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

                                   FORM 13F

                              FORM 13F COVER PAGE

REPORT FOR THE QUARTER ENDED: 03/31/2009

CHECK HERE IF AMENDMENT:                (  ) AMENDMENT NUMBER:
THIS AMENDMENT (CHECK ONLY ONE.):       (  ) IS A RESTATEMENT.
                                        (  ) ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:      People's United Financial, Inc.
ADDRESS:   850 Main Street
           Bridgeport, CT 06604

Form 13F File Number: 28-05107

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:  R. David Rosato
TITLE: Senior Vice President and Treasurer
PHONE: (203) 338-7286

/s/ R. David Rosato
Bridgeport, CT
05/06/2009

REPORT TYPE (CHECK ONLY ONE.):

(X)         13F HOLDINGS REPORT
( )         13F NOTICE
( )         13F COMBINATION REPORT



                             FORM 13F SUMMARY PAGE
                                                               

   REPORT SUMMARY:

   NUMBER OF OTHER INCLUDED MANAGERS:                                       2

   FORM 13F INFORMATION TABLE ENTRY TOTAL:                              1,283
   FORM 13F INFORMATION TABLE VALUE TOTAL:                           $860,922

   List of other included managers:

   No.       Form 13F File Number           Name
   001       28-20631                       People's United Bank
   002       28-12043                       People's Securities Inc.






-                                                            FORM 13F INFORMATION TABLE
                                                         VALUE  SHARES/ SH/ PUT/ INVSTMT  OTHER    VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP   (X1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE  SHAREED NONE
--------------                 -------------- --------- ------- ------- --- ---- ------- -------- ----- ------- -----
                                                                               
D 100,000THS TRAVEL CENTERS O  COMMON         JKE174103     0    50000  SH       SOLE      001        0      0  50000
D 3M CO                        COMMON         88579Y101  2029    40805  SH       DEFINED   001    40805      0      0
D 3M CO                        COMMON         88579Y101   622    12510  SH       OTHER     001    12510      0      0
D 3M CO                        COMMON         88579Y101   393     7903  SH       DEFINED   002        0   7903      0
D 3M CO                        COMMON         88579Y101  1610    32376  SH       SOLE      001    22956    665   8755
D 3M CO                        COMMON         88579Y101   591    11884  SH       OTHER     001    10274   1250    360
D 50 SOUTH TENTH STREET CORP.  COMMON         999904436   200        2  SH       SOLE      001        2      0      0
D ABB LTD                      SPONSORED ADR  000375204    35     2500  SH       OTHER     001     2500      0      0
D ABBOTT LABS                  COMMON         002824100   225     4709  SH       DEFINED   001     4709      0      0
D ABBOTT LABS                  COMMON         002824100   343     7200  SH       OTHER     001     7200      0      0
D ABBOTT LABS                  COMMON         002824100   472     9899  SH       DEFINED   002        0   9899      0
D ABBOTT LABS                  COMMON         002824100   656    13755  SH       SOLE      002        0      0  13755
D ABBOTT LABS                  COMMON         002824100  1446    30314  SH       SOLE      001    29010    500    804
D ABBOTT LABS                  COMMON         002824100   486    10192  SH       OTHER     001     9342    550    300
D ABN AMRO CAP FD VII SER G    COMMON         00372Q201    87    13000  SH       DEFINED   002        0  13000      0
D ACCENTURE LTD BERMUDA        SPONSORED ADR  G1150G111   140     5100  SH       DEFINED   001     5100      0      0
D ACCENTURE LTD BERMUDA        SPONSORED ADR  G1150G111    14      500  SH       OTHER     001      500      0      0
D ACCENTURE LTD BERMUDA        SPONSORED ADR  G1150G111   309    11249  SH       DEFINED   002        0  11249      0
D ACCENTURE LTD BERMUDA        SPONSORED ADR  G1150G111   969    35255  SH       SOLE      001    26325      0   8930
D ACCENTURE LTD BERMUDA        SPONSORED ADR  G1150G111    87     3177  SH       OTHER     001       50    550   2577
D ACCO BRANDS CORP             COMMON         00081T108     1      752  SH       DEFINED   001      752      0      0
D ACME UTD CORP                COMMON         004816104   279    36612  SH       DEFINED   001     2500      0  34112
D ACTIVISION BLIZZARD INC      COMMON         00507V109   127    12142  SH       SOLE      001        0      0  12142
D ACTIVISION BLIZZARD INC      COMMON         00507V109     2      184  SH       OTHER     001        0      0    184
D ADVANCED MICRO DEVICES INC   COMMON         007903107     2      500  SH       OTHER     001      500      0      0
D ADVANTAGE ENERGY INCOME FD   COMMON         00762L101    12     5000  SH       DEFINED   001     5000      0      0
D AEGON N V ORD AMER REG       COMMON         007924103    12     3120  SH       DEFINED   001     3120      0      0
D AETNA INC                    COMMON         00817Y108   160     6560  SH       DEFINED   001     6560      0      0
D AETNA INC                    COMMON         00817Y108    10      400  SH       OTHER     001      400      0      0
D AFLAC INC                    COMMON         001055102    19     1000  SH       DEFINED   001     1000      0      0
D AFLAC INC                    COMMON         001055102   176     9100  SH       OTHER     001     9100      0      0
D AFLAC INC                    COMMON         001055102   741    38296  SH       SOLE      001    37390    906      0





                                                                  
D AFLAC INC                    COMMON        001055102   62   3187 SH  OTHER   001   3187     0     0
D AGNICO-EAGLE MINESLTD        SPONSORED ADR 008474108   34    600 SH  OTHER   001    600     0     0
D AIR PRODS & CHEMS INC        COMMON        009158106 1070  19022 SH  DEFINED 001  19022     0     0
D AIR PRODS & CHEMS INC        COMMON        009158106   76   1350 SH  OTHER   001   1350     0     0
D AIR PRODS & CHEMS INC        COMMON        009158106 1825  32449 SH  SOLE    001  31372   519   558
D AIR PRODS & CHEMS INC        COMMON        009158106  125   2225 SH  OTHER   001   1955   270     0
D ALASKA COMMUNICATIONS SYS G  COMMON        01167P101   83  12460 SH  SOLE    001      0     0 12460
D ALASKA COMMUNICATIONS SYS G  COMMON        01167P101    4    620 SH  OTHER   001      0     0   620
D ALCATEL LUCENT               SPONSORED ADR 013904305    0     45 SH  OTHER   001     45     0     0
D ALCOA INC                    COMMON        013817101 1132 154226 SH  DEFINED 001 154226     0     0
D ALCOA INC                    COMMON        013817101   50   6855 SH  OTHER   001   6855     0     0
D ALLERGAN INC                 COMMON        018490102   34    720 SH  OTHER   001    720     0     0
D ALLERGAN INC                 COMMON        018490102 5308 111140 SH  SOLE    001 107385  1957  1798
D ALLERGAN INC                 COMMON        018490102  471   9858 SH  OTHER   001   8717  1141     0
D ALLIANCEBERNSTEIN GL         OTHER         01879R106  159  19200 SH  OTHER   001   N.A.  N.A.  N.A.
D ALLSTATE CORP                COMMON        020002101   97   5052 SH  DEFINED 001   5052     0     0
D ALTRIA GROUP INC             COMMON        02209S103  527  32873 SH  DEFINED 001  29173     0  3700
D ALTRIA GROUP INC             COMMON        02209S103  240  15005 SH  OTHER   001  15005     0     0
D ALTRIA GROUP INC             COMMON        02209S103  165  10272 SH  DEFINED 002      0 10272     0
D ALTRIA GROUP INC             COMMON        02209S103 2137 133366 SH  SOLE    001 101741  1205 30420
D ALTRIA GROUP INC             COMMON        02209S103  263  16389 SH  OTHER   001  12539  1270  2580
D AMAZON COM INC               COMMON        023135106  324   4405 SH  SOLE    001    165     0  4240
D AMAZON COM INC               COMMON        023135106   12    165 SH  OTHER   001     35     0   130
D AMEREN CORP                  COMMON        023608102    1     30 SH  DEFINED 001     30     0     0
D AMEREN CORP                  COMMON        023608102   10    450 SH  OTHER   001    450     0     0
D AMERICA MOVIL SAB DE CV      SPONSORED ADR 02364W105   49   1800 SH  OTHER   001   1800     0     0
D AMERICA MOVIL SAB DE CV      SPONSORED ADR 02364W204   65   2366 SH  DEFINED 001   2366     0     0
D AMERICAN EAGLE OUTFITTERS I  COMMON        02553E106   67   5492 SH  DEFINED 001   5492     0     0
D AMERICAN EAGLE OUTFITTERS I  COMMON        02553E106    3    225 SH  OTHER   001    225     0     0
D AMERICAN ELEC PWR INC        COMMON        025537101   11    430 SH  DEFINED 001    430     0     0
D AMERICAN ELEC PWR INC        COMMON        025537101   14    536 SH  OTHER   001    536     0     0
D AMERICAN EXPRESS CO          COMMON        025816109  243  17815 SH  DEFINED 001  16348     0  1467
D AMERICAN EXPRESS CO          COMMON        025816109   68   4990 SH  OTHER   001   4990     0     0
D AMERICAN EXPRESS CO          COMMON        025816109  237  17390 SH  DEFINED 002      0 17390     0
D AMERICAN EXPRESS CO          COMMON        025816109  246  18036 SH  SOLE    001  18018     0    18
D AMERICAN EXPRESS CO          COMMON        025816109   62   4521 SH  OTHER   001   3771   750     0
D AMERICAN INTL GROUP INC      COMMON        026874107    1    548 SH  DEFINED 001    548     0     0
D AMERICAN INTL GROUP INC      COMMON        026874107    0    100 SH  OTHER   001    100     0     0
D AMERICAN INTL GROUP INC      COMMON        026874107   20  20275 SH  DEFINED 002      0 20275     0
D AMERICAN STS WTR CO          COMMON        029899101    7    200 SH  OTHER   001    200     0     0
D AMERICAN WATER WORKSCO       COMMON        030420103    8    400 SH  OTHER   001    400     0     0
D AMERIPRISE FINL INC          COMMON        03076C106    5    253 SH  DEFINED 001      0     0   253





                                                                 
D AMERIPRISE FINL INC         COMMON        03076C106    0     20 SH    OTHER 001     20     0     0
D AMGEN INC                   COMMON        031162100 3299  66621 SH  DEFINED 001  66121     0   500
D AMGEN INC                   COMMON        031162100  212   4285 SH    OTHER 001   4285     0     0
D AMGEN INC                   COMMON        031162100  355   7175 SH  DEFINED 002      0  7175     0
D AMGEN INC                   COMMON        031162100  556  11220 SH     SOLE 002    300     0 10920
D AMGEN INC                   COMMON        031162100 1461  29509 SH     SOLE 001  28852   255   402
D AMGEN INC                   COMMON        031162100  186   3750 SH    OTHER 001   3025   725     0
D ANALOG DEVICES INC          COMMON        032654105    4    200 SH    OTHER 001    200     0     0
D ANNALY CAP MGMT INC         COMMON        035710409  142  10269 SH     SOLE 001   7100     0  3169
D ANNALY CAP MGMT INC         COMMON        035710409    6    463 SH    OTHER 001    400     0    63
D APACHE CORP                 COMMON        037411105   13    200 SH  DEFINED 001    200     0     0
D APACHE CORP                 COMMON        037411105   90   1400 SH    OTHER 001   1400     0     0
D APACHE CORP                 COMMON        037411105  506   7900 SH     SOLE 002      0     0  7900
D APACHE CORP                 COMMON        037411105 5316  82947 SH     SOLE 001  72851  4077  6019
D APACHE CORP                 COMMON        037411105  457   7133 SH    OTHER 001   5901   472   760
D APOLLO GROUP INC            COMMON        037604105    8    100 SH    OTHER 001    100     0     0
D APPLE INC                   COMMON        037833100 4090  38910 SH  DEFINED 001  38910     0     0
D APPLE INC                   COMMON        037833100  721   6855 SH    OTHER 001   6855     0     0
D APPLE INC                   COMMON        037833100  702   6676 SH  DEFINED 002      0  6676     0
D APPLE INC                   COMMON        037833100 4030  38334 SH     SOLE 001  32481  2000  3853
D APPLE INC                   COMMON        037833100  392   3725 SH    OTHER 001   2971   664    90
D APPLIED MATLS INC           COMMON        038222105   15   1380 SH  DEFINED 001   1380     0     0
D APPLIED MATLS INC           COMMON        038222105   39   3600 SH    OTHER 001   3600     0     0
D ARCH COAL INC               COMMON        039380100   25   1900 SH  DEFINED 001   1900     0     0
D ARCH COAL INC               COMMON        039380100    3    200 SH    OTHER 001    200     0     0
D ARM HLDGS PLC               SPONSORED ADR 042068106   97  22015 SH     SOLE 001      0     0 22015
D ARM HLDGS PLC               SPONSORED ADR 042068106    4   1006 SH    OTHER 001      0     0  1006
D ARROW FINL CORP             COMMON        042744102  393  16594 SH     SOLE 001  16594     0     0
D ARROW FINL CORP             COMMON        042744102  303  12777 SH    OTHER 001  12777     0     0
D ARTESIAN RES CORP           COMMON        043113208   11    750 SH    OTHER 001    750     0     0
D ASHFORD HOSPITALITY TR INC  COMMON        044103109    8   5000 SH  DEFINED 001   5000     0     0
D ASML HOLDINGS NV            SPONSORED ADR N07059186    5    292 SH  DEFINED 001    292     0     0
D ASTRAZENECA PLC             SPONSORED ADR 046353108    4    100 SH    OTHER 001    100     0     0
D ASTRAZENECA PLC             SPONSORED ADR 046353108  469  13220 SH     SOLE 001      0     0 13220
D ASTRAZENECA PLC             SPONSORED ADR 046353108   20    560 SH    OTHER 001      0     0   560
D AT&T INC                    COMMON        00206R102 6387 253456 SH  DEFINED 001 245847     0  7609
D AT&T INC                    COMMON        00206R102 1682  66737 SH    OTHER 001  66737     0     0
D AT&T INC                    COMMON        00206R102 1434  56890 SH  DEFINED 002      0 56890     0
D AT&T INC                    COMMON        00206R102 7131 282971 SH     SOLE 001 230511  8991 43469
D AT&T INC                    COMMON        00206R102 1261  50025 SH    OTHER 001  43871  3021  3133
D ATMOS ENERGY CORP           COMMON        049560105   42   1800 SH  DEFINED 001   1800     0     0
D ATMOS ENERGY CORP           COMMON        049560105    6    250 SH    OTHER 001    250     0     0





                                                                  
D AU OPTRONICS CORP            COMMON        002255107   11   1261 SH    OTHER 001   1261     0    0
D AUTODESK INC                 COMMON        052769106   10    600 SH  DEFINED 001    600     0    0
D AUTOMATIC DATA PROCESSING I  COMMON        053015103  277   7890 SH  DEFINED 001   7490     0  400
D AUTOMATIC DATA PROCESSING I  COMMON        053015103  224   6374 SH    OTHER 001   6374     0    0
D AUTOMATIC DATA PROCESSING I  COMMON        053015103  302   8603 SH  DEFINED 002      0  8603    0
D AUTOMATIC DATA PROCESSING I  COMMON        053015103 5358 152379 SH     SOLE 001 140890  8899 2590
D AUTOMATIC DATA PROCESSING I  COMMON        053015103  974  27706 SH    OTHER 001  19866  3440 4400
D AVALONBAY CMNTYS INC         COMMON        053484101   90   1906 SH  DEFINED 001   1906     0    0
D AVALONBAY CMNTYS INC         COMMON        053484101   85   1803 SH    OTHER 001   1803     0    0
D AVERY DENNISON CORP          COMMON        053611109    2    100 SH  DEFINED 001    100     0    0
D AVERY DENNISON CORP          COMMON        053611109   27   1193 SH    OTHER 001   1193     0    0
D AVNET INC                    COMMON        053807103  365  20850 SH  DEFINED 002      0 20850    0
D AVON PRODS INC               COMMON        054303102  411  21390 SH  DEFINED 001  20790     0  600
D AVON PRODS INC               COMMON        054303102   40   2100 SH    OTHER 001   2100     0    0
D AVON PRODS INC               COMMON        054303102 1776  92347 SH     SOLE 001  87699  1662 2986
D AVON PRODS INC               COMMON        054303102  161   8376 SH    OTHER 001   7516   860    0
D BAKER HUGHES INC             COMMON        057224107   29   1000 SH    OTHER 001   1000     0    0
D BAKER HUGHES INC             COMMON        057224107  759  26588 SH     SOLE 001  25737   564  287
D BAKER HUGHES INC             COMMON        057224107   16    575 SH    OTHER 001    575     0    0
D BALFOUR MACLAINE CORP        COMMON        058459AA6    0  15000 SH  DEFINED 002      0 15000    0
D BANCO BRADESCO SA            SPONSORED ADR 059460303    5    546 SH  DEFINED 001    546     0    0
D BANCO BRADESCO SA            SPONSORED ADR 059460303   53   5400 SH    OTHER 001   5400     0    0
D BANCO ITAU HLDG FINANCEIRA   SPONSORED ADR 059602201   59   5400 SH    OTHER 001   5400     0    0
D BANK OF AMERICA CORP         COMMON        060505104 1464 214642 SH  DEFINED 001 214192     0  450
D BANK OF AMERICA CORP         COMMON        060505104  241  35270 SH    OTHER 001  35270     0    0
D BANK OF AMERICA CORP         COMMON        060505104  238  34906 SH  DEFINED 002      0 34906    0
D BANK OF AMERICA CORP         COMMON        060505724  614  56700 SH  DEFINED 002      0 56700    0
D BANK OF AMERICA CORP         COMMON        060505104  599  87787 SH     SOLE 001  87603     0  184
D BANK OF AMERICA CORP         COMMON        060505104  123  17983 SH    OTHER 001  17447   536    0
D BANK OF NEW YORK MELLON COR  COMMON        064058100  552  19544 SH  DEFINED 001  19544     0    0
D BANK OF NEW YORK MELLON COR  COMMON        064058100  475  16812 SH    OTHER 001  16812     0    0
D BANK OF NEW YORK MELLON COR  COMMON        064058100 3235 114511 SH     SOLE 001 111743  1326 1442
D BANK OF NEW YORK MELLON COR  COMMON        064058100  363  12867 SH    OTHER 001  12142   725    0
D BARCLAYS BK PLC 7.75% PFD    SPONSORED ADR 06739H511  112   9000 SH  DEFINED 001   N.A.  N.A. N.A.
D BARCLAYS BK PLC 7.75% PFD    SPONSORED ADR 06739H511   10    800 SH    OTHER 001   N.A.  N.A. N.A.
D BARCLAYS PLC                 SPONSORED ADR 06738E204    4    500 SH  DEFINED 001    500     0    0
D BARCLAYS PLC                 SPONSORED ADR 06738E204    5    545 SH    OTHER 001    545     0    0
D BARD C R INC                 COMMON        067383109   18    232 SH    OTHER 001    232     0    0
D BARD C R INC                 COMMON        067383109 2528  31709 SH     SOLE 001  27710  2801 1198
D BARD C R INC                 COMMON        067383109  285   3570 SH    OTHER 001   3302   268    0
D BAXTER INTL INC              COMMON        071813109   15    300 SH  DEFINED 001    300     0    0
D BAXTER INTL INC              COMMON        071813109  154   3000 SH    OTHER 001   3000     0    0





