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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2010

Check here if Amendment [X]; Amendment Number: 1

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       February 11, 2011
---------------------------   ----------------------   -------------------------
[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:          273
Form 13F Information Table Value Total:   $1,108,474
                                          (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


                                                                               INVESTMENT
                                                                               DISCRETION      ** VOTING AUTHORITY **
                                                                            ---------------- --------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER               OF CLASS    CUSIP    x 1000  PRN Amt  PRN CALL  (A) (B) (C) MGR    (A)       (B)     (C)
---------------------------- --------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- -------
                                                                         
LAZARD LTD                      SHS A  G54050102     241     6,095  SH        X           1      6,030        0      65
MARVELL TECHNOLOGY GROUP LTD     ORD   G5876H105     332    17,898  SH        X           1     17,798        0     100
SEAGATE TECHNOLOGY PLC           SHS   G7945M107     187    12,418  SH        X           1     12,263        0     155
SIGNET JEWELERS LIMITED          SHS   G81276100     210     4,830  SH        X           1      4,830        0       0
ACE LTD                          SHS   H0023R105     283     4,552  SH        X           1      4,490        0      62
ACE LTD                          SHS   H0023R105       0         0  SH                X   1          0        0       0
NOBLE CORPORATION BAAR         NAMEN   H5833N103     203     5,674  SH        X           1      4,774        0     900
                                -AKT
CHECK POINT SOFTWARE TECH LT     ORD   M22465104     213     4,602  SH        X           1      4,602        0       0
AERCAP HOLDINGS NV               SHS   N00985106     180    12,719  SH        X           1     12,719        0       0
VISTAPRINT N V                   SHS   N93540107     229     4,976  SH        X           1      4,911        0      65
COPA HOLDINGS SA                CL A   P31076105     232     3,945  SH        X           1      3,900        0      45
FLEXTRONICS INTL LTD             ORD   Y2573F102     443    56,483  SH        X           1     55,955        0     528
AT&T INC                         COM   00206R102     902    30,716  SH        X           1     26,792        0   3,924
AT&T INC                         COM   00206R102     159     5,415  SH                X   1        283    5,132       0
ABBOTT LABS                      COM   002824100     738    15,399  SH        X           1     14,885        0     514
ABBOTT LABS                      COM   002824100     193     4,036  SH                X   1         36    4,000       0
ACERGY S A                   SPONSORED 00443E104     206     8,469  SH        X           1      8,469        0       0
                                 ADR
AIR PRODS & CHEMS INC            COM   009158106     638     7,019  SH        X           1      7,019        0       0
ALLSCRIPTS HEALTHCARE SOLUTN     COM   01988P108     380    19,694  SH        X           1     19,519        0     175
ALPHA NATURAL RESOURCES INC      COM   02076X102     206     3,425  SH        X           1      3,380        0      45
ALTRIA GROUP INC                 COM   02209S103     496    20,166  SH        X           1     16,947        0   3,219
ALTRIA GROUP INC                 COM   02209S103       5       206  SH                X   1        206        0       0
AMERICAN EXPRESS CO              COM   025816109     583    13,594  SH        X           1     13,594        0       0
AMERIPRISE FINL INC              COM   03076C106     287     4,991  SH        X           1      4,941        0      50
AMGEN INC                        COM   031162100     435     7,918  SH        X           1      7,918        0       0
AMPHENOL CORP NEW               CL A   032095101     310     5,866  SH        X           1      5,821        0      45
APACHE CORP                      COM   037411105     387     3,242  SH        X           1      3,194        0      48
APPLE INC                        COM   037833100   1,394     4,321  SH        X           1      4,321        0       0
APPLIED MATLS INC                COM   038222105     329    23,415  SH        X           1     23,144        0     271
ARCHER DANIELS MIDLAND CO        COM   039483102     410    13,630  SH        X           1     13,501        0     129
ARTIO GLOBAL INVT FDS         INTL EQ  04315J506     218     7,239  SH        X           1          0        0   7,239
                                CL I
ATMEL CORP                       COM   049513104     254    20,632  SH        X           1     20,362        0     270
AUTODESK INC                     COM   052769106     409    10,718  SH        X           1     10,678        0      40
BASF SE                      SPONSORED 055262505     203     2,526  SH        X           1      2,526        0       0
                                 ADR
BP PLC                       SPONSORED 055622104     282     6,378  SH        X           1      6,228        0     150
                                 ADR
BP PLC                       SPONSORED 055622104     124     2,800  SH                X   1      2,800        0       0
                                 ADR
BALDOR ELEC CO                   COM   057741100   9,866   156,506  SH        X           1    156,506        0       0
BALLY TECHNOLOGIES INC           COM   05874B107     216     5,129  SH        X           1      5,059        0      70
BANCO SANTANDER BRASIL S A    ADS REP  05967A107     156    11,501  SH        X           1     11,501        0       0



