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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: 6/30/10

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:    TOM STRINGFELLOW
ADDRESS: FROST NATIONAL BANK
         P.O. BOX 1600
         SAN ANTONIO, TX 78296

13F FILE NUMBER: 28-183

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:    STAN MCCORMICK
TITLE:   COPORATE SECRETARY - SR. V.P.
PHONE:   210-220-4310

SIGNATURE, PLACE, AND DATE OF SIGNING:

       /S/ STAN MCCORMICK               SAN ANTONIO, TX             7/3/10
--------------------------------   -----------------------   -------------------

REPORT TYPE (CHECK ONLY ONE.):

[X]  13F HOLDINGS REPORT

[_]  13F NOTICE

[_]  13F COMBINATION REPORT


LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:

     NONE

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




                              FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:               0

FORM 13F INFORMATION TABLE ENTRY TOTAL:        890

FORM 13F INFORMATION TABLE VALUE TOTAL: $2,145,931







                                                                FORM 13F INFORMATION TABLE

                                                                                                              VOTING AUTHORITY
                                                           VALUE   SHARES/  SH/ PUT/ INVSTMT    OTHER     -------------------------
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X1000)  PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED   NONE
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------
                                                                                           
ABBOTT LABORATORIES COM*       COMMON STOCK     002824100     1763    37689 SH       DEFINED                23109       0    14580
ABBOTT LABORATORIES COM*       COMMON STOCK     002824100     1083    23161 SH       OTHER                  19661       0     3500
ACCO BRANDS CORPORATION COM    COMMON STOCK     00081T108        1      117 SH       DEFINED                  117       0        0
ACCO BRANDS CORPORATION COM    COMMON STOCK     00081T108      721   144483 SH       OTHER                     54       0   144429
ACTUANT CORP CL A COM          COMMON STOCK     00508X203      335    17800 SH       OTHER                      0       0    17800
ADVANCED ENERGY INDS INC COM   COMMON STOCK     007973100      701    57000 SH       OTHER                      0       0    57000
AECOM TECHNOLOGY CORP COM      COMMON STOCK     00766T100     1397    60600 SH       DEFINED                    0       0    60600
AECOM TECHNOLOGY CORP COM      COMMON STOCK     00766T100      816    35400 SH       OTHER                      0       0    35400
AFFILIATED MANAGERS GROUP      COMMON STOCK     008252108     1061    17461 SH       DEFINED                 1511       0    15950
AFFILIATED MANAGERS GROUP      COMMON STOCK     008252108      337     5550 SH       OTHER                      0       0     5550
AFLAC INC COM*                 COMMON STOCK     001055102     2094    49085 SH       DEFINED                43587       0     5498
AFLAC INC COM*                 COMMON STOCK     001055102     1144    26811 SH       OTHER                  26811       0        0
AGCO CORP COM                  COMMON STOCK     001084102        3      121 SH       DEFINED                  121       0        0
AGCO CORP COM                  COMMON STOCK     001084102      274    10150 SH       OTHER                      0       0    10150
AIR PRODUCTS & CHEMICALS INC C COMMON STOCK     009158106    12524   193239 SH       DEFINED                92475       0   100764
AIR PRODUCTS & CHEMICALS INC C COMMON STOCK     009158106      672    10370 SH       OTHER                  10370       0        0
AKAMAI TECHNOLOGIES INC COM    COMMON STOCK     00971T101      732    18040 SH       DEFINED                  100       0    17940
AKAMAI TECHNOLOGIES INC COM    COMMON STOCK     00971T101      700    17250 SH       OTHER                      0       0    17250
ALCOA INC COM*                 COMMON STOCK     013817101     1303   129479 SH       DEFINED                69288       0    60191
ALCOA INC COM*                 COMMON STOCK     013817101     1269   126095 SH       OTHER                   8895       0   117200
ALLERGAN INC COM*              COMMON STOCK     018490102    11329   194463 SH       DEFINED               127895       0    66568
ALLERGAN INC COM*              COMMON STOCK     018490102     1494    25637 SH       OTHER                  25637       0        0
ALLIANT ENERGY CORP*           COMMON STOCK     018802108     5732   180608 SH       DEFINED                72318       0   108290
ALLIANT ENERGY CORP*           COMMON STOCK     018802108      216     6795 SH       OTHER                   6795       0        0
ALLIANT TECHSYSTEMS INC COM    COMMON STOCK     018804104     1229    19800 SH       OTHER                      0       0    19800
ALLSTATE CORP COM*             COMMON STOCK     020002101    10676   371607 SH       DEFINED               254121       0   117486
ALLSTATE CORP COM*             COMMON STOCK     020002101     4126   143608 SH       OTHER                  17408       0   126200
ALPHA NATURAL RES INC COM      COMMON STOCK     02076X102        2       61 SH       DEFINED                   61       0        0
ALPHA NATURAL RES INC COM      COMMON STOCK     02076X102     1599    47200 SH       OTHER                      0       0    47200
ALTRIA GROUP INC COM *         COMMON STOCK     02209S103     1790    89337 SH       DEFINED                86620       0     2717
ALTRIA GROUP INC COM *         COMMON STOCK     02209S103      883    44047 SH       OTHER                  44047       0        0
AMAZON.COM INC*                COMMON STOCK     023135106     6588    60295 SH       DEFINED                27964       0    32331
AMAZON.COM INC*                COMMON STOCK     023135106      134     1226 SH       OTHER                   1226       0        0
AMEDISYS INCORPORATED COM      COMMON STOCK     023436108     1240    28200 SH       OTHER                      0       0    28200
AMERICAN EAGLE OUTFITTERS INC  COMMON STOCK     02553E106      310    26341 SH       DEFINED                21541       0     4800
AMERICAN EAGLE OUTFITTERS INC  COMMON STOCK     02553E106      710    60400 SH       OTHER                      0       0    60400
AMERICAN ELECTRIC POWER INC CO COMMON STOCK     025537101      293     9062 SH       DEFINED                 9045       0       17
AMERICAN ELECTRIC POWER INC CO COMMON STOCK     025537101        1       29 SH       OTHER                     29       0        0
AMERICAN EQUITY INVT LIFE HLDG COMMON STOCK     025676206       49     4745 SH       DEFINED                    0       0     4745
AMERICAN EQUITY INVT LIFE HLDG COMMON STOCK     025676206     1384   134100 SH       OTHER                      0       0   134100
AMERICAN EXPRESS CO COM*       COMMON STOCK     025816109     6679   168247 SH       DEFINED               112342       0    55905
AMERICAN EXPRESS CO COM*       COMMON STOCK     025816109     1011    25454 SH       OTHER                  25454       0        0
AMERICAN MED SYS HLDGS INC COM COMMON STOCK     02744M108      377    17050 SH       OTHER                      0       0    17050
AMERICAN NATIONAL INSURANCE CO COMMON STOCK     028591105      512     6327 SH       DEFINED                 6327       0        0
AMERICAN VANGUARD CORP COM     COMMON STOCK     030371108      230    29029 SH       OTHER                      0       0    29029
AMERIGROUP CORPORATION COM     COMMON STOCK     03073T102     1199    36900 SH       OTHER                      0       0    36900
AMERIPRISE FINANCIAL INC COM*  COMMON STOCK     03076C106    10779   298343 SH       DEFINED               132898       0   165445
AMERIPRISE FINANCIAL INC COM*  COMMON STOCK     03076C106      375    10373 SH       OTHER                  10373       0        0
AMERON INTL CORP COM           COMMON STOCK     030710107      913    15126 SH       OTHER                      0       0    15126
AMETEK INC COM                 COMMON STOCK     031100100       51     1260 SH       DEFINED                    0       0     1260
AMETEK INC COM                 COMMON STOCK     031100100      373     9300 SH       OTHER                      0       0     9300
AMGEN INC COM*                 COMMON STOCK     031162100     2076    39474 SH       DEFINED                36888       0     2586
AMGEN INC COM*                 COMMON STOCK     031162100      158     3006 SH       OTHER                   3006       0        0
ANADARKO PETROLEUM CORP COM*   COMMON STOCK     032511107     5879   162891 SH       DEFINED               101276       0    61615
ANADARKO PETROLEUM CORP COM*   COMMON STOCK     032511107     1148    31797 SH       OTHER                  29297       0     2500
ANNALY CAPITAL MGMT INC REIT C COMMON STOCK     035710409     3343   194908 SH       DEFINED               193648       0     1260
ANNALY CAPITAL MGMT INC REIT C COMMON STOCK     035710409     4306   251101 SH       OTHER                   2801       0   248300
ANSYS INC COM                  COMMON STOCK     03662Q105       29      720 SH       DEFINED                    0       0      720
ANSYS INC COM                  COMMON STOCK     03662Q105      341     8400 SH       OTHER                      0       0     8400
APACHE CORP COM*               COMMON STOCK     037411105     2267    26926 SH       DEFINED                12536       0    14390
APACHE CORP COM*               COMMON STOCK     037411105      150     1787 SH       OTHER                   1787       0        0
APPLE INC COM *                COMMON STOCK     037833100    37528   149198 SH       DEFINED                94464       0    54734
APPLE INC COM *                COMMON STOCK     037833100     5020    19958 SH       OTHER                  19258       0      700
APPLIED MATERIALS INC COM *    COMMON STOCK     038222105     2225   185073 SH       DEFINED               183073       0     2000
APPLIED MATERIALS INC COM *    COMMON STOCK     038222105     1836   152729 SH       OTHER                  17229       0   135500
AQUA AMERICA INC COM*          COMMON STOCK     03836W103     6339   358553 SH       DEFINED               154204       0   204349
AQUA AMERICA INC COM*          COMMON STOCK     03836W103      438    24797 SH       OTHER                  24797       0        0
ARCH COAL INC COM*             COMMON STOCK     039380100      665    33576 SH       DEFINED                33576       0        0
ARCH COAL INC COM*             COMMON STOCK     039380100       52     2610 SH       OTHER                   2610       0        0
ARCHER DANIELS MIDLAND CO COM  COMMON STOCK     039483102     3398   131593 SH       DEFINED               131593       0        0
ARCHER DANIELS MIDLAND CO COM  COMMON STOCK     039483102     5482   212300 SH       OTHER                      0       0   212300
ARENA RESOURCES INC COM        COMMON STOCK     040049108      967    30300 SH       OTHER                      0       0    30300
ARTHROCARE CORPORATION COM     COMMON STOCK     043136100      863    28166 SH       OTHER                      0       0    28166
ARTIO GLOBAL INVS INC COM      COMMON STOCK     04315B107     1158    73600 SH       OTHER                      0       0    73600
AT & T INC COM*                COMMON STOCK     00206R102    17416   719952 SH       DEFINED               557437       0   162515
AT & T INC COM*                COMMON STOCK     00206R102    10829   447662 SH       OTHER                 129176     294   318192
ATHEROS COMMUNICATIONS INC COM COMMON STOCK     04743P108      881    32000 SH       OTHER                      0       0    32000
AUTOMATIC DATA PROCESSING INC  COMMON STOCK     053015103     7926   196865 SH       DEFINED               111750       0    85115
AUTOMATIC DATA PROCESSING INC  COMMON STOCK     053015103      626    15546 SH       OTHER                  15546       0        0
AVON PRODUCTS INC COM*         COMMON STOCK     054303102     4565   172282 SH       DEFINED                83120       0    89162
AVON PRODUCTS INC COM*         COMMON STOCK     054303102      330    12461 SH       OTHER                   6461       0     6000
BAKER HUGHES INC COM*          COMMON STOCK     057224107     1885    45345 SH       DEFINED                15949       0    29396
BAKER HUGHES INC COM*          COMMON STOCK     057224107       50     1198 SH       OTHER                   1198       0        0
BALDOR ELEC CO COM             COMMON STOCK     057741100       36     1000 SH       DEFINED                    0       0     1000
BALDOR ELEC CO COM             COMMON STOCK     057741100      289     8000 SH       OTHER                      0       0     8000
BALL CORP COM                  COMMON STOCK     058498106      296     5600 SH       OTHER                   5600       0        0
BANK OF AMERICA CORP COM*      COMMON STOCK     060505104     2383   165802 SH       DEFINED               147632       0    18170
BANK OF AMERICA CORP COM*      COMMON STOCK     060505104     3171   220702 SH       OTHER                  26872       0   193830
BANK OF HAWAII CORP COM*       COMMON STOCK     062540109    10988   227268 SH       DEFINED                78966       0   148302
BANK OF HAWAII CORP COM*       COMMON STOCK     062540109      412     8520 SH       OTHER                   8520       0        0
BANK OF NEW YORK MELLON CORP C COMMON STOCK     064058100     1166    47234 SH       DEFINED                37511       0     9723
BANK OF NEW YORK MELLON CORP C COMMON STOCK     064058100      547    22155 SH       OTHER                  14155       0     8000
BARD C. R. INC COM*            COMMON STOCK     067383109     7542    97280 SH       DEFINED                60722       0    36558
BARD C. R. INC COM*            COMMON STOCK     067383109     1166    15042 SH       OTHER                  15042       0        0
BASIC ENERGY SVCS INC COM      COMMON STOCK     06985P100      393    51024 SH       OTHER                      0       0    51024
BAXTER INTERNATIONAL INC COM * COMMON STOCK     071813109     2484    61117 SH       DEFINED                56493       0     4624
BAXTER INTERNATIONAL INC COM * COMMON STOCK     071813109     1194    29374 SH       OTHER                  29374       0        0
BB&T CORP COM*                 COMMON STOCK     054937107     8093   307618 SH       DEFINED               116173       0   191445
BB&T CORP COM*                 COMMON STOCK     054937107      291    11073 SH       OTHER                  11073       0        0
BE AEROSPACE INC COM           COMMON STOCK     073302101      397    15600 SH       OTHER                      0       0    15600