                                                                
D BAXTER INTL INC              COMMON        071813109 1263 24650 SH  DEFINED 002     0 24650     0
D BB & T CORP                  COMMON        054937107  962 56850 SH  DEFINED 001 56850     0     0
D BB & T CORP                  COMMON        054937107    4   225 SH  OTHER   001   225     0     0
D BECTON DICKINSON & CO        COMMON        075887109   17   250 SH  DEFINED 001   250     0     0
D BECTON DICKINSON & CO        COMMON        075887109  215  3200 SH  OTHER   001  3200     0     0
D BECTON DICKINSON & CO        COMMON        075887109  681 10133 SH  DEFINED 002     0 10133     0
D BECTON DICKINSON & CO        COMMON        075887109 3904 58064 SH  SOLE    001 49696  3004  5364
D BECTON DICKINSON & CO        COMMON        075887109  387  5753 SH  OTHER   001  4162   271  1320
D BERKSHIRE HATHAWAY INC CL A  COMMON        084670108 9104   105 SH  SOLE    001   105     0     0
D BERKSHIRE HATHAWAY INC CL B  COMMON        084670207  384   136 SH  DEFINED 001   136     0     0
D BERKSHIRE HATHAWAY INC CL B  COMMON        084670207  787   279 SH  SOLE    001   257    21     1
D BERKSHIRE HATHAWAY INC CL B  COMMON        084670207  389   138 SH  OTHER   001    38     0   100
D BEST BUY INC                 COMMON        086516101 2350 61913 SH  DEFINED 001 61613     0   300
D BEST BUY INC                 COMMON        086516101  125  3287 SH  OTHER   001  3287     0     0
D BEST BUY INC                 COMMON        086516101  941 24800 SH  SOLE    001 23863   604   333
D BEST BUY INC                 COMMON        086516101   63  1653 SH  OTHER   001  1250   403     0
D BHP BILLITON LTD             SPONSORED ADR 088606108    7   150 SH  OTHER   001   150     0     0
D BHP BILLITON LTD             SPONSORED ADR 088606108 1240 27799 SH  DEFINED 002     0 27799     0
D BHP BILLITON LTD             SPONSORED ADR 088606108 2755 61763 SH  SOLE    001 53157   900  7706
D BHP BILLITON LTD             SPONSORED ADR 088606108  206  4625 SH  OTHER   001  3953   330   342
D BIG LOTS INC                 COMMON        089302103   44  2125 SH  DEFINED 001  2125     0     0
D BLACKROCK INCOME OPPORTUNIT  OTHER         092475102   46  5200 SH  DEFINED 001  N.A.  N.A.  N.A.
D BLACKROCK MUN INCOME TR      OTHER         09248F109   35  3500 SH  DEFINED 001  N.A.  N.A.  N.A.
D BLACKROCK REAL ASSET EQUITY  COMMON        09254B109   51  7240 SH  DEFINED 001  7240     0     0
D BLACKSTONE GROUP L P         COMMON        09253U108   11  1500 SH  OTHER   001  1500     0     0
D BMC SOFTWARE INC             COMMON        055921100   26   800 SH  DEFINED 001   800     0     0
D BOEING CO                    COMMON        097023105 1077 30270 SH  DEFINED 001 30270     0     0
D BOEING CO                    COMMON        097023105  106  2975 SH  OTHER   001  2975     0     0
D BOEING CO                    COMMON        097023105  322  9061 SH  DEFINED 002     0  9061     0
D BOEING CO                    COMMON        097023105  351  9865 SH  SOLE    002     0     0  9865
D BOEING CO                    COMMON        097023105  195  5470 SH  SOLE    001  4840     0   630
D BOEING CO                    COMMON        097023105  336  9452 SH  OTHER   001  1194     0  8258
D BOSTON PPTYS INC             COMMON        101121101   21   600 SH  OTHER   001   600     0     0
D BP PLC                       SPONSORED ADR 055622104 3322 82844 SH  DEFINED 001 82844     0     0
D BP PLC                       SPONSORED ADR 055622104  707 17643 SH  OTHER   001 17643     0     0
D BP PLC                       SPONSORED ADR 055622104  322  8020 SH  DEFINED 002     0  8020     0
D BP PLC                       SPONSORED ADR 055622104 3829 95482 SH  SOLE    001 79185  2053 14244
D BP PLC                       SPONSORED ADR 055622104  519 12940 SH  OTHER   001 10173  1553  1214
D BRIGGS & STRATTON CORP       COMMON        109043109    7   400 SH  OTHER   001   400     0     0
D BRISTOL MYERS SQUIBB CO      COMMON        110122108  234 10682 SH  DEFINED 001 10682     0     0
D BRISTOL MYERS SQUIBB CO      COMMON        110122108  238 10850 SH  OTHER   001 10850     0     0
D BRISTOL MYERS SQUIBB CO      COMMON        110122108  451 20574 SH  DEFINED 002     0 20574     0





                                                                 
D BRISTOL MYERS SQUIBB CO     COMMON        110122108  263  12000 SH  SOLE    002      0     0 12000
D BRISTOL MYERS SQUIBB CO     COMMON        110122108 1269  57894 SH  SOLE    001  22944   200 34750
D BRISTOL MYERS SQUIBB CO     COMMON        110122108  315  14363 SH  OTHER   001   7873     0  6490
D BURLINGTON NORTHN SANTA FE  COMMON        12189T104   17    275 SH  DEFINED 001    275     0     0
D BURLINGTON NORTHN SANTA FE  COMMON        12189T104   22    360 SH  OTHER   001    360     0     0
D BURLINGTON NORTHN SANTA FE  COMMON        12189T104  145   2412 SH  SOLE    001   2112     0   300
D BURLINGTON NORTHN SANTA FE  COMMON        12189T104  398   6624 SH  OTHER   001   3602     0  3022
D CALIFORNIA WTR SVC GROUP    COMMON        130788102   13    300 SH  OTHER   001    300     0     0
D CAMPBELL SOUP CO            COMMON        134429109   56   2050 SH  DEFINED 001   2050     0     0
D CAMPBELL SOUP CO            COMMON        134429109   10    361 SH  OTHER   001    361     0     0
D CAPITAL ONE FINL CORP       COMMON        14040H105   27   2187 SH  OTHER   001   2187     0     0
D CARNIVAL CORP               COMMON        143658300  155   7185 SH  DEFINED 001   7185     0     0
D CARNIVAL CORP               COMMON        143658300    6    275 SH  OTHER   001    275     0     0
D CATERPILLAR INC             COMMON        149123101 2307  82500 SH  DEFINED 001  82500     0     0
D CATERPILLAR INC             COMMON        149123101  341  12200 SH  OTHER   001  12200     0     0
D CATERPILLAR INC             COMMON        149123101 1270  45434 SH  DEFINED 002      0 45434     0
D CATERPILLAR INC             COMMON        149123101  621  22197 SH  SOLE    001  16422     0  5775
D CATERPILLAR INC             COMMON        149123101   39   1391 SH  OTHER   001   1121     0   270
D CBS CORP                    COMMON        124857202    1    147 SH  DEFINED 001    147     0     0
D CELGENE CORP                COMMON        151020104    9    200 SH  DEFINED 001    200     0     0
D CENTERPOINT ENERGY INC      COMMON        15189T107    3    300 SH  DEFINED 001    300     0     0
D CENTERPOINT ENERGY INC      COMMON        15189T107   31   3000 SH  OTHER   001   3000     0     0
D CENTRAL EUROPE & RUSSIA FD  OTHER         153436100    4    272 SH  DEFINED 001   N.A.  N.A.  N.A.
D CENTRAL FINL CORP VT        COMMON        153472105 2428  36240 SH  SOLE    001  36240     0     0
D CHAMPLAIN BANK CORP         COMMON        15871P108  161    345 SH  SOLE    001    345     0     0
D CHAMPLAIN BANK CORP         COMMON        15871P108  161    345 SH  SOLE    001    345     0     0
D CHARTER COMM CL A           COMMON        16117M107    0   2000 SH  OTHER   001   2000     0     0
D CHEMTURA CORP               COMMON        163893100    0   4668 SH  OTHER   001   4668     0     0
D CHEVRON CORP                COMMON        166764100 8853 131658 SH  DEFINED 001 131658     0     0
D CHEVRON CORP                COMMON        166764100 2412  35874 SH  OTHER   001  35874     0     0
D CHEVRON CORP                COMMON        166764100 2381  35412 SH  DEFINED 002      0 35412     0
D CHEVRON CORP                COMMON        166764100  850  12640 SH  SOLE    002      0     0 12640
D CHEVRON CORP                COMMON        166764100 8921 132678 SH  SOLE    001 116266  3842 12570
D CHEVRON CORP                COMMON        166764100 1328  19745 SH  OTHER   001  17784  1019   942
D CHICAGO BRIDGE & IRON CO    COMMON        167250109  139  22150 SH  DEFINED 002      0 22150     0
D CHIMERA INVT CORP           COMMON        16934Q109   66  19500 SH  SOLE    001  19500     0     0
D CHINA FUND INC              OTHER         169373107    8    515 SH  DEFINED 001   N.A.  N.A.  N.A.
D CHUBB CORP                  COMMON        171232101   95   2250 SH  DEFINED 001   2250     0     0
D CHUBB CORP                  COMMON        171232101  158   3740 SH  OTHER   001   3740     0     0
D CHUBB CORP                  COMMON        171232101 2506  59214 SH  SOLE    001  51384  3776  4054
D CHUBB CORP                  COMMON        171232101  248   5866 SH  OTHER   001   4569  1146   151
D CIA VALE DO RIO DOCE        SPONSORED ADR 204412209   53   4000 SH  OTHER   001   4000     0     0





                                                                         
D CIA VALE DO RIO DOCE                SPONSORED ADR 204412209  280  21043 SH  SOLE    001   6400     0 14643
D CIA VALE DO RIO DOCE                SPONSORED ADR 204412209   12    920 SH  OTHER   001      0     0   920
D CIA VALE DO RIO DOCE ADR PF         SPONSORED ADR 204412100    4    376 SH  DEFINED 001    376     0     0
D CIA VALE DO RIO DOCE ADR PF         SPONSORED ADR 204412100   51   4500 SH  OTHER   001   4500     0     0
D CIGNA CORP                          COMMON        125509109    7    375 SH  DEFINED 001    375     0     0
D CIGNA CORP                          COMMON        125509109    5    300 SH  OTHER   001    300     0     0
D CISCO SYS INC                       COMMON        17275R102 4818 287290 SH  DEFINED 001 286690     0   600
D CISCO SYS INC                       COMMON        17275R102  772  46058 SH  OTHER   001  46058     0     0
D CISCO SYS INC                       COMMON        17275R102  981  58488 SH  DEFINED 002      0 58488     0
D CISCO SYS INC                       COMMON        17275R102 6141 366185 SH  SOLE    001 330386 15660 20139
D CISCO SYS INC                       COMMON        17275R102  743  44290 SH  OTHER   001  37320  2169  4801
D CITADEL BROADCASTING CORP           COMMON        17285T106    3  41572 SH  SOLE    001  41572     0     0
D CITADEL BROADCASTING CORP           COMMON        17285T106    0     23 SH  OTHER   001      0     0    23
D CITIGROUP CAP XIV                   COMMON        17309E200  150  18840 SH  DEFINED 002      0 18840     0
D CITIGROUP INC                       COMMON        172967101  496 195986 SH  DEFINED 001 195386     0   600
D CITIGROUP INC                       COMMON        172967101   54  21506 SH  OTHER   001  21506     0     0
D CITIGROUP INC                       COMMON        172967101   92  36471 SH  DEFINED 002      0 36471     0
D CITIGROUP INC                       COMMON        172967572  157  10300 SH  DEFINED 002      0 10300     0
D CITIGROUP INC                       COMMON        172967101   39  15255 SH  SOLE    001  14680   380   195
D CITIGROUP INC                       COMMON        172967101   39  15384 SH  OTHER   001   7805  6740   839
D CITRIX SYS INC                      COMMON        177376100  186   8225 SH  DEFINED 001   8225     0     0
D CITRIX SYS INC                      COMMON        177376100   39   1725 SH  OTHER   001   1725     0     0
D CLECO CORP                          COMMON        12561W105  184   8500 SH  OTHER   001   8500     0     0
D CLOROX CO                           COMMON        189054109  409   7946 SH  DEFINED 001   7946     0     0
D CLOROX CO                           COMMON        189054109   83   1615 SH  OTHER   001   1615     0     0
D CNH GLOBAL N V                      SPONSORED ADR N20935206    8    800 SH  OTHER   001    800     0     0
D COACH INC                           COMMON        189754104 2700 161663 SH  DEFINED 001 161663     0     0
D COACH INC                           COMMON        189754104  148   8875 SH  OTHER   001   8875     0     0
D COBBLE HILL HOLDINGS, INC           COMMON        19088P208  755  75455 SH  OTHER   001  75455     0     0
D COCA COLA CO                        COMMON        191216100 3183  72425 SH  DEFINED 001  72175     0   250
D COCA COLA CO                        COMMON        191216100  755  17183 SH  OTHER   001  17183     0     0
D COCA COLA CO                        COMMON        191216100  349   7937 SH  DEFINED 002      0  7937     0
D COCA COLA CO                        COMMON        191216100 2056  46782 SH  SOLE    001  44880  1042   860
D COCA COLA CO                        COMMON        191216100  169   3841 SH  OTHER   001   2970   871     0
D COGNIZANT TECHNOLOGY SOLUTI         COMMON        192446102    2    100 SH  DEFINED 001    100     0     0
D COGNIZANT TECHNOLOGY SOLUTI         COMMON        192446102    5    230 SH  OTHER   001    230     0     0
D COLGATE PALMOLIVE CO                COMMON        194162103  608  10310 SH  DEFINED 001  10310     0     0
D COLGATE PALMOLIVE CO                COMMON        194162103  904  15321 SH  DEFINED 002      0 15321     0
D COLGATE PALMOLIVE CO                COMMON        194162103  773  13101 SH  SOLE    002      0     0 13101
D COLGATE PALMOLIVE CO                COMMON        194162103 5367  90992 SH  SOLE    001  82091  3508  5393
D COLGATE PALMOLIVE CO                COMMON        194162103  490   8306 SH  OTHER   001   5626  2159   521
D COMCAST CORP                        COMMON        20030N101    7    510 SH  DEFINED 001      0     0   510





                                                                  
D COMCAST CORP                 COMMON        20030N101   52   3783 SH  OTHER   001   3783     0     0
D COMCAST CORP                 COMMON        20030N101  205  15047 SH  DEFINED 002      0 15047     0
D COMCAST CORP                 COMMON        20030N101  150  10967 SH  SOLE    001  10967     0     0
D COMCAST CORP                 COMMON        20030N101    9    691 SH  OTHER   001    691     0     0
D COMCAST CORP CL A SPL        COMMON        20030N200  252  19550 SH  SOLE    001  19550     0     0
D COMCAST CORP CL A SPL        COMMON        20030N200    5    350 SH  OTHER   001    350     0     0
D COMMUNITY SVC COMMUNICATION  COMMON        20404P203   18  13250 SH  SOLE    001  13250     0     0
D COMPUSONICS VIDEO CORP       COMMON        209929108    0  20384 SH  SOLE    001  20384     0     0
D CON EDISON INC               COMMON        209115104 1834  46300 SH  DEFINED 001  46300     0     0
D CON EDISON INC               COMMON        209115104  477  12043 SH  OTHER   001  12043     0     0
D CONAGRA FOODS INC            COMMON        205887102   51   3000 SH  DEFINED 001   3000     0     0
D CONN WTR SVC INC             COMMON        207797101   10    500 SH  OTHER   001    500     0     0
D CONOCOPHILLIPS               COMMON        20825C104 1774  45297 SH  DEFINED 001  45297     0     0
D CONOCOPHILLIPS               COMMON        20825C104  170   4347 SH  OTHER   001   4347     0     0
D CONOCOPHILLIPS               COMMON        20825C104 1133  28923 SH  DEFINED 002      0 28923     0
D CONOCOPHILLIPS               COMMON        20825C104  584  14920 SH  SOLE    002      0   600 14320
D CONOCOPHILLIPS               COMMON        20825C104  899  22956 SH  SOLE    001  22591     0   365
D CONOCOPHILLIPS               COMMON        20825C104  125   3190 SH  OTHER   001   3129     0    61
D CONSTELLATION ENERGY GROUP   COMMON        210371100   25   1200 SH  DEFINED 001   1200     0     0
D CONSUMER DISC. SEL SECTOR S  OTHER         81369Y407   28   1400 SH  OTHER   001   N.A.  N.A.  N.A.
D CONSUMER STAPLES SPDR FUND   OTHER         81369Y308   84   4000 SH  DEFINED 001   N.A.  N.A.  N.A.
D CONSUMER STAPLES SPDR FUND   OTHER         81369Y308   21   1000 SH  OTHER   001   N.A.  N.A.  N.A.
D CORNING INC                  COMMON        219350105 3799 286310 SH  DEFINED 001 285735     0   575
D CORNING INC                  COMMON        219350105  351  26420 SH  OTHER   001  26420     0     0
D CORNING INC                  COMMON        219350105  344  25924 SH  DEFINED 002      0 25924     0
D CORNING INC                  COMMON        219350105 2725 205346 SH  SOLE    001 196015  5461  3870
D CORNING INC                  COMMON        219350105  249  18796 SH  OTHER   001  17899   897     0
D CORPORATE PROPERTY ASSOCIAT  COMMON        22002Y107  238  19513 SH  SOLE    001  19513     0     0
D CORRIDOR COMMUNICATIONS COR  COMMON        220261101    0 110000 SH  OTHER   001 110000     0     0
D COSTCO WHSL CORP             COMMON        22160K105 1216  26250 SH  DEFINED 001  26250     0     0
D COSTCO WHSL CORP             COMMON        22160K105  222   4800 SH  OTHER   001   4800     0     0
D COSTCO WHSL CORP             COMMON        22160K105  235   5075 SH  SOLE    001    500     0  4575
D COSTCO WHSL CORP             COMMON        22160K105    6    140 SH  OTHER   001      0     0   140
D COVIDIEN LTD                 SPONSORED ADR G2552X108   20    600 SH  OTHER   001    600     0     0
D CRANE CO                     COMMON        224399105   76   4500 SH  DEFINED 001   4500     0     0
D CSX CORP                     COMMON        126408103  399  15448 SH  DEFINED 001  15448     0     0
D CSX CORP                     COMMON        126408103  132   5100 SH  OTHER   001   5100     0     0
D CSX CORP                     COMMON        126408103 1466  56719 SH  SOLE    001  54195  1029  1495
D CSX CORP                     COMMON        126408103  232   8993 SH  OTHER   001   4343   650  4000
D CUMMINS INC                  COMMON        231021106   25   1000 SH  OTHER   001   1000     0     0
D CURAGEN CORP                 COMMON        23126R101    0     50 SH  DEFINED 001     50     0     0
D CVS CAREMARK CORP            COMMON        126650100 2236  81321 SH  DEFINED 001  81321     0     0