                                       3




                                                                               INVESTMENT
                                                                               DISCRETION      ** VOTING AUTHORITY **
                                                                            ---------------- --------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER               OF CLASS    CUSIP    x 1000  PRN Amt  PRN CALL  (A) (B) (C) MGR    (A)       (B)     (C)
---------------------------- --------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- -------
                                                                         
                               1 UNIT
BANCORPSOUTH INC                 COM   059692103  17,139 1,074,517  SH        X           1    952,583        0 121,934
BANCORPSOUTH INC                 COM   059692103     179    11,192  SH                X   1      8,600    2,592       0
BANK OF AMERICA CORPORATION      COM   060505104     337    25,282  SH        X           1     25,282        0       0
BANK OF THE OZARKS INC           COM   063904106   2,603    60,051  SH        X           1     60,051        0       0
BARON INVT FDS TR              SMALL   068278308     212     8,912  SH        X           1          0        0   8,912
                               CAP FD
BAXTER INTL INC                  COM   071813109     582    11,507  SH        X           1     11,403        0     104
BERKSHIRE HATHAWAY INC DEL    CL B NEW 084670702     911    11,371  SH        X           1     11,371        0       0
BEST BUY INC                     COM   086516101     212     6,172  SH        X           1      6,172        0       0
BRISTOL MYERS SQUIBB CO          COM   110122108     374    14,111  SH        X           1      9,795        0   4,316
BRISTOL MYERS SQUIBB CO          COM   110122108       9       328  SH                X   1        328        0       0
BROADCOM CORP                   CL A   111320107     688    15,807  SH        X           1     15,757        0      50
CVS CAREMARK CORPORATION         COM   126650100     271     7,808  SH        X           1      7,700        0     108
CATERPILLAR INC DEL              COM   149123101     419     4,475  SH        X           1      4,475        0       0
CELESTICA INC                 SUB VTG  15101Q108     176    18,190  SH        X           1     18,190        0       0
                                 SHS
1CELGENE CORP                    COM   151020104     421     7,120  SH        X           1      7,120        0       0
CEPHEID                          COM   15670R107     237    10,436  SH        X           1     10,436        0       0
CENTURYLINK INC                  COM   156700106     194     4,208  SH        X           1      2,811        0   1,397
CENTURYLINK INC                  COM   156700106       7       142  SH                X   1        142        0       0
CHEVRON CORP NEW                 COM   166764100   1,996    21,876  SH        X           1     20,633        0   1,243
CHEVRON CORP NEW                 COM   166764100     732     8,025  SH                X   1      8,025        0       0
CHICAGO BRIDGE & IRON CO      N V N Y  167250109     210     6,387  SH        X           1      6,387        0       0
                              REGISTRY
                                 SH
CISCO SYS INC                    COM   17275R102     730    36,087  SH        X           1     36,087        0       0
CITIZENS HLDG CO MISS            COM   174715102   3,359   158,987  SH        X           1    158,987        0       0
CITRIX SYS INC                   COM   177376100     206     3,009  SH        X           1      3,009        0       0
CLIFFS NATURAL RESOURCES INC     COM   18683K101     782    10,020  SH        X           1     10,020        0       0
COCA COLA CO                     COM   191216100     756    11,493  SH        X           1     10,046        0   1,447
COCA COLA CO                     COM   191216100     322     4,898  SH                X   1      4,898        0       0
COGNIZANT TECHNOLOGY SOLUTIO    CL A   192446102     228     3,108  SH        X           1      3,108        0       0
COLGATE PALMOLIVE CO             COM   194162103     258     3,216  SH        X           1      3,216        0       0
COLUMBIA ACORN TR               INTL   197199763     201     7,094  SH        X           1          0        0   7,094
                              SELECT Z
COMPANHIA DE BEBIDAS DAS AME    SPON   20441W203     209     6,720  SH        X           1      6,720        0       0
                              ADR PFD
CONCUR TECHNOLOGIES INC          COM   206708109     258     4,963  SH        X           1      4,918        0      45
CONOCOPHILLIPS                   COM   20825C104     443     6,501  SH        X           1      5,083        0   1,418
CONOCOPHILLIPS                   COM   20825C104       7        96  SH                X   1         96        0       0
MONTGOMERY EXPLORATION 10.87           216000992     227         1  SH        X           1          1        0       0
CORNING INC                      COM   219350105     601    31,094  SH        X           1     30,907        0     187
CULLEN FROST BANKERS INC         COM   229899109     242     3,961  SH        X           1      3,936        0      25
CUMMINS INC                      COM   231021106     221     2,007  SH        X           1      1,987        0      20



