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, 2006

     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: Senior Vice President and Corporate Secretary

     Phone: (662) 680-2084

Signature Place and Date of Signing:


/s/ Cathy S. Freeman                    Tupelo Mississippi      August 11, 2006
-------------------------------------   [City State]            [Date]
[Signature]

     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:           719
Form 13F Information Table Value Total:   $14,147,045
                                           (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 ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
AMERICAN SAFETY                     G02995101  11       685       SH         SOLE        1         0        0        685
INSURANCE
HOLDINGS LTD
ARLINGTON                           G04899103  63       2797      SH         SOLE        1         698      0        2099
TANKERS LTD
FOSTER WHEELER                      G36535139  268      6215      SH         SOLE        1         5785     0        430
LTD
GLOBAL SANTAFE                      G3930E101  582      10084     SH         SOLE        1         310      0        9774
CORP
INGSOLL-RAND CO     CL A BERMUDA    G4776G101  304      7129      SH         SOLE        1         5100     0        2029
LAZARD LTD SHS A                    G54050102  73       1830      SH         SOLE        1         0        0        1830
MARVELL                             G5876H105  129      2925      SH         SOLE        1         0        0        2925
TECHNOLOGY GROUP
MONTPELIER RE                       G62185106  459      26620     SH         SOLE        1         26620    0        0
HLD LTDF
NABORS                              G6359F103  98       2923      SH         SOLE        1         0        0        2923
INDUSTRIES
SEAGATE                             G7945J104  19       860       SH         SOLE        1         0        0        860
TECHNOLOGY SHS
WEATHERFORD         NEW (BERMUDA)   G95089101  284      5730      SH         SOLE        1         5330     0        400
INTL LTD
ALCON INC                           H01301102  78       793       SH         SOLE        1         0        0        793
UBS AG              NEW             H8920M855  96       881       SH         SOLE        1         0        0        881
MIND C.T.I. LTD     COM             M70240102  5        2000      SH         SOLE        1         2000     0        0
ORCKIT              NEW             M7531S206  6        660       SH         SOLE        1         0        0        660
COMMUNICATIONS
LTD SHS
ADC                                 000886309  55       3282      SH         SOLE        1         0        0        3282
TELECOMMUNICATIONS
A F L A C INC                       001055102  159      3440      SH         SOLE        1         1600     0        1840
AGL RESOURCES,                      001204106  17       450       SH         SOLE        1         450      0        0
INC
AT&T INC            COM             00206R102  1078     38696     SH         SOLE        1         20021    0        18675
AT&T INC            COM             00206R102  84       3048      SH         DEFINED     1         958      2090     0
ATMI INC                            00207R101  26       1078      SH         SOLE        1         116      0        962
AARON RENTS INC     COM             002535201  48       1800      SH         SOLE        1         200      0        1600
ABBOTT LAB                          002824100  232      5321      SH         SOLE        1         5321     0        0
ABBOTT LAB                          002824100  183      4200      SH         DEFINED     1         200      4000     0
ACE CASH            COM             004403101  42       1450      SH         SOLE        1         155      0        1295
EXPRESS INC
ACTUANT CORP                        00508X203  25       510       SH         SOLE        1         0        0        510
CLASS A
ADAMS EXPRESS CO    COM             006212104  36       2804      SH         SOLE        1         2804     0        0
ADOBE SYSTEMS                       00724F101  385      12691     SH         SOLE        1         577      0        12114
INCORPORATED
DELAWARE
ADTRAN INC                          00738A106  42       1876      SH         SOLE        1         200      0        1676
AEGON N V ORD                       007924103  309      18158     SH         SOLE        1         0        0        18158
AETNA INC           COM             00817Y108  15       400       SH         DEFINED     1         0        0        400
AFFILIATED          COM             008252108  131      1518      SH         SOLE        1         60       0        1458
MANAGERS GROUP
AGERE SYS INC       COM             00845V308  125      8524      SH         SOLE        1         0        0        8524
AGILENT                             00846U101  58       1851      SH         SOLE        1         59       0        1792
TECHNOLOGIES,
INC.
AGNICO EAGLE                        008474108  96       2915      SH         SOLE        1         500      0        2415
MINES
AIR PRODS &         COM             009158106  7        111       SH         SOLE        1         0        0        111
CHEMS INC
AIRTRAN HLDGS       COM             00949P108  11       805       SH         SOLE        1         0        0        805
INC
AIXTRON             ADR             009606104  1        510       SH         SOLE        1         510      0        0
AKTIENGELELLSCHAFT
AKZO NOBEL NV       ADR             010199305  5        110       SH         SOLE        1         0        0        110
ALCAN INC           COM             013716105  3        80        SH         SOLE        1         0        0        80
ALCOA INC                           013817101  128      3982      SH         SOLE        1         3752     0        230
ALLIANT                             018804104  72       953       SH         SOLE        1         105      0        848
TECHSYSTEMS, INC
ALLIANZ             ADR 1/10        018805101  6        400       SH         SOLE        1         0        0        400
AKTIENGESELLSCHAFT
SP SH
ALLIANCEBERSTEIN                    01881G106  122      2000      SH         DEFINED     1         2000     0        0
HLDG LP
ALLIED CAP CO                       01903Q108  9        315       SH         SOLE        1         315      0        0
FUND
ALLIED IRISH        SPON ADR ORD    019228402  8        170       SH         SOLE        1         0        0        170
BKS P L C
ALLION              COM             019615103  24       2795      SH         SOLE        1         0        0        2795
HEALTHCARE INC
ALLSCRIPTS          COM             01988P108  18       1075      SH         SOLE        1         0        0        1075
HEALTHCARE
SOLUTI
ALLSTATE CORP       COMMON          020002101  676      12355     SH         SOLE        1         7386     0        4969
ALLSTATE CORP       COMMON          020002101  16       310       SH         DEFINED     1         310      0        0
ALLTEL CORP                         020039103  55       873       SH         SOLE        1         653      0        220
ALLTEL CORP                         020039103  370      5800      SH         DEFINED     1         5800     0        0
ALTERA CORP                         021441100  3        200       SH         SOLE        1         200      0        0
ALTRIA GROUP INC                    02209S103  917      12499     SH         SOLE        1         8003     0        4496
AMBAC FINANCIAL                     023139108  4        50        SH         SOLE        1         50       0        0
GROUP
AMCOL INTL CORP     COM             02341W103  21       820       SH         SOLE        1         0        0        820
AMERCO                              023586100  80       803       SH         SOLE        1         90       0        713
AMERICAN            COM NEW         025195207  29       495       SH         SOLE        1         0        0        495
COMMERCIAL LINES
AMERICAN                            025537101  127      3725      SH         SOLE        1         1100     0        2625
ELECTRIC POWER
AMER EXPRESS CO                     025816109  261      4922      SH         SOLE        1         1935     0        2987
AMERICAN                            026874107  404      6858      SH         SOLE        1         5285     0        1573
INTERNATIONAL
GROUP, INC
AMERICAN                            026874107  10       175       SH         DEFINED     1         175      0        0
INTERNATIONAL
GROUP, INC
AMERICAN TOWER      CL A            029912201  143      4624      SH         SOLE        1         0        0        4624
CORP