                                                                  
D CVS CAREMARK CORP            COMMON        126650100  398  14475 SH  OTHER   001  14475     0     0
D CVS CAREMARK CORP            COMMON        126650100  308  11200 SH  DEFINED 002      0 11200     0
D CVS CAREMARK CORP            COMMON        126650100  285  10350 SH  SOLE    002      0     0 10350
D CVS CAREMARK CORP            COMMON        126650100  752  27338 SH  SOLE    001  25502   697  1139
D CVS CAREMARK CORP            COMMON        126650100   56   2041 SH  OTHER   001   2041     0     0
D DAIMLERCHRYSLER AG           SPONSORED ADR D1668R123   55   2158 SH  DEFINED 001   2158     0     0
D DAIMLERCHRYSLER AG           SPONSORED ADR D1668R123   10    374 SH  OTHER   001    374     0     0
D DANAHER CORP                 COMMON        235851102  436   8050 SH  DEFINED 001   8050     0     0
D DANAHER CORP                 COMMON        235851102   38    700 SH  OTHER   001    700     0     0
D DANAHER CORP                 COMMON        235851102 4468  82409 SH  SOLE    001  76651  4816   942
D DANAHER CORP                 COMMON        235851102  563  10378 SH  OTHER   001   9401   827   150
D DARDEN RESTAURANTS INC       COMMON        237194105  987  28811 SH  SOLE    001  28811     0     0
D DEERE & CO                   COMMON        244199105 2402  73065 SH  DEFINED 001  72665     0   400
D DEERE & CO                   COMMON        244199105  117   3565 SH  OTHER   001   3565     0     0
D DEERE & CO                   COMMON        244199105  280   8525 SH  DEFINED 002      0  8525     0
D DEERE & CO                   COMMON        244199105 1070  32560 SH  SOLE    001  30645   978   937
D DEERE & CO                   COMMON        244199105   89   2715 SH  OTHER   001   2600   115     0
D DEL MONTE FOODS CO           COMMON        24522P103   15   2009 SH  OTHER   001   2009     0     0
D DELAWARE INVTS DIVID & INCO  OTHER         245915103    2    425 SH  DEFINED 001   N.A.  N.A.  N.A.
D DELL INC                     COMMON        24702R101 1366 144078 SH  DEFINED 001 144078     0     0
D DELL INC                     COMMON        24702R101  105  11075 SH  OTHER   001  11075     0     0
D DENDREON CORP                COMMON        24823Q107    6   1500 SH  OTHER   001   1500     0     0
D DENTSPLY INTL INC            COMMON        249030107  798  29738 SH  SOLE    001  29120   520    98
D DENTSPLY INTL INC            COMMON        249030107   35   1312 SH  OTHER   001    292  1020     0
D DEVELOPERS DIVERSIFIED RLTY  COMMON        251591103    1    250 SH  OTHER   001    250     0     0
D DEVON ENERGY CORP            COMMON        25179M103 2696  60325 SH  DEFINED 001  60325     0     0
D DEVON ENERGY CORP            COMMON        25179M103  106   2370 SH  OTHER   001   2370     0     0
D DEVON ENERGY CORP            COMMON        25179M103 2024  45285 SH  SOLE    001  41364  2599  1322
D DEVON ENERGY CORP            COMMON        25179M103  195   4371 SH  OTHER   001   3810   561     0
D DIAGEO PLC                   SPONSORED ADR 25243Q205   56   1245 SH  OTHER   001   1245     0     0
D DIAGEO PLC                   SPONSORED ADR 25243Q205  238   5326 SH  DEFINED 002      0  5326     0
D DIAGEO PLC                   SPONSORED ADR 25243Q205  560  12517 SH  SOLE    001     85     0 12432
D DIAGEO PLC                   SPONSORED ADR 25243Q205   28    630 SH  OTHER   001    100     0   530
D DIRECTV GROUP INC            COMMON        25459L106    2    100 SH  OTHER   001    100     0     0
D DISCOVER FINL SVCS           COMMON        254709108    3    530 SH  DEFINED 001    530     0     0
D DISCOVER FINL SVCS           COMMON        254709108   67  10680 SH  SOLE    001  10680     0     0
D DISCOVER FINL SVCS           COMMON        254709108    1    224 SH  OTHER   001    224     0     0
D DISNEY (WALT) CO             COMMON        254687106 1120  61650 SH  DEFINED 001  60650     0  1000
D DISNEY (WALT) CO             COMMON        254687106  148   8150 SH  OTHER   001   8150     0     0
D DISNEY (WALT) CO             COMMON        254687106  562  30922 SH  DEFINED 002      0 30922     0
D DISNEY (WALT) CO             COMMON        254687106 8842 486902 SH  SOLE    001 482806  1673  2423
D DISNEY (WALT) CO             COMMON        254687106  180   9921 SH  OTHER   001   8801   820   300





                                                                   
D DOCUMENT SECURITYSYSTEMS     COMMON        25614T101    3   2000  SH DEFINED 001   2000      0     0
D DOMINION RES INC VA          COMMON        25746U109  293   9445  SH DEFINED 001   9445      0     0
D DOMINION RES INC VA          COMMON        25746U109  235   7570  SH OTHER   001   7570      0     0
D DOMINION RES INC VA          COMMON        25746U109 2522  81373  SH SOLE    001  74356   1354  5663
D DOMINION RES INC VA          COMMON        25746U109  351  11326  SH OTHER   001   9339   1135   852
D DONNELLEY R R & SONS CO      COMMON        257867101   99  13463  SH SOLE    001  13288      0   175
D DONNELLEY R R & SONS CO      COMMON        257867101    1     80  SH OTHER   001     80      0     0
D DOT HILL SYS CORP            COMMON        25848T109   15  25760  SH SOLE    001      0      0 25760
D DOVER CORP                   COMMON        260003108    9    336  SH DEFINED 001    336      0     0
D DOVER CORP                   COMMON        260003108  158   6000  SH OTHER   001   6000      0     0
D DOW CHEM CO                  COMMON        260543103  828  98220  SH DEFINED 001  98220      0     0
D DOW CHEM CO                  COMMON        260543103   64   7600  SH OTHER   001   7600      0     0
D DOW CHEM CO                  COMMON        260543103  170  20153  SH SOLE    001  20153      0     0
D DOW CHEM CO                  COMMON        260543103   87  10323  SH OTHER   001  10323      0     0
D DRESSER-RAND GROUP INC       COMMON        261608103   18    800  SH OTHER   001    800      0     0
D DREYFUS STR MUNI LEO SERIES  COMMON        261932404  200 200000 PRN DEFINED 002      0 200000     0
D DTE ENERGY CO                COMMON        233331107    4    150  SH OTHER   001    150      0     0
D DU PONT E I DE NEMOURS & CO  COMMON        263534109  608  27237  SH DEFINED 001  27237      0     0
D DU PONT E I DE NEMOURS & CO  COMMON        263534109  395  17708  SH OTHER   001  17708      0     0
D DU PONT E I DE NEMOURS & CO  COMMON        263534109  482  21596  SH SOLE    001  21376    200    20
D DU PONT E I DE NEMOURS & CO  COMMON        263534109   95   4234  SH OTHER   001   3894    340     0
D DUKE ENERGY CORP             COMMON        26441C105   24   1662  SH DEFINED 001   1662      0     0
D DUKE ENERGY CORP             COMMON        26441C105   29   2000  SH OTHER   001   2000      0     0
D DUKE ENERGY CORP             COMMON        26441C105  245  17102  SH SOLE    001  12862      0  4240
D DUKE ENERGY CORP             COMMON        26441C105    4    300  SH OTHER   001    300      0     0
D E M C CORP MASS              COMMON        268648102  209  18330  SH DEFINED 001  18330      0     0
D E M C CORP MASS              COMMON        268648102   51   4500  SH OTHER   001   4500      0     0
D E M C CORP MASS              COMMON        268648102  394  34563  SH DEFINED 002      0  34563     0
D E M C CORP MASS              COMMON        268648102 5119 449004  SH SOLE    001 420231  19232  9541
D E M C CORP MASS              COMMON        268648102  393  34436  SH OTHER   001  30633   3803     0
D EASTGROUP PPTYS INC          COMMON        277276101   28   1000  SH OTHER   001   1000      0     0
D EATON VANCE INSD MUN BD FD   OTHER         27827X101   35   3200  SH DEFINED 001   N.A.   N.A.  N.A.
D EBAY INC                     COMMON        278642103   76   6071  SH DEFINED 001   6071      0     0
D EBAY INC                     COMMON        278642103   57   4500  SH OTHER   001   4500      0     0
D ECOLAB INC                   COMMON        278865100   45   1300  SH DEFINED 001   1300      0     0
D ECOLAB INC                   COMMON        278865100  656  18894  SH SOLE    001  10217    912  7765
D ECOLAB INC                   COMMON        278865100    8    225  SH OTHER   001      0      0   225
D EDISON INTL                  COMMON        281020107   20    704  SH DEFINED 001    704      0     0
D ELAN CORP PLC                SPONSORED ADR 284131208  556  83808  SH DEFINED 002      0  83808     0
D ELDORADO GOLD CORP           COMMON        284902103  270  30000  SH SOLE    001  20000      0 10000
D EMBARQ CORP                  COMMON        29078E105    5    126  SH OTHER   001    126      0     0
D EMERSON ELEC CO              COMMON        291011104 1210  42339  SH DEFINED 001  41639      0   700





                                                            
D EMERSON ELEC CO              COMMON 291011104   402  14050 SH  OTHER   001  14050     0     0
D EMERSON ELEC CO              COMMON 291011104   370  12940 SH  DEFINED 002      0 12940     0
D EMERSON ELEC CO              COMMON 291011104  2158  75523 SH  SOLE    001  66693  1205  7625
D EMERSON ELEC CO              COMMON 291011104   514  17992 SH  OTHER   001  17512   250   230
D EMULEX CORP                  COMMON 292475209     1    100 SH  DEFINED 001    100     0     0
D ENCANA CORP                  COMMON 292505104  1267  31210 SH  SOLE    001  31210     0     0
D ENCANA CORP                  COMMON 292505104    68   1672 SH  OTHER   001   1672     0     0
D ENERGY SELECT SECTOR SPDR    OTHER  81369Y506   584  13750 SH  DEFINED 001   N.A.  N.A.  N.A.
D ENERGY SELECT SECTOR SPDR    OTHER  81369Y506    68   1600 SH  OTHER   001   N.A.  N.A.  N.A.
D ENTERGY CORP                 COMMON 29364G103    34    500 SH  DEFINED 001    500     0     0
D ENTERGY CORP                 COMMON 29364G103    68   1000 SH  OTHER   001   1000     0     0
D ENTERPRISE PRODS PARTNERS L  COMMON 293792107    45   2000 SH  DEFINED 001   2000     0     0
D ENTERPRISE PRODS PARTNERS L  COMMON 293792107    38   1700 SH  OTHER   001   1700     0     0
D EPIX PHARMACEUTICALS INC     COMMON 26881Q309     0    666 SH  OTHER   001    666     0     0
D EQUIFAX INC                  COMMON 294429105    10    400 SH  DEFINED 001    400     0     0
D EXELON CORP                  COMMON 30161N101  1529  33685 SH  DEFINED 001  33685     0     0
D EXELON CORP                  COMMON 30161N101   101   2215 SH  OTHER   001   2215     0     0
D EXELON CORP                  COMMON 30161N101   209   4615 SH  DEFINED 002      0  4615     0
D EXELON CORP                  COMMON 30161N101  4610 101556 SH  SOLE    001  91955  3599  6002
D EXELON CORP                  COMMON 30161N101   541  11925 SH  OTHER   001  10152  1578   195
D EXPEDITORS INTL WASH INC     COMMON 302130109   220   7765 SH  SOLE    001      0     0  7765
D EXPEDITORS INTL WASH INC     COMMON 302130109     7    265 SH  OTHER   001      0     0   265
D EXPRESS SCRIPTS INC          COMMON 302182100    12    250 SH  DEFINED 001    150     0   100
D EXPRESS SCRIPTS INC          COMMON 302182100  2814  60956 SH  SOLE    001  58165  1826   965
D EXPRESS SCRIPTS INC          COMMON 302182100   338   7320 SH  OTHER   001   5082   389  1849
D EXXON MOBIL CORP             COMMON 30231G102  9203 135141 SH  DEFINED 001 127991     0  7150
D EXXON MOBIL CORP             COMMON 30231G102  4089  60038 SH  OTHER   001  56238     0  3800
D EXXON MOBIL CORP             COMMON 30231G102  4949  72669 SH  DEFINED 002      0 72669     0
D EXXON MOBIL CORP             COMMON 30231G102  1514  22225 SH  SOLE    002      0     0 22225
D EXXON MOBIL CORP             COMMON 30231G102 19302 283430 SH  SOLE    001 271714  9306  2410
D EXXON MOBIL CORP             COMMON 30231G102  5994  88022 SH  OTHER   001  69265 11305  7452
D FAIRPOINT COMMUNICATIONS IN  COMMON 305560104     0     17 SH  DEFINED 001     17     0     0
D FAMILY DLR STORES INC        COMMON 307000109    15    450 SH  DEFINED 001    450     0     0
D FAMILY DLR STORES INC        COMMON 307000109     8    250 SH  OTHER   001    250     0     0
D FEDERAL HOME LN MTG CORP     COMMON 313400624     7  14700 SH  DEFINED 002      0 14700     0
D FEDERAL RLTY INVT TR         COMMON 313747206    16    350 SH  OTHER   001    350     0     0
D FEDEX CORP                   COMMON 31428X106   121   2725 SH  DEFINED 001   2725     0     0
D FEDEX CORP                   COMMON 31428X106   274   6150 SH  DEFINED 002      0  6150     0
D FERRO CORP                   COMMON 315405100     2   1500 SH  DEFINED 001   1500     0     0
D FIDUCIARY / CLAYMORE MLP OP  OTHER  31647Q106    13   1000 SH  DEFINED 001   N.A.  N.A.  N.A.
D FINANCIAL SELECT SECTOR SPD  OTHER  81369Y605  1161 131772 SH  DEFINED 001   N.A.  N.A.  N.A.
D FINANCIAL SELECT SECTOR SPD  OTHER  81369Y605    52   5887 SH  OTHER   001   N.A.  N.A.  N.A.





                                                                   
D FINANCIAL SELECT SECTOR SPD  OTHER           81369Y605  204  23125 SH  DEFINED 002   N.A. N.A.  N.A.
D FIRST BANCORP INC ME         COMMON          31866P102  165  10415 SH  SOLE    001   6472 3943     0
D FIRSTENERGY CORP             COMMON          337932107  145   3750 SH  DEFINED 001   3750    0     0
D FIRSTENERGY CORP             COMMON          337932107   98   2543 SH  OTHER   001   2543    0     0
D FISERV INC                   COMMON          337738108  211   5779 SH  DEFINED 001   5779    0     0
D FLEXTRONICS INTL LTD         SPONSORED ADR   Y2573F102   14   4800 SH  DEFINED 001   4800    0     0
D FLIR SYS INC                 COMMON          302445101  123   6000 SH  OTHER   001   6000    0     0
D FLOW INTL CORP               COMMON          343468104   24  14860 SH  SOLE    001      0    0 14860
D FLUOR CORP                   COMMON          343412102   52   1500 SH  OTHER   001   1500    0     0
D FORD MTR CO CAP TR II PFD T  PREFERRED STOCK 345395206  124  15560 SH  SOLE    001      0    0 15560
D FORD MTR CO CAP TR II PFD T  PREFERRED STOCK 345395206    7    880 SH  OTHER   001      0    0   880
D FORD MTR CO DEL              COMMON          345370860    2    800 SH  OTHER   001    800    0     0
D FORTUNE BRANDS INC           COMMON          349631101  117   4770 SH  DEFINED 001   4770    0     0
D FORTUNE BRANDS INC           COMMON          349631101    6    250 SH  OTHER   001    250    0     0
D FORTUNE BRANDS INC           COMMON          349631101  570  23235 SH  SOLE    001  23235    0     0
D FORTUNE BRANDS INC           COMMON          349631101   17    709 SH  OTHER   001    709    0     0
D FPL GROUP INC                COMMON          302571104  571  11250 SH  DEFINED 001  10950    0   300
D FPL GROUP INC                COMMON          302571104  595  11730 SH  OTHER   001  11730    0     0
D FPL GROUP INC                COMMON          302571104  236   4648 SH  DEFINED 002      0 4648     0
D FPL GROUP INC                COMMON          302571104 3967  78202 SH  SOLE    001  60500 3951 13751
D FPL GROUP INC                COMMON          302571104  374   7373 SH  OTHER   001   6282  660   431
D FRANKLIN RES INC             COMMON          354613101   27    500 SH  DEFINED 001    500    0     0
D FREEPORT-MCMORAN COPPER & G  COMMON          35671D857   11    301 SH  OTHER   001    301    0     0
D FREEPORT-MCMORAN COPPER & G  COMMON          35671D857  169   4436 SH  SOLE    001   1319    0  3117
D FREEPORT-MCMORAN COPPER & G  COMMON          35671D857   58   1531 SH  OTHER   001   1102  429     0
D FRONTIER COMMUNICATIONS COR  COMMON          35906A108    2    308 SH  DEFINED 001    308    0     0
D FRONTIER OIL CORP            COMMON          35914P105 2378 185900 SH  DEFINED 001 185900    0     0
D FRONTIER OIL CORP            COMMON          35914P105  239  18725 SH  OTHER   001  18725    0     0
D FRONTIER OIL CORP            COMMON          35914P105  381  29776 SH  SOLE    001  29426  350     0
D FRONTIER OIL CORP            COMMON          35914P105    9    701 SH  OTHER   001    701    0     0
D FUEL TECH INC                COMMON          359523107   16   1500 SH  OTHER   001   1500    0     0
D GABELLI DIVID & INCOME TR    OTHER           36242H104   58   7000 SH  DEFINED 001   N.A. N.A.  N.A.
D GANNETT INC                  COMMON          364730101    5   2475 SH  DEFINED 001   2475    0     0
D GANNETT INC                  COMMON          364730101   32  14347 SH  SOLE    001  14347    0     0
D GAP INC                      COMMON          364760108   13   1000 SH  DEFINED 001   1000    0     0
D GARMIN LTD                   SPONSORED ADR   G37260109   10    450 SH  DEFINED 001    450    0     0
D GARMIN LTD                   SPONSORED ADR   G37260109   89   4200 SH  OTHER   001   4200    0     0
D GATEROCKET INC               COMMON          367359999   20  26668 SH  SOLE    001  26668    0     0
D GENERAL DYNAMICS CORP        COMMON          369550108  335   8050 SH  DEFINED 001   8050    0     0
D GENERAL DYNAMICS CORP        COMMON          369550108   94   2250 SH  OTHER   001   2250    0     0
D GENERAL DYNAMICS CORP        COMMON          369550108  581  13970 SH  SOLE    001  11238 2026   706
D GENERAL DYNAMICS CORP        COMMON          369550108   46   1112 SH  OTHER   001    832  190    90