BECTON DICKINSON & CO COM*     COMMON STOCK     075887109     6716    99317 SH       DEFINED                63638       0    35679
BECTON DICKINSON & CO COM*     COMMON STOCK     075887109     2888    42710 SH       OTHER                  15210       0    27500
BEMIS INC COM*                 COMMON STOCK     081437105      117     4342 SH       DEFINED                 2872       0     1470
BEMIS INC COM*                 COMMON STOCK     081437105      286    10600 SH       OTHER                  10600       0        0
BERKSHIRE HATHAWAY INC CL B CO COMMON STOCK     084670702     1552    19478 SH       DEFINED                18778       0      700
BERKSHIRE HATHAWAY INC CL B CO COMMON STOCK     084670702      421     5288 SH       OTHER                   5288       0        0
BERKSHIRE HATHAWAY INC DEL CL  COMMON STOCK     084670108      600        5 SH       DEFINED                    5       0        0
BILL BARRETT CORPORATION COM   COMMON STOCK     06846N104       34     1100 SH       DEFINED                 1100       0        0
BILL BARRETT CORPORATION COM   COMMON STOCK     06846N104     1111    36100 SH       OTHER                      0       0    36100
BJ'S WHOLESALE CLUB INC COM    COMMON STOCK     05548J106     1273    34400 SH       OTHER                    800       0    33600
BLACK BOX CORPORATION COM      COMMON STOCK     091826107     2321    83210 SH       DEFINED                83112       0       98
BLACK BOX CORPORATION COM      COMMON STOCK     091826107     2774    99456 SH       OTHER                      0       0    99456
BOEING CO COM *                COMMON STOCK     097023105     4557    72624 SH       DEFINED                71490       0     1134
BOEING CO COM *                COMMON STOCK     097023105     5429    86523 SH       OTHER                   1723       0    84800
BORGWARNER INC COM*            COMMON STOCK     099724106     7961   213195 SH       DEFINED               139754       0    73441
BORGWARNER INC COM*            COMMON STOCK     099724106     1150    30786 SH       OTHER                  30786       0        0
BRIGHAM EXPL COCOM             COMMON STOCK     109178103      335    21800 SH       OTHER                      0       0    21800
BRISTOL-MYERS SQUIBB CO COM *  COMMON STOCK     110122108      850    34065 SH       DEFINED                28435       0     5630
BRISTOL-MYERS SQUIBB CO COM *  COMMON STOCK     110122108      279    11177 SH       OTHER                  11177       0        0
BROADRIDGE FINANCIAL SOLUTIONS COMMON STOCK     11133T103     1566    82202 SH       DEFINED                  900       0    81302
BROADRIDGE FINANCIAL SOLUTIONS COMMON STOCK     11133T103     1286    67500 SH       OTHER                      0       0    67500
BROCADE COMMUNICATIONS SYS INC COMMON STOCK     111621306       54    10500 SH       DEFINED                 3000       0     7500
BROCADE COMMUNICATIONS SYS INC COMMON STOCK     111621306     1051   203700 SH       OTHER                      0       0   203700
BRUNSWICK CORP COM             COMMON STOCK     117043109      288    23150 SH       OTHER                      0       0    23150
CALAMOS ASSET MGMT INC CL A CO COMMON STOCK     12811R104     1300   140100 SH       OTHER                      0       0   140100
CARLISLE COS INC COM           COMMON STOCK     142339100     1196    33097 SH       DEFINED                33097       0        0
CARLISLE COS INC COM           COMMON STOCK     142339100     1846    51100 SH       OTHER                      0       0    51100
CARPENTER TECHNOLOGY CORP COM  COMMON STOCK     144285103       16      500 SH       DEFINED                  500       0        0
CARPENTER TECHNOLOGY CORP COM  COMMON STOCK     144285103      373    11350 SH       OTHER                      0       0    11350
CARRIZO OIL & GAS INC COM      COMMON STOCK     144577103      893    57500 SH       OTHER                      0       0    57500
CATERPILLAR INC COM *          COMMON STOCK     149123101     4024    66992 SH       DEFINED                66237       0      755
CATERPILLAR INC COM *          COMMON STOCK     149123101     1051    17490 SH       OTHER                   9790       0     7700
CATHAY GENERAL BANCORP COM     COMMON STOCK     149150104     1197   115900 SH       OTHER                      0       0   115900
CBS CORP CL B COM*             COMMON STOCK     124857202      227    17580 SH       DEFINED                  701       0    16879
CELGENE CORP COM *             COMMON STOCK     151020104     6847   134735 SH       DEFINED                68804       0    65931
CELGENE CORP COM *             COMMON STOCK     151020104      331     6512 SH       OTHER                   6512       0        0
CEPHEID INC COM                COMMON STOCK     15670R107       76     4770 SH       DEFINED                    0       0     4770
CEPHEID INC COM                COMMON STOCK     15670R107     1028    64200 SH       OTHER                      0       0    64200
CERNER CORP COM                COMMON STOCK     156782104      300     3950 SH       OTHER                      0       0     3950
CHESAPEAKE ENERGY CORP COM*    COMMON STOCK     165167107     5285   252256 SH       DEFINED               148922       0   103334
CHESAPEAKE ENERGY CORP COM*    COMMON STOCK     165167107      309    14765 SH       OTHER                  14765       0        0
CHEVRON CORPORATION COM*       COMMON STOCK     166764100    19037   280540 SH       DEFINED               162702       0   117838
CHEVRON CORPORATION COM*       COMMON STOCK     166764100     2867    42255 SH       OTHER                  42255       0        0
CHICOS FAS INC COM             COMMON STOCK     168615102       10     1000 SH       DEFINED                 1000       0        0
CHICOS FAS INC COM             COMMON STOCK     168615102     1409   142600 SH       OTHER                      0       0   142600
CHIPOTLE MEXICAN GRILL INC CL  COMMON STOCK     169656105       68      500 SH       DEFINED                  500       0        0
CHIPOTLE MEXICAN GRILL INC CL  COMMON STOCK     169656105      417     3050 SH       OTHER                      0       0     3050
CHOICE HOTELS INTL INC COM     COMMON STOCK     169905106      566    18750 SH       DEFINED                    0       0    18750
CHUBB CORP COM*                COMMON STOCK     171232101      423     8449 SH       DEFINED                 3741       0     4708
CHUBB CORP COM*                COMMON STOCK     171232101       18      355 SH       OTHER                    355       0        0
CHURCH & DWIGHT CO INC COM*    COMMON STOCK     171340102      936    14932 SH       DEFINED                14857       0       75
CHURCH & DWIGHT CO INC COM*    COMMON STOCK     171340102       59      947 SH       OTHER                    947       0        0
CISCO SYSTEM INC COM*          COMMON STOCK     17275R102    21576  1012476 SH       DEFINED               540332       0   472144
CISCO SYSTEM INC COM*          COMMON STOCK     17275R102     2387   112010 SH       OTHER                 107010       0     5000
CITIGROUP INC COM              COMMON STOCK     172967101       72    19220 SH       DEFINED                13134       0     6086
CITIGROUP INC COM              COMMON STOCK     172967101       19     4971 SH       OTHER                   4971       0        0
CLOROX CO COM *                COMMON STOCK     189054109      244     3932 SH       DEFINED                 3225       0      707
CLOROX CO COM *                COMMON STOCK     189054109      242     3900 SH       OTHER                   3900       0        0
CME GROUP INC COM*             COMMON STOCK     12572Q105      313     1110 SH       DEFINED                 1089       0       21
CME GROUP INC COM*             COMMON STOCK     12572Q105      565     2008 SH       OTHER                   2008       0        0
COACH INC COM*                 COMMON STOCK     189754104      251     6878 SH       DEFINED                 6878       0        0
COACH INC COM*                 COMMON STOCK     189754104       52     1413 SH       OTHER                   1413       0        0
COCA COLA CO COM*              COMMON STOCK     191216100    23890   476659 SH       DEFINED               218677       0   257982
COCA COLA CO COM*              COMMON STOCK     191216100     2273    45351 SH       OTHER                  41351       0     4000
COEUR D'ALENE MINES CORP COM   COMMON STOCK     192108504       63     4000 SH       DEFINED                 1000       0     3000
COEUR D'ALENE MINES CORP COM   COMMON STOCK     192108504     1572    99600 SH       OTHER                      0       0    99600
COGNIZANT TECH. SOLUTIONS CL A COMMON STOCK     192446102    19845   396429 SH       DEFINED               284293       0   112136
COGNIZANT TECH. SOLUTIONS CL A COMMON STOCK     192446102     2300    45954 SH       OTHER                  45954       0        0
COLGATE-PALMOLIVE CO COM*      COMMON STOCK     194162103     3060    38848 SH       DEFINED                30720       0     8128
COLGATE-PALMOLIVE CO COM*      COMMON STOCK     194162103      925    11748 SH       OTHER                   9748       0     2000
COMCAST CORPORATION NEW CL A C COMMON STOCK     20030N101     1298    74712 SH       DEFINED                63844       0    10868
COMCAST CORPORATION NEW CL A C COMMON STOCK     20030N101      588    33879 SH       OTHER                  33879       0        0
COMPLETE PRODTN SVCS INC COM   COMMON STOCK     20453E109      143    10000 SH       DEFINED                10000       0        0
CONAGRA FOODS INC COM*         COMMON STOCK     205887102    12183   522409 SH       DEFINED               254212       0   268197
CONAGRA FOODS INC COM*         COMMON STOCK     205887102      838    35948 SH       OTHER                  35948       0        0
CONCHO RESOURCES INC COM       COMMON STOCK     20605P101       61     1100 SH       DEFINED                 1100       0        0
CONCHO RESOURCES INC COM       COMMON STOCK     20605P101      515     9300 SH       OTHER                      0       0     9300
CONOCOPHILLIPS COM*            COMMON STOCK     20825C104     6999   142585 SH       DEFINED               118905       0    23680
CONOCOPHILLIPS COM*            COMMON STOCK     20825C104     4529    92249 SH       OTHER                  34649       0    57600
CONSOLIDATED EDISON INC COM    COMMON STOCK     209115104      171     3974 SH       DEFINED                 3934       0       40
CONSOLIDATED EDISON INC COM    COMMON STOCK     209115104       85     1982 SH       OTHER                   1982       0        0
CONTINENTAL AIRLINES INC CLASS COMMON STOCK     210795308      223    10140 SH       DEFINED                    0       0    10140
COPART INC COM                 COMMON STOCK     217204106      380    10600 SH       OTHER                      0       0    10600
CORNING INC COM*               COMMON STOCK     219350105     4730   292904 SH       DEFINED               168764       0   124140
CORNING INC COM*               COMMON STOCK     219350105      253    15638 SH       OTHER                  15638       0        0
COSTCO WHOLESALE CORP NEW COM* COMMON STOCK     22160K105    13154   239905 SH       DEFINED               146083       0    93822
COSTCO WHOLESALE CORP NEW COM* COMMON STOCK     22160K105     1814    33093 SH       OTHER                  33093       0        0
CRANE CO COM                   COMMON STOCK     224399105     1175    38900 SH       OTHER                      0       0    38900
CULLEN/FROST BANKERS INC COM   COMMON STOCK     229899109    21672   421631 SH       DEFINED               403963       0    17668
CULLEN/FROST BANKERS INC COM   COMMON STOCK     229899109     2507    48780 SH       OTHER                  48780       0        0
CUMMINS INC*                   COMMON STOCK     231021106     9684   148688 SH       DEFINED                91117       0    57571
CUMMINS INC*                   COMMON STOCK     231021106     1197    18381 SH       OTHER                  18381       0        0
CVS CAREMARK CORP COM *        COMMON STOCK     126650100     3475   118532 SH       DEFINED                39398       0    79134
CVS CAREMARK CORP COM *        COMMON STOCK     126650100      620    21163 SH       OTHER                  14663       0     6500
CYMER INC COM                  COMMON STOCK     232572107     1223    40700 SH       OTHER                      0       0    40700
CYNOSURE INC COM               COMMON STOCK     232577205      108    10000 SH       DEFINED                10000       0        0
CYTEC INDUSTRIES INC COM       COMMON STOCK     232820100      328     8200 SH       OTHER                      0       0     8200
DANAHER CORPORATION COM*       COMMON STOCK     235851102      317     8540 SH       DEFINED                 1200       0     7340
DANAHER CORPORATION COM*       COMMON STOCK     235851102      310     8340 SH       OTHER                   2340       0     6000
DEERE & CO COM *               COMMON STOCK     244199105    11843   212700 SH       DEFINED               119620       0    93080
DEERE & CO COM *               COMMON STOCK     244199105     1575    28295 SH       OTHER                  28295       0        0
DEL MONTE FOODS INC            COMMON STOCK     24522P103     1611   111975 SH       DEFINED                    0       0   111975
DEL MONTE FOODS INC            COMMON STOCK     24522P103        4      283 SH       OTHER                    283       0        0
DELL INC COM*                  COMMON STOCK     24702R101      881    73027 SH       DEFINED                70762       0     2265
DELL INC COM*                  COMMON STOCK     24702R101       71     5923 SH       OTHER                   5923       0        0
DENBURY RESOURCES INC (HOLDING COMMON STOCK     247916208      249    17022 SH       DEFINED                   48       0    16974
DENTSPLY INTERNATIONAL INC NEW COMMON STOCK     249030107      887    29650 SH       DEFINED                 1000       0    28650
DENTSPLY INTERNATIONAL INC NEW COMMON STOCK     249030107      179     6000 SH       OTHER                      0       0     6000
DEVON ENERGY CORPORATION NEW C COMMON STOCK     25179M103     5053    82953 SH       DEFINED                80950       0     2003
DEVON ENERGY CORPORATION NEW C COMMON STOCK     25179M103      405     6656 SH       OTHER                   5656       0     1000
DEVRY INC DEL COM*             COMMON STOCK     251893103      247     4700 SH       DEFINED                 4700       0        0
DEVRY INC DEL COM*             COMMON STOCK     251893103      149     2840 SH       OTHER                   2840       0        0
DICKS SPORTING GOODS INC COM   COMMON STOCK     253393102       49     1970 SH       DEFINED                 1970       0        0
