTCH SHELL PLC                       780259206     161     3200 SH       DEFINED           1    3200       0        0
ROYCE FOCUS TRUST INC                       78080N108       1      281 SH       SOLE              1     281       0        0
ROYCE VALUE TR INC                          780910105       5      544 SH       SOLE              1     544       0        0
ROYCE MICRO CAP TRUST
   INC                                      780915104       2      253 SH       SOLE              1     253       0        0



                                       15





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
STANDARD & POORS DEP
   RECEIPTS                                 78462F103     171     1858 SH       SOLE              1     150       0     1708
SANDISK CORP             COM                80004C101       2      127 SH       SOLE              1     127       0        0
SATYAM COMPUTER SVCS
   LTD                   ADR                804098101       0       80 SH       SOLE              1      80       0        0
SCANA CORP               NEW                80589M102       4      115 SH       SOLE              1     115       0        0
SCHERING PLOUGH CORP     COM                806605101     283    11275 SH       SOLE              1   11275       0        0
SCHLUMBERGER LTD         COM                806857108      73     1354 SH       SOLE              1    1354       0        0
THE CHARLES SCHWAB CORP                     808513105       2      105 SH       SOLE              1     105       0        0
SEARS HOLDINGS CORP                         812350106       3       40 SH       SOLE              1      40       0        0
SEMPRA ENERGY            COM                816851109      15      300 SH       SOLE              1     300       0        0
SERVICE CORP INTL
   W/RIGHTS TO PURC      COMMON STOCK       817565104       1      107 SH       SOLE              1     107       0        0
SIGMA ALDRICH CORP                          826552101      15      300 SH       SOLE              1     300       0        0
SIMMONS 1ST NATL CORP    CL A $1 PAR        828730200     269    10066 SH       SOLE              1   10066       0        0
SIMMONS 1ST NATL CORP    CL A $1 PAR        828730200      13      500 SH       DEFINED           1     500       0        0
SIMON PROPERTY GROUP
   INC                                      828806109       2       31 SH       SOLE              1      31       0        0
SIMPSON MANUFACTURING
   CO INC                COM                829073105       1       25 SH       SOLE              1      25       0        0
SINOPEC SHANGHAI
   PETROCHEMICAL CO LTD  ADR                82935M109       1       25 SH       SOLE              1      25       0        0
SIRIUS XM RADIO INC                         82967N108       2     5800 SH       SOLE              1    5800       0        0
SMITH & NEPHEW P L C     SPD ADR            83175M205       2       59 SH       SOLE              1      59       0        0
SMUCKER J M CO                              832696405       2       34 SH       SOLE              1      34       0        0
SOUTHERN CO              COM                842587107     325    10446 SH       SOLE              1   10446       0        0
SOUTHERN CO              COM                842587107     113     3621 SH       DEFINED           1    3621       0        0
SPECTRA ENERGY                              847560109      25     1461 SH       SOLE              1    1461       0        0
SPRINT NEXTEL CORP       COM SER 1          852061100     241    50000 SH       SOLE              1   50000       0        0
STARBUCKS CORP                              855244109       1       81 SH       SOLE              1      81       0        0
STARWOOD HOTELS &
   RESORTS WORLDWIDE
   INC                   COM                85590A401      13      587 SH       SOLE              1     587       0        0
STATE STREET CORP                           857477103       3       61 SH       SOLE              1      61       0        0
STONE ENERGY CORP                           861642106       4      500 SH       SOLE              1     500       0        0
STRYKER CORP                                863667101       8      200 SH       SOLE              1     200       0        0



                                       16





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
SUBURBAN PROPANE
   PARTNERS L P                             864482104      21      500 SH       SOLE              1     500       0        0
SUN MICROSYSTEMS INC     COM                866810203       5      500 SH       SOLE              1     500       0        0
SUNCOR ENERGY INC                           867229106      63     2068 SH       SOLE              1    2068       0        0
SUNTRUST BANKS INC       COM                867914103      22     1343 SH       SOLE              1    1343       0        0
SYNOVUS FINL CORP                           87161C105       0       72 SH       SOLE              1      72       0        0
SYNIVERSE HLDGS INC      COM                87163F106       1       57 SH       SOLE              1      57       0        0
SYSCO CORP                                  871829107      19      863 SH       SOLE              1     863       0        0
TAIWAN SEMICONDUCTOR
   MFG CO LTD            ADR'S              874039100       3      275 SH       SOLE              1     275       0        0
TARGET CORP                                 87612E106      70     1765 SH       SOLE              1    1765       0        0
TELEFONOS DE MEXICO SA
   DE CV                 SPONS ADR          879403780       5      314 SH       SOLE              1     314       0        0
TELMEX INTERNATIONAL
   SAB DE CV L           ADR                879690105       4      314 SH       SOLE              1     314       0        0
TERRA INDUSTRIES INC                        880915103       0       15 SH       SOLE              1      15       0        0
TEXAS INSTRUMENTS                           882508104      17      781 SH       SOLE              1     781       0        0
THERMO FISHER
   SCIENTIFIC INC                           883556102       1       15 SH       SOLE              1      15       0        0
3M CO                                       88579Y101     242     4034 SH       SOLE              1     634       0     3400
TIFFANY & CO             NEW                886547108      15      604 SH       SOLE              1     604       0        0
TIME WARNER INC          COM NEW            887317303      18      716 SH       SOLE              1     716       0        0
TIME WARNER CABLE, INC                      88732J207       4      141 SH       SOLE              1     141       0        0
TORONTO-DOMINION BANK    ADR                891160509       5       94 SH       SOLE              1      94       0        0
TRAVELERS COMPANIES INC  COM                89417E109       4      100 SH       SOLE              1     100       0        0
TRUSTMARK CORP           COM                898402102     463    23997 SH       SOLE              1   23997       0        0
PERINI CORP                                 901109108       0       20 SH       SOLE              1      20       0        0
TYSON FOODS INC          CL A               902494103      25     2000 SH       SOLE              1    2000       0        0
USA TRUCK INC            COM                902925106     245    18113 SH       SOLE              1   18113       0        0
US BANCORP               DEL NEW            902973304       8      465 SH       SOLE              1     465       0        0
UNILEVER PLC             SPONS ADR NEW COM  904767704       3      120 SH       SOLE              1     120       0        0
UNION PACIFIC CORP                          907818108      23      451 SH       SOLE              1     451       0        0
UNION PACIFIC CORP                          907818108     229     4400 SH       DEFINED           1       0    4400        0