                                                                   
D GENERAL ELECTRIC CO          COMMON        369604103 4609 455839 SH  DEFINED 001 454864      0   975
D GENERAL ELECTRIC CO          COMMON        369604103  975  96467 SH  OTHER   001  96467      0     0
D GENERAL ELECTRIC CO          COMMON        369604103 1286 127189 SH  DEFINED 002      0 127189     0
D GENERAL ELECTRIC CO          COMMON        369604103  284  28057 SH  SOLE    002    500   1300 26257
D GENERAL ELECTRIC CO          COMMON        369604103 6648 657554 SH  SOLE    001 578573  27814 51167
D GENERAL ELECTRIC CO          COMMON        369604103 1383 136811 SH  OTHER   001 107643   8036 21132
D GENERAL GROWTH PPTYS INC     COMMON        370021107    1   1200 SH  OTHER   001   1200      0     0
D GENERAL MARITIME CORP        COMMON        Y2693R101    4    536 SH  OTHER   001    536      0     0
D GENERAL MILLS INC            COMMON        370334104   12    250 SH  DEFINED 001    250      0     0
D GENERAL MILLS INC            COMMON        370334104  669  13412 SH  SOLE    001  13412      0     0
D GENERAL MILLS INC            COMMON        370334104  116   2330 SH  OTHER   001   1579    300   451
D GENERAL MTRS CORP            COMMON        370442105    0     32 SH  OTHER   001     32      0     0
D GENTEX CORP                  COMMON        371901109    3    274 SH  DEFINED 001    274      0     0
D GENTEX CORP                  COMMON        371901109   40   4000 SH  OTHER   001   4000      0     0
D GENUINE PARTS CO             COMMON        372460105 1541  51615 SH  DEFINED 001  51190      0   425
D GENUINE PARTS CO             COMMON        372460105   80   2675 SH  OTHER   001   2675      0     0
D GENUINE PARTS CO             COMMON        372460105 5278 176757 SH  SOLE    001 150704   6997 19056
D GENUINE PARTS CO             COMMON        372460105  399  13359 SH  OTHER   001  10926   1673   760
D GILEAD SCIENCES INC          COMMON        375558103    5    110 SH  OTHER   001    110      0     0
D GILEAD SCIENCES INC          COMMON        375558103  379   8175 SH  SOLE    001   1700      0  6475
D GILEAD SCIENCES INC          COMMON        375558103    9    185 SH  OTHER   001      0      0   185
D GIVAUDAN SA                  SPONSORED ADR 37636P108  112  10222 SH  SOLE    001      0      0 10222
D GIVAUDAN SA                  SPONSORED ADR 37636P108    2    159 SH  OTHER   001      0      0   159
D GLAXOSMITHKLINE PLC          SPONSORED ADR 37733W105  121   3900 SH  DEFINED 001   3900      0     0
D GLAXOSMITHKLINE PLC          SPONSORED ADR 37733W105   31   1010 SH  OTHER   001   1010      0     0
D GLAXOSMITHKLINE PLC          SPONSORED ADR 37733W105  405  13034 SH  DEFINED 002      0  13034     0
D GLAXOSMITHKLINE PLC          SPONSORED ADR 37733W105  135   4357 SH  SOLE    001   3550      0   807
D GLAXOSMITHKLINE PLC          SPONSORED ADR 37733W105   79   2549 SH  OTHER   001   1485    674   390
D GOLDCORP INC                 COMMON        380956409   34   1000 SH  OTHER   001   1000      0     0
D GOLDMAN SACHS GROUP INC      COMMON        38141G104  830   7825 SH  DEFINED 001   7825      0     0
D GOLDMAN SACHS GROUP INC      COMMON        38141G104   95    900 SH  OTHER   001    900      0     0
D GOLDMAN SACHS GROUP INC      COMMON        38141G104 1499  14141 SH  SOLE    001  13202    738   201
D GOLDMAN SACHS GROUP INC      COMMON        38141G104   90    849 SH  OTHER   001    704     95    50
D GOOGLE INC                   COMMON        38259P508  108    310 SH  DEFINED 001    310      0     0
D GOOGLE INC                   COMMON        38259P508   52    150 SH  OTHER   001    150      0     0
D GOOGLE INC                   COMMON        38259P508  330    948 SH  SOLE    001    187      0   761
D GOOGLE INC                   COMMON        38259P508    8     23 SH  OTHER   001      2      0    21
D HALLIBURTON CO               COMMON        406216101   37   2400 SH  DEFINED 001   2400      0     0
D HALLIBURTON CO               COMMON        406216101   62   4000 SH  OTHER   001   4000      0     0
D HALLIBURTON CO               COMMON        406216101  280  18075 SH  DEFINED 002      0  18075     0
D HAMPDEN BANCORP INC          COMMON        40867E107  208  21968 SH  SOLE    001  21968      0     0
D HARTFORD FINANCL SVCS GRP I  COMMON        416515104   10   1300 SH  DEFINED 001   1300      0     0





                                                           
D HARTFORD FINANCL SVCS GRP I  COMMON 416515104    4    500 SH  OTHER   001    500     0     0
D HARVEST ENERGY TR            COMMON 41752X101   11   3000 SH  DEFINED 001   3000     0     0
D HCP INC                      COMMON 40414L109  242  13574 SH  SOLE    001      0     0 13574
D HCP INC                      COMMON 40414L109   10    570 SH  OTHER   001      0     0   570
D HEALTH CARE REIT INC         COMMON 42217K106  377  12313 SH  SOLE    001      0     0 12313
D HEALTH CARE REIT INC         COMMON 42217K106   16    530 SH  OTHER   001      0     0   530
D HEINZ (H.J.) CO              COMMON 423074103   40   1200 SH  DEFINED 001   1200     0     0
D HEINZ (H.J.) CO              COMMON 423074103   99   3000 SH  OTHER   001   3000     0     0
D HEINZ (H.J.) CO              COMMON 423074103  739  22343 SH  SOLE    001   4159     0 18184
D HEINZ (H.J.) CO              COMMON 423074103   24    720 SH  OTHER   001      0     0   720
D HELIOS MULTI SEC HI INC      COMMON 42327Y103    4   5000 SH  DEFINED 001   5000     0     0
D HENRY JACK & ASSOC INC       COMMON 426281101 1468  89933 SH  SOLE    001  86010  2966   957
D HENRY JACK & ASSOC INC       COMMON 426281101  145   8874 SH  OTHER   001   8004   870     0
D HEWLETT PACKARD CO           COMMON 428236103 2756  85976 SH  DEFINED 001  85576     0   400
D HEWLETT PACKARD CO           COMMON 428236103  552  17210 SH  OTHER   001  17210     0     0
D HEWLETT PACKARD CO           COMMON 428236103  630  19644 SH  DEFINED 002      0 19644     0
D HEWLETT PACKARD CO           COMMON 428236103 6179 192730 SH  SOLE    001 175129  6253 11348
D HEWLETT PACKARD CO           COMMON 428236103  855  26657 SH  OTHER   001  13126  9326  4205
D HOME DEPOT INC               COMMON 437076102 3615 153425 SH  DEFINED 001 152875     0   550
D HOME DEPOT INC               COMMON 437076102  531  22520 SH  OTHER   001  22520     0     0
D HOME DEPOT INC               COMMON 437076102  557  23643 SH  DEFINED 002      0 23643     0
D HOME DEPOT INC               COMMON 437076102 3037 128913 SH  SOLE    001 124302  1619  2992
D HOME DEPOT INC               COMMON 437076102  423  17970 SH  OTHER   001  17180   790     0
D HONEYWELL INTL INC           COMMON 438516106 1830  65678 SH  DEFINED 001  65678     0     0
D HONEYWELL INTL INC           COMMON 438516106  193   6911 SH  OTHER   001   6911     0     0
D HONEYWELL INTL INC           COMMON 438516106  446  16005 SH  DEFINED 002      0 16005     0
D HONEYWELL INTL INC           COMMON 438516106 1731  62129 SH  SOLE    001  59456   993  1680
D HONEYWELL INTL INC           COMMON 438516106  238   8542 SH  OTHER   001   8047   495     0
D HOSPIRA INC                  COMMON 441060100    2     50 SH  DEFINED 001     50     0     0
D HOST HOTELS & RESORTS INC    COMMON 44107P104    0     91 SH  DEFINED 001     91     0     0
D HUBBELL INC CLASS A          COMMON 443510102   99   3879 SH  OTHER   001   3879     0     0
D HUBBELL INC CLASS B          COMMON 443510201  172   6395 SH  DEFINED 001   6395     0     0
D HUBBELL INC CLASS B          COMMON 443510201   94   3500 SH  OTHER   001   3500     0     0
D HUGOTON RTY TR               COMMON 444717102    0      3 SH  DEFINED 001      3     0     0
D IDACORP INC                  COMMON 451107106   12    500 SH  OTHER   001    500     0     0
D IDEXX LABS INC               COMMON 45168D104 1062  30725 SH  SOLE    001  24209  4788  1728
D IDEXX LABS INC               COMMON 45168D104  107   3105 SH  OTHER   001   2454   651     0
D ILLINOIS TOOL WKS INC        COMMON 452308109    5    152 SH  DEFINED 001    152     0     0
D ILLINOIS TOOL WKS INC        COMMON 452308109   60   1948 SH  OTHER   001   1948     0     0
D IMAGING DIAGNOSTIC SYS INC   COMMON 45244W100    0  40000 SH  SOLE    001  40000     0     0
D IMS HEALTH INC               COMMON 449934108    2    150 SH  DEFINED 001    150     0     0
D IMS HEALTH INC               COMMON 449934108    3    273 SH  OTHER   001    273     0     0





                                                           
D INGERSOLL-RAND CO            COMMON G4776G101    4    300 SH  DEFINED 001    300     0     0
D INTEGRYS ENERGY GROUP INC    COMMON 45822P105   20    769 SH  DEFINED 001    769     0     0
D INTEGRYS ENERGY GROUP INC    COMMON 45822P105   18    677 SH  OTHER   001    677     0     0
D INTEL CORP                   COMMON 458140100 4945 329021 SH  DEFINED 001 328171     0   850
D INTEL CORP                   COMMON 458140100  823  54749 SH  OTHER   001  54749     0     0
D INTEL CORP                   COMMON 458140100  329  21923 SH  DEFINED 002      0 21923     0
D INTEL CORP                   COMMON 458140100 6201 412602 SH  SOLE    001 394498 12821  5283
D INTEL CORP                   COMMON 458140100  973  64710 SH  OTHER   001  51945  3215  9550
D INTERNATIONAL GAME TECHNOLO  COMMON 459902102    1    110 SH  OTHER   001    110     0     0
D INTERNATIONAL PAPER CO       COMMON 460146103   13   1850 SH  DEFINED 001   1850     0     0
D INTL BUSINESS MACHS          COMMON 459200101 6322  65252 SH  DEFINED 001  65252     0     0
D INTL BUSINESS MACHS          COMMON 459200101 1888  19485 SH  OTHER   001  18185     0  1300
D INTL BUSINESS MACHS          COMMON 459200101 1339  13822 SH  DEFINED 002      0 13822     0
D INTL BUSINESS MACHS          COMMON 459200101 1563  16136 SH  SOLE    002      0     0 16136
D INTL BUSINESS MACHS          COMMON 459200101 4985  51452 SH  SOLE    001  46232   748  4472
D INTL BUSINESS MACHS          COMMON 459200101 1046  10797 SH  OTHER   001   8575  1540   682
D IOWA TELECOMMUNICATIONS      COMMON 462594201   38   3350 SH  OTHER   001   3350     0     0
D ISHARES COMEX GOLD TR        OTHER  464285105  591   6535 SH  SOLE    001   N.A.  N.A.  N.A.
D ISHARES COMEX GOLD TR        OTHER  464285105   93   1024 SH  OTHER   001   N.A.  N.A.  N.A.
D ISHARES DJ SELECT DIVIDEND   OTHER  464287168 3542 113125 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES DJ SELECT DIVIDEND   OTHER  464287168  256   8190 SH  OTHER   001   N.A.  N.A.  N.A.
D ISHARES DJ US BASIC MATERIA  OTHER  464287838  553  15770 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES DJ US BASIC MATERIA  OTHER  464287838   36   1020 SH  OTHER   001   N.A.  N.A.  N.A.
D ISHARES DJ US HEALTHCARE SE  OTHER  464287762  195   3950 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES DJ US REG BKS IDX F  OTHER  464288778    7    425 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES IBOXX H/Y CORP BOND  OTHER  464288513  225   3319 SH  DEFINED 002   N.A.  N.A.  N.A.
D ISHARES IBOXX INV GR CORP B  OTHER  464287242   26    275 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES IBOXX INV GR CORP B  OTHER  464287242  227   2414 SH  DEFINED 002   N.A.  N.A.  N.A.
D ISHARES INCMSCI CANADA       OTHER  464286509   38   2300 SH  OTHER   001   N.A.  N.A.  N.A.
D ISHARES LEHMAN 1-3 YR TRS B  OTHER  464287457 4281  50775 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES LEHMAN 1-3 YR TRS B  OTHER  464287457  264   3125 SH  OTHER   001   N.A.  N.A.  N.A.
D ISHARES LEHMAN 1-3 YR TRS B  OTHER  464287457  596   7069 SH  DEFINED 002   N.A.  N.A.  N.A.
D ISHARES LEHMAN TRES INF PR   OTHER  464287176   82    800 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES MSCI JAPAN INDEX FU  OTHER  464286848   32   4000 SH  OTHER   001   N.A.  N.A.  N.A.
D ISHARES NASDAQ BIOTECH INDE  OTHER  464287556   40    600 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES NASDAQ BIOTECH INDE  OTHER  464287556  331   4990 SH  DEFINED 002   N.A.  N.A.  N.A.
D ISHARES RUSSELL 1000 GROWTH  OTHER  464287614  515  14690 SH  DEFINED 002   N.A.  N.A.  N.A.
D ISHARES RUSSELL 1000 INDEX   OTHER  464287622  413   9554 SH  DEFINED 002   N.A.  N.A.  N.A.
D ISHARES RUSSELL 2000 GROWTH  OTHER  464287648 5972 129887 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES RUSSELL 2000 GROWTH  OTHER  464287648  691  15025 SH  OTHER   001   N.A.  N.A.  N.A.
D ISHARES RUSSELL 2000 INDEX   OTHER  464287655 1116  26550 SH  DEFINED 001   N.A.  N.A.  N.A.
D ISHARES RUSSELL 2000 INDEX   OTHER  464287655  595  14140 SH  DEFINED 002   N.A.  N.A.  N.A.