                                       4




                                                                               INVESTMENT
                                                                               DISCRETION      ** VOTING AUTHORITY **
                                                                            ---------------- --------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER               OF CLASS    CUSIP    x 1000  PRN Amt  PRN CALL  (A) (B) (C) MGR    (A)       (B)     (C)
---------------------------- --------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- -------
                                                                         
CYPRESS SEMICONDUCTOR CORP       COM   232806109     235    12,633  SH        X           1     12,473        0     160
DWS VALUE SER INC               SMCP   23338F754  17,417   465,827  SH        X           1    464,384       88   1,355
                                VALF
                                INST
DWS VALUE SER INC               SMCP   23338F754      95     2,537  SH                X   1      2,202      335       0
                                VALF
                                INST
DANAHER CORP DEL                 COM   235851102     215     4,567  SH        X           1      4,567        0       0
DEERE & CO                       COM   244199105   1,164    14,018  SH        X           1     14,018        0       0
DELTIC TIMBER CORP               COM   247850100     356     6,324  SH        X           1      6,324        0       0
DELTIC TIMBER CORP               COM   247850100  23,423   415,743  SH                X   1          0  415,743       0
DENBURY RES INC               COM NEW  247916208     215    11,258  SH        X           1     11,153        0     105
DEVON ENERGY CORP NEW            COM   25179M103     299     3,805  SH        X           1      3,752        0      53
DEVRY INC DEL                    COM   251893103     200     4,171  SH        X           1      4,131        0      40
DODGE & COX STK FD               COM   256219106  33,491   310,795  SH        X           1    309,817       60     918
DODGE & COX STK FD               COM   256219106     190     1,761  SH                X   1      1,519      242       0
DREYFUS APPRECIATION FD INC      COM   261970107   1,534    40,160  SH        X           1     40,160        0       0
DUKE ENERGY CORP NEW             COM   26441C105     271    15,210  SH        X           1     11,718        0   3,492
DUKE ENERGY CORP NEW             COM   26441C105       6       358  SH                X   1        358        0       0
ERHC ENERGY INC                  COM   26884J104       2    10,000  SH        X           1     10,000        0       0
EAST WEST BANCORP INC            COM   27579R104     270    13,810  SH        X           1     13,650        0     160
EMERSON ELEC CO                  COM   291011104   1,114    19,480  SH        X           1     19,480        0       0
EXPRESS SCRIPTS INC              COM   302182100   1,521    28,143  SH        X           1     28,143        0       0
EXXON MOBIL CORP                 COM   30231G102   5,501    75,235  SH        X           1     64,918    8,801   1,516
EXXON MOBIL CORP                 COM   30231G102   1,070    14,630  SH                X   1      6,030    8,600       0
FAIRHOLME FD                     COM   304871106     212     5,947  SH        X           1          0        0   5,947
FEDERATED EQUITY FDS         INTRCONTL 314172461  38,180   765,584  SH        X           1    763,516      129   1,939
                                INST
FEDERATED EQUITY FDS         INTRCONTL 314172461     190     3,803  SH                X   1      3,250      553       0
                                INST
FEDERATED TOTAL RETURN SERS    ULSHT   31428Q747     115    12,478  SH        X           1     12,478        0       0
                              INST NEW
FIDELITY CONTRAFUND INC         NEW    316071604  34,322 1,704,153  SH        X           1  1,698,949      319   4,885
                              INSIGHTS
                                  I
FIDELITY CONTRAFUND INC         NEW    316071604     190     9,439  SH                X   1      8,015    1,272     152
                              INSIGHTS
                                  I
FIDELITY PURITAN TR             LOW    316345305  34,631   902,307  SH        X           1    899,555      171   2,581
                               PRICE
                                 STK
FIDELITY PURITAN TR             LOW    316345305     243     6,342  SH                X   1      5,586      676      80
                               PRICE
                                 STK
FLOWSERVE CORP                   COM   34354P105     239     2,001  SH        X           1      1,971        0      30