                                       17





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
UNITED PARCEL SERVICE -  CLB                911312106       5      110 SH       SOLE              1     110       0        0
UNITED TECHNOLOGIES
   CORP                                     913017109     124     2380 SH       SOLE              1     180       0     2200
UNITEDHEALTH GROUP                          91324P102       5      183 SH       SOLE              1     183       0        0
VAALCO ENERGY INC        COM                91851C201      10     2365 SH       SOLE              1    2365       0        0
VALE S A                 ADR                91912E105       3      165 SH       SOLE              1     165       0        0
VANGUARD MEGA CAP 300
   ETF (LARGE CAP 300
   INDEX)                                   921910873    1156    36097 SH       SOLE              1   36097       0        0
VANGUARD SHORT TERM
   BOND ETF                                 921937827      20      250 SH       SOLE              1     250       0        0
VANGUARD TOTAL BOND
   MARKET ETF                               921937835     152     1956 SH       SOLE              1    1956       0        0
VANGUARD EUROPE
   PACIFIC ETF                              921943858     330    11543 SH       SOLE              1   11543       0        0
VANGUARD FTSE INT'L
   EQUITY                                   922042775      11      302 SH       SOLE              1     302       0        0
VARIAN SEMICONDUCTOR
   EQUIP                                    922207105       0       18 SH       SOLE              1      18       0        0
VANGUARD MID CAP ETF                        922908629     645    13788 SH       SOLE              1   13788       0        0
VANGUARD LARGE CAP ETF                      922908637     222     5316 SH       SOLE              1    5316       0        0
VANGUARD SMALL CAP ETF                      922908751     466    10194 SH       SOLE              1   10194       0        0
VERIZON COMMUNICATIONS                      92343V104     376    12226 SH       SOLE              1    6027       0     6199
VERIZON COMMUNICATIONS                      92343V104      66     2142 SH       DEFINED           1    1344     798        0
VERTEX PHARMACEUTICALS
   INC                   COM                92532F100       1       35 SH       SOLE              1      35       0        0
VIAD CORPORATION                            92552R406       1       87 SH       SOLE              1      87       0        0
VIACOM INC               NEW CL B           92553P201       2       67 SH       SOLE              1      67       0        0
VODAFONE GROUP PLC       NEW SPONS ADR NEW  92857W209      30     1524 SH       SOLE              1    1524       0        0
VODAFONE GROUP PLC       NEW SPONS ADR NEW  92857W209      10      494 SH       DEFINED           1       0     494        0
W.P.CAREY & CO., LLC                        92930Y107      12      500 SH       SOLE              1     500       0        0
WAL MART STORES INC      COM                931142103    1338    27634 SH       SOLE              1   24034       0     3600
WAL MART STORES INC      COM                931142103      43      886 SH       DEFINED           1     886       0        0
WALGREEN CO              COM                931422109      51     1723 SH       SOLE              1    1723       0        0
WASTE MANAGEMENT INC     NEW                94106L109       4      130 SH       SOLE              1     130       0        0
WATSON WYATT & CO HLDGS  CLASS A            942712100       1       26 SH       SOLE              1      26       0        0



                                       18





                                                                                                     ** VOTING AUTHORITY **
                                                                                                    ------------------------
                                                      MKT VAL          SH/ PUT/ INVESTMENT   OTHER          NAME OF TITLE OF
     NAME OF ISSUER        TITLE OF CLASS     CUSIP    x 1000    QTY   PRN CALL DESCRETION MANAGERS   SOLE   ISSUER   CLASS
------------------------ ------------------ --------- ------- -------- --- ---- ---------- -------- ------- ------- --------
                                                                                   
WELLS FARGO & CO.        NEW                949746101      38     1554 SH       SOLE              1    1554       0        0
WESTAR ENERGY INC                           95709T100      13      700 SH       SOLE              1     700       0        0
WEYERHAEUSER CO          COM                962166104       2       62 SH       SOLE              1      62       0        0
WILLIAMS COMPANY         COMMON             969457100      10      623 SH       SOLE              1     623       0        0
WINDSTREAM, INC                             97381W104       2      280 SH       SOLE              1     280       0        0
WISDOM TREE TR DIV TOP
   100 FD                                   97717W406     250     7565 SH       SOLE              1    7565       0        0
WYETH                                       983024100      38      845 SH       SOLE              1     845       0        0
XCEL ENERGY INC                             98389B100      18      977 SH       SOLE              1     977       0        0
YUM BRANDS INC                              988498101     429    12856 SH       SOLE              1   12856       0        0
ZIMMER HLDGS INC                            98956P102       6      140 SH       SOLE              1     140       0        0
GRAND TOTALS                                           495615 10641619                              2430835 7962316   248468



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