                                                            
D ISHARES RUSSELL 2000 VALUE   OTHER  464287630  4207 106623 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES RUSSELL 2000 VALUE   OTHER  464287630   495  12544 SH  OTHER   001  N.A.  N.A.  N.A.
D ISHARES RUSSELL MIDCAP INDE  OTHER  464287499  1053  19494 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES S & P GLOBAL ENERGY  OTHER  464287341     6    225 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES S & P GLOBAL ENERGY  OTHER  464287341   334  12618 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES S & P GLOBAL HEALTH  OTHER  464287325   439  11015 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES S & P GLOBAL HEALTH  OTHER  464287325     9    225 SH  OTHER   001  N.A.  N.A.  N.A.
D ISHARES S & P GLOBAL HEALTH  OTHER  464287325   599  15036 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES S&P 500 BARRA VALUE  OTHER  464287408  1155  31060 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES S&P 500 GROWTH INDE  OTHER  464287309  1506  35985 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES S&P 500 INDEX        OTHER  464287200  1110  13945 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES S&P GLBL FINL SECTO  OTHER  464287333    24    900 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES S&P GSSI NATRL RES   OTHER  464287374   359  15210 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES S&P GSSI NATRL RES   OTHER  464287374   104   4400 SH  OTHER   001  N.A.  N.A.  N.A.
D ISHARES SILVER TR            OTHER  46428Q109   703  55000 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES TR                   OTHER  464287689   224   4885 SH  OTHER   001  N.A.  N.A.  N.A.
D ISHARES TR FTSE/XINHAU CHIN  OTHER  464287184    26    900 SH  OTHER   001  N.A.  N.A.  N.A.
D ISHARES TR FTSE/XINHAU CHIN  OTHER  464287184   723  25350 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES TR LEHMAN AGG BOND   OTHER  464287226  1232  12140 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES TR LEHMAN AGG BOND   OTHER  464287226    10    100 SH  OTHER   001  N.A.  N.A.  N.A.
D ISHARES TR MSCI EAFE INDEX   OTHER  464287465  3471  92336 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES TR MSCI EAFE INDEX   OTHER  464287465    34    900 SH  OTHER   001  N.A.  N.A.  N.A.
D ISHARES TR MSCI EAFE INDEX   OTHER  464287465   573  15241 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES TR MSCI EMERGING MK  OTHER  464287234    15    600 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES TR MSCI EMERGING MK  OTHER  464287234   436  17588 SH  DEFINED 002  N.A.  N.A.  N.A.
D ISHARES TR S&P MIDCAP 400 G  OTHER  464287606    58   1100 SH  DEFINED 001  N.A.  N.A.  N.A.
D ISHARES TR S&P MIDCAP 400 I  OTHER  464287507    39    800 SH  DEFINED 001  N.A.  N.A.  N.A.
D ITT CORP                     COMMON 450911102   513  13340 SH  DEFINED 001  13140     0   200
D ITT CORP                     COMMON 450911102   163   4250 SH  OTHER   001   4250     0     0
D ITT CORP                     COMMON 450911102   586  15230 SH  SOLE    001  15230     0     0
D ITT CORP                     COMMON 450911102    25    660 SH  OTHER   001    660     0     0
D JACOBS ENGR GROUP INC        COMMON 469814107  1347  34850 SH  DEFINED 001  34850     0     0
D JACOBS ENGR GROUP INC        COMMON 469814107   255   6600 SH  OTHER   001   6600     0     0
D JACOBS ENGR GROUP INC        COMMON 469814107   303   7836 SH  DEFINED 002      0  7836     0
D JACOBS ENGR GROUP INC        COMMON 469814107   252   6525 SH  SOLE    002      0     0  6525
D JDS UNIPHASE CORP            COMMON 46612J507     0     10 SH  OTHER   001     10     0     0
D JOHNSON & JOHNSON            COMMON 478160104  5952 113155 SH  DEFINED 001 112601     0   554
D JOHNSON & JOHNSON            COMMON 478160104  1735  32987 SH  OTHER   001  32987     0     0
D JOHNSON & JOHNSON            COMMON 478160104  3223  61277 SH  DEFINED 002      0 61277     0
D JOHNSON & JOHNSON            COMMON 478160104  1586  30150 SH  SOLE    002      0     0 30150
D JOHNSON & JOHNSON            COMMON 478160104 14677 279036 SH  SOLE    001 257631  8506 12899
D JOHNSON & JOHNSON            COMMON 478160104  2825  53703 SH  OTHER   001  40243  4161  9299





                                                                  
D JOHNSON CONTROLS INC         COMMON        478366107   65   5400 SH  DEFINED 001   5400     0     0
D JOHNSON CONTROLS INC         COMMON        478366107   40   3300 SH  OTHER   001   3300     0     0
D JOY GLOBAL INC               COMMON        481165108    5    250 SH  OTHER   001    250     0     0
D JP MORGAN CHASE & CO         COMMON        46625H100 2391  89955 SH  DEFINED 001  89205     0   750
D JP MORGAN CHASE & CO         COMMON        46625H100  973  36607 SH  OTHER   001  36607     0     0
D JP MORGAN CHASE & CO         COMMON        46625H100 1150  43271 SH  DEFINED 002      0 43271     0
D JP MORGAN CHASE & CO         COMMON        46625H100 5344 201061 SH  SOLE    001 179747  6450 14864
D JP MORGAN CHASE & CO         COMMON        46625H100  665  25002 SH  OTHER   001  21615  1779  1608
D KELLOGG CO                   COMMON        487836108   42   1150 SH  OTHER   001   1150     0     0
D KELLOGG CO                   COMMON        487836108  540  14744 SH  SOLE    001  12748  1507   489
D KELLOGG CO                   COMMON        487836108  144   3933 SH  OTHER   001   3679   154   100
D KEPPEL LTD                   SPONSORED ADR 492051305   89  13510 SH  SOLE    001      0     0 13510
D KEPPEL LTD                   SPONSORED ADR 492051305    4    630 SH  OTHER   001      0     0   630
D KEYCORP                      COMMON        493267108    1    111 SH  DEFINED 001    111     0     0
D KEYCORP                      COMMON        493267108   60   7613 SH  OTHER   001   7613     0     0
D KEYCORP                      COMMON        493267108  107  13537 SH  SOLE    001  10678     0  2859
D KEYCORP                      COMMON        493267108   87  11105 SH  OTHER   001   1970  9024   111
D KIMBERLY CLARK CORP          COMMON        494368103 2015  43700 SH  DEFINED 001  43700     0     0
D KIMBERLY CLARK CORP          COMMON        494368103  568  12323 SH  OTHER   001  12323     0     0
D KIMBERLY CLARK CORP          COMMON        494368103  298   6470 SH  DEFINED 002      0  6470     0
D KIMBERLY CLARK CORP          COMMON        494368103  833  18072 SH  SOLE    001   5906     0 12166
D KIMBERLY CLARK CORP          COMMON        494368103   84   1819 SH  OTHER   001    819     0  1000
D KIMCO REALTY CORP            COMMON        49446R109    8   1100 SH  DEFINED 001   1100     0     0
D KIMCO REALTY CORP            COMMON        49446R109   17   2250 SH  OTHER   001   2250     0     0
D KIMCO REALTY CORP            COMMON        49446R109  229  30000 SH  SOLE    001  30000     0     0
D KIMCO REALTY CORP            COMMON        49446R109    3    400 SH  OTHER   001    400     0     0
D KINDER MORGAN ENERGY PARTNE  COMMON        494550106  131   2810 SH  DEFINED 001   2810     0     0
D KINDER MORGAN ENERGY PARTNE  COMMON        494550106  126   2700 SH  OTHER   001   2700     0     0
D KINDER MORGAN ENERGY PARTNE  COMMON        494550106 1174  25131 SH  DEFINED 002      0 25131     0
D KINDER MORGAN MGMT LLC       COMMON        49455U100  123   3024 SH  OTHER   001   3024     0     0
D KINDER MORGAN MGMT LLC FRAC  COMMON        EKE55U103    0  65100 SH  SOLE    001  65100     0     0
D KINROSS GOLD CORP            COMMON        496902404  266  14900 SH  SOLE    001  11900     0  3000
D KLA INSTRS CORP              COMMON        482480100   22   1100 SH  OTHER   001   1100     0     0
D KOHLS CORP                   COMMON        500255104  121   2850 SH  DEFINED 001   2850     0     0
D KORN FERRY INTL              COMMON        500643200    4    490 SH  DEFINED 001    490     0     0
D KOWABUNGA INC                COMMON        500747100    2  10000 SH  OTHER   001  10000     0     0
D KRAFT FOODS INC              COMMON        50075N104  500  22418 SH  DEFINED 001  19858     0  2560
D KRAFT FOODS INC              COMMON        50075N104  186   8348 SH  OTHER   001   8348     0     0
D KRAFT FOODS INC              COMMON        50075N104  951  42685 SH  SOLE    001   8628     0 34057
D KRAFT FOODS INC              COMMON        50075N104   79   3528 SH  OTHER   001   1354     0  2174
D KROGER CO                    COMMON        501044101  269  12668 SH  SOLE    001      0     0 12668
D KROGER CO                    COMMON        501044101    8    365 SH  OTHER   001      0     0   365





                                                                   
D L-3 COMMUNICATIONS HLDGS IN  COMMON          502424104  102   1500 SH  OTHER   001  1500     0      0
D L-3 COMMUNICATIONS HLDGS IN  COMMON          502424104 2778  40969 SH  SOLE    001 38994  1105    870
D L-3 COMMUNICATIONS HLDGS IN  COMMON          502424104  319   4711 SH  OTHER   001  4272   425     14
D LABORATORY CORP AMER HLDGS   COMMON          50540R409 4740  81042 SH  SOLE    001 76306  3235   1501
D LABORATORY CORP AMER HLDGS   COMMON          50540R409  399   6830 SH  OTHER   001  5990   695    145
D LATTICE SEMICONDUCTOR CORP   COMMON          518415104   22  15920 SH  SOLE    001     0     0  15920
D LEGACY RESERVES LP           COMMON          524707304   94  10300 SH  SOLE    001 10300     0      0
D LEGACY RESERVES LP           COMMON          524707304    4    400 SH  OTHER   001   400     0      0
D LEGGETT & PLATT INC          COMMON          524660107   47   3650 SH  DEFINED 001  3650     0      0
D LIFE TECHNOLOGIES CORP       COMMON          53217V109   36   1106 SH  DEFINED 001  1106     0      0
D LIFE TECHNOLOGIES CORP       COMMON          53217V109    5    154 SH  OTHER   001   154     0      0
D LIFE TECHNOLOGIES CORP       COMMON          53217V109   32    975 SH  SOLE    001     0     0    975
D LIFE TECHNOLOGIES CORP       COMMON          53217V109  209   6435 SH  OTHER   001  6400     0     35
D LILLY ELI & CO               COMMON          532457108  111   3309 SH  DEFINED 001  3309     0      0
D LILLY ELI & CO               COMMON          532457108  192   5739 SH  OTHER   001  5739     0      0
D LILLY ELI & CO               COMMON          532457108  779  23316 SH  DEFINED 002     0 23316      0
D LILLY ELI & CO               COMMON          532457108  950  28427 SH  SOLE    001 11073     0  17354
D LILLY ELI & CO               COMMON          532457108   85   2530 SH  OTHER   001  1820     0    710
D LIMITED BRANDS INC           COMMON          532716107    7    800 SH  OTHER   001   800     0      0
D LINCOLN NATL CORP IND        COMMON          534187109   19   2800 SH  DEFINED 001  2800     0      0
D LINEAR TECHNOLOGY CORP       COMMON          535678106   23   1000 SH  OTHER   001  1000     0      0
D LINN ENERGY LLC              COMMON          536020100   79   5320 SH  OTHER   001  5320     0      0
D LMOM HOLDINGS, LLC SUBSCRIP  COMMON          LP0001380  500      1 SH  SOLE    001     1     0      0
D LOCKHEED MARTIN CORP         COMMON          539830109 3860  55916 SH  SOLE    001 51274  2116   2526
D LOCKHEED MARTIN CORP         COMMON          539830109  365   5289 SH  OTHER   001  4118   422    749
D LOEWS CORP                   COMMON          540424108   18    826 SH  DEFINED 001   826     0      0
D LORILLARD INC                COMMON          544147101   25    400 SH  DEFINED 001   400     0      0
D LOWES COMPANIES              COMMON          548661107  726  39792 SH  DEFINED 001 39792     0      0
D LOWES COMPANIES              COMMON          548661107  106   5825 SH  OTHER   001  5825     0      0
D LOWES COMPANIES              COMMON          548661107  598  32750 SH  DEFINED 002     0 32750      0
D LOWES COMPANIES              COMMON          548661107  339  18597 SH  SOLE    001  7582     0  11015
D LOWES COMPANIES              COMMON          548661107   55   2995 SH  OTHER   001  2680     0    315
D LSI CORP                     COMMON          502161102    0     31 SH  OTHER   001    31     0      0
D M & F WORLDWIDE CORP         COMMON          552541104    1     76 SH  DEFINED 001    76     0      0
D MACDERMID HOLDINGS LLC       COMMON          99Z161772  248 247851 SH  SOLE    002     0     0 247851
D MACDERMID HOLDINGS LLC PFD   PREFERRED STOCK 99Z161780 1684   1684 SH  SOLE    002     0     0   1684
D MACK CALI RLTY CORP          COMMON          554489104    2    100 SH  OTHER   001   100     0      0
D MACQUARIE INFRASTRUCTURE     COMMON          55608B105    2   1580 SH  OTHER   001  1580     0      0
D MACYS INC                    COMMON          55616P104    9   1026 SH  DEFINED 001  1026     0      0
D MAGELLAN MIDSTREAM PARTNERS  COMMON          559080106   59   2000 SH  OTHER   001  2000     0      0
D MANAGED HIGH YIELD PLUS FD   COMMON          561911108   21  20000 SH  DEFINED 001 20000     0      0
D MANULIFE FINL CORP           COMMON          56501R106    1    132 SH  DEFINED 001   132     0      0





                                                           
D MANULIFE FINL CORP           COMMON 56501R106    7    600 SH  OTHER   001    600     0     0
D MANULIFE FINL CORP           COMMON 56501R106  136  12147 SH  SOLE    001   4546   464  7137
D MANULIFE FINL CORP           COMMON 56501R106    4    328 SH  OTHER   001      0     0   328
D MARATHON OIL CORP            COMMON 565849106   26   1000 SH  DEFINED 001   1000     0     0
D MARATHON OIL CORP            COMMON 565849106   33   1250 SH  OTHER   001   1250     0     0
D MARATHON OIL CORP            COMMON 565849106  787  29925 SH  DEFINED 002      0 29925     0
D MARATHON OIL CORP            COMMON 565849106 1491  56721 SH  SOLE    001  51341  4240  1140
D MARATHON OIL CORP            COMMON 565849106  142   5393 SH  OTHER   001   4909   484     0
D MARKET VECTORS ETF TR        COMMON 57060U605  230   8130 SH  DEFINED 002      0  8130     0
D MARLIN CO.                   COMMON 571172295  207  28134 SH  SOLE    001  28134     0     0
D MASCO CORP                   COMMON 574599106   39   5525 SH  DEFINED 001   5525     0     0
D MATERIALS SELECT SECTOR SPD  OTHER  81369Y100  212   9555 SH  DEFINED 001   N.A.  N.A.  N.A.
D MATERIALS SELECT SECTOR SPD  OTHER  81369Y100  148   6675 SH  OTHER   001   N.A.  N.A.  N.A.
D MATTEL INC                   COMMON 577081102  127  11000 SH  SOLE    001  11000     0     0
D MCCORMICK & CO INC COM NON   COMMON 579780206 1845  62410 SH  DEFINED 001  62410     0     0
D MCCORMICK & CO INC COM NON   COMMON 579780206  282   9521 SH  OTHER   001   9521     0     0
D MCCORMICK & CO INC COM NON   COMMON 579780206  191   6449 SH  SOLE    001   5560     0   889
D MCCORMICK & CO INC COM NON   COMMON 579780206   18    592 SH  OTHER   001    250   342     0
D MCDONALDS CORP               COMMON 580135101 1380  25290 SH  DEFINED 001  25065     0   225
D MCDONALDS CORP               COMMON 580135101  482   8830 SH  OTHER   001   8830     0     0
D MCDONALDS CORP               COMMON 580135101 1787  32750 SH  DEFINED 002      0 32750     0
D MCDONALDS CORP               COMMON 580135101 7889 144563 SH  SOLE    001 128108  5268 11187
D MCDONALDS CORP               COMMON 580135101  802  14701 SH  OTHER   001  11348   930  2423
D MEADWESTVACO CORP            COMMON 583334107   18   1500 SH  DEFINED 001   1500     0     0
D MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   79   1916 SH  DEFINED 001   1916     0     0
D MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102   10    240 SH  OTHER   001    240     0     0
D MEDCO HEALTH SOLUTIONS INC   COMMON 58405U102  875  21168 SH  DEFINED 002      0 21168     0
D MEDTRONIC INC                COMMON 585055106 2102  71335 SH  DEFINED 001  71335     0     0
D MEDTRONIC INC                COMMON 585055106  283   9600 SH  OTHER   001   9600     0     0
D MEDTRONIC INC                COMMON 585055106  535  18150 SH  DEFINED 002      0 18150     0
D MEDTRONIC INC                COMMON 585055106  307  10405 SH  SOLE    002      0     0 10405
D MEDTRONIC INC                COMMON 585055106  288   9758 SH  SOLE    001   9758     0     0
D MEDTRONIC INC                COMMON 585055106   57   1930 SH  OTHER   001   1930     0     0
D MERCHANTS BANCSHARES         COMMON 588448100  239  12904 SH  SOLE    001  12904     0     0
D MERCK & CO INC               COMMON 589331107  393  14700 SH  DEFINED 001  14700     0     0
D MERCK & CO INC               COMMON 589331107  204   7625 SH  OTHER   001   7625     0     0
D MERCK & CO INC               COMMON 589331107  381  14247 SH  SOLE    001  12967   966   314
D MERCK & CO INC               COMMON 589331107  497  18592 SH  OTHER   001  17292   800   500
D METLIFE INC                  COMMON 59156R108 1923  84475 SH  DEFINED 001  84475     0     0
D METLIFE INC                  COMMON 59156R108  187   8220 SH  OTHER   001   8220     0     0
D METLIFE INC                  COMMON 59156R108 2309 101403 SH  SOLE    001  95313  4382  1708
D METLIFE INC                  COMMON 59156R108  119   5228 SH  OTHER   001   4814   414     0