                                       5




                                                                               INVESTMENT
                                                                               DISCRETION      ** VOTING AUTHORITY **
                                                                            ---------------- --------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER               OF CLASS    CUSIP    x 1000  PRN Amt  PRN CALL  (A) (B) (C) MGR    (A)       (B)     (C)
---------------------------- --------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- -------
                                                                         
GENERAL ELECTRIC CO              COM   369604103     725    39,620  SH        X           1     38,120        0   1,500
GENERAL MLS INC                  COM   370334104     228     6,404  SH        X           1      6,404        0       0
GLAXOSMITHKLINE PLC          SPONSORED 37733W105     193     4,932  SH        X           1      2,604        0   2,328
                                 ADR
GLAXOSMITHKLINE PLC          SPONSORED 37733W105       8       202  SH                X   1        202        0       0
                                 ADR
GOOGLE INC                      CL A   38259P508     606     1,021  SH        X           1      1,021        0       0
GROWTH FD AMER INC             CL R-5  399874833     232     7,620  SH        X           1          0        0   7,620
                               SHARES
1RESTER ENTERPRISES LP 5%              404005993     211         1  SH        X           1          1        0       0
INT
RESTER ENTERPRISES LP 8% INT           405002999     337         1  SH        X           1          1        0       0
HALLIBURTON CO                   COM   406216101     216     5,284  SH        X           1      5,165        0     119
RESTER ENTERPRISES LP 8% INT           407000991     337         1  SH        X           1          1        0       0
HASBRO INC                       COM   418056107     257     5,457  SH        X           1      5,407        0      50
DAVIS FAMILY HOLDINGS LP               419002993   1,194         0  SH        X           1          0        0       0
HEINZ H J CO                     COM   423074103     245     4,954  SH        X           1      2,710        0   2,244
HEINZ H J CO                     COM   423074103       8       168  SH                X   1        168        0       0
HESS CORP                        COM   42809H107     326     4,256  SH        X           1      4,202        0      54
HEWLETT PACKARD CO               COM   428236103     239     5,683  SH        X           1      5,683        0       0
KEY COLONY                             430004994     694         1  SH                X   1          0        1       0
JOHNSTON ENTERPRISES, L.P.             432004992   1,389         0  SH        X           1          0        0       0
GURDON TIMBER LTD 36.494%              434002994     500         1  SH        X           1          1        0       0
WOODLAND HILLS LIMITED PARTN           435001995     220        25  SH        X           1         25        0       0
SUNNYDALE LIMITED PARTNERSHI           436001994   1,558        88  SH        X           1         88        0       0
WEH PROPERTIES LIMITED PARTN           436002992     410        86  SH        X           1         86        0       0
CRICKET LIMITED PARTNERSHIP            436003990     941        28  SH        X           1         28        0       0
MCM TIMBER 3.021% INTEREST             438002990     243         1  SH        X           1          1        0       0
MCM TIMBER 3.020% INTEREST             438003998     243         1  SH        X           1          1        0       0
MCM TIMBER 1.510% INTEREST             438004996   1,598         2  SH        X           1          2        0       0
HONEYWELL INTL INC               COM   438516106     355     6,686  SH        X           1      6,586        0     100
MARIE P CARTER ENTERPRISES L           439004995   1,623         1  SH        X           1          1        0       0
OAK GROVE LAND CO, L.P. 12.5           440000990     265         3  SH        X           1          3        0       0
REED HOLDINGS PARTNERSHIP, L           441002995   1,104        71  SH        X           1         71        0       0
MCM TIMBER 12% INTEREST                442000998     966         1  SH        X           1          1        0       0
CABEARK, LP 14.1179% INTERES           443003991     422         1  SH        X           1          1        0       0
DCT OPERATING PARTNERSHIP              443004999     580    75,518  SH        X           1     75,518        0       0
CABEARK, LP 84.8821% INTERES           444003990   2,535         1  SH        X           1          1        0       0
CABE-LONG PROPERTIES, LTD              444005995     308         4  SH        X           1          4        0       0
MCMILLON PROPERTIES L/P                445000995   2,183        96  SH        X           1         96        0       0
CABE-LONG PROPERTIES, LTD              445001993   1,682         4  SH        X           1          4        0       0
CABE-LONG PROPERTIES, LTD              445003999   2,831         1  SH        X           1          1        0       0
LONGENECKER PARTNERS GENERAL           448001990   4,052        99  SH                X   1         99        0       0
1.08% LLC INTEREST IN                  448005991     300         1  SH        X           1          1        0       0
TALL PINES, LLC                        449001999     992        50  SH        X           1         50        0       0