                                        3





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
AMERICREDIT CORP    COM             03060R101  86       3094      SH         SOLE        1         0        0        3094
AMERISAFE INC       CL A            03071H100  16       1325      SH         SOLE        1         0        0        1325
AMERUS LIFE                         03072M108  110      1889      SH         SOLE        1         1889     0        0
HOLDINGS
AMERIGAS                            030975106  14       500       SH         SOLE        1         500      0        0
PARTNERS L P
AMGEN INC                           031162100  874      13401     SH         SOLE        1         4082     0        9319
AMGEN INC                           031162100  13       200       SH         DEFINED     1         200      0        0
AMSOUTH                             032165102  623      23559     SH         SOLE        1         23559    0        0
BANCORPORATION
ANADARKO PETE                       032511107  16       344       SH         SOLE        1         54       0        290
CORP
ANADARKO PETE                       032511107  80       1696      SH         DEFINED     1         0        1696     0
CORP
ANGIODYNAMICS       COM             03475V101  16       610       SH         SOLE        1         0        0        610
INC
ANGLO AMERICAN      ADR             03485P102  214      10488     SH         SOLE        1         0        0        10488
PLC SP
ANHEUSER-BUSCH                      035229103  337      7406      SH         SOLE        1         6811     0        595
COMPANIES
ANHEUSER-BUSCH                      035229103  164      3600      SH         DEFINED     1         3600     0        0
COMPANIES
ANNALY MTG MGMT                     035710409  2        200       SH         SOLE        1         200      0        0
AON CORP                            037389103  15       433       SH         SOLE        1         0        0        433
APACHE CORP                         037411105  42       617       SH         SOLE        1         0        0        617
APPLE COMP INC                      037833100  96       1680      SH         SOLE        1         0        0        1680
APPLE COMP INC                      037833100  80       1400      SH         DEFINED     1         1400     0        0
APPLEBEES INTL      COM             037899101  65       3395      SH         SOLE        1         0        0        3395
INC
APPLIED                             038222105  375      23093     SH         SOLE        1         22160    0        933
MATERIALS INC
ARCH COAL, INC                      039380100  61       1462      SH         SOLE        1         0        0        1462
ARCHER-DANIELS-                     039483102  11       279       SH         SOLE        1         279      0        0
MIDLAND COMPANY
ARENA RESOURCES     COM             040049108  61       1808      SH         SOLE        1         195      0        1613
INC
ARGONAUT GROUP                      040157109  26       885       SH         SOLE        1         0        0        885
INC
ARTHROCARE CORP     COM             043136100  13       320       SH         SOLE        1         0        0        320
ARVINMERITOR                        043353101  0        44        SH         SOLE        1         44       0        0
ASHFORD                             044103109  38       3075      SH         SOLE        1         335      0        2740
HOSPITALITY
TRUST INC
AUTO DATA                           053015103  199      4400      SH         SOLE        1         4400     0        0
PROCESS
AUTOZONE                            053332102  17       200       SH         SOLE        1         200      0        0
AUTOZONE                            053332102  33       377       SH         DEFINED     1         377      0        0
AVAYA INC                           053499109  58       5151      SH         SOLE        1         172      0        4979
AXA-UAP             ADR             054536107  12       373       SH         SOLE        1         183      0        190
BB&T CORP                           054937107  19       464       SH         SOLE        1         464      0        0
BASF AG             ADR             055262505  228      2847      SH         SOLE        1         0        0        2847
BCE INC                             05534B109  105      4460      SH         SOLE        1         0        0        4460
BJ SERVICES CO                      055482103  412      11064     SH         SOLE        1         302      0        10762
BP AMOCO PLC        SPONSORED ADR   055622104  586      8429      SH         SOLE        1         6436     0        1993
BP AMOCO PLC        SPONSORED ADR   055622104  261      3756      SH         DEFINED     1         3756     0        0
BALDOR ELEC CO      COM             057741100  42704    1364787   SH         DEFINED     1         1364787  0        0
BANCO SANTANDER     ADR             05964H105  5        390       SH         SOLE        1         0        0        390
CENT HISPANO SA
BANCORPSOUTH INC                    059692103  25059    919611    SH         SOLE        1         919236   0        375
BANCORPSOUTH INC                    059692103  1917     70366     SH         DEFINED     1         67437    2592     337
BANK OF AMERICA     NEW COM         060505104  362      7532      SH         SOLE        1         1724     0        5808
CORP
BANK OF THE                         063904106  3069     92200     SH         DEFINED     1         92200    0        0
OZARKS, INC
BANKATLANTIC        CL A            065908501  39       2660      SH         SOLE        1         295      0        2365
BANCORP
BAXTER INTL INC                     071813109  83       2280      SH         SOLE        1         2280     0        0
BEAR STEARNS                        073902108  92       657       SH         SOLE        1         657      0        0
COS INC
BELLSOUTH CORP                      079860102  453      12519     SH         SOLE        1         12519    0        0
BELLSOUTH CORP                      079860102  97       2696      SH         DEFINED     1         400      2296     0
BERKSHIRE                           084670108  91       1         SH         SOLE        1         1        0        0
HATHAWAY "A"
BERKSHIRE           CL B            084670207  9        3         SH         DEFINED     1         3        0        0
HATHAWAY INC DEL
BEST BUY INC        COMMON STOCK    086516101  83       1530      SH         SOLE        1         0        0        1530
BIRCH MTN RES       COM             09066X109  21       4250      SH         SOLE        1         470      0        3780
LTD
BLACKROCK INVT                      09247D105  51       3000                 SOLE        1         3000     0        0
QUALITY MUNI TR
INC
BLOCK H & R INC     COM             093671105  5        217       SH         SOLE        1         0        0        217
BOEING INC                          097023105  59       725       SH         SOLE        1         500      0        225
BOSTON                              101137107  33       2015      SH         SOLE        1         2015     0        0
SCIENTIFIC
BOYD GAMING CORP                    103304101  112      2798      SH         SOLE        1         0        0        2798
BRANDYWINE RLTY     NEW             105368203  1        48        SH         SOLE        1         0        0        48
TR SH BEN INT
BRIGGS &                            109043109  45       1465      SH         SOLE        1         160      0        1305
STRATTON CORP
BRISTOL MYERS                       110122108  263      10180     SH         SOLE        1         10180    0        0
SQUIBB CO
BROADCOM CORP                       111320107  74       2472      SH         SOLE        1         300      0        2172
BUILDERS            COM             12008R107  25       1245      SH         SOLE        1         0        0        1245
FIRSTSOURCE INC
BURLINGTON                          12189T104  24       310       SH         SOLE        1         310      0        0
NORTHERN/SANTA
FE CORP
CBS CORP CL B       NEW             124857202  101      3768      SH         SOLE        1         3254     0        514
CIGNA                               125509109  279      2835      SH         SOLE        1         161      0        2674
CORPORATION
CRH PLC             ADR             12626K203  4        140       SH         SOLE        1         0        0        140
CVS CORP                            126650100  232      7582      SH         SOLE        1         425      0        7157
DELAWARE
CA INC              COM             12673P105  792      38600     SH         SOLE        1         38600    0        0
CADBURY             ADR             127209302  193      4998      SH         SOLE        1         1200     0        3798
SCHWEPPES PLC
CADENCE DESIGN                      127387108  143      8383      SH         SOLE        1         181      0        8202
SYSTEMS INC
CALIFORNIA PIZZA    COM             13054D109  18       675       SH         SOLE        1         0        0        675



                                        4





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
KITCHEN INC
CANADIAN PAC                        13645T100  116      2277      SH         SOLE        1         0        0        2277
RAILWAY
CANON INC           ADR REPSTG 5    138006309  347      4745      SH         SOLE        1         0        0        4745
                    SHRS
CAPITAL ONE         COM             14040H105  1037     12137     SH         SOLE        1         12137    0        0
FINL CORP
CAREMARK RX INC                     141705103  151      3035      SH         SOLE        1         0        0        3035
CARNIVAL CORP                       143658300  208      5004      SH         SOLE        1         284      0        4720
CARTERS INC                         146229109  49       1890      SH         SOLE        1         0        0        1890
CELADON GROUP                       150838100  32       1469      SH         SOLE        1         0        0        1469
INC
CENDANT CORP        COM             151313103  466      28676     SH         SOLE        1         871      0        27805
CENTERPOINT                         15189T107  9        724       SH         SOLE        1         224      0        500
ENERGY INC
CENTRAL EUROPE                      153436100  1        34        SH         SOLE        1         34       0        0
AND RUSSIA FD
INC
CENTURYTEL, INC                     156700106  37       1000      SH         SOLE        1         1000     0        0
CERNER CORP         COM             156782104  71       1927      SH         SOLE        1         0        0        1927
CHEESECAKE                          163072101  55       2058      SH         SOLE        1         0        0        2058
FACTORY
CHESAPEAKE                          165167107  87       2878      SH         SOLE        1         0        0        2878
ENERGY CORP
CHEVRON                             166764100  1253     20191     SH         SOLE        1         10678    0        9513
CORPORATION
CHEVRON                             166764100  136      2200      SH         DEFINED     1         2200     0        0
CORPORATION
CHINA TELECOM       SPON ADR H SHS  169426103  4        150       SH         SOLE        1         0        0        150
CORP LTD
CIENA CORP                          171779101  94       19583     SH         SOLE        1         0        0        19583
CISCO SYS INC                       17275R102  752      38573     SH         SOLE        1         20131    0        18442
CITIGROUP, INC                      172967101  474      9838      SH         SOLE        1         8148     0        1690
CITIGROUP, INC                      172967101  352      7307      SH         DEFINED     1         7307     0        0
CITIZENS                            17453B101  58       4493      SH         SOLE        1         0        0        4493
COMMUNICATIONS
CO
CITIZENS                            174715102  3616     158987    SH         SOLE        1         158987   0        0
HOLDING COMPANY
COACH INC                           189754104  133      4465      SH         SOLE        1         0        0        4465
COCA COLA CO                        191216100  567      13195     SH         SOLE        1         10220    0        2975
COCA COLA CO                        191216100  241      5625      SH         DEFINED     1         5225     0        400
COCA COLA           COM             191219104  40       2000      SH         SOLE        1         2000     0        0
ENTERPRISES INC
COGNIZANT                           192446102  143      2131      SH         SOLE        1         0        0        2131
TECHNOLOGY SOL
COHERENT INC                        192479103  25       755       SH         SOLE        1         0        0        755
COLGATE-PALMOLIVE                   194162103  204      3407      SH         SOLE        1         3407     0        0
CO
COLONIAL PPTYS      COM             195872106  1        26        SH         SOLE        1         0        0        26
TR SH BEN INT
COMCAST CORP CL     COM NEW         20030N101  5        175       SH         SOLE        1         175      0        0
A
COMCAST CORP CL     COM NEW         20030N101  13       401       SH         DEFINED     1         0        401      0
A
COMERICA INC                        200340107  9        180       SH         SOLE        1         150      0        30
COMMERCE            COM             200519106  455      12771     SH         SOLE        1         571      0        12200
BANCORP INC NJ
COMMSCOPE INC                       203372107  97       3095      SH         SOLE        1         0        0        3095
COMMUNITY                           203668108  56       1529      SH         SOLE        1         0        0        1529
HEALTH SYSTEMS
COMPUTER            COMMON          205363104  4        99        SH         DEFINED     1         0        0        99
SCIENCES
CORPORATION
COMSTOCK                            205684103  5        935       SH         SOLE        1         0        0        935
HOMEBUILDING COS
COMTECH             NEW             205826209  22       765       SH         SOLE        1         0        0        765
TELECOMMUNICATIONS
CCOM
CONAGRA FOODS       COM             205887102  418      18926     SH         SOLE        1         551      0        18375
INC
CONEXANT SYS INC    COM             207142100  0        176       SH         SOLE        1         176      0        0
CONNETICS                           208192104  18       1590      SH         SOLE        1         0        0        1590
CORPORATION
CONN'S INC                          208242107  27       1045      SH         SOLE        1         0        0        1045
CONN'S INC                          208242107  21       800       SH         DEFINED     1         800      0        0
CONOCO PHILLIPS                     20825C104  566      8646      SH         SOLE        1         8117     0        529
CONSECO INC         NEW             208464883  259      11260     SH         SOLE        1         1033     0        10227
CONSOL ENERGY       COM             20854P109  92       1980      SH         SOLE        1         0        0        1980
INC
CONSOLIDATED        COM             209115104  1        34        SH         SOLE        1         0        0        34
EDISON INC
COOPER TIRE &                       216831107  170      15328     SH         SOLE        1         14953    0        375
RUBBER CO
COOPER TIRE &                       216831107  1        100       SH         DEFINED     1         100      0        0
RUBBER CO
CORN PRODUCTS                       219023108  47       1560      SH         SOLE        1         175      0        1385
INTERNATIONAL
INC
CORNING INC                         219350105  147      6114      SH         SOLE        1         0        0        6114
COSI INC            COM             22122P101  12       2045      SH         SOLE        1         0        0        2045
COSTCO                              22160K105  435      7631      SH         SOLE        1         785      0        6846
WHOLESALE CORP
CREDIT SUISSE       ADR             225401108  255      4564      SH         SOLE        1         108      0        4456
GROUP
CROWN CASTLE        COM             228227104  185      5357      SH         SOLE        1         0        0        5357
INTL CORP
CYBERSOURCE CORP    COM             23251J106  36       3135      SH         SOLE        1         0        0        3135
CYTEC INDS INC      COM             232820100  34       645       SH         SOLE        1         75       0        570
DNP SELECT                          23325P104  11       1100      SH         SOLE        1         1100     0        0
INCOME FD INC
DRS                                 23330X100  42       873       SH         SOLE        1         96       0        777
TECHNOLOGIES INC
DTE ENERGY CO                       233331107  10       270       SH         SOLE        1         0        0        270
DANAHER CORP DEL    COM             235851102  88       1375      SH         SOLE        1         0        0        1375
DEALERTRACK         COM             242309102  12       545       SH         SOLE        1         0        0        545
HLDGS INC
DEERE & CO                          244199105  158      1895      SH         SOLE        1         1895     0        0
DELL INC                            24702R101  622      25453     SH         SOLE        1         9167     0        16286
DELTIC TIMBER                       247850100  370      6572      SH         SOLE        1         6572     0        0
INC