DICKS SPORTING GOODS INC COM   COMMON STOCK     253393102      353    14200 SH       OTHER                      0       0    14200
DIEBOLD INC COM                COMMON STOCK     253651103     1199    44000 SH       OTHER                      0       0    44000
DIRECTV COM CLASS A            COMMON STOCK     25490A101       63     1861 SH       DEFINED                 1861       0        0
DIRECTV COM CLASS A            COMMON STOCK     25490A101      313     9240 SH       OTHER                   9240       0        0
DISNEY (WALT) COMPANY HOLDING  COMMON STOCK     254687106     2958    93898 SH       DEFINED                81949       0    11949
DISNEY (WALT) COMPANY HOLDING  COMMON STOCK     254687106      961    30522 SH       OTHER                  30522       0        0
DJ WILSHIRE REIT ETF*          COMMON STOCK     78464A607     5409   106042 SH       DEFINED               102132       0     3910
DJ WILSHIRE REIT ETF*          COMMON STOCK     78464A607       30      580 SH       OTHER                    580       0        0
DOLE FOOD COMPANY INC COM      COMMON STOCK     256603101      720    69000 SH       OTHER                      0       0    69000
DOMINION RES INC VA NEW COM*   COMMON STOCK     25746U109     3302    85238 SH       DEFINED                85238       0        0
DOMINION RES INC VA NEW COM*   COMMON STOCK     25746U109      635    16394 SH       OTHER                  16394       0        0
DOVER CORP COM *               COMMON STOCK     260003108     2692    64408 SH       DEFINED                64263       0      145
DOVER CORP COM *               COMMON STOCK     260003108     4405   105400 SH       OTHER                      0       0   105400
DOW CHEMICAL CO COM *          COMMON STOCK     260543103     5359   225946 SH       DEFINED               185137       0    40809
DOW CHEMICAL CO COM *          COMMON STOCK     260543103     3179   134003 SH       OTHER                   7703       0   126300
DU PONT E I DE NEMOURS & CO CO COMMON STOCK     263534109     2617    75668 SH       DEFINED                65530       0    10138
DU PONT E I DE NEMOURS & CO CO COMMON STOCK     263534109      548    15833 SH       OTHER                  15733       0      100
DUKE ENERGY HOLDING CORP COM*  COMMON STOCK     26441C105     1815   113465 SH       DEFINED               104465       0     9000
DUKE ENERGY HOLDING CORP COM*  COMMON STOCK     26441C105      311    19465 SH       OTHER                  19465       0        0
DYNACQ HEALTHCARE INC COM      COMMON STOCK     26779V105      144    62519 SH       DEFINED                62519       0        0
E M C CORP MASSACHUSETTS COM * COMMON STOCK     268648102    12239   668774 SH       DEFINED               386332       0   282442
E M C CORP MASSACHUSETTS COM * COMMON STOCK     268648102      497    27148 SH       OTHER                  27148       0        0
EATON CORP COM*                COMMON STOCK     278058102      999    15262 SH       DEFINED                12120       0     3142
EATON CORP COM*                COMMON STOCK     278058102      143     2191 SH       OTHER                   2191       0        0
EBAY INCORPORATED COM*         COMMON STOCK     278642103      402    20513 SH       DEFINED                20309       0      204
EBAY INCORPORATED COM*         COMMON STOCK     278642103      508    25906 SH       OTHER                  25906       0        0
ELECTRO SCIENTIFIC INDUSTRIES  COMMON STOCK     285229100      631    47253 SH       OTHER                      0       0    47253
ELI LILLY & CO COM *           COMMON STOCK     532457108     3073    91727 SH       DEFINED                90477       0     1250
ELI LILLY & CO COM *           COMMON STOCK     532457108     2437    72760 SH       OTHER                  11410     150    61200
EMCORE CORP COM                COMMON STOCK     290846104       18    20000 SH       DEFINED                20000       0        0
EMDEON INCORPORATED CL A COM   COMMON STOCK     29084T104     1269   101300 SH       OTHER                      0       0   101300
EMERSON ELECTRIC CO COM*       COMMON STOCK     291011104    23259   532372 SH       DEFINED               325610       0   206762
EMERSON ELECTRIC CO COM*       COMMON STOCK     291011104     3432    78563 SH       OTHER                  78563       0        0
ENDO PHARMACEUTICALS HLDGS INC COMMON STOCK     29264F205       44     2030 SH       DEFINED                    0       0     2030
ENDO PHARMACEUTICALS HLDGS INC COMMON STOCK     29264F205      307    14050 SH       OTHER                      0       0    14050
ENERGY CONVERSION DEVICES INC  COMMON STOCK     292659109      381    92990 SH       DEFINED                92990       0        0
ENZO BIOCHEM INC COM           COMMON STOCK     294100102      337    82772 SH       DEFINED                82772       0        0
EOG RESOURCES INC COM          COMMON STOCK     26875P101      439     4458 SH       DEFINED                 2313       0     2145
EQT CORPORATION COM            COMMON STOCK     26884L109     1074    29725 SH       DEFINED                    0       0    29725
EXCO RESOURCES INC COM         COMMON STOCK     269279402      124     8500 SH       DEFINED                    0       0     8500
EXCO RESOURCES INC COM         COMMON STOCK     269279402      101     6900 SH       OTHER                      0       0     6900
EXPEDIA INC COM                COMMON STOCK     30212P105      113     5995 SH       DEFINED                    0       0     5995
EXPEDIA INC COM                COMMON STOCK     30212P105      297    15800 SH       OTHER                      0       0    15800
EXPRESS SCRIPTS INC COM*       COMMON STOCK     302182100      630    13390 SH       DEFINED                 4536       0     8854
EXPRESS SCRIPTS INC COM*       COMMON STOCK     302182100       39      840 SH       OTHER                    840       0        0
EXXON MOBIL CORP COM*          COMMON STOCK     30231G102    56082   982681 SH       DEFINED               692117       0   290564
EXXON MOBIL CORP COM*          COMMON STOCK     30231G102    13354   234000 SH       OTHER                 232800       0     1200
FAMILY DOLLAR STORES INC COM*  COMMON STOCK     307000109      218     5783 SH       DEFINED                 3908       0     1875
FIDELITY NATIONAL FINANCIAL IN COMMON STOCK     31620R105     1306   100533 SH       DEFINED                98341       0     2192
FIDELITY NATIONAL FINANCIAL IN COMMON STOCK     31620R105     2836   218300 SH       OTHER                      0       0   218300
FIDELITY NATL INF SVCS INC COM COMMON STOCK     31620M106      713    26584 SH       DEFINED                  309       0    26275
FIRST HORIZON NATIONAL CORP CO COMMON STOCK     320517105      294    25644 SH       OTHER                      0       0    25644
FLOWERS FOODS INC COM          COMMON STOCK     343498101      302    12347 SH       DEFINED                12347       0        0
FMC CORP COM NEW               COMMON STOCK     302491303      234     4082 SH       DEFINED                  650       0     3432
FMC CORP COM NEW               COMMON STOCK     302491303      589    10250 SH       OTHER                      0       0    10250
FOOT LOCKER INC COM            COMMON STOCK     344849104      239    18920 SH       DEFINED                 4720       0    14200
FORD MOTOR COMPANY COM         COMMON STOCK     345370860      163    16130 SH       DEFINED                11770       0     4360
FORD MOTOR COMPANY COM         COMMON STOCK     345370860       26     2546 SH       OTHER                   2546       0        0
FOREST OIL CORP COM            COMMON STOCK     346091705     1116    40800 SH       OTHER                      0       0    40800
FORESTAR GROUP INC             COMMON STOCK     346233109      541    30120 SH       DEFINED                30120       0        0
FORTUNE BRANDS INC COM *       COMMON STOCK     349631101      198     5043 SH       DEFINED                 5043       0        0
FORTUNE BRANDS INC COM *       COMMON STOCK     349631101       29      736 SH       OTHER                    736       0        0
FRANKLIN ELECTRIC CO INC COM   COMMON STOCK     353514102     1199    41600 SH       OTHER                      0       0    41600
FREEPORT-MCMORAN COPPER & GOLD COMMON STOCK     35671D857     4066    68766 SH       DEFINED                67713       0     1053
FREEPORT-MCMORAN COPPER & GOLD COMMON STOCK     35671D857      181     3055 SH       OTHER                   3055       0        0
FRESH DEL MONTE PRODUCE INC CO COMMON STOCK     G36738105     1271    62800 SH       OTHER                      0       0    62800
FTI CONSULTING INC COM         COMMON STOCK     302941109     1482    34000 SH       OTHER                      0       0    34000
F5 NETWORKS INC COM            COMMON STOCK     315616102      437     6375 SH       OTHER                      0       0     6375
GANNETT CO COM*                COMMON STOCK     364730101     1405   104412 SH       DEFINED               104412       0        0
GANNETT CO COM*                COMMON STOCK     364730101     3283   243940 SH       OTHER                   8440       0   235500
GENERAL DYNAMICS CORP COM*     COMMON STOCK     369550108     1878    32070 SH       DEFINED                10834       0    21236
GENERAL DYNAMICS CORP COM*     COMMON STOCK     369550108      927    15830 SH       OTHER                  15830       0        0
GENERAL ELECTRIC CO COM*       COMMON STOCK     369604103    23615  1637643 SH       DEFINED              1007735       0   629908
GENERAL ELECTRIC CO COM*       COMMON STOCK     369604103     4278   296696 SH       OTHER                 286246     450    10000
GENERAL MILLS INC COM*         COMMON STOCK     370334104      343     9669 SH       DEFINED                 8119       0     1550
GENERAL MILLS INC COM*         COMMON STOCK     370334104      971    27340 SH       OTHER                  27340       0        0
GENTEX CORP COM*               COMMON STOCK     371901109     4171   231967 SH       DEFINED               104182       0   127785
GENTEX CORP COM*               COMMON STOCK     371901109      199    11068 SH       OTHER                  11068       0        0
GENTIVA HEALTH SVCS INC COM    COMMON STOCK     37247A102     1089    40300 SH       OTHER                      0       0    40300
GENWORTH FINANCIAL INC CL A CO COMMON STOCK     37247D106      470    35963 SH       DEFINED                34222       0     1741
GENWORTH FINANCIAL INC CL A CO COMMON STOCK     37247D106     1223    93561 SH       OTHER                   2061       0    91500
GENZYME CORP-GENERAL DIVISION  COMMON STOCK     372917104      538    10590 SH       DEFINED                10590       0        0
GEORGIA GULF CORP COM          COMMON STOCK     373200302      682    51100 SH       OTHER                      0       0    51100
GILEAD SCIENCES INC COM*       COMMON STOCK     375558103    13430   391773 SH       DEFINED               246385       0   145388
GILEAD SCIENCES INC COM*       COMMON STOCK     375558103     1370    39973 SH       OTHER                  34973       0     5000
GOLDMAN SACHS GROUP INC COM*   COMMON STOCK     38141G104     7885    60066 SH       DEFINED                30299       0    29767
GOLDMAN SACHS GROUP INC COM*   COMMON STOCK     38141G104     1063     8098 SH       OTHER                   8098       0        0
GOODRICH CORP COM*             COMMON STOCK     382388106      635     9585 SH       DEFINED                 9549       0       36
GOODRICH CORP COM*             COMMON STOCK     382388106       46      690 SH       OTHER                    690       0        0
GOOGLE INC CL A*               COMMON STOCK     38259P508    19741    44366 SH       DEFINED                27189       0    17177
GOOGLE INC CL A*               COMMON STOCK     38259P508     2037     4579 SH       OTHER                   4579       0        0
GRAFTECH INTL LTD COM          COMMON STOCK     384313102      918    62800 SH       OTHER                      0       0    62800
GRAINGER W W INC COM           COMMON STOCK     384802104      231     2320 SH       DEFINED                 2020       0      300
GRANITE CONSTRUCTION INC COM   COMMON STOCK     387328107      441    18700 SH       DEFINED                18700       0        0
GRANITE CONSTRUCTION INC COM   COMMON STOCK     387328107     1561    66200 SH       OTHER                      0       0    66200
GREAT PLAINS ENERGY INC COM*   COMMON STOCK     391164100      323    18995 SH       DEFINED                18995       0        0
GREAT PLAINS ENERGY INC COM*   COMMON STOCK     391164100       62     3648 SH       OTHER                   3648       0        0
GREEN MTN COFFEE ROASTERS INC  COMMON STOCK     393122106     5852   227692 SH       DEFINED               140467       0    87225
GREEN MTN COFFEE ROASTERS INC  COMMON STOCK     393122106      165     6427 SH       OTHER                   6427       0        0
GREENHILL & CO INC COM         COMMON STOCK     395259104      844    13800 SH       OTHER                      0       0    13800
HALLIBURTON CO COM*            COMMON STOCK     406216101     2280    92853 SH       DEFINED                78189       0    14664
HALLIBURTON CO COM*            COMMON STOCK     406216101     1139    46391 SH       OTHER                  46391       0        0
HANESBRANDS INC*               COMMON STOCK     410345102     1350    56092 SH       DEFINED                   17       0    56075
HANESBRANDS INC*               COMMON STOCK     410345102       10      400 SH       OTHER                    400       0        0
HANOVER INSURANCE GROUP INC CO COMMON STOCK     410867105     1301    29900 SH       OTHER                      0       0    29900
HARRIS CORP DELAWARE COM       COMMON STOCK     413875105       25      600 SH       DEFINED                  500       0      100
HARRIS CORP DELAWARE COM       COMMON STOCK     413875105      427    10250 SH       OTHER                      0       0    10250
HCC INSURANCE HOLDINGS INC COM COMMON STOCK     404132102      232     9371 SH       DEFINED                 5006       0     4365
HCC INSURANCE HOLDINGS INC COM COMMON STOCK     404132102        2       80 SH       OTHER                     80       0        0
HEALTH MGMT ASSOC INC NEW CLAS COMMON STOCK     421933102      333    42800 SH       OTHER                      0       0    42800
HEALTH NET INC COM             COMMON STOCK     42222G108     1180    48400 SH       OTHER                      0       0    48400
HEINZ H. J. CO COM *           COMMON STOCK     423074103      852    19720 SH       DEFINED                16020       0     3700
HEINZ H. J. CO COM *           COMMON STOCK     423074103      207     4800 SH       OTHER                   4800       0        0