                                       6




                                                                               INVESTMENT
                                                                               DISCRETION      ** VOTING AUTHORITY **
                                                                            ---------------- --------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER               OF CLASS    CUSIP    x 1000  PRN Amt  PRN CALL  (A) (B) (C) MGR    (A)       (B)     (C)
---------------------------- --------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- -------
                                                                         
DONOVAN INVESTMENTS, LLC               449003995   4,640        99  SH        X           1         99        0       0
IAMGOLD CORP                     COM   450913108     197    11,086  SH        X           1     10,971        0     115
ILLINOIS TOOL WKS INC            COM   452308109     258     4,824  SH        X           1      4,824        0       0
INTEL CORP                       COM   458140100     759    36,092  SH        X           1     33,942        0   2,150
INTEL CORP                       COM   458140100      67     3,200  SH        F       X   1      3,200        0       0
INTERNATIONAL BUSINESS MACHS     COM   459200101     765     5,210  SH        X           1      5,210        0       0
INVESTMENT CO AMER              CL A   461308108   1,160    41,181  SH        X           1     41,181        0       0
JDS UNIPHASE CORP             COM PAR  46612J507     155    10,702  SH        X           1     10,547        0     155
                               $0.001
JPMORGAN CHASE & CO              COM   46625H100     322     7,592  SH        X           1      7,592        0       0
JPMORGAN CHASE & CO              COM   46625H100      83     1,956  SH                X   1          0    1,956       0
JANUS INVT FD                  GLOBAL  471023648     205    17,287  SH        X           1          0        0  17,287
                              SEL FD T
JANUS INVT FD                 OVERSEAS 47103C449     260     5,148  SH        X           1          0        0   5,148
                               FD SHS
JOHNSON & JOHNSON                COM   478160104   1,358    21,954  SH        X           1     20,555        0   1,399
JOHNSON & JOHNSON                COM   478160104     352     5,699  SH                X   1      4,499    1,200       0
JOHNSON CTLS INC                 COM   478366107     238     6,220  SH        X           1      6,220        0       0
JUNIPER NETWORKS INC             COM   48203R104   1,003    27,175  SH        X           1     27,175        0       0
KBR INC                          COM   48242W106     206     6,755  SH        X           1      6,660        0      95
K L S ENVIRO RES INC             COM   482530102       0   125,000  SH        X           1    125,000        0       0
KIMBERLY CLARK CORP              COM   494368103     249     3,955  SH        X           1      2,200        0   1,755
KIMBERLY CLARK CORP              COM   494368103       8       130  SH                X   1        130        0       0
KRAFT FOODS INC                 CL A   50075N104     236     7,474  SH        X           1      6,454        0   1,020
LENDER PROCESSING SVCS INC       COM   52602E102     216     7,316  SH        X           1      7,316        0       0
LILLY ELI & CO                   COM   532457108     198     5,649  SH        X           1      2,900        0   2,749
LILLY ELI & CO                   COM   532457108      35       993  SH                X   1        993        0       0
LONGLEAF PARTNERS FDS TR       SH BEN  543069108     250     8,830  SH        X           1      8,830        0       0
                                 INT
1LORD ASSET MGMT TR           T WHITE  543917108     205    11,912  SH        X           1          0        0  11,912
                                INTL
LOWES COS INC                    COM   548661107     226     9,000  SH        X           1      9,000        0       0
MFS SER TR I                   VALUE   552983801     214     9,379  SH        X           1          0        0   9,379
                              FD CL A
MANULIFE FINL CORP               COM   56501R106     323    18,800  SH        X           1     18,800        0       0
MCDONALDS CORP                   COM   580135101     629     8,196  SH        X           1      7,071        0   1,125
MCDONALDS CORP                   COM   580135101       9       117  SH                X   1        117        0       0
MEDNAX INC                       COM   58502B106     338     5,019  SH        X           1      4,984        0      35
MEDTRONIC INC                    COM   585055106     257     6,925  SH        X           1      6,821        0     104
MERCK & CO INC NEW               COM   58933Y105     261     7,250  SH        X           1      7,250        0       0
METLIFE INC                      COM   59156R108     251     5,640  SH        X           1      5,551        0      89
MICROSOFT CORP                   COM   594918104   1,156    41,427  SH        X           1     40,747        0     680
COLLABRX SER A PFD STOCK               601A4X997     634   446,227  SH                X   1          0  446,227       0
MONTGOMERY EXPLORATION                 601A5Z991     295         1  SH        X           1          1        0       0
MURPHY OIL CORP                  COM   626717102   6,030    80,879  SH        X           1     80,879        0       0