                                        5





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
DELTIC TIMBER                       247850100  25224    447565    SH         DEFINED     1         0        447565   0
INC
DIAGEO P L C        SPON ADR NEW    25243Q205  549      8143      SH         SOLE        1         3892     0        4251
DIAMONDS TRUST                      252787106  11       100       SH         SOLE        1         100      0        0
FUND
DIODES INC          COM             254543101  30       745       SH         SOLE        1         0        0        745
DIRECTTV GROUP                      25459L106  354      21461     SH         SOLE        1         377      0        21084
INC
WALT DISNEY CO                      254687106  89       2989      SH         SOLE        1         0        0        2989
DOLLAR THRIFTY                      256743105  65       1453      SH         SOLE        1         160      0        1293
AUTO GROUP INC
DONNELLEY RR &                      257867101  14       460       SH         SOLE        1         0        0        460
SONS
DOW CHEMICAL CO                     260543103  9        255       SH         SOLE        1         0        0        255
DREYFUS                             261932107  0        9                    SOLE        1         9        0        0
STRATEGIC
MUNICIPALS INC
DU PONT EI D                        263534109  85       2045      SH         SOLE        1         2045     0        0
NEMOURS & CO
DUKE ENERGY                         26441C105  9        317       SH         SOLE        1         317      0        0
CORP COM
DUKE REALTY CORP                    264411505  14       405       SH         SOLE        1         0        0        405
DYCOM                               267475101  28       1354      SH         SOLE        1         149      0        1205
INDUSTRIES INC
DYNEGY INC                          26816Q101  79       14516     SH         SOLE        1         0        0        14516
EMC CORP                            268648102  78       7130      SH         SOLE        1         6620     0        510
EMC CORP                            268648102  32       2950      SH         DEFINED     1         2950     0        0
ENI S P A           SPONSORED ADR   26874R108  273      4650      SH         SOLE        1         0        0        4650
E ON AG             SPONSORED ADR   268780103  5        150       SH         SOLE        1         0        0        150
EASTERN                             276217106  29       1000      SH         SOLE        1         1000     0        0
AMERICAN
NATURAL GAS TR
SPERS RCT
EASTGROUP                           277276101  2        60        SH         SOLE        1         60       0        0
PROPERTIES INC
EATON CORP          COM             278058102  596      7907      SH         SOLE        1         173      0        7734
EBAY INC                            278642103  360      12306     SH         SOLE        1         1142     0        11164
ECOLAB INC          COMMON          278865100  5        135       SH         SOLE        1         0        0        135
EDO CORP            COM             281347104  44       1834      SH         SOLE        1         215      0        1619
EDWARDS                             28176E108  10       240       SH         SOLE        1         240      0        0
LIFESCIENCES
CORP
EL PASO                             28336L109  419      27937     SH         SOLE        1         850      0        27087
CORPORATION
ELDORADO GOLD       NEW COM         284902103  79       16556     SH         SOLE        1         0        0        16556
CORP
ELECTRONIC ARTS                     285512109  649      15099     SH         SOLE        1         810      0        14289
INC
EMBARQ CORP         COM             29078E105  105      2586      SH         SOLE        1         2586     0        0
EMERGENCY           CL A            29100P102  16       1305      SH         SOLE        1         0        0        1305
MEDICAL SVCS
CORP
EMERSON                             291011104  117      1400      SH         SOLE        1         1400     0        0
ELECTRIC CO
ENBRIDGE ENERGY                     29250R106  43       1000      SH         SOLE        1         1000     0        0
PARTNERS LP
ENCANA CORP-CAD                     292505104  112      2145      SH         SOLE        1         0        0        2145
ENCORE WIRE CORP    COM             292562105  1147     31948     SH         SOLE        1         8198     0        23750
ENTERGY CORP                        29364G103  283      4013      SH         SOLE        1         1638     0        2375
ENTERGY CORP                        29364G103  41       593       SH         DEFINED     1         593      0        0
EQUITY INNS, INC                    294703103  22       1370      SH         SOLE        1         0        0        1370
EQUITY INNS, INC                    294703103  24       1500      SH         DEFINED     1         1500     0        0
ERICSSON (LM)       ADR (NEW)       294821608  2        90        SH         SOLE        1         90       0        0
TELE CO
ESCO                                296315104  24       450       SH         SOLE        1         0        0        450
TECHNOLOGIES INC
ESSEX CORP                          296744105  22       1210      SH         SOLE        1         0        0        1210
ESTERLINE                           297425100  52       1270      SH         SOLE        1         140      0        1130
TECHNOLOGIES
CORP
EUROZINC MNG        COM             298804105  42       17471     SH         SOLE        1         0        0        17471
CORP
EXELON CORP                         30161N101  34       600       SH         DEFINED     1         600      0        0
EXPEDITORS INTL     COM             302130109  646      11538     SH         SOLE        1         1194     0        10344
WASH INC
EXXON MOBIL CORP                    30231G102  6311     102882    SH         SOLE        1         97553    0        5329
EXXON MOBIL CORP                    30231G102  1567     25558     SH         DEFINED     1         16158    8600     800
FPL GROUP INC                       302571104  12       301       SH         SOLE        1         0        0        301
FED HMN LN MTG      VOTING COM      313400301  11       205       SH         SOLE        1         0        0        205
CORP
FEDERATED DEPT                      31410H101  109      2982      SH         SOLE        1         0        0        2982
STORES INC
FEDEX                               31428X106  152      1305      SH         SOLE        1         100      0        1205
CORPORATION
FERRELLGAS                          315293100  11       500       SH         SOLE        1         500      0        0
PARTNERS L P
FINANCIAL FED                       317492106  38       1377      SH         SOLE        1         154      0        1223
CORP COM
FIRST DATA CORP     COM             319963104  635      14120     SH         SOLE        1         436      0        13684
FIRST HORIZON                       320517105  22       564       SH         SOLE        1         477      0        87
NATIONAL
FIRSTMERIT CORP                     337915102  165      7884      SH         SOLE        1         7884     0        0
FIRST ENERGY        COMMON          337932107  216      4000      SH         SOLE        1         4000     0        0
CORP
FORD MOTOR          COMMON          345370860  8        1160      SH         SOLE        1         660      0        500
COMPANY
FRANCE TELECOM      SPONSORED ADR   35177Q105  6        300       SH         SOLE        1         0        0        300
FREEPORT            CLASS B         35671D857  1        35        SH         SOLE        1         0        0        35
MCMORAN COPPER
& GOLD
FREESCALE                           35687M206  1        51        SH         SOLE        1         51       0        0
SEMICONDUCTOR
FREESCALE                           35687M206  0        33        SH         DEFINED     1         33       0        0
SEMICONDUCTOR
FUJI PHOTO          NEW ADR         359586302  246      7336      SH         SOLE        1         0        0        7336
GAMESTOP CORP                       36467W109  63       1523      SH         SOLE        1         0        0        1523
GAP INC             DEL COM         364760108  4        254       SH         SOLE        1         0        0        254
GARDNER DENVER                      365558105  41       1070      SH         SOLE        1         0        0        1070
GAYLORD ENTMT CO    NEW COM         367905106  104      2385      SH         SOLE        1         0        0        2385
GENENTECH INC                       368710406  258      3163      SH         SOLE        1         0        0        3163
GENERAL                             369604103  1743     52905     SH         SOLE        1         45647    0        7258
ELECTRIC CO
GENERAL                             369604103  16       500       SH         DEFINED     1         500      0        0
ELECTRIC CO