                                                                  
D METLIFE INC 5.875            COMMON        59156R405  267  12900 SH  DEFINED 002      0 12900     0
D MICRO IMAGING TECH INC       COMMON        59484E100    0  24111 SH  OTHER   001  24111     0     0
D MICROCHIP TECHNOLOGY INC     COMMON        595017104    3    121 SH  DEFINED 001    121     0     0
D MICROCHIP TECHNOLOGY INC     COMMON        595017104   51   2409 SH  OTHER   001   2409     0     0
D MICROSOFT CORP               COMMON        594918104 5141 279839 SH  DEFINED 001 278639     0  1200
D MICROSOFT CORP               COMMON        594918104  757  41191 SH  OTHER   001  41191     0     0
D MICROSOFT CORP               COMMON        594918104 1719  93592 SH  DEFINED 002      0 93592     0
D MICROSOFT CORP               COMMON        594918104  400  21749 SH  SOLE    002    400     0 21349
D MICROSOFT CORP               COMMON        594918104 6808 370618 SH  SOLE    001 338106 10398 22114
D MICROSOFT CORP               COMMON        594918104  789  42967 SH  OTHER   001  38259  3917   791
D MIDCAP SPDR TR               OTHER         595635103  111   1250 SH  DEFINED 001   N.A.  N.A.  N.A.
D MIDCAP SPDR TR               OTHER         595635103   44    500 SH  OTHER   001   N.A.  N.A.  N.A.
D MIDDLESEX WTR CO             COMMON        596680108    7    500 SH  OTHER   001    500     0     0
D MOHAWK INDS INC              COMMON        608190104    1     50 SH  OTHER   001     50     0     0
D MONSANTO CO                  COMMON        61166W101  124   1498 SH  DEFINED 001   1423     0    75
D MONSANTO CO                  COMMON        61166W101  685   8241 SH  OTHER   001   8241     0     0
D MONSANTO CO                  COMMON        61166W101  256   3080 SH  DEFINED 002      0  3080     0
D MONSANTO CO                  COMMON        61166W101  307   3694 SH  SOLE    002      0     0  3694
D MONSANTO CO                  COMMON        61166W101 3129  37650 SH  SOLE    001  30721   849  6080
D MONSANTO CO                  COMMON        61166W101  344   4141 SH  OTHER   001   3109   194   838
D MONSTER WORLDWIDE INC        COMMON        611742107   98  12058 SH  SOLE    001      0     0 12058
D MONSTER WORLDWIDE INC        COMMON        611742107    2    235 SH  OTHER   001      0     0   235
D MORGAN STANLEY               COMMON        617446448   28   1244 SH  DEFINED 001   1244     0     0
D MORGAN STANLEY               COMMON        617446448   18    800 SH  OTHER   001    800     0     0
D MORGAN STANLEY               COMMON        617446448  932  40949 SH  SOLE    001  22920     0 18029
D MORGAN STANLEY               COMMON        617446448   23   1016 SH  OTHER   001    448     0   568
D MOTOROLA INC                 COMMON        620076109    2    400 SH  DEFINED 001    400     0     0
D MOTOROLA INC                 COMMON        620076109    9   2200 SH  OTHER   001   2200     0     0
D MYLAN LABS INC               COMMON        628530107   13   1000 SH  OTHER   001   1000     0     0
D NASDAQ OMX GROUP INC         COMMON        631103108   29   1500 SH  SOLE    002   1500     0     0
D NASDAQ OMX GROUP INC         COMMON        631103108 1706  87125 SH  SOLE    001  83543  1731  1851
D NASDAQ OMX GROUP INC         COMMON        631103108  163   8310 SH  OTHER   001   7330   659   321
D NATIONAL FUEL GAS CO N J     COMMON        636180101   52   1680 SH  DEFINED 001   1680     0     0
D NATIONAL FUEL GAS CO N J     COMMON        636180101    6    200 SH  OTHER   001    200     0     0
D NATIONAL OILWELL VARCO INC   COMMON        637071101    9    328 SH  OTHER   001    328     0     0
D NATIONAL OILWELL VARCO INC   COMMON        637071101  238   8300 SH  DEFINED 002      0  8300     0
D NATIONAL SEMICONDUCTOR CORP  COMMON        637640103   10   1000 SH  OTHER   001   1000     0     0
D NATL WESTMINSTER BK 7.760%   SPONSORED ADR 638539882   18   2600 SH  DEFINED 001   N.A.  N.A.  N.A.
D NAUGATUCK VY FINL CORP       COMMON        639067107  114  19130 SH  SOLE    002      0     0 19130
D NCR CORP                     COMMON        62886E108    0     46 SH  DEFINED 001     46     0     0
D NESTLE S A                   SPONSORED ADR 641069406 1480  43720 SH  SOLE    001  37884     0  5836
D NESTLE S A                   SPONSORED ADR 641069406   48   1429 SH  OTHER   001   1173     0   256





                                                                 
D NETAPP INC                   COMMON        64110D104    1     50 SH  DEFINED 001    50     0     0
D NEWALLIANCE BANCSHARES       COMMON        650203102   16   1330 SH  DEFINED 001  1330     0     0
D NEWALLIANCE BANCSHARES       COMMON        650203102   59   5000 SH  OTHER   001  5000     0     0
D NEWALLIANCE BANCSHARES       COMMON        650203102  581  49500 SH  DEFINED 002     0 49500     0
D NEWELL RUBBERMAID INC        COMMON        651229106    1    200 SH  OTHER   001   200     0     0
D NEWMONT MINING CORP          COMMON        651639106  317   7085 SH  SOLE    001  5085     0  2000
D NEWMONT MINING CORP          COMMON        651639106    5    113 SH  OTHER   001   113     0     0
D NICOR INC                    COMMON        654086107    5    150 SH  OTHER   001   150     0     0
D NIKE INC                     COMMON        654106103  229   4875 SH  SOLE    001     0     0  4875
D NIKE INC                     COMMON        654106103   38    815 SH  OTHER   001   675     0   140
D NOKIA CORP                   SPONSORED ADR 654902204   62   5350 SH  DEFINED 001  5350     0     0
D NOKIA CORP                   SPONSORED ADR 654902204    1    100 SH  OTHER   001   100     0     0
D NOKIA CORP                   SPONSORED ADR 654902204  451  38614 SH  DEFINED 002     0 38614     0
D NOKIA CORP                   SPONSORED ADR 654902204 1550 132841 SH  SOLE    001 99634  1939 31268
D NOKIA CORP                   SPONSORED ADR 654902204   52   4451 SH  OTHER   001  2591   500  1360
D NORDSTROM INC                COMMON        655664100   19   1125 SH  DEFINED 001  1125     0     0
D NORFOLK SOUTHERN CORP        COMMON        655844108  275   8160 SH  DEFINED 001  8160     0     0
D NORFOLK SOUTHERN CORP        COMMON        655844108    7    200 SH  OTHER   001   200     0     0
D NORFOLK SOUTHERN CORP        COMMON        655844108  627  18569 SH  SOLE    002     0     0 18569
D NORFOLK SOUTHERN CORP        COMMON        655844108   88   2600 SH  SOLE    001  2600     0     0
D NORFOLK SOUTHERN CORP        COMMON        655844108  171   5075 SH  OTHER   001  4575     0   500
D NORTHEAST UTILS              COMMON        664397106   28   1303 SH  DEFINED 001  1303     0     0
D NORTHEAST UTILS              COMMON        664397106    1     57 SH  OTHER   001    57     0     0
D NORTHERN TR CORP             COMMON        665859104  252   4216 SH  SOLE    001     0     0  4216
D NORTHERN TR CORP             COMMON        665859104    8    135 SH  OTHER   001     0     0   135
D NORTHROP GRUMMAN CORP        COMMON        666807102    9    200 SH  OTHER   001   200     0     0
D NORWOOD RES LTD              SPONSORED ADR 669958100    2  31470 SH  SOLE    001 31470     0     0
D NOVARTIS AG                  SPONSORED ADR 66987V109  745  19688 SH  DEFINED 001 19688     0     0
D NOVARTIS AG                  SPONSORED ADR 66987V109  121   3210 SH  OTHER   001  3210     0     0
D NOVARTIS AG                  SPONSORED ADR 66987V109  257   6800 SH  SOLE    002     0     0  6800
D NOVARTIS AG                  SPONSORED ADR 66987V109  232   6128 SH  SOLE    001  2885     0  3243
D NOVARTIS AG                  SPONSORED ADR 66987V109   11    284 SH  OTHER   001   145     0   139
D NSTAR                        COMMON        67019E107   24    750 SH  DEFINED 001   750     0     0
D NUCOR CORP                   COMMON        670346105  155   4050 SH  OTHER   001  4050     0     0
D NUCOR CORP                   COMMON        670346105  235   6155 SH  SOLE    001     0     0  6155
D NUCOR CORP                   COMMON        670346105   10    255 SH  OTHER   001     5     0   250
D NUSTAR ENERGY LP             COMMON        67058H102   23    500 SH  OTHER   001   500     0     0
D NUVEEN CONN DIVID ADVANTAGE  OTHER         67069T103   76   6000 SH  DEFINED 001 N.A.  N.A.  N.A.
D NUVEEN CONN DIVID ADVANTAGE  OTHER         67069T103   50   4000 SH  OTHER   001 N.A.  N.A.  N.A.
D NUVEEN CONN DVD ADVANTAGE M  OTHER         67071Y108    7    666 SH  DEFINED 001 N.A.  N.A.  N.A.
D NUVEEN CONN PREM INCOME MUN  OTHER         67060D107   74   6500 SH  DEFINED 001 N.A.  N.A.  N.A.
D NUVEEN EQUITY PREM & GROWTH  OTHER         6706EW100   53   5500 SH  DEFINED 001 N.A.  N.A.  N.A.





                                                                              
D NUVEEN FLAG CONN MUNI BOND          COMMON          67065N886   112   11514 SH  DEFINED 002       0 11514      0
D NUVEEN GLOBAL VALUE OPPORTU         OTHER           6706EH103    53    5000 SH  DEFINED 001  N.A.   N.A.   N.A.
D NUVEEN INSD MUN OPPORTUNITY         OTHER           670984103    76    6500 SH  DEFINED 001  N.A.   N.A.   N.A.
D NUVEEN MULTI ST INC & GTH           OTHER           67073B106    29    8000 SH  DEFINED 001  N.A.   N.A.   N.A.
D NUVEEN MUN ADVANTAGE FD INC         OTHER           67062H106    24    2000 SH  DEFINED 001  N.A.   N.A.   N.A.
D NUVEEN MUN MKT OPPORTUNITY          OTHER           67062W103    22    2000 SH  DEFINED 001  N.A.   N.A.   N.A.
D NUVEEN NY QUALITY INCM MU           OTHER           670986108   124   11100 SH  DEFINED 002  N.A.   N.A.   N.A.
D NUVEEN NY SELECT QUALITY            OTHER           670976109   125   11000 SH  DEFINED 002  N.A.   N.A.   N.A.
D NUVEEN QUALITY PFD INC              PREFERRED STOCK 67071S101    27    7000 SH  DEFINED 001    7000     0      0
D NUVEEN QUALITY PFD INC              PREFERRED STOCK 67071S101    11    3000 SH  OTHER   001    3000     0      0
D NUVEEN REAL ESTATE INCOME F         OTHER           67071B108     7    2000 SH  DEFINED 001  N.A.   N.A.   N.A.
D NUVEEN SELECT QUALITY MUN F         OTHER           670973106    74    6500 SH  DEFINED 001  N.A.   N.A.   N.A.
D NVIDIA CORP                         COMMON          67066G104     4     450 SH  OTHER   001     450     0      0
D NYSE EURONEXT                       COMMON          629491101    18    1000 SH  OTHER   001    1000     0      0
D OCCIDENTAL PETROLEUM CORP           COMMON          674599105   107    1920 SH  DEFINED 001    1920     0      0
D OCCIDENTAL PETROLEUM CORP           COMMON          674599105   143    2575 SH  OTHER   001    2575     0      0
D OLD REP INTL CORP                   COMMON          680223104    36    3281 SH  DEFINED 001    3281     0      0
D OMNICOM GROUP INC                   COMMON          681919106    94    4000 SH  DEFINED 001    4000     0      0
D OMNICOM GROUP INC                   COMMON          681919106  1749   74759 SH  SOLE    001   68689  5326    744
D OMNICOM GROUP INC                   COMMON          681919106   158    6737 SH  OTHER   001    5113   554   1070
D ORACLE CORP                         COMMON          68389X105   244   13488 SH  DEFINED 001   13488     0      0
D ORACLE CORP                         COMMON          68389X105    61    3350 SH  OTHER   001    3350     0      0
D ORACLE CORP                         COMMON          68389X105  1121   62048 SH  DEFINED 002       0 62048      0
D ORACLE CORP                         COMMON          68389X105  5237  289817 SH  SOLE    001  257036 12738  20043
D ORACLE CORP                         COMMON          68389X105   454   25135 SH  OTHER   001   23100  1420    615
D ORBITAL SCIENCES CORP               COMMON          685564106     3     250 SH  DEFINED 001     250     0      0
D OXFORD CNTY TEL & TEL MAINE         COMMON          OXFORDTT3  1275   75000 SH  SOLE    001   75000     0      0
D PATTERSON COS INC                   COMMON          703395103  2184  115818 SH  DEFINED 001  115818     0      0
D PATTERSON COS INC                   COMMON          703395103    91    4850 SH  OTHER   001    4850     0      0
D PAYCHEX INC                         COMMON          704326107     6     224 SH  DEFINED 001     224     0      0
D PAYCHEX INC                         COMMON          704326107    44    1730 SH  OTHER   001    1730     0      0
D PEABODY ENERGY CORP                 COMMON          704549104     9     350 SH  OTHER   001     350     0      0
D PENGROWTH ENERGY TRUST              COMMON          706902509    33    6000 SH  DEFINED 001    6000     0      0
D PENN NATL GAMING INC                COMMON          707569109   214    8875 SH  SOLE    001       0     0   8875
D PENN NATL GAMING INC                COMMON          707569109     3     134 SH  OTHER   001       0     0    134
D PENN WEST ENERGY TR                 COMMON          707885109    28    3000 SH  DEFINED 001    3000     0      0
D PENNICHUCK CORP                     COMMON          708254206    10     500 SH  OTHER   001     500     0      0
D PEOPLE'S UNITED FINANCIAL           COMMON          712704105  4281  238254 SH  DEFINED 001   14527     0 223727
D PEOPLE'S UNITED FINANCIAL           COMMON          712704105  2450  136339 SH  OTHER   001       0     0 136339
D PEOPLE'S UNITED FINANCIAL           COMMON          712704105  1038   57756 SH  DEFINED 002       0 57756      0
D PEOPLE'S UNITED FINANCIAL           COMMON          712704105 22440 1248726 SH  SOLE    001 1248726     0      0
D PEOPLE'S UNITED FINANCIAL           COMMON          712704105  1169   65071 SH  OTHER   001   60385     0   4686





                                                                  
D PEPCO HLDGS INC              COMMON        713291102   12   1000 SH  DEFINED 001   1000     0     0
D PEPCO HLDGS INC              COMMON        713291102   91   7300 SH  OTHER   001   7300     0     0
D PEPSICO INC                  COMMON        713448108 2271  44123 SH  DEFINED 001  44123     0     0
D PEPSICO INC                  COMMON        713448108  529  10274 SH  OTHER   001  10274     0     0
D PEPSICO INC                  COMMON        713448108 2319  45039 SH  DEFINED 002      0 45039     0
D PEPSICO INC                  COMMON        713448108  301   5855 SH  SOLE    002      0     0  5855
D PEPSICO INC                  COMMON        713448108 9771 189796 SH  SOLE    001 181411  5869  2516
D PEPSICO INC                  COMMON        713448108 1396  27120 SH  OTHER   001  20351  2274  4495
D PETROCHINA CO LTD            SPONSORED ADR 71646E100  192   2405 SH  SOLE    001      0     0  2405
D PETROCHINA CO LTD            SPONSORED ADR 71646E100   10    130 SH  OTHER   001      0     0   130
D PETROLEO BRASILEIRO S.A.     SPONSORED ADR 71654V408   73   2400 SH  OTHER   001   2400     0     0
D PETROLEO BRASILEIRO S.A.     SPONSORED ADR 71654V408  267   8774 SH  SOLE    001   1240     0  7534
D PETROLEO BRASILEIRO S.A.     SPONSORED ADR 71654V408    7    231 SH  OTHER   001      0     0   231
D PETROLEO BRASILEIRO SA PETR  SPONSORED ADR 71654V101   59   2400 SH  OTHER   001   2400     0     0
D PETSMART INC                 COMMON        716768106   11    520 SH  DEFINED 001    520     0     0
D PFIZER INC                   COMMON        717081103 4036 296298 SH  DEFINED 001 269448     0 26850
D PFIZER INC                   COMMON        717081103  686  50392 SH  OTHER   001  50392     0     0
D PFIZER INC                   COMMON        717081103 1355  99477 SH  DEFINED 002      0 99477     0
D PFIZER INC                   COMMON        717081103  595  43702 SH  SOLE    002      0  1800 41902
D PFIZER INC                   COMMON        717081103 3768 276649 SH  SOLE    001 266683  6241  3725
D PFIZER INC                   COMMON        717081103  834  61253 SH  OTHER   001  48288 11244  1721
D PHILIP MORRIS INTL INC       COMMON        718172109  874  24555 SH  DEFINED 001  20855     0  3700
D PHILIP MORRIS INTL INC       COMMON        718172109  384  10805 SH  OTHER   001  10805     0     0
D PHILIP MORRIS INTL INC       COMMON        718172109 1189  33412 SH  SOLE    001  15806     0 17606
D PHILIP MORRIS INTL INC       COMMON        718172109  165   4638 SH  OTHER   001   2690     0  1948
D PHOENIX COS INC              COMMON        71902E109    0     60 SH  DEFINED 001     60     0     0
D PIMCO STRATEGIC GLOBAL GOVT  OTHER         72200X104  279  37198 SH  OTHER   001  N.A.  N.A.  N.A.
D PIPER JAFFRAY COS            COMMON        724078100    4    170 SH  DEFINED 001    170     0     0
D PITNEY BOWES INC             COMMON        724479100  200   8580 SH  DEFINED 001   8580     0     0
D PITNEY BOWES INC             COMMON        724479100  130   5550 SH  OTHER   001   5550     0     0
D PITNEY BOWES INC             COMMON        724479100  713  30533 SH  SOLE    001  28351  1671   511
D PITNEY BOWES INC             COMMON        724479100   15    648 SH  OTHER   001    548   100     0
D PLUM CREEK TIMBER CO INC     COMMON        729251108    9    300 SH  DEFINED 001    300     0     0
D PLUM CREEK TIMBER CO INC     COMMON        729251108  139   4774 SH  OTHER   001   4774     0     0
D PLUM CREEK TIMBER CO INC     COMMON        729251108  260   8931 SH  DEFINED 002      0  8931     0
D PLUM CREEK TIMBER CO INC     COMMON        729251108 1101  37883 SH  SOLE    001  37883     0     0
D PLUM CREEK TIMBER CO INC     COMMON        729251108   33   1139 SH  OTHER   001   1139     0     0
D POTASH CORP SASK INC         COMMON        73755L107  316   3915 SH  SOLE    001    200     0  3715
D POTASH CORP SASK INC         COMMON        73755L107   10    119 SH  OTHER   001      0     0   119
D POWERSHARES DB CMDTY IDX TR  OTHER         73935S105   10    500 SH  DEFINED 001  N.A.  N.A.  N.A.
D POWERSHARES DB CMDTY IDX TR  OTHER         73935S105  457  22853 SH  DEFINED 002  N.A.  N.A.  N.A.
D POWERSHARES QQQ(TM)          COMMON        73935A104  281   9265 SH  DEFINED 002      0  9265     0