HERMAN MILLER INCORPORATED COM COMMON STOCK     600544100     1261    66800 SH       OTHER                      0       0    66800
HESS CORPORATION COM           COMMON STOCK     42809H107      244     4840 SH       DEFINED                 4840       0        0
HEWLETT PACKARD CO (DEL) COM*  COMMON STOCK     428236103    18529   428130 SH       DEFINED               241988       0   186142
HEWLETT PACKARD CO (DEL) COM*  COMMON STOCK     428236103     2250    51997 SH       OTHER                  51997       0        0
HHGREGG INC COM                COMMON STOCK     42833L108       76     3267 SH       DEFINED                 3267       0        0
HHGREGG INC COM                COMMON STOCK     42833L108      895    38400 SH       OTHER                      0       0    38400
HOME DEPOT INC COM *           COMMON STOCK     437076102     8179   291362 SH       DEFINED               180847       0   110515
HOME DEPOT INC COM *           COMMON STOCK     437076102     3331   118681 SH       OTHER                  12981       0   105700
HONEYWELL INTERNATIONAL INC CO COMMON STOCK     438516106     9710   248794 SH       DEFINED               135815       0   112979
HONEYWELL INTERNATIONAL INC CO COMMON STOCK     438516106      569    14576 SH       OTHER                  14576       0        0
HUDSON CITY BANCORP INC COM*   COMMON STOCK     443683107     9827   802227 SH       DEFINED               350077       0   452150
HUDSON CITY BANCORP INC COM*   COMMON STOCK     443683107      282    23025 SH       OTHER                  23025       0        0
ILLINOIS TOOL WORKS INC COM *  COMMON STOCK     452308109    11957   289648 SH       DEFINED               146235       0   143413
ILLINOIS TOOL WORKS INC COM *  COMMON STOCK     452308109     1182    28625 SH       OTHER                  28625       0        0
INT'L FLAVORS & FRAGRANCES INC COMMON STOCK     459506101     1629    38402 SH       DEFINED                 1227       0    37175
INTEGRATED DEVICE TECH INC COM COMMON STOCK     458118106     2028   409600 SH       OTHER                      0       0   409600
INTEL CORP COM *               COMMON STOCK     458140100    22150  1138840 SH       DEFINED               698808       0   440032
INTEL CORP COM *               COMMON STOCK     458140100     1785    91767 SH       OTHER                  91767       0        0
INTERSIL CORP COM              COMMON STOCK     46069S109     1152    95100 SH       OTHER                      0       0    95100
INTL BUSINESS MACHINES CORP CO COMMON STOCK     459200101    18091   146510 SH       DEFINED               102056       0    44454
INTL BUSINESS MACHINES CORP CO COMMON STOCK     459200101    12334    99884 SH       OTHER                  45184       0    54700
INTREPID POTASH INC COM        COMMON STOCK     46121Y102      673    34400 SH       DEFINED                    0       0    34400
INTREPID POTASH INC COM        COMMON STOCK     46121Y102      977    49900 SH       OTHER                      0       0    49900
INTUITIVE SURGICAL INC COM*    COMMON STOCK     46120E602     2123     6726 SH       DEFINED                 6619       0      107
INTUITIVE SURGICAL INC COM*    COMMON STOCK     46120E602      196      622 SH       OTHER                    622       0        0
INVERNESS MED INNOVATIONS INC  COMMON STOCK     46126P106     1221    45800 SH       OTHER                      0       0    45800
ISHARES BARCLAYS AGGREGATE BON COMMON STOCK     464287226      908     8467 SH       DEFINED                  772       0     7695
ISHARES BARCLAYS INTER CR ETF* COMMON STOCK     464288638      227     2151 SH       DEFINED                  177       0     1974
ISHARES BARCLAYS TIPS BOND FUN COMMON STOCK     464287176    13901   130029 SH       DEFINED               126100       0     3929
ISHARES BARCLAYS TIPS BOND FUN COMMON STOCK     464287176     1723    16118 SH       OTHER                  16118       0        0
ISHARES BARCLAYS 1-3 YEAR TREA COMMON STOCK     464287457      694     8256 SH       DEFINED                 5299       0     2957
ISHARES BARCLAYS 1-3 YEAR TREA COMMON STOCK     464287457      180     2141 SH       OTHER                   2141       0        0
ISHARES BARCLAYS 20+ YR TREAS  COMMON STOCK     464287432      570     5602 SH       DEFINED                 5602       0        0
ISHARES COHEN & STEERS REALTY* COMMON STOCK     464287564    16188   294817 SH       DEFINED               294817       0        0
ISHARES COHEN & STEERS REALTY* COMMON STOCK     464287564     1752    31898 SH       OTHER                  31898       0        0
ISHARES DJ SELECT DIVIDEND IND COMMON STOCK     464287168     5651   133189 SH       DEFINED               133189       0        0
ISHARES DJ SELECT DIVIDEND IND COMMON STOCK     464287168     1062    25021 SH       OTHER                  24621     400        0
ISHARES IBOXX $ H/Y CORP BOND  COMMON STOCK     464288513      509     5990 SH       DEFINED                 5800       0      190
ISHARES IBOXX $ INVT GRADE COR COMMON STOCK     464287242    68721   633604 SH       DEFINED               626831       0     6773
ISHARES IBOXX $ INVT GRADE COR COMMON STOCK     464287242     2796    25779 SH       OTHER                  25779       0        0
ISHARES INC MSCI JAPAN INDEX F COMMON STOCK     464286848      129    14064 SH       DEFINED                 3014       0    11050
ISHARES MSCI EAFE INDEX FUND*  COMMON STOCK     464287465     4088    87886 SH       DEFINED                64939       0    22947
ISHARES MSCI EAFE INDEX FUND*  COMMON STOCK     464287465      286     6139 SH       OTHER                   6139       0        0
ISHARES MSCI EMERGING MKTS IND COMMON STOCK     464287234     2438    65321 SH       DEFINED                58473       0     6848
ISHARES MSCI EMERGING MKTS IND COMMON STOCK     464287234      291     7792 SH       OTHER                   7792       0        0
ISHARES RUSSELL 1000 GROWTH*   COMMON STOCK     464287614     6349   138532 SH       DEFINED               137432       0     1100
ISHARES RUSSELL 1000 GROWTH*   COMMON STOCK     464287614      625    13631 SH       OTHER                  13631       0        0
ISHARES RUSSELL 1000 VALUE IND COMMON STOCK     464287598     4488    82785 SH       DEFINED                82785       0        0
ISHARES RUSSELL 1000 VALUE IND COMMON STOCK     464287598      453     8364 SH       OTHER                   8364       0        0
ISHARES RUSSELL 2000 GRWTH IND COMMON STOCK     464287648     1188    17852 SH       DEFINED                17852       0        0
ISHARES RUSSELL 2000 GRWTH IND COMMON STOCK     464287648     4274    64196 SH       OTHER                   6896       0    57300
ISHARES RUSSELL 2000 INDEX FUN COMMON STOCK     464287655     5104    83520 SH       DEFINED                83520       0        0
ISHARES RUSSELL 2000 INDEX FUN COMMON STOCK     464287655     3088    50525 SH       OTHER                   3525       0    47000
ISHARES RUSSELL 2000 VALUE IND COMMON STOCK     464287630      444     7780 SH       DEFINED                 7780       0        0
ISHARES RUSSELL 2000 VALUE IND COMMON STOCK     464287630       19      325 SH       OTHER                    325       0        0
ISHARES S&P GLOBAL ENERGY SECT COMMON STOCK     464287341      227     7762 SH       DEFINED                 7762       0        0
ISHARES S&P GLOBAL ENERGY SECT COMMON STOCK     464287341        3      100 SH       OTHER                    100       0        0
ISHARES S&P MIDCAP 400 GROWTH* COMMON STOCK     464287606     1982    25781 SH       DEFINED                25781       0        0
ISHARES S&P MIDCAP 400 GROWTH* COMMON STOCK     464287606      471     6125 SH       OTHER                   6125       0        0
ISHARES S&P MIDCAP 400 INDEX F COMMON STOCK     464287507     1641    23071 SH       DEFINED                18469       0     4602
ISHARES S&P MIDCAP 400 INDEX F COMMON STOCK     464287507      187     2630 SH       OTHER                   2630       0        0
ISHARES S&P SMALLCAP 600 INDEX COMMON STOCK     464287804     1376    25413 SH       DEFINED                 7477       0    17936
ISHARES S&P SMALLCAP 600 INDEX COMMON STOCK     464287804       14      260 SH       OTHER                    260       0        0
ISHARES S&P 500 INDEX FUND     COMMON STOCK     464287200      613     5921 SH       DEFINED                 5921       0        0
ISHARES S&P 500/BARRA GROWTH*  COMMON STOCK     464287309      924    17452 SH       DEFINED                 7798       0     9654
ISHARES SILVER TRUST           COMMON STOCK     46428Q109       88     4829 SH       DEFINED                 4829       0        0
ISHARES SILVER TRUST           COMMON STOCK     46428Q109      619    34002 SH       OTHER                  34002       0        0
JACK IN THE BOX INC COM        COMMON STOCK     466367109        3      162 SH       DEFINED                  162       0        0
JACK IN THE BOX INC COM        COMMON STOCK     466367109     1183    60800 SH       OTHER                      0       0    60800
JACOBS ENGINEERING GROUP INC C COMMON STOCK     469814107      748    20519 SH       DEFINED                20519       0        0
JOHNSON & JOHNSON COM *        COMMON STOCK     478160104    18657   315906 SH       DEFINED               205544       0   110362
JOHNSON & JOHNSON COM *        COMMON STOCK     478160104     5453    92322 SH       OTHER                  70422       0    21900
JOHNSON CONTROLS INC COM *     COMMON STOCK     478366107       79     2925 SH       DEFINED                 2220       0      705
JOHNSON CONTROLS INC COM *     COMMON STOCK     478366107      233     8655 SH       OTHER                   8655       0        0
JPMORGAN CHASE & CO COM*       COMMON STOCK     46625H100    20760   567056 SH       DEFINED               313652       0   253404
JPMORGAN CHASE & CO COM*       COMMON STOCK     46625H100     2676    73084 SH       OTHER                  67084       0     6000
KANSAS CITY SOUTHERN INDUSTRIE COMMON STOCK     485170302      449    12342 SH       OTHER                     92       0    12250
KELLOGG CO COM*                COMMON STOCK     487836108     7574   150571 SH       DEFINED                66011       0    84560
KELLOGG CO COM*                COMMON STOCK     487836108      381     7573 SH       OTHER                   7573       0        0
KENNAMETAL INC COM*            COMMON STOCK     489170100      780    30661 SH       DEFINED                30661       0        0
KENNAMETAL INC COM*            COMMON STOCK     489170100     1221    47998 SH       OTHER                   2798       0    45200
KIMBERLY CLARK CORP COM*       COMMON STOCK     494368103     4494    74123 SH       DEFINED                28628       0    45495
KIMBERLY CLARK CORP COM*       COMMON STOCK     494368103      656    10817 SH       OTHER                  10817       0        0
KINETIC CONCEPTS INC COM       COMMON STOCK     49460W208     2833    77595 SH       DEFINED                77595       0        0
KING PHARMACEUTICALS INC COM   COMMON STOCK     495582108     1220   160800 SH       OTHER                      0       0   160800
KIRBY CORP COM                 COMMON STOCK     497266106       32      845 SH       DEFINED                    0       0      845
KIRBY CORP COM                 COMMON STOCK     497266106     1224    32000 SH       OTHER                      0       0    32000
KRAFT FOODS INC CLASS A COM*   COMMON STOCK     50075N104      786    28089 SH       DEFINED                18577       0     9512
KRAFT FOODS INC CLASS A COM*   COMMON STOCK     50075N104      813    29048 SH       OTHER                  29048       0        0
LABOPHARM INC COM              COMMON STOCK     504905100        9    10000 SH       DEFINED                10000       0        0
LIFE TIME FITNESS INCORPORATED COMMON STOCK     53217R207       48     1500 SH       DEFINED                 1500       0        0
LIFE TIME FITNESS INCORPORATED COMMON STOCK     53217R207      321    10100 SH       OTHER                      0       0    10100
LINCOLN NATIONAL CORP INDIANA  COMMON STOCK     534187109      383    15759 SH       DEFINED                14759       0     1000
LINCOLN NATIONAL CORP INDIANA  COMMON STOCK     534187109      869    35784 SH       OTHER                    217       0    35567
LKQ CORP COM                   COMMON STOCK     501889208      122     6335 SH       DEFINED                    0       0     6335
LKQ CORP COM                   COMMON STOCK     501889208      415    21500 SH       OTHER                      0       0    21500
LOCKHEED MARTIN CORP COM *     COMMON STOCK     539830109      390     5232 SH       DEFINED                 5232       0        0
LOCKHEED MARTIN CORP COM *     COMMON STOCK     539830109       57      767 SH       OTHER                    767       0        0
LOWES COS INC COM *            COMMON STOCK     548661107     9226   451809 SH       DEFINED               327816       0   123993
LOWES COS INC COM *            COMMON STOCK     548661107     1508    73859 SH       OTHER                  73859       0        0
M D U RESOURCES GROUP INC COM  COMMON STOCK     552690109     1738    96414 SH       DEFINED                 3964       0    92450
M D U RESOURCES GROUP INC COM  COMMON STOCK     552690109      156     8660 SH       OTHER                    760       0     7900
M&T BANK CORP COM*             COMMON STOCK     55261F104      343     4041 SH       DEFINED                 3741       0      300
MARATHON OIL CORP COM*         COMMON STOCK     565849106      332    10686 SH       DEFINED                 6317       0     4369
MARATHON OIL CORP COM*         COMMON STOCK     565849106       92     2948 SH       OTHER                   2948       0        0
MARSH & MCLENNAN COS INC COM*  COMMON STOCK     571748102     3543   157124 SH       DEFINED               157124       0        0
MARSH & MCLENNAN COS INC COM*  COMMON STOCK     571748102     6940   307750 SH       OTHER                   4050       0   303700
MASTERCARD INC CL A COM*       COMMON STOCK     57636Q104     6319    31669 SH       DEFINED                20026       0    11643
MASTERCARD INC CL A COM*       COMMON STOCK     57636Q104      205     1025 SH       OTHER                   1025       0        0
MAXIM INTEGRATED PRODUCTS INC  COMMON STOCK     57772K101     7491   447758 SH       DEFINED               203613       0   244145
MAXIM INTEGRATED PRODUCTS INC  COMMON STOCK     57772K101      396    23671 SH       OTHER                  23671       0        0
MB FINANCIAL INCORPORATED COM  COMMON STOCK     55264U108     1173    63800 SH       OTHER                      0       0    63800