                                       7





                                                                               INVESTMENT
                                                                               DISCRETION      ** VOTING AUTHORITY **
                                                                            ---------------- --------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER               OF CLASS    CUSIP    x 1000  PRN Amt  PRN CALL  (A) (B) (C) MGR    (A)       (B)     (C)
---------------------------- --------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- -------
                                                                         
MURPHY OIL CORP                  COM   626717102 559,351 7,503,034  SH                X   1          0 7,503,034      0
MUTUAL SER FD INC              SHS FD  628380107     351    16,903  SH                X   1     16,903        0       0
                                CL Z
MUTUAL SER FD INC              BEACON  628380305     165    13,366  SH                X   1     13,366        0       0
                                FD Z
MUTUAL SER FD INC               GBL    628380404  34,691 1,174,757  SH        X           1  1,171,339      212   3,206
                               DISCVR
                                FD Z
MUTUAL SER FD INC               GBL    628380404     179     6,070  SH        X           1      5,254      816       0
                               DISCVR
                                FD Z
MYLAN INC                        COM   628530107     220    10,408  SH        X           1     10,313        0      95
NATIONAL OILWELL VARCO INC       COM   637071101     325     4,833  SH        X           1      4,768        0      65
NESTLE S A                   SPONSORED 641069406     331     5,630  SH        X           1      5,630        0       0
                                 ADR
NETAPP INC                       COM   64110D104     757    13,767  SH        X           1     13,767        0       0
NEW PERSPECTIVE FD INC           COM   648018109     726    25,380  SH        X           1     25,380        0       0
NORFOLK SOUTHERN CORP            COM   655844108     379     6,029  SH        X           1      5,971        0      58
OCCIDENTAL PETE CORP DEL         COM   674599105     269     2,742  SH        X           1      2,742        0       0
ON SEMICONDUCTOR CORP            COM   682189105     197    19,910  SH        X           1     19,613        0     297
ORACLE CORP                      COM   68389X105     244     7,802  SH        X           1      7,802        0       0
O REILLY AUTOMOTIVE INC          COM   686091109     559     9,168  SH        X           1      9,168        0       0
PDL BIOPHARMA INC                COM   69329Y104     187    30,000  SH                X   1          0   30,000       0
PEPSICO INC                      COM   713448108     727    11,127  SH        X           1     11,127        0       0
PEPSICO INC                      COM   713448108      72     1,100  SH                X   1          0    1,100       0
PFIZER INC                       COM   717081103     399    22,805  SH        X           1     22,805        0       0
PFIZER INC                       COM   717081103      25     1,420  SH                X   1        720      700       0
PHILIP MORRIS INTL INC           COM   718172109     884    15,099  SH        X           1     13,463        0   1,636
PHILIP MORRIS INTL INC           COM   718172109       7       118  SH                X   1        118        0       0
POTASH CORP SASK INC             COM   73755L107     523     3,380  SH        X           1      3,380        0       0
PRECISION CASTPARTS CORP         COM   740189105     314     2,253  SH        X           1      2,243        0      10
PRICE T ROWE GROUP INC           COM   74144T108   1,024    15,870  SH        X           1     15,870        0       0
PRICE T ROWE GROWTH STK FD I     COM   741479109  36,806 1,144,807  SH        X           1  1,141,236      201   3,370
PRICE T ROWE GROWTH STK FD I     COM   741479109     270     8,396  SH                X   1      7,512      884       0
PROCTER & GAMBLE CO              COM   742718109   2,260    35,131  SH        X           1     34,560        0     571
PROCTER & GAMBLE CO              COM   742718109     390     6,059  SH                X   1      6,059        0       0
RALCORP HLDGS INC NEW            COM   751028101     393     6,050  SH        X           1      6,013        0      37
RAYTHEON CO                   COM NEW  755111507     273     5,882  SH        X           1      5,882        0       0
REGIONS FINANCIAL CORP NEW       COM   7591EP100     248    35,464  SH        X           1     29,564        0   5,900
REGIONS FINANCIAL CORP NEW       COM   7591EP100      15     2,205  SH                X   1          0    2,205       0
RENASANT CORP                    COM   75970E107     852    50,356  SH        X           1     50,356        0       0
ROLLINS INC                      COM   775711104     215    10,897  SH        X           1     10,897        0       0
ROWE T PRICE EQUITY INCOME F   SH BEN  779547108  33,305 1,405,861  SH        X           1  1,401,416      278   4,167
                                 INT