                                                           
D POWERSHARES WATER RESOURCES  COMMON 73935X575  209  17550 SH  DEFINED 001  17550     0     0
D POWERSHARES WATER RESOURCES  COMMON 73935X575   24   2000 SH  OTHER   001   2000     0     0
D POWERSHARES WILDERHILL CLEA  COMMON 73935X500   50   6600 SH  DEFINED 001   6600     0     0
D POWERSHARES WILDERHILL CLEA  COMMON 73935X500    5    600 SH  OTHER   001    600     0     0
D POWERSHS DB MULTI SECT CO    COMMON 73936B507  272  13902 SH  DEFINED 002      0 13902     0
D POWERWAVE TECHNOLOGIES INC   COMMON 739363109   21  35610 SH  SOLE    001      0     0 35610
D PPG INDS INC                 COMMON 693506107   30    800 SH  DEFINED 001    800     0     0
D PPG INDS INC                 COMMON 693506107   30    800 SH  OTHER   001    800     0     0
D PRAXAIR INC                  COMMON 74005P104   27    400 SH  DEFINED 001    400     0     0
D PRAXAIR INC                  COMMON 74005P104 5517  81991 SH  SOLE    001  71984  4188  5819
D PRAXAIR INC                  COMMON 74005P104  825  12263 SH  OTHER   001  11185   853   225
D PRICE T ROWE GROUP INC       COMMON 74144T108  318  11021 SH  DEFINED 002      0 11021     0
D PRICE T ROWE GROUP INC       COMMON 74144T108 4022 139350 SH  SOLE    001 124645  5250  9455
D PRICE T ROWE GROUP INC       COMMON 74144T108  367  12709 SH  OTHER   001  10722  1652   335
D PROCTER & GAMBLE CO          COMMON 742718109 3190  67747 SH  DEFINED 001  67572     0   175
D PROCTER & GAMBLE CO          COMMON 742718109  683  14512 SH  OTHER   001  14512     0     0
D PROCTER & GAMBLE CO          COMMON 742718109  965  20499 SH  DEFINED 002      0 20499     0
D PROCTER & GAMBLE CO          COMMON 742718109 1277  27109 SH  SOLE    002      0     0 27109
D PROCTER & GAMBLE CO          COMMON 742718109 8835 187614 SH  SOLE    001 170132 10372  7110
D PROCTER & GAMBLE CO          COMMON 742718109 1666  35387 SH  OTHER   001  27511  2431  5445
D PROGRESS ENERGY INC          COMMON 743263105  744  20525 SH  DEFINED 001  20525     0     0
D PROGRESS ENERGY INC          COMMON 743263105  128   3532 SH  OTHER   001   3532     0     0
D PROSHARES SHORT S&P 500      COMMON 74347R503 2285  29200 SH  DEFINED 002      0 29200     0
D PROVIDENT ENERGY TR          COMMON 74386K104   57  15247 SH  DEFINED 001  15247     0     0
D PUBLIC SVC ENTERPRISE GROUP  COMMON 744573106   59   2000 SH  DEFINED 001   2000     0     0
D PUBLIC SVC ENTERPRISE GROUP  COMMON 744573106  112   3800 SH  OTHER   001   3800     0     0
D PUBLIC SVC ENTERPRISE GROUP  COMMON 744573106  473  16050 SH  DEFINED 002      0 16050     0
D PUTNAM MASTER INTER INCOME   OTHER  746909100  107  25000 SH  OTHER   001  N.A.  N.A.  N.A.
D QUALCOMM INC                 COMMON 747525103  996  25590 SH  DEFINED 001  25590     0     0
D QUALCOMM INC                 COMMON 747525103  221   5669 SH  DEFINED 002      0  5669     0
D QUALCOMM INC                 COMMON 747525103  315   8103 SH  SOLE    001    883     0  7220
D QUALCOMM INC                 COMMON 747525103   34    865 SH  OTHER   001    650     0   215
D QUANTA SVCS INC              COMMON 74762E102   21   1000 SH  OTHER   001   1000     0     0
D QUEST DIAGNOSTICS INC        COMMON 74834L100   23    475 SH  DEFINED 001    475     0     0
D QUEST DIAGNOSTICS INC        COMMON 74834L100   78   1650 SH  OTHER   001   1650     0     0
D RALCORP HLDGS INC            COMMON 751028101    4     79 SH  DEFINED 001     79     0     0
D RALCORP HLDGS INC            COMMON 751028101    6    109 SH  OTHER   001    109     0     0
D RALCORP HLDGS INC            COMMON 751028101  231   4281 SH  SOLE    001      0     0  4281
D RALCORP HLDGS INC            COMMON 751028101    7    123 SH  OTHER   001      0     0   123
D RAYTHEON CO                  COMMON 755111507  125   3200 SH  OTHER   001   3200     0     0
D REGIONS FINL CORP            COMMON 7591EP100    5   1275 SH  OTHER   001   1275     0     0
D RESMED INC                   COMMON 761152107   18    500 SH  OTHER   001    500     0     0





                                                                
D REYNOLDS AMERN INC           COMMON        761713106   42  1184  SH DEFINED 001  1184     0     0
D REYNOLDS AMERN INC           COMMON        761713106   11   306  SH OTHER   001   306     0     0
D RIO TINTO PLC                SPONSORED ADR 767204100   67   500  SH OTHER   001   500     0     0
D RIO TINTO PLC                SPONSORED ADR 767204100  207  1543  SH SOLE    001    25     0  1518
D RIO TINTO PLC                SPONSORED ADR 767204100   37   273  SH OTHER   001   200     0    73
D ROCKWELL COLLINS INC         COMMON        774341101  305  9344  SH SOLE    001  7018  1869   457
D ROCKWELL COLLINS INC         COMMON        774341101   43  1332  SH OTHER   001  1068   264     0
D ROHM & HAAS CO               COMMON        775371107 1748 22170  SH SOLE    001 22170     0     0
D ROPER INDS INC               COMMON        776696106   64  1500  SH OTHER   001  1500     0     0
D ROYAL BK SCOTLAND PFD 6.40%  SPONSORED ADR 780097796    6  1000  SH DEFINED 001 N.A.  N.A.  N.A.
D ROYAL DUTCH SHELL PLC        SPONSORED ADR 780259206   66  1500  SH DEFINED 001  1500     0     0
D ROYAL DUTCH SHELL PLC        SPONSORED ADR 780259206  323  7300  SH OTHER   001  7300     0     0
D ROYAL DUTCH SHELL PLC        SPONSORED ADR 780259206  270  6100  SH DEFINED 002     0  6100     0
D ROYAL DUTCH SHELL PLC        SPONSORED ADR 780259206 1759 39716  SH SOLE    001 38466   325   925
D ROYAL DUTCH SHELL PLC        SPONSORED ADR 780259206  441  9957  SH OTHER   001  4728  5229     0
D ROYAL DUTCH SHELL PLC B      SPONSORED ADR 780259107   44  1000  SH OTHER   001  1000     0     0
D ROYCE VALUE TRUST INC        COMMON        780910105  323 45752  SH DEFINED 002     0 45752     0
D SANOFI-AVENTIS               SPONSORED ADR 80105N105    3   110  SH DEFINED 001   110     0     0
D SAP AG                       SPONSORED ADR 803054204   52  1475  SH DEFINED 001  1475     0     0
D SAP AG                       SPONSORED ADR 803054204    7   200  SH OTHER   001   200     0     0
D SARA LEE CORP                COMMON        803111103    5   576  SH DEFINED 001   576     0     0
D SARA LEE CORP                COMMON        803111103   28  3500  SH OTHER   001  3500     0     0
D SASOL LTD                    SPONSORED ADR 803866300    4   150  SH OTHER   001   150     0     0
D SCANA CORP                   COMMON        80589M102    2    66  SH DEFINED 001    66     0     0
D SCANA CORP                   COMMON        80589M102   21   690  SH OTHER   001   690     0     0
D SCHEIN HENRY INC 3.000%      COMMON        806407AB8    2  2000 PRN DEFINED 001 N.A.  N.A.  N.A.
D SCHERING PLOUGH CORP         COMMON        806605101   38  1600  SH OTHER   001  1600     0     0
D SCHLUMBERGER LTD             SPONSORED ADR 806857108  546 13451  SH DEFINED 001 13451     0     0
D SCHLUMBERGER LTD             SPONSORED ADR 806857108  162  4000  SH OTHER   001  4000     0     0
D SCHLUMBERGER LTD             SPONSORED ADR 806857108  427 10500  SH DEFINED 002     0 10500     0
D SCHLUMBERGER LTD             SPONSORED ADR 806857108 2575 63399  SH SOLE    001 50767  2229 10403
D SCHLUMBERGER LTD             SPONSORED ADR 806857108  568 13986  SH OTHER   001  9214   267  4505
D SCHWAB CHARLES CORP          COMMON        808513105 1308 84361  SH SOLE    001 81048   597  2716
D SCHWAB CHARLES CORP          COMMON        808513105   28  1785  SH OTHER   001  1785     0     0
D SEARS HLDGS CORP             COMMON        812350106   42   915  SH DEFINED 001   915     0     0
D SECTOR SPDR TR FD HEALTH CA  OTHER         81369Y209   88  3655  SH DEFINED 001 N.A.  N.A.  N.A.
D SECTOR SPDR TR FD HEALTH CA  OTHER         81369Y209   53  2191  SH OTHER   001 N.A.  N.A.  N.A.
D SEI INVTS CO                 COMMON        784117103   66  5370  SH DEFINED 001  5370     0     0
D SEI INVTS CO                 COMMON        784117103   56  4550  SH OTHER   001  4550     0     0
D SELECT SECTOR SPDR TR        OTHER         81369Y886 1069 41850  SH DEFINED 001 N.A.  N.A.  N.A.
D SELECT SECTOR SPDR TR        OTHER         81369Y886  646 25303  SH SOLE    001 N.A.  N.A.  N.A.
D SELECT SECTOR SPDR TR        OTHER         81369Y886   23   895  SH OTHER   001 N.A.  N.A.  N.A.





                                                                  
D SEMPRA ENERGY                COMMON        816851109   36    775 SH  DEFINED 001    775     0     0
D SEMPRA ENERGY                COMMON        816851109  154   3335 SH  OTHER   001   3335     0     0
D SHERWIN WILLIAMS CO          COMMON        824348106   72   1388 SH  OTHER   001   1388     0     0
D SHERWIN WILLIAMS CO          COMMON        824348106  341   6562 SH  SOLE    001   6010     0   552
D SHERWIN WILLIAMS CO          COMMON        824348106   14    277 SH  OTHER   001    150     0   127
D SIGMA-ALDRICH CORP           COMMON        826552101    4    100 SH  OTHER   001    100     0     0
D SIGMA-ALDRICH CORP           COMMON        826552101  602  15924 SH  SOLE    002      0     0 15924
D SIMON PPTY GROUP INC         COMMON        828806109   67   1945 SH  OTHER   001   1945     0     0
D SIRIUS XM RADIO INC          COMMON        82967N108    1   1500 SH  DEFINED 001   1500     0     0
D SIRIUS XM RADIO INC          COMMON        82967N108    6  16750 SH  DEFINED 002      0 16750     0
D SJW CORP                     COMMON        784305104    5    200 SH  OTHER   001    200     0     0
D SK TELECOM LTD               SPONSORED ADR 78440P108    3    197 SH  OTHER   001    197     0     0
D SMITH & WESSON HLDG CORP     COMMON        831756101   24   4000 SH  DEFINED 001      0     0  4000
D SMUCKER J M CO COM           COMMON        832696405    6    151 SH  DEFINED 001    151     0     0
D SMUCKER J M CO COM           COMMON        832696405   56   1500 SH  OTHER   001   1500     0     0
D SOCIEDAD QUIMICAY MINERA DE  COMMON        833635105   40   1500 SH  OTHER   001   1500     0     0
D SONY CORP                    COMMON        835699307    4    182 SH  DEFINED 001    182     0     0
D SOUTHERN CO                  COMMON        842587107 1946  63540 SH  DEFINED 001  62740     0   800
D SOUTHERN CO                  COMMON        842587107  692  22598 SH  OTHER   001  22598     0     0
D SOUTHERN CO                  COMMON        842587107  124   4054 SH  SOLE    001   2195   800  1059
D SOUTHERN CO                  COMMON        842587107   84   2750 SH  OTHER   001   2750     0     0
D SPDR GOLD TRUST              OTHER         78463V107 3101  34350 SH  DEFINED 001  N.A.  N.A.  N.A.
D SPDR GOLD TRUST              OTHER         78463V107  541   5995 SH  DEFINED 002  N.A.  N.A.  N.A.
D SPDR METALS & MINING ETF     COMMON        78464A755  876  34900 SH  DEFINED 002      0 34900     0
D SPDR OIL & GAS EQUIP & SERV  OTHER         78464A748  126   7575 SH  DEFINED 001  N.A.  N.A.  N.A.
D SPDR OIL & GAS EQUIP & SERV  OTHER         78464A748   12    720 SH  OTHER   001  N.A.  N.A.  N.A.
D SPECTRA ENERGY CORP          COMMON        847560109   33   2302 SH  DEFINED 001   2302     0     0
D SPECTRA ENERGY CORP          COMMON        847560109   21   1500 SH  OTHER   001   1500     0     0
D SPRINT NEXTEL CORP           COMMON        852061100    9   2535 SH  OTHER   001   2535     0     0
D ST JUDE MED INC              COMMON        790849103  321   8833 SH  SOLE    001    250     0  8583
D ST JUDE MED INC              COMMON        790849103    9    235 SH  OTHER   001      0     0   235
D STANDARD & POORS DEP TR      OTHER         78462F103 4066  51132 SH  DEFINED 001  N.A.  N.A.  N.A.
D STANDARD & POORS DEP TR      OTHER         78462F103  563   7075 SH  OTHER   001  N.A.  N.A.  N.A.
D STANDEX INTL CORP            COMMON        854231107   55   6000 SH  OTHER   001   6000     0     0
D STAPLES INC                  COMMON        855030102 2457 135661 SH  DEFINED 001 135661     0     0
D STAPLES INC                  COMMON        855030102  412  22735 SH  OTHER   001  22735     0     0
D STAPLES INC                  COMMON        855030102  343  18933 SH  DEFINED 002      0 18933     0
D STAPLES INC                  COMMON        855030102 4118 227393 SH  SOLE    001 211510 11484  4399
D STAPLES INC                  COMMON        855030102  397  21902 SH  OTHER   001  19183  2504   215
D STARBUCKS CORP               COMMON        855244109    9    800 SH  DEFINED 001    800     0     0
D STARWOOD HOTELS & RESORTS W  COMMON        85590A401   11    850 SH  DEFINED 001    850     0     0
D STARWOOD HOTELS & RESORTS W  COMMON        85590A401    2    125 SH  OTHER   001    125     0     0





                                                                  
D STATE STREET CORP            COMMON        857477103 3076  99940 SH  DEFINED 001  99940     0     0
D STATE STREET CORP            COMMON        857477103  456  14825 SH  OTHER   001  14825     0     0
D STATE STREET CORP            COMMON        857477103 3417 111004 SH  SOLE    001 103200  5307  2497
D STATE STREET CORP            COMMON        857477103  373  12106 SH  OTHER   001   8652  2486   968
D STEAK N SHAKE CO             COMMON        857873103  620  81963 SH  DEFINED 001  81963     0     0
D STEMCELLS INC                COMMON        85857R105    0    200 SH  DEFINED 001    200     0     0
D STERICYCLE INC               COMMON        858912108  248   5205 SH  SOLE    001      0     0  5205
D STERICYCLE INC               COMMON        858912108    5    105 SH  OTHER   001      0     0   105
D STRIKEFORCE TECHNOLOGIES IN  COMMON        86332V208    3  52910 SH  SOLE    001  52910     0     0
D STRYKER CORP                 COMMON        863667101 2759  81040 SH  DEFINED 001  80790     0   250
D STRYKER CORP                 COMMON        863667101  383  11265 SH  OTHER   001  11265     0     0
D STRYKER CORP                 COMMON        863667101 2246  65973 SH  SOLE    001  63927   798  1248
D STRYKER CORP                 COMMON        863667101  230   6753 SH  OTHER   001   6303   450     0
D SUN MICROSYSTEMS INC         COMMON        866810203    1     81 SH  DEFINED 001     81     0     0
D SUN MICROSYSTEMS INC         COMMON        866810203    6    787 SH  OTHER   001    787     0     0
D SUNCOR ENERGY INC            COMMON        867229106    4    200 SH  DEFINED 001    200     0     0
D SUNCOR ENERGY INC            COMMON        867229106 1159  52176 SH  SOLE    001  44135     0  8041
D SUNCOR ENERGY INC            COMMON        867229106  100   4482 SH  OTHER   001   4290     0   192
D SUNPOWER CORP                COMMON        867652109    7    300 SH  OTHER   001    300     0     0
D SWISS HELVETIA FUND          OTHER         870875101  266  29916 SH  OTHER   001  N.A.  N.A.  N.A.
D SYNGENTA AG                  SPONSORED ADR 87160A100   20    500 SH  OTHER   001    500     0     0
D SYSCO CORP                   COMMON        871829107   48   2100 SH  DEFINED 001   2100     0     0
D SYSCO CORP                   COMMON        871829107  617  27050 SH  DEFINED 002      0 27050     0
D SYSCO CORP                   COMMON        871829107 2580 113148 SH  SOLE    001 105428  5808  1912
D SYSCO CORP                   COMMON        871829107  380  16668 SH  OTHER   001  12153  3865   650
D T ROWE PRICE TAX FREE INC    COMMON        779576107  153  16725 SH  DEFINED 002      0 16725     0
D T ROWE PRICE TAX FREE SHT    COMMON        779902105  162  29866 SH  DEFINED 002      0 29866     0
D TAIWAN SEMICONDUCTOR MFG CO  COMMON        874039100    4    500 SH  OTHER   001    500     0     0
D TANGER FACTORY OUTLET CTRS   COMMON        875465106   83   2700 SH  OTHER   001   2700     0     0
D TARGET CORP                  COMMON        87612E106 2718  79045 SH  DEFINED 001  79045     0     0
D TARGET CORP                  COMMON        87612E106  300   8730 SH  OTHER   001   8730     0     0
D TARGET CORP                  COMMON        87612E106  259   7524 SH  SOLE    001   7524     0     0
D TARGET CORP                  COMMON        87612E106  137   3973 SH  OTHER   001   3973     0     0
D TAUBMAN CTRS INC             COMMON        876664103    3    200 SH  OTHER   001    200     0     0
D TECHNITROL INC               COMMON        878555101   18  10320 SH  SOLE    001      0     0 10320
D TECHNOLOGY SELECT SECT SPDR  OTHER         81369Y803   84   5400 SH  DEFINED 001  N.A.  N.A.  N.A.
D TECHNOLOGY SELECT SECT SPDR  OTHER         81369Y803   23   1500 SH  OTHER   001  N.A.  N.A.  N.A.
D TELEFONICA S A               SPONSORED ADR 879382208    4     75 SH  OTHER   001     75     0     0
D TELEFONOS DE MEXICO S A B    SPONSORED ADR 879403780   18   1200 SH  OTHER   001   1200     0     0
D TELEFONOS DE MEXICO SAB DE   SPONSORED ADR 879403707   22   1444 SH  DEFINED 001   1444     0     0
D TELEKOMUNIK INDONESIA        SPONSORED ADR 715684106    8    300 SH  DEFINED 001    300     0     0
D TELMEX INTERNACIONAL         SPONSORED ADR 879690105   11   1200 SH  OTHER   001   1200     0     0