MCCORMICK & CO INC COM NON VOT COMMON STOCK     579780206      805    21200 SH       DEFINED                  750       0    20450
MCDONALD'S CORP COM *          COMMON STOCK     580135101    12094   183606 SH       DEFINED                97893       0    85713
MCDONALD'S CORP COM *          COMMON STOCK     580135101     1300    19730 SH       OTHER                  19730       0        0
MEDASSETS INC COM              COMMON STOCK     584045108      411    17800 SH       OTHER                      0       0    17800
MEDCO HEALTH SOLUTIONS INC COM COMMON STOCK     58405U102     7802   141644 SH       DEFINED                91755       0    49889
MEDCO HEALTH SOLUTIONS INC COM COMMON STOCK     58405U102     1039    18857 SH       OTHER                  18857       0        0
MEDICIS PHARMACEUTICAL CL A    COMMON STOCK     584690309       28     1300 SH       DEFINED                    0       0     1300
MEDICIS PHARMACEUTICAL CL A    COMMON STOCK     584690309     1208    55200 SH       OTHER                      0       0    55200
MEDTRONIC INC COM*             COMMON STOCK     585055106    10167   280311 SH       DEFINED               123650       0   156661
MEDTRONIC INC COM*             COMMON STOCK     585055106     1379    38009 SH       OTHER                   7909       0    30100
MERCK & CO INC NEW COM*        COMMON STOCK     58933Y105    21717   621024 SH       DEFINED               347038       0   273986
MERCK & CO INC NEW COM*        COMMON STOCK     58933Y105     1437    41090 SH       OTHER                  41090       0        0
METLIFE INC COM*               COMMON STOCK     59156R108     6407   169686 SH       DEFINED               132241       0    37445
METLIFE INC COM*               COMMON STOCK     59156R108     1468    38877 SH       OTHER                  38877       0        0
METROPCS COMMUNICATIONS INC CO COMMON STOCK     591708102        2      300 SH       DEFINED                    0       0      300
METROPCS COMMUNICATIONS INC CO COMMON STOCK     591708102      365    44600 SH       OTHER                      0       0    44600
MICROCHIP TECHNOLOGY INC COM   COMMON STOCK     595017104       92     3325 SH       DEFINED                  825       0     2500
MICROCHIP TECHNOLOGY INC COM   COMMON STOCK     595017104      841    30300 SH       OTHER                      0       0    30300
MICROSOFT CORP WASHINGTON COM* COMMON STOCK     594918104    27919  1213327 SH       DEFINED               640011       0   573316
MICROSOFT CORP WASHINGTON COM* COMMON STOCK     594918104     3032   131751 SH       OTHER                 125751       0     6000
MONSANTO CO NEW COM*           COMMON STOCK     61166W101     1362    29477 SH       DEFINED                27092       0     2385
MONSANTO CO NEW COM*           COMMON STOCK     61166W101      217     4686 SH       OTHER                   4686       0        0
MOSAIC COMPANY COM*            COMMON STOCK     61945A107     6606   169464 SH       DEFINED                87288       0    82176
MOSAIC COMPANY COM*            COMMON STOCK     61945A107      309     7936 SH       OTHER                   7936       0        0
MUELLER WTR PRODS INC COM      COMMON STOCK     624758108      886   238900 SH       OTHER                      0       0   238900
MYRIAD GENETICS INCORPORATED C COMMON STOCK     62855J104     1283    85800 SH       OTHER                      0       0    85800
NATIONAL FINL PARTNERS CORP CO COMMON STOCK     63607P208      807    82600 SH       OTHER                      0       0    82600
NATIONAL INSTRUMENTS CORP COM  COMMON STOCK     636518102      215     6750 SH       DEFINED                    0       0     6750
NATIONAL INSTRUMENTS CORP COM  COMMON STOCK     636518102      344    10825 SH       OTHER                    225       0    10600
NATUS MEDICAL INC COM          COMMON STOCK     639050103     1006    61727 SH       OTHER                      0       0    61727
NCR CORP NEW COM               COMMON STOCK     62886E108        1       74 SH       DEFINED                   74       0        0
NCR CORP NEW COM               COMMON STOCK     62886E108     1182    97500 SH       OTHER                      0       0    97500
NEWS CORP CLASS A              COMMON STOCK     65248E104     1228   102657 SH       DEFINED                    0       0   102657
NEWS CORP CLASS A              COMMON STOCK     65248E104        1      122 SH       OTHER                    122       0        0
NEXTERA ENERGY INC COM*        COMMON STOCK     65339F101     9502   194883 SH       DEFINED               116158       0    78725
NEXTERA ENERGY INC COM*        COMMON STOCK     65339F101      778    15947 SH       OTHER                  15947       0        0
NICOR INC COM *                COMMON STOCK     654086107      224     5538 SH       DEFINED                 5538       0        0
NICOR INC COM *                COMMON STOCK     654086107       15      368 SH       OTHER                    368       0        0
NIKE INC CLASS B *             COMMON STOCK     654106103     1431    21189 SH       DEFINED                 4439       0    16750
NIKE INC CLASS B *             COMMON STOCK     654106103       91     1354 SH       OTHER                   1354       0        0
NORFOLK SOUTHERN CORP COM*     COMMON STOCK     655844108     8018   151149 SH       DEFINED                86519       0    64630
NORFOLK SOUTHERN CORP COM*     COMMON STOCK     655844108      740    13942 SH       OTHER                  13942       0        0
NORTHERN TRUST CORP COM*       COMMON STOCK     665859104     4583    98141 SH       DEFINED                53210       0    44931
NORTHERN TRUST CORP COM*       COMMON STOCK     665859104       97     2085 SH       OTHER                   2085       0        0
NORTHROP GRUMMAN CORP COM*     COMMON STOCK     666807102     1743    32024 SH       DEFINED                31584       0      440
NORTHROP GRUMMAN CORP COM*     COMMON STOCK     666807102       67     1223 SH       OTHER                   1223       0        0
NUANCE COMMUNICATIONS INC COM  COMMON STOCK     67020Y100      320    21420 SH       DEFINED                 3000       0    18420
NUANCE COMMUNICATIONS INC COM  COMMON STOCK     67020Y100      714    47750 SH       OTHER                      0       0    47750
NUCOR CORP COM*                COMMON STOCK     670346105     1319    34466 SH       DEFINED                31213       0     3253
NUCOR CORP COM*                COMMON STOCK     670346105      115     3000 SH       OTHER                   3000       0        0
NUVASIVE INC COM*              COMMON STOCK     670704105     9414   265489 SH       DEFINED               137639       0   127850
NUVASIVE INC COM*              COMMON STOCK     670704105     1473    41550 SH       OTHER                  13050       0    28500
NVIDIA CORP COM*               COMMON STOCK     67066G104      108    10570 SH       DEFINED                 1225       0     9345
NYSE EURONEXT COM*             COMMON STOCK     629491101    11759   425592 SH       DEFINED               184073       0   241519
NYSE EURONEXT COM*             COMMON STOCK     629491101      510    18475 SH       OTHER                  18475       0        0
O'REILLY AUTOMOTIVE INC COM*   COMMON STOCK     686091109     9731   204608 SH       DEFINED               126748       0    77860
O'REILLY AUTOMOTIVE INC COM*   COMMON STOCK     686091109      921    19367 SH       OTHER                  10767       0     8600
OCCIDENTAL PETROLEUM CORP COM* COMMON STOCK     674599105      724     9388 SH       DEFINED                 9388       0        0
OCCIDENTAL PETROLEUM CORP COM* COMMON STOCK     674599105      262     3398 SH       OTHER                   3398       0        0
OIL SERVICE HOLDRS TRUST*      COMMON STOCK     678002106     3275    34600 SH       DEFINED                34600       0        0
OIL SERVICE HOLDRS TRUST*      COMMON STOCK     678002106       57      600 SH       OTHER                    600       0        0
OIL STATES INTL INC COM        COMMON STOCK     678026105       36      900 SH       DEFINED                  900       0        0
OIL STATES INTL INC COM        COMMON STOCK     678026105     1195    30200 SH       OTHER                      0       0    30200
OMNIAMERICAN BANCORP INC COM   COMMON STOCK     68216R107      113    10000 SH       DEFINED                10000       0        0
ONEOK INC NEW COM              COMMON STOCK     682680103      244     5650 SH       DEFINED                 5650       0        0
ONEOK INC NEW COM              COMMON STOCK     682680103        4      100 SH       OTHER                    100       0        0
OPTIONSXPRESS HLDGS INC COM    COMMON STOCK     684010101       46     2900 SH       DEFINED                 2900       0        0
OPTIONSXPRESS HLDGS INC COM    COMMON STOCK     684010101     1267    80500 SH       OTHER                      0       0    80500
ORACLE CORPORATION*            COMMON STOCK     68389X105    12569   585672 SH       DEFINED               388903       0   196769
ORACLE CORPORATION*            COMMON STOCK     68389X105     1770    82483 SH       OTHER                  75783       0     6700
PACCAR INC COM*                COMMON STOCK     693718108     1561    39157 SH       DEFINED                39157       0        0
PACCAR INC COM*                COMMON STOCK     693718108        7      180 SH       OTHER                    180       0        0
PAR PHARMACEUTICAL COS INC COM COMMON STOCK     69888P106      909    35000 SH       OTHER                      0       0    35000
PATTERSON-UTI ENERGY INC COM*  COMMON STOCK     703481101      548    42574 SH       DEFINED                32881       0     9693
PATTERSON-UTI ENERGY INC COM*  COMMON STOCK     703481101       57     4421 SH       OTHER                   4421       0        0
PAYCHEX INC COM*               COMMON STOCK     704326107      284    10944 SH       DEFINED                 3594       0     7350
PAYCHEX INC COM*               COMMON STOCK     704326107       55     2110 SH       OTHER                   2110       0        0
PEABODY ENERGY CORP COM        COMMON STOCK     704549104      265     6780 SH       DEFINED                  930       0     5850
PEABODY ENERGY CORP COM        COMMON STOCK     704549104      175     4468 SH       OTHER                    468       0     4000
PENNEY J C INC COM             COMMON STOCK     708160106      427    19870 SH       DEFINED                17840       0     2030
PENNEY J C INC COM             COMMON STOCK     708160106      624    29045 SH       OTHER                   1545       0    27500
PENSON WORLDWIDE INC COM       COMMON STOCK     709600100     1065   188900 SH       OTHER                      0       0   188900
PEPSICO INC COM*               COMMON STOCK     713448108    19248   315802 SH       DEFINED               203582       0   112220
PEPSICO INC COM*               COMMON STOCK     713448108     3945    64731 SH       OTHER                  62731       0     2000
PERKINELMER INC COM            COMMON STOCK     714046109      113     5466 SH       DEFINED                    0       0     5466
PERKINELMER INC COM            COMMON STOCK     714046109      489    23650 SH       OTHER                      0       0    23650
PETSMART INC COM*              COMMON STOCK     716768106      461    15288 SH       DEFINED                 8888       0     6400
PETSMART INC COM*              COMMON STOCK     716768106      102     3380 SH       OTHER                    380       0     3000
PFIZER INC COM*                COMMON STOCK     717081103     3515   246518 SH       DEFINED               228635       0    17883
PFIZER INC COM*                COMMON STOCK     717081103     2606   182747 SH       OTHER                 182647       0      100
PHILIP MORRIS INT'L INC COM*   COMMON STOCK     718172109    18774   409553 SH       DEFINED               245463       0   164090
PHILIP MORRIS INT'L INC COM*   COMMON STOCK     718172109     2410    52576 SH       OTHER                  52576       0        0
PHILLIPS VAN HEUSEN CORP COM   COMMON STOCK     718592108       20      435 SH       DEFINED                    0       0      435
PHILLIPS VAN HEUSEN CORP COM   COMMON STOCK     718592108      393     8500 SH       OTHER                      0       0     8500
PIER 1 IMPORTS INC COM         COMMON STOCK     720279108       70    10900 SH       DEFINED                 6100       0     4800
PIONEER DRILLING CO COM        COMMON STOCK     723655106      487    85949 SH       DEFINED                85949       0        0
PITNEY BOWES INC COM*          COMMON STOCK     724479100      215     9782 SH       DEFINED                 9782       0        0
PITNEY BOWES INC COM*          COMMON STOCK     724479100       40     1800 SH       OTHER                   1800       0        0
PLUM CREEK TIMBER CO INC REIT  COMMON STOCK     729251108      234     6789 SH       DEFINED                 3889       0     2900
POOL CORPORATION COM           COMMON STOCK     73278L105     1138    51900 SH       OTHER                      0       0    51900
POWERSHARES DYNAMIC LG CAP VAL COMMON STOCK     73935X708     1318    83810 SH       DEFINED                83810       0        0
PPG INDUSTRIES INC COM *       COMMON STOCK     693506107     3363    55671 SH       DEFINED                55671       0        0
PPG INDUSTRIES INC COM *       COMMON STOCK     693506107     1775    29388 SH       OTHER                   1288       0    28100
PRAXAIR INC COM*               COMMON STOCK     74005P104     6188    81430 SH       DEFINED                48861       0    32569
PRAXAIR INC COM*               COMMON STOCK     74005P104      371     4885 SH       OTHER                   4885       0        0
PREMIERE GLOBAL SVCS INC COM   COMMON STOCK     740585104      767   121000 SH       OTHER                      0       0   121000
PRICELINE.COM INCORPORATED COM COMMON STOCK     741503403     2999    16985 SH       DEFINED                11640       0     5345
PRICELINE.COM INCORPORATED COM COMMON STOCK     741503403      134      759 SH       OTHER                    759       0        0
PRINCIPAL FINANCIAL GROUP COM* COMMON STOCK     74251V102     4016   171315 SH       DEFINED                85558       0    85757
PRINCIPAL FINANCIAL GROUP COM* COMMON STOCK     74251V102      149     6376 SH       OTHER                   6376       0        0
PROCTER & GAMBLE CO COM *      COMMON STOCK     742718109     7088   118165 SH       DEFINED               106728       0    11437
PROCTER & GAMBLE CO COM *      COMMON STOCK     742718109     3001    50039 SH       OTHER                  48039       0     2000
PROGRESS SOFTWARE CORP COM     COMMON STOCK     743312100       69     2300 SH       DEFINED                 2300       0        0