                                        6





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
GEN MTR CORP                        370442105  4        150       SH         SOLE        1         150      0        0
GENESEE &           CLASS A         371559105  29       838       SH         SOLE        1         92       0        746
WYOMING
GENLYTE GROUP                       372302109  25       350       SH         SOLE        1         0        0        350
INC
GIBRALTAR                           374689107  58       2012      SH         SOLE        1         222      0        1790
INDUSTRIES INC
GILEAD SCIENCES                     375558103  123      2080      SH         SOLE        1         0        0        2080
INC
GLAXOSMITHKLINE     ADR             37733W105  441      7909      SH         SOLE        1         177      0        7732
PLC
GOLDMAN SACHS                       38141G104  103      685       SH         SOLE        1         295      0        390
GROUP
B F GOODRICH                        382388106  42       1059      SH         SOLE        1         0        0        1059
GOOGLE INC                          38259P508  251      600       SH         SOLE        1         0        0        600
GRANITE CONSTR      COM             387328107  27       610       SH         SOLE        1         0        0        610
INC
GULFPORT ENERGY     COM NEW         402635304  55       5063      SH         SOLE        1         368      0        4695
CORP
HCA INC.                            404119109  224      5197      SH         SOLE        1         291      0        4906
HCC INSURANCE                       404132102  32       1091      SH         SOLE        1         272      0        819
HOLDINGS, INC
HMS HLDGS CORP      COM             40425J101  17       1625      SH         SOLE        1         0        0        1625
HSBC HLDGS PLC      SPONSORED ADR   404280406  321      3643      SH         SOLE        1         0        0        3643
HAEMONETICS CORP                    405024100  28       620       SH         SOLE        1         0        0        620
HALLIBURTON CO      COM             406216101  372      5024      SH         SOLE        1         2170     0        2854
HANCOCK FABRICS                     409900107  5        1600      SH         SOLE        1         1600     0        0
JOHN HANCOCK                        41013X106  8        400       SH         SOLE        1         400      0        0
PFD INC II
JOHN HANCOCK                        41021P103  2        130       SH         SOLE        1         130      0        0
PREFERRED
INCOME FUND III
HARRAHS                             413619107  157      2209      SH         SOLE        1         0        0        2209
ENTERTAINMENT
INC
HARRIS CORP                         413875105  116      2800      SH         SOLE        1         2800     0        0
HARTFORD FNCL       COM             416515104  16       199       SH         SOLE        1         0        0        199
SV GRP INC
HAWAIIAN ELEC                       419870100  31       1130      SH         DEFINED     1         1130     0        0
INDS INC
HEALTH CARE                         421906108  45       2170      SH         SOLE        1         235      0        1935
SERVICES GROUP
INC
HEALTHCARE                          421946104  46       1445      SH         SOLE        1         155      0        1290
REALTY TR
HEALTH CARE                         42217K106  2        66        SH         SOLE        1         0        0        66
REIT INC
HEINZ H J CO        COM             423074103  12       312       SH         SOLE        1         273      0        39
HERCULES            COM             427093109  15       430       SH         SOLE        1         0        0        430
OFFSHORE INC
HEWLETT PACKARD                     428236103  66       2093      SH         SOLE        1         1777     0        316
CO
HIGH INCOME                         42967Q105  15       2500      SH         SOLE        1         2500     0        0
OPPORTUNITY FD
HIGHLAND                            430141101  45       3203      SH         SOLE        1         343      0        2860
HOSPITALITY CORP
HILB ROGAL &                        431294107  25       693       SH         SOLE        1         172      0        521
HOBBS COMPANY
HILTON HOTELS                       432848109  106      3783      SH         SOLE        1         0        0        3783
CORP
HOLLYWOOD MEDIA                     436233100  9        2485      SH         SOLE        1         0        0        2485
CORP
HOLOGIC INC         COM             436440101  23       485       SH         SOLE        1         0        0        485
HOME DEPOT                          437076102  846      23645     SH         SOLE        1         14883    0        8762
HOME DEPOT                          437076102  54       1532      SH         DEFINED     1         1532     0        0
HOSPITALITY                         44106M102  2        52        SH         SOLE        1         0        0        52
PROPERTIES
HOSPIRA, INC                        441060100  19       450       SH         DEFINED     1         50       400      0
HOST HOTELS &       COM             44107P104  121      5541      SH         SOLE        1         306      0        5235
RESORTS INC
HUB                 COM             44332P101  20       770       SH         SOLE        1         0        0        770
INTERNATIONAL
LTD
HUBBELL INC         CL B            443510201  47       1000      SH         SOLE        1         0        0        1000
JB HUNT                             445658107  80       3215      SH         SOLE        1         0        0        3215
TRANSPORT SVC
INC
HYPERCOM CORP       COM             44913M105  19       2085      SH         SOLE        1         0        0        2085
I D SYSTEMS INC     COM             449489103  9        555       SH         SOLE        1         0        0        555
ING PRIME RATE                      44977W106  48       6907      SH         SOLE        1         6907     0        0
TR SH BEN INT
ILLINOIS TOOL                       452308109  218      4605      SH         SOLE        1         410      0        4195
WORKS INC
INFINEON TECH AG                    45662N103  542      48616     SH         SOLE        1         1504     0        47112
ING GROEP N V                       456837103  422      10752     SH         SOLE        1         360      0        10392
INTEL CORP CAP                      458140100  549      28921     SH         SOLE        1         17886    0        11035
INTEL CORP CAP                      458140100  53       2800      SH         DEFINED     1         2800     0        0
IBM CORP                            459200101  576      7503      SH         SOLE        1         5015     0        2488
IBM CORP                            459200101  34       450       SH         DEFINED     1         450      0        0
INTERNATIONAL                       459412102  23       4520      SH         SOLE        1         270      0        4250
DISPLAYWORKS
INTERNATIONAL                       459902102  91       2413      SH         SOLE        1         0        0        2413
GAME TECH
INTL PAPER CO                       460146103  9        300       SH         SOLE        1         300      0        0
INTL PAPER CO                       460146103  29       900       SH         DEFINED     1         0        900      0
INTERNATIONAL       CL A            460335201  81       1762      SH         SOLE        1         0        0        1762
SPEEDWAY CORP
INTERPUBLIC         COM             460690100  250      29971     SH         SOLE        1         919      0        29052
GROUP COS INC
INVACARE CORP       COM             461203101  31       1285      SH         SOLE        1         145      0        1140
I SHRS JAPAN                        464286848  4        355       SH         SOLE        1         355      0        0
INDEX FD
ISHARES US                          464287176  6        68        SH         SOLE        1         68       0        0
TREASURY
INFLATION
PROTECTED FD
ISHARES DJ US                       464287192  9        104       SH         SOLE        1         104      0        0
TRANSPORTATION
INDEX FD
ISHARES LEHMAN                      464287226  2        29        SH         SOLE        1         29       0        0
AGGREGATE BOND
FD
ISHARES MSCI                        464287234  4        51        SH         SOLE        1         51       0        0