                                       8




                                                                                  INVESTMENT
                                                                                  DISCRETION      ** VOTING AUTHORITY **
                                                                               ---------------- --------------------------
                               TITLE              MKT VAL    Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE     SHARED    NONE
NAME OF ISSUER               OF CLASS    CUSIP     x 1000    PRN Amt  PRN CALL  (A) (B) (C) MGR    (A)        (B)     (C)
---------------------------- --------- --------- --------- ---------- --- ---- ---- --- --- --- --------- --------- -------
                                                                             
ROWE T PRICE EQUITY INCOME F   SH BEN  779547108       189      7,956  SH                X   1      6,918     1,038       0
                                 INT
ROWE T PRICE MID-CAP GROWTH      COM   779556109    51,152    873,942  SH        X           1    871,182       167   2,593
ROWE T PRICE MID-CAP GROWTH      COM   779556109       283      4,829  SH                X   1      4,162       667       0
ROWE T PRICE MID CAP VALUE F     COM   77957Y106       244     10,282  SH        X           1      2,254         0   8,028
ROYAL DUTCH SHELL PLC           SPON   780259107       217      3,252  SH        X           1      1,945         0   1,307
                                ADR B
ROYAL DUTCH SHELL PLC           SPON   780259107       112      1,686  SH                X   1      1,686         0       0
                                ADR B
ROYAL DUTCH SHELL PLC          SPONS   780259206       102      1,524  SH        X           1      1,524         0       0
                                ADR A
ROYAL DUTCH SHELL PLC          SPONS   780259206       214      3,200  SH                X   1      3,200         0       0
                                ADR A
ROYCE FD                        PENN   780905840    37,256  3,197,937  SH        X           1  3,188,513       573   8,851
                              MUT INV
ROYCE FD                        PENN   780905840       193     16,595  SH        X           1     14,364     2,231       0
                              MUT INV
1SEI INVESTMENTS CO              COM   784117103       230      9,653  SH        X           1      9,533         0     120
SPDR GOLD TRUST               GOLD SHS 78463V107       307      2,212  SH        X           1      2,212         0       0
SCHLUMBERGER LTD                 COM   806857108       265      3,173  SH        X           1      3,173         0       0
SHERWIN WILLIAMS CO              COM   824348106       271      3,235  SH        X           1      3,235         0       0
SIMMONS 1ST NATL CORP         CL A $1  828730200       301     10,566  SH        X           1     10,566         0       0
                                 PAR
SOUTHERN CO                      COM   842587107     4,313    112,823  SH        X           1    110,697         0   2,126
SOUTHERN CO                      COM   842587107       187      4,893  SH                X   1      4,893         0       0
SPRINT NEXTEL CORP            COM SER  852061100       212     50,000  SH        X           1     50,000         0       0
                                  1
STAPLES INC                      COM   855030102       436     19,144  SH        X           1     19,144         0       0
STRYKER CORP                     COM   863667101       562     10,458  SH        X           1     10,458         0       0
TARGET CORP                      COM   87612E106       992     16,505  SH        X           1     16,438         0      67
THERMO FISHER SCIENTIFIC INC     COM   883556102       211      3,817  SH        X           1      3,817         0       0
3M CO                            COM   88579Y101       256      2,962  SH        X           1      1,612         0   1,350
TIFFANY & CO NEW                 COM   886547108       215      3,458  SH        X           1      3,458         0       0
TRIMBLE NAVIGATION LTD           COM   896239100       476     11,910  SH        X           1     11,910         0       0
TRUSTMARK CORP                   COM   898402102     1,114     44,846  SH        X           1     44,846         0       0
USA TRUCK INC                    COM   902925106       213     16,113  SH        X           1     16,113         0       0
UNION PAC CORP                   COM   907818108       239      2,574  SH        X           1      2,546         0      28
UNION PAC CORP                   COM   907818108       408      4,400  SH                X   1          0     4,400       0
UNITED TECHNOLOGIES CORP         COM   913017109       272      3,460  SH        X           1      3,460         0       0
V F CORP                         COM   918204108       316      3,672  SH        X           1      3,672         0       0
VANGUARD STAR FD               TOTAL   921909602       455     28,867  SH        X           1     28,867         0       0
                              INTL STK
VANGUARD WORLD FD               MEGA   921910873     2,417     56,305  SH        X           1     56,305         0       0
                                CAP
                                INDEX