PROGRESS SOFTWARE CORP COM     COMMON STOCK     743312100     1157    38500 SH       OTHER                      0       0    38500
PROSPERITY BANCSHARES INC COM  COMMON STOCK     743606105      748    21529 SH       DEFINED                21529       0        0
PROSPERITY BANCSHARES INC COM  COMMON STOCK     743606105      170     4890 SH       OTHER                   4890       0        0
PRUDENTIAL FINANCIAL INC COM   COMMON STOCK     744320102      283     5281 SH       DEFINED                  956       0     4325
QUALCOMM INC COM*              COMMON STOCK     747525103     6611   201296 SH       DEFINED               121190       0    80106
QUALCOMM INC COM*              COMMON STOCK     747525103      360    10958 SH       OTHER                  10958       0        0
QUEST DIAGNOSTICS INC COM      COMMON STOCK     74834L100     1917    38527 SH       DEFINED                  702       0    37825
QUEST SOFTWARE INCORPORATED CO COMMON STOCK     74834T103     1212    67200 SH       OTHER                      0       0    67200
RANGE RESOURCES CORPORATION CO COMMON STOCK     75281A109      323     8041 SH       DEFINED                 1191       0     6850
RAYMOND JAMES FINANCIAL INC CO COMMON STOCK     754730109      300    12151 SH       DEFINED                 4066       0     8085
RAYMOND JAMES FINANCIAL INC CO COMMON STOCK     754730109      315    12750 SH       OTHER                      0       0    12750
RAYTHEON CO NEW COM*           COMMON STOCK     755111507      570    11789 SH       DEFINED                 8239       0     3550
RAYTHEON CO NEW COM*           COMMON STOCK     755111507      622    12855 SH       OTHER                  12855       0        0
REINSURANCE GROUP OF AMERICA I COMMON STOCK     759351604     1262    27600 SH       OTHER                      0       0    27600
REPUBLIC SERVICES INC COM      COMMON STOCK     760759100     1403    47175 SH       DEFINED                  300       0    46875
RESMED INC COM                 COMMON STOCK     761152107      258     4250 SH       DEFINED                  750       0     3500
ROBBINS & MYERS INC COM        COMMON STOCK     770196103     1259    57900 SH       OTHER                      0       0    57900
ROBERT HALF INTERNATIONAL INC  COMMON STOCK     770323103       78     3300 SH       DEFINED                    0       0     3300
ROBERT HALF INTERNATIONAL INC  COMMON STOCK     770323103      400    17000 SH       OTHER                      0       0    17000
ROCKWELL AUTOMATION INC COM *  COMMON STOCK     773903109     7532   153429 SH       DEFINED                84049       0    69380
ROCKWELL AUTOMATION INC COM *  COMMON STOCK     773903109      282     5740 SH       OTHER                   5740       0        0
ROCKWELL COLLINS INC COM       COMMON STOCK     774341101      203     3825 SH       DEFINED                  725       0     3100
ROSS STORES INC COM            COMMON STOCK     778296103        5       95 SH       DEFINED                    0       0       95
ROSS STORES INC COM            COMMON STOCK     778296103      213     4000 SH       OTHER                   4000       0        0
ROYAL CARIBBEAN CRUISES LTD    COMMON STOCK     V7780T103        2      105 SH       DEFINED                    0       0      105
ROYAL CARIBBEAN CRUISES LTD    COMMON STOCK     V7780T103      387    17000 SH       OTHER                      0       0    17000
RUSH ENTERPRISES INC CLASS B C COMMON STOCK     781846308    47853  4107574 SH       DEFINED              4107574       0        0
SAKS INC COM                   COMMON STOCK     79377W108     1050   138292 SH       OTHER                    292       0   138000
SALIX PHARMACEUTICALS LTD COM  COMMON STOCK     795435106      706    18100 SH       OTHER                      0       0    18100
SATCON TECHNOLOGY CORP COM     COMMON STOCK     803893106      137    48000 SH       DEFINED                48000       0        0
SBA COMMUNICATIONS CORP COM    COMMON STOCK     78388J106       50     1460 SH       DEFINED                    0       0     1460
SBA COMMUNICATIONS CORP COM    COMMON STOCK     78388J106      456    13400 SH       OTHER                      0       0    13400
SCHWAB CHARLES CORP NEW COM*   COMMON STOCK     808513105      766    54033 SH       DEFINED                53933       0      100
SCHWAB CHARLES CORP NEW COM*   COMMON STOCK     808513105       43     3055 SH       OTHER                   3055       0        0
SELECT SECTOR SPDR FD - FINANC COMMON STOCK     81369Y605      380    27520 SH       DEFINED                27520       0        0
SELECT SECTOR SPDR FD - FINANC COMMON STOCK     81369Y605       79     5685 SH       OTHER                   5685       0        0
SELECT SECTOR SPDR FD - TECHNO COMMON STOCK     81369Y803     4431   217210 SH       DEFINED               208730       0     8480
SELECT SECTOR SPDR FD - TECHNO COMMON STOCK     81369Y803       20     1000 SH       OTHER                   1000       0        0
SELECT SECTOR SPDR FD HEALTH C COMMON STOCK     81369Y209      235     8324 SH       DEFINED                 7969       0      355
SELECT SECTOR SPDR FD HEALTH C COMMON STOCK     81369Y209       44     1560 SH       OTHER                   1560       0        0
SILGAN HLDGS INC COM           COMMON STOCK     827048109     1263    44500 SH       OTHER                      0       0    44500
SM ENERGY COMPANY              COMMON STOCK     78454L100      194     4840 SH       DEFINED                 1500       0     3340
SM ENERGY COMPANY              COMMON STOCK     78454L100      578    14400 SH       OTHER                      0       0    14400
SOUTHERN CO COM                COMMON STOCK     842587107      951    28562 SH       DEFINED                28562       0        0
SOUTHERN CO COM                COMMON STOCK     842587107      237     7126 SH       OTHER                   7126       0        0
SOUTHERN COPPER CORP COM       COMMON STOCK     84265V105       21      775 SH       DEFINED                  575       0      200
SOUTHERN COPPER CORP COM       COMMON STOCK     84265V105     1837    69200 SH       OTHER                    600       0    68600
SOUTHERN UNION CO COM          COMMON STOCK     844030106     2774   126886 SH       DEFINED               126636       0      250
SOUTHERN UNION CO COM          COMMON STOCK     844030106     2525   115510 SH       OTHER                    210       0   115300
SOUTHWEST AIRLINES CO COM*     COMMON STOCK     844741108     5761   518520 SH       DEFINED               291208       0   227312
SOUTHWEST AIRLINES CO COM*     COMMON STOCK     844741108      261    23477 SH       OTHER                  23477       0        0
SOUTHWESTERN ENERGY CO COM*    COMMON STOCK     845467109      583    15095 SH       DEFINED                12045       0     3050
SPDR GOLD TRUST ETF*           COMMON STOCK     78463V107     3232    26561 SH       DEFINED                26021       0      540
SPDR GOLD TRUST ETF*           COMMON STOCK     78463V107     1204     9895 SH       OTHER                   9895       0        0
SPDR KBW BANK ETF              COMMON STOCK     78464A797      207     9050 SH       DEFINED                    0       0     9050
SPDR KBW REGIONAL BANKING ETF  COMMON STOCK     78464A698      214     9267 SH       DEFINED                  118       0     9149
SPDR METALS & MINING ETF*      COMMON STOCK     78464A755      292     6394 SH       DEFINED                 6394       0        0
SPDR METALS & MINING ETF*      COMMON STOCK     78464A755        5      100 SH       OTHER                    100       0        0
SPDR S&P INTL SMALL CAP ETF*   COMMON STOCK     78463X871      367    15525 SH       DEFINED                    0       0    15525
SPDR S&P 500 ETF TRUST *       COMMON STOCK     78462F103     5008    48516 SH       DEFINED                18809       0    29707
SPDR S&P 500 ETF TRUST *       COMMON STOCK     78462F103     3718    36022 SH       OTHER                  36022       0        0
SPECTRA ENERGY CORP COM*       COMMON STOCK     847560109     2093   104291 SH       DEFINED               102091       0     2200
SPECTRA ENERGY CORP COM*       COMMON STOCK     847560109      237    11786 SH       OTHER                  11686       0      100
SPIRIT AEROSYSTEMS CL A COM    COMMON STOCK     848574109        0       17 SH       DEFINED                    0       0       17
SPIRIT AEROSYSTEMS CL A COM    COMMON STOCK     848574109      335    17550 SH       OTHER                      0       0    17550
ST. JUDE MEDICAL INC COM*      COMMON STOCK     790849103     7787   215777 SH       DEFINED               115150       0   100627
ST. JUDE MEDICAL INC COM*      COMMON STOCK     790849103      404    11207 SH       OTHER                  11207       0        0
STANLEY BLACK & DECKER INC COM COMMON STOCK     854502101        7      129 SH       DEFINED                   72       0       57
STANLEY BLACK & DECKER INC COM COMMON STOCK     854502101      205     4056 SH       OTHER                   4056       0        0
STAPLES INC COM*               COMMON STOCK     855030102      863    45290 SH       DEFINED                42720       0     2570
STAPLES INC COM*               COMMON STOCK     855030102     1450    76115 SH       OTHER                    115       0    76000
STARBUCKS CORP COM*            COMMON STOCK     855244109    10511   432558 SH       DEFINED               265674       0   166884
STARBUCKS CORP COM*            COMMON STOCK     855244109     1100    45255 SH       OTHER                  45255       0        0
STEEL DYNAMICS INC COM*        COMMON STOCK     858119100     3110   235753 SH       DEFINED               144098       0    91655
STEEL DYNAMICS INC COM*        COMMON STOCK     858119100      231    17512 SH       OTHER                  17512       0        0
STERLING BANCSHARES INC COM    COMMON STOCK     858907108       72    15260 SH       DEFINED                15260       0        0
STRYKER CORP COM *             COMMON STOCK     863667101      846    16892 SH       DEFINED                15657       0     1235
STRYKER CORP COM *             COMMON STOCK     863667101       68     1365 SH       OTHER                   1365       0        0
SUN BANCORP INC COM            COMMON STOCK     86663B102       46    12341 SH       DEFINED                12341       0        0
SUNOCO INC COM                 COMMON STOCK     86764P109      203     5850 SH       DEFINED                 5850       0        0
SUPER MICRO COMPUTER INC COM   COMMON STOCK     86800U104      884    65480 SH       OTHER                      0       0    65480
SUPERIOR ENERGY SERVICES INC C COMMON STOCK     868157108     1180    63200 SH       OTHER                      0       0    63200
SYNOPSYS INC COM               COMMON STOCK     871607107     1229    58900 SH       OTHER                      0       0    58900
SYNOVUS FINL CORP COM          COMMON STOCK     87161C105      318   125250 SH       OTHER                      0       0   125250
SYSCO CORP COM*                COMMON STOCK     871829107      598    20926 SH       DEFINED                14667       0     6259
SYSCO CORP COM*                COMMON STOCK     871829107      322    11262 SH       OTHER                  11262       0        0
TARGET CORP COM *              COMMON STOCK     87612E106     2357    47936 SH       DEFINED                43025       0     4911
TARGET CORP COM *              COMMON STOCK     87612E106      298     6058 SH       OTHER                   6058       0        0
TECHNITROL INC COM             COMMON STOCK     878555101      831   262972 SH       DEFINED               262972       0        0
TECHNITROL INC COM             COMMON STOCK     878555101     1213   383801 SH       OTHER                   6601       0   377200
TEMPLE-INLAND INC COM          COMMON STOCK     879868107     2921   141340 SH       DEFINED               141340       0        0
TEMPLE-INLAND INC COM          COMMON STOCK     879868107     1184    57300 SH       OTHER                      0       0    57300
TERADYNE INC COM               COMMON STOCK     880770102     1093   112100 SH       OTHER                      0       0   112100
TEREX CORP COM*                COMMON STOCK     880779103      706    37661 SH       DEFINED                29696       0     7965
TEREX CORP COM*                COMMON STOCK     880779103      510    27207 SH       OTHER                  27207       0        0
TETRA TECHNOLOGIES INC DEL COM COMMON STOCK     88162F105      144    15900 SH       DEFINED                    0       0    15900
TEXAS INSTRUMENTS INC COM *    COMMON STOCK     882508104      560    24075 SH       DEFINED                17524       0     6551
TEXAS INSTRUMENTS INC COM *    COMMON STOCK     882508104      154     6620 SH       OTHER                   6620       0        0
TEXTRON INC COM *              COMMON STOCK     883203101      117     6905 SH       DEFINED                 6480       0      425
TEXTRON INC COM *              COMMON STOCK     883203101       99     5811 SH       OTHER                   5811       0        0
THE DOLAN COMPANY COM          COMMON STOCK     25659P402      255    22900 SH       DEFINED                22900       0        0
THE HERSHEY COMPANY COM*       COMMON STOCK     427866108      495    10324 SH       DEFINED                 7124       0     3200
THE HERSHEY COMPANY COM*       COMMON STOCK     427866108       50     1050 SH       OTHER                   1050       0        0
THERMO FISHER SCIENTIFIC INC C COMMON STOCK     883556102     2724    55531 SH       DEFINED                 1976       0    53555
THERMO FISHER SCIENTIFIC INC C COMMON STOCK     883556102      172     3500 SH       OTHER                      0       0     3500
TIBCO SOFTWARE INC COM         COMMON STOCK     88632Q103      501    41550 SH       OTHER                      0       0    41550
TIDEWATER INC COM*             COMMON STOCK     886423102     5082   131245 SH       DEFINED                73460       0    57785
TIDEWATER INC COM*             COMMON STOCK     886423102      295     7611 SH       OTHER                   7611       0        0
TIME WARNER CABLE INC COM*     COMMON STOCK     88732J207      862    16560 SH       DEFINED                16404       0      156
TIME WARNER CABLE INC COM*     COMMON STOCK     88732J207       44      843 SH       OTHER                    843       0        0
TIME WARNER INC COM NEW*       COMMON STOCK     887317303     2086    72157 SH       DEFINED                66282       0     5875
TIME WARNER INC COM NEW*       COMMON STOCK     887317303      257     8888 SH       OTHER                   3888       0     5000
TITAN MACHINERY INC COM        COMMON STOCK     88830R101     1815   138200 SH       OTHER                      0       0   138200