                                        7





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
EMERGING MK T
INDX
I SHARES LEHMAN                     464287440  3        49        SH         SOLE        1         49       0        0
7-10 YR
TREASURY BOND
FUND
ISHARES LEHMAN                      464287457  4        54        SH         SOLE        1         54       0        0
1-3 YR TREASURY
BOND FD
ISHARES MSCI                        464287465  8        133       SH         SOLE        1         133      0        0
EAFE INDEX FUND
CEF ISHARES                         464287556  3        51        SH         SOLE        1         51       0        0
NASDAQ
BIOTECHNOLOTY
INDEX FUND
ISHARES S&P MID                     464287606  3        46        SH         SOLE        1         46       0        0
CAP 400 GROWTH
INDEX FUND
ISHARES S&P MID                     464287705  3        48        SH         SOLE        1         48       0        0
CAP 400 VALUE
INDEX FD
ISHARES S&P                         464287879  1        26        SH         SOLE        1         26       0        0
SMALL CAP 600
VALUE FUND
ISHARES S&P                         464287887  1        15        SH         SOLE        1         15       0        0
SMALL CAP 600
GROWTH INDEX
FUND
IXYS CORP                           46600W106  19       2030      SH         SOLE        1         0        0        2030
JDS UNIPHASE        COM             46612J101  58       23334     SH         SOLE        1         0        0        23334
CORP
JPMORGAN CHASE      COM             46625H100  201      4807      SH         SOLE        1         4026     0        781
& CO
JPMORGAN CHASE      COM             46625H100  145      3456      SH         DEFINED     1         1500     1956     0
& CO
JABAIL CIRCUIT                      466313103  52       2035      SH         SOLE        1         0        0        2035
INC
JACUZZI BRANDS                      469865109  59       6785      SH         SOLE        1         720      0        6065
INC
JANUS CAPITAL                       47102X105  72       4077      SH         SOLE        1         0        0        4077
GROUP INC.
JOHNSON &                           478160104  2167     36167     SH         SOLE        1         31776    0        4391
JOHNSON
JOHNSON &                           478160104  492      8225      SH         DEFINED     1         5900     1200     1125
JOHNSON
JOHNSON                             478366107  60       740       SH         SOLE        1         600      0        140
CONTROLS INC
JONES APPAREL                       480074103  216      6798      SH         SOLE        1         216      0        6582
GROUP INC
JONES LANG          COM             48020Q107  29       340       SH         SOLE        1         0        0        340
LASALLE INC
KT CORP             SPONSORED ADR   48268K101  140      6546      SH         SOLE        1         0        0        6546
KEYCORP             NEW             493267108  73       2046      SH         SOLE        1         1100     0        946
KEYSPAN CORP        COM             49337W100  10       260       SH         SOLE        1         0        0        260
KIMBERLY-CLARK                      494368103  14       241       SH         SOLE        1         0        0        241
CORP
KIMBERLY-CLARK                      494368103  15       250       SH         DEFINED     1         250      0        0
CORP
KINDER MORGAN                       494550106  38       832       SH         SOLE        1         832      0        0
ENERGY
PARTNERS, L.P
KOHL'S CORP                         500255104  65       1101      SH         SOLE        1         0        0        1101
KONINKLIJKE         ADR NEW         500472303  119      3842      SH         SOLE        1         0        0        3842
PHLPS ELECTRS N
V SP
KOREA ELECTRIC      ADR             500631106  100      5289      SH         SOLE        1         0        0        5289
POWER
LHC GROUP INC       COM             50187A107  43       2180      SH         SOLE        1         241      0        1939
LTX CORP                            502392103  23       3320      SH         SOLE        1         0        0        3320
L 3                                 502424104  84       1125      SH         SOLE        1         0        0        1125
COMMUNICATIONS
LABORATORY CORP     COM NEW         50540R409  105      1696      SH         SOLE        1         0        0        1696
AMER HLDGS
LAFARGE             SPONSORED ADR   505861401  7        230       SH         SOLE        1         0        0        230
LAMAR                               512815101  60       1126      SH         SOLE        1         0        0        1126
ADVERTISING CO
LANDSTAR SYSTEM                     515098101  43       930       SH         SOLE        1         102      0        828
INC
LEAP WIRELESS       COM NEW         521863308  61       1297      SH         SOLE        1         0        0        1297
INTL INC
LEGG MASON INC                      524901105  74       746       SH         SOLE        1         0        0        746
LENNOX INTL INC     COM             526107107  57       2170      SH         SOLE        1         240      0        1930
LEVEL 3                             52729N100  20       4685      SH         SOLE        1         4685     0        0
COMMUNICATIONS
INC
LIGAND              CL B            53220K207  6        800       SH         SOLE        1         800      0        0
PHARMACEUTICALS
INC
ELI LILLY & CO                      532457108  165      3000      SH         SOLE        1         3000     0        0
ELI LILLY & CO                      532457108  71       1300      SH         DEFINED     1         1300     0        0
LIMITED BRANDS,                     532716107  147      5767      SH         SOLE        1         329      0        5438
INC
LINCOLN                             534187109  14       265       SH         SOLE        1         0        0        265
NATIONAL CORP
IND
LIQUIDITY           COM             53635B107  16       1060      SH         SOLE        1         0        0        1060
SERVICES INC
LLOYDS TSB          ADR             539439109  572      14507     SH         SOLE        1         471      0        14036
GROUP PLC
LOCKHEED MARTIN                     539830109  224      3125      SH         SOLE        1         3125     0        0
CORP
LOWES CO INC                        548661107  587      9683      SH         SOLE        1         4678     0        5005
LUCENT                              549463107  5        2388      SH         SOLE        1         1338     0        1050
TECHNOLOGIES
LYONDELL                            552078107  11       520       SH         SOLE        1         0        0        520
CHEMICAL CO
M & T BANK CORP                     55261F104  235      2000      SH         SOLE        1         2000     0        0
MBIA INC                            55262C100  461      7876      SH         SOLE        1         229      0        7647
MB FINANCIAL INC    NEW             55264U108  39       1125      SH         SOLE        1         120      0        1005
MFA MTG INVTS       COM             55272X102  35       5174      SH         SOLE        1         559      0        4615
INC
MANOR CARE INC                      564055101  66       1426      SH         SOLE        1         0        0        1426
MANULIFE                            56501R106  1981     62372     SH         SOLE        1         62372    0        0
FINANCIAL CORP
MAPINFO CORP                        565105103  11       850       SH         SOLE        1         0        0        850
MARATHON OIL                        565849106  31       375       SH         SOLE        1         0        0        375
CORP
MARRIOTT INTL       NEW CL A        571903202  185      4871      SH         SOLE        1         0        0        4871
INC
MARTEN                              573075108  35       1655      SH         SOLE        1         0        0        1655
TRANSPORT LTD
MASCO                               574599106  12       430       SH         SOLE        1         0        0        430
CORPORATION
MATRIXX                             57685L105  11       715       SH         SOLE        1         0        0        715
INITIATIVES INC
MATTELL INC                         577081102  13       835       SH         SOLE        1         0        0        835
MAXIM                               57772K101  286      8908      SH         SOLE        1         678      0        8230
INTEGRATED
PRODUCTS INC
MCCORMICK &                         579793100  11       500       SH         SOLE        1         0        0        500



                                        8





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
SCHMICKS SEAFOOD
MCDERMOTT INTL      COM             580037109  66       1462      SH         SOLE        1         0        0        1462
INC
MCDONALD'S CORP                     580135101  255      7603      SH         SOLE        1         7417     0        186
MCGRATH RENTCORP                    580589109  48       1730      SH         SOLE        1         190      0        1540
MCKESSON CORP                       58155Q103  167      3551      SH         SOLE        1         3305     0        246
MEADWESTVACO                        583334107  125      4484      SH         SOLE        1         1547     0        2937
CORP
MEDCO HEALTH                        58405U102  20       361       SH         SOLE        1         361      0        0
SOLUTIONS INC
MEDICAL ACTION                      58449L100  9        450       SH         SOLE        1         95       0        355
INDUSTRIES INC
MEDTRONIC INC       COM             585055106  106      2276      SH         SOLE        1         800      0        1476
MELLON FINL CORP                    58551A108  41       1214      SH         SOLE        1         800      0        414
MERCK & CO INC                      589331107  183      5027      SH         SOLE        1         4062     0        965
MERIT MED SYS                       589889104  15       1140      SH         SOLE        1         0        0        1140
INC
MERRILL LYNCH &                     590188108  247      3562      SH         SOLE        1         2530     0        1032
CO, INC
MICROS SYSTEMS                      594901100  56       1305      SH         SOLE        1         90       0        1215
INC
MICROSOFT CORP                      594918104  821      35289     SH         SOLE        1         11314    0        23975
MICROCHIP TECH                      595017104  79       2369      SH         SOLE        1         0        0        2369
INC
MICRON                              595112103  26       1737      SH         SOLE        1         0        0        1737
TECHNOLOGY
MICROSEMI CORP                      595137100  15       655       SH         SOLE        1         0        0        655
MID-AMERICA                         59522J103  51       920       SH         DEFINED     1         920      0        0
APARTMENT CMNTYS
MIDAS GROUP INC                     595626102  12       666       SH         SOLE        1         666      0        0
MILESTONE                           59935P209  0        900       SH         SOLE        1         900      0        0
SCIENTIFIC INC
MILLER HERMAN       COM             600544100  7        300       SH         SOLE        1         300      0        0
INC
MINDSPEED                           602682106  0        58        SH         SOLE        1         58       0        0
TECNOLOGIES
MIRANT CORP         NEW COM         60467R100  82       3063      SH         SOLE        1         99       0        2964
MIRANT CORP         NEW WT SER A    60467R118  3        322       SH         SOLE        1         322      0        0
MOBILE MINI INC     COM             60740F105  26       890       SH         SOLE        1         0        0        890
MONEYGRAM                           60935Y109  11       348       SH         SOLE        1         348      0        0
INTERNATIONAL
INC
MONRO MUFFLER       COM             610236101  41       1265      SH         SOLE        1         140      0        1125
BRAKE INC
MONSANTO CO.        (NEW)           61166W101  15       187       SH         SOLE        1         187      0        0
MOODYS CORP                         615369105  304      5592      SH         SOLE        1         580      0        5012
MOOG INC            CL A            615394202  51       1499      SH         SOLE        1         163      0        1336
MORGAN STANLEY                      617446448  513      8120      SH         SOLE        1         7558     0        562
DEAN WITTER
DISCOVER & CO
MORGAN STANLEY                      617446448  16       260       SH         DEFINED     1         260      0        0
DEAN WITTER
DISCOVER & CO
MOTOROLA INC                        620076109  72       3593      SH         SOLE        1         868      0        2725
MOTOROLA INC                        620076109  6        300       SH         DEFINED     1         300      0        0
MUNICIPAL                           62624B101  108      4000      SH         SOLE        1         4000     0        0
MORTGAGE &
EQUITY LLC -
GROWTH SH
MUNIVEST FD INC     COM             626295109  44       5000                 SOLE        1         5000     0        0
MUNIYIELD                           62630E107  99       7500                 DEFINED     1         7500     0        0
INSURED
MURPHY OIL CORP     COM             626717102  7805     139726    SH         SOLE        1         133726   0        6000
MURPHY OIL CORP     COM             626717102  440358   7883246   SH         DEFINED     1         0        7883246  0
MYLAN                               628530107  38       1908      SH         SOLE        1         1908     0        0
LABORATORIES INC
NBC CAP CORP                        628729105  90       4333      SH         SOLE        1         4333     0        0
NCI BUILDING        COM             628852105  25       475       SH         SOLE        1         0        0        475
SYS INC
NII HLDGS INC       NEW             62913F201  161      2872      SH         SOLE        1         0        0        2872
CL B
NMS                                 629248105  6        1690      SH         SOLE        1         0        0        1690
COMMUNICATIONS
CORP
NTL INC             NEW COM         62941W101  77       3122      SH         SOLE        1         0        0        3122
NYSE GROUP INC      COM             62949W103  62       906       SH         SOLE        1         0        0        906
NASDAQ 100 TRUST                    631100104  34       880       SH         SOLE        1         880      0        0
NATCO GROUP INC                     63227W203  16       410       SH         SOLE        1         0        0        410
CL A
NATIONAL            ADR             632525408  198      1526      SH         SOLE        1         0        0        1526
AUSTRALIA BK LTD
NATIONAL CITY       COM             635405103  4        115       SH         SOLE        1         0        0        115
CORP
NATIONAL                            637071101  82       1307      SH         SOLE        1         0        0        1307
OILWELL VARCO
INC
NAVARRE CORP                        639208107  10       2035      SH         SOLE        1         0        0        2035
NEOWARE INC         COM             64065P102  12       1015      SH         SOLE        1         0        0        1015
NETLOGIC            COM             64118B100  21       665       SH         SOLE        1         0        0        665
MICROSYSTEMS INC
NEUSTAR INC CL A                    64126X201  44       1315      SH         SOLE        1         0        0        1315
NEWPARK                             651718504  0        8         SH         SOLE        1         8        0        0
RESOURCES, INC
NEWS CORP                           65248E104  60       3180      SH         SOLE        1         0        0        3180
NEWS CORP CL B      NEW             65248E203  7        359       SH         SOLE        1         0        0        359
NIKE INC CLASS B                    654106103  58       722       SH         SOLE        1         0        0        722
NIPPON TEL & TEL    SPON ADR        654624105  174      7117      SH         SOLE        1         160      0        6957
NISOURCE INC                        65473P105  183      8413      SH         SOLE        1         7415     0        998
NISSAN MOTORS       SPONSORED ADR   654744408  5        230       SH         SOLE        1         0        0        230
NOKIA CORP SPND     ADR             654902204  410      20266     SH         SOLE        1         0        0        20266
NOMURA HOLDINGS     ADR             65535H208  237      12648     SH         SOLE        1         298      0        12350
INC
NORDSON CORP        COM             655663102  63       1290      SH         SOLE        1         140      0        1150
NORFOLK SO CORP                     655844108  76       1434      SH         SOLE        1         1434     0        0
NORSK HYDRO AS      ADR             656531605  4        180       SH         SOLE        1         0        0        180
NORTHERN TRUST                      665859104  98       1780      SH         SOLE        1         1780     0        0
COMPANY NTRS
NORTHERN TRUST                      665859104  199      3600      SH         DEFINED     1         3600     0        0
COMPANY NTRS
NOVARTIS AG         SPONSORED ADR   66987V109  480      8909      SH         SOLE        1         163      0        8746
NOVELL INC                          670006105  95       14388     SH         SOLE        1         0        0        14388
NUANCE                              67020Y100  13       1365      SH         SOLE        1         0        0        1365