                                                                  
D TELMEX INTERNACIONAL         SPONSORED ADR 879690204   13   1444 SH  DEFINED 001   1444     0    0
D TEMPLETON RUSSIA & EAST EUR  OTHER         88022F105    5    600 SH  DEFINED 001   N.A.  N.A. N.A.
D TENARIS S A                  SPONSORED ADR 88031M109   20   1000 SH  OTHER   001   1000     0    0
D TEPPCO PARTNERS L P          COMMON        872384102   29   1300 SH  OTHER   001   1300     0    0
D TEREX CORP                   COMMON        880779103    2    200 SH  DEFINED 001    200     0    0
D TEVA PHARMACEUTICAL INDS LT  SPONSORED ADR 881624209   45   1008 SH  DEFINED 001    908     0  100
D TEVA PHARMACEUTICAL INDS LT  SPONSORED ADR 881624209   45   1000 SH  OTHER   001   1000     0    0
D TEVA PHARMACEUTICAL INDS LT  SPONSORED ADR 881624209 7555 167699 SH  SOLE    001 157527  3109 7063
D TEVA PHARMACEUTICAL INDS LT  SPONSORED ADR 881624209  617  13687 SH  OTHER   001  12812   645  230
D TEXAS INSTRUMENTS INC        COMMON        882508104  756  45775 SH  DEFINED 001  45775     0    0
D TEXAS INSTRUMENTS INC        COMMON        882508104  114   6935 SH  OTHER   001   6935     0    0
D TEXAS INSTRUMENTS INC        COMMON        882508104  548  33194 SH  DEFINED 002      0 33194    0
D TEXAS INSTRUMENTS INC        COMMON        882508104  458  27743 SH  SOLE    001  27713     0   30
D TEXAS INSTRUMENTS INC        COMMON        882508104   56   3398 SH  OTHER   001   1458  1940    0
D TEXTRON INC                  COMMON        883203101   38   6600 SH  DEFINED 001   6600     0    0
D TEXTRON INC                  COMMON        883203101    0     16 SH  OTHER   001     16     0    0
D THE HERSHEY COMPANY          COMMON        427866108  236   6800 SH  DEFINED 001   6800     0    0
D THE HERSHEY COMPANY          COMMON        427866108  276   7950 SH  OTHER   001   7950     0    0
D THERMO FISHER SCIENTIFIC, I  COMMON        883556102    7    193 SH  DEFINED 001    193     0    0
D THERMO FISHER SCIENTIFIC, I  COMMON        883556102  228   6400 SH  SOLE    002      0     0 6400
D THERMO FISHER SCIENTIFIC, I  COMMON        883556102  235   6575 SH  SOLE    001      0     0 6575
D THERMO FISHER SCIENTIFIC, I  COMMON        883556102    6    170 SH  OTHER   001      0     0  170
D TIDEWATER INC                COMMON        886423102 2761  74362 SH  DEFINED 001  74362     0    0
D TIDEWATER INC                COMMON        886423102   33    900 SH  OTHER   001    900     0    0
D TIME WARNER CABLE INC        COMMON        88732J207    6    222 SH  DEFINED 001    222     0    0
D TIME WARNER CABLE INC        COMMON        88732J207    4    179 SH  OTHER   001    179     0    0
D TIME WARNER INC              COMMON        887317105   51   2650 SH  DEFINED 001   2650     0    0
D TIME WARNER INC              COMMON        887317105   41   2145 SH  OTHER   001   2145     0    0
D TJX COS INC                  COMMON        872540109   26   1000 SH  OTHER   001   1000     0    0
D TOOTSIE ROLL INDS INC        COMMON        890516107    3    121 SH  DEFINED 001    121     0    0
D TORONTO-DOMINION BANK        SPONSORED ADR 891160509   69   2000 SH  DEFINED 001   2000     0    0
D TORONTO-DOMINION BANK        SPONSORED ADR 891160509  205   5928 SH  DEFINED 002      0  5928    0
D TORTOISE ENERGY CAP CORP     OTHER         89147U100   16   1000 SH  DEFINED 001   N.A.  N.A. N.A.
D TORTOISE ENERGY- INF         OTHER         89147L100    7    350 SH  DEFINED 001   N.A.  N.A. N.A.
D TORTOISE ENERGY- INF         OTHER         89147L100    4    200 SH  OTHER   001   N.A.  N.A. N.A.
D TORTOISE NORTH AMERN ENERGY  OTHER         89147T103   25   2000 SH  DEFINED 001   N.A.  N.A. N.A.
D TOTAL S A                    SPONSORED ADR 89151E109    5    100 SH  OTHER   001    100     0    0
D TOYOTA MTR CORP              SPONSORED ADR 892331307   38    600 SH  OTHER   001    600     0    0
D TRANSOCEAN LTD               SPONSORED ADR H8817H100  267   4535 SH  DEFINED 002      0  4535    0
D TRANSOCEAN LTD               SPONSORED ADR H8817H100 1892  32162 SH  SOLE    001  28107   539 3516
D TRANSOCEAN LTD               SPONSORED ADR H8817H100  151   2572 SH  OTHER   001   2366    51  155
D TRAVELERS COMPANIES INC      COMMON        89417E109    4    100 SH  DEFINED 001    100     0    0





                                                                  
D TRAVELERS COMPANIES INC      COMMON        89417E109    7    170 SH  OTHER   001    170     0     0
D TRUSTCO BK CORP N Y          COMMON        898349105   47   7882 SH  OTHER   001   7882     0     0
D TUPPERWARE BRANDS CORP       COMMON        899896104    0     14 SH  OTHER   001     14     0     0
D UIL HLDG CORP                COMMON        902748102   85   3795 SH  DEFINED 001   3795     0     0
D UIL HLDG CORP                COMMON        902748102   49   2210 SH  OTHER   001   2210     0     0
D UNIGENE LABS INC             COMMON        904753100   10  17500 SH  DEFINED 002      0 17500     0
D UNILEVER N V                 SPONSORED ADR 904784709   29   1500 SH  DEFINED 001   1500     0     0
D UNILEVER N V                 SPONSORED ADR 904784709  632  32236 SH  SOLE    001   2056     0 30180
D UNILEVER N V                 SPONSORED ADR 904784709   26   1320 SH  OTHER   001      0     0  1320
D UNILEVER PLC                 SPONSORED ADR 904767704   23   1226 SH  DEFINED 001   1226     0     0
D UNION PAC CORP               COMMON        907818108   82   2000 SH  DEFINED 001   2000     0     0
D UNION PAC CORP               COMMON        907818108   82   2000 SH  OTHER   001   2000     0     0
D UNION PAC CORP               COMMON        907818108   95   2322 SH  SOLE    001   2322     0     0
D UNION PAC CORP               COMMON        907818108  148   3600 SH  OTHER   001    200   600  2800
D UNITED NAT FOODS INC         COMMON        911163103 2509 132265 SH  DEFINED 001 132265     0     0
D UNITED NAT FOODS INC         COMMON        911163103  200  10550 SH  OTHER   001  10550     0     0
D UNITED PARCEL SERVICE INC    COMMON        911312106  444   9020 SH  DEFINED 001   9020     0     0
D UNITED PARCEL SERVICE INC    COMMON        911312106  331   6725 SH  OTHER   001   6725     0     0
D UNITED PARCEL SERVICE INC    COMMON        911312106  255   5183 SH  DEFINED 002      0  5183     0
D UNITED PARCEL SERVICE INC    COMMON        911312106 1210  24578 SH  SOLE    001  23379   378   821
D UNITED PARCEL SERVICE INC    COMMON        911312106   39    797 SH  OTHER   001    747     0    50
D UNITED STS STL CORP          COMMON        912909108    2    100 SH  OTHER   001    100     0     0
D UNITED TECHNOLOGIES CORP     COMMON        913017109 2449  56977 SH  DEFINED 001  56877     0   100
D UNITED TECHNOLOGIES CORP     COMMON        913017109  862  20061 SH  OTHER   001  20061     0     0
D UNITED TECHNOLOGIES CORP     COMMON        913017109  944  21959 SH  DEFINED 002      0 21959     0
D UNITED TECHNOLOGIES CORP     COMMON        913017109  388   9024 SH  SOLE    002      0     0  9024
D UNITED TECHNOLOGIES CORP     COMMON        913017109 6404 149004 SH  SOLE    001 136595  4711  7698
D UNITED TECHNOLOGIES CORP     COMMON        913017109  615  14306 SH  OTHER   001  12851  1215   240
D US BANCORP                   COMMON        902973304  467  31982 SH  DEFINED 001  31982     0     0
D US BANCORP                   COMMON        902973304   26   1750 SH  OTHER   001   1750     0     0
D US BANCORP                   COMMON        902973304  244  16705 SH  DEFINED 002      0 16705     0
D US BANCORP                   COMMON        902973304  502  34348 SH  SOLE    001   9298     0 25050
D US BANCORP                   COMMON        902973304   39   2700 SH  OTHER   001   1450     0  1250
D USA VIDEO INTERACTIVE CORP   COMMON        902924208    1  15400 SH  DEFINED 002      0 15400     0
D VALERO ENERGY CORP           COMMON        91913Y100   32   1800 SH  DEFINED 001   1800     0     0
D VALERO ENERGY CORP           COMMON        91913Y100  222  12401 SH  SOLE    001  11758   643     0
D VALERO ENERGY CORP           COMMON        91913Y100   13    730 SH  OTHER   001    730     0     0
D VAN KAMPEN TRUST INVEST GR   OTHER         920931102    5    510 SH  DEFINED 001   N.A.  N.A.  N.A.
D VANGUARD EMERGING MARKETS E  OTHER         922042858   67   2824 SH  DEFINED 001   N.A.  N.A.  N.A.
D VANGUARD EMERGING MARKETS E  OTHER         922042858   33   1400 SH  OTHER   001   N.A.  N.A.  N.A.
D VANGUARD INFORMATION TECHNO  OTHER         92204A702  196   5560 SH  DEFINED 001   N.A.  N.A.  N.A.
D VANGUARD TOTAL STK MK ETF    OTHER         922908769  170   4300 SH  DEFINED 001   N.A.  N.A.  N.A.





                                                                  
D VECTRON CORP                 COMMON        92240G101    8    376 SH  DEFINED 001    376     0     0
D VECTRON CORP                 COMMON        92240G101   95   4512 SH  OTHER   001   4512     0     0
D VERIZON COMMUNICATIONS       COMMON        92343V104 1046  34627 SH  DEFINED 001  31315     0  3312
D VERIZON COMMUNICATIONS       COMMON        92343V104  670  22193 SH  OTHER   001  22193     0     0
D VERIZON COMMUNICATIONS       COMMON        92343V104  996  32972 SH  DEFINED 002      0 32972     0
D VERIZON COMMUNICATIONS       COMMON        92343V104 6201 205325 SH  SOLE    001 173068  6500 25757
D VERIZON COMMUNICATIONS       COMMON        92343V104 1049  34740 SH  OTHER   001  28784  1670  4286
D VERMONT PURE HOLDINGS LTD    SPONSORED ADR 924237100    9  20000 SH  DEFINED 002      0 20000     0
D VIACOM INC                   COMMON        92553P201    3    147 SH  DEFINED 001    147     0     0
D VIRTUS INVT PARTNERS INC     COMMON        92828Q109    0      3 SH  DEFINED 001      3     0     0
D VISA INC                     COMMON        92826C839  226   4072 SH  SOLE    001     12     0  4060
D VISA INC                     COMMON        92826C839   12    215 SH  OTHER   001    100     0   115
D VODAFONE GROUP PLC           SPONSORED ADR 92857W209   38   2184 SH  DEFINED 001   2184     0     0
D VODAFONE GROUP PLC           SPONSORED ADR 92857W209   45   2603 SH  OTHER   001   2603     0     0
D VODAFONE GROUP PLC           SPONSORED ADR 92857W209  592  34010 SH  SOLE    001   2162   273 31575
D VODAFONE GROUP PLC           SPONSORED ADR 92857W209   91   5251 SH  OTHER   001   3951     0  1300
D VORNADO RLTY TR              COMMON        929042109   44   1321 SH  OTHER   001   1321     0     0
D VULCAN MATERIALS CO          COMMON        929160109 1428  32240 SH  DEFINED 002      0 32240     0
D WAL MART STORES INC          COMMON        931142103 3898  74812 SH  DEFINED 001  74562     0   250
D WAL MART STORES INC          COMMON        931142103  571  10961 SH  OTHER   001  10961     0     0
D WAL MART STORES INC          COMMON        931142103 1709  32795 SH  DEFINED 002      0 32795     0
D WAL MART STORES INC          COMMON        931142103 2475  47504 SH  SOLE    001  40767  1691  5046
D WAL MART STORES INC          COMMON        931142103  305   5849 SH  OTHER   001   5199   591    59
D WALGREEN CO                  COMMON        931422109 2234  86040 SH  DEFINED 001  86040     0     0
D WALGREEN CO                  COMMON        931422109  494  19021 SH  OTHER   001  19021     0     0
D WALGREEN CO                  COMMON        931422109  435  16750 SH  DEFINED 002      0 16750     0
D WALGREEN CO                  COMMON        931422109  755  29100 SH  SOLE    002      0     0 29100
D WALGREEN CO                  COMMON        931422109 2109  81228 SH  SOLE    001  77217  1908  2103
D WALGREEN CO                  COMMON        931422109  396  15240 SH  OTHER   001   7890  1350  6000
D WASHINGTON POST CO CL B      COMMON        939640108  335    937 SH  SOLE    001    500     0   437
D WASHINGTON POST CO CL B      COMMON        939640108    2      7 SH  OTHER   001      0     0     7
D WATSON PHARMACEUTICALS INC   COMMON        942683103    9    300 SH  DEFINED 001    300     0     0
D WEATHERFORD INTERNATIONAL L  COMMON        H27013103  115  10429 SH  SOLE    001   1129     0  9300
D WEATHERFORD INTERNATIONAL L  COMMON        H27013103    6    520 SH  OTHER   001    100     0   420
D WEBSTER FINANCL CP WATERBUR  COMMON        947890109    9   2000 SH  DEFINED 001   2000     0     0
D WEBSTER FINANCL CP WATERBUR  COMMON        947890109   82  19283 SH  DEFINED 002      0 19283     0
D WELLPOINT INC                COMMON        94973V107 1411  37157 SH  DEFINED 001  37157     0     0
D WELLPOINT INC                COMMON        94973V107  189   4970 SH  OTHER   001   4970     0     0
D WELLS FARGO CO               COMMON        949746101 1318  92589 SH  DEFINED 001  92589     0     0
D WELLS FARGO CO               COMMON        949746101  158  11080 SH  OTHER   001  11080     0     0
D WELLS FARGO CO               COMMON        949746101  266  18672 SH  DEFINED 002      0 18672     0
D WELLS FARGO CO               COMMON        949746101  540  37942 SH  SOLE    002      0     0 37942





                                                           
D WELLS FARGO CO               COMMON 949746101 4534 318366 SH  SOLE    001 298227  9045 11094
D WELLS FARGO CO               COMMON 949746101  445  31261 SH  OTHER   001  24537  4055  2669
D WESTERN UNION CO             COMMON 959802109   10    800 SH  DEFINED 001    800     0     0
D WESTERN UNION CO             COMMON 959802109    8    665 SH  OTHER   001    665     0     0
D WESTERN UNION CO             COMMON 959802109  191  15200 SH  DEFINED 002      0 15200     0
D WESTERN UNION CO             COMMON 959802109  153  12200 SH  SOLE    002      0     0 12200
D WHOLE FOODS MKT INC          COMMON 966837106   13    800 SH  DEFINED 001    800     0     0
D WILLIAMS COS INC             COMMON 969457100   34   3000 SH  DEFINED 001   3000     0     0
D WILLIAMS COS INC             COMMON 969457100   11   1000 SH  OTHER   001   1000     0     0
D WILLIAMS COS INC             COMMON 969457100  471  41402 SH  DEFINED 002      0 41402     0
D WINDSTREAM CORP              COMMON 97381W104    8    942 SH  DEFINED 001    942     0     0
D WISCONSIN ENERGY CORP        COMMON 976657106   32    775 SH  OTHER   001    775     0     0
D WISDOMTREE INTL DVD TOP 100  OTHER  97717W786   42   1500 SH  DEFINED 001   N.A.  N.A.  N.A.
D WYETH                        COMMON 983024100  464  10775 SH  DEFINED 001  10775     0     0
D WYETH                        COMMON 983024100  638  14828 SH  OTHER   001  14828     0     0
D WYETH                        COMMON 983024100  329   7636 SH  DEFINED 002      0  7636     0
D WYETH                        COMMON 983024100  213   4950 SH  SOLE    002      0     0  4950
D WYETH                        COMMON 983024100 1116  25934 SH  SOLE    001  23184   750  2000
D WYETH                        COMMON 983024100  488  11336 SH  OTHER   001   8296  3040     0
D XCEL ENERGY INC              COMMON 98389B100   37   1975 SH  DEFINED 001   1975     0     0
D XTO ENERGY INC               COMMON 98385X106    9    280 SH  DEFINED 001    280     0     0
D XTO ENERGY INC               COMMON 98385X106    6    200 SH  OTHER   001    200     0     0
D XTO ENERGY INC               COMMON 98385X106  553  18060 SH  DEFINED 002      0 18060     0
D XTO ENERGY INC               COMMON 98385X106  217   7072 SH  SOLE    001      0     0  7072
D XTO ENERGY INC               COMMON 98385X106    6    200 SH  OTHER   001      0     0   200
D YAHOO INC                    COMMON 984332106    5    360 SH  OTHER   001    360     0     0
D YORK WATER CO.               COMMON 987184108    9    700 SH  OTHER   001    700     0     0
D YUM BRANDS INC               COMMON 988498101    5    175 SH  DEFINED 001    175     0     0
D YUM BRANDS INC               COMMON 988498101    3    111 SH  OTHER   001    111     0     0
D ZIMMER HOLDINGS INC          COMMON 98956P102   98   2680 SH  DEFINED 001   2680     0     0
D ZIMMER HOLDINGS INC          COMMON 98956P102    8    220 SH  OTHER   001    220     0     0
D ZIMMER HOLDINGS INC          COMMON 98956P102  480  13161 SH  DEFINED 002      0 13161     0
D ZIMMER HOLDINGS INC          COMMON 98956P102  202   5521 SH  SOLE    002      0     0  5521