                                       9




                                                                                  INVESTMENT
                                                                                  DISCRETION      ** VOTING AUTHORITY **
                                                                               ---------------- --------------------------
                               TITLE              MKT VAL    Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE     SHARED    NONE
NAME OF ISSUER               OF CLASS    CUSIP     x 1000    PRN Amt  PRN CALL  (A) (B) (C) MGR    (A)        (B)     (C)
---------------------------- --------- --------- --------- ---------- --- ---- ---- --- --- --- --------- --------- -------
                                                                             
VANGUARD EXPLORER FD INC         COM   921926101       510      7,001  SH        X           1      7,001         0       0
VANGUARD TAX-MANAGED FD        EUROPE  921943858       935     25,851  SH        X           1     25,851         0       0
                              PAC ETF
VANGUARD INDEX FDS              500    922908108       253      2,182  SH        X           1          0         0   2,182
                             PORTFOLIO
VANGUARD INDEX FDS              500    922908108        92        795  SH                X   1        795         0       0
                             PORTFOLIO
VANGUARD INDEX FDS             VALUE   922908405     2,872    138,155  SH        X           1    138,155         0       0
                                PTFL
VANGUARD INDEX FDS            MID CAP  922908629     1,620     21,754  SH        X           1     21,754         0       0
                                 ETF
VANGUARD INDEX FDS             SMALL   922908751     1,119     15,405  SH        X           1     15,405         0       0
                               CP ETF
VERIZON COMMUNICATIONS INC       COM   92343V104       513     14,332  SH        X           1     10,028         0   4,304
VERIZON COMMUNICATIONS INC       COM   92343V104        37      1,033  SH                X   1        235       798       0
VISA INC                      COM CL A 92826C839       205      2,906  SH        X           1      2,906         0       0
VODAFONE GROUP PLC NEW         SPONS   92857W209       254      9,613  SH        X           1      5,574         0   4,039
                              ADR NEW
VODAFONE GROUP PLC NEW         SPONS   92857W209        21        785  SH                X   1        291       494       0
                              ADR NEW
WT MUT FD                       CRM    92934R769       222      7,741  SH        X           1          0         0   7,741
                                MDCP
                                VAL I
WAL MART STORES INC              COM   931142103     1,259     23,347  SH        X           1     23,347         0       0
WASHINGTON MUT INVS FD INC       COM   939330106       887     32,614  SH        X           1     32,614         0       0
WESTERN UN CO                    COM   959802109       263     14,143  SH        X           1     13,935         0     208
YUM BRANDS INC                   COM   988498101     1,036     21,116  SH        X           1     21,116         0       0
FINAL TOTALS                                     1,108,474 24,762,608                          15,993,323 8,447,895 321,390



                                       10