                                        9





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
COMMUNICATIONS
INC.
NUVEEN INSD                         6706D8104  4        338                  SOLE        1         338      0        0
PREMIUM INCOME
MUNI FD
NUVEEN PREMIUM                      6706K4105  23       2000                 DEFINED     1         2000     0        0
INCOME MUN FUND
4
NUTRI SYS INC       NEW COM         67069D108  34       550       SH         SOLE        1         0        0        550
NUVEEN PREMIER                      670987106  13       1000                 DEFINED     1         1000     0        0
INSURED MUN
INCOME FUND INC
NUVEEN PREMIER                      670988104  20       1565                 SOLE        1         1565     0        0
MUNICIPAL INC
OCCIDENTAL PETE                     674599105  126      1234      SH         SOLE        1         500      0        734
COR DEL
OLIN CORP                           680665205  2        166       SH         DEFINED     1         166      0        0
OMNICARE INC        COM             681904108  94       1995      SH         SOLE        1         0        0        1995
OMNIVISION                          682128103  30       1440      SH         SOLE        1         0        0        1440
TECHNOLOGIES
ORACLE SYSTEMS                      68389X105  324      22428     SH         SOLE        1         16125    0        6303
CORP
ORANGE                              685317109  11       2015      SH         SOLE        1         0        0        2015
PNC BANK CORP                       693475105  2        35        SH         SOLE        1         0        0        35
PPG INDUSTRIES                      693506107  6        106       SH         SOLE        1         0        0        106
INC
PACKAGING CORP                      695156109  3        141       SH         SOLE        1         0        0        141
AMER
PACTIV COPR                         695257105  22       897       SH         SOLE        1         897      0        0
PALOMAR MEDICAL                     697529303  14       325       SH         SOLE        1         0        0        325
TECHNOLOGIES
PAR TECHNOLOGY      COM             698884103  13       1052      SH         SOLE        1         0        0        1052
CORP
PARALLEL PETE       COM             699157103  17       705       SH         SOLE        1         0        0        705
CORP DEL
PATTERSON                           703395103  368      10544     SH         SOLE        1         615      0        9929
COMPANIES INC
PATTERSON UTI                       703481101  88       3140      SH         SOLE        1         0        0        3140
ENERGY INC
PEABODY ENERGY                      704549104  70       1273      SH         SOLE        1         0        0        1273
CORP
PEDIATRIX                           705324101  71       1586      SH         SOLE        1         180      0        1406
MEDICAL GROUP
INC
PENN NATL           COM             707569109  90       2332      SH         SOLE        1         0        0        2332
GAMING INC
PEOPLES ENERGY      COM             711030106  2        57        SH         SOLE        1         0        0        57
CORP
PEPSIAMERICAS                       71343P200  88       4000      SH         SOLE        1         4000     0        0
INC
PEPSICO INC         COM             713448108  1287     21439     SH         SOLE        1         18239    0        3200
PEPSICO INC         COM             713448108  91       1530      SH         DEFINED     1         430      1100     0
PERFICIENT INC      COM             71375U101  20       1645      SH         SOLE        1         0        0        1645
PETROCHINA CO                       71646E100  21       195       SH         SOLE        1         0        0        195
LTD
PETROBRAS                           71654V408  4        45        SH         SOLE        1         0        0        45
PETSMART INC                        716768106  80       3134      SH         SOLE        1         0        0        3134
PFIZER INC                          717081103  814      34702     SH         SOLE        1         18949    0        15753
PFIZER INC                          717081103  68       2900      SH         DEFINED     1         2200     700      0
PIKE ELEC CORP      COM             721283109  50       2622      SH         SOLE        1         290      0        2332
PIMCO MUNI                          72201A103  19       1333                 SOLE        1         1333     0        0
INCOME FUND III
PINNACLE WEST                       723484101  156      3915      SH         SOLE        1         3915     0        0
CAP CORP
PLAINS ALL                          726503105  43       1000      SH         SOLE        1         1000     0        0
AMERICAN
PIPELINE, L.P.
POWER-ONE INC                       739308104  25       3910      SH         SOLE        1         0        0        3910
POWER                               739363109  15       1730      SH         SOLE        1         0        0        1730
TECHNOLOGIES
PRESSTEK INC        COM             741113104  23       2515      SH         SOLE        1         0        0        2515
PRINCIPAL                           74251V102  31       572       SH         SOLE        1         572      0        0
FINANCIAL GROUP
PROCTER &           COM             742718109  1282     23074     SH         SOLE        1         21233    0        1841
GAMBLE CO
PROCTER &           COM             742718109  426      7676      SH         DEFINED     1         7676     0        0
GAMBLE CO
PRIVATEBANCORP      COM             742962103  10       265       SH         SOLE        1         30       0        235
INC
PROVIDENCE SYC                      743815102  30       1110      SH         SOLE        1         0        0        1110
CORP
PRUDENTIAL PLC      ADR             74435K204  4        200       SH         SOLE        1         0        0        200
PSYCHIATRIC                         74439H108  28       1000      SH         SOLE        1         0        0        1000
SOLUTIONS
PUBLIC SVC                          744573106  13       197       SH         SOLE        1         0        0        197
ENTERPRISE
GROUP INC
PUTNAM MANAGED                      746823103  1        250                  SOLE        1         250      0        0
MUNICIPAL
INCOME TRUST
QLOGIC CORP         COM             747277101  17       1000      SH         SOLE        1         1000     0        0
QUALCOMM INC                        747525103  200      4999      SH         SOLE        1         0        0        4999
QUIKSILVER INC      COM             74838C106  52       4287      SH         SOLE        1         0        0        4287
QWEST               COM             749121109  5        714       SH         SOLE        1         714      0        0
COMMUNICATIONS
INTL INC
RMK HIGH INCOME                     74963B105  17       1008      SH         SOLE        1         1008     0        0
FUND
RSA SECURITY INC    COM             749719100  32       1215      SH         SOLE        1         0        0        1215
RAYMOND JAMES                       754730109  53       1774      SH         SOLE        1         190      0        1584
FINANCIAL CORP
REDWOOD TR INC      COM             758075402  37       760       SH         SOLE        1         80       0        680
REED ELSEVIER N     SPONSORED ADR   758204101  5        180       SH         SOLE        1         0        0        180
V
REED ELSEVIER       SPON ADR        758205108  259      6462      SH         SOLE        1         0        0        6462
PLC
REGAL ENTMT                         758766109  95       4699      SH         SOLE        1         0        0        4699
GROUP CL A
REGIS                               758932107  36       1022      SH         SOLE        1         90       0        932
CORPORATION-MN
REGIONS             NEW             7591EP100  1435     43347     SH         SOLE        1         42492    0        855
FINANCIAL CORP
REGIONS             NEW             7591EP100  73       2205      SH         DEFINED     1         0        2205     0
FINANCIAL CORP
RELIANT ENERGY                      75952B105  4        394       SH         SOLE        1         0        0        394
INC
RENASANT CORP       COM             75970E107  30       750       SH         SOLE        1         750      0        0
REPSOL YPF          ADR             76026T205  148      5299      SH         SOLE        1         0        0        5299
REPUBLIC                            760282103  32       2617      SH         SOLE        1         307      0        2310
BANCORP INC