TRACTOR SUPPLY CO COM          COMMON STOCK     892356106      495     8116 SH       DEFINED                 3066       0     5050
TRAVELERS COMPANIES INC COM *  COMMON STOCK     89417E109     1301    26414 SH       DEFINED                25302       0     1112
TRAVELERS COMPANIES INC COM *  COMMON STOCK     89417E109      218     4422 SH       OTHER                   4422       0        0
TREEHOUSE FOODS INC COM        COMMON STOCK     89469A104      237     5188 SH       DEFINED                    0       0     5188
TRIMBLE NAV LTD COM            COMMON STOCK     896239100       39     1400 SH       DEFINED                 1400       0        0
TRIMBLE NAV LTD COM            COMMON STOCK     896239100      364    13000 SH       OTHER                      0       0    13000
TRIQUINT SEMICONDUCTOR INC COM COMMON STOCK     89674K103     1169   191400 SH       OTHER                      0       0   191400
TRIUMPH GROUP INC COM          COMMON STOCK     896818101       53      800 SH       DEFINED                  800       0        0
TRIUMPH GROUP INC COM          COMMON STOCK     896818101     1286    19300 SH       OTHER                      0       0    19300
ULTRA PETROLEUM CORP*          COMMON STOCK     903914109     1290    29155 SH       DEFINED                29155       0        0
ULTRA PETROLEUM CORP*          COMMON STOCK     903914109      652    14732 SH       OTHER                  14732       0        0
ULTRASHORT S&P 500 PROSHARES E COMMON STOCK     74347R883     2620    69500 SH       DEFINED                69500       0        0
ULTRATECH INC COM              COMMON STOCK     904034105      932    57300 SH       OTHER                      0       0    57300
UNION PACIFIC CORP COM*        COMMON STOCK     907818108    11289   162412 SH       DEFINED               100822       0    61590
UNION PACIFIC CORP COM*        COMMON STOCK     907818108     1383    19893 SH       OTHER                  19893       0        0
UNITED NATURAL FOODS INC       COMMON STOCK     911163103      368    12305 SH       DEFINED                 2900       0     9405
UNITED PARCEL SERVICE CLASS B* COMMON STOCK     911312106      227     3985 SH       DEFINED                 2675       0     1310
UNITED PARCEL SERVICE CLASS B* COMMON STOCK     911312106      198     3486 SH       OTHER                   3486       0        0
UNITED STATES NATURAL GAS FD L COMMON STOCK     912318102      222    28700 SH       DEFINED                28700       0        0
UNITED TECHNOLOGIES CORP COM*  COMMON STOCK     913017109     5265    81117 SH       DEFINED                46622       0    34495
UNITED TECHNOLOGIES CORP COM*  COMMON STOCK     913017109      649    10005 SH       OTHER                  10005       0        0
UNIVERSAL HEALTH SERVICES INC  COMMON STOCK     913903100       61     1600 SH       DEFINED                 1600       0        0
UNIVERSAL HEALTH SERVICES INC  COMMON STOCK     913903100     1175    30800 SH       OTHER                      0       0    30800
URBAN OUTFITTERS INC COM*      COMMON STOCK     917047102     5594   162669 SH       DEFINED                85409       0    77260
URBAN OUTFITTERS INC COM*      COMMON STOCK     917047102      224     6527 SH       OTHER                   6527       0        0
US BANCORP DEL NEW COM*        COMMON STOCK     902973304      412    18453 SH       DEFINED                11153       0     7300
US BANCORP DEL NEW COM*        COMMON STOCK     902973304      153     6861 SH       OTHER                   2861       0     4000
UTILITIES SELECT SECTOR SPDR F COMMON STOCK     81369Y886      919    32502 SH       DEFINED                19391       0    13111
V F CORP COM                   COMMON STOCK     918204108      285     4005 SH       DEFINED                 2202       0     1803
VALERO ENERGY CORP NEW COM*    COMMON STOCK     91913Y100      964    53610 SH       DEFINED                51391       0     2219
VALERO ENERGY CORP NEW COM*    COMMON STOCK     91913Y100      923    51307 SH       OTHER                   5107       0    46200
VANGUARD LARGE CAP ETF         COMMON STOCK     922908637     2899    61820 SH       DEFINED                    0       0    61820
VANGUARD MEGA CAP 300 ETF      COMMON STOCK     921910873      584    16569 SH       DEFINED                    0       0    16569
VANGUARD MID CAP ETF           COMMON STOCK     922908629      325     5545 SH       DEFINED                    0       0     5545
VANGUARD SHORT-TERM BOND ETF*  COMMON STOCK     921937827      316     3898 SH       DEFINED                 3708       0      190
VANGUARD SMALL CAP VALUE ETF   COMMON STOCK     922908611      430     7979 SH       DEFINED                    0       0     7979
VANGUARD SMALL CAP VIPERS      COMMON STOCK     922908751      336     5936 SH       DEFINED                  144       0     5792
VERIZON COMMUNICATIONS COM*    COMMON STOCK     92343V104     6961   248441 SH       DEFINED               235376       0    13065
VERIZON COMMUNICATIONS COM*    COMMON STOCK     92343V104     5968   212990 SH       OTHER                  34290       0   178700
VIACOM INC CL B                COMMON STOCK     92553P201     2288    72925 SH       DEFINED                  225       0    72700
VIROPHARMA INC COM             COMMON STOCK     928241108     1041    92900 SH       OTHER                      0       0    92900
VISA INC CL A COM*             COMMON STOCK     92826C839    10163   143650 SH       DEFINED                75415       0    68235
VISA INC CL A COM*             COMMON STOCK     92826C839      373     5266 SH       OTHER                   5266       0        0
VITAMIN SHOPPE INC COM         COMMON STOCK     92849E101      980    38200 SH       OTHER                      0       0    38200
WAL MART STORES INC COM*       COMMON STOCK     931142103    15853   329782 SH       DEFINED               197757       0   132025
WAL MART STORES INC COM*       COMMON STOCK     931142103     4752    98855 SH       OTHER                  22955       0    75900
WALGREEN CO COM*               COMMON STOCK     931422109      426    15962 SH       DEFINED                13382       0     2580
WALGREEN CO COM*               COMMON STOCK     931422109       24      907 SH       OTHER                    907       0        0
WASHINGTON BANKING CO COM      COMMON STOCK     937303105      331    25848 SH       OTHER                      0       0    25848
WASTE MANAGEMENT DEL INC COM*  COMMON STOCK     94106L109     1318    42114 SH       DEFINED                40614       0     1500
WASTE MANAGEMENT DEL INC COM*  COMMON STOCK     94106L109       89     2859 SH       OTHER                   2859       0        0
WAVE SYSTEMS CORP CL A COM     COMMON STOCK     943526301      483   149110 SH       OTHER                      0       0   149110
WEIGHT WATCHERS INTL INC COM   COMMON STOCK     948626106     1205    46900 SH       OTHER                      0       0    46900
WELLS FARGO & CO NEW COM*      COMMON STOCK     949746101     6598   257740 SH       DEFINED               160295       0    97445
WELLS FARGO & CO NEW COM*      COMMON STOCK     949746101     1049    40978 SH       OTHER                  32978       0     8000
WESCO INTL INC COM             COMMON STOCK     95082P105     1449    43025 SH       DEFINED                 1950       0    41075
WESTERN UNION CO COM           COMMON STOCK     959802109     3140   210622 SH       DEFINED               110522       0   100100
WESTERN UNION CO COM           COMMON STOCK     959802109     3437   230500 SH       OTHER                      0       0   230500
WET SEAL INC CL A COM          COMMON STOCK     961840105     1298   355600 SH       OTHER                      0       0   355600
WILLIAMS COS COM               COMMON STOCK     969457100      102     5600 SH       DEFINED                    0       0     5600
WILLIAMS COS COM               COMMON STOCK     969457100      114     6234 SH       OTHER                    734       0     5500
WINDSTREAM CORPORATION COM*    COMMON STOCK     97381W104     2307   218446 SH       DEFINED               218446       0        0
WINDSTREAM CORPORATION COM*    COMMON STOCK     97381W104      388    36729 SH       OTHER                  36729       0        0
WSFS FINL CORP COM             COMMON STOCK     929328102      357     9943 SH       OTHER                      0       0     9943
YUM! BRANDS INC COM*           COMMON STOCK     988498101     8956   229395 SH       DEFINED               133125       0    96270
YUM! BRANDS INC COM*           COMMON STOCK     988498101      661    16926 SH       OTHER                  16926       0        0
ZIMMER HLDGS INC*              COMMON STOCK     98956P102      285     5281 SH       DEFINED                 4641       0      640
ZIMMER HLDGS INC*              COMMON STOCK     98956P102      140     2582 SH       OTHER                   2582       0        0
ZIONS BANCORPORATION COM       COMMON STOCK     989701107      404    18750 SH       OTHER                      0       0    18750
3M CO COM*                     COMMON STOCK     88579Y101     2353    29790 SH       DEFINED                22648       0     7142
3M CO COM*                     COMMON STOCK     88579Y101     1913    24224 SH       OTHER                  24224       0        0
3PAR INC COM                   COMMON STOCK     88580F109     1049   112700 SH       OTHER                      0       0   112700
ACCENTURE PLC CLASS A          COMMON STOCK     G1151C101     2509    64925 SH       DEFINED                    0       0    64925
AGNICO EAGLE MINES LTD COM     COMMON STOCK     008474108      204     3350 SH       OTHER                   3350       0        0
ALCON INC*                     COMMON STOCK     H01301102      499     3367 SH       DEFINED                 3132       0      235
ALCON INC*                     COMMON STOCK     H01301102       59      400 SH       OTHER                      0       0      400
ALTERRA CAPITAL HOLDINGS LTD   COMMON STOCK     G0229R108     1301    69300 SH       OTHER                      0       0    69300
AMDOCS LIMITED                 COMMON STOCK     G02602103     1144    42600 SH       DEFINED                    0       0    42600
AMDOCS LIMITED                 COMMON STOCK     G02602103     3189   118774 SH       OTHER                      0       0   118774
AMERICA MOVIL ADR SERIES L     COMMON STOCK     02364W105       30      623 SH       DEFINED                  605       0       18
AMERICA MOVIL ADR SERIES L     COMMON STOCK     02364W105     4179    87987 SH       OTHER                   1119       0    86868
ASPEN INS HOLDINGS LTD         COMMON STOCK     G05384105     1272    51400 SH       OTHER                      0       0    51400
BANK OF NOVA SCOTIA*           COMMON STOCK     064149107     5080   110385 SH       DEFINED                39274       0    71111
BANK OF NOVA SCOTIA*           COMMON STOCK     064149107      280     6080 SH       OTHER                   6080       0        0
BARCLAYS PLC SPONSORED ADR*    COMMON STOCK     06738E204     1579    99401 SH       DEFINED                97550       0     1851
BARCLAYS PLC SPONSORED ADR*    COMMON STOCK     06738E204     2648   166621 SH       OTHER                   2821       0   163800
BARRICK GOLD CORP COM *        COMMON STOCK     067901108     1119    24648 SH       DEFINED                16748       0     7900
BARRICK GOLD CORP COM *        COMMON STOCK     067901108       39      856 SH       OTHER                    856       0        0
BCE INC COM*                   COMMON STOCK     05534B760     6414   219123 SH       DEFINED                99103       0   120020
BCE INC COM*                   COMMON STOCK     05534B760      341    11656 SH       OTHER                  11656       0        0
BHP BILLITON LTD-SPON ADR*     COMMON STOCK     088606108     9747   157238 SH       DEFINED               108361       0    48877
BHP BILLITON LTD-SPON ADR*     COMMON STOCK     088606108     1332    21484 SH       OTHER                  21484       0        0
BP PLC SPONSORED ADR*          COMMON STOCK     055622104     2772    95978 SH       DEFINED                91252       0     4726
BP PLC SPONSORED ADR*          COMMON STOCK     055622104     3691   127815 SH       OTHER                  23415       0   104400
CANADIAN NATIONAL RAILWAY CO C COMMON STOCK     136375102      241     4204 SH       DEFINED                 2475       0     1729
CANADIAN NATIONAL RAILWAY CO C COMMON STOCK     136375102      152     2656 SH       OTHER                   2656       0        0
CANADIAN NATURAL RESOURCES LTD COMMON STOCK     136385101       30      900 SH       DEFINED                    0       0      900
CANADIAN NATURAL RESOURCES LTD COMMON STOCK     136385101      193     5800 SH       OTHER                   5800       0        0
CANON INC SPONSORED ADR        COMMON STOCK     138006309      600    16086 SH       DEFINED                12899       0     3187
CANON INC SPONSORED ADR        COMMON STOCK     138006309     1000    26800 SH       OTHER                      0       0    26800
CARNIVAL CORP PAIRED CTF 1 COM COMMON STOCK     143658300     6932   229241 SH       DEFINED               151523       0    77718
CARNIVAL CORP PAIRED CTF 1 COM COMMON STOCK     143658300     1000    33055 SH       OTHER                  33055       0        0
CENOVUS ENERGY INC COM*        COMMON STOCK     15135U109      421    16322 SH       DEFINED                16322       0        0
CENOVUS ENERGY INC COM*        COMMON STOCK     15135U109       23      906 SH       OTHER                    906       0        0
CHICAGO BRIDGE & IRON CO NV SH COMMON STOCK     167250109       32     1698 SH       DEFINED                 1698       0        0
CHICAGO BRIDGE & IRON CO NV SH COMMON STOCK     167250109     1213    64500 SH       OTHER                      0       0    64500
CHINA MOBILE LTD*              COMMON STOCK     16941M109      834    16886 SH       DEFINED                16886       0        0
CHINA MOBILE LTD*              COMMON STOCK     16941M109       88     1776 SH       OTHER                   1776       0        0
CORE LABORATORIES N. V. COM    COMMON STOCK     N22717107      151     1025 SH       DEFINED                    0       0     1025
CORE LABORATORIES N. V. COM    COMMON STOCK     N22717107      435     2950 SH       OTHER                      0       0     2950
COVIDIEN PLC                   COMMON STOCK     G2554F105     1715    42684 SH       DEFINED                  692       0    41992
COVIDIEN PLC                   COMMON STOCK     G2554F105     2530    62975 SH       OTHER                     75       0    62900
DIAGEO PLC SPONSORED ADR*      COMMON STOCK     25243Q205      228     3631 SH       DEFINED                 2696       0      935