                                       10





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
REXAM PLC SP        ADR NEW 2001    761655406  5        110       SH         SOLE        1         0        0        110
REYNOLDS &                          761695105  44       1439      SH         SOLE        1         155      0        1284
REYNOLDS CO CL A
REYNOLDS                            761713106  19       165       SH         SOLE        1         0        0        165
AMERICAN INC
RIO TINTO PLC       SPONSORED ADR   767204100  8        40        SH         SOLE        1         0        0        40
ROCKWELL                            773903109  120      1679      SH         SOLE        1         177      0        1502
AUTOMATION, INC
ROCKWELL                            774341101  9        177       SH         SOLE        1         177      0        0
COLLINS INC
ROWAN COMPANIES                     779382100  64       1807      SH         SOLE        1         0        0        1807
INC
ROYAL DUTCH         SPON ADR B      780259107  470      6740      SH         SOLE        1         82       0        6658
SHELL PLC
ROYAL DUTCH         SPON ADR B      780259107  108      1551      SH         DEFINED     1         1551     0        0
SHELL PLC
ROYAL DUTCH                         780259206  214      3200      SH         DEFINED     1         3200     0        0
SHELL PLC
RUBIO'S                             78116B102  10       1240      SH         SOLE        1         0        0        1240
RESTAURANTS INC
RUBY TUESDAY INC                    781182100  15       630       SH         DEFINED     1         0        0        630
RUDOLPH             COM             781270103  7        514       SH         SOLE        1         0        0        514
TECHNOLOGIES INC
RUSH                                781846209  33       1850      SH         SOLE        1         0        0        1850
ENTERPRISES INC
SLM CORP COMMOM                     78442P106  82       1552      SH         SOLE        1         0        0        1552
SVB FINL GROUP      COM             78486Q101  22       495       SH         SOLE        1         0        0        495
ST PAUL                             792860108  222      4987      SH         SOLE        1         252      0        4735
TRAVELERS CO.'S
INC
SANOFI-AVENTIS      ADR             80105N105  571      11726     SH         SOLE        1         320      0        11406
SAP                                 803054204  72       1371      SH         SOLE        1         0        0        1371
AKTIENGESELLSCHAFT
SPNSDADRS
SCANA CORP          NEW             80589M102  8        222       SH         SOLE        1         222      0        0
SCHERING PLOUGH     COM             806605101  269      14184     SH         SOLE        1         14184    0        0
CORP
SCHLUMBERGER LTD    COM             806857108  350      5380      SH         SOLE        1         2280     0        3100
THE CHARLES                         808513105  135      8471      SH         SOLE        1         0        0        8471
SCHWAB CORP
SCOTTISH PWR        ADR FNL NEW     81013T804  3        73        SH         SOLE        1         0        0        73
PLC SP
SCRIPPS EW INC      NEW             811054204  25       600       SH         SOLE        1         600      0        0
CL A
MATERIALS                           81369Y100  8        256       SH         SOLE        1         256      0        0
SECTOR SPDR FD
SELECT SECTOR                       81369Y209  10       353       SH         SOLE        1         353      0        0
SPDR HEALTH CARE
CONSUMER                            81369Y308  11       474       SH         SOLE        1         474      0        0
STAPLES SELECT
SPDR
ENERGY SELECT                       81369Y506  10       191       SH         SOLE        1         191      0        0
SECTOR SPDR
FINANCIAL                           81369Y605  19       614       SH         SOLE        1         614      0        0
SELECT SECTOR
SPDR
INDUSTRIAL SEL                      81369Y704  11       351       SH         SOLE        1         351      0        0
SECTOR SPDR
TECHNOLOGY                          81369Y803  4        228       SH         SOLE        1         228      0        0
SELECT SECTOR
SPDR
SELECT COMFORT                      81616X103  18       817       SH         SOLE        1         0        0        817
CORP
SEMPRA ENERGY       COM             816851109  14       310       SH         SOLE        1         0        0        310
SEROLOGICALS                        817523103  56       1785      SH         SOLE        1         195      0        1590
CORP
SERVICEMASTER       COM             81760N109  62       6023      SH         SOLE        1         6023     0        0
COMPANY
SIEMENS AG          SPONS ADR       826197501  6        70        SH         SOLE        1         0        0        70
SIGNET GROUP        ADR REP 10      82668L872  1        110       SH         SOLE        1         0        0        110
PLC SP
SIGNATURE BK        COM             82669G104  14       460       SH         SOLE        1         0        0        460
NEW YORK N Y
SIMMONS 1ST                         828730200  382      13200     SH         SOLE        1         13200    0        0
NATL CORP CL A
$1 PAR
SIMMONS 1ST                         828730200  14       500       SH         DEFINED     1         500      0        0
NATL CORP CL A
$1 PAR
SIRIUS                              82966U103  1        300       SH         SOLE        1         300      0        0
SATTELITE RADIO
SKYWORKS                            83088M102  0        166       SH         SOLE        1         166      0        0
SOLUTIONS
SMUCKER J M CO                      832696405  0        3         SH         SOLE        1         3        0        0
SONIC CORP          COM             835451105  39       1908      SH         SOLE        1         205      0        1703
SONY CORP                           835699307  262      5953      SH         SOLE        1         0        0        5953
SONY CORP                           835699307  44       1000      SH         DEFINED     1         1000     0        0
SOTHEBYS HLDGS                      835898107  46       1765      SH         SOLE        1         0        0        1765
INC CL A
SOUTHERN CO         COM             842587107  254      7930      SH         SOLE        1         7873     0        57
SOUTHERN CO         COM             842587107  141      4426      SH         DEFINED     1         4426     0        0
SOUTHWEST AIRLS     COM             844741108  1        102       SH         SOLE        1         102      0        0
CO
SPRINT NEXTEL       COM             852061100  1033     51725     SH         SOLE        1         51725    0        0
CORP
STANLEY WORKS                       854616109  13       290       SH         SOLE        1         0        0        290
STAPLES                             855030102  125      5163      SH         SOLE        1         0        0        5163
INCORPORATED
(RETAIL &
DELIVERY)
STARBUCKS CORP                      855244109  461      12221     SH         SOLE        1         1140     0        11081
STARWOOD HOTELS     COM             85590A401  30       500       SH         SOLE        1         500      0        0
& RESORTS
WORLDWIDE INC
STATOIL ASA SPON    ADR             85771P102  104      3674      SH         SOLE        1         0        0        3674
STORA ENSO OYJ      ADR             86210M106  158      11363     SH         SOLE        1         0        0        11363
STRATASYS INC                       862685104  23       810       SH         SOLE        1         0        0        810
STRAYED ED INC      COM             863236105  41       423       SH         SOLE        1         46       0        377
TECHNOLOGY ETF                      86330E703  4        90        SH         SOLE        1         90       0        0
"STREETTRACK"
GOLD ETF                            863307104  6        114       SH         SOLE        1         114      0        0
"STREETRACKS"



                                       11





                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
SUBURBAN                            864482104  15       500       SH         SOLE        1         500      0        0
PROPANE
PARTNERS L P
SUNCOR ENERGY                       867229106  69       853       SH         SOLE        1         0        0        853
INC
SUNRISE SENIOR      COM             86768K106  15       570       SH         SOLE        1         0        0        570
LIVING INC
SUNTRUST BANKS      COM             867914103  18       243       SH         SOLE        1         243      0        0
INC
SUPERIOR ENERGY                     868157108  26       775       SH         SOLE        1         0        0        775
SERVICES INC
SUPER VALU INC                      868536103  14       480       SH         SOLE        1         0        0        480
SYSCO CORP                          871829107  212      6957      SH         SOLE        1         1050     0        5907
TEPPCO PARTNERS                     872384102  81       2300      SH         SOLE        1         2300     0        0
LP
TNT N V             SPONSORED ADR   87260W101  321      8971      SH         SOLE        1         0        0        8971
TXU CORP                            873168108  179      3000      SH         SOLE        1         0        0        3000
TAIWAN              ADR'S           874039100  65       7108      SH         SOLE        1         0        0        7108
SEMICONDUCTOR
MFG CO LTD
TALISMAN ENERGY     COM             87425E103  5        310       SH         SOLE        1         0        0        310
INC
TARGET CORP                         87612E106  421      8629      SH         SOLE        1         1094     0        7535
TARGET CORP                         87612E106  19       400       SH         DEFINED     1         400      0        0
TEAM INC                            878155100  10       415       SH         SOLE        1         80       0        335
TEKELEC             COM             879101103  35       2882      SH         SOLE        1         318      0        2564
TELECOM CORP OF                     879278208  4        241       SH         SOLE        1         0        0        241
NEW ZEALAND
TELEFONOS DE        SPONS ADR       879403780  95       4593      SH         SOLE        1         0        0        4593
MEXICO SA DE CV
TELLABS INC                         879664100  2        200       SH         DEFINED     1         200      0        0
DELAWARE
TEMPLE INLAND       COM             879868107  77       1800      SH         SOLE        1         1800     0        0
INC
TELETECH            COM             879939106  24       1935      SH         SOLE        1         0        0        1935
HOLDINGS INC
TERRA                               880915103  0        15        SH         SOLE        1         15       0        0
INDUSTRIES INC
TESORO CORP         COM             881609101  66       892       SH         SOLE        1         0        0        892
TEVA                ADR'S           881624209  386      12221     SH         SOLE        1         1006     0        11215
PHARMACEUTICAL
IND
TESSERA                             88164L100  10       400       SH         SOLE        1         0        0        400
TECHNOLOGIES INC
TEXAS                               882508104  201      6636      SH         SOLE        1         1802     0        4834
INSTRUMENTS
THESTREET COM       COM             88368Q103  8        670       SH         SOLE        1         0        0        670
THOMAS              ADR             885118109  230      13974     SH         SOLE        1         172      0        13802
MULTIMEDIA
THORNBURG                           885218107  13       500       SH         SOLE        1         500      0        0
MORTGAGE INC
3M CO                               88579Y101  486      6021      SH         SOLE        1         4086     0        1935
TIDEWATER INC                       886423102  14       300       SH         SOLE        1         0        0        300
TIFFANY & CO        NEW             886547108  36       1100      SH         SOLE        1         1100     0        0
TIME WARNER INC                     887317105  234      13540     SH         SOLE        1         13540    0        0
TOTAL FINA ELF      ADR             89151E109  265      4058      SH         SOLE        1         94       0        3964
S.A.
TOWER GROUP INC     COM             891777104  17       585       SH         SOLE        1         0        0        585
TOYOTA MOTOR        ADR NEW         892331307  147      1415      SH         SOLE        1         32       0        1383
CORP
TRADESTATION                        89267P105  9        765       SH         SOLE        1         0        0        765
GROUP INC
TRANSACTION SYS     COM             893416107  69       1665      SH         SOLE        1         0        0        1665
ARCHITECTS
TRIAD HOSPS INC                     89579K109  21       543       SH         SOLE        1         125      0        418
TRIARC                              895927309  48       3120      SH         SOLE        1         340      0        2780
COMPANIES "B"
SR1
TRIBUNE COMPANY                     896047107  25       800       SH         SOLE        1         800      0        0
TRINITY INDS INC    COM             896522109  71       1775      SH         SOLE        1         0        0        1775
TRUE RELIGION       COM             89784N104  26       1510      SH         SOLE        1         0        0        1510
APPAREL INC
TRUSTMARK CORP      COM             898402102  484      15659     SH         SOLE        1         15659    0        0
TYCO INTL LTD       NEW COM         902124106  12       451       SH         SOLE        1         100      0        351
TYLER               COM             902252105  30       2700      SH         SOLE        1         295      0        2405
TECHNOLOGIES INC
TYSON FOODS INC                     902494103  280      18874     SH         SOLE        1         582      0        18292
CL A
UAL CORP            COM NEW         902549807  53       1711      SH         SOLE        1         0        0        1711
UCBH HOLDINGS                       90262T308  44       2692      SH         SOLE        1         295      0        2397
INC
USA TRUCK INC                       902925106  560      31498     SH         SOLE        1         31498    0        0
-RESTRICTED
US BANCORP          DEL NEW         902973304  359      11656     SH         SOLE        1         462      0        11194
U S HOME SYS INC                    90335C100  10       1070      SH         SOLE        1         0        0        1070
U S AIRWAYS         COM             90341W108  95       1887      SH         SOLE        1         0        0        1887
GROUP INC
ULTRALIFE           COM             903899102  21       2125      SH         SOLE        1         0        0        2125
BATTERIES INC
ULTRA PETROLEUM                     903914109  78       1317      SH         SOLE        1         0        0        1317
CORP-CAD
UNILEVER PLC        ADR NEW COM     904767704  3        145       SH         SOLE        1         0        0        145
SPONS
UNILEVER NV NY      NEW             904784709  4        200       SH         SOLE        1         0        0        200
UNION PACIFIC                       907818108  18       200       SH         SOLE        1         200      0        0
CORP
UNION PACIFIC                       907818108  204      2200      SH         DEFINED     1         0        2200     0
CORP
UNITED AUTO                         909440109  41       1947      SH         SOLE        1         215      0        1732
GROUP
UNITED FIRE &       COM             910331107  39       1302      SH         SOLE        1         143      0        1159
CAS CO
UNITED              SPONSORED ADR   910873207  5        1730      SH         SOLE        1         0        0        1730
MICROELECTRONICS
CORP
UNITED                              913017109  349      5514      SH         SOLE        1         2790     0        2724
TECHNOLOGIES
CORP
UNITED                              91311Q105  2        111       SH         SOLE        1         0        0        111
UTILITIES PLC SP
UNITED                              913431102  97       1556      SH         SOLE        1         167      0        1389
COMPRESSION
HOLDINGS
UNIVERSAL                           91388P105  34       1000      SH         SOLE        1         0        0        1000
TRUCKLOAD SVCS
INC
UNIVERSAL                           913903100  86       1724      SH         SOLE        1         0        0        1724
HEALTH SERVICES
INC CL B
UNIVERSAL           COM             913915104  47       2155      SH         SOLE        1         235      0        1920
TECHNICAL INST
INC



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                                                                                                     ** VOTING AUTHORITY **
                                               MKT VAL            SH/  PUT/  INVESTMENT    OTHER   -------------------------
  NAME OF ISSUER    TITLE OF CLASS    CUSIP     x 1000     QTY    PRN  CALL  DESCRETION  MANAGERS    SOLE    SHARED    NONE
  --------------    --------------  ---------  -------  --------  ---  ----  ----------  --------  -------  -------  -------
                                                                                    
UPM KYMMENE CORP    SPN ADR         915436109  236      11033     SH         SOLE        1         0        0        11033
URBAN               COM             917047102  19       1090      SH         SOLE        1         0        0        1090
OUTFITTERS INC
VF CORPORATION                      918204108  14       215       SH         SOLE        1         0        0        215
VALUECLICK INC      COM             92046N102  20       1320      SH         SOLE        1         0        0        1320
VARIAN MEDICAL                      92220P105  347      7351      SH         SOLE        1         607      0        6744
SYSTEMS
VARIAN                              922207105  33       1015      SH         SOLE        1         0        0        1015
SEMICONDUCTOR
EQUIP
VERIZON                             92343V104  774      23141     SH         SOLE        1         16988    0        6153
COMMUNICATIONS
VERIZON                             92343V104  84       2517      SH         DEFINED     1         1719     798      0
COMMUNICATIONS
VIAD CORPORATION                    92552R406  2        87        SH         SOLE        1         87       0        0
VIACOM INC CL B     NEW             92553P201  171      4793      SH         SOLE        1         4679     0        114
VIGNETTE CORP       COM NEW         926734401  20       1410      SH         SOLE        1         155      0        1255
VISTEON CORP                        92839U107  0        10        SH         SOLE        1         10       0        0
VITRAN CORP                         92850E107  25       1095      SH         SOLE        1         0        0        1095
VODAFONE GROUP      NEW             92857W100  725      34078     SH         SOLE        1         3372     0        30706
PLC
VODAFONE GROUP      NEW             92857W100  12       565       SH         DEFINED     1         0        565      0
PLC
W H ENERGY                          92925E108  26       520       SH         SOLE        1         0        0        520
SERVICES
WPP GROUP PLC       SPON ADR 0905   929309409  479      7957      SH         SOLE        1         260      0        7697
WACHOVIA CORP       NEW             929903102  290      5368      SH         SOLE        1         5024     0        344
2ND
WACHOVIA CORP       NEW             929903102  27       500       SH         DEFINED     1         500      0        0
2ND
WAL MART STORES     COM             931142103  1418     29460     SH         SOLE        1         27960    0        1500
INC
WAL MART STORES     COM             931142103  194      4036      SH         DEFINED     1         1036     3000     0
INC
WALGREEN CO         COM             931422109  712      15889     SH         SOLE        1         2799     0        13090
WALTER INDS INC                     93317Q105  131      2289      SH         SOLE        1         0        0        2289
WASHINGTON                          939322103  508      11164     SH         SOLE        1         290      0        10874
MUTUAL INC
WASTE                               941053100  68       1876      SH         SOLE        1         206      0        1670
CONNECTIONS INC
WASTE               NEW             94106L109  114      3196      SH         SOLE        1         2940     0        256
MANAGEMENT INC
WATSCO INC                          942622200  47       795       SH         SOLE        1         90       0        705
WEBEX               COM             94767L109  38       1085      SH         SOLE        1         0        0        1085
COMMUNICATIONS
INC
WELLPOINT INC       COM             94973V107  50       698       SH         SOLE        1         0        0        698
WELLS FARGO &       NEW             949746101  29       439       SH         SOLE        1         150      0        289
CO.
WELLS FARGO &       NEW             949746101  13       200       SH         DEFINED     1         200      0        0
CO.
WESTAR ENERGY                       95709T100  49       2340      SH         SOLE        1         435      0        1905
INC
WEYERHAEUSER CO     COM             962166104  31       500       SH         SOLE        1         0        0        500
WHIRLPOOL CORP                      963320106  98       1194      SH         SOLE        1         0        0        1194
WHITNEY HOLDING     COMMON          966612103  57       1625      SH         SOLE        1         1625     0        0
CORP
WHOLE FOODS                         966837106  494      7653      SH         SOLE        1         278      0        7375
MARKET INC
WILLIAMS SONOMA                     969904101  26       778       SH         SOLE        1         0        0        778
INC
WYETH                               983024100  559      12605     SH         SOLE        1         7130     0        5475
XM SATELLITE                        983759101  1        100       SH         SOLE        1         100      0        0
XT0 ENERGY INC                      98385X106  89       2028      SH         SOLE        1         0        0        2028
XCEL ENERGY INC                     98389B100  2        154       SH         SOLE        1         154      0        0
YAHOO INC                           984332106  848      25700     SH         SOLE        1         1398     0        24302
YUM BRANDS INC                      988498101  67       1346      SH         SOLE        1         1346     0        0
ZIMMER HLDGS INC                    98956P102  61       1082      SH         SOLE        1         0        0        1082
OROMIN              NEW COM         687082107  19       11200                SOLE        NONE      11200    0        0
EXPLORATIONS LTD
STANDARD &          UNITS OF        78462F103  1459     11414                SOLE        NONE      11414    0        0
POORS               UNDIVIDED
DEPOSITARY          BENEFICIAL
RECEIPTS            INTEREST
(SPDR'S)
GRAND TOTALS                                   654605   14147045                                   4098108  8367510  1681427



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