DIAGEO PLC SPONSORED ADR*      COMMON STOCK     25243Q205       18      283 SH       OTHER                    283       0        0
DIANA SHIPPING INC             COMMON STOCK     Y2066G104     1185   105200 SH       OTHER                      0       0   105200
DUOYUAN GLOBAL WTR INC SPONS A COMMON STOCK     266043108     1710    97134 SH       OTHER                      0       0    97134
EMPRESA BRASILEIRA DE AERON AD COMMON STOCK     29081M102       21      992 SH       DEFINED                  992       0        0
EMPRESA BRASILEIRA DE AERON AD COMMON STOCK     29081M102     1682    80300 SH       OTHER                      0       0    80300
ENCANA CORP*                   COMMON STOCK     292505104     7748   255368 SH       DEFINED               169956       0    85412
ENCANA CORP*                   COMMON STOCK     292505104     1279    42156 SH       OTHER                  42156       0        0
ENI SPA SPONSORED ADR *        COMMON STOCK     26874R108      835    22835 SH       DEFINED                21715       0     1120
ENI SPA SPONSORED ADR *        COMMON STOCK     26874R108      207     5674 SH       OTHER                   5674       0        0
ENSCO PLC SPONS ADR*           COMMON STOCK     29358Q109     1234    31408 SH       DEFINED                30958       0      450
ENSCO PLC SPONS ADR*           COMMON STOCK     29358Q109      845    21506 SH       OTHER                    200       0    21306
FLEXTRONICS INTERNATIONAL LTD* COMMON STOCK     Y2573F102      154    27481 SH       DEFINED                27427       0       54
FOSTER WHEELER AG*             COMMON STOCK     H27178104     1123    53325 SH       DEFINED                51575       0     1750
FOSTER WHEELER AG*             COMMON STOCK     H27178104      670    31814 SH       OTHER                  31814       0        0
GOLDCORP INC COM NEW*          COMMON STOCK     380956409     2170    49480 SH       DEFINED                47580       0     1900
GOLDCORP INC COM NEW*          COMMON STOCK     380956409      234     5347 SH       OTHER                   5347       0        0
HSBC HOLDINGS PLC SPON ADR NEW COMMON STOCK     404280406     3540    77658 SH       DEFINED                51054       0    26604
HSBC HOLDINGS PLC SPON ADR NEW COMMON STOCK     404280406      371     8135 SH       OTHER                   8135       0        0
INGERSOLL-RAND PLC*            COMMON STOCK     G47791101     3145    91173 SH       DEFINED                90673       0      500
INGERSOLL-RAND PLC*            COMMON STOCK     G47791101     3725   107991 SH       OTHER                   2691       0   105300
INVESCO LTD*                   COMMON STOCK     G491BT108     6400   380288 SH       DEFINED               244754       0   135534
INVESCO LTD*                   COMMON STOCK     G491BT108      909    53990 SH       OTHER                  53990       0        0
KONINKLIJKE PHILIPS ELECTRS N  COMMON STOCK     500472303     2118    70986 SH       DEFINED                 1541       0    69445
KONINKLIJKE PHILIPS ELECTRS N  COMMON STOCK     500472303       27      898 SH       OTHER                    898       0        0
LAZARD LTD CL A COM            COMMON STOCK     G54050102      145     5435 SH       DEFINED                  850       0     4585
LAZARD LTD CL A COM            COMMON STOCK     G54050102      107     4000 SH       OTHER                      0       0     4000
LIONS GATE ENTERTAINMENT CORP  COMMON STOCK     535919203     1568   224700 SH       OTHER                      0       0   224700
NIPPON TELEG & TEL CORP SPONS  COMMON STOCK     654624105     3410   167673 SH       DEFINED               167470       0      203
NIPPON TELEG & TEL CORP SPONS  COMMON STOCK     654624105     6676   328230 SH       OTHER                    130       0   328100
NOBLE CORPORATION COM          COMMON STOCK     H5833N103     1704    55126 SH       DEFINED                 1076       0    54050
NOKIA CORP SPONSORED ADR*      COMMON STOCK     654902204     2774   340308 SH       DEFINED               337296       0     3012
NOKIA CORP SPONSORED ADR*      COMMON STOCK     654902204     2873   352557 SH       OTHER                  18157       0   334400
NOVARTIS AG ADR*               COMMON STOCK     66987V109    12652   261833 SH       DEFINED               160046       0   101787
NOVARTIS AG ADR*               COMMON STOCK     66987V109     2687    55615 SH       OTHER                  13415       0    42200
ORIENT-EXPRESS HOTELS LTD CL A COMMON STOCK     G67743107      450    60800 SH       OTHER                      0       0    60800
PETROLEO BRASILEIRO SA PETRO A COMMON STOCK     71654V408    14797   431134 SH       DEFINED               251027       0   180107
PETROLEO BRASILEIRO SA PETRO A COMMON STOCK     71654V408     4757   138611 SH       OTHER                  30006       0   108605
POPULAR INC COM                COMMON STOCK     733174106      545   203500 SH       OTHER                      0       0   203500
POTASH CORP SASK INC COM       COMMON STOCK     73755L107      155     1794 SH       DEFINED                 1099       0      695
POTASH CORP SASK INC COM       COMMON STOCK     73755L107     2707    31389 SH       OTHER                      0       0    31389
RENAISSANCE RE HOLDINGS LTD CO COMMON STOCK     G7496G103     1303    23162 SH       DEFINED                22996       0      166
RENAISSANCE RE HOLDINGS LTD CO COMMON STOCK     G7496G103     3703    65800 SH       OTHER                      0       0    65800
RIO TINTO PLC SPON ADR*        COMMON STOCK     767204100      417     9571 SH       DEFINED                 7751       0     1820
RIO TINTO PLC SPON ADR*        COMMON STOCK     767204100       52     1200 SH       OTHER                   1200       0        0
ROYAL DUTCH SHELL PLC ADR CL A COMMON STOCK     780259206      345     6865 SH       DEFINED                 5180       0     1685
ROYAL DUTCH SHELL PLC ADR CL A COMMON STOCK     780259206      400     7974 SH       OTHER                   7974       0        0
ROYAL DUTCH SHELL PLC ADR CL B COMMON STOCK     780259107      250     5171 SH       DEFINED                    0       0     5171
SAP AG SPONSORED ADR*          COMMON STOCK     803054204     3491    78803 SH       DEFINED                51467       0    27336
SAP AG SPONSORED ADR*          COMMON STOCK     803054204      172     3876 SH       OTHER                   3876       0        0
SCHLUMBERGER LIMITED COM*      COMMON STOCK     806857108    34936   631302 SH       DEFINED               494699       0   136603
SCHLUMBERGER LIMITED COM*      COMMON STOCK     806857108     6098   110197 SH       OTHER                  43047       0    67150
SEADRILL LTD*                  COMMON STOCK     G7945E105     5089   278403 SH       DEFINED               110918       0   167485
SEADRILL LTD*                  COMMON STOCK     G7945E105      238    13017 SH       OTHER                  13017       0        0
SIEMENS A G SPONSORED ADR*     COMMON STOCK     826197501      265     2958 SH       DEFINED                 2958       0        0
SIEMENS A G SPONSORED ADR*     COMMON STOCK     826197501       10      110 SH       OTHER                    110       0        0
SK TELECOM CO LTD ADR          COMMON STOCK     78440P108     1385    94037 SH       DEFINED                    0       0    94037
STATOIL ASA - SPONSORED ADR*   COMMON STOCK     85771P102      905    47273 SH       DEFINED                42273       0     5000
STATOIL ASA - SPONSORED ADR*   COMMON STOCK     85771P102       54     2813 SH       OTHER                   2713       0      100
SUNCOR ENERGY INC*             COMMON STOCK     867224107     6184   210047 SH       DEFINED               126117       0    83930
SUNCOR ENERGY INC*             COMMON STOCK     867224107      614    20852 SH       OTHER                  20852       0        0
SYNGENTA AG ADR*               COMMON STOCK     87160A100      767    16723 SH       DEFINED                16723       0        0
SYNGENTA AG ADR*               COMMON STOCK     87160A100       44      950 SH       OTHER                    950       0        0
TAIWAN SEMICONDUCTOR MFG CO AD COMMON STOCK     874039100      189    19345 SH       DEFINED                19345       0        0
TAIWAN SEMICONDUCTOR MFG CO AD COMMON STOCK     874039100     2442   250170 SH       OTHER                   1170       0   249000
TALISMAN ENERGY INC COM        COMMON STOCK     87425E103      440    29000 SH       OTHER                  29000       0        0
TENARIS S A SPONSORED ADR*     COMMON STOCK     88031M109     5685   164250 SH       DEFINED                97916       0    66334
TENARIS S A SPONSORED ADR*     COMMON STOCK     88031M109      270     7813 SH       OTHER                   7813       0        0
TEVA PHARMACEUTICAL INDS LTD A COMMON STOCK     881624209     1814    34888 SH       DEFINED                23098       0    11790
TEVA PHARMACEUTICAL INDS LTD A COMMON STOCK     881624209     9611   184864 SH       OTHER                   1000       0   183864
TRANSOCEAN LTD*                COMMON STOCK     H8817H100      554    11967 SH       DEFINED                 9522       0     2445
TRANSOCEAN LTD*                COMMON STOCK     H8817H100       68     1463 SH       OTHER                   1463       0        0
TYCO INTERNATIONAL LTD*        COMMON STOCK     H89128104     1793    50884 SH       DEFINED                  752       0    50132
TYCO INTERNATIONAL LTD*        COMMON STOCK     H89128104       23      657 SH       OTHER                    657       0        0
UNILEVER PLC SPONSORED ADR     COMMON STOCK     904767704      243     9080 SH       DEFINED                    0       0     9080
UTI WORLDWIDE INC COM          COMMON STOCK     G87210103      289    23350 SH       OTHER                      0       0    23350
VALE SA SP ADR*                COMMON STOCK     91912E105     3703   152061 SH       DEFINED               122104       0    29957
VALE SA SP ADR*                COMMON STOCK     91912E105      278    11409 SH       OTHER                  11409       0        0
VODAFONE GROUP PLC SPON ADR*   COMMON STOCK     92857W209     6398   309547 SH       DEFINED               185825       0   123722
VODAFONE GROUP PLC SPON ADR*   COMMON STOCK     92857W209      749    36219 SH       OTHER                  36219       0        0
XL CAPITAL LTD CLASS A         COMMON STOCK     G98255105     1378    86091 SH       DEFINED                84636       0     1455
XL CAPITAL LTD CLASS A         COMMON STOCK     G98255105     2457   153497 SH       OTHER                   2247       0   151250
BARCLAYS BK PLC PFD 6.625% SER PREFERRED STOCK  06739F390      220    10800 SH       DEFINED                 N.A.    N.A.     N.A.
BLACKROCK INTL GROWTH & INCOME OTHER            092524107      119    13545 SH       DEFINED                 N.A.    N.A.     N.A.
MACQUARIE GLOBAL INFR TOT RT F OTHER            55608D101      225    17104 SH       DEFINED                 N.A.    N.A.     N.A.
MORGAN STANLEY INDIA INVESTMEN OTHER            61745C105      395    17825 SH       DEFINED                 N.A.    N.A.     N.A.
ABERDEEN ASIA-PACIFIC INCOME F OTHER            003009107       68    11250 SH       DEFINED                 N.A.    N.A.     N.A.
INVESCO VAN KAMPEN BD FD       OTHER            46132L107      258    13114 SH       DEFINED                 N.A.    N.A.     N.A.
INVESCO VAN KAMPEN BD FD       OTHER            46132L107       32     1639 SH       OTHER                   N.A.    N.A.     N.A.
NUVEEN INSD PREM INCOME MUN FD OTHER            6706D8104      204    15959 SH       DEFINED                 N.A.    N.A.     N.A.
NUVEEN MUNICIPAL VALUE FUND    OTHER            670928100     1212   122558 SH       DEFINED                 N.A.    N.A.     N.A.
BP PRUDHOE BAY ROYALTY TRUST   OTHER            055630107      357     4000 SH       DEFINED                 2000       0     2000
BP PRUDHOE BAY ROYALTY TRUST   OTHER            055630107       45      500 SH       OTHER                    500       0        0
ENBRIDGE ENERGY PARTNERS L P   OTHER            29250R106      639    12195 SH       DEFINED                11195       0     1000
ENBRIDGE ENERGY PARTNERS L P   OTHER            29250R106       13      250 SH       OTHER                    250       0        0
ENERGY TRANSFER EQUITY LP      OTHER            29273V100      381    11300 SH       DEFINED                 2250       0     9050
ENERGY TRANSFER EQUITY LP      OTHER            29273V100       34     1000 SH       OTHER                   1000       0        0
ENERGY TRANSFER PARTNERS LP*   OTHER            29273R109     1049    22613 SH       DEFINED                22613       0        0
ENERGY TRANSFER PARTNERS LP*   OTHER            29273R109      536    11555 SH       OTHER                  11555       0        0
ENTERPRISE PRODUCTS PARTNERS L OTHER            293792107      808    22846 SH       DEFINED                12880       0     9966
ENTERPRISE PRODUCTS PARTNERS L OTHER            293792107        9      248 SH       OTHER                    248       0        0
KINDER MORGAN ENERGY PARTNERS  OTHER            494550106     4218    64832 SH       DEFINED                62432       0     2400
KINDER MORGAN ENERGY PARTNERS  OTHER            494550106     1062    16318 SH       OTHER                  16318       0        0
KINDER MORGAN MANAGEMENT LLC   OTHER            49455U100      426     7535 SH       DEFINED                 6991       0      544
NUSTAR ENERGY LP UNIT          OTHER            67058H102      306     5340 SH       DEFINED                 5340       0        0
NUSTAR ENERGY LP UNIT          OTHER            67058H102        9      165 SH       OTHER                    165       0        0
PERMIAN BASIN ROYALTY TRUST    OTHER            714236106      201    11015 SH       DEFINED                11015       0        0
PLAINS ALL AMERICAN PIPELINE L OTHER            726503105     3522    59996 SH       DEFINED                58996       0     1000
PLAINS ALL AMERICAN PIPELINE L OTHER            726503105      972    16551 SH       OTHER                  16551       0        0
SABINE ROYALTY TRUST UNITS BEN OTHER            785688102      273     5787 SH       DEFINED                 5787       0        0
SABINE ROYALTY TRUST UNITS BEN OTHER            785688102      247     5231 SH       OTHER                   5000       0      231
SAN JUAN BASIN RTY TR UNIT BEN OTHER            798241105      423    17339 SH       DEFINED                11520       0     5819
SAN JUAN BASIN RTY TR UNIT BEN OTHER            798241105       37     1500 SH       OTHER                      0       0     1500
SUNOCO LOGISTICS PARTNERS L P  OTHER            86764L108      216     3000 SH       DEFINED                 3000       0        0